Budget BUDGET 2020/2021
Lockyer Valley Regional Council 2020/2021 BUDGET AND LONG-TERM FINANCIAL FORECAST
PAGE 1
Budget
Table of Contents
Mayor’s Message .................................................................................................................................... 3 LVRC Budget at a Glance ......................................................................................................................... 4 Capital Works Highlights......................................................................................................................... 6 Summary of Key Items ............................................................................................................................ 7 Statement of Income and Expenditure ................................................................................................... 8 Statement of Financial Position .............................................................................................................. 9 Statement of Cash Flow ........................................................................................................................ 10 Statement of Changes in Equity ............................................................................................................ 11 Relevant Measures of Financial Sustainability...................................................................................... 12 Percentage Change in Rates Levied from 2019/2020........................................................................... 13 Detailed schedules ................................................................................................................................ 14 Business Unit – Child Care ................................................................................................................ 15 Business Unit – Waste Management ................................................................................................ 16 For information ..................................................................................................................................... 17 Listing of proposed capital works ......................................................................................................... 18
PAGE 2
2020/2021 MAYOR’S MESSAGE The Lockyer Valley is a unique and attractive region and one that appeals to so many, for many reasons. The Lockyer Valley balances the opportunities that arise from our fertile and productive land with the affordable lifestyle that stems from our ideal location between several major urban centres. The Lockyer Valley is a great place to live, work and raise a family. Council is pleased to present the 20202021 Budget which we believe will stand Council and the community in good stead both now and into the future. Council has maintained a strong focus on financial and operational sustainability over the past four years and this Budget is a continuation of that focus and commitment. The COVID-19 global pandemic has undoubtably had a significant impact on local businesses, in all parts of Australia and the world. This year’s Budget responds to the impact of COVID-19 and balances community expectations with financial sustainability. I am proud to say we aimed for a zero-per cent rate rise this year and have delivered on that, while still delivering on and improving our core services. To achieve this balance, we continue to implement the outcomes of an Organisational Effectiveness Review. This review was based on consultation with staff and identified efficiencies and improvements to be made throughout our organisation.
We will continue to review our operations and costs, because we are committed to ensuring our ratepayers get increasing value for money from Council.
This Budget is about the whole community. A strong farming sector creates employment and requires suppliers and services to support that, which creates even more jobs.
The 2020-2021 Budget includes an Operating Revenue of $58.80M, of which Rates contribute approximately two-thirds (68 per cent) and an Operating Expenditure of $56.74M. This is in addition to a $19.2M Capital Program and a surplus of $2.057M, which allows for the uncertainty of the COVID-19 pandemic. We’ll also be paying down another $1.59M in debt reducing the outstanding debt to $19.94M.
Council has retained its rating concessions for pensioners and for ratepayers who pay their General Rates and Waste and Recycling Charges in full by the due date. We also have a range of hardship measures in place ratepayers can discuss with us.
This balanced and responsible Budget is clearly focused on providing our 42,000 residents and more than 3000 businesses the foundation on which to plan with confidence while enjoying our present facilities, services and opportunities. This year, thanks to funding assistance from the Australian Government, we have committed $1.6M to commence Stage 1 of the much-anticipated Fairways Park in the Hatton Vale-Kensington Grove area. This is the first completely new regional-level park, and the first time we’ve engaged the community in the design process.
Fees & Charges $3.75M
Other Revenue $5.00M
We haven’t arrived at our final destination just yet, but we are well on the way!
MAYOR, LOCKYER VALLEY REGIONAL COUNCIL
Recurrent Expenses $56.74M
Grants $9.05M
Employee Costs $25.35M
Materials & Services $17.86M
Interest $1.02M
Depreciation $12.33M
Finance Costs $1.20M
Operating Surplus $2.06M PAGE 3
Collectively, each Councillor has worked to ensure the region is set to flourish and prosper, and I am confident this budget allows that to happen. I extend my thanks to my fellow Councillors, the Executive Leadership Team and Council staff for their part in ensuring the Lockyer Valley will continue to flourish. This Budget will improve our ability to take up the right opportunities that present themselves in the coming years.
This year we have set aside $830,000 for the detailed business case and lobbying to bring new water into the Lockyer Valley. The longterm viability of our horticultural sector – and the many direct and indirect jobs it creates - depends on the availability of water.
Recurrent Revenue $58.80M
Rates $39.98M
The Emergency Preparedness Levy has remained the same, as has the Resilient Rivers Levy and Environment Levy. Waste Collection Charges and Waste Management Charges also remain unchanged.
DELIVERING ON THE COMMUNITY PLAN 2017-2027 AND THE CORPORATE PLAN 2017 - 2022 These plans describe the type of region the community aspires to live in and the priority actions required to move towards those aspirations.
LVRC BUDGET AT A GLANCE
Planning, Plumbing and Building - Total $3.75M
Administration, Customer Service and Public Safety - Total $14.09M
(Capital $0.59M + Operational $3.16M)
(Capital $1.02M + Operational $13.07M)
LIBRARY
Footpaths and Cycleways - Total $0.89M (Capital $0.86M + Operational $0.03M)
Parks, Gardens and Cemeteries - Total $5.10M (Capital $1.83M + Operational $3.27M)
Economic Development and Community Services - Total $5.26M (Capital $0.06M + Operational $5.20M)
Road and Drainage related programs - Total $28.00M (Capital $11.35M + Operational $16.65M)
LOCKYER COMMUNITY | LOCKYER LEADERSHIP | LOCKYER FARMING | LOCKYER BUSINESS |
PAGE 4
LOCKYER VALLEY REGIONAL COUNCIL | BUDGET 2020/2021
Health and Regulatory Services Total $1.23M (Operating $1.23M) Disaster Management - Total $0.94M (Capital $0.13M + Operating $0.81M)
Community Facilities and Sport and Recreation Grounds - Total $8.57M (Capital $2.84M + Operating $5.73M)
Environmental Planning and Pest Management - Total $1.41M (Capital $0.01M + Operational $1.40M)
Community Grants and Support Total $0.61M (Operational $0.61M)
Waste - Total $6.10M
(Capital $0.51M + Operational $5.59M)
| LOCKYER LIVELIHOOD | LOCKYER PLANNED | LOCKYER NATURE
Council acknowledges and appreciates the funding support of the Commonwealth and Queensland Governments especially to support local economic recovery.
PAGE 5
2020/2021
HIGHLIGHTS LEGEND
Murphys Creek
19
PARK WORKS
5 6 7 8
20 Withco� TOOWOOMBA = 35 MINS FROM GATTON
25
12 Helidon
11
1
o Highway reg W ar
9
3
FOOTPATHS
10
Plainland
FACILITIES
Forest Hill
Ga�on
Grantham
ROAD RELATED WORKS
2
17
4
26
BRIDGE
22
FLOOD MODELLING SYSTEMS
Laidley
23 13 14 15 16
21 18
24
Thornton
REGION-WIDE PROJECTS •
CCTV UPGRADES - $90,000
•
BUSINESS SYSTEMS TO SUPPORT CUSTOMER SERVICE - $746,200
•
VARIOUS MACHINERY INCL HEAVY VEHICLES - $1,870,850
LOCKYER VALLEY REGIONAL COUNCIL
1. 2. 3. 4. 5. 6. 7. 8. 9. 10. 11. 12. 13. 14. 15. 16. 17. 18. 19. 20. 21. 22. 23. 24. 25. 26.
BLANCHVIEW - Spa Water Road (Black Spot Funded) $60,000 BRIGHTVIEW - Capital Renewal $360,000 FLAGSTONE CREEK - Capital Renewal $560,000 FOREST HILL - Skatepark repairs $20,000 GATTON - Footpaths $169,000 GATTON - Showgrounds and Equestrian Centre Improvements $286,100 GATTON - Park and Playground Improvement $80,100 GATTON - Shire Hall Upgrades $1,399,652 GRANTHAM - Bugler Park Shade Sail $18,500 HATTON VALE / Kensington Grove - Fairways Park Stage 1 and adjacent Footpaths $1,890,000 HELIDON - Capital Renewal and Upgrades $100,000 HELIDON SPA - Road Upgrades $270,000 LAIDLEY - Capital Renewal and Upgrades including Roads and Drainage, LED lighting $222,000 LAIDLEY - Footpath Upgrades $175,250 LAIDLEY - Laidley Saleyards Upgrades $84,000 LAIDLEY - Laidley Cultural Centre Refurbishment $117,000 LAKE CLARENDON - Roadworks and Park Amenities Refurbishment $300,500 MT SYLVIA - Flood Warning System Upgrade $50,000 MURPHYS CREEK - New Footpaths $200,000 POSTMANS RIDGE - Capital Renewal $800,000 STOCKYARD CREEK - Bridge Renewal $218,000 SUMMERHOLM - Capital Renewal $262,500 TENTHILL - WaterRIDE Flood Modelling Updates $55,000 *shared with Grantham THORNTON - Flood Modelling Updates $50,000 WITHCOTT - Roads and Park Upgrades $1,025,600 WOODLANDS - Capital Renewal $363,000
PAGE 6
1300 005 872
lockyervalley.qld.gov.au
@
mailbox@lvrc.qld.gov.au
26 Railway Street, Gatton 9 Spicer Street, Laidley
PO BOX 82 GATTON QLD 4343
Budget Summary of Key Items
2021
Sustainability Ratios 2026 2030
10yr Av.
Operating Surplus Financial Liabilities Asset Sustainability Debt Balances
$18.08M reduction in Council Debt over the life of the plan
PAGE 7
10yr Average CAPEX $16.40M
10yr Average Cash Balance $17.63M
Lockyer Valley Regional Council 2020/21 Budget and Long-Term Financial Forecast 2021 to 2030
Statement of Income and Expenditure
Revenue Recurrent Revenue
Rates & Utility Charges Less Discounts Net rates and utility charges Fees and charges Sales, contract and recoverable works Operational Grants & subsidies Interest received Other recurrent income
Total Recurrent Revenue
2021 $ Budget
2022 $ Forecast
2023 $ Forecast
2024 $ Forecast
2025 $ Forecast
2026 $ Forecast
2027 $ Forecast
2028 $ Forecast
2029 $ Forecast
2030 $ Forecast
41.66M (1.68M) 39.98M 3.75M 0.80M 9.05M 1.02M 4.20M
42.50M (1.71M) 40.79M 3.82M 0.73M 8.07M 1.21M 3.53M
43.57M (1.76M) 41.81M 3.90M 0.75M 8.23M 1.22M 3.62M
44.66M (1.80M) 42.86M 3.98M 0.76M 8.40M 1.25M 3.71M
46.01M (1.86M) 44.16M 4.06M 0.78M 8.58M 1.23M 3.80M
47.52M (1.92M) 45.61M 4.14M 0.79M 8.76M 1.23M 3.90M
49.20M (1.98M) 47.22M 4.22M 0.81M 8.96M 1.30M 3.99M
50.94M (2.05M) 48.88M 4.30M 0.83M 9.16M 1.41M 4.09M
52.73M (2.13M) 50.61M 4.39M 0.84M 9.37M 1.56M 4.19M
54.60M (2.20M) 52.39M 4.48M 0.86M 9.59M 1.66M 4.29M
58.80M
58.16M
59.54M
60.97M
62.61M
64.42M
66.49M
68.67M
70.96M
73.28M
6.92M (0.22M)
2.12M 0.50M 0.14M
2.16M 0.50M 0.19M
2.20M 0.50M 0.47M
2.25M 0.50M 0.24M
2.29M 0.50M 0.22M
2.34M 0.50M 0.20M
2.38M 0.50M 0.22M
2.43M 0.50M 0.09M
2.08M 0.50M 0.20M
Capital revenue:
Capital Grants Developer Contributions Gain/(loss) on sale of property, plant & equipment
Total capital revenue Total Revenue
6.69M
2.75M
2.85M
3.17M
2.99M
3.01M
3.04M
3.10M
3.02M
2.77M
65.49M
60.91M
62.39M
64.14M
65.59M
67.43M
69.53M
71.77M
73.99M
76.05M
25.35M 17.86M 12.33M 1.20M
24.87M 17.56M 12.85M 1.13M
25.71M 17.94M 13.90M 1.05M
26.42M 18.39M 14.37M 0.97M
27.16M 17.94M 14.81M 0.89M
27.91M 18.35M 15.27M 0.80M
28.69M 18.78M 15.58M 0.70M
29.48M 19.33M 14.14M 0.61M
30.30M 18.78M 15.10M 0.51M
31.15M 19.25M 15.48M 0.40M
56.74M
56.41M
58.60M
60.16M
60.79M
62.32M
63.75M
63.56M
64.70M
66.28M
8.75M
4.50M
3.79M
3.99M
4.80M
5.11M
5.78M
8.21M
9.29M
9.77M
2.057M
1.749M
0.939M
0.814M
1.818M
2.101M
2.742M
5.107M
6.270M
7.002M
Expenses Recurrent Expenses
Employee costs Materials and services Depreciation and amortisation Finance costs
Total Recurrent Expenses
Net Recurrent Result/Operating Surplus/(Deficit) NET RESULT ADJUSTED FOR CAPITAL ITEMS
PAGE 8
Lockyer Valley Regional Council 2020/21 Budget and Long-Term Financial Forecast 2021 to 2030
Statement of Financial Position
2021 $ Budget
2022 $ Forecast
2023 $ Forecast
2024 $ Forecast
2025 $ Forecast
2026 $ Forecast
2027 $ Forecast
2028 $ Forecast
2029 $ Forecast
2030 $ Forecast
17.03M 2.25M 3.04M 0.50M
16.36M 2.25M 3.04M 0.50M
16.06M 2.25M 3.11M 0.50M
16.31M 2.25M 3.18M 0.50M
11.47M 2.25M 3.28M 0.50M
12.39M 2.25M 3.37M 0.50M
15.48M 2.25M 3.48M 0.50M
19.95M 2.25M 3.58M 0.50M
25.87M 2.25M 3.71M 0.50M
25.70M 2.25M 3.83M 0.50M
22.82M
22.14M
21.92M
22.23M
17.49M
18.51M
21.71M
26.28M
32.33M
32.27M
2.01M 34.19M 541.63M 5.58M 2.94M 14.74M
2.01M 35.15M 581.49M 5.26M 2.94M 14.74M
2.01M 36.13M 583.60M 4.77M 2.94M 14.74M
2.01M 37.14M 585.57M 3.98M 2.94M 14.74M
2.01M 38.18M 626.12M 5.61M 2.94M 14.74M
2.01M 39.24M 626.07M 6.04M 2.94M 14.74M
2.01M 40.33M 626.07M 5.78M 2.94M 14.74M
2.01M 41.44M 667.99M 5.54M 2.94M 14.74M
2.01M 42.58M 671.10M 5.44M 14.74M
2.01M 43.75M 676.79M 6.34M 14.74M
601.08M
641.58M
644.18M
646.37M
689.59M
691.03M
691.85M
734.65M
735.87M
743.63M
623.90M
663.72M
666.11M
668.61M
707.09M
709.54M
713.56M
760.93M
768.19M
775.90M
2.45M 1.59M 5.36M 0.48M
2.41M 1.66M 5.41M 0.48M
2.46M 1.75M 5.60M 0.48M
2.52M 1.83M 5.79M 0.48M
2.52M 1.92M 5.98M 0.42M
2.58M 2.02M 6.17M 0.40M
2.65M 2.12M 6.37M 0.40M
2.72M 2.23M 6.56M 0.40M
2.71M 2.34M 6.75M 0.40M
2.78M 2.21M 6.94M 0.40M
9.87M
9.95M
10.28M
10.62M
10.85M
11.18M
11.54M
11.90M
12.20M
12.34M
19.94M 0.24M 29.42M
18.27M 0.24M 29.42M
16.53M 0.25M 29.42M
14.69M 0.25M 29.42M
12.77M 0.26M 25.98M
10.75M 0.27M 24.99M
8.63M 0.28M 24.99M
6.40M 0.29M 24.99M
4.07M 0.30M 24.99M
1.85M 0.30M 24.99M
49.60M
47.93M
46.20M
44.37M
39.01M
36.01M
33.90M
31.68M
29.36M
27.15M
59.46M
57.89M
56.48M
54.99M
49.85M
47.19M
45.44M
43.59M
41.56M
39.49M
564.44M
605.84M
609.63M
613.62M
657.23M
662.34M
668.12M
717.35M
726.64M
736.41M
Asset revaluation reserve Retained surplus (deficiency)
169.66M 394.78M
206.56M 399.28M
206.56M 403.07M
206.56M 407.06M
245.37M 411.86M
245.37M 416.97M
245.37M 422.75M
286.39M 430.96M
286.39M 440.25M
286.39M 450.02M
TOTAL COMMUNITY EQUITY
564.44M
605.84M
609.63M
613.62M
657.23M
662.34M
668.12M
717.35M
726.64M
736.41M
Current Assets Cash assets and cash equivalents Other inventory Receivables Prepayments
Total Current Assets Non Current Assets
Land held for development or sale Joint Ventures & Associates Property, plant and equipment Intangible assets Capital works in progress Other non-current assets
Total Non Current Assets TOTAL ASSETS Current Liabilites
Trade and other payables Borrowings Employee payables/provisions Other provisions
Total Current Liabilities Non Current Liabilities Borrowings Employee payables/provisions Other provisions
Total Non Current Liabilities TOTAL LIABILITIES Net community assets
Community Equity
PAGE 9
Lockyer Valley Regional Council 2020/21 Budget and Long-Term Financial Forecast 2021 to 2030
Statement Statementof ofCash CashFlow Flows
Cash flows from operating activities: Receipts from customers Payment to suppliers and employees Interest received Finance costs Other
Net cash inflow (outflow) from operating activities Cash flows from investing activities:
Payments for property, plant and equipment Subsidies, donations and contributions for new capital expenditure Proceeds from sale of property, plant and equipment Net transfer (to) from cash investments
Net cash inflow (outflow) from investing activities Cash flows from financing activities: Proceeds from borrowings Repayment of borrowings
Net cash inflow (outflow) from financing activities Net increase (decrease) in cash and cash equivalents held Cash at beginning of reporting period
Cash and cash equivalents at end of the financial year
PAGE 10
2021 $ Budget
2022 $ Forecast
2023 $ Forecast
2024 $ Forecast
2025 $ Forecast
2026 $ Forecast
2027 $ Forecast
2028 $ Forecast
2029 $ Forecast
2030 $ Forecast
55.61M (45.15M) 1.02M (1.08M) (0.89M)
55.47M (42.54M) 1.21M (1.01M) -
56.72M (43.51M) 1.22M (0.93M) -
58.10M (44.68M) 1.25M (0.85M) -
59.68M (45.02M) 1.23M (0.76M) (3.50M)
61.47M (46.12M) 1.23M (0.67M) (1.00M)
63.41M (47.33M) 1.30M (0.57M) -
65.44M (48.68M) 1.41M (0.48M) -
67.52M (49.03M) 1.56M (0.37M) -
69.69M (50.27M) 1.66M (0.26M) -
9.50M
13.13M
13.51M
13.82M
11.64M
14.90M
16.80M
17.70M
19.68M
20.83M
(19.20M) 6.92M 0.37M 0.79M
(15.20M) 2.12M 0.34M 0.52M
(15.37M) 2.16M 0.54M 0.53M
(15.19M) 2.20M 0.61M 0.55M
(17.83M) 2.25M 0.38M 0.56M
(15.28M) 2.29M 0.36M 0.57M
(14.96M) 2.34M 0.34M 0.59M
(14.45M) 2.38M 0.36M 0.60M
(14.82M) 2.43M 0.23M 0.62M
(21.72M) 2.08M 0.34M 0.63M
(11.13M)
(12.22M)
(12.13M)
(11.83M)
(14.64M)
(12.06M)
(11.69M)
(11.11M)
(11.54M)
(18.67M)
(1.51M)
(1.59M)
(1.66M)
(1.75M)
(1.83M)
(1.92M)
(2.02M)
(2.12M)
(2.23M)
(2.34M)
(1.51M)
(1.59M)
(1.66M)
(1.75M)
(1.83M)
(1.92M)
(2.02M)
(2.12M)
(2.23M)
(2.34M)
(3.14M)
(0.68M)
(0.29M)
0.25M
(4.84M)
0.92M
3.10M
4.47M
5.92M
(0.17M)
19.88M
17.03M
16.36M
16.06M
16.31M
11.47M
12.39M
15.48M
19.95M
25.87M
16.74M
16.36M
16.06M
16.31M
11.47M
12.39M
15.48M
19.95M
25.87M
25.70M
Lockyer Valley Regional Council 2020/21 Budget and Long-Term Financial Forecast 2021 to 2030
Statement of Changes in Equity
Asset revaluation surplus
Opening balance Increase in asset revaluation surplus
Closing balance
Retained surplus Opening balance Net result
Closing balance Total
Opening balance Net result Increase in asset revaluation surplus
Closing balance
PAGE 11
2021 2022 2023 2024 2025 2027 2028 2029 2026 2030 $ $ $ $ $ $ $ $ $ $ Budget Forecast Forecast Forecast Forecast Forecast Forecast Forecast Forecast Forecast 169.66M 169.66M 206.56M 206.56M 206.56M 245.37M 245.37M 245.37M 286.39M 286.39M - 41.02M - 36.90M - 38.81M 169.66M 206.56M 206.56M 206.56M 245.37M 245.37M 245.37M 286.39M 286.39M 286.39M
386.03M 394.78M 399.28M 403.07M 407.06M 411.86M 416.97M 422.75M 430.96M 440.25M 9.29M 9.77M 8.75M 4.50M 3.79M 3.99M 4.80M 5.11M 5.78M 8.21M 394.78M 399.28M 403.07M 407.06M 411.86M 416.97M 422.75M 430.96M 440.25M 450.02M
555.69M 564.44M 605.84M 609.63M 613.62M 657.23M 662.34M 668.12M 717.35M 726.64M 8.75M 4.50M 3.79M 3.99M 4.80M 5.11M 5.78M 8.21M 9.29M 9.77M - 36.90M - 38.81M - 41.02M 564.44M 605.84M 609.63M 613.62M 657.23M 662.34M 668.12M 717.35M 726.64M 736.41M
Lockyer Valley Regional Council 2020/21 Budget and Long-Term Financial Forecast 2021 to 2030
Relevant Measures of Financial Sustainability
y Operating Surplus Ratio
Target
2021
2022
2023
2024
2025
2026
2027
2028
2029
2030
Average
Between 0% and 10%
3.5%
3.0%
1.6%
1.3%
2.9%
3.3%
4.1%
7.4%
8.8%
9.6%
4.6%
62.3%
61.5%
58.0%
53.7%
51.7%
44.5%
35.7%
25.2%
13.0%
9.9%
41.5%
98.8% 106.0%
92.9%
93.2%
99.6%
96.7% 100.1%
99.7%
(Net Operating Surplus / Total Operating Revenue) (%)
Net Financial Asset / Liability Ratio
<= 60%
((Total Liabilities - Current Assets) / Total Operating Revenue)
Asset Sustainability Ratio
87.9% 111.7% 109.7%
>90%
(Capital Expenditure on the Replacement of Assets (renewals) / Depreciation Expense)
Target
Cash Expense Cover Ratio
>3
2021
2022
4.7
Number of months of operations supported by cash balance
PAGE 12
4.6
2023
4.4
2024
4.4
2025
3.0
2026
3.2
2027
3.9
2028
4.9
2029
6.3
2030
6.1
Average 4.6
Lockyer Valley Regional Council 2020/21 Budget and Long-Term Financial Forecast 2021 to 2030
Percentage Change in Rates Levied from 2019/2020 General Rates Summary Category Urban Residential Rural Residential Vacant Land Non-Principal Place of Residence & Multiple Dwellings Commercial Supermarkets
2020 Levy 5,108,619 10,513,851 2,627,180 6,369,853
2,620,831 6,362,463 -
1,283,404 143,964
1,283,404 143,964
Shopping Centres 433,129 Small Petrol Stations 88,667 119,898 Medium Petrol Stations Large Petrol Stations 168,356 Extractive Industries 354,862 Noxious & Offensive 106,797 Motels, Caravan Parks & Camping Grounds 161,770 Agriculture General 4,184,483 Intensive Farming 114,053 On Farm Packing Operations 83,351 123,266 Compressors & Transformers 395,306 Other TOTAL 32,380,809 Special & Separate Charges 1
Rural Fire Levy Emergency Preparedness Levy Environmental Levy Resilient Rivers Initiative TOTAL Waste Collection and Recycling Charges Waste Collection Commercial Dual Bins Waste Commercial Bins Waste Only Waste Collection Domestic Dual Bins Waste Domestic Dual Service UNI ONLY Extra Waste Bin Commercial Extra Waste Bin Domestic Extra Waste Recycling Bin Commercial Extra Waste Recycling Bin Domestic Waste Management Charge 2 TOTAL TOTAL RATES & CHARGES LEVIED
PAGE 13
2021 Levy $ Change % Change -0.63% 5,076,307 - 32,312 -2.31% 10,270,809 - 243,042
2020 Levy 273,564 1,766,960 271,840 33,980 2,346,344 2020 Levy 298,376 17,389 4,368,270 10,455 30,768 14,444 3,653 2,514 2,530,017 7,275,886 42,003,039
6,349 7,390
-0.24% -0.12%
-
0.00% 0.00%
433,129 88,667 119,898 168,356 354,862 106,797 161,770 4,184,483 114,053 83,351 123,266 395,306 32,091,715 - 289,093
$ Change % Change
2021 Levy 250,965 1,767,584 271,936 33,992 2,324,477 2021 Levy 277,725 17,108 4,359,332 10,188 31,913 17,523 3,519 2,756
0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% -0.89%
22,599 624 96 12 21,867
-8.26% 0.04% 0.04% 0.04% -0.93%
$ Change % Change -6.92% - 20,651 -1.62% 281 -0.20% 8,938 267 -2.55% 1,145 3.72% 3,079 21.32% 134 -3.68% 242 9.62% 1,470 24,335
0.06% -0.33%
41,667,743 - 335,295
-0.80%
2,531,487 7,251,551 -
Budget
Detailed schedules
PAGE 14
Business Unit – Child Care
Business Unit - Child Care Statement of Comprehensive Income - Three (3) Year Forecast Budget 2020-2021
Budget 2021-2022
Budget 2022-2023
Rates and Utility Charges (Gross)
-
-
-
Discount
-
-
-
250,000
255,000
260,100
-
-
-
610,000
621,590
634,022
Operating Contributions and Donations
-
-
-
Revenue - Contract/Recoverable Works
-
-
-
Other Revenue
-
-
-
Profit from Investments
-
-
-
Total Recurrent Revenue
860,000
876,590
894,122
-
-
-
860,000
876,590
894,122
860,000
876,590
894,122
789,796
795,915
818,158
93,314
95,180
97,227
Finance costs
273
658
1,039
Depreciation
24,100
22,157
18,400
907,483
913,910
934,824
-
-
-
Total Expenses
907,483
913,910
934,824
Net Recurrent Result/Operating Surplus/(Deficit)
(47,483)
(37,320)
(40,702)
NET RESULT AFTER CAPITAL ITEMS
(47,483)
(37,320)
(40,702)
Income Revenue Recurrent Revenue
Charges and Fees Interest Operating Grants and Subisidies
Capital Revenue Capital Grants, Subsidies and Contributions Total Revenue Capital Income Total Income
-
Expenses Recurrent Expenses Employee Costs Goods and Services
Total Recurrent Expenses Capital Expenses Capital Expenses
PAGE 15
Business Unit – Waste Management
Statement of Comprehensive Income - Three (3) Year Forecast Budget 2020-2021
Budget 2021-2022
Budget 2022-2023
7,251,551 (180,000) 511,500 68,556 46,700 185,000 -
7,397,307 (183,618) 521,730 119,488 47,587 189,450 -
7,583,349 (188,236) 532,165 163,156 48,539 194,010 -
7,883,307
8,091,944
8,332,983
406,000
-
-
8,289,307
8,091,944
8,332,983
-
-
-
Total Income
8,289,307
8,091,944
8,332,983
Expenses Recurrent Expenses Employee Costs Goods and Services Finance costs Depreciation
548,387 4,184,704 25,617 303,515
552,635 4,268,398 24,440 312,072
568,079 4,360,168 23,226 322,219
5,062,222
5,157,545
5,273,692
-
-
-
Total Expenses
5,062,222
5,157,545
5,273,692
Net Recurrent Result/Operating Surplus/(Deficit)
2,821,085
2,934,399
3,059,291
NET RESULT AFTER CAPITAL ITEMS
3,227,085
2,934,399
3,059,291
Income Revenue Recurrent Revenue Rates and Utility Charges (Gross) Discount Charges and Fees Interest Operating Grants and Subisidies Operating Contributions and Donations Revenue - Contract/Recoverable Works Other Revenue Profit from Investments Total Recurrent Revenue Capital Revenue Capital Grants, Subsidies and Contributions Total Revenue Capital Income
Total Recurrent Expenses Capital Expenses Capital Expenses
PAGE 16
Budget
For information
PAGE 17
Budget
Listing of proposed capital works
PAGE 18
Budget
PAGE 19
Budget
PAGE 20
Budget