HomeMy WebLinkAbout1988 10 31 - Rate Increase ApplicationRATE INCREASE APPLICATION
SEBASTIAN LAKES UTILITY COMPANY
TEN MONTHS ENDED OCTOBER 31, 1988 (ANNUALIZED)
SEE ACCOUNTANT'S REPORT
RACHLIN & COHEN
CERTIFIED PUBLIC ACCOUNTANTS
A Panneccdip of Professional As cinrioru
SEBASTIAN LAKES UTILITY COMPANY
RATE INCREASE APPLICATION
TEN MONTHS ENDED OCTOBER 31, 199B (ANNUALIZED)
SEE ACCOUNTANT'S REPORT
PAGE
ACCOUNTANT'S REPORT
OPERATING EXPENSES 2
REVENUE REQUIREMENTS 3
RATE COMPARISON ;-5
RATE TARIFF
6
PRESENT AND PROPOSED IMPACT CHARGES 7
RACHLIN & COHEN
CERTIFIED PUBLIC ACCOUNTANTS
A Partnership of Professional Associations
Penthouse • 1320 South Dixie Highway • Coral Gables, Florida 33146-2964 • (305) 667-0412 (Dade) • (305)525-3608 (Broward)
Fax: 305/665-7456 • Telex: 219744 ICC UR, Code No. 78-3 • Cable: CPAMIAMI
Sebastian Lakes Utility Company
Sebastian, Florida
We have applied certain agreed-upon procedures, as discussed below, to
the accounting records of Sebastian Lakes Utility Company for the ten
months ended October 31, 1988, solely to assist you in connection with
the filing of an application for rate increase with the City of
Sebastian, Florida. It is understood that this report is intended
solely for the filing with the City of Sebastian, Florida and is not
intended for any other purpose. Our procedures were as follows:
1. We obtained, from management, the historical information required
to prepare the enclosed schedules which were requested for filing
by the City of Sebastian.
2. We prepared the enclosed schedules of operating expenses, revenue
requirements, rate comparison, typical bill comparison, rate tariff
and present and proposed impact charges based on the information we
obtained from management.
3. We attended conferences with City of Sebastian officials regarding
the requirements for the enclosed information.
4. We reviewed the Company's franchise agreement and corresponded with
management and the Company's legal counsel regarding our recommended
revisions.
Because the above procedures do not constitute an examination made in
accordance with generally accepted auditing standards, we do not express
an opinion or any other form of assurance on the items referred to
above. In connection with the procedures referred to above, no matters
came to our attention that caused us to believe that the specified
accounts or items should be adjusted. Had we performed additional
procedures or had we made an examination of the financial statements in
accordance with generally accepted auditing standards, matters might
have come to our attention that would have been reported to you. This
report relates only to the accounts or items specified above and does
not expand to any financial statement of the Sebastian Lakes Utility
Company.
Coral Gables, Florida
January 4, 1989
Member of Summit International Associates. Inc. with Offices in Principal Cities Throughout the World
Member of the American Institute of Certified Public Accountants Division for SEC Practice Section and the Private Companies Practice Section
SEBASTIAN LAKES UTILITY COMPANY
OPERATING EXPENSES
TEN MONTHS ENDED OCTOBER 31, 1988 (ANNUALIZED)
SEE ACCOUNTANTS' REPORT
ACTUAL OPERATING EXPENSES
PLUS 6.20% GDU RATE INCREASE
LESS USED AND USEFUL ADJUSTMENTS:
CONTRACTUAL SERVICES
DEPRECIATION EXPENSE USED
AND USEFUL ADJU57MENT
ADJUSTED ACTUAL OPERATING EXPENSES
ANNUALIZED OPERATING EXPENSES
NATER
SEWER
f1�.324
(36,683
554
0
0 (12,000)
46,5591
111,319
115,093
n Z
i
CO`iBIRED
$59.007
JJ4
(12,000)
423,088)
$21,473
$28,631
SEBASTIAN LAKES UTILITY COMPAN%
REVENUE REQUIREMENTS
TEN MONTHS ENDED OCTOBER 31. 1988 (ANNUALIIED)
SEE ACCOUNTANTS' REPORT
In
WATER SEWER COMBINED
-------- --------- --------
NET OPERATING INCOME REQUIRED $1,215 63,232 $4,447
CURRENT OPERATING EXPENSES ANNUALIZED
15,093
13,538
28,631
SUBTOTAL REVENUE REQUIREMENT
16,308
16,770
33,078
RENEWAL AND REPLACEMENT FUND (2.5X)
408
419
827
FRANCHISE TAX 13.0X)
501
516
-------
1,027
--------
TOTAL REVENUE REQUIREMENT
--------
$11,211
--------
--------
$17,105
--------
--------
$34,922
--------
--------
BASE FACILITY REVENUE REQUIREMENTS
$14,500
$15,000
$29,580
CONSUMPTION REVENUE REQUIREMENTS
$2,637
--------
--------
$2,705
--------
--------
$5,342
--------
--------
3
SEBASTIAN LAKES UTILITY COMPANY
RATE COMPARISON
TEN MONTHS ENDED OCTOBER 31, 1989 (ANNUALIZED)
SEE ACCOUNTANTS' REPORT
WATER: BASE FACILITY(0-3)
BASE FACILITY (0)
CONSUMPTION(3-UP)
CONSUMPTION(I-UP)
CONSUMPTION(0-10)
CONSUMF'T10N(10-UP)
SEWER: BASE FACILITY(0-3)
BASE FACILITY (0)
FLAT RATE
CONSUMPTION(3-7500)
CONSUMPTION(l-UP)
TYPICAL BILL COMPARISON
AT 5000 GALLONSIMONTH
WATER: BASE FACILITY.
CONSUMPTION
TOTAL WATER
SEWER: BASE FACILITY
CONSUMPTION
TOTAL SEWER
TOTAL COMBINED CHARGES
SEBASTIAN LAKES UTILITY COMPANY
-------------------------------
PRESENT PROPOSED
$9.1
1!6.88
1.60.
1.52
EENERAL DEVELOPMENT(CITY OF SEBASTIAN)
PRIOR
-----
PRESENT
-------
PROPOSED
--------
$3.10
411.64
f12.36
1.01
1.10
1.17
1.63
!.39
1.47
12.00
17.36
13.50
14.19
1i .00
1.40
1.56
0 95
1.00
$9.00
316.88
$3.10
411.64
$12.36
3.26
7.60
5.45
5.5;
5.B5
12.20
------
24.49
------
8.55
------
1).14
------
18.21
------
12.00
17.36
10.00
13.50
14.19
2.BO
7.80
0.00
4.75
5.00
------
- - -
14.80
------
25.16
------
10.00
------
18.25
19.19
127.00
$49.64
$18.55
$35.39
$37.40
4
SEBASTIAN LAKES UTILITY COMPANY
RATE COMPARISIDN
TEN MONTHS ENDED OCTOBER 31, 1988 IANNUALIIED)
SEE ACCOUNTANTS' REPORT
SEBASTIAN LAKES UTILITY COMPANY GENERAL DEVELOPMENT(CITY OF SEBASTIAN)
----7-------------------------- --------------------------------------
PRESENT PROPOSED PRIOR PRESENT PROPOSED
------- -------- ----- ------- --------
TYPICAL BILL COMPARISON
AT 3000 GALLONS/MONTH
NATER: BASE FACILITY
$9.00
$16.88
$3.10
$11.64
$12.36
I CONSUMPTION
- 0.004.
- 56
-
3.27
3.30
3.51
TOTAL NATER
9.00
------
21.44
------
6.37
------
14.94
------
-
15.87
------
SEWER: BASE FACILITY
12.00
17.36
10.00
13.50
14.19
CONSUMPTION
0.00
------
4.68
0.00
2.85
3.00
TOTAL SEWER
12.00
------
22.04
------
10.00
------
16.35
------
17.19
TOTAL COMBINED CHARGES
$21.00
$43.49
$16.37
$31.29
$33.06
1:
SEBASTIAN LAKES UTILITY COMPANY
RATE TARIFF
TEN MONTHS ENDED OCTOBER 31. 1988 (ANNUALIZED)
SEE ACCOUNTANTS' REPORT
WATER WATER
METER BASE FACILITY GALLONAGE
CUSTOMER CLASS SIZE CHARGE • CHARGE
-------------- ----- ------------- ---------
RESIDENTIAL 5/8' $27.00 $1.52
SEWER SEWER
BASE FACILITY GALLONAGE
CHARGE CHARGE
$27.78 $1.56
COMMERCIAL 5/84
27.00
1.52
27.78
1.56
1'
67.50
1.52
69.45
1.56
1 1/21
135.00
1.52
138.90
1.56
2'
216.00
1.52
222.24
1.56
3'
432.00
1.52
444.48
1.56
4'
575.00
1.52
694.50
1.56
6'
1350.00
1.52
1389.00
1.56
MULTI-
FAMILY BASE FACILITY CHARGE:
(PER UNIT) DETERMINED BY DIVIDING BASE FACILITY CHARGE FOR METER SIZE OF BUILDING BY
NUMBER OF UNITS IN BUILDING
GALLONAGE CHARGE SAME AS RESIS,ENTIAL AND COMMERCIAL
RATES OF COMPANY SHALL BE AUTOMATICALLY INCREASED OR DECREASED WITHOUT HEARING , UPON
VERIFIED NOTICE TO THE CITY OF SEBASTIAN, THIRTY 130) DAYS PRIOR TO I79 1MPLEMEt:TATION
OF THE INCREASE OR DECREASE THAT THE RATES CHARGED BY THE GOVERNMENTAL AGENCY OR DINER
WATER AND/OR SEWER UTILITY THAT PROVIDE ALL Oft A PORTION OF THE UTILITY SERVICE TO THE
COMPANY HAVE CHANGED.
6
SEBASTIAN LAKES UTIL71Y COMPANY
PRESENT AND PROPOSED IMPACT CHARBES
TEN MONTHS ENDED OCTOBER 31, 1988 (ANNUALIZED)
SEE ACCOUNTANTS' REPORT
PRESENT IMPACT FEE
PLANT HELD FOR FUTURE USE
NUMBER OF ERC'S REMAINING
PROPOSED IMPACT FEE PER ERC
f0 f1,U00
1132.972
303.62
$436 $1,000
7