HomeMy WebLinkAbout2002 08 26 Informational F Amounts Owed on the Medical Transport Vehicle
COMMISSION AGENDA
ITEM F
CONSENT
INFORMATIONAL X
PUBLIC HEARING
REGULAR
Augus~2002 MGR~ IDEPT~
Meeting A nthori 7Jlti on
REQUEST: The Finance Department Requests the City Commission Review Information
Regarding the Outstanding Amounts Owed on the Medical Transport Vehicles.
PURPOSE: To relay information regarding amounts owed on the Medical Transport Vehicles.
CONSIDERATIONS:
A question was posed at a FY 03 Budget Workshop concerning the amounts currently
outstanding on the Cities note and lease for Medical Transport vehicles. Below is a chart
depicting the current data and following is a discussion of each of the financings.
Lease
Note
Balance
Pa off Date
1-26-04
6-1-05
The City has a capital lease outstanding in the amount of $43,289 for one of its Medical
Transport Vehicles. The lease is paid off on 1/26/04. The City will incur approximately $1,796
in interest expense (7/26/02-1/26/04) through the end of the lease. This lease payment is
reflected in the FY 03 budget in the Medical Transport Fund account number 57160 - Lease
Payment.
The City also has a note outstanding in the amount of $86, 117 for another one of its Medical
Transport Vehicles. The note is paid off on 6/1/05. The note financed both our Medical
Transport Vehicle and our Data Processing Equipment. The principal amount on the full note
currently is $561,030. The City will incur approximately $53,197 in interest expense (6/1/02-
6/1/05) through the end of the note for the full note. The amount attributable to the financing of
the Medical Transport Vehicle alone is approximately $8,166 through the end of this period.
This note payment is reflected in the FY 03 budget in the Medical Transport Food account
number 57110 - Debt Service - Principal and 57210 Debt Service - Interest.
These two forms of financing are reflected in different expense accounts for ease of tracking in
the Finance Department.
The Medical Transport Fund had an audited Fund Balance of$387,061 at 9/30/01 and has added
a net positive contribution of $21 ,845 to that balance as of 8/6/02 for a total Food Balance to date
of $408,906.
RECOMMENDATION:
None - for information only.
ATTACHMENTS:
Finance Department Spreadsheet - Medical Transport Fund - Projected Fund Balance
Fire Chief s Fire Department Transition Plan
Fire Chiefs Fire Department/Medical Transport 5 year Capital Improvement Plan
COMMISSION ACTION:
CITY OF WINTER SPRINGS
MEDICAL TRANSPORT FUND
PROJECTED FUND BALANCE THROUGH FY 07
Actual Actual Budgeted Projected Projected Projected Projected Projected
FYOO FY01 FY02 FY03 FY04 FY05 FY06 FY07
Revenue
Operating
$194,920 $181,758 $176,500 $175,000 $175,000 $175,000 $175,000 $175,000
Expense
Operating $61 , 115 $66,986 $77,400 $81,270 $85,334 $89,600 $94,080 $98,784
Capital $1,546 $0 $33,000 $5,000 $130,000 $5,000 $195,000 $5,000
Lease $30,056 $30,100 $30,100 $30,100 $13,189 $0 $0 $0
Note $0 $26,529 $31,500 $31,500 $31,500 $31 ,283 $0 $0
Total Expense $92,717 $123,615 $172,000 $147,870 $260,023 $125,883 $289,080 $103,784
Beginning
Fund Balance
$226,233 $328,436 $386,579 $391,079 $418,209 $333,187 $382,303 $268,223
Appropriation to (from) $102,203 $58,143 $4,500 $27,130 ($85,023) $49,117 ($114,080) $71,216
Ending
Fund Balance
$328,436 $386,579 $391,079 $418,209 $333,187 $382,303 $268,223 $339,439
ASSUMPTIONS:
* Flat revenues - trend indicates decreasing
* 5% Increase in operating expenses
* $5,000 annual capital outlay for equipment
* $125,000 capital outlay in '04 for 5 heart monitor replacements
* $190,000 capital outlay in '06 for Rescue #3
08/06/2002 16:55
4073274750
PAGE 01
Fire Department Transition Plan
r EXPENSES 1 FY03 ( FY04 I~ FY05 L FY06 FY 07 --J
Recurring
Personnel - 8 Initial $ 382,487.00 $ 382,487.00 $ 382,487.00 $ 382,487.00 $ 382,487.00
Personnel - 4 Additional $ 191,244.00 $191,244.00 $191.244.00
Operating $ 10,000.00 $ 10,000.00 $ 15,000.00 $ 15,000.00 $ 15,000.00
Lease Purchase Vehicle $ 70,000.00 $ 70,000.00
Non-Recurring
UnIforms $ 16,030.00 $ 8,015.00
Equipment $ 37,926.00 $ 80.000.00
Vehicle $ 25,000.00
To'al $ 471 ,443.00 $ 392.487.00 $ 676,746.00 $ 658,731.00 $ 658,731.00
Capital Outlay
Fire Station - Property,
Design. Plans 5100,000.00
Fire Station - Construction $ 700,000.00
To'.1 $ $100,000.00 $ 700,000.00 $ $
L REVENUE FY03 J FY04 FY05 r FY06 I FY07
General Fund $ 471,4.43.00 $ 392.487.00 $ 676,746.00 $ 658,731.00 $ 658,731.00
Fire Impact Fea $100,000.00 $ 500,000.00
Medical Transport Fund $ 200,000.00
Tots' $ 471,443.00 $ 492.487.00 $ 1,376.746.00 $ 658,731.00 $ 658.731.00
AUG-06-2002 17:07
4073274750
97%
P.01
FIRE DEPARTMENT I MEDICAL TRANSPORT
PROPOSED PROJECT EXPENDITURES BY YEAR
:y
Project Project Projected Year 1 Year 2 Year 3 Year4 Year 5 Total Prior
Name Number 02/03 03/04 04/05 05/06 06/07 07/08
Air Cascade Compressor 99-2210-001 $20,000 $20,000
Hydraulic Rescue Tool 00-2210-001 $25,000 $25,000
Engine 124 01-2210-001 $280,000 $280,000
(' fleart Monitor Replacement (5) =:::: 03-170-001 (1125,000 $125,000
::>tatlOn 3 02-2210-001 $1,000,000 $1,000,000
E nQlne...3.. 02-2210-002 $345,000 $345,000
, ( ReScue 3...-J 02-2210-003 (' $190,000 -:> $190,000
Car 8 / Battalion Chief Vehicle 03-2210-001 $30,000 $30,000
Car 5 / EMS Div. Vehicle 05-2210-001 $25,000 $25,000
Car 3 / Training Div, Vehicle 03-2210-002 $25,000 $25,000
TOTAL $45,000 $405,000 $1,345,000 $220,000 $25,000 $25,000 $2,065,000 $0
)(1
PROPOSED PROJECT REVENUE SOURCE BY YEAR
'if
Revenue Project Projected Year 1 Year 2 Year 3 Year 4 Year 5 Total Prior
Source Number 02/03 03/04 04/05 05/06 06/07 07/08
General Fund 99-2210-001 $20,000 $20,000
General Fund 00-2210-001 $25,000 $25,000
General Fund 01-2210-001 $280,000 $280,000
tvledicanffinsport Fund - 03-170-001 ~$125,50()'''' ;--.. $125,000
- ) (
FirelmJJ8clF-e-e-s-: Genera I Fund 02-2210-001 \ ~ $1,000,000 $1,000.000
Fire Impact Fees - G~neral Fund 02-2210-002 $345,000 $345,000
_ Medical Transport Fund-----=-' 02-2210-003 rC$190 000__ 3-' $190,000
"
General Fund 03-2210-001 $30,000 $30,000
General Fund 05-2210-001 $25,000 $25,000
General Fund 03-2210-002 $25,000 $25,000
TOTAL $45,000 $405,000 $1,345,000 $220,000 $25,000 $25,000 $2,065,000 $0
~
PROPOSED PROJECT OPERATING IMPACT BY YEAR
Revenue Project Projected Year 1 Year2 Year 3 Year4 Year 5 Total Prior
Source Number 02/03 03/04 04/05 05/06 06/07 07/08
Air Cascade Compressor 99-2210-001 $0
Hydraulic Rescue Tool 00-2210-001 $0
Engine 124 01-2210-001 $0
Heart Monitor Replacement (5) 03-170-001 $0
'\
FIRE DEPARTMENT I MEDICAL TRANSPORT
Station 3 02-2210-001 $750,000 $750,000
Engine 3 02-2210-002 $10,000 $10,000
Rescue 3 02-2210-003 $7,500 $7,500
Car 8 / Battalion Chief Vehicle 03-2210-001 $0
Car 5/ EMS Div. Vehicle 05-2210-001 $0
Car 3 / Training Div. Vehicle 03-2210-002 $0
TOTAL $0 $0 $760,000 $7,500 $0 $0 $767,500 $0
Approval Date:
Completion Date
05/13/02~7/08CIP.XLS