Laserfiche WebLink
Table 76. Rate Study Sewer CIP Expenses by Expense Type, FY 2026 to FY 2031 <br />Rate Funded CIP <br />Total CIP <br />$4,111,232 $5,000,000 $5,000,000 $5,000,000 $5,000,000 $5,000,000 <br />$4,111,232 $5,000,000 $5,000,000 $5,000,000 $5,000,000 $5,000,000 <br />Figure 9. Rate Study Sewer CIP Expenses by Funding Source, FY 2026 to FY 2031 <br />$6.0 <br />cn <br />C <br />$5.0 <br />$4.0 <br />$3.0 <br />$2.0 <br />$1.0 <br />$0.0 <br />FY 2026 FY 2027 FY 2028 FY 2029 <br />Rate Funded <br />FY 2030 FY 2031 <br />Debt Service and Coverage Ratios <br />The CWSRF Septic to Sewer Island Bond payments are made annually. Table 77 shows the Sewer <br />utility's annual debt payments used in this study. Table 78 shows the projected debt service coverage <br />ratios under the current rates. <br />Table 77. Rate Study Debt Service Expenses, FY 2026 to FY 2031 <br />Principal $35,969 $35,941 $36,875 $37,834 $38,818 $39,827 <br />Interest $37,773 $37,801 $36,867 $35,908 $34,924 $33,915 <br />Total Debt Service <br />$73,742 $73,742 $73,742 $73,742 $73,742 $73,742 <br />Table 78. Rate Study Debt Service Coverage Ratios, FY 2026 to FY 2031 <br />Total Revenue <br />$9,772,314 <br />$9,789,774 <br />$9,801,412 <br />$9,819,036 <br />$9,836,813 <br />$9,849,084 <br />Total Operating Expense <br />$8,759,440 <br />$9,132,875 <br />$9,517,728 <br />$9,894,897 <br />$10,287,824 <br />$10,671,969 <br />Net Revenue <br />$1,012,874 <br />$656,898 <br />$283,684 <br />($75,861) <br />($451,011) <br />($822,885) <br />Total Debt Service <br />$73,742 <br />$73,742 <br />$73,742 <br />$73,742 <br />$73,742 <br />$73,742 <br />Debt Service Coverage Ratio <br />13.74 <br />8.91 <br />3.85 <br />-1.03 <br />-6.12 <br />-11.16 <br />DSCR Requirement <br />1.25 <br />1.25 <br />1.25 <br />1.25 <br />1.25 <br />1.25 <br />City of Santa Ana - 2026 Water and Sewer Rate Study <br />50 <br />