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Mission: Instill public confidence through exceptional customer service
in a transparent, professional manner.
Fiscal Year 2018 Budget
July 1, 2017 - June 30, 2018
City of
Riverton, WY
Navigating the Budget Document
From the Table of Contents, click on the section or page number for the section you would like to view, the link will take you directly to the beginning page of the section.
Click on the page number at the bottom of any page to return to the Table of Contents.
TABLE OF CONTENTS
SUMMARY
General Summary .......................................................................................................... i
REVENUES
General Fund ..................................................................................................................1
Water Fund.....................................................................................................................4
Wastewater Fund ...........................................................................................................5
Sanitation Fund ..............................................................................................................6
Airport Fund...................................................................................................................7
EXPENDITURES
General Fund
Mayor/Council .........................................................................................................8
Community Services ................................................................................................9
City Administrator .................................................................................................10
Municipal Court .....................................................................................................11
Administrative Services .........................................................................................12
Information Technology ........................................................................................13
Facility Maintenance ..............................................................................................14
Law Enforcement ...................................................................................................15
Fire .........................................................................................................................17
Public Works ..........................................................................................................18
Streets & Alleys .....................................................................................................19
Fleet Management ..................................................................................................20
Weed & Pest Control .............................................................................................21
Parks Department ...................................................................................................22
Community Development ......................................................................................23
Operating Transfers ...............................................................................................24
Water Fund
Water Debt Service ................................................................................................25
Water Customer Services ......................................................................................26
Water Production ...................................................................................................27
Water Distribution .................................................................................................28
Water Administration.............................................................................................29
Wastewater Fund
Wastewater Debt Service .......................................................................................30
Wastewater Customer Services..............................................................................31
Wastewater Treatment Plant ..................................................................................32
Wastewater Collection ...........................................................................................33
Wastewater Administration ...................................................................................34
Sanitation Fund
Sanitation Customer Services ................................................................................35
Sanitation Operations .............................................................................................36
Sanitation Administration ......................................................................................37
Sanitation Tub Grinder Operations ........................................................................38
Sanitation Curbside Recycle ..................................................................................39
Airport Fund
Airport Debt Service ..............................................................................................40
Airport Division .....................................................................................................41
DCI Building ..........................................................................................................43
OTHER FUNDS
Economic Development Fund................................................................................44
One Percent Fund ...................................................................................................45
911 Fund ................................................................................................................46
Air Service Division ..............................................................................................47
Senior Citizen & Community Center Endowment Fund .......................................48
Riverton Rendezvous .............................................................................................49
CAPITAL PLAN
Capital Improvement Program ...............................................................................50
Governmental funds focus on inflows and outflows of current financial resources. Most inflows are reported as revenues. The revenues
recorded by the City of Riverton General Fund amount to approximately $11,990M, an increase of $4,256M from prior year. This large
increase is mainly attributed to revenues received from grants and intergovernmental agreements to fund the North Federal Boulevard
Reconstruction Project.
The valuation of property in the City is determined by the Fremont County Assessor. The property tax is influenced by two factors:
increases in assessed valuation and new construction. The City anticipates a 2% increase this year for an approximate projection of
$388,000 for this fiscal year. Discussions with the County Assessor have indicated that there will be a decrease in total assessed value.
However, most of the significant decreases in property taxes in Fremont County will happen outside our corporate limits as the city is
not directly impacted from the oil and gas industry like the County would be. The County Assessor projected a 4% increase in
residential and commercial personal property. This is the primary area of revenue impacting the City. Therefore, a 2% increase in
revenue projections is a reasonable assumption.
Sales and use taxes are the largest sources of revenue for the General Fund. These amounts make up about 31% of the operating
revenue received or approximately $2,000,000 for FY18. This is an increase of 11% from prior year. There is roughly a 70/30 split
between state and local government of sales and use tax revenue generated on a sales transaction in Fremont County, and of that 30
percent the City receives 28%. Other taxes critical to the general fund in order to provide essential services to our residents are
gasoline, special fuel, cigarette, mineral royalty, and severance for a total of $1,580,593, an increase of 1% from prior year.
Supplemental funding adjusted by the state and used for capital projects or one-time only expenses, total $1,182,000 which is the same
as the prior year projection. Staff’s recommendation for items committed to supplemental funding this year is General Fund Capital
projects in the amount of $947,700; the major portion of the capital project requirements is due to the upcoming North Federal Project.
The City’s portion of the project is split between several funds, and the General Fund obligation is $738,118. The remaining
supplemental funding will support Contracts for Services in the amount of $342,250 and Airport Capital in the amount of $47,132. The
balance requirement of $155,082 to complete capital project requests will come from cash reserves.
The City imposes fees (franchise fees) on gas, electric, and cable television companies for the privilege of using City streets and
pipelines. The amount projected this year is approximately $910,000, (1% greater than last fiscal year) from entities such as Qwest,
Rocky Mountain Power, Charter, High Plains Power and Black Hills Energy.
Licenses and Permits collected amount to $145,200 for FY18 which is a decrease of approximately $51,050 from prior year. This due to
a decline in building and encroachment fees generated from new construction. Licenses and Permit Fees include liquor licenses,
contractor registrations, permits for construction of residential and commercial/industrial structures, encroachments,
professional/occupational permits, etc. We are not anticipating significant new construction as we have in prior years and have
adjusted the revenues accordingly.
The balance of the revenue collected consists of grants (federal, state, county, local), property assessments, and intergovernmental
agreements.
The airport subsidy, which is general fund reserves, will require $300,856 this upcoming fiscal year which is a decrease of $227,825
from prior year.
General Fund Revenues
1
General Fund Revenues
2
General Fund Revenues
3
In governmental accounting, a fund that provides goods or services to the public for a fee that makes the entity self-supporting is
known as an enterprise fund.
The Water Fund as an Enterprise Fund is used to report any activity for which a fee is charged to external users for goods and services.
This specific fund is established to track user fees to comply with the following criteria based upon GASB 34 (Governmental Accounting
Standards Board):
1) Debts due to capital projects
2) Legal requirements to recover cost of providing services (including capital costs and debt service)
3) Policy decision designed to recover costs through rate increases and additional services provided.
The revenue for the Water Fund for FY17-18 consists mainly of $2.637M dollars for user fees, irrigation fees, tap fees, standpipe fees,
etc. The City currently bills and average of 4,321 customers per month for water fees. The balance of the projected revenue includes
grants and/or loans ($696,900) to help fund capital projects like the Riverton Water Supply Project and North Federal Reconstruction
Project. This year transfers from reserves for capital projects are anticipated at $220,750. The funds are on hand and have been
assigned specifically for the North Federal Project. Operationally, revenues are projected to exceed expenses by $67,085. This balance
is budgeted as a transfer to reserves.
In April 2017, the City Council passed a resolution for a 6% increase to water user rates. This is the first rate raise approved since 2014.
However, there has been a significant decline in revenues generated from plant investment, new construction fees, and revenue from
grants and intergovernmental agreements. Overall, the Water Fund will see decrease of 16% from prior year projections.
Water Fund Revenues
4
In governmental accounting, a fund that provides goods or services to the public for a fee that makes the entity self-supporting is
known as an enterprise fund.
The Sewer Fund as an Enterprise Fund is used to report any activity for which a fee is charged to external users for goods and services.
This specific fund is established to track user fees to comply with the following criteria based upon GASB 34 (Governmental Accounting
Standards Board):
1) Debts due to capital projects
2) Legal requirements to recover cost of providing services (including capital costs and debt service)
3) Policy decision designed to recover costs through rate increases and additional services provided.
The revenue for the Wastewater Fund for FY17-18 consists mainly of $1.95M dollars for user fees, septic dump fees, tap fees, bio-solid
sales, etc. The City currently bills 4,565 customers per month for sewer fees. The balance of the projected revenue includes grants
and/or loans ($662,250) to help fund the North Federal Reconstruction Project. This year, transfers from cash reserves for capital
projects are anticipated at $220,750. The funds are on hand and have been assigned specifically for this project. Operationally,
revenues are projected to exceed expenses by $20,359. This balance is budgeted to be transferred to cash reserves.
In April 2017, the City Council passed a resolution for a 3% increase to wastewater user rates. This is the first rate raise approved since
2014. With the rate increase and added revenues from grants and intergovernmental agreements, the Wastewater Fund will see an
overall increase of 5% over prior year projections.
Wastewater Fund Revenues
5
In governmental accounting, a fund that provides goods or services to the public for a fee that makes the entity self-supporting is
known as an enterprise fund.
The Sanitation Fund as an Enterprise Fund is used to report any activity for which a fee is charged to external users for goods and
services. This specific fund is established to track user fees to comply with the following criteria based upon GASB 34 (Governmental
Accounting Standards Board):
1) Debts due to capital projects
2) Legal requirements to recover cost of providing services (including capital costs and debt service)
3) Policy decision designed to recover costs through rate increases and additional services provided.
The revenue for the Sanitation Fund for FY17-18 consists of $2.514M dollars from user fees, solids handling fees, mulch sales, extra
rollouts, etc. The City currently bills 4,269 customers per month for sanitation fees. The balance of projected revenue involves revenue
of $37,500 from a State Grant for Landfill Mediation.
In April 2017, the City Council passed a resolution of a 3% increase to sanitation user rates. This is the first rate raise approved since
2014. With the rate increase and added revenue from the grant, the Sanitation Fund will see an overall increase of 5% over prior year
projections.
Sanitation Fund Revenues
6
The Airport Fund is used to report any activity for which a fee is charged to external users for goods and services. This specific fund is
established to track user fees to comply with the following criteria based upon GASB 34 (Governmental Accounting Standards Board):
1) Debts due to capital projects
2) Legal requirements to recover cost of providing services (including capital costs, depreciation and debt service)
3) Policy decision designed to recover costs through rate increases and additional services provided.
The Airport Fund revenue generated from lease agreements total $175,500. This represents a 14% increase from FY16-17. The fund
also, collects special aviation fuel taxes in the amount of $6,500 and cargo landing fees in the amount of $5,500. Riverton Regional
Airport has requested $50,000 from Fremont County to support operations and capital projects at the airport, but the request is still
awaiting approval. Funding provided by the county in the most recent 3 years has steadily declined. The balance of the projected
revenue originates from grants used to help pay for capital investments, such as the A.R.F. Building Expansion and Equipment (fire truck
and mower), General Aviation Apron Design, Taxiway D Signage and the purchase of snow removal equipment. An annual subsidy from
General Fund reserves also supports the balance of revenue required for operations only. FY17-18 projects a subsidy of $300,856
which is a decrease of $195,666 from prior year.
Airport Fund Revenues
7
Mayor & City Council Highlights: This budget reflects a 13% decrease due to the removal of beautification projects and a 75%
decrease in Council Contingency (per Mayor Baker).
Function: Instill public confidence through exceptional customer service in a transparent, professional manner by adopting legislation
and providing policy direction for the City organization
Mayor and City Council
FY 2015 FY 2016 FY 2017 FY2018
Full Time Positions
Mayor 1 1 1 1
Council Member Ward I 2 2 2 2
Council Member Ward III 2 2 2 2
Council Member Ward III 2 2 2 2
8
Function: The City of Riverton contracts with nine (9) community services agencies: Youth Services, Volunteer Firemen, Volunteers of
America, Good Samaritan Center, PAWS, Childrens Advocacy Project, Chamber of Commerce, Injury Prevention Resources, CWC/”R”
Recreation. The City has contracts with each of these agencies that indicates the services the organization will provide due to city
funding.
Community Services Highlights: This fiscal year $342,250 was allocated to nine (9) agency line items within the City budget. This
reflects an increase of $6,270 from the previous year. In the previous year, all Community Service agencies supported by the City
received a ten percent (10%) decrease in funding. Due to the significant decrease in funding to the Good Samaritan Center in FY 16-17,
the City agreed to waive all city utilities (water, sewer, and sanitation) to the center. The utility waiver for this agency will be granted
again in FY17-18. All of the funding for contract service requests is taken out of supplemental funding from the State of Wyoming. The
City historically has funded third party requests from supplemental funds and the remaining balance is used in capital projects in the
general fund.
Community Services
9
Function: The City Administrator’s role is to provide leadership, support, coordination and oversight to all day-to-day operations of city
government; and to initiate and implement the goals and policies set forth by the governing body of the City of Riverton.
City Adminstrator Highlights: This cost center is supported in total by General Fund revenues. The proposed expenditures indicate an
overall decrease of 22% due to the current recruitment of a permanent City Administrator. The interim position is significantly less and
does not earn benefits, which is a significant savings to the city (i.e. health insurance, retirement, etc.). The only increase to a line item is
the replacement of the current work station pursuant to Information Technology’s six year replacement program.
City Administrator
10
Function: The Administrative Services Department is a dedicated team of professionals who provide personalized service and proactive
solutions with fairness and consistency to all.
Municipal Court Highlights: The Municipal Court’s expenditure budget saw a 6% increase from prior year budget. The City
experienced a vacancy in the prior fiscal year. This was an anticipated retirement of a long term employee. Due to cost containment
measures, a replacement was not immediately hired. This position has since been filled and the overall budget impact has been
minimal.
Municipal Court
FY 2015 FY 2016 FY 2017 FY2018
Full Time Positions
Judge 1 1 1 1
Court Clerk 1 1 1
Deputy Court Clerk 1 1 1 1
11
Administrative Services Highlights: This department is funded solely by general fund operations (i.e. taxes, permits, etc.). The FY18
budget indicates an overall decrease of 26% due to positions not being replaced in the prior year and a restructure of the department.
Cross-training opportunities will continue to be provided in the event another potential restructure happens in the near future. An
overall 15% rate discount was received from the Wyoming Local Government Liability Pool and is reflected in the insurance line item as
a decrease. This expense is also shared with the enterprise funds (water, wastewater, & sanitation).
Function: The Administrative Services Department is a dedicated team of professionals who provide personalized service and proactive
solutions with fairness and consistency to all.
Administrative Services
FY 2015 FY 2016 FY 2017 FY2018
Full Time Positions
Admin Svc Dir 1 1
Finance Director 1 1 1
Deputy City Clerk/HR 1 1 1
City Clerk/HR 1
City Secretary 1 1 1 1
12
Function: The Information Technology Department continually strives to provide the most appropriate level of service to all our
customers in a dedicated and professional manner, seeking to balance the demands of technological advancement and cost
effectiveness in all aspects of our operations.
Information Technology Highlights: The IT division will see several changes to line items this year. The Computer line item will
experience several renewals this fiscal year due to security maintenance, licensing and essential equipment support. By subscribing to a
three-year cycle for its SPAM system for example (which blocks approximately 50K e-mail per month), the city will see a higher cost this
fiscal year due to its renewal, but an overall budget savings. There is also a large increase to Vehicle & Equipment Maintenance. This is
due to regular scheduled maintenance of a bucket truck. The maintenance of this equipment is budgeted as a three-way split between
IT, Streets & Alleys and Parks and ensures the truck is properly serviced and the boom is recertified. Finally, there is an increase to the
Safety line item. This increase is necessary to purchase safety equipment unique to the Air Fiber Ring capital project.
Information Technology
FY 2015 FY 2016 FY 2017 FY2018
Full Time Positions
Network Adminsitrator 1 1 1 1
Network System Analyst 1 1 1 1
IT Technician I 1 1 1 1
13
Function: The mission of the Facility Maintenance Division is to provide an effective, efficient and proactive building maintenance
program for a clean, healthy and safe working and social environment for the community, employees and tenants.
Facility Maintenance Highlights: The Facility Maintenance Division recognized a decrease in last fiscal year due to not replacing a
custodial position. Fiscal year 2018 indicates a slight increase due to filling that position. Line items for Janitorial Supplies and Building
Maintenance increased due to Facility Maintenance absorbing costs of all facilities i.e. City Hall, Public Works and the Airport. Line items
were decreased for Office Supplies and Tools & Supplies and also for Electricity due to Rocky Mountain Power announcement of lower
rates.
Facility Maintenance
FY 2015 FY 2016 FY 2017 FY2018
Full Time Positions
Bldg Maint Supervisor 1 1 1 1
Bldg Maint Technician 1 1 1 1
Custodian 3 3 3 3
14
Function: To provide effective and efficient police service to the members of our community while maintaining high standards of
professionalism, honesty, and integrity.
Law Enforcement Highlights: The Police Department is showing a budget increase in the coming year of 10%. The majority of this
increase comes from turnover which occurred in FY 2016-2017, and positions were replaced with officers attending the Wyoming Law
Enforcement Academy. Additionally, specific increases include: an increase to Firearms Supplies and Travel and Training expenses due
to a change in training expenses at the Wyoming Law Enforcement Academy; an increase in the Computer line item to allow for the
maintenance and system upgrades on mobile data terminals; an increase in Investigation Supplies due to the creation of a CST (Crime
Scene Team); and an increase in Housing Prisoners due to the fee owed to the Fremont County Sheriff’s Department for housing
prisoners arrested by the police department and charged with a city ordinance or city warrant.
Law Enforcement
FY 2015 FY 2016 FY 2017 FY2018
Full Time Positions
Chief 1 1 1 1
Captain 2 2 2 1
Sergeant 6 6 6 6
Detective 3 3 3 3
Officer 16 16 16 16
Admin Supervisor 1 1 1 1
Lead Dispatcher 1 1 1 1
Dispatcher 7 7 7 7
PD Clerk 1 1 1 1
Animal Control 1 1 1 1
Investigative Tech 1 1 1 1
Ombudsman 1 1
15
Law Enforcement
16
Fire Division: An agreement was signed between the City of Riverton and the Riverton Volunteer Fire Department in April, 1972. The
terms of the agreement states that the City agrees to pay $2.50 towards each active member’s retirement contribution not to exceed
47 members. Presently, the city pays an annual amount of $2000 - $3000 for the fire department pension contribution and the
individual amount has been changed through the years to reflect $7.50 for each member as of this current fiscal year. We pay on a
quarterly basis and reimburse the Riverton Volunteer Fire Department based on a report that indicates the number of active members.
As a side note, we also consider the Riverton Volunteer Fire Department as a Contract for Service and contribute $10,000 to them
annually from supplemental funding.
Fire Division
Expenditures
Fireman Pension $ 1,700 $ 2,655 $ 2,903 $ 2,300 126 $ 3,000 _________
_
$ 3,000
Total 1,700$ 2,655$ 2,903$ 2,300$ 126% 3,000$ 3,000$
FY 2015
Actual
FY 2016
Actual
FY 2017
Actual
FY 2017
Budgeted
% Exp
FY 2017
Prelim.
Budget FY
2018
Budget
Changes
Final Budget
FY 2018
17
Function: The mission of the Public Works Department is to provide leadership and support to each of the public works related
divisions working for the City of Riverton. It further strives to instill public confidence through exceptional customer service in a
transparent, professional manner.
Public Works Highlights: The Public Works Department cost center exhibits a 6% increase in FY18. The most significant increase is
reflected in the health insurance line item. A new computer for the Public Works Secretary is also reflected in the increase. This
computer is budgeted in both general and enterprise fund cost centers. Decreases are exhibited in Office Supplies, Janitor Supplies, and
Postage line items.
Public Works
FY 2015 FY 2016 FY 2017 FY2018
Full Time Positions
Public Works Director 1 1 1 1 50%
Public Works Secretary 1 1 1 1 50%
18
Function: The mission of the Streets & Alleys Division is to maintain and improve the transportation network that supports our
community’s ability to work, live, and recreate.
Streets & Alleys Highlights: The Streets and Alleys Division exhibits a 3% budget decrease in FY18. Significant decreases are reflected
in the Overtime, Health Insurance, Vehicle & Equipment Maintenance, Tools & Supplies, Electricity, and Building Maintenance line
items. Outside of the Health Insurance line item, these decreases were made to reflect expenditure patterns from previous fiscal years.
The Health Insurance line item was adjusted due to a change in how the Operations Division Manager and Streets & Alleys Supervisor
are compensated. These positions are budgeted between multiple General Fund and Enterprise Fund cost centers and the FY18 budget
reflects a change in how the positions are allocated. The division exhibits an increase to Painting & Supplies and the creation of a
Computer Supplies line item. The addition of this line item will enable network upgrades to the Public Works administrative offices.
Streets & Alleys
FY 2015 FY 2016 FY 2017 FY2018
Full Time Positions
Operations Division Mngr 1 1 1 1 25%
Operations Division Foreman 1 1 1
Streets/Alleys Supervisor 1 75%
Equipment Operator 3 3 3 3
Laborer 2 2 2 2
Seasonal 2 2 2
19
Function: The mission of the Fleet Maintenance Division is to perform preventative maintenance and light to moderate repair services
on the working equipment of the City of Riverton.
Fleet Maintenance Highlights: The Fleet Maintenance Division exhibits a 21% increase in FY18. This is largely due to the addition of
the Fleet/Sanitation Supervisor position. The division was previously supervised by the Assets Division Manager, who retired in FY 16.
The Assets Division Manager position was not replaced in FY17 and was ultimately eliminated. The Building Maintenance line item was
increased to accommodate necessary repairs to the heating system in the fleet building. These repairs will be split between multiple
cost centers (Fleet Maintenance, Water Distribution, Wastewater Collection, and Sanitation Operations).
Fleet Maintenance
FY 2015 FY 2016 FY 2017 FY2018
Full Time Positions
Asset Division Manager 1 1
Fleet/Sanitation Supervisor 1 16.60%
Operations Division Manager 1 25%
Mechanic Foreman 1 1 1 1
Mechanic 1 1 1 1
20
Function: The mission of the Weed & Pest Division is to provide physical and technical support for the management of weeds and pests
to protect the City of Riverton as a pristine place to work and reside.
Weed & Pest Highlights: The Weed & Pest Division exhibits a 30% increase in FY18. This increase is solely attributed to personnel
related expenditures. Specifically, the budget reflects a change in how the Streets & Alleys Supervisor is compensated between the
Streets & Alleys and Weed & Pest cost centers. Expenditures for Laboratory Supplies, Gas & Oil, Diesel, and Travel &Training were
decreased to match spending patterns from FY17. 75% of this budget is reimbursed by Fremont County Weed & Pest.
Weed & Pest
FY 2015 FY 2016 FY 2017 FY2018
Full Time Positions
PW Secretary 1
Streets/Alleys Supervisor 1 25%
Laborer 1 1 1 50%
Seasonal 2 2 1 1
21
Function: The mission of the Parks Division is to maintain the City of Riverton park system in exceptional condition for recreational and
social use by the residents of the city.
Parks Division Highlights: The Parks Division exhibits a 13% increase in FY18. Significant increases are reflected in the
Unemployment, Computer Supplies, and City Park Water Feature line items. The Computer Supplies line item increase relates to IT
upgrades and the City Park Water Feature is associated with the construction of a splash pad feature. Expenses for this feature will be
offset with community generated funds and grants. The Contract Services, Electricity, and Recruitment line items were decreased to
reflect expenditure patterns from previous fiscal years. Expenditures related to the State Forestry Grant were not included in the FY18
budget since the Riverton Tree Board has not yet applied for said grant.
Parks
FY 2015 FY 2016 FY 2017 FY2018
Full Time Positions
Parks Supervisor 1 1 1 1
Equipment Operator 3 3 1 1
Laborer 2 2 4 5
Seasonal 4 4 3 3
22
Function: To promote the general health, safety, and welfare of the citizens of Riverton, to provide quality services to assist the citizens
with Code and Permit Processes and Planning and Zoning Processes, to work with owners, developers and contractors in achieving their
goals, and to work with other City departments for a coordinated effort toward excellence in customer service.
Community Development Highlights: The FY18 budget indicates an overall decrease of 7% due to personnel changes and a
reduction in line items for Gas & Oil, Vehicle and Equipment Maintenance, Tools & Supplies and Advertising. The line item for 3rd party
Plan Reviews was also reduced and this line item is offset by revenue from the permit applicant. The line item for Books will be partially
offset by contractors purchasing code books for the new ICC Building Codes that were adopted this year.
Community Development
FY 2015 FY 2016 FY 2017 FY2018
Full Time Positions
Comm Dev Director 1 1 1 1
Building Inspector 1 1 1 1
Permit Tech 1 1 1 1
Comm Dev Clerk 1 1 1 1
Code Enforcement Officer 1 1 1
23
Operating Transfers
Expenditures
Airport Subsidy $ - $ - $ - $ 496,522 0 $ 300,856 _________
_
$ 300,856
Airport Capital Transfers $ - $ - $ - 0 $ 47,132 _________
_
$ 47,132
Administrative Allocation $ (998,720) $(1,085,827) $ (740,113) $ (904,090) 82 $(1,211,870) _________
_
$(1,211,870)
Total (998,720)$ (1,085,827)$ (740,113)$ (407,568)$ 182% (863,882)$ (863,882)$
FY 2015
Actual
FY 2016
Actual
FY 2017
Actual
FY 2017
Budgeted
% Exp
FY 2017
Prelim.
Budget FY
2018
Budget
Changes
Final Budget
FY 2018
24
Debt Services: DWSRF-019 is a Drinking Water State Revolving Fund loan and was for the Water Treatment Plant Rehabilitation
Project. The principal amount of this promissory note was $745,551.25 and was initiated July 5, 2006. It is a twenty year loan with a
2.5% interest rate and annual payments of $48,102.
DWSRF-099 is a Drinking Water State Revolving Fund loan and was for the waterline replacement projects in North Riverton and
Riverview Terrace areas of Riverton. The principal amount of this loan was $1,000,000 and was initiated July 07, 2009. It is a twenty
year loan with a 2.5% interest rate and annual payments of $64,147.
JPA 11574Fr loan is a Joint Powers Act Loan and was for the Main Street Booster Station rehabilitation. The principal amount of this
loan was $375,000 and was initiated June 27, 2012. It is a thirty year loan with a 4.94% interest rate and annual payments of $24,228.
Debt Services - Water Fund
Expenditures
Int Exp - DWSRF 019 SLIB $ 48,102 $ 48,102 $ 48,102 $ 48,200 100 $ 48,200 _______
___
$ 48,200
DWSRF-99 Loan $ 64,147 $ 64,147 $ 64,147 $ 64,200 100 $ 64,200 _______
___
$ 64,200
JPA-11574-Main Street Boo $ 24,228 $ 24,228 $ 24,228 $ 24,300 100 $ 24,300 _______
___
$ 24,300
Total 136,477$ 136,477$ 136,477$ 136,700$ 100% 136,700$ 136,700$
FY 2015
Actual
FY 2016
Actual
FY 2017
Actual
FY 2017
Budgeted
% Exp
FY 2017
Prelim.
Budget FY
2018
Budget
Changes
Final Budget
FY 2018
25
Function: The Administrative Services Department is a dedicated team of professionals who provide personalized service and proactive
solutions with fairness and consistency to all.
Customer Service Division Highlights: For FY17-18, the total budget for the Customer Services division (enterprise funds) is
$331,050. The operational budget remains level compared to prior year. Aside from salaries and benefits, postage, bank charges and
software maintenance are the largest expenditures for this department.
Customer Service Division - Water Fund
FY 2015 FY 2016 FY 2017 FY2018
Full Time Positions
Customer Service Supervisor 1 1 1 1 33%
Finance Director 1 20%
Finance Clerk 2 2 2 2 33%
26
Function: The mission of the Water Production Division is to provide an adequate supply of water, which complies with all federal and
state health and safety standards, for the benefit of all who work, recreate, or visit the City of Riverton.
Water Production Highlights: The Water Production Division exhibits a 14% increase in FY18. The Salary & Wages line item was
increased to reflect the advancements made by water treatment plant operators in their certification levels as required by the
Department of Environmental Quality. Due to cost containment measures, operators were not able to make these advancements in
FY17. The Computer Supplies and Vehicle & Equipment Maintenance line items were increased to enable the purchase of a new
computer and to replace tires on an operations vehicle. The EPA Sanitary Survey line item was created to remediate a number of the
significant deficiencies highlighted from the Environmental Protection Agency’s most recent Sanitary Survey. The Laboratory Supplies
line item was reduced by 21% to reflect historical spending trends.
Water Production
FY 2015 FY 2016 FY 2017 FY2018
Full Time Positions
Chief Operator 1 1 1 1
Backup Chief Operator 1 1 1 1
W/S Operator 5 5 5 5
27
Function: The mission of the Collection and Distribution Division is to distribute reliable and adequate supplies of water to, and
collect wastewater generated from, those who work, recreate, or visit the City of Riverton.
Water Distribution Highlights: The Water Distribution cost center exhibits a 7% decrease in FY18. The Meter Maintenance line item
was significantly reduced by 47% to reflect expenditure patterns of recent fiscal years. The Building Maintenance line item was
increased from historical trends to accommodate repairs to the heating system in the fleet building. These repairs will be split
between multiple cost centers (Fleet Maintenance, Water Distribution, Wastewater Collection, and Sanitation Operations). The
Salaries & Wages line item was increased to reflect advancements made by operators in their certification levels as required by the
Department of Environmental Quality. Due to cost containment measures, operators were not able to make these advancements in
FY17
Water Distribution
FY 2015 FY 2016 FY 2017 FY2018
Full Time Positions
Chief Operator 1 1 1 1 50%
Backup Chief Operator 1 1 1 1 50%
W/S Operator 4 4 4 4 50%
Seasonal 1 1 1 50%
28
Function: The mission of the Water Administration Division is to protect public health and the environment by providing sound
infrastructure and affordable water treatment and distribution to the City of Riverton.
Water Adminstration Highlights: Expenditures for the Water Administration Division increased by 26% in FY18. This was due in large
part to an increase in the Administrative Allocation line item and the addition of the Fleet/Sanitation Supervisor position. The Computer
Supplies line item was also increased to accommodate the purchase of two computers compatible with AutoCAD software. Funds
related to the Developer Assistance line item were zeroed out and transferred to the Professional & Consulting line item.
Water Administration
FY 2015 FY 2016 FY 2017 FY2018
Full Time Positions
PW Director 1 1 1 1 16.70%
Utility Division Manager 1 1 1 1 50%
Fleet/Sani Supervisor 1 16.70%
Construction Manager 1 1 1 1 50%
Engineering Tech II 1 1 1 1 50%
29
Debt Services: CWSRF Loan #108 is a Clean Water State Revolving Fund loan for the replacement of the sewer line in the A & T Mobile
Home Park. The principal amount of the loan was $369,008 and was initiated February 2, 2010. It is a twenty year loan with a 0%
interest rate and annual payments of $18,450.
CWSRF Loan #118 is a Clean Water State Revolving Fund loan for the replacement (relining) of sewer lines in what is known as original
town Riverton. The principal amount of the loan was $192,056 and was initiated December 23, 2009. It is a twenty year loan with a
2.5% interest rate and annual payments of $12,320.
CWSRF Loan #063 is a Clean Water State Revolving Fund loan for the installation of new sewer lines along Webbwood Road to the
Claude Fike Subdivision. The principal amount of the loan was $278,860 and the first payment was made October 1, 2008. It is a
twenty year loan with a 2.5% interest rate and annual payments of $17,888. An Assessment District was formed in conjunction with
this project and homeowners are assessed a monthly assessment on their sewer bill to repay this loan.
Debt Services - Wastewater Fund
Expenditures
CWSRF 108 $ 18,450 $ 18,450 $ 18,450 $ 18,500 100 $ 18,500 _______
___
$ 18,500
CWSRF 118 $ 12,320 $ 12,320 $ 12,320 $ 12,500 99 $ 12,500 _______
___
$ 12,500
Total 30,770$ 30,770$ 30,770$ 31,000$ 99% 31,000$ 31,000$
FY 2015
Actual
FY 2016
Actual
FY 2017
Actual
FY 2017
Budgeted
% Exp
FY 2017
Prelim.
Budget FY
2018
Budget
Changes
Final Budget
FY 2018
Expenditures
Principal CWSRF-063 $ 17,888 $ 17,888 $ 17,888 $ 18,000 99 $ 18,000 _______
___
$ 18,000
Total 17,888$ 17,888$ 17,888$ 18,000$ 99% 18,000$ 18,000$
FY 2015
Actual
FY 2016
Actual
FY 2017
Actual
FY 2017
Budgeted
% Exp
FY 2017
Prelim.
Budget FY
2018
Budget
Changes
Final Budget
FY 2018
30
Function: The Administrative Services Department is a dedicated team of professionals who provide personalized service and proactive
solutions with fairness and consistency to all.
Customer Service Division Highlights: For FY17-18, the total budget for the Customer Services division (enterprise funds) is
$331,050. The operational budget remains level compared to prior year. Aside from salaries and benefits, postage, bank charges and
software maintenance are the largest expenditures for this department.
Customer Service Division - Wastewater Fund
FY 2015 FY 2016 FY 2017 FY2018
Full Time Positions
Customer Service Supervisor 1 1 1 1 34%
Finance Director 1 20%
Finance Clerk 2 2 2 2 34%
31
Function: The mission of the Wastewater Treatment Division is to meet federal and state regulations in order to protect the public
health of the citizens of the City of Riverton and the environment.
Wastewater Treatment Highlights: The Wastewater Treatment Division expenditures remain relatively consistent for FY18. The
Salary & Wages line item was increased to reflect personnel changes. Due to cost containment measures, operators were not able to
make these advancements in FY17. Safety Supplies and Travel & Training line items were slightly increased to reflect expenditure
trends from FY17. The Eclipse line item was added to the cost center to accommodate the rental of 15 port-a-potties for the eclipse
event.
Wastewater Treatment Division
FY 2015 FY 2016 FY 2017 FY2018
Full Time Positions
Chief Operator 1 1 1 1
Backup Chief Operator 1 1 1 1
W/S Operator 3 3 3 3
Plant Mechanic 1 1 1
Utility Division Mechanic 1
32
Function: The mission of the Collection and Distribution Division is to distribute reliable and adequate supplies of water to, and collect
wastewater generated from, those who work, recreate, or visit the City of Riverton.
Wastewater Collection Highlights: The Wastewater Collection cost center exhibits a 3% increase in FY18. The Salaries & Wages and
Building Maintenance line items were adjusted in a similar manner as the Water Distribution cost center. The cost center witnessed the
addition of a new Eclipse line item. This was created for the purpose of installing a temporary R.V. dump station on the west end of
Riverton to accommodate an influx of visitors for the eclipse event.
Wastewater Collection
FY 2015 FY 2016 FY 2017 FY2018
Full Time Positions
Chief Operator 1 1 1 1 50%
Backup Chief Operator 1 1 1 1 50%
W/S Operator 4 4 4 4 50%
Seasonal 1 1 1 50%
33
Function: The mission of the Wastewater Administration Division is to protect public health and the environment by providing sound
infrastructure and affordable wastewater treatment and disposal to the City of Riverton.
Wastewater Adminstration Highlights: Expenditures for the Wastewater Administration Division increased by 31% in FY18. This was
due in large part to an increase in the Administrative Allocation line item and to the addition of the Fleet/Sanitation Supervisor position.
The Computer Supplies line item was also increased to accommodate the purchase of two computers compatible with AutoCAD
software. Funds related to the Developer Assistance line item were zeroed out and transferred to the Professional & Consulting line
item.
Wastewater Administration
FY 2015 FY 2016 FY 2017 FY2018
Full Time Positions
PW Director 1 1 1 1 16.70%
Utility Division Manager 1 1 1 1 50%
Fleet/Sani Supervisor 1 16.70%
Construction Manager 1 1 1 1 50%
Engineering Tech II 1 1 1 1 50%
34
Function: The Administrative Services Department is a dedicated team of professionals who provide personalized service and proactive
solutions with fairness and consistency to all.
Customer Service Division Highlights: For FY17-18, the total budget for the Customer Services division (enterprise funds) is
$331,050. The operational budget remains level compared to prior year. Aside from salaries and benefits, postage, bank charges and
software maintenance are the largest expenditures for this department.
Customer Service Division - Sanitation
FY 2015 FY 2016 FY 2017 FY2018
Full Time Positions
Customer Service Supervisor 1 1 1 1 33%
Finance Director 1 20%
Finance Clerk 2 2 2 2 33%
35
Function: The mission of the Sanitation Division is to provide professional, economical, and efficient municipal solid waste disposal and
recycling, thus preserving the clean environment of the City of Riverton wherein its residents and visitors can live, work, and recreate.
Sanitation Operation Highlights: The Sanitation Operations Division exhibits a 5% decrease in FY18. The Overtime, Tool & Supplies,
Container Maintenance, Monitor Wells, and Landfill Charges line items were decreased. These decreases were made to reflect
expenditure patterns from previous years. The Landfill Charges line item was increased in FY17 in anticipation of Fremont County Solid
Waste Disposal District dramatically changing their recycling program. These changes did not occur and the Landfill Charges line item
was appropriately reduced. That being said, additional funds were budgeted into the line item to accommodate the excess solid waste
generated by the eclipse event. The Building Maintenance line item was increased from historical trends to accommodate repairs to
the heating system in the fleet building. These repairs will be split between multiple cost centers (Fleet Maintenance, Water
Distribution, Wastewater Collection, and Sanitation Operations).
Sanitation Operations
FY 2015 FY 2016 FY 2017 FY2018
Full Time Positions
Operator 5 5 5 5
36
Function: The mission of the Sanitation Division is to provide professional, economical, and efficient municipal solid waste disposal and
recycling, thus preserving the clean environment of the City of Riverton wherein its residents and visitors can live, work, and recreate.
Sanitation Adminstration Highlights: Expenditures for the Sanitation Administration Division increased by 51% in FY18. This was due
in large part to an 86% increase in the Administrative Allocation line item. The Computer Supplies and Electricity line items were also
increased. The Computer Supplies line reflects the purchase of a computer for the Public Works Secretary and network upgrades to the
Public Works administrative offices. The only significant decrease exhibited in the cost center was seen in the Insurance line item.
Sanitation Administration
FY 2015 FY 2016 FY 2017 FY2018
Full Time Positions
Public Works Director 1 1 1 1 16.70%
Fleet/Sani Supervisor 1 50%
Operation Div Manager 1 1 1 1 50%
Public Works Secretary 1 1 1 1 50%
37
Function: The mission of the Sanitation Tub Grinder Division is to divert green waste from the landfill and convert it to a useable and
marketable product.
Sanitation Tub Grinder Highlights: Expenditures for the Sanitation Tub Grinder Division remain relatively flat or have decreased.
Overall, the cost center exhibits a 9% decrease in FY18. This is due to decreases in Health Insurance, Retirement, Yard Waste Recycling
Containers, and Bio-Solids Screening line items.
Sanitation Tub Grinder
FY 2015 FY 2016 FY 2017 FY2018
Full Time Positions
Operator 2 2 2 2
Seasonal 2 2 2 2
38
Function: The mission of the Sanitation Curbside Recycle Division is to divert recyclable material from the landfill and convert it to a
useable and marketable product.
Curbside Recycling Highlights: Expenditures for the Sanitation Curbside Recycling Division remain relatively flat. The division exhibits
a 3% increase in FY18 due to personnel related advancements.
Curbside Recycling
FY 2015 FY 2016 FY 2017 FY2018
Full Time Positions
Laborer 2 2 1 2
39
Debt Services: RIW-L02-11 is a Wyoming Aeronautics Commission Loan for the construction of a building at the Riverton Regional
Airport current leased to Department of Criminal Investigation. The principal amount of the loan was $375,000 that was initiated
March 20, 2012. It is a twenty year loan with a 5% interest rate and annual payments of $30,090.97.
Debt Services - Airport Fund
Expenditures
DCI Office Building Loan $ 30,091 $ 30,091 $ 30,091 $ 30,091 100 $ 30,091 _______
___
$ 30,091
Total 30,091$ 30,091$ 30,091$ 30,091$ 100% 30,091$ 30,091$
FY 2015
Actual
FY 2016
Actual
FY 2017
Actual
FY 2017
Budgeted
% Exp
FY 2017
Prelim.
Budget FY
2018
Budget
Changes
Final Budget
FY 2018
40
Function: The mission of the Riverton Regional Airport Division is to maintain a safe and regulatory compliant airfield for commercial
and general aviation.
Airport Operation Highlights: The Airport Fund exhibits a 17% decrease in FY18. This is largely due to the elimination of the
Administrative Allocation line item. That being said, reductions were also seen in the Office Supplies, Computer Supplies, Janitor
Supplies, Uniforms, Gas & Oil, Vehicle & Equipment Maintenance, Postage, Promotion & Development, Dues, Telephone, and Audit line
items. The Safety Supplies line item was increased to accommodate the purchase of traffic control barricades. Runway Maintenance
was increased for the purchase of weather monitoring equipment as required by the Federal Aviation Administration. The Insurance
line item was substantially increased in FY18. This is the result of a vehicle accident that occurred in the winter of 2017. The Fuel Farm
line item was added in FY18 in order to comply with Department of Environmental Quality mandates.
Airport Operations
FY 2015 FY 2016 FY 2017 FY2018
Full Time Positions
Airport Division Manager 1 1 1 1
Operator 4 4 4 4
41
Terminal Building
Expenditures
Electricity $ 42,136 $ 35,427 $ 32,836 $ 35,000 94 $ 35,000 _______
___
$ 35,000
Heat $ 17,419 $ 13,823 $ 12,363 $ 14,500 85 $ 14,500 _______
___
$ 14,500
Total 59,555$ 49,250$ 45,199$ 49,500$ 91% 49,500$ 49,500$
FY 2015
Actual
FY 2016
Actual
FY 2017
Actual
FY 2017
Budgeted
% Exp FY
2017
Prelim.
Budget FY
2018
Budget
Changes
Final Budget
FY 2018
42
DCI Building
Expenditures
Electricity $ 4,835 $ 4,632 $ 4,396 $ 4,800 92 $ 4,800 _________
_
$ 4,800
Heat $ 981 $ 864 $ 861 $ 1,200 72 $ 1,200 _________
_
$ 1,200
Building Maintenance $ 12,452 $ - $ 338 $ 1,000 34 $ 1,000 _________
_
$ 1,000
Total 18,268$ 5,496$ 5,595$ 7,000$ 80% 7,000$ 7,000$
FY 2015
Actual
FY 2016
Actual
FY 2017
Actual
FY 2017
Budgeted
% Exp
FY 2017
Prelim.
Budget FY
2018
Budget
Changes
Final Budget
FY 2018
43
The FY18 proposed budget encompasses another year of funding to the Depot Foundation which purchased 150 acres of land from
Mr. Bob Foster for the Riverwalk property in June 2009. The Depot Foundation received a loan from First Interstate Bank to purchase
the property for $198,296. In addition, the Depot provided the City with $50,000 to help with the Riverwalk project as the bids came
in significantly higher than anticipated to complete the project. The City entered into an agreement with the Depot Foundation to
repay the funds. The annual amount of $24,000 from the City is to be used for debt repayment, other improvements, and cost of
holding the property. The current amount owed to the Foundation is approximately $160,000. The City will pay the Depot Foundation
$2,000 a month until the loan is paid in full, then the City will receive a deed to the property.
Expenitures are listed in the capital plan section.
Economic Development Fund
Revenues
Transfer from Reserves $ - $ - $ - $ 24,000 0 $ -
_______
$ -
Transfer from Cash $ - $ - $ - $ - 0 $ 24,000
_______
$ 24,000
Total -$ -$ -$ 24,000$ 0% 24,000$ 24,000$
FY 2015
Actual
FY 2016
Actual
FY 2017
Actual
FY 2017
Budgeted
% Exp
FY 2017
Prelim.
Budget FY
2018
Budget
Changes
Final Budget
FY 2018
44
1% Revenues: Governmental funds focus on inflows and outflows of current financial resources. Most inflows are reported as
revenues. November 2016, Fremont County passed the general purpose One Percent sales and use taxes for 4 years beginning in
2013. It was again approved in November 2016.
The purpose of the optional tax is to maintain and improve infrastructure related to streets, roads, bridges, water and sewer utilities,
for the benefit of all who work, play, or visit Fremont County and the City of Riverton. Unlike the other sales and use taxes which are
collected, the City sees 99% of the funds collected within our limits.
The revenues projected for FY17-18 by the City of Riverton’s One Percent Fund is approximately $1.922M dollars and include the
following: sales tax ($1.485M), use tax ($205,000) and a TAP grant in the amount of $118,000.
Expenditures are listed in the capital plan section.
Function: In November of 2012, Fremont County residents approved the application of an Optional 1% Tax. It was again approved in
November of 2016. This optional tax is a 1% tax on the sale of goods and services in Fremont County. The purpose of the optional tax
is to maintain and improve infrastructure related to streets, roads, bridges, water and sewer utilities, for the benefit of all who work,
play, or visit Fremont County and the City of Riverton.
After the Optional 1% Tax was approved through ballot initiative, the City of Riverton formed the Fix Our Roads Citizen Committee
(FORCC). The mission of FORCC is to provide recommendations to the City Council on how to best utilize revenues generated by the
optional tax. FORCC is made up of nine citizens interested in improving the infrastructure of the City of Riverton and ensuring public
confidence in the use of 1% funds. They are a committee of volunteers who meet on a monthly basis to review the capital needs of the
City of Riverton.
Revenues generated by the Optional 1% Tax have gone towards neighborhood concrete improvement projects, Americans with
Disabilities Act (ADA) accessibility projects, chip seal projects, and asphalt overlay projects.
1% Fund
45
911 Fund: This fund is a Special Revenue Fund which is used to account for the proceeds from a specific revenue source. In accordance
with state statutes, the City of Riverton may, by ordinance, impose a monthly uniform tax on service users within its designated 911
service area in an amount not to exceed seventy-five cents ($.75) per month on each local exchange access line, per wireless
communications access or other technological device that under normal operation is designed or routinely used to access 911.
The city is projecting anticipated revenues of $24,000 in 911 tax surcharge fees for FY17-18. The County receives the revenue for any
call made with a cell phone; therefore, our assumption is this fund will continue to decrease with the use of cell phones in our
jurisdiction.
911 Fund
Expenditures
Telephone $ 24,940 $ 21,276 $ 23,256 $ 24,000 97 $ 23,300 _________
_
$ 23,300
Total 24,940$ 21,276$ 23,256$ 24,000$ 97% 23,300$ 23,300$
FY 2015
Actual
FY 2016
Actual
FY 2017
Actual
FY 2017
Budgeted
% Exp
FY 2017
Prelim.
Budget FY
2018
Budget
Changes
Final Budget
FY 2018
Revenues
911 Revenue $ 18,875 $ 20,889 $ 14,286 $ 24,000 60 $ 23,300 _________
_
$ 23,300
Total 18,875$ 20,889$ 14,286$ 24,000$ 60% 23,300$ 23,300$
Budget
Changes
Final Budget
FY 2018
FY 2015
Actual
FY 2016
Actual
FY 2017
Actual
FY 2017
Budgeted
% Exp
FY 2017
Prelim.
Budget FY
2018
46
Function: The mission of the Air Service Division is to maximize the revenue potential of air service routes supported by minimum
revenue guarantees so as to protect and best utilize public funds.
Airline Revenue Guarantee Highlights: Expenditures related to the Air Service Division exhibit a 10% decrease in FY18. This is due to
a reduced minimum revenue guarantee and a lower contract fee for sales and analysis consulting services. Furthermore, marketing
funds are not being included in the FY18 budget.
Airline Revenue Guarantee
Expenditures
Airline Rev. Guarantee-Gr $ - $ - $1,706,751 $1,977,900 86 $1,864,733 _________
_
$1,864,733
Airline Sales & Analysis $ - $ - $ 58,500 $ 78,000 75 $ 70,000 _________
_
$ 70,000
Airport Marketing $ - $ 21,191 $ 79,085 $ 100,000 79 $ - _________
_
$ -
Total -$ 21,191$ 1,844,336$ 2,155,900$ 86% 1,934,733$ 1,934,733$
FY 2015
Actual
FY 2016
Actual
FY 2017
Actual
FY 2017
Budgeted
% Exp
FY 2017
Prelim.
Budget FY
2018
Budget
Changes
Final Budget
FY 2018
47
Senior Center Endowment Fund: The Senior Center Endowment is a restricted amount per Resolution No. 1179 which established
and clarified the Management and Disbursement of the Riverton Senior Citizens and Community Center Endowment fund. The fund
was originally with the County and later transferred to the City of Riverton. In prior years, expenditures were funded 50% by accrued
interest. Presently, interest bearing accounts produce minimal interest and now the expenditures are supported solely through cash on
hand in the fund. The City acts as a fiscal agent for these funds. Per a District Court decision, the restricted fund balance in the Senior
Citizens’ Center Endowment Fund is $881,000.
Senior Center Endowment Fund
Expenditures
Senior and Comm. Ctr Oper $ 58,333 $ 19,377 $ 23,016 $ 30,000 77 $ 30,000 _________
_
$ 30,000
Total 58,333$ 19,377$ 23,016$ 30,000$ 77% 30,000$ 30,000$
Budget
Changes
Final Budget
FY 2018
FY 2015
Actual
FY 2016
Actual
FY 2017
Actual
FY 2017
Budgeted
% Exp
FY 2017
Prelim.
Budget FY
2018
48
Riverton Rendezvous Fund: The City of Riverton entered into an agreement with Riverton Rendezvous in March, 2011. The purpose
of the agreement was to transfer their property to the City in exchange for the City being responsible for the annual event, with the
Board continuing as a volunteer board and assist with the planning and coordination of the event.
The City acts as a fiscal agent for the funds that were passed from Riverton Rendezvous to the City in 2011. Their current cash balance is
approximately $50,000. Rendezvous acquires grant funds from three agencies (Wind River Visitors Council, Fremont Co. Rec. Board and
Fremont Co. School District No. 25 Rec. Bd.) to assist with the annual approximate cost of a balloon rally in the amount of $27,000.
Riverton Rendezvous
Revenues
Office Supplies $ 6,500 $ 6,700 $ 6,000 $ 6,000 100 $ 5,000 _______
___
$ 5,000
Gas & Oil $ 12,500 $ 12,000 $ 10,800 $ 10,800 100 $ 8,800 _______
___
$ 8,800
Veh. & Equip. Maintenance $ 3 $ 3 $ 3 $ 5 60 $ - _______
___
$ -
Riverton Rendezvous Event $ 14,180 $ 11,084 $ 8,080 $ 18,170 44 $ 18,170 _______
___
$ 18,170
Propane $ 600 $ 700 $ 400 $ 1,000 40 $ 1,000 _______
___
$ 1,000
Dues $ 1,780 $ 762 $ 620 $ 1,000 62 $ 1,000 _______
___
$ 1,000
Total 35,563$ 31,249$ 25,903$ 36,975$ 70% 33,970$ 33,970$
Budget
Changes
Final Budget
FY 2018
FY 2015
Actual
FY 2016
Actual
FY 2017
Actual
FY 2017
Budgeted
% Exp FY
2017
Prelim.
Budget FY
2018
49
General Fund
1% Fund
Water Fund
· Booster Station Rehabilitation – The doors at the Main Street Booster Station are damaged and difficult to secure. As the booster
station is a critical piece of City infrastructure, it is necessary to secure the facility with new doors. Also, the existing Pressure Sustaining
Valve (PSV) is dated and the rubber bladder has failed several times. While the WTP staff is proficient in repairing the bladder, this
project will allow them to replace the PSV allowing the staff to utilize their time more efficiently. $43,000 has been budgeted to cover
· Tasers & Radios – The Police Department currently owns 35 radios and tasers. Half of them were purchased in 2006. In 2008, the
other half was refurbished to try to keep them in working order. The equipment is now at a point where they are obsolete and parts
and maintenance are no longer available. Because the cost to replace the entire inventory is so large, the City will budget to replace the
equipment at six per year. $44,082 has been budgeted for this years costs.· South Federal Project – WYDOT continues to close out the reconstruction of South Federal Boulevard from Monroe to
Washington. After discussions with WYDOT, $10,000 has been budgeted to cover project closeout and administrative costs.
· Fleet Capital Patrol Vehicles – There are currently 12 patrol vehicles in the Police Department. Many of them are in need of
replacement. Historically, the Police Department replaced vehicles at two per year. However in recent years, vehicle purchases have
been eliminated from the budget. During the month of May 2017, six patrol vehicles were out of service at the same time for repairs.
This required officers to double up in vehicles, thus diminishing the level of police coverage in the community. The restoration of the
vehicle replacement program will provide much needed equipment and help to reduce the expenses for vehicle and equipment
maintenance. The current budget is $104,000 for the replacement of two fully outfitted vehicles.
· The Optional 1% Tax related to infrastructure improvements was renewed for another 4 years. At this time, the City has approved
several projects including North Federal Boulevard, the ADA Ramps and Flashing Crosswalk project, the Gannett Drive/Davis Lane
Engineering Design, and the North Second West Reconstruction Project. Other projects will be approved on a case by case basis as
recommended by the Fix Our Roads Citizen Committee (FORCC).
· Meter Maintenance – The City's water meter supplier has informed us that, at the end of 2017, they will no longer support the
meter readers or meter transmitting units (MXUs) the City currently uses. Because of the No Lead Law, the City is already changing out
the old meters. Unfortunately, this will force the City to get a new meter reader and MXUs as they are not cross-compatible. Until all
MXUs have been replaced, the City will have to operate two different reading systems. $20,000 has been budgeted to purchase a new
mobile reader, hand held unit and 25 meters and MXUs.· SCADA Upgrades – Currently, the Water Treatment Plant has two chemicals which are feed manually during the treatment
process. This project will add computer controls so these processes can be incorporated into the current control system. $12,000 has
been budgeted for this project.
· North Federal Project – WYDOT will let the North Federal Boulevard Reconstruction Project in July of 2017. The City has
received a grant and loan from the State of Wyoming for help with the drinking water portion of this project.
· Riverton Water Supply – This project represents ongoing improvements to the City’s water utility. It consists of three construction
phases. The City has received all of the easements for the third phase which is a transmission line from the JCC Tank on Airport Road to
Riverview Road. $45,000 has been budgeted to finalize the plans and potentially begin bidding. There is currently a Wyoming Water
Development Commission grant/loan for this project which expires in June of 2020.
Capital assets include property, plant, equipment and infrastructure assets (e.g. roads, sidewalks, water distribution lines, wastewater
collection lines, and other similar items). Capital assets are defined by the government as assets with an initial, individual cost of more
than $5,000 and an estimated useful life in excess of two years. Such assets are recorded at historical cost if purchased or constructed.
Donated capital assets are recorded at estimated fair market value at the date of donation. The costs of normal maintenance and
repairs that do not add to the value of the asset or materially extend assets lives are not capitalized.
· North Federal Project – WYDOT will let the North Federal Boulevard Reconstruction Project in July of 2017. The City has received a
grant and loan from the State for help with the storm water portion of this project. The City also received a grant from WYDOT for the
part of the lighting. As the City is unsure of how the contractor will schedule the construction, the City has budgeted $4,634,908 for the
project. This is 75% of the estimated construction costs.· Network Bandwidth Upgrade –Several remote sites are currently served by a T1 circuit which has slow network speeds. This
project would take advantage of the recent radio project and increase the bandwidth available at these remote sites. By not using third-
party T1 circuits and DSL lines, the City can save potentially thousands of dollars over the life of the product. $20,000 has been
budgeted for this project.· Urban Systems Study – This project is a corridor study of the connectivity of Cooper Road/Webbwood Road and is a joint Urban
Systems Project with costs shared between WYDOT, Fremont County, and the City. $6,500 has been budgeted to cover the City’s
portion of the planning project.· Holding Cell Camera System – This system would replace the 20-year old black and white cameras in the Police Department
holding cells. The current system is a basic black and white camera system with no sound. The cameras would include color and sound
as well as provide the framework to which additional cameras/channels could be added under the same scheme without replicating the
cost of the entire system when growth is required.
Capital Plan
50
Wastewater Fund
Sanitation Fund
Airport Fund
· AIP 43 GA Apron Design – The existing general aviation (GA) apron was installed in 1978 and is degrading and needs to be
reconstructed to meet FAA requirements. $166,667 has been budgeted to begin the design process of this project. Both state and
federal grants are available to cover 96% of project costs.
· North Federal Project – WYDOT will let the North Federal Boulevard Reconstruction Project in July of 2017. The City has
received a grant and loan from the State for help with the sanitary sewer portion of this project.
· Centrifuge Scroll Rebuild – The scroll is scheduled for a 9000-hour factory rebuild by late summer. This scroll operates at a high
RPM and is critical to the operations at the Wastewater Treatment Plant. $30,000 has been budgeted to cover the rebuild.
· Landfill Remediation – The abandoned Riverton Landfill has been contaminating groundwater and is identified by Wyoming
Department of Environmental Quality as being a high priority landfill for remediation. $50,000 has been budgeted to begin work on
entering into the Landfill Remediation Program and begin the first steps towards cleaning up our existing landfill.· Fleet Capital, Street Sweeper – $280,000 has been budgeted to purchase a new street sweeper. All street sweepers purchased by the
City in the past have been funded and maintained through the Sanitation Fund.
· AIP 42 ARFF Building Modification – The existing ARFF building was modified to accommodate the new ARFF truck. $93,000 has
been budgeted for project close out. The modifications utilize both state and federal grants that cover 97.5% of project costs.
· AIP 41 Air Rescue Fire Fighting (ARFF) Vehicle Acquisition – Pursuant to federal regulation, Riverton Regional Airport was required
to acquire a new fire and emergency response vehicle in FY17. $94,500 has been budgeted in FY18 to close out this project. This
acquisition is supported by both state and federal grants that cover 97.5% of project costs.
· AIP 44 Taxiway D Signage – This project will replace airport signs that have reached the end of their useful life and have become a
safety and maintenance issue at the airport. $244,445 has been budgeted to replace and improve lighting and signage infrastructure.
Both state and federal grants are available to cover 96% of project costs.· ARIW 34A Acquire Snow Removal Equipment – Pursuant to federal regulation, Riverton Regional needs to update its existing snow
removal equipment. $260,000 has been budgeted for this piece of equipment. A grant from the State of Wyoming covers 90% of the
project cost.
51
Capital Plan
52