Presentation - 2022 Aviation Division Operating and Capital Budgets Briefin

Aviation Division
Operating & Capital Budget
Commission Briefing
Oct 12, 2021

Outline for Aviation presentation
Strategy to Budget; Status on CA Objectives; SWOT
Strategic priorities
Operating budget
Capital Budget 2022  2026
Financial forecast 2022 - 2026
Appendix with budget details and business unit
reports

2

Century Agenda Drives Division Plans and Budgets
CENTURY AGENDA OBJECTIVES
Position the Puget Sound Region as a
Premier International Logistics Hub
Advance this Region as a Leading Tourism
Destination and Business Gateway
Responsibly Invest in the Economic Growth
of the Region and all its Communities
Be the Greenest and Most Energy Efficient
Port in North America
Become a Model for Equity, Diversity and
Inclusion
Be a Highly Effective Public Agency

3

Strategy To Budget Process
Century Agenda
g             Vision/Goals
in                                                 5- 10 Years
n
SWOT
gic Plan Strate
Gap
Objectives & KPIs              3  5 Years
n
2022 Business Plan
tatio
2022 Budget                      n
Annual                                              e m
2022 Performance Plans                             le Im p

4

Progress on Long-Term Goals



5

Progress Towards Long-Term Goals



6

SWOT - Key Implications
Path of recovery uncertain
SEA well positioned with regional demand and strong hub airlines
New facilities and technology offer opportunities to improve
customer experience
Maintain focus on community concerns
SEA facing major capital program:
Need to add resources
Will put upward pressure on airline rates
Use federal relief to achieve SEA financial objectives and moderate
airline costs
7

SEA Strategic Focus Remains the Same
Aviation Areas of Strategic Focus
1. Health and Safety
2. Security
3. Employee Engagement
4. Community
5. Innovations and Operational Efficiencies
6. Economic Opportunities and Social Responsibility
7. Customer Experience
8. Environment and Sustainability
9. Financial Sustainability
10. Asset Management, Capital Development and Delivery
8

Updated Goals and Objectives
Reviewed and updated for each of ten focus areas:
Vision and long-term goals
2025 Objectives
2022 Objectives
Highest priorities narrowed to:
Regulatory/Must Do/Commission Directives
Wildly important goals (WIGs)
Pretty important goals (PIGs)

9

2022 Budget Priorities: Must Do
1. Safety: Zero Part 139 discrepancies
2. Security: Zero TSA audit findings
3. Environment and Sustainability:
NPDES: Noncompliance actions addressed promptly and respective actions
implemented. Ecology approval (through permit modification) to utilize TOC
instead of BOD as IWS regulatory parameter.
Deep infiltration: If 2021 testing successful, infiltration incorporated into
roadway realignment PDD; if testing not successful, evaluation of alternative
BMPs to offset detention needs
IWS: Compliance with King County permit. Implement and
track KC approved measures within UMP and capital development program
10

2022 Budget Priorities: Must Do
3.  Environment & Sustainability (cont.):
Asset Management (Lagoon 3 integrity): continue groundwater monitoring and
maintain assets to help ensure regulatory compliance. Collect a minimum of three
groundwater samples by (Q4); coordinate regulatory actions to support F&I liner
inspections and repairs (Q3)
PFAS: Implement actions in 2021 DOE Chemical Action Plan; submit Toxic Inventory
Report AFFF releases (7/1); continued investigation of sites with high-level areas of
concern; install GW monitoring wells at former training pit sites (if not done in 2021)
AFFF: Within 120 days of FAA approval to use fluorine-free foam, purchase new foam,
transition trucks to be able to use, and handle old foam as cost-effectively as feasible.
Flight Corridor: Phase 1 and 2 compliance obligations met (SEPA).
4.  Commission Directives:
Biometric Air Exit  vendor support
Resiliency: annual exercise
Ground Transportation Access Plan: passenger mode choice model
Human Trafficking training
11

2022 Budget Priorities: WIGs
1. Health & Safety: Achieve 5% reduction in major incident rate
(~16.5)
2. Employee Engagement: Achieve score +3% above 2021
baseline for employee engagement survey
3. Community: Complete 10% of 2014 Part 150 noise remedy
program
4. Customer Experience: Advance 10 Skytrax service attributes
for improvement from a 3 to a 4 ranking in the Skytrax audit
5. Financial Sustainability: Achieve debt service coverage > 1.4x
and cash balance = 14 months of O&M costs
12

2022 Budget Priorities: PIGs
1. Health & Safety: Achieve  93% safety evaluation score
2.  Community
Meet 2022 milestones for StART Noise Working Group and Federal Policy Working
Group initiatives
Begin procurement for the new Part 150 Study Update by Q4
3.  Customer Experience
70% of people experience a TSA line wait under 20 minutes and 90% under 30 minutes
Open 11 ADR units at NSAT by Q2
Open Salty's by Q4
4.  Asset Management, Capital Development and Delivery
SSAT - Commission approval for advancement Q2 and Design Notice of Intent to
Award Q4
Complete SAMP Estimate Review by Q1
Resources to deliver capital program budgeted and in place Q3
Complete PDD for MT Program  Q4
13

2022 Budget Priorities: PIGs
5. Environment & Sustainability:
Land Stewardship: Approved tree replacement and management approach in
support of future development
Scope 1 and 2 GHG Emissions: achieve 2022 milestones for Sustainable Fleet
Plan implementation as appropriate for individual department budgets (AVM
lead with AVENV support); complete NREL work to analyze long-term energy
alternatives to reduce carbon emissions from the SEA central mechanical plant
Scope 3 GHG Emissions, airline emissions: Advocate for SAF opt-in credits in
LCFS rulemaking; continue to implement APU project and complete root-cause
analysis by Q4; complete MSW-to-liquid fuels study in partnership with King
County.
Scope 3 GHG Emissions, GT: Progress achieved on environmental strategies as
identified in 2022 GT Workplan
14

2022 Budget Priorities: PIGs
5. Environment & Sustainability (cont.):
Sustainable Project Framework: Finalize guidance manual based on lessons
learned from 2021 pilot project. Develop a workplan to achieve remaining
Commission directives such as inclusion of social equity, operational decisions,
lease agreements.
Solid waste: 2022 milestones on workplan to reduce single-use
plastics. [potential new solid waste target pending outcome of Director and
Commission briefings this year.]


15

2022 Budget Context and Drivers
Planning for passenger level at 95% of 2019
Planning for major capital program
Successfully deferred many costs that would have hit 2020/2021 
must address in 2022 budget
Committed capital projects with major expense elements in 2022
Full costs of IAF and NSAT included in 2022 budget
Costs rising in many areas, particularly payroll
Remaining federal relief grants will mitigate airline rate increases
Used modified zero-based budget: department budget targets
based on 2021 budget and 75% of 2020 travel and training
budgets.
16

Passenger Forecast Assumptions
2021 Forecast:
Grow 91% vs. 2020
Down 26% vs. 2019
2022 Budget:
Grow 35% vs. 2021
Down 5% vs. 2019
Overview:
Domestic leisure market
leading recovery
Business and International
recovery lagging

17

Preparing for Major Growth of Capital Program
2022 Operating budget
adds resources to
effectively plan and
deliver growing capital
program
Spending forecast does
not include Sustainable
Airport Master Plan
near term projects

18

Aviation Operating Expense Budget Changes
Note: Aviation division Org
Basis  this chart does not
include direct charges or
allocations from other
divisions.
Increase in payroll
vacancy factor to 5%
Payroll $16.2M
PMG Consultants $14.0M
Costs tied to revenues $2.8M
Contract increases/other: $5.1M




19

Summary of Proposed Budget Additions
All amounts in $000

Requests    Approved            Category             Number     Amount
Expense Items
Musts                    37        7,501 
Number           247         203
WIGs                   37       8,887 
Amount         48,863       39,112
PIGs                        35         6,296 
Number of FTEs                                   Exp for Capital Project       5          7,135 
Unfreeze            42.6          36.6             New Facilities              6          3,158 
New            64.0       45.0         Other                83      6,135 
Total                  106.6           81.6               Total                         203         39,112
WIGs = Wildly important goals (top strategic priorities)
PIGs = Pretty important goals (other strategic priorities)

20

Highlights of Proposed Budget Additions
Amount
Description                      in $000
Significant portions of Airline               Airline Realignment             6,578
Realignment project are accounted      New FTEs: 81.6             5,478
for as expense                          Consolidated Services Contract     4,100
Planning                           1,775
Phased starts for new FTEs                 SAMP Environmental Review      1,500
throughout 2022                      ADR PM Consultants          1,220
Air Service Incentives                   975
Many continuing initiatives are re-         Asset Management Program        800
approved annually to manage scope     Utility Master Plan            700
STOC Furniture and Equipment        700
and cost                                AAAE Conference Sponsorship      650
Air service incentives are                   Window Cleaning                636
Pest Control Contract                  627
contractual obligations                   Cargo Buildings Roof Coatings       563
SEA hosting AAAE conference              Art Conservation                 535
Cargo Building Fire Protection          500
Remaining 130 items               11,775
Total                                 39,112

21

Summary of Budget Requests
2022 Budget Requests (in $000's)
# of
Budget Request Category
Requests                       Non-
FTEs     Baseline                Total
Recurring
Health and Safety                      28            11.0       1,983       1,897       3,880
Security                            8              3.0         371         224         594
Employee Engagement                 4            -           23       145       168
Community                    8           -         220       790     1,010
Innovation and Efficiencies                  14              3.0         528         244         772
Social Responsibility                      1               -              0         100         100
Customer Experience                   39            17.6       7,457      1,421      8,878
Environment and Sustainability               22             -           717       1,555       2,272
Financial Sustainability                     9               3.0          297       1,295       1,592
Asset Management, Capital Projects, and Planning      70            44.0       4,668     15,178     19,846
2022 Budget Requests - Total Proposed           203            81.6    $ 16,264   $ 22,848   $ 39,112
2022 Budget Requests - Initial Requested          247          106.6         $ 22,256   $ 26,607   $ 48,863
22

Major Budget Requests by Strategic Priority
Health & Safety                                 Social Responsibility
Pest Control contract                      627     Human trafficking training                  100
Cargo Building fire protection              500
Fire apparatus maint. contract             400     Customer Experience
Bird & Mammal hazard contracts          330    Consolidated Cust. Serv. contract        4,100
Replace AEDs                          300    Janitorial contract increases              964
3 Firefighters                                 155     Restore 13.6 Ops. & Maint. FTEs            916
4 Airfield operation specialists              260     Waste receptacles                            412
Resiliency exercise                         150     Quality Assurance program                 270
Community                             Financial Sustainability
AAAE Conference sponsorship            650    New air service incentives                975
Outside prop. garbage & veg. control       200
23

Major Budget Requests by Strategic Priority
Environment & Sustainability                   Asset Mgmt, Capital Projects & Planning
Cargo building rooftop coating             563    Expense elements of capital projects     6,894
Building energy efficiency audit             200    Maintain existing facilities/ 10 FTEs       3,816
NREL Athena pass. mode choice          125    Capital program growth/ 25 FTEs        2,916
TMA consulting contract                   75    Maintain new facilities/ 9 FTEs           1,903
Planning studies                          1,775
SAMP Environmental Review            1,500


24

Proposed FTEs Restore Total to 2020 Level
Same FTE count as 2020, but FTEs
address changing needs
Proposed Budget strategically adds
back FTEs in order to:
Meet operational needs
Service new facilities
Advance key initiatives
Address growing capital program
Including 2021 mid-year adds:
51/102 Frozen positions restored
51.6 new positions
25

Total Airport Expense Summary
Total Airport Expense Summary         2019        2020       2021       2021        2022          Incr (Decr)
Proposed    Change from 2020         Payroll:
($ in 000's)                      Actual       Budget      Budget      Fo recast      Budget          $            %                   Contract increases
Operating Expenses                                                                                                                  Ave. PFP 6%
Payroll                                      144,051    160,340   153,293    153,183    167,505      7,165        4.5%            Payroll vacancy 5%
Outside Services                              68,162      79,889     65,174      66,406    101,757     21,868      27.4%
Utilities                                               18,180       21,180      20,244       19,619       21,008         (172)       -0.8%               81.6 new FTEs
Charges to Capital                            (19,874)    (27,043)   (22,679)    (22,970)    (37,815)   (10,772)     39.8%         Non-payroll
Other Expenses                             34,595     32,267    24,039     25,029     32,852        585       1.8%           Project outside
Total Airport Direct Charges               245,114    266,634   240,071    241,267    285,307    18,673      7.0%
services
Environmental Remediation Liability           15,900       2,648      2,001       2,196         985     (1,663)    -62.8%            Contractual
Capital to Expense                              2,089             -            -         218             -            -
Total Exceptions                            17,989       2,648      2,001       2,414         985     (1,663)   -62.8%             increases
Total Airport Expenses                      263,104    269,282   242,072    243,680    286,292    17,011      6.3%
Corporate                                  65,729      77,460    69,767      70,076      78,922      1,462       1.9%
P olice                                                22,290       26,233      23,964       23,513       27,658       1,425         5.4%
5.4% Growth over
Maritime/Economic Development/Other        4,123       4,332      4,105       3,991       4,842        510     11.8%
92,141   108,025   97,836    97,580   111,422    3,397     3.1%             2020 Budget
Total Charges from Other Divisions
Total Operating Expenses                 355,245    377,306   339,908    341,260    397,714    20,408      5.4%
Actuals include pension credit.

26

Budget Summary with Grant Impacts
Budget Summary            2019        2020        2021        2021        2022           Incr (Decr)
Proposed       Change from 2020
($ in 000's)                    Actual         Budget        Budget        Fo recast        Budget            $              %
Operating Revenue
Aeronautical Revenues                   357,598     401,342     386,668     300,332     413,527       12,185         3.0%
Non-Aeronautical Revenues              269,037     283,167     189,548     184,024     241,146      (42,021)      -14.8%
Total Operating Revenues               626,636     684,510     576,215     484,356     654,673     (29,837)      -4.4%
Total Operating Expenses               355,245     377,306     339,908     341,260     397,714      20,408        5.4%
Improving
Net Operating Income                  271,390     307,203     236,308     143,095     256,959     (50,245)     -16.4%
Federal Relief                                                                 37,899      160,666       76,058       76,058                          Bottom Line
Federal Relief (Concessions)                                                                 5,355       21,419       21,419
NOI (After Federal Relief Grants)        271,390     307,203     274,207     309,116     354,435      47,232       15.4%
Debt Service Coverage                       1.68              1.80              1.36              2.15              1.91              0.11         6.0%      Improving
ADF Cash Balance - Months of O&M          10             10             12             14             14               4         40.0%     Key Measures
CPE                           12.86     13.92     19.62     14.01     15.35      1.43     10.3%
Non-Aero NOI ($ in 000s)                143,917     154,660       82,742       82,517     108,048      (46,611)      -30.1%
Enplaned passengers (in 000s)               25,874       26,667       18,216       19,190       24,648       (2,018)        -7.6%
-              -              -              -              -              -
Capital Expenditures (in 000s)            573,598     513,131     491,202     483,342     514,812        1,681         0.3%
Actuals include pension credit.
Non-Aero revenue shown including concessionaire grant reductions.

27

Non-Aero Revenue Recovery as % of 2019 Actual
Comparison of Non-Aero Revenue and Enplanements
110%                                                          Parking 99%     Enplanements 95%
100%               100%
90%                                                  79%
80%
74%
70%                                                                    Clubs & Lounges 87%
60%
42%
50%
40%
39%
30%                                                    39%
20%
10%                                 20%
0%
2019                   2020                   2021                   2022
Actual                    Actual                   Forecast                   Budget
Parking                     Rental Car                  Ground Transportation
Airport Dining & Retail       Clubs & Lounges             Enplanements

28

Non-Aero NOI Before Concession Relief Grants 
Non-Aeronautical NOI            2019       2020       2021       2021       2022          Incr (Decr)
Proposed    Change from 2020
($ in 000's)                     Actual      Budget      Budget     Fo recast     Budget          $            %
Non-Aeronautical Revenues
Public Parking                             82,125     89,485     59,597     64,576     81,169      (8,316)      -9.3%
Rental Cars                                52,567     51,149     26,880     33,612     51,011        (138)     -0.3%
Ground Transportation                    20,765     22,299     13,628     11,482     18,306     (3,993)    -17.9%
Airport Dining & Retail                      61,615     66,145     45,936     40,381     60,267      (5,878)      -8.9%
Clubs and Lounges                       10,274     10,536      6,221      4,001      8,972     (1,564)    -14.8%
2022 Budgeted
Utilities                                                7,431        8,831        7,568        6,968        7,808       (1,023)     -11.6%
Revenues at
All Other                                    34,262     34,722     29,717     28,358     35,032         310        0.9%
Total Non-Aeronautical Revenues         269,037   283,167   189,548   189,378   262,565    (20,603)    -7.3%   98% of 2019
Total Non-Aeronautical Expenses         118,286   128,508   106,806   106,861   127,510       (998)    -0.8%
Non-Aeronautical NOI                  150,752   154,660    82,742    82,517   135,055   (19,604)   -12.7%
Less: CFC Surplus                         (6,834)          -           -           -     (5,588)    (5,588)
Adjusted Non-Aeronautical NOI          143,917   154,660    82,742    82,517   129,467    (25,192)   -16.3%
Debt Service                                (49,299)   (33,065)   (53,025)   (15,935)   (35,229)     (2,164)      6.5%
Net Cash Flow                           94,619   121,595    29,717    66,583    94,238    (27,356)   -22.5%
Non-Aero revenue shown before Concessionaire Relief grant reductions.

29

Aeronautical Cost Drivers
Impact on Aero
Revenues
2020     2021      2021      2022     Change from 2020
Proposed
$ in 000's                                   Budget     Budget    Forecast    Budget         $           %            IAF and NSAT add
O&M                      242,981    227,420    228,844    262,723     19,742    8.1%    operating and
Federal Relief Grants O&M                     -         (3,500)     (21,100)       (8,100)      (8,100)                        capital costs to
Net O&M                        242,981     223,920     207,744     254,623      11,642      4.8%
airline rate base
Debt Service Before Offsets                  174,455      193,302      190,120      235,151        60,696      34.8%
Debt Service PFC Offset                    (62,998)     (47,549)     (57,839)      (79,803)     (16,804)              26.7%
Federal Relief Grants Debt Service               -        (29,399)     (86,778)      (44,333)     (44,333) 
Net Debt Service                        111,457      116,354       45,503      111,015         (441)           -0.4%
Amortization                                32,326       32,681       32,624       33,739         1,413       4.4%            PFCs and Grants
Space Vacancy                              (490)      (1,141)      (1,063)      (1,682)      (1,193)           243.5%
offset $61 million
TSA Operating Grant and Other               (1,028)        (758)        (759)        (758)          270     -26.3%
growth in debt
Rate Base Revenues                    385,246     371,056     284,048     396,937       11,691        3%
Commercial area                           16,097       15,612       16,284       16,590          493         3%           service
Total Aero Revenues                     401,343     386,668     300,332     413,527       12,184        3%

30

Aeronautical NOI
Aeronautical NOI              2019          2020          2021          2021          2022             Incr (Decr)
Proposed       Change from 2020
($ in 000's)                     Actual          Budget          Budget         Fo recast         Budget            $              %              Grants
and PFCs
Rate Base Revenues
reduce
Airfield Movement Area                  123,436      132,128      115,037        87,899      121,862     (10,266)       -7.8%
Airfield Apron Area                         22,016        22,011        21,418        15,184        22,182          171          0.8%       Revenue
Terminal Rents                          205,283      212,943      213,147      166,593      229,371      16,428         7.7%       growth
Federal Inspection Services (FIS)            12,321         18,162         21,454         14,373         23,522        5,359        29.5%
Total Rate Base Revenues               363,057      385,245      371,056      284,048      396,937      11,691        3.0%
Airfield Commercial Area                   11,687        16,097        15,612        16,284        16,590          493         3.1%
Subtotal before Revenue Sharing        374,744      401,342      386,668      300,332      413,527      12,185        3.0%
Revenue Sharing                        (17,146)             -              -              -              -             -
Total Aeronautical Revenues              357,598      401,342      386,668      300,332      413,527      12,185        3.0%
Total Aeronautical Expenses              236,959      248,799      233,102      234,400      270,205      21,406        8.6%
Aeronautical NOI                       120,639      152,544      153,566       65,932      143,322      (9,221)      -6.0%

Debt Service                               (110,945)      (62,607)     (125,747)      (48,130)     (114,432)     (51,824)       82.8%
Net Cash Flow                            9,694       89,936       27,819       17,802       28,891     (61,046)     -67.9%

31

2022 Operating Budget Risks
Navigating uncertainty over path of recovery:
Need to be prepared for activity level near 2019
Need to be ready to cut back if recovery stalls
May have opportunity to shift more federal relief grants to
2022
Payroll vacancy rate of 5% included in budget
No contingency in budget  snow events would result in non-
budgeted spending
32

Federal COVID Relief: CARES, CRRSAA & ARPA
$250
CARES = $192                                     Concessions Grants
ARPA = $154    Total = $410
$200
$166.1                                American Rescue Plan Act
(ARPPA)
$147.1                 $5.4
($ in millions)      $150
Coronavirus Response & Relief
Supplemental Appropriation Act
$78.3               $97.5 TBD         (CRRSAA)
$100
$21.4           Coronavirus Aid, Relief &
$147.1                                                       Economic Security Act (CARES)
$37.4
$50
$76.1
$45.0
$0
2020                2021                2022

33

Growing Cash Balance for Greater Resiliency
$800
$700
Minimum balance targets:
$600
2021 - 12 months O&M
$500                                                                  2022 - 14 months O&M
$ in millions                                                                                                                               2023 - 16 months O&M
$400                                                                  2024 - 18 months O&M
$300
$200                                                                      ADF Ending
$100                                                                      Balance
$-                                                                                         Target
2021      2022      2023      2024      2025      2026

34

Federal Relief Grants Used to Surpass Debt Service Coverage Target
Variance 2022
BUD vs. 2021
in $000's   2020 Actual    2021 Forecast   2022 Budget       FCST
Revenues
Aero                                  297,909       300,332       413,527       113,195
Non-aero without relief                      116,473        189,379        262,565         73,186         Reflects preliminary grant use plan
Concession relief                                             (5,355)        (21,419)        (16,064)
Total Revenues                            414,382        484,356        654,673        170,317         Majority of federal relief used to
O&M                       329,680     341,260     397,714      (56,454)      pay debt service
NOI                                  84,702       143,096       256,959       113,863       Costs paid by grants excluded from
Federal Relief Grants Non-op                  43,257         31,859           9,758         (22,101)
Concession Rent Relief Grants                    -             5,355         21,419         16,064           airline rate base, thus reducing
CFC Excess                                                                (5,588)         (5,588)          Aero revenues
Other net non-operating                       5,604           2,674           2,601            (73)
Available for debt service                     133,562         182,984         285,149         102,165          Concessions rent relief grant is cash
Debt Service                                                                                              flow neutral (lower operating
Gross debt service (net of cap i)                249,555         287,283         316,930          (29,647)
CFC offset                                   (13,601)                 (14,168)        (18,711)          4,543           revenues, higher grant revenues).
PFC offset                                   (36,390)                (59,158)        (82,258)         23,100
Federal Relief Grants DS offset               (103,891)       (128,807)         (66,300)         (62,507)
Net Debt Service                             95,673         85,150        149,661         64,511
Debt Service Coverage                          1.40           2.15           1.91           (0.24)

35

Capital Program Will Grow
In 000's






Spending forecast does not include Sustainable Airport Master Plan near term projects

36

Updates on Progressing Major Capital Programs


37

In Design                                               C-1 Building Expansion

Scope: Add 4 floors to the existing 3 floor C1 Building.
Includes: Airport Dining and Retail space, office space, and lounge
space.

Schedule: Q1 2021  Q4 2027
Design Complete Q1 2023
Early Work Packages Start Q2 2022
Full Construction Starts Q2 2023
Substantial Completion Q4 2027


38

North Main Terminal
Proceeding to 30% Design
Redevelopment Program
Scope: Alaska Airlines is sponsoring and managing a tenant
reimbursable to redevelop of their Ticketing and other support
areas of the Main Terminal to improve passenger check-in, bag
drop and security screening capacity.
This program will be seeking full design authorization at the next
Commission Meeting (10.26.2021)
Schedule: Q1 2021  Q4 2024
Design Start Q3 2021
Phase 1 Construction Q1 2022 (Enabling Work)
Phase 2 Construction Q4 2022

39

Concourse A Lounge
At 60% Design
Expansion Projects
Scope: Delta Air Lines is sponsoring and managing a tenant
reimbursable project to build new structure at the end of
concourse A to support an expanded Club @ SEA and new Delta
Sky Club.

Schedule: Q2 2021  Q3 2023


40

South Satellite Renovation
In PDD Development
Program
Scope: This project will seismically and structurally strengthen the
SSAT, complete the effort of bringing all its' building systems up to
date, completely replace the lower-level FIS facility, and remodel
and expand the retail, dining and club space on the upper floors of
the facility.
Schedule: Q4 2021  2030
Design Begin Q1 2023
Construction NTP Q1 2025
Substantial Completion Q4 2029


41

In PDD Development                               Concourse A Duty Free

Scope: Design and construct a walk-through Duty Free on
the A concourse, adjacent to the new IAF exit for connecting
passengers. This project will provide 11,000 sq. ft. of
new Duty Free space.
This project will be seeking funding to complete the Project
Definition Document at the next Commission Meeting
(10.26.2021)
Schedule: Q2 2022  Q3 2026
PDD Completion Q2 2022
Design Begins Q3 2022
Construction Q3 2023
Completion Q3 2026

42

New/Updated Major Capital Programs

43

Main Terminal
Starting PDD 2022
Improvements Program
Current CIP Funding in Capital Plan: $396M
Scope Includes: Smoke control and sprinkler installation, ceiling,
lighting, mezzanine security improvements, restroom renovations,
ceiling signage, sewer & domestic water improvements.
Program Additional Funding Estimate: $404M
Scope Includes: Baggage level optimization plan implementation,
bag claim devices renewal and replacement, elevator renewal and
replacement, new signage, updated standards/requirements,
aesthetic visioning implementation, sustainability and innovation
program allowances.
Program Schedule Duration to 2033
Total Program Budget: $800M
44

In Planning           Starting PDD 2022                                  Concourse Modernization:
Starting PDD 2022
CHIRRP (Concourses B, C & D)
Concourse HVAC Infrastructure Renewal Replacement Program
Current CIP Funding in Capital Plan: $85M
Scope Includes: HVAC refurbishment triggering structural improvements.
Interior ceiling renewal and replacement, address outstanding code
issues.
Program Additional Funding Estimate: $170M
Scope Includes: Lighting renewal replacement, smoke control,
replacement of all ceiling mounted fixtures and signage.
Scheduled program over 8 years to 2029. Planned to phase one concourse
at a time.
Total CHIRRP Budget: $255M

45

In Planning                                           Utility Master Plan*

Providing capital scope for utility trunklines feeding existing facilities that are
exterior to our terminal complex.

Anticipated CIP Funding Required
Existing System Renewal and Replacement: $ 250M
SAMP Near Term Projects Projected Costs: TBD
SAMP Long Term Vision Projected Costs: TBD
Resiliency Projects Projected Cost: TBD


*Important to note that the UMP likely won't be its own program but will instead inform
other programs on what utilities are needed to support.
Utility Masterplan provides for trunk and mainline replacement as well as major CMP
replacements

46

Begin Project Development 2022                    Utility Meter Networking

Regulatory Requirement
Scope: Renewal and replacement of 700 end of life electric meters.
Implement a software solution for energy management.

Schedule: Q1 2022  Q3 2027
Budget: $35.6M Capital


47

Begin Project Development 2022                    IWTP Program

Regulatory Requirement
Scope: Install a Pretreatment System, segregate Lagoon 3 to high and
low BOD storages. Integrate the Pretreatment system to the existing
Industrial Waste System.
Required program to meet permit levels.

Budget: $100M


48

Capital Budget 2022 - 2026
Cash Flows (Figures in $000s)
2021                                                     2022 - 26
FCST     2022    2023     2024     2025     2026    TOTAL
Mega Projects
Baggage Optimization                    105,610      104,000     112,000      111,800      113,000     115,000        555,800
North MT Redevelopment                6,612            38,575      93,123     122,403       89,120        167       343,388
SSAT Renovation/Renewal               1,534            1,571           26,045       34,154      140,625     121,667       324,062
C1 Building Floor Expansion                 9,100             50,155       31,983       42,698        88,512       62,957        276,305
NSAT                        84,602     27,347      -          -        -        -         27,347
International Arrivals Facility                  68,439         20,509          -                -              -              -              20,509
Subtotal - Mega Projects               275,897     242,157   263,151     311,055     431,257   299,791     1,547,411
Other Capital Projects                   202,890      326,204     360,407      355,766      226,757      74,666      1,343,800
SAMP Preliminary Planning / Design     2,692            8,471           31,059       54,095       60,000      49,000       202,625
Proposed New Projects                 1,863            33,790      79,203     134,326      202,930     325,598       775,847
CIPs Reserves                         -           -         12,000      23,000       33,000      43,000       111,000
Subtotal                              483,342    610,622   745,820     878,242     953,944   792,055     3,980,683
CIP Cashflow Adj Reserve                -        (95,810)            57,486      38,324         -           -              -
Total Proposed CIP                 483,342    514,812   803,306    916,566            953,944   792,055    3,980,683 
Proposing 24 projects totaling $776M spending through 2026
CIP Reserve CIPs represent around 3% of five-year capital budget
Implementing CIP cash flow adjustment reserve to adjust 2022 cash flows
49

Major Projects
Estimated                                                 2022-2026
Major Projects                    Cost       2022     2023     2024     2025     2026      Total
SSAT Renovation/Renewal          1,000,000              1,571    26,045          34,154          140,625    121,667      324,062
IAF                            948,789    20,509            -         -         -         -       20,509 
Checked Bag Recap/Optimization       839,584    104,000    112,000    111,800    113,000    115,000      555,800
Main Terminal Improvement Prog       800,000      4,593     14,159           21,202           28,850           101,189      169,993
NSAT                      691,916   27,347          -       -       -       -      27,347 
North MT Redevelopment             350,000    38,575          93,123          122,403    89,120              167      343,388
C1 Building Floor Expansion             340,000     50,155            31,983            42,698            88,512            62,957             276,305
Noise projects                            311,316     13,771            28,885            50,135            53,487            38,105              184,383
SAMP Planning                     300,000      8,471    31,059          54,095          60,000          49,000           202,625
CIPs Reserves                                     -       12,000           23,000           33,000           43,000            111,000
Other Capital Projects                               245,820     454,052     457,079     347,350     260,970     1,765,271
Total                            5,581,605   514,812   803,306   916,566   953,944   792,055   3,980,683


50

Summary of Proposed New Projects
Cash Flows (Figures in $000s)
2022 - 26
Justification                 CIP        Description                          Cost Estimate    2021       2022        2023        2024        2025         2026     TOTAL
Asset Stewardship         C801266  Main Terminal Improvement Prog        800,000       536      4,593           14,159      21,202      28,850            101,189      169,993
Asset Stewardship         C801265  Conc HVAC renewal & replace           255,000         20      2,537            5,680           17,434      36,258             54,229            116,138
Reserves                 C801267  Utility Master Plan Allowance           238,392       -           -        19,000      30,000      61,000            97,000            207,000
Asset Stewardship         C801234  IWTP Program                          100,000        -        6,765            6,883           24,192      31,788             29,740             99,368 
Asset Stewardship         C801240  Utility Meter Networking                35,525              -        1,137            3,274            3,300            12,795             12,972             33,478 
Safety/Security            C801226  AFLD Lighting/Auto FOD Detecti           35,500               -            -           593       1,251              5,690       19,211             26,745 
Asset Stewardship         C801280  Concourse Low Voltage Upgrades         28,350              327      2,224           10,477      13,345        1,976          -        28,022 
Asset Stewardship         C801256  2022 Eastside Firestation                 20,000              -        5,000            5,000            5,000             5,000          -        20,000 
Asset Stewardship         C801225  400HZ Replacement Conc C & D           16,500              -           -           838      2,298             5,301        6,875      15,312 
Asset Stewardship         C801231  Building 161 D Retrofit                  11,313              -           717      1,881            3,713             4,394          608      11,313 
Asset Stewardship         C801223  DA and Condensate Sys Upgrades          9,805        -           -           787      1,588             4,381        3,049        9,805
Safety/Security            C801227  Airfield Snow Equipment                   8,620        -         4,310            4,310               -             -             -           8,620
Asset Stewardship         C801236  M.Terminal Exterior wall rehab            7,585        -           560      1,360            2,777             2,790           97        7,584
Safety/Security            C801238  Public Access DAS Upgrade                 5,600        -           510       1,717            2,962                411          -           5,600
Asset Stewardship         C801230  Boiler Room Upgrades                     3,410        -           461         835      1,502               612          -          3,410
Safety/Security            C801235  Learning center Re-roof                    3,010        -           319         678       1,525                488          -           3,010
Asset Stewardship         C801224  1947 Water Main - DBB                    2,263        -           764         992         506            1          -          2,263
Asset Stewardship         C801239  Sanitary Pipe Replacement                2,000        -            84         133         201          621          621        1,660
Safety/Security            C801237  Mid Field Checkpoints                      1,800        -           247         153         852          540            7         1,799
Asset Stewardship         C801233  Inform RMS Upgrade                      1,300        -           975         325         -            -            -          1,300
Customer experience      C801272  SEA Virtual Queue                       1,200       480        720                                                      720
Asset Stewardship         C801271  JOC Water Tank Replace                   1,100       500         600                                                        600
Community & Environment C801232  EV Chargers for AV Fleet                  932           -           92        128        678          34         -           932
Asset Stewardship         C801228  AV Maintenance Lift Truck                  800           -           800         -           -            -            -            800
Asset Stewardship         C801229  AVI Readers Refresh                       375           -           375         -           -            -            -            375
Total     1,590,380                1,863      33,790      79,203     134,326      202,930      325,598      775,847

51

Capital Projects- Summary
Cash Flows (Figures in $000s)
2021                                                   2022 - 26
Capital Projects                                  CIP      FCST      2022       2023       2024       2025       2026      TOTAL
Construction Authorized (Status 5-6)                                                                                                             27% authorized
Checked Bag Recap/Optimization               C800612      105,610     104,000     112,000     111,800     113,000     115,000      555,800 
2021-25 AFLD Pvmnt&Spprt Infr              C800930      27,543      41,814      26,107      32,224      20,007      3,067           123,219                    for construction
Upgrades STS Train Control                    C801043       1,262            15,117      27,660      23,260       8,462              -            74,499
Restroom Upgrades Conc B, C, D               C800697       11,482      14,545      9,793           5,621           2,193             -           32,152           31% have some
NS NSAT Renov NSTS Lobbies              C800556      84,602      27,347       -          -          -          -          27,347
International Arrivals Fac-IAF                   C800583       68,439      20,509         -            -            -            -            20,509              design
Subtotal                                                 298,938     223,332     175,560     172,905     143,662     118,067       833,526 
Other Construction Authorized Capital Projects    Multiple      127,873     110,535      56,797      37,759      17,217       7,255            229,563                     authorized
Total - Construction Authorized                          426,811   333,867   232,357   210,664   160,879   125,322    1,063,089
Design Authorized (Status 4)
North MT Redevelopment                     C801204       6,612           38,575      93,123     122,403      89,120        167      343,388                 42% have not
C1 Building Floor Expansion                     C800845       9,100            50,155      31,983      42,698      88,512      62,957       276,305 
Apartment Sound Insulation                     C200096           17       4,656            16,473      32,976      41,746      30,307       126,158                     been authorized
MT Low Voltage Sys Upgrade                 C800061       3,703           21,300      18,700      17,700      16,200      5,283             79,183
Art Pool                                       C102066         506       3,551            5,454            6,161            6,522            4,769              26,457            Planning to
Other Design Authorized Capital Projects         Multiple       25,839      80,852     132,287     106,653      43,636       2,356            365,784 
Total - Design Authorized                                  45,777   199,089   298,020   328,591   285,736   105,839    1,217,275             spend an
Pending Authorization (Status 2-3)
SSAT Renovation/Renewal                   C801203      1,534           1,571           26,045      34,154     140,625     121,667      324,062                   average $791
Utility Master Plan Allowance                   C801267         -            -          19,000      30,000      61,000      97,000       207,000 
Main Terminal Improvement Prog               C801266         536      4,593           14,159      21,202      28,850     101,189      169,993                     million per year
Conc HVAC renewal & replace               C801265          20      2,537           5,680           17,434      36,258      54,229      116,138 
Other Pending Capital Projects                   Multiple        8,664            68,965     150,559     236,197     240,596     186,809       883,126 
Total - Pending Authorization                               10,754     77,666   215,443   338,987   507,329   560,894    1,700,319
Subtotal                                                483,342   610,622   745,820   878,242   953,944   792,055    3,980,683
CIP Cashflow Adj Reserve                  C801141        -       (95,810)            57,486      38,324        -           -             -
Grand Total                                            483,342   514,812   803,306   916,566   953,944   792,055    3,980,683

52

Capital Funding Plan 2022-2026
1,000,000
900,000
800,000
700,000
600,000
500,000
400,000
300,000
200,000
100,000
-
$ in 000's             2022                      2023                      2024                      2025                      2026
Future    ADF    AIP    Prior Bond    PFC    TSA    CFC

53

Passenger Recovery Forecast
Annual
Change  Vs. 2019
2020   -61.2%   -61.2%
2021    90.5%   -26.1%
2022    28.7%    -4.9%
2023     4.1%    -1.0%
2024     2.3%     1.3%
2025     2.5%     3.8%
2026     2.6%     6.5%
Surpass 2019
passenger level by
2024

54

Financial Forecast 2022 - 2026
In $000's                                  Actual     Fore cas t    Budge t    Fore cas t    Fore cas t    Fore cas t    Fore cas t
2020      2021      2022      2023      2024      2025      2026
Airline Revenue                        $  297,909  $  300,304  $  413,527  $  478,463  $  532,669  $  571,841  $  639,553
Non-Airline Revenue (a)                    116,473     184,024     241,146     279,861     295,757     311,326     335,162
Total Revenue                        $  414,382  $  484,328  $  654,673  $  758,324  $  828,425  $  883,167  $  974,715
Operating Expense                        329,680      341,260      397,714      421,003      439,423      454,391      466,340
Net Operating Income                 $   84,702  $  143,068  $  256,958  $  337,321  $  389,003  $  428,775  $  508,375
Federal grants Non-Op Revenue           43,257            31,859              9,758         -           -           -           -
CRRSAA and ARPA concession relief        -          5,354      21,419              -           -           -           - 
Net Non-Operating Income/Expense         5,604       2,674       2,601       9,160      10,855            11,437            11,760 
CFC Excess(b)                             -           -        (5,695)     (9,582)    (11,380)    (13,243)    (15,258)
Available for Debt Service              $  133,563  $  182,955  $  285,042  $  336,898  $  388,478  $  426,969  $  504,876
Gross Debt Service (net of cap i)        $  249,555   $  287,283   $  316,930   $  322,261   $  362,133   $  407,563   $  480,529
CFC Offset                            (13,601)     (14,168)     (18,711)     (24,659)     (24,905)     (25,134)     (25,389)
PFC Offset                            (36,390)     (59,158)     (82,255)   (103,945)             (89,085)     (98,586)   (101,128) 
Federal grants DS offset                  (103,891)             (128,807)               (66,300)         -            -            -            -
Net Debt Service                      $   95,673  $   85,150  $  149,665  $  193,656  $  248,144  $  283,843  $  354,013
Net Cash Flow                       $   37,890  $   97,805  $  135,377  $  143,242  $  140,334  $  143,127  $  150,864
(a) $5.3M Federal grants for Concessionarie relief have been applied to reduce the 2021 revenues, and $21.4M for 2022 budget.
(b) CFC collection in excess of CFC debt service/O&M is restricted and cannot be used for other revenue bond debt service

55

Financial Forecast 2022  2026 Metrics
Actual    Fore cas t    Budge t    Fore cas t   Fore cas t   Fore cas t   Fore cas t
2020      2021      2022      2023      2024      2025      2026
Key Measures
Debt Service Coverage                      1.40        2.15        1.90        1.74        1.57        1.50        1.43
ADF Balance - Months of O&M             10           14           14           16           18           18           18 
CPE                       $   27.43  $   14.01  $   15.35  $   17.34  $   18.92  $   19.86  $   21.78
O&M per Enplaned Passenger         $    32.82  $    17.78  $    16.14  $    16.43  $    16.73  $    16.88  $    16.90
Debt per Originating Passenger          $      538  $      244  $      218  $      243  $      279  $      313  $      333
Activity
Enplaned Passengers(000's)                10,044      19,190      24,648      25,626      26,266      26,923      27,596
Growth Rate                              -61%       91%       28%        4%        2%        3%        2%





56

APPENDIX  AVIATION DIVISION

57

Aviation Appendix Table of Contents
1. SWOT
2. Operating Budget
Explanation of Baseline Budget Changes
ERL summary
2021 Budget Request  detail listing
FTE Reconciliation and itemized requests
Non-aeronautical revenue budgets by business unit
Federal relief grants use plan  cost center allocations
58

STRENGTHS, WEAKNESSES, OPPORTUNITIES
AND THREATS
59

2021 SWOT: SEA
STRENGTHS
Seattle is well positioned as an International Gateway
Two high performing hub airlines with strong global alliances
New Facilities: Opening IAF and NSAT will improve customer experience
Employees' ability to adapt and innovate during operational disruptions,
and employee engagement opportunities
SEA brand , FlyHealthy@SEA, and tenant engagement strategies
Federal relief  replenish fund balances and augment debt service
coverage

60

2021 SWOT: SEA
WEAKNESSES
Finances have been impacted by COVID 19
Constrained land and aging facilities resulting in suboptimal level of
service for tenants and passengers
Project construction activities impact operations, customer service and
non- aeronautical revenues
Capital Program - affordability and resources to deliver the program to
meet the expected LOS
Staffing challenges (employee engagement, filling key positions, safety
concerns returning to the office, diversity of internal staff)
Competing, changing or unplanned priorities
61

2021 SWOT: Industry/Business Context
OPPORTUNITIES
Regional economy remains strong, with a pent-up demand for travel
Emerging Technologies to enhance customer experience , revenue and
operational efficiencies : biometrics, app-based, pre-booking, and virtual
queuing, etc.
Future federal funding support for airports
Leverage hub airline partner investments (e.g., Alaska NMTR  Delta Air
lounge)
IAF Facility will be an attraction for other international airlines
Explore prospects for new non-aeronautical revenues
Expect growth through AAG alliance with oneworld
62

2021 SWOT: Industry/Business Context
THREATS
Pandemic uncertainties (variants, return of business travel, telework, lack of
guidance on digital health passports, restrictions etc.)
Airlines are in recovery mode and focus remains on cost cutting
Volatile Construction Market
Risk of meeting DBE, WMBE & SBE objectives
Regulatory Changes and lack of agency resources
Climate change and impact on airport resiliency
Cyber attacks concerns (e.g., network security, ransomware, insider threats)
Community Concerns (e.g., opposition to airport expansion, SAF, permit
changes, biometrics)
63

BUDGET MANAGEMENT: BASELINE BUDGET
CHANGES
64

Payroll Budget Up $14M over 2021
Baseline Budget includes:
6% average pay increases for Non-Represented employees
Contractual pay increases for Represented employees
5% Vacancy factor (reduces expected payroll costs)
21 positions (new or unfrozen FTEs) approved during 2021
FTE Budget Requests include:
81.6 new FTEs (new or unfrozen)

65

Non-Payroll Budget Up $30M over 2021
Non - Payroll Baseline Budget ($4M) decrease:
Increased AVPMG consulting costs to support Aviation capital program
Contractual increases for existing contracts, some additional costs for new
facilities and other expenses related to returning passenger volumes
Partially offset by:
$15M higher Charges to Capital (reduces Non - Payroll expense)
$1M lower ERL expense
Non - Payroll New Budget Requests $34M increase:
Includes costs for new facilities, airline realignment and other expenses
related to a growing capital program
Net Non-Payroll budget increase of $30M and 34%
66

Summary of Changes in Aviation Direct Expenses
2022 Budget - Aviation Direct Expenses:                                                      $000's
Payroll Increases
Payroll Increase related to existing FTEs (baseline)                                       9,050
Proposed new FTEs (budget requests)                                                 5,247
Total Payroll Increases                                                                    14,297
Non-Payroll Increases
AVPMG consulting services (100% charged to capital)                13,970
Lower ERL expense                                             (1,016)
Higher estimated Charges to Capital (decrease to OpExp)              (15,136)
All other Non-Payroll changes in baseline budget                           58
Net impact of Non-Payroll changes (baseline budget)                                   (2,124)
Proposed additional Non-Payroll expense (new budget requests)                        33,864
Total Non-Payroll Increases                                                             29,978
Total 2022 Budget - Aviation Direct Expense Cost Increases                                    44,275

67

Change in Charges to Capital
2022 Charges to Capital compared to 2021 Approved Budget:               $000's
Higher estimated Charges to Capital (decrease to OpExp)
AVPMG incremental consulting & OH charged to Capital         12,173
AVPMG increased payroll costs charged to Capital                 2,074
All other increased Aviation payroll costs charged to Capita           699
Increase in all other AV non-payroll Charges to Capital                190
Total increase in Charges to Capital                                    15,136


68

Cost Reductions
2022 Baseline Cost Reductions/Savings:                                            $000's
Payroll Savings (before new FTE requests)
Increase in Payroll Vacancy (5.0% assumption) in 2022 Budget               6,650
Removal of eliminated FTEs (or expired Limited Duration positions)            554
Total Payroll cost reductions                                                     7,204
Total Non-Payroll cost reductions                                                  23

Total 2022 Baseline Cost Reductions                                                7,228


69

Baseline Cost Increases
2022 Baseline Cost Increases compared to 2021 Revised Budget:         $000's      2022 Baseline Cost Increases continued:                      $000's
Payroll Increases (before new FTE requests)                                               Non-Payroll Cost Increases due to revenue growth
Non-Represented Annual Increases (Pay & Benefits)            3,597                      Clubs & Lounges - higher usage/increased volume      967
Represented Annual Increases (Pay & Benefits)                 6,010                      Credit Card usage fee increases                       906
Annualized new FTEs approved in 2021 Budget                 1,393                     B&O tax increase                                   897
Add New FTEs approved in 2021 (mid-year approvals)          3,197                      Total Non-Payroll Cost Increases due to revenue growth   2,770
Grade/Equity Changes                                       1,701
All other payroll increase/adjustments                             355                    Other Non-Payroll Cost Increases
Total Baseline Payroll Increases                                    16,254            AVM contract increases                           3,046
Utilities increase (rate & usage)                         767
Non-Payroll Cost Increases due to growing Capital Program                                   Restore travel to 75% of 2020 Approved Budget      1,180
AVPMG Outside Services consulting costs (100% charged to Capital)    13,970            All other Non-Payroll increases to Baseline           137
Other Non-Payroll Increases (zero based budgeting)        5,129
Baseline Cost Increases continued:                                                  Total 2022 Baseline Cost Increases                           38,122



70

Environmental Remediation Liability Expense
Budget Change
ERL Expense                        2019       2020      2021      2021     2022   2022 B v 2021 B
Org Basis (in 000's)                         Actual       Actuals      Budge t     Forecast   Budge t      $        %
North Satellite
Asbestos                                 10,744                (86)                      (435)                       -      n/a
Contaminated Soils                            3,585               (741)                          483                        -      n/a
NSAT - ERL Expense                 14,329             (827)             -         47          -        -     n/a
South Satellite
SSAT - HVAC Infrastructure Upgrade         4,323                 -                                           -      n/a
SSAT - ERL Expense                   4,323               -           -           -         -         -     n/a
International Arrivals Facility
Asbestos                                   (767)              (61)                         7                    -      n/a
Contaminated Soils                           (1,092)                139                            7                     -      n/a
IAF - ERL Expense                     (1,860)               78            -          14           -         -     n/a
Airport Employee Services Ctr                                           1,067             1,047                    (1,067)          -100%
Baggage Optimization Phase 2                                            316             316                    (316)        -100%
Phase 2 eGSE charging stations                                             502             202                     (502)        -100%
Lora Lake (lake parcel)                        (1,066)              (1,846)                              55                       -      n/a
All other RMM expense                       174             234            116            759          985          869       749%
Total ERL Expense                    15,900            (2,361)            2,001           2,440           985       (1,016)         -51%

71

BUDGET REQUESTS

72

Summary of Budget Requests
2022 Budget Requests
# of
Budget Request Category
Requests                            Non-
FTEs       Baseline                       Total
Recurring
Health and Safety                      28            11.0       1,983,180       1,896,995       3,880,175
Security                            8              3.0         370,856         223,500         594,356
Employee Engagement                 4            -           23,010        144,500        167,510
Community                    8           -         220,000       790,250      1,010,250
Innovation and Efficiencies                  14              3.0         528,493         243,929         772,422
Social Responsibility                      1               -               -             100,000         100,000
Customer Experience                   39            17.6       7,456,892       1,420,792       8,877,684
Environment and Sustainability               22             -           717,000       1,554,695       2,271,695
Financial Sustainability                     9               3.0          296,677        1,295,000        1,591,677
Asset Management, Capital Projects, and Planning      70            44.0       4,667,764      15,178,168      19,845,932
2022 Budget Requests - Total Proposed           203            81.6  $  16,263,872  $  22,847,829  $  39,111,701
2022 Budget Requests - Initial Requested          247          106.6        $  22,255,809  $  26,606,920  $  48,862,729

73

Budget Requests: Health and Safety
Problem / Need /                                                    2022 Budget Requests
AV Priority                                         Solution
Opportunity                                                                 Non-
FTEs       Baseline                       Total
Recurring
UPM Pest Control Contract (Western)                      -            627,000            -            627,000
Fire Protection and Fire Prevention                         -                -             500,000         500,000
Fire Apparatus Maintenance Contract (additional)           -                -            400,000         400,000
Airfield Operations Specialists                                4.0         260,489             -             260,489
Travel and Training Supplemental Funding                  -               -            157,000         157,000
Firefighters                                                    3.0          154,911             -             154,911
UPM Coordinator                                       1.0        109,345           -           109,345
Health and  Maintain and Improve Safety
Airport Duty Manager                                     1.0          83,424            -             83,424
Safety      of Airport Operations Area
Bunker Gear                                           -              -            98,210         98,210
Safety Compliance Specialist                                1.0          68,349            -             68,349
ADA Seating STS and Respite                               -               -             86,542          86,542
Alarm Technician                                         1.0          74,297            -             74,297
Airfield/Gate Striping Design Support                       -                -              75,000          75,000
LiftNet Technical Support                                   -              75,000            -              75,000
Overheight Warning System Installation                    -               -             67,200          67,200
Continued on next slide


74

Budget Requests: Health and Safety, ctd.
Problem / Need /                                                    2022 Budget Requests
AV Priority                                         Solution
Opportunity                                                                 Non-
FTEs       Baseline                       Total
Recurring
Mammal Hazard Mitigation Contractor                     -             50,000            -             50,000
UPM Coordinator Services Contract (Avisure)                -                -             50,000          50,000
Enhanced Driver Training Material Development            -               -             48,500          48,500
Maintain and Improve Safety AOB: Hot Desk/Office Equip                               -               -             40,058          40,058
of Airport Operations Area,  Bagwell Signage                                            -                -              30,000          30,000
ctd.               Stanchions Renew and Replacement                          -               28,565              -               28,565
Slide in Snow Sanders                                     -                -             25,500          25,500
Fire Hose                                                  -             20,000            -             20,000
Health and
Privacy Screen Renewal and Replacement                 -               -             18,985         18,985
Safety, ctd.
Facility Life-Safety
Public Access AED Replacement                           -               -           300,000               300,000 
Enhancements
Bird Trapping Contractor                                    -            199,300                     -          199,300 
Reduce Wildlife Strikes
Raptor Strike Avoidance Program (RSAP) Contract           -             82,500            -             82,500
Prepare for Emergencies   Multi-Year Preparedness/Resiliency Exercise Support       -           150,000                   -           150,000 
Health and Safety Total                                                                       11.0  $  1,983,180  $  1,896,995  $  3,880,175

75

Budget Requests: Security
Problem / Need /                                                    2022 Budget Requests
AV Priority                                         Solution
Opportunity                                                                 Non-
FTEs       Baseline                       Total
Recurring
Electronic Technician                                         1.0         130,741             -             130,741
Aviation Security Compliance Coordinator                   1.0         108,009            -            108,009
See Say Airport App - Annual Service / Use fee               -                -             127,500         127,500
Maintain and Enhance    Credential Center Background Specialist                    1.0         88,105           -             88,105
Security       Overall Security at the
Airport            Cell phones for AV Sec SAC/FES/CSS teams                  -                -              86,000          86,000
Regulatory "No Fly" monitoring contract                    -              24,000            -              24,000
IAF Security Lock Core Support Contract                     -              20,000             -              20,000
SEA Safety Act Certification Application Maintenance        -                -              10,000          10,000
Security Total                                                                                    3.0  $    370,856  $    223,500  $    594,356

76

Budget Requests: Employee Engagement
2022 Budget Requests
Problem / Need /
AV Priority                                             Solution
Opportunity                                                                      Non-
FTEs       Baseline                        Total
Recurring
2022 Av Sec Ops Uniform                                     -               -           105,000         105,000
Employee   Foster Employee Development Right Sizing accounts                                 -          23,010           -          23,010
Engagement      and Leverage Talent
AVBP Team Relocation within AOB                             -               -            23,000          23,000
Misc. Small Requests                                           -                -             16,500           16,500
Employee Engagement Total                                                                    -    $     23,010  $     144,500  $     167,510




77

Budget Requests: Community
2022 Budget Requests
Problem / Need /
AV Priority                                             Solution
Opportunity                                                                      Non-
FTEs       Baseline                        Total
Recurring
2022 AAAE Annual Conference Sponsorship                    -               -           650,000         650,000
OTF Vegetation Control                                        -            120,000              -            120,000
Promotional Hosting,     OTF Dumping Control - Prevention                             -             80,000             -             80,000
Sponsorships and Other
AMAC Sponsorship                                       -           10,000            -           10,000
Community                        Promotional Hosting for Airline Executives - Promo
-                 10,000                  -                 10,000
Hosting and Employee Food
Noise Sound Insulation Homeowner Handbooks               -               -            79,000          79,000
Airport Noise Mitigation    Ground Noise Study                                             -                 -             36,250           36,250
Part 150 Noise and Land Use Study Update                      -                -             25,000          25,000
Community Total                                                                            -    $    220,000  $    790,250  $   1,010,250


78

Budget Requests: Innovations and Efficiencies
Problem / Need /                                                    2022 Budget Requests
AV Priority                                         Solution
Opportunity                                                                 Non-
FTEs       Baseline                       Total
Recurring
Manager Airport Operations                               1.0         121,428            -            121,428
Sr Operations Controller                                     1.0          71,422            -              71,422
Admin Assistant to COO                                   1.0          49,643            -             49,643
Airport Integrated Control Center planning effort            -                -              50,000          50,000
Keep Up with Growth of the AOB: Surface Hubs                                       -               -             37,372          37,372
Airport            AV Ops Consultant Services                                 -                -              30,000          30,000
Innovation                           AAAE Art in the Airports                              -             -            25,000         25,000
and                          AAAE supplemental contribution                    -            -          25,000        25,000
Efficiencies                                Common Use Bag Sizers                                    -                -              22,805          22,805
AOB: Mobile Power Units                                -               -             13,752         13,752
Virtual Queueing Software                                -            236,000            -            236,000
Passenger Processing and
General Signage Procurement                            -             50,000           -             50,000
Safety
Facial Recognition Consultant Procurement                 -               -             15,000          15,000
Leverage Employee
Innovation to Solve Business Crowdsourced Innovation Challenge Software              -                -             25,000          25,000
Challenges
Innovation and Efficiencies Total                                                                  3.0  $    528,493  $    243,929  $    772,422

79

Budget Requests: Social Responsibility
2022 Budget Requests
Problem / Need /
AV Priority                                             Solution
Opportunity                                                                      Non-
FTEs       Baseline                        Total
Recurring
Social
Combat Human Trafficking   Human Trafficking training                                   -               -           100,000         100,000
Responsibility
Social Responsibility Total                                                                                  -     $          -     $     100,000  $     100,000





80

Budget Requests: Customer Experience
Problem / Need /                                                    2022 Budget Requests
AV Priority                                         Solution
Opportunity                                                                 Non-
FTEs       Baseline                       Total
Recurring
ACCS Contract - VIP Hospitality                              -           4,100,000             -           4,100,000
Cruise Transportation Coordinators                          2.8         256,447            -            256,447
Language Line (Interpretive Services) - Budget Increas       -                -             140,000         140,000
Pathfinders (Airport Customer Svc Rep)                      2.0         105,008            -            105,008
Realign SSAT and A glass Walls Post IAF                      -                -             131,873         131,873
Airport Duty Manager - Terminal                            1.0          86,964            -             86,964
Sr. Sign Grphcs Dsgn Spec                                    1.0          73,870             -              73,870
Landside Supervisor                                       1.0          70,902            -             70,902
Customer                          Ground Transportation Controller                      1.0        48,435          -           48,435
Processing Passengers
Experience                            Parking Cashiers                                      1.0         46,460           -            46,460
Laborer Parking/Fueler Cleaner                             1.0          49,255            -             49,255
Prospect - Wheelchair Assistance                           -             55,000            -             55,000
Seasonal Bus Drivers                                        1.8          54,582            -             54,582
Regulatory and Informational Signage Consultant           -                -             50,000          50,000
Accessibility Customer Service Elevation                    -              40,000             -              40,000
Additional stanchions for Rental Car queueing              -                -              30,000          30,000
Flight Information Display Design                           -                -              25,000          25,000
Transoft Solutions Maintenance Fees                      -              3,000            -              3,000
Continued on next slide

81

Budget Requests: Customer Experience, ctd.
Problem / Need /                                                    2022 Budget Requests
AV Priority                                         Solution
Opportunity                                                                 Non-
FTEs       Baseline                       Total
Recurring
Airport wide window cleaning budget reinstatement       -            636,000            -            636,000
Standard waste receptacle purchase                       -               -            412,300         412,300
Zone 1 Contract price increase                               -             499,000             -             499,000
Zone 3 contract price increase                                -             465,000             -             465,000
Smart Restroom technology subscription                   -               -            140,000         140,000
Customer
Facilities Cleanliness and
Experience,                            Aviation Field Technician                                1.0        100,364           -           100,364
Appearance
ctd.
Painter                                                    1.0          99,067            -             99,067
SEA Restroom Digital Signage                              -                -            100,000         100,000
AV F&I Intermediate Engineer                             1.0          65,993            -             65,993
DC Inventory Specialist                                       1.0          36,591             -              36,591
NW CASCADE - Honey Buckets restrooms cell phone
-                13,000                 -                  13,000
lot
Continued on next slide

82

Budget Requests: Customer Experience, ctd.
Problem / Need /                                                    2022 Budget Requests
AV Priority                                         Solution
Opportunity                                                                 Non-
FTEs       Baseline                       Total
Recurring
QA Program - New Budget Request                       -            270,000           -            270,000
Replace Food Court Seating                               -               -            242,656         242,656
Customer Communications Manager                      1.0         98,549           -            98,549
Seating Replacement                                   -               -            83,963         83,963
Strategic Customer
Virtual Concierge Pilot Program                             -                -              65,000          65,000
Customer    Experience Improvements
Experience,                            Live Music Program - ADR                               -            60,000           -            60,000
ctd.
Temporary Art Exhibition                                  -             50,000            -             50,000
Baseline Restoration, Terminal Education                   -             35,000            -             35,000
Rightsizing Employee Expenses - Upgrades                 -              8,406            -              8,406
Host Targeted Training to
Deliver Exceptional      Customer Service Training                                  -             30,000            -             30,000
Customer Service
Customer Experience Total                                                                  17.6  $  7,456,892  $  1,420,792  $  8,877,684

83

Budget Requests: Environment & Sustainability
2022 Budget Requests
Problem / Need /
AV Priority                                             Solution
Opportunity                                                                      Non-
FTEs       Baseline                        Total
Recurring
Building Energy Efficiency Audit                                   -                 -            200,000                 200,000 
NREL Athena Passenger Mode Choice Model                   -               -          125,000               125,000 
100% Renewable Diesel                                      -            80,000             -            80,000
Baseline Restoration, Land Stewardship Program                -             75,000              -             75,000
Transportation Mgmt Assoc Consulting Contract                 -                -             75,000          75,000
PFAS, Ongoing Investigations & Planning                         -                -             60,000           60,000
Environment   Be the Greenest and Most   Land Stewardship Goals and Development Standards          -             -           45,000         45,000
and      Energy-Efficient Port in North IWTP O&M manual                                  -            -          30,000        30,000
Sustainability             America            Sustainable Project Framework Support                         -                -             25,000          25,000
Baker Tank Deicer Rental Storage                                -             24,000              -             24,000
Baseline Restoration, Green Building Support                    -             20,000              -             20,000
Baseline Restoration, Recycling Program Support                 -             20,000              -             20,000
Digital Transit Ticket Pilot Program                                 -                  -              20,000            20,000
Zonar installation                                                  -                 -              19,695           19,695
Zonar app                                                 -             8,000             -             8,000
Continued on next slide

84

Budget Requests: Environment & Sustainability, ctd.
Problem / Need /                                                    2022 Budget Requests
AV Priority                                         Solution
Opportunity                                                                 Non-
FTEs       Baseline                       Total
Recurring
Cargo Rooftop Coatings to Prevent Release of Zinc in
-                     -                563,000            563,000
Stormwater
International Waste Handling and Disposal                  -            290,000            -            290,000
Environment                        Baseline: Compliance & Support: SEPA/NEPA
-                200,000                 -                200,000
and                          Consultant Support to non-SAMP projects
Environmental Compliance
Sustainability,                              SAMP Critical Areas Permitting & Mitigation                -               -            165,000         165,000
ctd.                                  Final Mitigation Performance Monitoring for
-                     -                150,000            150,000
Portions of the 1997 Master Plan Update
Flight Corridor Safety Program Restoration                  -                -              60,000          60,000
Salmon Safe Recertification                                -                -              17,000          17,000
Environment and Sustainability Total                                                          -    $    717,000  $  1,554,695  $  2,271,695


85

Budget Requests: Financial Sustainability
Problem / Need /                                                    2022 Budget Requests
AV Priority                                         Solution
Opportunity                                                                 Non-
FTEs       Baseline                       Total
Recurring
Air Service Development   2022 New Air Service Incentives                          -               -            975,000         975,000
Financial Consulting - SLOA_WJ Advisors                    -                -            100,000         100,000
GT Consultant for On-Demand Pilot Program               -               -            100,000         100,000
Keep Airline Costs      Lease Administration Supervisor                             1.0          91,047            -              91,047
Financial       Competitive Through     RCF Small Operator Improvements                        -               -             70,000          70,000
Sustainability  Increased Non-Aeronautical
Revenues and Improved   Rightsizing of budget for AV F&B                        -             9,017           -             9,017
Business Processes      Senior Financial Analyst AV                                1.0          95,357            -             95,357
TNC trip tracking module upgrade to Gatekeeper           -               -             50,000          50,000
Yield Management Analyst                               1.0        101,256           -            101,256
Financial Sustainability Total                                                                        3.0  $    296,677  $  1,295,000  $  1,591,677


86

Budget Requests: Asset Management,
Capital Projects, and Planning
Problem / Need /                                                     2022 Budget Requests
AV Priority                                          Solution
Opportunity                                                                  Non-
FTEs       Baseline                       Total
Recurring
Airline Realignment                                        -               -          6,578,019       6,578,019
On-Call Planning                                            -                -          1,775,000       1,775,000
ADR Onsite Consultant                                     -               -          1,220,000       1,220,000
Asset Management Program Development                 -              -           800,000        800,000
STOC Building Furniture and Equipment Acquisition           -               -            700,000         700,000
Utility Master Plan                                             -                 -             700,000         700,000
Operating Engineers                                         4.0         414,410            -            414,410
Asset                               A12A Jet Bridge TRA                                     -              -           315,849        315,849
Management,   Meet the Maintenance   Wiremen                                       3.0       312,877         -          312,877
Capital     Needs and Standards of the  Siemens DDC Contract Increase                             -            270,000            -            270,000
Projects, and       Existing Facilities      Small Works Construction Services                          -            250,000           -            250,000
Planning                            Webb Baggage support contract                          -           200,000          -           200,000
Park Assist Agreement                                      -            190,000            -            190,000
IAF Elevator Escalator and Moving walkway                   -            160,000            -            160,000
Chiller Repair & Maintenance Contract Increase               -             150,000            -             150,000
Planning funds for Emergency Radio System In-
-                     -                150,000            150,000
Building Coverage Program
Operating Engineers                                         2.0         138,137            -            138,137
Carpenters                                                2.0         137,466            -            137,466
Continued on next slide

87

Budget Requests: Asset Management,
Capital Projects, and Planning, ctd.
Problem / Need /                                                     2022 Budget Requests
AV Priority                                          Solution
Opportunity                                                                  Non-
FTEs       Baseline                       Total
Recurring
Bldg 196B Demolition                                       -               -            135,000         135,000
2022 Airfield Pavement Management Program (APMP)        -              -            134,400        134,400
Senior Manager, AV Planning                                1.0         125,450            -            125,450
SafeDock Maintenance Service Agreement                  -            121,540           -            121,540
Baggage Operation Systems Supervisor                       1.0         118,127            -            118,127
ADR Consultant                                           -            113,000           -            113,000
Asset                               IAF Biohazard Containers in Restrooms                     -              -           110,300        110,300
Management,   Meet the Maintenance   Shared Tenant Telecom Services                      -            -          110,000       110,000
Capital     Needs and Standards of the  Biometric Air Exit Vendor Support                           -            107,500            -            107,500
Projects, and     Existing Facilities, ctd.    Chiller 6 Repair                                           -               -            100,000        100,000
Automated Control Specialist                                 1.0          99,780            -             99,780
Planning, ctd.
Wiremen                                        2.0        89,672         -           89,672
Utility Worker Electrical                                          1.0           88,454             -              88,454
Baggage Handling System Asst. Manager                      1.0          85,181            -             85,181
Capital Project Manager III                                       5.0          85,031             -              85,031
AVM CIP Exp Proj Liaison                                      1.0          74,411            -             74,411
Maintenance Plan/Coor AV                                 1.0         74,134           -            74,134
AV F&I Architect                                               1.0          71,992            -              71,992
Continued on next slide

88

Budget Requests: Asset Management,
Capital Projects, and Planning, ctd.
Problem / Need /                                                     2022 Budget Requests
AV Priority                                          Solution
Opportunity                                                                  Non-
FTEs       Baseline                       Total
Recurring
AV F&I Engineer - Communications                           1.0         71,992            -             71,992
Utility Critical Spares and Repairs                                -              70,000             -              70,000
Restore Budget for utility vehicle replacements               -              63,000             -              63,000
Replace CUSE Equipment                                 -            61,000           -            61,000
ATR Consultant - SD#2 Bus & Op Coordination                 -               -             50,000          50,000
Internal Audit Recommended Software                     -             50,000           -             50,000
Asset                               STS Materials One-Time Purchase                         -              -            50,000         50,000
Management,                      Support EGSE Equipment                           -          50,000         -          50,000
Meet the Maintenance
International Arrivals Facility Landscape Maintenance
Capital     Needs and Standards of the                                                           -             50,000            -             50,000
& External Service Areas
Projects, and     Existing Facilities, ctd.
System Training                                            -               -             50,000          50,000
Planning, ctd.                            Sr Administrative Assistant                                  1.0         39,657            -             39,657
Runway Closure Lights (X lights) 3 each                         -                -              39,600          39,600
VMS Signs, 3 each                                            -                -             39,000          39,000
Jr Controller                                                      2.0           35,439             -              35,439
Baggage Handling Control System Technical Support           -             34,500            -             34,500
Project Controls Technician                                     1.0          33,054             -              33,054
Dam Safety Sheet Piling Inspection                           -                -             30,000          30,000
Continued on next slide

89

Budget Requests: Asset Management,
Capital Projects, and Planning, ctd.
Problem / Need /                                                     2022 Budget Requests
AV Priority                                          Solution
Opportunity                                                                  Non-
FTEs       Baseline                       Total
Recurring
Bldg 196 Complex Maintenance                            -             30,000           -             30,000
Estimator                                                   1.0          25,135            -             25,135
Program Controls Support Supervisor                         1.0          22,716            -             22,716
OTF Title Reports                                             -              20,000             -              20,000
Meet the Maintenance   Capital Project Manager I                                  2.0         16,401           -            16,401
Needs and Standards of the  Assistant Project Manager                                   2.0          16,050            -             16,050
Asset        Existing Facilities, ctd.    Capital Project Manager IV                                1.0         14,110           -            14,110
Sr. Project Controller                                             1.0           13,127             -              13,127
Management,
Doc Controls Coordinator                                     1.0          10,338            -             10,338
Capital
AAAC & SLOA V Catering                                   -               -              6,000          6,000
Projects, and                             Consultant Support for PM and Controls Services             -               -                 (0)             (0)
Planning, ctd.  Complete the Sustainable
SAMP NTP Environmental Review                         -              -          1,500,000      1,500,000
Airport Master Plan (SAMP)
2022 Art Conservation                                        -                -            535,000         535,000
Maintain Airport Art     Art Technician                                                 1.0          97,275            -              97,275
One-time Art Consultant in lieu of Art Manager position       -                -              50,000          50,000
Implement Operational   ORAT Mgr                                                2.0        248,324           -            248,324
Readiness and Airport    ORAT Specialist                                              1.0         118,483            -            118,483
Asset Management, Capital Projects, and Planning Total                                         44.0  $  4,667,764  $ 15,178,168  $ 19,845,932

90

Planning Studies Detail
On-Call Planning              Amount        Description 
STS Long-Term Planning       $750,000       Additional expense funded planning required to complete the STS Long-Term Planning Study that will be
initiated in Q4 2021. 
CRDC/Load Dock Study        $300,000      Detailed evaluation of the existing load dock area activity, capacity and space requirements; and the 
location and operation of a potential Centralized Receiving and Distribution Center. 
GTAP Eastside                $75,000        Placeholder for potential study to improve airport access for eastside air passengers (TBD through
additional stakeholder outreach in 2021 and early 2022). 
GIS Assessment & Imp Plan   $150,000      Identifies potential improvements in data organization and data flows to increase planning, design, and
operational efficiency. 
TOTAL                     $1,275,000 

CAPITAL Programs 
Signage and Wayfinding      $150,000      The Signage and Wayfinding Master Plan (SWMP) has been completed and now requires an
Implementation Plan                        implementation plan to provide the most efficient and cost-effective way to deliver it. This
implementation plan will provide for GIS mapping for existing signage inventory and new signage
relationship mapping. The plan will result in a coherent and scheduled program that aligns signage work
with existing and future capital projects, bundling work as necessary or developing stand-alone
installations. This plan will also provide estimates for the packages. 
Connectivity to North         $350,000       Advanced planning conducted in 2021 to refine the SAMP North Gates concept included a preliminary
Gates                                        assessment of a bridge and a tunnel pedestrian connection between the North Satellite and the North
Gates. The objective of this work was to understand, at a very high level, the vertical circulation and space
requirement impacts to the North Gates under each option in order to develop blocking and stacking
diagrams for concourse alternatives. Prior to launching into a capital funded preliminary design of the
North Gates in Q3 2022, additional study is needed to fully develop and evaluate the bridge and tunnel
options across a broader range of criteria in order to determine a recommended alternative. 
TOTAL                     $500,000 

91

FTE SUMMARY AND DETAILED REQUESTS

92

2022 FTE Reconciliation
2022 Proposed Budget FTEs                                   F TEs      %
2021 Approved Budget - funded FTEs                           1,144.40
2021 Changes in FTEs during the year
2021 mid-year FTE additions - new FTEs                           6.00
2021 mid-year FTE additions - unfreeze FTEs                      15.00
2021 Mid-year Changes in FTEs                                21.00    1.8%
FTEs in 2022 Baseline Budget BEFORE Budget Requests      1,165.40
Proposed New FTEs in 2022 Budget:
Unfreeze existing vacant FTEs for hiring                               36.60
New FTEs - strategic functions                                       45.00
Proposed Increase in 2022 Budget FTEs                          81.60   7.1%
FTEs in Proposed Aviation 2022 Budget                         1,247.00   9.0%
Note: above incremental 2022 FTE percent changes compared to 2021 Approved Budget

2022 Proposed FTEs compared to 2020 Approved Budget FTEs   1,246.74    0.0%

93

New FTE Requests Itemization
AV Priority                            Purpose / Outcome                           FTEs
Health and   11 New Positions: 4 Airfield Operations Specialists; 3 Firefighters; 1 Airport Duty Manager;
11.0
Safety      1 Alarm Tech; 1 Safety Compliance Specialist; 1 Unified Pest Management Coord
Unfreezing of 2 positions: 1 Electronic Tech; 1 Credential Center Background Specialist
Security                                                                                                   3.0
1 New Position:  1 Aviation Security Compliance Coordinator
Innovation and Unfreezing of 2 positions: 1 Sr Operations Controller; 1 Admin Assistant to the COO
3.0
Efficiencies    1 New Position:  1 Manager Airport Operations
Unfreezing of 15.6 FTEs: 2.8 Cruise Transportation Coords; 2 Pathfinders; 1.8 Seasonal
Bus Drivers; 1 Landside Spvr; 1 Parking Cashier; 1 Ground Transp Controller; 1 Airport Duty
Customer
Manager; 1 F&I Intermediate Engineer; 1 Sr. Sign Graphics Design Specialist; 1 Painter; 1      17.6
Experience
Aviation Field Tech; 1 Laborer Parking/Fueler Cleaner
2 New Positions:  1 Customer Communications Mgr; 1 DC Inventory Specialist
Financial     Unfreezing of 1 position:  1 Yield Management Analyst
3.0
Sustainability  2 New Positions:  1 Lease Administration Supervisor; 1 Senior Financial Analyst
Unfreezing of 16 position: 4 Operating Engineers; 3 Wiremen; 2 Carpenters; 1 Sr Mgr, AV
Planning; 1 AV F&I Engineer - Communications; 1 AV F&I Architect; 1 Maint Plan/Coord; 1
Asset
AVM CIP Exp Project Liaison; 1 Utility Worker Electrical; 1 Baggage Operation System Spvr
Management,
28 New Positions: 5 Capital Project Mgr III; 2 ORAT Mgrs; 2 Assistant Project Mgrs; 2
Capital                                                                                                  44.0
Capital Project Mgrs; 2 Jr Controllers; 2 Wiremen; 2 Operating Engineers; 1 ORAT Specialist;
Projects, and
1 Art Technician; 1 Capital Project Mgr IV; 1 Doc Controls Coordinator; 1 Estimator; 1
Planning
Program Controls Support Spvr; 1 Project Controls Tech; 1 Sr Admin Assistant; 1 Sr Project
Controller; 1 Baggage Handling System Asst. Mgr.; 1 Automated Control Specialist
Total                                                                                               81.6

94

Status of FTEs Frozen in 2021 Budget
2022 Budget Status: Positions Frozen in the 2021 Budget
Unfreeze FTEs approved 2021 mid-year                        15.0
Unfreeze FTEs requested in 2022 Budget                       36.6
Frozen FTEs remaining frozen & unfunded in 2022 Budget      19.2
Frozen FTEs permanently eliminated                          31.5
Total Positions that were Frozen in the 2021 Budget:            102.3


95

AERONAUTICAL BUSINESS

96

Aeronautical Business
Revenues defined by cost recovery formulas in Signatory Lease
and Operating Agreement (SLOA IV)
O&M and capital costs included in airline rate bases
As travel continues to recover this year and next, improvement
in passenger levels and other airport activity will help manage
costs and rates to the airlines
Application of Federal Relief Grants and PFCs will help manage
the revenue requirement, and therefore airline rates
CPE increasing in 2022 moderately compared to 2021 Forecast
97

Aeronautical NOI
Aeronautical NOI              2019          2020          2021          2021          2022             Incr (Decr)
Proposed       Change from 2020
($ in 000's)                     Actual          Budget          Budget         Fo recast         Budget            $              %
Rate Base Revenues
Airfield Movement Area                  123,436      132,128      115,037        87,899      121,862     (10,266)       -7.8%
Airfield Apron Area                         22,016        22,011        21,418        15,184        22,182          171          0.8%
Terminal Rents                          205,283      212,943      213,147      166,593      229,371      16,428         7.7%
Federal Inspection Services (FIS)            12,321         18,162         21,454         14,373         23,522        5,359        29.5%
Total Rate Base Revenues               363,057      385,245      371,056      284,048      396,937      11,691        3.0%
Airfield Commercial Area                   11,687        16,097        15,612        16,284        16,590          493         3.1%
Subtotal before Revenue Sharing        374,744      401,342      386,668      300,332      413,527      12,185        3.0%
Revenue Sharing                        (17,146)             -              -              -              -             -
Total Aeronautical Revenues              357,598      401,342      386,668      300,332      413,527      12,185        3.0%
Total Aeronautical Expenses              236,959      248,799      233,102      234,400      270,205      21,406        8.6%
Aeronautical NOI                       120,639      152,544      153,566       65,932      143,322      (9,221)      -6.0%

Debt Service                               (110,945)      (62,607)     (125,747)      (48,130)     (114,432)     (51,824)       82.8%
Net Cash Flow                            9,694       89,936       27,819       17,802       28,891     (61,046)     -67.9%


98

NON-AERONAUTICAL BUSINESS

99

Non-Aero Revenue
Airport Dining & Retail  activity expected to stabilize in 2022, when passenger volumes are
forecasted to return to near 2019 levels. Slower ADR revenue recovery in 2021 reflects continued
labor shortages which has impacted concessionaire ability to serve growing passenger volumes.
Parking revenue - demand for close in parking continues to outpace the recovery of passenger
volumes, indicating a continued customer preference toward driving to and parking at the airport,
rather than other ride-share transportation options.
Rental Car revenue  has remained high in 2021 despite lower activity levels due to high car rental
rates due to diminished fleet sizes across the industry. Rental car revenue is expected to stabilize
and fleet constraints largely resolved in 2022.
Ground Transportation  GT trips have been impacted in 2020 & 2021 by both the decline in
passengers and a shift in customer preference away from share-ride transportation options.
Demand for TNCs and on-demand taxi operations are expected to recover at a slower rate than
enplanements in 2022.
Commercial properties  In-flight Kitchen revenue impacted in proportion with decline in
passengers. Other space rent not impacted by decline in passenger volume.
Airport clubs & lounges  both port-owned lounges are open and operating, as of mid-2021.
Resumed operations include continued COVID safety protocols. Slower recovery in lounge revenue
reflects the slower recovery of international passenger volumes, partially offset by higher demand
for lounge access from domestic travelers.
100

Non-Aero NOI Before Concessionaire Relief Grants 
Non-Aeronautical NOI            2019       2020       2021       2021       2022          Incr (Decr)
Proposed    Change from 2020
($ in 000's)                     Actual      Budget      Budget     Fo recast     Budget          $            %
Non-Aeronautical Revenues
Public Parking                             82,125     89,485     59,597     64,576     81,169      (8,316)      -9.3%
Rental Cars                                52,567     51,149     26,880     33,612     51,011        (138)     -0.3%
Ground Transportation                    20,765     22,299     13,628     11,482     18,306     (3,993)    -17.9%
Airport Dining & Retail                      61,615     66,145     45,936     40,381     60,267      (5,878)      -8.9%
Clubs and Lounges                       10,274     10,536      6,221      4,001      8,972     (1,564)    -14.8%
Utilities                                          7,431       8,831       7,568       6,968       7,808      (1,023)     -11.6%
Employee Parking                       10,438    10,137      9,688      9,136    10,472        335       3.3%
Tenant Marketing                          1,273      1,375        969        870      1,358         (17)     -1.2%
Commercial Properties                     15,773     16,660     13,713     12,370     15,540     (1,120)     -6.7%
Non-Airline Terminal Leased Space          6,398      5,700      5,248      5,882      7,329      1,629      28.6%
AOB Conference Center                     462        360           -           -         80       (280)    -77.8%
Other                                       (82)       489        100        100        253       (236)    -48.3%
All Other                                    34,262     34,722     29,717     28,358     35,032         310        0.9%
Total Non-Aeronautical Revenues         269,037   283,167   189,548   189,378   262,565    (20,603)    -7.3%
Total Non-Aeronautical Expenses         118,286   128,508   106,806   106,861   127,510       (998)    -0.8%
Non-Aeronautical NOI                  150,752   154,660    82,742    82,517   135,055   (19,604)   -12.7%
Less: CFC Surplus                         (6,834)          -           -           -     (5,588)    (5,588)
Adjusted Non-Aeronautical NOI          143,917   154,660    82,742    82,517   129,467    (25,192)   -16.3%
Debt Service                                (49,299)   (33,065)   (53,025)   (15,935)   (35,229)     (2,164)      6.5%
Net Cash Flow                           94,619   121,595    29,717    66,583    94,238    (27,356)   -22.5%
Non-Aero revenue shown before Concessionaire Relief grant reductions.

101

Non-Aero Revenue Recovery as % of 2019 Actual
Comparison of Non-Aero Revenue and Enplanements
110%                                                          Parking 99%     Enplanements 95%
100%               100%
90%                                                  79%
80%
74%
70%                                                                    Clubs & Lounges 87%
60%
42%
50%
40%
39%
30%                                                    39%
20%
10%                                 20%
0%
2019                   2020                   2021                   2022
Actual                    Actual                   Forecast                   Budget
Parking                     Rental Car                  Ground Transportation
Airport Dining & Retail       Clubs & Lounges             Enplanements

102

Parking Revenue & O&D Enplanements as % of 2019 Actuals
110.0%
Parking Revenue, 99.7%      Parking Overview:
100.0%             100.0%
90.0%                                                79.3%
Public Parking revenue
80.0%                                                                O&D Enplanements,
95 .0%              recovery performing
70.0%                                                                                    better than change in
74.0%
60.0%                                                                                    passenger volumes
40.4%
50.0%                                                                                    Doug Fox (offsite lot)
recovering inline with
40.0%
O&D enplanements.
30.0%
35.4%
20.0%
10.0%
0.0%
2019 Actual         2020 Actual        2021 Forecast        2022 Budget
O&D Enplanements     Parking Revenue

103

Public Parking
Public Parking - Revenue Detail                  2019      2020      2021      2021      2022         Incr (Decr)
Proposed   Change from 2019
$ in 000's                                              Actual     Actual    Budget   Forecast    Budget        $           %
Parking Garage Revenue to Port
General Parking/Terminal Direct                  73,562            27,157     48,332     47,761      61,885    (11,677)              -15.9%
Prebooking                                      217         2,935           5,570          11,968     13,200           12,983          5990.2%
Premier Corporate Parking                             1,415        449        850           -           -       (1,415)    -100.0%
Revenue to Port - General Parking                 75,194     30,540     54,752     59,729     75,085             (109)           -0.1%
Other Garage Revenue
Passport Parking Program                             3,582      2,738      2,790      2,497      2,910            (672)          -18.8%
Total Parking Garage Revenue                   78,776     33,278     57,542     62,226    77,995            (781)          -1.0%
Other Parking Revenue
Concession Rent - Doug Fox off-site parking            3,292       1,186       2,037       2,518      3,156             (136)            -4.1%
All Other Parking Revenue                              56           37           18           24            18        (38)     -68.1%
Total Parking Revenue                          82,125     34,501     59,597     64,767    81,169            (956)          -1.2%
O&D Enplanements                         18,163     6,428    12,387    13,433    17,254           (910)         -5.0%


104

Public Parking Metrics
Public Parking Revenue Metrics                 2019      2020      2021      2021      2022         Incr (Decr)
Proposed   Change from 2019
in 000's                                               Actual     Actual    Budget   Fo recast    Budget        $           %
Total Enplanements                               25,874           10,044           18,216           19,190            24,648     (1,225)      -4.7%
O&D %                             70.2%   64.0%   68.0%   70.0%    70.0%   -0.2%    -0.3%
O&D Enplanements                        18,163           6,428   12,387         13,433          17,254      (910)     -5.0%
Revenue per O&D Enplanement Metrics
General Parking/Pre-Book/Premier Corporate           4.14       4.75       4.42       4.45        4.35       0.21        5.1%
Passport Parking Program                             0.20       0.43       0.23       0.19        0.17       (0.03)     -14.5%
Total Garage Revenue per O&D Enplanement       4.34      5.18      4.65      4.63       4.52      0.18      4.2%
Concession Rent - Doug Fox off-site parking            0.18        0.18        0.16        0.19        0.18        0.00        0.9%
All Other Parking Revenue                             0.00       0.01       0.00       0.00        0.00       (0.00)     -66.4%
Total Parking per O&D Enplanement          $   4.52  $   5.37  $   4.81  $   4.82  $    4.70  $   0.18       4.0%



105

Rental Car Key Metrics as % compared to 2019 Actuals
142%
98%
100%                                     84%                      140%                                                108% Average
Ti cket Price
120%                      102%
80%                                                  95%
100%
60%                                    74%
38%
80%
T otal
40%
60%                                            Transa ctions 92%
59%
20%                       35%                                    40%
20%                   37%
0%
2019 Actual  2020 Actual 2021 Forecast 2022 Budget      0%
2019 Actual   2020 Actual  2021 Forecast  2022 Budget
O&D Enplanements        Concession Revenue
Total Transactions                     Average Ticket
Average Length of Stay                Transactions/O&D Enplanements
Rental Car concession fee revenue similarly following enplanement recovery pattern
Volatility in key metrics that impact Rental Car revenue
Average Ticket Price driven higher by shortages in rental vehicles and Transactions conversely impacted.

106

Rental Cars
Rental Car - Revenue Detail                  2019      2020      2021      2021      2022         Incr (Decr)
Proposed   Change from 2019
$ in 000's                                         Actual    Actual     Budget   Forecast   Budget        $           %
Total Enplanements                            25,874     10,044     18,216     19,190     24,648      (1,225)      -4.7%
O&D %                          70.2%   64.0%   68.0%   70.0%   70.0%   -0.2%    -0.3%
O&D Enplanements                      18,163     6,428    12,387    13,433    17,254     (910)         -5.0%
Gross Sales by Operators                      328,156   122,372   205,160   275,625   323,500      (4,656)      -1.4%
Total Transactions                                1,414         519         892         838       1,294       (120)            -8.5%
Average Ticket                              $232.06   $235.57  $ 230.00  $ 328.86  $ 250.00    $17.94       7.7%
Average Length of Stay                            4.49        4.93        4.60        4.86        4.65        0.16        3.5%
Transactions/O&D Enplanements                7.69%     8.08%     7.20%     6.24%     7.50%    -0.19%      -2.4%
CFC Revenue Summary
Total Transaction Days                           6,356      2,560      4,103      4,078      6,017       (339)            -5.3%
CFC Rate per Transaction Day                  $6.00     $6.00     $6.50     $6.50     $6.50     $0.50       8.3%
Total CFC Revenue                       38,128     15,362     26,670     26,504     39,111       982      2.6%
Debt Service Reserve Requirement           (23,655)    (24,019)    (24,153)    (24,273)    (24,516)     (861)           3.6%
Residual - CFC Operating Revenue           15,773          -      2,501      2,231     14,595     (1,179)     -7.5%
2019     2020     2021     2021     2022        Incr (Decr)
Rental Car - Revenue Summary                                                 Proposed   Change from 2019
$ in 000's                                         Actual    Actual     Budget   Forecast   Budget        $           %
RCF Concession Revenue to Port             32,870     12,531     20,516     27,562     32,354      (516)          -1.6%
Residual - CFC Operating Revenue:             15,773           -      2,501      2,231     14,593      (1,180)      -7.5%
Land Rent/Space Rent/Other                      3,924      4,106      3,863      4,055      4,064        140        3.6%
Total Rental Cars Operating Revenue         52,567     16,637     26,880     33,848     51,011     (1,556)     -3.0%

107

Ground Transportation
GT Trips & O&D Enplanements as % of 2019 Actuals                           GT Trip Totals
120%                                                                           5,000
O&D Enplanements, 95%                                      4,808
4,500
100%                                                            All Other GT
Operators,             4,000
74%                          83%
80%                                                                        3,500                                         TNC Total, 3,066
65%          TNC To tal, 64%
3,000
60%                         46%
41%                                     2,500                                       1,975
35%
1,427
40%                                                  On Demand Taxis, 56%
30%                                               In 000's of trips 2,000
42%
1,453                              All Other GT Operators, 1,208
1,500
20%                                                                                                               940
24%
1,000
616               674
On Demand Taxis,
0%                                                                      500                                  258
2019 Actual        2020 Actual       2021 Forecast       2022 Budget                                               150
-
TNC Total                           On Demand Taxis                                    2019 Actual     2020 Actual    2021 Forecast    2022 Budget
All Other GT Operators               O&D Enplanements
TNC Total      On Demand Taxis      All Other GT Operators
Trips for all Ground Transportation operator types have not recovered as fast as enplanements as a shift to
Public Parking is still holding.
Passenger preference appears to be shifted away from shared ride alternatives. Trip volume will be closely
monitored to determine if demand increases as passenger volume recovers.
TNC remains highest trip activity within GT operator types.

108

Ground Transportation
Ground Transportation - Revenue Detail     2019        2020        2021        2021        2022         Incr (Decr)
Proposed   Change from 2019
$ in 000's                                        Actual       Actual       Budget      Fo recast      Budget         $           %
Ground Transportation Revenues
TNC Drop-offs                                 -            -            -          2,095        5,057      5,057    N/A
TNC Pick-ups                               12,982        4,032        8,700        5,433        8,283     (4,699)    -36.2%
TNC Total                                12,982       4,032       8,700       7,528      13,340       358      2.8%
On Demand Taxis                            3,578              857          1,851            1,550            2,070           (1,507)    -42.1%
On Demand Limos                            837            371            -            -            -          (837)  -100.0%
Belled In Taxis (Annual Permit)                            27              12              19              10              15             (12)    -45.1%
Pre-Arranged Limos (Annual Permit)                    611             209             516             401             337            (274)    -44.8%
Courtesy Cars (cost recovery)                      2,019                877            2,160              1,821              2,121               103       5.1%
Airporters                                              57               22               65               53               62               6      10.0%
Charter                                            229               27              54              31            438             209      91.1%
Parcel Carriers                                         33               29               50               59               50              17      51.3%
Shared Ride vehicles                                  99               8             19               1             20            (79)    -79.8%
All other Operators (cost recovery)                418               86            188               86            570             152     36.4%
Other Misc Revenues                             293             113             194              63            103           (190)    -64.8%
Total GT Revenue                          20,765        6,557       13,628       11,516       18,558     (2,207)   -10.6%
O&D Enplanements                       18,163       6,428      12,387      13,433      17,254       (910)    -5.0%

109

Ground Transportation Activity & Metrics
GT Trip Activity & Metrics                  2019        2020        2021        2021        2022         Incr (Decr)
Proposed   Change from 2019
in 000's                                          Actual       Actual       Budget      Fo recast      Budget         $           %
Ground Transportation Trips
TNC Drop-offs                               2,704          787          -          1,070        1,685     (1,019)    -37.7%
TNC Pick-ups                                2,103         640        1,450         905        1,380       (723)    -34.4%
TNC Total                                 4,808       1,427       1,450       1,975       3,066     (1,742)   -36.2%
On Demand Taxis                               616         150         309         258         345       (271)    -44.0%
On Demand Limos                             65            12            -           -           -          (65)  -100.0%
Belled In Taxis (Annual Permit)                            13                2             5             3             4          (9)        -69.5%
Pre-Arranged Limos (Annual Permit)                     65             87             192          149          125          60      92.0%
Courtesy Cars (cost recovery)                      1,236           557           900           771         1,050        (186)    -15.0%
All other Operators (cost recovery)                 74              16              27              17              29            (44)    -60.1%
Total GT Trip Activity                          6,876        2,251        2,882        3,173        4,619      (2,257)    -32.8%
Total Enplanements                             25,874       10,044       18,216       19,190       24,648      (1,225)     -4.7%
O&D %                           70.2%     64.0%     68.0%     70.0%     70.0%    -0.2%   -0.3%
O&D Enplanements                       18,163       6,428      12,387      13,433      17,254       (910)    -5.0%
Trips per O&D Enplanement
TNC Drop-offs                               14.9%      12.2%       0.0%       8.0%       9.8%     -5.1%  -34.4%
TNC Pick-ups                               11.6%      10.0%      11.7%       6.7%       8.0%     -3.6%    -30.9%
TNC Total                                26.5%      22.2%      11.7%      14.7%      17.8%     -8.7%   -32.9%
T axi                                                        3.4%          2.3%          2.5%          1.9%          2.0%       -1.4%     -41.0%
All other                                               8.0%        10.5%         9.1%         7.0%         7.0%       -1.0%     -12.4%
Total Trips per O&D Enplanement            37.9%      35.0%      23.3%      23.6%      26.8%    -11.1%   -29.3%

110

On-Demand Taxi Income
On-Demand Taxi Income           2019     2020     2021     2021     2022      Incr (Decr)
Proposed Change from 2019     On-Demand Taxi Overview:
$ in 000's                                Actual    Actual   Budget   Forecast   Budget       $         %
Income
Revenue                          3,578           857        1,851         1,550         2,070          (1,507)   -42.1%     Comparison 2022 Budget to 2019 Actuals
Operating Expense                    (3,110)          (3,112)          (3,242)          (3,033)          (3,228)             (119)     3.8%
NOI                        363      (2,255)        (1,391)        (1,484)        (1,158)        (1,522)      -418.7%       Revenue decreased -42.1%
Asset Ammortization                   (104)     (194)     (283)     (266)     (270)     (165)   158.5%         Total Expenses increased 8.8%
EBIT                        259      (2,449)        (1,673)        (1,750)        (1,428)        (1,687)       -651.1%
Net loss of ($1.4M) anticipated in 2022
Activity Detail
O&D Enplanements                 18,163     6,428    12,387    13,392    17,254      (910)    -5.0%
On-Demand Taxi Trips                 616          150          309          258          345          (271)   -44.0%     Primary contributing factors
Expense Detail
Payroll                                 708           727           740           720           771             62      8.8%          COVID related decline in passengers
Curbside Assistance (ABM)          1,700     1,752     1,800     1,800     1,800      100         5.9%         Customer preference shift away from
Consultants                             -         101            50        50       100           100           N/A
Credit Card Fees                        -          -           74        35        52        52       N/A           shared-ride transportation options,
Other Direct O&M                  160           58        24        56        55      (104)   -65.2%          especially taxis
Subtotal Direct O&M                2,568     2,638     2,688     2,661     2,778      210        8.2%         Taxi curbside assistance contract is a
Divisional Allocations                  395           295           306           206           266           (129)    -32.7%
Corporate Allocations                  148           180           248           167           185            38     25.5%           fixed monthly amount, not scaled to
Subtotal Operating Expenses          3,110     3,112     3,242     3,033     3,228      119         3.8%          increase or decrease in passengers or
Asset Ammortization                  104          194          283          266          270          165       158.5%          taxi trips
Total Expenses                      3,214     3,307     3,524     3,300     3,498      284         8.8%
2021 Forecast Divisional and Corporate allocations not re-estimated.
Taxi pro-rata share of O&M expenses declined in 2021 forecast primarily due to inclusion of TNC Drop-Off trip counts in the cost-recovery model.
2021 Budget did not include TNC Drop-Off trips due to the agreement that included the new fee was not signed until after the budget was approved.

111

ADR Revenue before Concessionaire Relief Grants
Inc/(Dec) from 2021       Inc/(Dec) from 2019
2019       2020       2021       2021       2022
Revenue Summary (in 000's)                                                                            Budge t                  Budge t
Org(s): 3650-Airport Dining and Retail,                                                                     Proposed
Class: Top Level                  Actual         Actual        Budge t       Fore cas t       Budge t      $ Change     % Change     $ Change     % Change
Operating Revenue
Advertising Revenue                    7,326         4,285         5,153         3,310         7,278         2,124         41.2%         (49)         -0.7%
Duty Free Revenue                    6,189         1,842         3,599         1,021         2,689         (911)        -25.3%       (3,500)       -56.6%
Food and Beverage Revenue            26,314        9,709        18,456        20,206        29,250        10,794        58.5%        2,937         11.2%
Retail Revenue                         16,313         6,328         13,360        13,082        17,491         4,130         30.9%        1,178         7.2%
Concession Services Revenue            3,847         1,728         3,900         1,591         2,152         (1,748)       -44.8%        (1,695)       -44.1%
Space Rental & All Other Revenue       1,625         1,527         1,466         1,170         1,413          (53)         -3.6%         (212)        -13.1%
Operating Revenues before
61,614      25,418      45,936      40,381      60,272      14,336       31.2%      (1,342)      -2.2%
Concessionaire Relief
Federal Grant Concessionaire Relief      0            0            0          (3,114)      (21,419)
Operating Revenue after
61,614      25,418      45,936      37,267      38,853       (7,083)      -15.4%     (22,761)     -36.9%
Concessionaire Relief
Enplane me nts                           25,874       10,044       18,216       19,132       24,648        6,433        35.3%       (1,225)       -4.7%
Duty-Free is the slowest for overall ADR recovery as international passenger traffic continues to
be restricted throughout the world and our agreement is being renegotiated
Food & Beverage and Retail are recovering most quickly now as passengers return to the
airport, but is still experiencing substantial challenges related to construction, government
restrictions, and labor shortages.
112

Airport Dining & Retail - Key Metrics
2019         2020         2021         2021         2022
Revenue Summary (in 000's)                                                                          Inc/(Dec) from 2019 Budget
Org(s): 3650-Airport Dining and Retail,                                                                     Proposed
Class: Top Level                  Actual         Actual         Budget        Fo recast        Budget       $ Change     % Change
Sales per Enplanement
Duty Free                           $       0.77       $       0.47       $       0.65       $       0.33       $       0.61       $      (0.17)          -21.5%
Food & Beverage                   $      7.56       $      7.83       $      8.18       $      8.52       $      8.92       $      1.36         18.0%
Retail                                    $        3.99        $        4.14        $        4.79        $        4.58        $        4.72        $        0.73           18.2%
Services                               $       0.80       $       0.49       $       0.56       $       0.25       $       0.44       $       (0.35)           -44.4%
SPE - Airport Dining & Retail          $       13.12  $       12.94  $       14.18  $       13.68  $       14.69  $       1.57          11.9%
Revenue per Enplanement
Duty Free                           $       0.24       $       0.18       $       0.20       $       0.05       $       0.11       $      (0.13)          -54.4%
Food & Beverage                   $      1.02       $      0.97       $      1.01       $      1.06       $      1.19       $      0.17         16.7%
Retail                                    $        0.63        $        0.63        $        0.73        $        0.68        $        0.71        $        0.08           12.5%
Services                               $       0.15       $       0.17       $       0.21       $       0.08       $       0.09       $       (0.06)           -41.3%
RPE - Airport Dining & Retail          $       2.38       $       2.53       $       2.52       $       2.11       $       2.45       $       0.06          2.7%


113

Non-Aero Commercial Properties Revenue
Inc/(Dec) from 2019
2019       2020       2021       2021       2022
Revenue Summary (in 000's)                                                                            Actuals
Org(s): 3630-Non-Aero Commercial                                                                  Proposed
Properties, Class: Top Level               Actual         Actual        Budge t       Fore cas t       Budge t      $ Change    % Change
Operating Revenue
Land Rental                              4,658         5,267         5,222         5,323         5,457         799         17.1%
Space Rental                              464          942          800          759          757          294         63.3%
In-Flight Kitchen Revenue                  10,053         3,990          7,078          5,761          8,873         (1,180)       -11.7%
Other Service Revenues                    548           566           613           613           452          (96)        -17.5%
Operating Grant Revenues                   49            0             0             0             0           (49)       -100.0%
Total Operating Revenues               15,773      10,765      13,713      12,456      15,540       (233)      -1.5%
Enplane me nts
Total Enplanements                          25,874        10,044        18,216        19,132        24,648        (1,225)       -4.7%
International Enplanements                     2,858           670           1,643           971           2,218          (640)        -22.4%
In-Flight Kitchen RPE
Rev per Total Enplanements                $       0.39   $       0.40   $       0.39   $       0.30   $       0.36   $      (0.03)    -7.3%
Rev per International Enplanements          $        3.52   $        5.95   $        4.31   $        5.93   $        4.00  $      0.48         13.7%
In-Flight Kitchen revenue is more closely tied to international enplanements than previously
realized. As international flying returns, we expect In-Flight Kitchen revenue will as well
Land and Space Rents are impervious to the drop in enplanements and grow as planned in 2022.
114

Non-Airline Terminal Leased Space Revenue
Inc/(Dec) from 2019
2019     2020     2021     2021     2022
Revenue Summary (in 000's)                                                              Actuals
Org(s): 3645-Non-AirlineTerminal Leased                                                      Proposed                  %
Spc, Class: Top Level               Actual      Actual     Budge t    Fore cas t    Budge t    $ Change  Change
Operating Revenue
Maintenance Service Fees               238         10         28          8          26        (213)     -89.3%
Space Rental                         6,159       5,806       5,220       5,834       7,312      1,153     18.7%
Other Service Revenues                  1          0          0          0          0          (1)     -100.0%
Total Operating Revenues             6,398     5,816     5,248     5,842     7,338      940     14.7%
Total Enplanements                       25,874      10,044      18,216      19,132      24,648      (1,225)     -4.7%
AlClear Sales per Enplanements (SPE)      $0.58       $1.29       $0.61       $0.83       $0.58       $0.00     -0.3%
TSA Maintenance Service Fees removed under new lease agreement
Space Rental
AlClear (~23% of Space Rent Revenue) continues to perform well in the current environment, generally moving in
line with enplanements
Remaining Lease Terms are generally not tied to enplanements and therefore remain fairly consistent between
2019 and 2022, though we did lose some of our smaller tenants due to COVID-19 business impacts in 2020.
115

Port-owned Clubs & Lounges Revenue & Expense
Inc/(Dec) from 2019
Clubs & Lounges (in 000's)        2019       2020       2021       2021       2022
Budge t
Org(s): 3690-Club International Lounge,                                                             Proposed
Class: Top Level                  Actual       Actual       Budge t     Fore cas t     Budge t     $ Change  % Change
Clubs & Lounges Revenue            10,274      2,043       6,221       4,001       8,972      (1,301)     -12.7%
Clubs & Lounges Expenses
Base Mgmt Fee                      183        243        406        363        421        239      130.8%
Incentive Mgmt Fee                     243         331          41           0          182         (61)       -24.9%
Total Mgmt Fee                     425        574        448        363        603       178      41.9%
3rd Party Direct Operating Expenses       3,331        1,025        2,534        1,998        3,345         13         0.4%
B&O Taxes                        153        29        109        86        157        4       2.8%
Other Expenses                          55           0           0           0           0          (55)      -100.0%
Clubs & Lounges Expenses            3,964       1,627       3,090       2,447       4,105       141       3.5%
Income from Operations               6,309       416       3,131      1,554      4,867      (1,442)    -22.9%
Clubs & Lounges revenue is recovering better than international enplanements now
that both lounges have reopened and are fully operational.
Incremental Base Management Fee (compared to 2019 Actuals) reflects new contract
effective April 2020.
116

FEDERAL RELIEF GRANT USE PLAN 
ALLOCATION BY COST CENTER
117

Federal Relief Grants by Cost Center
SEA Grant Summary
Grants Received: $383.9
CARES                             $192.1
CRRSA                                       $37.4
ARPA                                     $154.4
*excludes concessions grants
Grants Applied                         2020       2021       2022         Total
Airline Benefit
Airfield Movement Area                 $32.3      $37.5      $11.8        $81.6
Airfield Apron Area                         $7.7        $9.3        $5.6         $22.6
Terminal Building **                      $28.7       $20.6       $12.6         $62.0
Federal Inspection Services **             $12.9       $29.4       $16.6         $58.8
Baggage System                        $10.4       $7.4       $3.5        $21.2
Gate Utilities                                 $4.2         $4.4         $2.8         $11.4
Others                                  $4.3       $3.2       $1.7         $9.2
Total Airline Benefit                       $100.5      $111.7       $54.6        $266.8
Non-Airline Benefit **                    $46.6       $49.0       $21.5        $117.1
Total Federal Funding Applied             $147.1      $160.7       $76.1       $383.9
Cumulative Remaining                    $45.0      $76.1       $0.0         $0.0
Airline Benefit                                68%        70%        72%          69%
Non-Airline Benefit **                       32%        30%        28%          31%
Grant Usage
Debt Service                             $103.9      $128.8       $66.3       $299.0
O&M                      $43.3    $31.9     $9.8     $84.9
** Grants are shown after allocations
118

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