Page 83 - FY 2022-23 Revenue Outlook
P. 83

REVENUE MONTHLY STATUS REPORT
                                            Franchise Income - Pipelines
                                                       (Thousand Dollars)

                              2018-19   2019-20   2020-21                  2021-22                   2022-23
                MONTHLY      ACTUAL     ACTUAL    ACTUAL    BUDGET   ACTUAL    VARIANCE   REVISED  PROPOSED
                JULY      $         -         -                10   -       -         -          -         -
                AUGUST              -         -                38   -                 3               3               3   -
                SEPTEMBE            -                13   -       -         -         -          -         -
                OCTOBER             -         -         -         -        -          -          -         -
                NOVEMBER            -         -         -         -        -          -          -         -
                DECEMBER            -         -                  7   -     -          -          -         -
                JANUARY                444            309          1,028   -             399           399           399   -
                FEBRUARY            2,491          2,816            479   -          2,343        2,343        2,343   -
                MARCH               1,724          1,316          2,271   -          1,003        1,003        1,003   -
                APRIL                    39   -         -         -                              -         -
                MAY                 -              109   -        -                              -         -
                JUNE               (2,349)        (1,604)           (913)        2,500             (1,348)        2,500
                TOTAL       $         2,349 $          2,958 $          2,921 $        2,500  $        2,400  $         2,500
                % Change         6.9%     25.9%      -1.3%    -14.4%                        -17.8%       4.2%
                             2018-19    2019-20   2020-21                  2021-22                   2022-23
                CUMULATIVE   ACTUAL    ACTUAL     ACTUAL   BUDGET    ACTUAL    VARIANCE   REVISED  PROPOSED
                JULY      $         -         -                10   -       -         -          -         -
                AUGUST              -         -                48   -                 3               3               3   -
                SEPTEMBE            -                13              48   -                 3               3               3   -
                OCTOBER             -                13              48   -                 3               3               3   -
                NOVEMBER            -                13              48   -                 3               3               3   -
                DECEMBER            -                13              55   -                 3               3               3   -
                JANUARY                444            321          1,083   -             402           402           402   -
                FEBRUARY            2,936          3,138          1,562   -          2,745        2,745        2,745   -
                MARCH               4,660          4,453          3,834   -          3,748        3,748        3,748   -
                APRIL               4,699          4,453          3,834   -                     3,748      -
                MAY                 4,699          4,563          3,834   -                     3,748      -
                JUNE                2,349          2,958          2,921        2,500              2,400        2,500

                The pipeline franchise payment is based on the size and length of pipe and an established fee which is adjusted
                for the change in the producer price index. It is also affected by the number of franchisees. Fifty percent of the
                proceeds from this fee are deposited into special accounts for neighborhood improvements in areas impacted by
                petroleum gas pipelines. This account records the balance of gas franchise fees which are deposited into the
                General Fund.
                The 2021-22 and 2022-23 estimates were provided by the Board of Public Works and are within average of
                recent receipts.


























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