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Figure 2-5 and Figure 2-6 show the projected financial plans with the proposed revenue adjustments for water and <br /> recycled water,respectively. The dotted line represents the proposed revenues with the adjustments applied. <br /> Figure 2-5: Proposed Water Financial Plan <br /> Financial Plan - Water <br /> $60 <br /> (n <br /> o $50 <br /> $40 ��"��___�••_ <br /> $30 <br /> $20 <br /> $10 <br /> $0 <br /> FY 2024 FY 2025 FY 2026 <br /> O&M Expenses Debt Service Rate Funded Capital <br /> ..... Reserve Funding Purchased Water —Current Revenues <br /> ——— Proposed Revenues <br /> Figure 2-6: Proposed Recycled Water Financial Plan <br /> Financial Plan - Recycled Water <br /> $7.0 <br /> cn <br /> o $6.0 <br /> $5.0 <br /> $4.0 <br /> $3.0 <br /> $2.0 fir <br /> $1.0 <br /> $0.0 <br /> FY 2024 FY 2025 FY 2026 <br /> O&M Expenses Debt Service Rate Funded Capital <br /> Reserve Funding Purchased Water —Current Revenues <br /> ——— Proposed Revenues <br /> Figure 2-7 shows the projected debt service coverage for the water utility with the proposed adjustments in Table <br /> 2-19 applied over the Study period.The water utility is expected to meet its debt service coverage target in each <br /> year through FY 2026. <br /> 30 CITY OF PLEASANTON <br />