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Utility Financial Overview
Town of Wadena
Water and Sewer Utility System
Annual Financial Overview 2024
In 2024, the total revenue generated for the water and sewer utility system was $620,143. The expenses totaled $527,052.
Revenue:
Infrastructure Fee | $227,722 | |
Water Charges | $249,445 |
|
Sewer Charges | $132,500 |
|
Other Revenue | $10,476 |
|
Custom Work / Supplies |
| |
|
| $620,143 |
Expenses:
Wages, Benefits | $155,929 |
|
Contractual Services | $19,817 |
|
Utilities | $60,378 |
|
Maintenance, Materials, Supplies | $230,728 |
|
Amortization | $79,812 |
|
Other | $388 |
|
|
| $547,052 |
| Surplus (Deficit) | $73,091 |
Using these figures, the comparison ratio of revenue to expenses equals $620,143/ $547,052 or a ratio of 1.13.
Reserve Account
The amount that has been set aside as of Dec 31, 2024 in a reserve account to be used to provide for water and sewer system capital infrastructure is $898,471. Surplus from the water and sewer revenues may be transferred to reserves on an annual basis for water and sewer infrastructure repairs, replacement and upgrades.
Public Information
Note that the following information required pursuant to section 54 of the Municipalities Regulations is available for inspection at the Town of Wadena office during regular office hours:
- Waterworks rate policy and capital investment strategy.
- 2024 waterworks financial overview.
- Current waterworks reserves.
- Most recent waterworks independent engineering assessment.
- Capital plans for waterworks infrastructure projects and sources of funding.
- All current agreements entered into
Also available for inspection at the Town of Wadena office during regular office hours:
2024 Annual Notice to Consumers
2023 Annual Notice to Consumers