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IV.4. Amend 2023-2027 Equipment Replacement Plan; Bishop CITY OF HOPKINS City Council Report 2023-018 To: Honorable Mayor and Council Members Mike Mornson, City Manager From: Nick Bishop, Finance Director Date: February 7, 2023 Subject: Amend 2023-2027 Equipment Replacement Plan _____________________________________________________________________ RECOMMENDED ACTION MOTION TO approve an amendment to the 2023-2027 Equipment Replacement Plan increasing the cost of the log truck by $68,000. OVERVIEW The City Council approved the 2023-2027 Equipment Replacement Plan (ERP) on September 6, 2022. The approved ERP included the purchase of a log truck at an estimated cost of $163,600. Staff has obtained quotes for the purchase of a new truck, which are higher than estimated in the ERP. The difference is price is attributed to supply chain issues and rising inflation. The actual price of the truck will be $231,600, which is a $68,000 increase from the ERP. The estimated trade in value of the current truck is $30,000. The net cost of a new truck after trade in would be a $38,000 increase from projected. The log truck will be funded through equipment certificates as part of the 2023A GO bonds. SUPPORTING INFORMATION • Project Detail for 01-ERP-804 (as amended) • Projected Cashflows (as amended) Finance Department EQUIPMENT REPLACEMENT PLAN City of Hopkins, MN - ERP Contact Public Works Director 2023 2027 thru Department Public Works: Parks/Forestry Description Truck is used for hauling brush and logs in the Forestry department. Current vehicle: 2007 International LP4600 Log Truck (#811) Project #01-ERP-0804 Priority n/a Justification Budget Impact/Other Increased amount by $68,000 from original 2023-2027 ERP to reflect actual cost. Amendment approved on February 7, 2023. Useful Life 15 years Project Name Log Truck Category Vehicles Type Equipment Future Total Project Cost:$591,484 Total2023 2024 2025 2026 2027Expenditures 231,600231,600Vehicles 231,600 231,600Total Total2023 2024 2025 2026 2027Funding Sources 115,800115,800Equipment Replacement Fund 115,800115,800RF - Refuse Fund 231,600 231,600Total Wednesday, February 1, 2023 2023 2024 Beginning Fund Balance 990,652 560,917 Revenues & Other Financing Sources Tax Levy 250,000 250,000 Equipment Charges 709,940 752,536 Sale of Equipment 50,000 35,000 Interest Earnings 9,906 5,609 Equipment Certificates (Bonds)100,800 318,100 Transfer In 220,564 - Total Revenue & Other Financing Sources 1,341,210 1,361,245 Expenditures & Other Financing Uses Current Expenditures 35,600 35,956 Capital Projects Community Services - Activity Center - - Community Services - Information Technology 416,085 255,954 Fire Vehicles & Equipment 156,000 - Police Vehicles & Equipment 948,160 311,500 Public Works: Parks/Forestry 151,200 10,000 Public Works: Streets/Traffic 63,900 318,100 Total Expenditures and Other Financing Sources 1,770,945 931,510 Increase (Decrease) in Fund Balance (429,735) 429,735 Projected Ending Fund Balance 560,917 990,652 Equipment Replacement Fund - Projected Cash Flows As Amended on February 7, 2023