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$220 Million Proposed in 2025 to Reduce Overflows, Basement Backups and Flooding

09/09/24 08:00:am

Contact: Bill Graffin

MMSD Public Information Manager

bgraffin@mmsd.com

(414) 225-2077

(Milwaukee, WI) – Overflow reduction and flood management efforts would see a $220 million investment under the proposed 2025 budgets for the Milwaukee Metropolitan Sewerage District (MMSD). If approved, the owner of a $200,000 home would pay an additional $12.00 in 2025 compared to 2024 charges.

Home Valued at $200,000 Estimated to Pay in 2025:

User Charge

$187.91

 (Up $21.42 or 12.9% over 2024)  

Tax Bill

$247.42

 (Down $9.42 or 3.7% from 2024)

Total

$435.33

 (Up $12.00 or 2.8% over 2024)

Public Hearings Scheduled for MMSD 2025 Budgets

MMSD customers are encouraged to provide input on the 2025 proposed budgets through our Contact Us form on the MMSD website or at one of the public hearings listed below.  

Monday, September 23rd, 2024, at 6:00 p.m. at MMSD Headquarters, 260 W. Seeboth, Milwaukee, WI 53204

Monday, October 14th, 2024, at 8:30 a.m. at MMSD Headquarters, 260 W. Seeboth, Milwaukee, WI 53204

Upon reasonable notice, efforts will be made to accommodate the needs of disabled individuals through sign language interpreters or other auxiliary aids.  For additional information to request these services, contact the Commission Secretary, Office of the Commission at (414) 225-2264, or write to Office of the Commission, 260 W. Seeboth Street, Milwaukee, Wisconsin 53204.

2025 Combined Summary of Revenues and Expenditures

(Dollars in Thousands)

 

2023 Actual

2024 Amended Budget

2025 Proposed Budget

Change from 2024 Amended Budget

% Change from 2024 Amended Budget

Operations & Maintenance

 

 

 

 

 

Sources of Funds

 

 

 

 

 

User Charge Billings

$96,112

$102,521

$109,187

$6,666

6.5%

Milorganite® Sales (Net)

12,223

11,300

11,800

500

4.4%

All Other Operating Income

7,404

6,046

6,119

73

1.2%

User Charge Stabilization Fund Applied
(or Contribution)

500

(800)

0

800

-100.0%

Equipment Replacement Fund Applied
(or Contribution)

(150)

(150)

(150)

0

0.0%

Surplus Applied

5,023

5,798

4,234

(1,564)

-27.0%

Total Sources of Operations & Maintenance Funds

121,112

124,715

131,191

6,475

5.2%

Capital

 

 

 

 

 

Tax Levy

 109,126

 112,400

 115,772

3,372

3.0%

Non-member Billings

 25,971

 26,374

 23,820

(2,554)

-9.7%

Interest and Other Income

 11,810

 1,653

 1,755

102

6.2%

Federal and State Aid

 4,086

 28,955

 7,483

(21,474)

-74.2%

CWFL Loans

 22,986

 30,000

 55,000

25,000

83.3%

WIFIA Loans

 -  

-

 28,645

28,645

100.0%

District Bonds

 68,083

90,000

108,000

18,000

20.0%

Use of (Additions to) Available Funds

(39,668)

(12,489)

(19,375)

(6,886)

-55.1%

Total Sources of Capital Funds

202,394

276,893

321,100

44,207

16.0%

Total Sources of Funds

$323,506

$401,608

$452,291

$50,683

12.6%

Expenditures

 

 

 

 

 

Operations & Maintenance

 

 

 

 

 

Net Division Expenditures

$104,491

$106,847

$113,160

$6,313

5.9%

Net Fringe Benefit Expenditures

9,615

14,740

14,196

(544)

-3.7%

Unallocated Reserve

0

3,129

3,835

706

22.6%

Total Operations & Maintenance Expenditures

114,106

124,715

131,191

6,475

5.2%

Capital

 

 

 

 

 

Water Reclamation Facilities

40,462

 53,446

 55,518

2,072

3.9%

Conveyance Facilities

26,932

 20,895

 38,721

17,826

85.3%

Watercourse & Flood Mgmt Projects

12,968

 20,574

 45,933

25,359

123.3%

Other Projects & Programs

27,087

 76,699

 80,043

3,344

4.4%

Debt Service

 94,945

 105,279

 100,885

(4,394)

-4.2%

Total Capital Expenditures

202,394

276,893

321,100

44,207

16.0%

Total Expenditures

$316,500

$401,608

$452,291

$50,683

12.6%

Note, that totals may not appear to add due to rounding. 

MMSD Capital Budget:

The tax levy is the Capital Budget’s primary funding source. The majority of capital expenditures are for improvements and replacements of assets at the water reclamation facilities and in the conveyance system. The capital budget also funds watercourse and flood management projects, the private property infiltration and inflow reduction program, most of MMSD's green infrastructure work, and 2050 Facilities Plan projects.

MMSD Operations & Maintenance (O&M) Budget:

User charges are the O&M Budget’s primary funding source. In addition to user charge billings, MMSD has other operating revenue sources. MMSD's second-largest O&M revenue source is from Milorganite® net revenue. The majority of overall expenditures in the O&M Budget include the operating contract with Veolia Water Milwaukee and energy expenditures at the water reclamation facilities. This budget also funds a significant level of machinery and equipment maintenance at the water reclamation facilities, some of the green infrastructure work, expanded information technology initiatives, marketing efforts for Milorganite®, and expenditures related to MMSD salaries, wages, and benefits.