Notice of Public Hearing – Monday, August 26, 2024

Written by Colleen Johnson

August 9, 2024

The Kootenai-Ponderay Sewer District’s governing board will conduct a public hearing on Monday, August 26, 2024, in the meeting room at 511 Whiskey Jack Road at 5:00 p.m. in conjunction with the annual Budget Hearing for the purpose of hearing public comments regarding proposed increases for monthly sewer charges and other fees. The reasons for these actions are that increased operating revenue is needed to meet the operating and maintenance costs of the system, to fund the ongoing depreciation of the system, and to bring other fees more reasonably in line with current costs. The current monthly user rates and proposed rates per equivalent residential unit (ER) are:

Proposed 2024 Rate Increase

Current Monthly RateProposed Monthly Rate
Single Family Residence$54.93$56.58
Residential-Com-per ER$54.93$56.58
Admin/Non-Conn Fees-Per ER$10.49$10.80
Commercial User per ER$73.71$75.92
Industrial User per ER$93.92$96.74
Govt/Non-Profit User per ER$27.50$28.33

Waste Water Plant Upgrades-Bond Revenue Charge per ER Per month – $3.00

NSF-Bad Check charges- the District will increase the fee for checks/money orders and other forms of payment returned to the District to $35.00 for each occurrence to cover bank fees and additional employee time required to process such returned payments.

All interested parties are invited to attend. Written comments must be submitted to the Kootenai-Ponderay Sewer District before the scheduled hearing by either mailing them to P.O. Box 562, Kootenai, ID 83840, delivering them to the District office at 511 Whiskey Jack Road, or electronically mailing them to [email protected]. Additional information is available at the District office or by calling (208) 263-0229.

The public hearing for consideration of the proposed budget revision for the fiscal year ending September 30, 2024, will be held at the District Office located at 511 Whiskey Jack Road, Sandpoint, on Monday, August 26, 2024, at 5:00 p.m. All interested persons are invited to appear and show cause, if any, why such a budget should or should not be adopted. Copies of the proposed revised budget in detail are available for examination at the District office by calling (208) 263-0229. Written responses should be received in the office by 5:00 p.m. Friday, August 23, 2024.

Proposed Budget Revision - FYE September 30, 2024

Anticipated Revenue
Receipts-User Fees$1,346,935.65
Receipts-Miscellaneous, Penalties, Grants$25,500
Receipts-Levy$4,602
Receipts-New User Facility Fees$850,000
Receipts-LID Payments$15,903
Interest Earnings$205,000
Interest Earnings - LID Related$4,000
Transfer from Reserved Funds$66,824.5
Total Anticipated Revenue and Income$2,518,765

Anticipated Expenditures
Capital Expenditures
Buildings and Building Improvements$390,000
Computers and Related, Office Equipment and Furniture$35,000
District Fleet Vehicles$65,000
O&M Equipment and Tools - Large and small$40,000
Lift Station Upgrades$40,000
LAS Upgrades$45,000
Plant and SCADA Upgrades$20,000
WW Plant-New$248,900
Easements-District Lines$100,000
Transfer to Reserves$36,003
Total Anticipated Capital Expenditures$1,019,903
Wages and Payroll Burden
Wages -Employees and Board members$463,500
Payroll Burden-Mandatory$84,000
Payroll Burden-Medical/Dental/Vision$56,050
Operations and Maintenance Expenses
Training, Meals, Mileage, Travel, Uniforms$14,000
Insurance-Liability-Workers Compensation$18,362
Audit, Publishing, Financial Related$11,000
Legal and General Engineering$150,000
Dues, Fees, Licensing, Subscriptions, Public Relations$20,500
One Call System$2,000
Utilities-water, garbage, power$86,800
Telephones-Cell Phones$8,650
Internet Services$4,000
Buildings and Grounds Maintenance$20,000
Plant and SCADA Maintenance$45,000
Equipment Repairs and Maintenance$16,000
Lift Maintenance$30,000
Land Application Expenses$15,000
Manholes, Lines, Inspection Camera Maintenance$190,000
Vehicle-Fleet Expenses$15,000
Bank Service charges and Misc expenses$1,500
Office Supplies, Postage, Cleaning$16,500
Office Equipment, Computer and Related$27,000
Shop Tools, Supplies and Safety supplies$16,500
Disinfection, Odor Control, Lab Testing, Sampling$62,500
Depreciation, Operating replacement$125,000
Total Anticipated Expenditures $2,518,765
Net Anticipated Income$0.00

The public hearing for consideration of the proposed budget for the fiscal year ending September 30, 2025, will be held at the District office at 511 Whiskey Jack Road, Sandpoint. Interested persons are invited to appear and show cause, if any, why such a budget should or should not be adopted. Copies of the proposed budget in detail are available for examination at the District office by calling (208) 263-0229. Written responses should be received in the office by 5:00 p.m. Friday, August 23, 2024.

Proposed Budget - FYE September 30, 2025

Anticipated Revenue
Receipts-User Fees$1,457,665.91
Receipts-Miscellaneous, Penalties, Grants$1,000,000
Receipts-Miscellaneous, Penalties$17,500
Receipts-Levy$4,774.05
Receipts-New User Facility Fees$503,765
Receipts-LID Payments$15,967.20
Receipts-Bond User Revenue$72,576
Interest Earnings$125,000
Interest Earnings - LID Related$4,500
Transfer from Reserved Funds$212,961.84
Total Anticipated Revenue and Income$3,414,710

Anticipated Expenditures
Capital Expenditures
Buildings and Building Improvements$390,000
Computers and Related, Office Equipment and Furniture$45,000
District Fleet Vehicles$65,000
O&M Equipment and Tools - Large and small$40,000
Lift Station Upgrades$30,000
LAS Upgrades$45,000
Plant and SCADA Upgrades$20,000
Easements-District Lines$75,000
WW Plant-New$1,000,000
LAS Upgrades Bone Related$100,000
Transfer to Reserves$72,576
Total Anticipated Capital Expenditures$1,882,576
Wages and Payroll Burden
Wages -Employees and Board members$488,000
Payroll Burden-Mandatory$91,000
Payroll Burden-Medical/Dental/Vision$63,400
Operations and Maintenance Expenses
Training, Meals, Mileage, Travel, Uniforms$14,650
Insurance-Liability-Workers Compensation$21,534
Audit, Publishing, Financial Related$13,000
Legal and General Engineering$150,000
Dues, Fees, Licensing, Subscriptions, Public Relations$20,750
One Call System$2,000
Utilities-water, garbage, power$88,900
Telephones-Cell Phones$8,950
Internet Services$4,250
Buildings and Grounds Maintenance$21,000
Plant and SCADA Maintenance$46,350
Equipment Repairs and Maintenance$16,500
Lift Maintenance$31,000
Land Application Expenses$15,500
Manholes, Lines, Inspection Camera Maintenance$152,600
Vehicle-Fleet Expenses$15,500
Bank Service charges and Misc expenses$1,800
Office Supplies, Postage, Cleaning$16,500
Office Equipment, Computer and Related$30,000
Shop Tools, Supplies and Safety supplies$17,150
Disinfection, Odor Control, Lab Testing, Sampling$66,800
Depreciation, Operating replacement$135,000
Total Anticipated Expenditures $3,414,710
Net Anticipated Income$0.00

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