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File #: 19-1496    Version: 1
Status: Agenda Ready
File created: 4/15/2019 In control: Board of Public Utilities
On agenda: 5/13/2019
Title: Recommend that the City Council approve the Electric Funds (including Public Benefits Fund) proposed FY 2019-20 budget amendments comprising of $3,309,000 reduction in revenues as detailed in Attachment 1 and $7,266,300 increase in expenditures as detailed in Attachment 2, authorize the use of the Electric Fund Designated Capital Repair/Replacement Reserve for heavy-duty vehicle replacements in the amount of $2,400,000, and approve the Water Funds (including Water Conservation Fund) proposed FY 2019-20 budget amendments comprising of $7,830,088 increase in expenditures as detailed in Attachment 4 as part of the Riverside Public Utilities Mid-cycle budget adjustments for FY 2019-20 - (presentation by Aileen Ma)
Attachments: 1. Report, 2. Electric FY 2019-20 Proposed Revenue Adjustments, 3. Electric FY 2019-20 Proposed Expenditure Adjustments, 4. Electric Fund Five-Year Financial Plan, 5. Water FY 2019-20 Proposed Expenditure Adjustments, 6. Water Fund Five-Year Financial Plan, 7. Presentation