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BAWA Resolution No. 2024-22RESOLUTION NO. 2024-22 A RESOLUTION OF THE BOARD OF DIRECTORS OF THE BAYTOWN AREA WATER AUTHORITY ADOPTING A BUDGET FOR THE ENSUING FISCAL YEAR, BEGINNING OCTOBER 1, 2024, AND ENDING SEPTEMBER 30, 2025; MAKING OTHER PROVISIONS RELATED THERETO; AND PROVIDING FOR THE EFFECTIVE DATE THEREOF. ************************************************************************************* WHEREAS, the General Manager of the Baytown Area Water Authority ("BAWA") has submitted to BAWA's Board of Directors a budget estimate of the revenues of BAWA and the expense of conducting the affairs thereof for the ensuing fiscal year, beginning October 1, 2024, and ending September 30, 2025; and WHEREAS, the Board of Directors of BAWA (the "Board") received the General Manager's estimate and held a public hearing thereon; and WHEREAS, after full and final consideration of the information contained in the proposed budget and the input received at the public hearing, it is the opinion of the Board that the budget attached hereto should be approved and adopted; NOW THEREFORE, BE IT RESOLVED BY THE BOARD OF DIRECTORS OF THE BAYTOWN AREA WATER AUTHORITY: Section 1: That the Board of Directors of the Baytown Area Water Authority hereby adopts the budget, which is attached hereto as Exhibit "A" and incorporated herein for all intents and purposes for BAWA's 2024-2025 fiscal year. Section 2: This resolution shall take effect immediately from and after its passage by the Board of Directors of the Baytown Area Water Authority. INTRODUCED, READ and PASSED by the affirmative vote of the Board of Directors of the Baytown Area Water Authority this the 3 1 " day of July, 2024. v RENDA BRADLEY SMITH, President ATTEST: A GELA C ON, Assistant 6 tarF S APPROVED A� TO ORM: SCOTT LEMQND, General Counsel R Scott Resolution-FY2025 Budget.docx BAYTOWN AREA WATER AUTHORITY (BAWA) ANNUAL PROGRAM OF SERVICES 2024-25 PROPOSED BUDGET BAYTOWN AREA WATER AUTHORITY (BAWA) BOARD OF DIRECTORS Brenda Bradley -Smith, President Frank McKay Ili, Secretary City Clerk, Assistant Secretary David Start, Director Jimmy Smith, Director Alyssa Linares, Director Baytown Area Water Authority Board of Directors General Manager Plant Manager/ Director of Public Works & Utilities Superintendent BAYTOWN AREA WATER AUTHORITY MAJOR BUDGET ISSUES FISCAL YEAR 2024-25 This fund accounts for the operations of the Baytown Area Water Authority (BAWA). BAWA is a water authority created by the Texas Legislature to supply water for the City of Baytown (City) and surrounding communities. BAWA services a total of eight customers with the City as the largest customer, generating approximately 90°o of BAWA's annual sales. BAWA is a separate legal entity; however, it is considered a component unit of the City. Since it began operating, BAWA has not experienced shortages of its raw water supply to the plant or interruptions of service to its customers. REVENUES The 2024-25 proposed budget estimates sales of $21,151,830 for an average of 15.97 million gallons per day (MGD). The existing BAWA rate structure is $3.44 per 1,000 gallons for the City of Baytown and $3.67 per 1,000 gallons for customers outside the city. The rates will consist of a 60o increase to $3.65 per 1,000 gallons for the City of Baytown and $3.88 per 1,000 gallons for customers outside the city for the 2024-25 budget. EXPENDITURES Total operating expenditures for the proposed 2024-25 budget are $9,715,377 which is a decrease of $244,695 from the 2023-24 budget. An increase of $500,000 over current year estimate in the untreated water supplies is included in the budget due to the City of Houston's raw water supply contract. This budget includes a transfer of $350,000 to the General Fund for an indirect cost allocation to reimburse the City for administrative services such as Human Resources, Fiscal Operations, Legal and Information Technology Services. Highlights of major operating changes are as follows: • Increase in personnel services $ 244,391 • Decrease in supplies (491,064) • Increase in maintenance 39,500 • Decrease in services (15,612) • Increase to transfers out -debt service 1,325,289 • Increase to transfers out -capital improvement 3,000,000 Raw Water Supply Cost BAWA purchases raw water from the City of Houston. The raw water supply contract with the City of Houston is in effect through the year 2040, and sets the maximum amount of raw water to be delivered to the BAWA plants at 32 MGD without penalties. The surcharge for water purchased over the 32 MGD is nominal at this time. For the upcoming adjustment scheduled for April 1, 2024 there will be no inflammatory increase for the Houston area. BAWA's rate will remain the same at $0.9802 which was adjusted from $0.90 to $0.9802 on April 1, 2023. Debt Service The transfer to cover the debt service requirement for the proposed 2024-25 budget is $5,459,283. The Authority awarded a construction contract to build the BAWA East Water Treatment Plant and due to the length of time for construction, the Authority has issued a combination of bonds totaling $56 million. The first issue totaled $28 million, $18 million in BAYTOWN AREA WATER AUTHORITY MAJOR BUDGET ISSUES FISCAL YEAR 2024-25 FY2019 & $10 million in FY24. In addition, the Authority issued bonds for the BAWA Raw Water Rehabilitation in the amount of $13.5 million in FY24. CAPITAL IMPROVEMENT PROGRAM The Capital Improvement Program for BAWA is funded through the issuance of revenue bonds, grants, and revenue from operations. BAWA Backwash and Decant Pump Replacement _ $3,300=000 This project would replace the existing (7.5HP) decant and backwash pumps and motors to increase reliability and control of surface water sludge processes. BAWA Raw Water Rehabilitation $13,500,000 This project, funded from debt, would replace the existing BAWA Forebay liner, raw water pumps and motors with variable frequency drive (VFD) pumps/motors at the Fritz Lanham Surface Water Plant. BAWA East Surface Water Plant Phase 2 Expansion $10p0,000 This project, funded by debt, covers the engineering services of the expansion and the existing surface water treatment plant south of Interstate Highway (IH) 10 and west of SH 99 along the Coastal Water Authority (CWA) Barbers Hill Canal. The design will provide for the ability to expand the plant based on future water demands and allow the plant to convert to salt water treatment (desalinization) ensuring long term viability. WORKING CAPITAL In order to maintain fiscal stability, governmental entities maintain a working capital balance to meet daily liquidity needs. Appropriate levels of working capital vary from entity to entity based on the relative impact of particular circumstances or financial conditions. Working capital is defined as current assets (e.g., cash, investments and accounts receivable) less current liabilities (e.g., accounts payable). In the 2024-25 proposed budget, BAWA's working capital level at year end is projected to represent 550 days of operating expenditures plus we are able to transfer out $4,368,290 to BAWA's Capital Improvement Project Fund (CIPF) which will be available for funding fiiture capital projects. BAYTOWN AREA WATER AUTHORITY FUND 510 BUDGET SUMMARY BY FUND Actual Budget Estimated Proposed 2022-23 2023-24 2023-24 2024-26 Revenues Sale of Water - Baytown $ 16,466,818 $ 14,943.573 $ 18,110,847 $ 19,197,497 Sale of Water - Other 1,694,670 1,552,535 1,843,710 1,954,333 Interest Revenue 93,640 1,000 156,237 90,000 Transfers In From WWIS Fund 123,258 100,000 100,000 - Total Revenues 18,378,386 16,597,108 20,210,794 21,241,830 Expenditures Personnel Services 1,950,242 2,048,060 2,048,060 2,292,451 Supplies 3,912,807 6,345,594 5,241,770 5,854,530 Maintenance 480,399 389,850 339,000 429,350 Services 1,242,531 1,154,658 1,007,786 1,139,046 Sundry 3,213,190 - - - Total Operating 10,799,170 9,938,162 8,636,616 9.715.377 Non -Operating Expenditures Capital Outlay (30,877) - - - Transfers Out - Debt Service 4,483,294 4,133,994 4,133,994 5,459,283 Transfers Out - Capital Improvement 1,000,000 1,368,290 1,368,290 4,368,290 Transfers Out - General Fund 350,000 350,000 350,000 350,000 Contingency - 250,000 - - Total Expenditures 16,601,586 16.040,446 14,488,900 19,892,950 Excess (Deficit) Revenues Over Expenditures 1,776,799 556,662 5,721,894 1,348,880 GAAP to budget basis adjustment (442,012) - - - Working Capital - Beginning 6,228,551 7,563,338 7,563,338 13,285,232 Working Capital - Ending $ 7,563,338 $ 8,120,000 $ 13,285,232 $ 14.634,112 Days of Operating Expenditures 256 298 561 550 3070 BAYTOWN AREA WATER AUTHORITY SERVICE LEVEL BUDGET Actual Budget Estimated Proposed 2022-23 2023-24 2023-24 2024-25 7100 Personnel Services Contract Personnel BAWA $ 1,950,242 $ 2,048,060 $ 2,048,060 $ 2,292,451 Total Personnel Services 1,950,242 2,048,060 2,048,060 2,292,451 7200 Supplies 72001 Office Supplies 7,295 6,500 6,500 6,500 72002 Postage Supplies 424 400 700 600 72007 Wearing Apparel 8,185 10,000 8,800 11,000 72016 Motor Vehicle Supplies 13,632 15,000 15,000 15,000 72021 Minor Tools 9,785 10,000 5,800 10,000 72022 Fuel for Generators 40,400 20,000 45,000 46,000 72026 Cleaning & Janitorial Supplies 3,357 4,620 3,000 4,620 72027 HAZCHEM Disposal Supplies - - - 16,000 72031 Chemical Supplies 1,906,626 1,622,084 2,100,000 2,178,060 72032 Medical Supplies 2,277 2,750 2,750 2,750 72041 Educational Supplies 2,204 2,000 1,220 2,000 72051 Untreated Water Supplies 1,868,560 4,599,000 3,000,000 3,500,000 72055 Laboratory Supplies 50,063 53,240 53,000 62,000 Total Supplies 3,912,807 6,345,594 5,241,770 5,854,530 7300 Maintenance 73011 Building Maintenace 13,285 10,500 14,000 15,000 73023 Water Distrib Sys Maint - - 28,200 35,000 73027 Heat & Cool Sys Maint 27,884 33,000 12,000 33,000 73028 Electrical Maintenance 39,942 85,200 72,200 85,200 73041 Furniture Fixtures Maint 1,553 2,750 600 2,750 73042 Machinery & Equip Maint 380,434 246,400 200,000 246,400 73043 Motor Vehicles Maint 17,300 12,000 12,000 12,000 Total Maintenance 480,399 389,850 339,000 429,350 7400 Services 74001 Communication - - 1,478 2,000 74002 Electric Service 590,582 408,000 290,000 384,000 74011 Equipment Rental 137,610 40,000 10,000 40,000 74021 Special Services 468,643 656,971 656,971 656,971 74022 Audits 20,037 20,037 20,037 20,037 74026 Janitorial Services 9,100 12,000 11,700 12,000 74036 Advertising 1,037 1,000 1,000 1,000 74042 Education & Training 15,522 16,000 16,000 22,388 74071 Association Dues - 450 400 450 74280 Bonds - 200 200 200 Total Services 1,242,531 1,154,658 1,007,786 1,139,046 7500 Sundry 75089 Depreciation 3,213,190 - _ _ Total Sundry 3,213,190 - - _ Total Operating 10,799,170 9,938,162 8,636,616 9,715,377 8000 Capital Outlay 84042 Machinery & Equipment (30,877) - - _ Total Capital Outlay (30,877) - _ _ 3070 BAYTOWN AREA WATER AUTHORITY SERVICE LEVEL BUDGET Actual Budget Estimated Proposed 2022-23 2023-24 2023-24 2024-25 9000 Other Financing Uses 91511 To BAWA Debt Service 4,483,294 4,133,994 4,133,994 5,459,283 91518 To BAWA CIPF Fund 1,000,000 1,368,290 1,368,290 4,368,290 92101 Expense - General Fund 350,000 350,000 350,000 350,000 Total Other Financing Uses 5,833,294 5,852,284 5,852,284 10,177,573 9900 Contingencies 99001 Contingencies - 250,000 - - Total Contingencies - 250,000 - - TOTAL DEPARTMENT $16,601,586 $16,040,446 $ 14,488,900 $ 19,892,950 BAWA - CAPITAL IMPROVEMENT PROGRAM FUND 518 BUDGET SUMMARY BY FUND Actual Budget Estimated Proposed 2022-23 2023-24 2023-24 2024-25 Revenues Transfer In - Operating $ 1,000,000 $ 1,368,290 $ 1,500,000 $ 4,368,290 Interest Revenue 52,825 5,000 40,000 45,000 Total Revenues 1,052,825 1,373,290 1,540,000 4,413,290 Expenditures Condition Assessment - - - 150,000 Filter Scour 3,884,803 - - - Raw Water Rehabilitation 127,040 - - Backwash and Decant Pump Replacement - 323,290 500,000 3,300,000 Administration Building - 550,000 543,481 - East Camera Security 49,932 - - _ East Surface Water Plant Phase 2 Expansion 144,513 500,000 - Total Expenditures 4,206,288 1,373,290 1,043,481 3,450,000 Excess (Deficit) Revenues Over Expenditures (3,153,463) - 496,519 963,290 Working Capital - Beginning 4,158,744 1,005,281 1,005,281 1,501,800 Working Capital - Ending $ 1,005,281 $ 1,005,281 $ 1,501,800 $ 2.465.090 BAYTOWN AREA WATER AUTHORITY REVENUE BONDS LONG TERM DEBT AMORTIZATION SCHEDULES Revenue Amount of Principal Principal & Interest Principal Bonds Issue Outstanding Requirements for 2024-25 Outstanding Oct. 1, 2024 Sept 30, 2025 Series 2012 8,315,000 2,830,000 315,000 92,368 407,368 2,515,000 Series 2018 22,040,000 19,700,000 1,000,000 889,650 1,889,650 18,700,000 Series 2019 17,315,000 14,045,000 725,000 460,650 1,185,650 13,320,000 Series 2024 21,525,000 21,525,000 1,005,000 971,615 1,976,615 20,520,000 $ 58,100,000 $ 3,045,000 $ 2,414,283 $ 5,459,283 $ 55,055,000 Combined BAWA Debt, All Series Debt Requirements to Maturity Fiscal Total Total Total Year Principal Interest Requirement 2025 3,045,000 2,414,283 5,459,283 2026 3,030,000 2,380,218 5,410,218 2027 3,120,000 2,242,768 5,362,768 2028 3,210,000 2,100,900 5,310,900 2029 3,350,000 1,954,588 5,304,588 2030 3,500,000 1,801,888 5,301,888 2031 3,655,000 1,650,500 5,305,500 2032 3,815,000 1,491,726 5,306,726 2033 3,980,000 1,325,600 5,305,600 2034 4,160,000 1,145,900 5,305,900 2035 4,330,000 975,400 5,305,400 2036 4,510,000 797,700 5,307,700 2037 4,690,000 612,350 5,302,350 2038 4,880,000 419,350 5,299,350 2039 2,945,000 218,250 3,163,250 2040 1,880,000 94,000 1,974,000 Total $ 58,100,000 $ 21,625,421 $ 79,725,421 BAYTOWN AREA WATER AUTHORITY REVENUE BONDS DETAIL DEBT AMORTIZATION SCHEDULES Revenue Bonds Funding: BAWA $ 8,315,000 Series 2012 Issue Date - March 29, 2012 Term - 20 Years Fiscal Interest Principal Interest Interest Total Annual Principal Year Rate Due 5/01 Duel1/01 Due 5/01 Interest Requirement Outstanding 2013 2.00% $ 485,000 $ 123,050 $ 103,500 $ 226,550 $ 711,550 $ 7,830,000 2014 2.00% 510,000 98,650 98,650 197,300 707,300 7,320,000 2015 2.00% 520,000 93,550 93,550 187,100 707,100 6,800,000 2016 2.00% 535,000 88,350 88,350 176,700 711,700 6,265,000 2017 2.00% 540,000 83,000 83,000 166,000 706,000 5,725,000 2018 2.00% 550,000 77,600 77,600 155,200 705,200 5,175,000 2019 2.00"% 570,000 72,100 72,100 144,200 714,200 4,605,000 2020 2.00% 580,000 66,400 66,400 132,800 712,800 4,025,000 2021 2.00"% 290,000 60,600 60,600 121,200 411,200 3,735,000 2022 2.38"% 295,000 57,700 57,700 115,400 410,400 3,440,000 2023 2.50"% 300,000 54,197 54,197 108,394 408,394 3,140,000 2024 2.75% 310,000 50,447 50,447 100,894 410,894 2,830,000 2026 3.00% 325,000 41,459 41,459 82,918 407,918 2,190,000 2027 3.13% 335,000 36,584 36,584 73,168 408,168 1,855,000 2028 3.25% 345,000 31,350 31,350 62,700 407,700 1,510,000 2029 3.25"% 360,000 25,744 25,744 51,488 411,488 1,150,000 2030 3.38% 370,000 19,894 19,894 39,788 409,788 780,000 2031 3.50"% 385,000 13,650 13,650 27,300 412,300 395,000 2032 3.50"% 395,000 6,913 6,913 13,826 408,826 - $ 8,315,000 $ 1,147,422 $ 1,127,872 $ 2,275,294 $ 10,590,294 $ - Call Option Bonds maturing on 05 01 2023 to 05 01 2032 callable in whole or in part on any date beginning 05 01 2022 & par Revenue Bonds Funding: BAWA $ 22,040,000 Series 2018 Issue Date - June 21, 2018 Term-20 Yrs Fiscal Interest Principal Interest Interest Total Annual Principal Year Rate Due 5/01 Duel1/01 Due 5/01 Interest Requirement Outstanding 2019 $ - $ 426,771 $ 512,125 $ 938,896 $ 938,896 $ 22,040,000 2020 0.00% - 503,325 503,325 1,006,650 1,006,650 22,040,000 2021 5.00% 135,000 503,325 503,325 1,006,650 1,141,650 21,905,000 2022 5.00% 205,000 499,950 499,950 999,900 1,204,900 21,700,000 2023 5.00% 1,000,000 494,825 494,825 989,650 1,989,650 20,700,000 2024 5.00"% 1,000,000 469,825 469,825 939,650 1,939,650 19,700,000 2026 5.00% 1,000,000 419,825 419,825 839,650 1,839,650 17,700,000 2027 5.00% 1,000,000 394,825 394,825 789,650 1,789,650 16,700,000 2028 5.00"% 1,000,000 369,825 369,825 739,650 1,739,650 15,700,000 2029 5.00% 1,040,000 344,825 344,825 689,650 1,729,650 14,660,000 2030 5.00% 1,095,000 318,825 318,825 637,650 1,732,650 13,565,000 2031 5.00% 1,145,000 291,450 291,450 582,900 1,727,900 12,420,000 2032 5.00% 1,210,000 262,825 262,825 525,650 1,735,650 11,210,000 2033 5.00"% 1,675,000 232,575 232,575 465,150 2,140,150 9,535,000 2034 4.00"% 1,760,000 190,700 190,700 381,400 2,141,400 7,775,000 2035 4.00% 1,830,000 155,500 155,500 311,000 2,141,000 5,945,000 2036 4.00% 1,905,000 118,900 118,900 237,800 2,142,800 4,040,000 2037 4.00% 1,980,000 80,800 80,800 161,600 2,141,600 2,060,000 2038 4.00% 2,060,000 41.200 41,200 82,400 2,142,400 75 $13.215.196 21 $ Call Option: Bonds maturing on 05 01 2029 to 05 01 2038 callable to whole or in part on any date beginning 05 01 2029 'a par BAYTOWN AREA WATER AUTHORITY REVENUE BONDS DETAIL DEBT AMORTIZATION SCHEDULES Revenue Bonds Funding: BAWA $ 17,315,000 Series 2019 Issue Date - May 30, 2019 Term-20 Yrs Fiscal Interest Principal Interest Interest Total Annual Principal Year Rate Due 5/01 Duel 1/01 Due 5101 Interest Requirement Outstanding cvcv y.vv io a 04v,vuv . L46,vou L`/3, /L3 J "J,80 S 1,183,805 S 16,675,000 2021 4.00% 620,000 282,925 282,925 565,850 1,185,850 16,055,000 2022 4.00% 645,000 270,525 270,525 541,050 1,186,050 15,410,000 2023 4.00% 670,000 257,625 257,625 515,250 1,185,250 14,740,000 2024 4.00% 695,000 244,225 244,225 488,450 1,183,450 14.045.000 2026 4.00% 755,000 215,825 215,825 431,650 1,186,650 12,565,000 2027 4.00% 785,000 200,725 200,725 401,450 1,186,450 11,780,000 2028 4.00% 815,000 185,025 185,025 370,050 1,185,050 10,965,000 2029 4.00% 850,000 168,725 168,725 337,450 1,187,450 10,115,000 2030 3.00% 880,000 151,725 151,725 303,450 1,183,450 9,235,000 2031 3.00% 910,000 138,525 138,525 277,050 1,187,050 8,325,000 2032 3.00% 935,000 124,875 124,875 249,750 1,184,750 7,390,000 2033 3.00% 965,000 110,850 110,850 221,700 1,186,700 6,425,000 2034 3.00% 995,000 96,375 96,375 192,750 1,187,750 5,430,000 2035 3.00% 1,025,000 81,450 81,450 162,900 1,187,900 4,405,000 2036 3.00% 1,055,000 66,075 66,075 132,150 1,187,150 3,350,000 2037 3.00% 1,085,000 50,250 50,250 100,500 1,185,500 2,265,000 2038 3.00% 1,1 15,000 33,975 33,975 67,950 1,182,950 1,150,000 2039 3.00% 1,150,000 17,250 17,250 34,500 1,184,500 - S 17,315,000 S 3,175,355 S 3,223,000 S 6,398,355 S 23,713,355 S - Call Option: Bonds maturing on 05 01 2029 to 05 01 2033 callable in whole or in part on any date beginning 05 01 2028 a par Revenue Bonds Funding: BAWA $ 21,525,000 Series 2024 Issue Date - June 6, 2024 Term-15 Yrs Fiscal Interest Principal Interest Interest Total Annual Principal Year Rate Due 5/01 Duel 1/01 Due 5/01 Interest Re uirement Outstandin LVLO �.vvro yw,uuu �1Is,000 513,000 1,026,000 1,976,000 19,570,000 2027 5.00% 1,000,000 489,250 489,250 978,500 1,978,500 18,570,000 2028 5.00% 1,050,000 464,250 464,250 928,500 1,978,500 17,520,000 2029 5.00% 1,100,000 438,000 438,000 876,000 1,976,000 16,420,000 2030 5.00% 1,155,000 410,500 410,500 821,000 1,976,000 15,265,000 2031 5.00% 1,215,000 381,625 381,625 763,250 1,978,250 14,050,000 2032 5.00% 1,275,000 351,250 351,250 702,500 1,977,500 12,775,000 2033 5.00% 1,340,000 319,375 319,375 638,750 1,978,750 11,435,000 2034 5.00% 1,405,000 285,875 285,875 571,750 1,976,750 10,030,000 2035 5.00% 1,475,000 250,750 250,750 501,500 1,976,500 8,555,000 2036 5.00% 1,550,000 213,875 213,875 427,750 1,977,750 7,005,000 2037 5.00% 1,625,000 175,125 175,125 350,250 1,975,250 5,380,000 2038 5.00% 1,705,000 134,500 134,500 269,000 1,974,000 3,675,000 2039 5.00% 1,795,000 91,875 91,875 183,750 1,978,750 1,880,000 2040 5.00% 1,880,000 47,000 47,000 94,000 1,974,000 - S 21,525,000 S 4,999,740 S 5,104,375 S 10,104,115 S 31,629,115 S - Call Option: Bonds maturing on 05 01 2035 to 05;01.2040 callable in whole or in part on any date beginning 05 01 2034 a par. CITY OF HOUSTON UNTREATED 11ATER RATES Effecth e Month/YearRate Od 81 22142 02 S3 .2.1157 1086 .25123 1087 .28022 01 88 .26591 FIRS F 150 \IGD PLR 1.000. 26113 \F\ r 150 \IGD OS SS .78-126 FIRST 300 \IGD PER 1.000..27915 \F\T 300 \IGD 0789 .29344 FIRS 1300 \IGD PLR 1.000..28S 17 INEM 300 \IGD 0890 .31178 FIRST 300 \IGD PER 1.000..30618 NE\T 300 \IGD 02 92 .31820 FIRST 300 \IGD PER 1.000. .31249 \l:\ F 300 \IGD 1093 .32907 FIRST 300 \IGD PER 1.000..32316 NEXT 300 \IGD 1094 .37192 UP TO 13.1 \IGD. IF WI: GO OVER. THI \ 5 . ADDI D l O A\11 HI\G O\ I R I 1 9 0604 .335 UP TO 13 1 \IGD IF WF GO OVER '1 HI•\ 5'. \DUFD 10 ANYI lil\G OVI:R 11.9 0.7 05 39S Ulf' TO 17.38 \IGD II' WI GO O\ I R. 1IIF\ 5 \DDT 1) FO A\Y 1'HI\G OVI.R I3.S 0406 4123 UP TO 17 3S \IGD II \\ I GO OVI R. THI \ 5 \DDI 1) 10 ANYTHING O\ ER 15.S 04 07 423S UP TO I7.38 \IGD IF WE, GO OVER. THIN 5'. ADDI 1) 10 ANY THING OVER 15 8 Oa 0S .431d UP TO 17 )S \IGD IF WE GO OVER.'I'H1:\' S"o ADDI D 10 ANYTl11NG 0\ ER 15.8 0409 .4533 LIP TO 17 38 \IGD. IF Wl: GO OVER. THEN 5". ADDI 1) 10 ANYTHING O\ ER 15 8 (1d 10 4546 UP TO 20 00 \IGD. IF WE GO OVER. THIN 5^.:\DDI:) TO :\\Y-FHI\G OVER. BA\\':\ EAST (2nd'I AKI: POI\"1) 6 \IGD \11\'I\IL'\I 06 10 56.17 UP TU 20.0 \IGD. IF \\'li GO O\ ER.'I'H1:\ 5".■ ADDI D 1 O ANYVIi1\GOVI.A. li•\1\',\li:\S'I'12nd'I':\F iPOI\'F)G\IGD\II\I\IL'\I 0.1 11 5754 UP TO 20 0 \IGD. WWII- GO OVER. THE\ 5':n:\DDI 1) rO ANN 1III\G OVER. BAWA CAST (2nd TAKE POINT 04 12 59439 UP TO 20.0 \IGD. IF \\'li GO O\'I:i(. THI:\ 5". ADDI 1) FO OVER. BAWA LAST i'_nd'FAKIi PUINI) 6 \IGD \11.\I\it \1 04 13 6151Sn UP TO 20.0 \IGD II' \\'I: GO M'liR. THEN 5'. ADDI'D TO ANY I'111\G OVI'R. II:\\\',\ EAST (2nd I AKE POI\ 1) 6 \IGD \1I\1\I1 \I 04 14 6232 LP TO 20 0 \IGD IF Wli GOO\1_R,'I HI:\ 5",ADDI D I O .\\) 1111\G O\ LR. 13:\\\'A I:AS I (-'nd l AKI: POI\ I) 6 \IGU \11.\I\IL \I 04 15 65O6 UI' 1'O 20 0 \I(,D II \\'1'. GO OVI:R. Tt11:N 5" , .\DDI D FO 04 16 6597 UPTO, 20.0 \IGD. IF \\T. GO O\'IX THF\ 5 \DDl D TO :\\\ I HI\G UVL•R. BAWA F•.AS 112nd TAKI: PUT\ I I (• \IGD \11\1\IL \1 04 17 .6921 UP 10 20.0 \IGD, IF WE GO OVER l HF\ 5 ADDI D r0 A\1'Tlll\G OVER. BAWA FAST (2nd FAKL• POI\ 1)f \IGU \11\1\It \1 04 IS 7012 UP TO 20 0 \IGD. IF WI; GO OVER. THEN 5' . \DDI D 10 :\\1 I III\G O\ ER. BAWA L'AS r (2nd FAKF•. POI\ 1 )6 \IGD \11\1\I( \1 04 19 72nS UP TO 20 0 \IGD IF \VL GO OVER. THEN 5",, ADDI D TO A\\ I HING O\ LR BAWA LAS I ( 2nd TAKI: POIN 1 ► 6 \IGD \11\I\I( \( 04 20 7460 UP TO 20 0 \IGU IF WE GO O\ ER. THE\ 5", \DDLD TO AM l HING OVI.R. BAWA EAST 12nd FAKE- POI\ F) 6 \IGU \II\I\IL'.\I 04 21 7373 UP TO 200 \IGD. IF \\'E GO OVFR. THEN 5' . ADDLD 10 :\\1 rHl\G O\ LR BAWA EASI (2nd 'I AKE POINT) 6 \IGD \1:\\I\ILt\I. 0.1 71 9000 UP TO 20.0 \iGD IF WE GO OVER. THEN 5"o ADDI•D TO \NYTHING OVER. BAWA EAST(2nd TAKE POI\T)6 \IGU \1.\.\I.\IUM 04 23 9802 LIP TO 20.0 \IGD. IF \\'li GO O\'ER. l'HEN 5"o ADUFD TO ANYTHING OVER. BA\\':\ EAST (2nd FAKE POINT) 6 \IGD \LA\I\IU\I 04 2.1 9802 UP TO 20.0 \IGD. IF WE GO OVER. THEN 5"o ADDED TO \NYTHI\G OVER. BA\\':\ EAST (2nd TAKE: POINT) 12 TREATED WATER RATES Year Cit\ Rate 1,000 allotts Other Ratel1,000 Gallons Increase- Cih Increase Other Comments 19S l $0.97 $0.97 1985 - 1987 $0.97 S 1.00 SO.00 $0.03 19S8 - 1992 $1.07 S 1.10 S0.10 SO.10 Result of rising operating cost. (Raw water rates tip 25%) 1993 - 1998 $1.18 S 1.21 SO. I 1 S0.11 Result of increase in rats, water rates. 1999 - 2006 S 1.26 S I.29 SO.08 SO.08 t-unding for plant expansion debt 2006-2007 S 1.39 S 1.42 SO.13 SO.13 Funding for nett water line debt and City of Houston rite increase 2007-2008 S1.46 S1.49 SO.07 SO.07 Funding for new water line debt and C'itN of Houston rate increase. 2008.2009 S 1.55 S I.58 SO.09 SO.09 Funding for new water line debt. other operating ineicascs and C'it% of Houston rate increase. 2009-2010 S 1.71 S 1.74 SO.16 S0.16 Funding for ne%% %%ater line debt. other operating mereases and City of Houston rate increase. 2010-201 1 S I.96 $1.99 SO.25 SO.25 Funding fur ne%% eater line debt. other operating increase: and City o Houston rate increase. 2011-2012 S2.15 $2.18 SO.19 SO.19 Funding for nett %cater line debt. other opew ing increases and (,it) o Houston rate increase. 2012-2013 S2 35 S2.39 SO.20 SO.21 Funding for ne%% %%atcr line debt. other operatin.,, uicre.uses and C•it� of Houston rate increase. 2013-2014 S2.53 S2.57 SO.I8 SO.IS Funding for ne%% %%,%ter line debt. other operating increases and C'iq o Huustun rate increase. 2014-2015 S2.61 S2.65 S0 08 SO.08 Funding for ne%% %%ater line debt. other operating incre'lse> and C'iq o Houston rate increase. 2015-2016 S2.74 S2 78 SO.13 SO.13 Funding for ne%% %%atcr line debt. other operating increases and C'it% of Houston rate increase. 2016-2017 S2.74 S2 78 SO.00 SO.00 Excess re%enues are sufficient to cover incremental operating, coat. 2017-201 S S2.7.1 S2.78 S0 00 SO.00 Excess re%enues are sufficient to cover incremental operating cost. 2018-2019 S2.82 S2 86 SON S0.0S Funding for the BAWA East Treatment Plant. other operating increases and C'it% of Houston rate increase. 2019-2020 S2.82 S2 86 SO.00 $0.00 Excess rc%cnucs are sufficient to cover incremental operating cost. 2020-2021 S2.90 S2 95 SO.OS SO.09 Funding for City of Houston rate increase. 2021-2022 S3.03 S3.12 $0.18 $0-17 Per the 2020 BAWA rate study. 2022-2023 S3.26 S3 46 $0.18 $0.34 Per the 2021 BAWA rate study. 2023.2024 S3.46 S3 67 SO 20 SO.21 Per the 2022 BAWA rate study. 2024-2025 $3.65 S3 83 $0 19 $0.21 Per the 2022 BAWA rate study.