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The cash flow analyses compare projected revenue requirements with projected revenue under <br /> existing rates, and indicate the level of needed revenue adjustments for several alternatives. The <br /> proposed rates have been designed to provide sufficient revenues to meet projected system requirements <br /> for the selected alternative. <br /> Sewer Utility <br /> This study has been completed for the Department of Finance and Department of Public Works. <br /> The services provided by the Sewer Fund are those of a typical public utility and therefore we use the <br /> <br /> term "Sewer Utility" in this report. Such terminology is consistent with the objective of making the <br /> <br /> activities of the Utility entirely supported by charges levied for services rendered. <br /> 3 <br /> <br />