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Proposed FY 2006-2007 MTA OPERATING BUDGET An Overview February 7, 2006

Proposed FY 2006-2007 MTA OPERATING BUDGET An Overview February 7, 2006. 1. OVERVIEW. The FY 2006-2007 Proposed Budget is $667.8M. This represents an $81.8M (or 14%) above Prior Year’s Base Budget of $586M.

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Proposed FY 2006-2007 MTA OPERATING BUDGET An Overview February 7, 2006

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  1. ProposedFY 2006-2007 MTA OPERATING BUDGET An Overview February 7, 2006

  2. 1. OVERVIEW • The FY 2006-2007 Proposed Budget is $667.8M. This represents an $81.8M (or 14%) above Prior Year’s Base Budget of $586M. • The projected Budget shortfall for FY 2006-2007 is $4.1M. The MTA Staff is proposing to increase Expenditures by 81.8M and Revenues by $77.7M. 3. The FY 2006-2007 Proposed New Initiatives include the Proof of Payment, Preventive Maintenance, Safety Security & Training Initiatives, and Other Operating Costs. 4. For FY 2006-2007, the MTA Staff is not proposing any Fare, Fines, or Fee increases. However, we are considering to propose Garage Rate Increases.

  3. 2. FY 2006-2007 PROPOSED BUDGET BOOK LAYOUT • PREFACE • MTA OVERVIEW • BUDGET OVERVIEW • DIVISION LEVEL • APPENDIX

  4. 3. FY 2006-2007 Proposed Budget - $667.8M TOTAL BUDGET: $667,828,029 EXPENDITURES: $667,828,029 REVENUES: $663,728,242 GAP (Deficit): $ 4,099,787

  5. 4. Comparison of FY 2006-2007 Proposed Expenditure BudgettoFY 2005-2006 Approved Budget

  6. 5. Summary of FY 2006-2007 Proposed Expenditure Increases - $81.8M

  7. 6. FY 2006-2007 Proposed Budget $667.8M

  8. 7. Comparison of FY 2006-2007 Proposed Revenues toFY 2005-2006 Approved Budget

  9. 8. Summary of FY 2006-2007 Proposed Revenue Increases – $77.7M

  10. 9. FY 2006-2007 Proposed Budget $663.7M

  11. 10. FY 2006-2007 Proposed New Initiatives$33.2M • Proof of Payment Initiative (7.2M) • Preventive Maintenance Initiative (20M) • Safety, Security, and Training Initiative (3.6M) • Other Operating Initiatives (2.4M)

  12. 11. The Creation of a $25M MTA Reserve & Policy MTA Reserve & Policy ($25M): The MTA Staff is proposing to establish a $25M reserve and policy. • If the MTA Board adopts this policy in FY 2006-2007, then the projected shortfall will be approximately $29M.

  13. 12. FY 2006-2007 Proposed Scenarios to Close the Projected Shortfall • 1% reduction to the Base Budget - $5.8M • 3% reduction to the Base Budget - $17.5M • 5% reduction to the Base Budget - $29.3M

  14. 13. Reductions Taken to Achieve 1% Savings Across the Board ($5.8 Million) • Reduce Fringe Benefits by $4.0 Million • Reduce Miscellaneous Materials and Supplies by $1.8 Million

  15. 14. Reductions Taken to Achieve 3% Savings Across the Board ($17.6 Million) • Reduce Fringe Benefits by $4.0 Million • Reduce Miscellaneous Materials and Supplies by $1.6 Million • Reduce Workers’ Compensation Claims by $2.0 Million • Reduce Planned MTA Board of Director Reserve by $10.0 Million

  16. 15. Reductions Taken to Achieve 5% Savings Across the Board ($29.3 Million) • Reduce Fringe Benefits by $4.0 Million • Reduce Miscellaneous Materials and Supplies by $1.5 Million • Reduce Materials Management Materials and Supplies by $1.0 Million • Reduce Workers’ Compensation by $4.0 Million • Reduce Planned MTA Board of Directors Reserve by $15 Million • Increase Proof of Payment Planned Revenue by $2.8 Million • Appropriate Existing Unappropriated Fund Balance in the Amount of $1.0 Million

  17. 16. Subsequent Changes and Final Balancing Recommendation to Close Gap • Changes: • Adjustments of Fringe Benefits by the Controller’s Office • Adjustments to Current Work Orders by Performing Departments • Requests for Additional Work Order Services by the MTA and Other Departments • Recommended Service Critical Staffing Changes Including New, Upgraded and Reassigned Positions • Service Critical Capital Equipment • Recommended Operational Changes to Meet Service Standards

  18. 17. Change in Proposed Budget • New Proposed Budget Amount - - $674,749,188 • New Expenditure Request Totals $674,749,188 • Expenditure Changes for Personnel and Non-Personnel Increased by: • $6,921,159 • New Anticipated Revenues Total $674,749,188 • Revenues are Anticipated to Increase by: • $11,020,946

  19. 18. Remaining Schedule & Milestone Dates • February 28, 2006 – Fourth Budget Hearing and Second Opportunity to Adopt the FY 2006-2007 MTA Budget. • March 1, 2006 – Submittal of the MTA Board Approved Fiscal Year 2006-2007 Budget to the Mayor and Controller

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