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5.02e EMRUSR 11-12-2024Elk River Municipal Utilities Business Plan/Budget 2025 Water Department Capital Budget Water Capital. Construction Needs Cost Description $ 175,000 Well #3 Generator $ 20,000 Well#6 Rehab $ 1,200,000 New Well #10 Reserves $ 1,200,000 New Well #11 Reserves $ 100,000 Facility Repair (Capital) $ 400,000 Freeport Booster Station Reserves $ 35,000 Gary St Tower Wash Outside of Tower $ 15,000 Placeholder for undetermined projects $ 39,500 SCADA upgrades $ 150,000 Fiber - Meadowvale & Freeport Boosters, Well #6 Reserves $ 600,000 AMI Reserves $ 185,000 Hwy 169 Redefine Reserves $ 1,450,000 Water Main Construction (Upland/Meadowvale & City Rd project) Reserves Subtotal $ 5,569,500 Capital Equipment Needs Cost Description $ 3,200 Shared Equipment $ 130,000 Trucks #3 and Additional Truck for Water Dept. $ 32,255 Water share of Administration $ 750 Water Share of Technical Services Subtotal $ 163,005 Totat Capital $ 5,735,705 Water Noteworthy Non -Recurring Expenses Cost Description $ 10,300 Computers, iPads $ 10,000 Meters/ERT $ 10,000 Tools $ 59580 Water share of Administration $ 825 Water share of Technical Services Total $ 369705 104