MVWD Financial Dashboard $350,000 $250,000 $150,000 $50,000 $0 $50,000 $150,000 Net Income From Operations July Aug Sept Oct Nov Dec Jan Feb Mar Apr May June FY16 $147,90 $319,57 $116,60 $113,82 $58,073 $28,939 $7,513 $1,237 $34,97 $35,179 $26,12 $71,20 FY17 $318,50 $91,652 $238,81 $139,67 $89,441 $36,373 $19,750 $14,84 $81,98 $31,067 $85,921 $8,947 FY18 $371,62 $120,56 $202,16 $181,16 $78,089 $54,070 $5,883 $39,947 $11,039 $100,80 $17,16 $48,50 FY19 $220,02 $120,61 $168,00 $174,73 $85,609 $102,55 $14,82 $36,608 Thousands $5 $3,879 $1,180 $555 $230 $2,609 $763 $328 $77 FY19 BUDGET VS. ACTUAL Actual Budgeted $190 $48 $40 $35 $113 $40 $10 $138 $22 $34 $13 $5 $5 $6 $509 $330 FY19 Cash General Checking/Savings $3,744,136 Restricted Accounts $440,149 Fixed Asset $106,898 Arsenic Media $151,336 Infrastructure $536,744 Water Resources $100,973 Designated Funds $277,560 Six Months Operating $1,520,000 $1,520,000 $277,560 $100,973 $536,744 $151,336 $440,149 $106,898 FY19 Cash $3,744,136 General Checking/Savings Restricted Accounts Fixed Asset Arsenic Media Infrastructure Water Resources Designated Funds $0 $500,000 $600,000 $700,000 Cashflows July Aug Sept Oct Nov Dec Jan Feb Mar Apr May June FY16 $115, $299,3 $95,55 $80,80 $304, $121, $34,4 $70,0 $286, $197, $59,15 $238,9 FY17 $86,4 $184,7 $149,2 $142,2 $73,50 $2,251 $443, $5,61 $48,2 $29,35 $73,00 $228,6 FY18 $118, $60,95 $207,4 $43,69 $125, $89,98 $483, $17,17 $9,90 $127,8 $134,1 $221,1 FY19 $121, $178,1 $155,8 $164,1 $84,02 $122,4 $573, $40,51
REVENUE FY16 FY17 FY18 FY19 $450,000 $350,000 $250,000 $150,000 $50,000 $- July August September October November December January February March April May June FY16 $306,505 $306,630 $364,595 $281,609 $267,040 $196,601 $178,921 $170,185 $205,255 $207,613 $220,089 $290,102 FY17 $319,569 $336,749 $387,336 $300,352 $294,583 $220,090 $208,364 $174,599 $180,976 $224,797 $280,771 $322,231 FY18 $357,075 $414,238 $352,175 $376,980 $281,000 $243,337 $237,491 $204,408 $209,285 $260,657 $266,475 $352,473 FY19 $420,389 $379,302 $370,907 $396,845 $286,144 $249,851 $242,269 $214,789
Moapa Valley Water District OVERALL BUDGET REPORT Water Fund - 07/01/2018 to 02/28/2019 66.67% of the fiscal year has expired 2019 BUDGETED NET INCOME / LOSS INCOME FROM OPERATIONS OPERATING REVENUE Water Sales 3,620,000 2,560,496 70.73% 1,059,504 Connection Fees 6,000 48,482 808.03% (42,482) 340A Project 252,994 - - 252,994 Total OPERATING REVENUE 3,878,994 2,608,978 67.26% 1,270,016 OPERATING EXPENSE Wages & Salaries 1,180,000 763,399 64.69% 416,601 Employee Benefits 555,000 327,614 59.03% 227,386 Resource/Develop & Protect 230,000 76,586 33.30% 153,414 Regulatory Compliance 40,000 21,782 54.46% 18,218 340A Project 10,000 4,782 47.82% 5,218 Dist System - Operation 35,000 13,103 37.44% 21,897 Dist System - Maint. 190,000 138,037 72.65% 51,963 Production Operations 112,500 4,801 4.27% 107,699 Production Maintenance 40,000 5,619 14.05% 34,381 Customer Account Expenses 48,000 34,450 71.77% 13,550 General & Administrative 508,500 329,582 64.81% 178,918 Depreciation 740,000 - - 740,000 Total OPERATING EXPENSE 3,689,000 1,719,755 46.62% 1,969,245 Total INCOME FROM OPERATIONS 189,994 889,223 468.03% (699,229) NON-OPEARATING ITEMS NON-OPERATING INCOME Interest Earned 6,000 13,971 232.85% (7,971) 2nd Water Phase 1 23,500 22,638 96.33% 862 340A Contract - 52,994 - (52,994) Capacity Fee 8,000 60,967 762.09% (52,967) 1/4-Cent Sales Tax 280,000 166,749 59.55% 113,251 Other Non-Operating revenues 27,500 31,106 113.11% (3,606) Total NON-OPERATING INCOME 345,000 348,425 100.99% (3,425) NON-OPERATING EXPENSE Interest Expense 191,329 191,329 100.00% - Bank/Paying Agent Fees - 25 - (25) Vanguard 2,000 1,565 78.25% 435 Other Non-Operating expense 10,000 4,371 43.71% 5,629 Total NON-OPERATING EXPENSE 203,329 197,290 97.03% 6,039 Total NON-OPEARATING ITEMS 141,671 151,135 106.68% (9,464) Total NET INCOME / LOSS 331,665 1,040,358 313.68% (708,693) YTD % OF BUDGET EXPENDED REMAINING BALANCE INTENDED FOR MANAGEMENT USE ONLY Page 1 4/1/2019 01:25 PM
Water Level in Feet Assistant General Manager Report March Arrow Canyon #2 pumped 29,627,000 gallons Baldwin Springs pumped 12,968,000 gallons Total = 42,595,000 gallons 0 Arrow Canyon #1 Well Level 10 20 30 40 50 60 2017 2018 2019 2020 2021 2022 2023 70 JAN FEB MAR APR MAY JUN JUL AUG SEP OCT NOV DEC Meter Installs March. (1) one banked 5/8-3/4 Total for CY 2019 = 5 standard residential 3/4" Installed (2) two banked meters
General Manager s Report April 2019 ************************************************************************************* LWRFS Ongoing discussions with the MOA stake holders, the State Engineers office and other water right holders in the lower white river flow system continues to dominate most of the management team s time. SB236 The District s bill sponsored by Senators Goicochea, Brooks, and Hansen passed the Senate Natural Resources Committee unanimously on 28 th with the amendment we wanted to clarify that you could cross property lines as long as you own the property. It is likely to pass the full senate this week and then we will be off to the Assembly. Clark County Lands Bill Language Below is the District s language for the proposed Southern Nevada Lands Bill SEC. 504. MOAPA VALLEY WATER DISTRICT, NEVADA. (a) IN GENERAL. Notwithstanding the land use planning requirements of sections 202 and 203 of the Federal Land Policy and Management Act of 1976 ( 43 U.S.C. 1712, 1713), upon the request of the appropriate local governmental entity, as described below, the Secretary shall convey the following parcels of public land without consideration, subject to the provisions of this section: (1) Moapa Valley Water District Facilities. The parcels as generally depicted on the map entitled Moapa Valley Water District Facilities and Land Conveyances dated February 22, 2019 to Moapa Valley Water District, Nevada, for construction, operation and maintenance of critical water conveyance infrastructure necessary to supply water to the communities of Logandale, Overton, Glendale and/or Moapa. (b) MAP AND LEGAL DESCRIPTIONS. As soon as practicable after the date of enactment of this Act, the Secretary shall finalize legal descriptions of the parcels to be conveyed under this section. The Secretary may correct any minor errors in the map referenced in subsection (1) or in the applicable legal descriptions. The map and legal descriptions shall be on file and available for public inspection in the appropriate offices of the Bureau of Land Management. (c) REVERSION. (1) In general. If any parcel conveyed under this section ceases to be used for the public purpose for which the parcel was conveyed, as described in subsection (1), the land shall, at the discretion of the Secretary based on his determination of the best interests of the United States, revert to the United States. (2) Responsibility of local governmental entity. If the Secretary determines pursuant to paragraph (1) that the land should revert to the United States, and if the Secretary determines that the land is contaminated with hazardous waste, the local governmental entity to which the land was conveyed shall be responsible for remediation of the contamination.