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HomeMy WebLinkAbout4.08 Financial Reports Jan & Feb CITY CLERK File # D@][Q][0-ffi~ AGENDA STATEMENT CITY COUNCIL MEETING DATE: April 1, 2008 SUBJECT: Financial Reports for the Month of January and February 2008 nJ\./ Report Prepared by: Paul S. Rankin, Administrative Services ~ {]' Director and Vivian Gong, Finance Manager ATTACHMENTS: 1. Period Ending January 31, 2008 a. YTD (Year To Date) Revenues and Budget Comparison b. YTD Expenditures and Budget Comparison c. January 31, 2008 Financial Statements 2. Period Ending Feb 29, 2008 a. YTD (Year To Date) Revenues and Budget Comparison b. YTD Expenditures and Budget Comparison /"\ . .r!' c. Feb 29, 2008 Financial Statements RECOMMENDATION: '.vv''' Receive the reports. FINANCIAL STATEMENT: See reports for detail of monthly financial activity. DESCRIPTION: This item provides the report on the preliminary financial statements for the months of January and February 2008. Consistent with prior reports, the focus will be on General Fund Revenues and Expenditures, which represent the most significant portion of the City's operations. The analysis offered in this Agenda Report will also focus on the February data (Attachment 2) which is the most recent information available. An adjustment was also made to the 2007/2008 budget presented in this report. The Mid Year budget adjustments to revenues and expenditures as approved by the City Council on March 4, 2008 have been incorporated in the February financial reports. Analvsis of February 2008 Revenue and Expenditure Reports The February reports represent the reporting of revenues and expenditures for first eight months of the Fiscal Year, (July 1, 2007 through February 29, 2008). It should also be noted that there is not an even distribution of revenues and expenditures on a monthly basis. There is also a lag with the reporting of expenditures due to the significant amount of services provided to the City by outside independent contractors, including Police and Fire Services. ------------------------------------------------------------------------------------------------------------- COPIES TO: Page 10f4 G:\Monthly Financials\FY 07-08\Jan_Feb 2008.doc ITEM NO. I/? rII General Fund Revenues Total General Fund Revenues collected through February are less, based upon the percentage collected, to what occurred through the same period of the previous Fiscal Year. Through February 2008, the City had collected approximately 49% of the total budgeted General Fund Revenues, which was 5% less than the percentage collected in the same period of the prior Fiscal Year. It is important to note that the deviation is substantially attributable to the reporting changes to accommodate audit requirements. The financial computer system does not allow Staff to go back and change what was reported in the prior year. If the sales tax collections were reported on the same basis in both 2007 and 2008 the revenue collections to date would show a much smaller deviation of 2%. The following summarizes how the February 2008 results would appear if the February 2007 report was restated: There following section of the report highlights significant deviations in terms of dollars collected in several categories, compared to the same reporting period in the prior year. Summary of Significant General Fund Revenue Differences For Amounts Collected July - February 2008 vs. July - February 2007 GENERAL FUND YTD YTD DIFFERENCE REVENUE Feb 2008 Feb 2007 FY 07/08 More / (Less) FY 06-07 1,359,934 Property Tax 10,667,282 9,307,348 Sales Tax 7,386,138 8,781,055 (1,394,918) Licenses and Permits 1,039,379 1,980,141 (940,762) Interest and Rentals 1,692,611 293,774 1,398,837 Page 2 of4 EXPLANATION The increase is due to the general increase in the assessed valuation of property on the tax roll. As noted above, the difference is distorted due to a change in the accounting for year end payments. Ifthe February 2007 amount had been presented on the same basis as the current year, the amount for 2007 would have been $7,409,146. Accounting for this adjustment would result in a slight negative variance of $23,000. Consistent with previous reports, the deviation reflects the decline in building permit activity. The difference is attributed to 1) Increases in recreation rentals/uses of the City's facilities ($85,000); 2) Collection of monthly tenant rents in connection with the purchase of the Dublin Square property, which was not owned by the City in 2006 ($93,000); and 3) Increase in investment earnings ($115,000) GENERAL FUND YTD YTD DIFFERENCE REVENUE Feb 2008 Feb 2007 FY 07/08 More 1 EXPLANATION (Less) FY 06-07 Intergovernmental 497,147 188,761 308,386 The City has received 2007/08 Workforce Housing reimbursement grant funds for the Shannon Community Center reconstruction Project. The amount received thru February was $336,422. The City has also received State Mandated Cost reimbursements of $21 ,223 for prior year claims. This was offset by a reduction in Vehicle License Fee receipts thru February which were $49,259 less. Charges for 3,290,480 5,235,081 (1,944,600) Significant decreases due to: Services 1) Decreased development activity in: Zoning and Subdivision Fees; Engineering / Plan Check and Inspection Fees; and Fire Plan Check Fees. These categories accounted for $684,000 ofthe decrease. 2) A timing difference in the receipt of payment from Alameda County for Fire Services to Santa Rita. The 2007/08 payment was just received in March. 3) The amount received in FY 2006/07 for Santa Rita Fire Services was larger than normal since it included, an additional $500,000 for the prior fiscal years (2003/04 and 2004/05). 3) Booking Fees decreases by $135,000, due to the change in State Law. Other Revenues 509,128 675,819 (166,691) This category of revenue typically includes payments such as contributions, donations, or one time reimbursements that may not occur consistently from year to year. In the previous Fiscal Year the City received a $304,000 reimbursement from PG&E for an underground utility project. There were also several one time reimbursements for public damage totaling $39,500 that did not recur in the current year. Page 3 of 4 General Fund Expenditures Overall, through the month of February, expenditures in the General Fund totaled approximately $22.4 million and represented approximately 40% of the total budgeted expenditures in the General Fund. Of this amount, a total of approximately $3.6 million was related to Capital Improvement Projects and the remainder was related to Operating Costs. Capital Project expenditures typically do not follow an even distribution due to differences in proj ect timing. It should also be noted that there is not an even distribution of revenues and expenditures on a monthly basis. There is also a lag with the reporting of expenditures due to the significant amount of services provided to the City by outside independent contractors, including Police and Fire Services A closer examination of only General Fund Operating Expenditures indicates that the activity through February 2008 was approximately $450,000 under the amounts expended for the same period in the prior Fiscal Year. Through the end of February 2008, the City had expended 40% of the General Fund Operating Budget, which is 2% less than the percentage expended in the first eight months of the prior Fiscal Year. Si2nificant Revenue Deviations in Capital Improvement Funds As part of the Mid-Year Report as well as previous Financial Statements, Staff has noted that significant deviations in revenues are expected in the Capital Impact Fee Funds. These funds track closely to development activity which has substantially slowed down. All expenditures are within the authorized budget. It is recommended that the City Council receive these reports as authorized by Section 41004 of the California Government Code. Page 4 of 4 _u~ ;J (, I i City of Dublin 2007-2008 YTD Revenues and Budget Comparison For the Period Ending January 31, 2008 ~~-~--~~;I~- -. ~~- Total General Fund Revenues 470 Property Taxes Sales Taxes Real Property Transfer Tax Transient Occupancy Taxes Franchise Taxes Licenses and Permits Interest and Rentals Intergovernmental from State Charges for Services Fines and Forfeitures Other Revenues L_____ .~~ Property Taxes Sales Taxes Real Property Transfer Tax Transient Occupancy Taxes Franchise Taxes Licenses and Permits Interest and Rentals Intergovernmental Charges for Services Fines and Forfeitures Other Revenues 0% FY 2007/08 Budget 22,194,200 14,840,000 540,000 775,000 2,095,635 2,306,445 2,964,212 1,212,669 6,362,056 143,000 1,642,012 Total General Fund Revenues 55,075,229 Dale Printed: 3/21120083:35 PM 39% I i I .66% 30% 60% . FY 2007/08 FY 2006/07 74% 90% 120% 150% 58% of Year Complete FY 2007/08 YTD Actual 10,667,282 6,241,184 299,593 381,090 765,439 956,368 1,547,336 470,631 2,924,848 71,683 473,765 24,799,219 %of FY 2006/07 % of Total for Budget YTD Actual FY 2006/07 48% 9,307,348 46% 42% 7,737,355 55% 55% 297,263 50% 49% 397,647 50% 37% 687,613 33% 41% 1,902,534 74% 52% 1,216,929 32% 39% 162,338 14% 46% 3,369,397 42% 50% 74,027 53% 29% 609,118 66% 45% 25,761,570 47% '-{-I-D<3 y,g ATTACHMENT 1. .- .---j1J oZr; City of Dublin 2007-2008 YTD Expenses and Budget Comparison For the Period Ending January 31, 2008 Total General Fund Expenses General Government Police Other Public Safety Transportation Health and Welfare Culture & Community Services Community Development Capital Improv. Projects Fire .--1. .._-----_._~---~ 0% 20% 40% 60% 80% 58% of Year Complete 100% 2007/08 2007/08 %of FY 2006/07 Budget YTD Actual Budget YTD Actual General Government 5,836,461 2,825,973 48% 2,854,717 Police 12,554,821 3,041,276 24% 2,631,582 Fire 9,558,930 2,415,172 25% 2,344,998 Other Public Safety 573,028 93,937 16% 106,647 Transportation 2,239,419 913,874 41% 891,438 Health and Welfare 45,413 15,367 34% 18,500 Culture and Community Services 7,446,591 3,582,426 48% 3,285,458 Community Development 8,640,211 3,844,840 44% 4,160,464 Capital Improvement Projects 8,806,386 3,296,319 37% 1,108,365 Total General Fund Expenses 55,701,260 20,029,185 36% 17,402,169 General Fund Operating Expenses 46,894,874 16,732,866 36% 16,293,804 Dale Printed: 3/2t12OO8 3:50 PM -------Bl . FY 2007 10~ I I Ii FY 2006/07 J I - 120% ________J % of Total for FY 2006/07 52% 23% 26% 25% 44% 46% 48% 54% 33% 37% 38% ATTACHMENT 1b 3 O()(~; & CITY OF DUBLIN'S PRO FORMA FINANCIAL STATEMENTS FOR THE MONTH OF JANUARY 2008 Prepared by The Finance Department February 7,2008 ATTACHMENT1c CITY OF DUBLIN f1J;)0 BALANCE SHEET FOR THE PERIOD ENDING 31Jan200B GENERAL SPECIAL SPECIAL CAP IT AL TRUST/ TOT A L S REVENUE REVENUE ASSESSMENT IMPROVEMENT AGENCY --~MEMORANDUM ONLY--- FUNDS FUNDS FUNDS FUNDS FUND CURRENT PRIOR ASSETS CASH (48.979.681) 4.456.502 621. 856 37.850.657 284.732 (5.765.933) (9.749.793) CASH WITH FISCAL AGENT 175.809 175.809 168.573 AMOUNT HELD IN ESCROW 151,520 151.520 1. 712,000 INVESTMENTS AT COST 108.433.501 108.433.501 115.044,651 RECEIVABLES: TAXES ACCOUNTS (52.746) () (52.747) 1. 552.561 INTEREST 658.001 658.002 671.287 ASSESSMENTS DUE FROM OTHERS 5.184.984 5.184.984 1. 901. OB6 INVENTORY AT COST PREPAID ITEMS 5.192 5.192 3.976 FIXED ASSETS LOANS RECEIVABLE 5.086.880 5.086.880 6.613,862 AMOUNT TO BE PROVIDED 943.500 943,500 1. 083 . 500 TOTAL ASSETS 65.249.251 4.456.502 621.856 43.628.775 1. 404.042 115.360.427 119.001. 703 LIABILITIES/FUND EQUITY DEPOSITS FOR PRIVATE DEVEL 0.092.240) 06.860) 0,109.100) (761. 015) DEPOSITS FOR AB1600 FEES (55.132) 0.117.410) 0.172.542) (986.493) DEPOSITS OTHERS (430.914) (430.914) (538.622) PAYABLES: ACCOUNTS (266.753) 020.979) 078,807) (566.540) (361.283) INTEREST PAYROLL (5.333) (5.333) (4.012) DUE TO OTHERS 087.239) 0.791.762) 0.979.001 ) 0.959.533 ) DEFERRED REVENUE 041.853) (5.626.599) (5,768.451) (2.529,840) DEBT INSTRUMENTS PAYABLE 0.061. 000) 0,061. 000) (1. 201. 000) TOTAL LIABILITIES (2.179.463) 020.979 ) (8.731.438) (1.061.000) (12.092.881) (8.341.798) FUND BALANCES (63.069.788) (4.335.523) (621. 856) (34.897.337) (343.042)(103,267.546) (97,418.770) TOTAL FUND E (63.069.788) (4.335.523) (621.856) (34.897.337) (343.042)(103.267.546) (97,418.770) TOTAL LIABILITIES/EQUITY (65.249.251) (4.456.502 ) (621. 856) (43.628.775) (1.404.042)(115.360.427)(105.760.568) s- ~ r2b CITY OF DUBLIN BALANCE SHEET FOR THE PERIOD ENDING 31Jan2008 INTERNAL ENTERPRISE FIXED ASSETS GENERAL LONG TOT A L S SERVICE FUND GROUP OF TERM DEBT ---MEMORANDUM--- FUNDS ACCOUNTS ACCOUNT GROUP CURRENT PRIOR ASSETS CASH 7.239.081 7.239.081 11.178.996 CASH WITH FISCAL AGENT AMOUNT HELD IN ESCROW INVESTMENTS AT COST RECEIVABLES: TAXES ACCOUNTS INTEREST ASSESSMENTS DUE FROM OTHERS INVENTORY AT COST PREPAID ITEMS 3.966 3.966 FIXED ASSETS 48.289.121 351. 342 . 286 399.631.407 387.888.144 LOANS RECEIVABLE AMOUNT TO BE PROVIDED 61. 862 .464 61. 862 .464 62.246.041 TOTAL ASSETS 55.532.168 351.342.286 61. 862 .464 468.736.917 461.313.182 LIABILITIES/FUND EQUITY DEPOSITS FOR PRIVATE DEVEL DEPOSITS FOR AB1600 FEES DEPOSITS OTHERS PAYABLES: ACCOUNTS INTEREST PAYROLL DUE TO OTHERS DEFERRED REVENUE DEBT INSTRUMENTS PAYABLE (229.457) (61. 862.464) (62.091.921) (62.764.407) TOTAL LIABILITIES (229.457) (61. 862 .464) (62.091.921) (62.764.407) FUND BALANCES (55.302.711) (351. 342.286) (406.644.997)(397.644.149) TOTAL FUND E (55.302.711) (351. 342.286) (406.644.997)(397.644.149) TOTAL LIABILITIES/EQUITY (55.532.168) (351.342.286) (61. 862.464) (468.736.917)(460.408.556) THE CITY OF DUBLIN STATEMENT SHOWING & 1 d-.c, REVENUES VERSUS EXPENDITURES FOR THE PERIOD 07/01/2007 THROUGH 01/31/2008 G ENE R A L REV E N U E FUN D CURRENT CURRENT PRIOR PRIOR BUDGET ACTUAL VARIANCE FISCAL YEAR Y.T.D. VARIANCE *******REVENUES******* PROPERTY TAXES 22.194.200.00 10.667.281. 97 11.526.918.03 20.146.742.78 9.307.347.81 10.839.394.97 SALES TAX 14.840.000.00 6.241.183.78 8.598.816.22 14.025.868.73 7.737.355.38 6.288.513.35 REAL PROPERTY TRANSFER TAX 540.000.00 299.593.36 240.406.64 596.532.87 297.263.33 299.269.54 HOTEL TRANSIENT OCCUPANCY TAX 775.000.00 381.090.03 393.909.97 800.772.57 397.646.84 403.125.73 FRANCHISE TAXES 2.095.635.00 765.439.08 1.330.195.92 2.111. 281. 26 687.612.58 1.423.668.68 LICENSES & PERMITS 2.306.445.00 956.367.98 1. 350.077 . 02 2.572.067.54 1. 902.534.35 669.533.19 FINES & FORFEITURES 143.000.00 71.683.36 71.316.64 140.234.79 74.027.19 66.207.60 USE/MONEY & PROP-INTEREST 2.621.744.00 1.340.250.06 1. 281. 493.94 3.575.137.21 1.176.855.49 2.398.281. 72 USE/MONEY & PROP-RENTALS 342.468.00 207.085.92 135.382.08 203.240.52 40.073.65 163.166.87 INTERGOVERNMENTAL 1.212.669.00 470.630.72 742.038.28 1.149.759.30 162.338.48 987.420.82 CHARGES FOR SERVICES 6.362.056.00 2.924.848.11 3.437.207.89 8.015.064.77 3.369.396.73 4.645.668.04 OTHER SOURCES OF REVENUE 1. 642 . 012 . 00 473.765.11 1.168.246.89 928.704.12 609.118.48 319.585.64 TOTAL REVENUE 55.075.229.00 24.799.219.48 30.276.009.52 54.265.406.46 25.761. 570.31 28.503.836.15 *******EXPENDITURES******* GENERAL GOVERNMENT ACTIVITIES: CITY COUNCI L 304.891.00 159.716.24 145.174.76 320.924.20 168.440.54 152.483.66 CITY MANAGER 1.128.643.00 604.976.74 523.666.26 1. 042 .480.01 580.995.56 461. 484.45 CENTRAL SERVICES 549.400.00 259.460.85 289.939.15 438.786.38 219.550.21 219.236.17 CITY ATTORNEY 615.723.00 279.521.88 336.201.12 867.874.77 328.253.91 539.620.86 ADMIN SERVICES 1. 844 .459 . 00 862.019.21 982.439.79 1.593.027.81 926.614.96 666.412.85 BUILDING MANAGEMENT 785.873.00 362.075.46 423.797.54 707.316.31 320.504.70 386.811.61 INSURANCE COST CENTER 538.541. 00 284.191. 35 254.349.65 474.542.39 301. 526 .16 173.016.23 ELECTIONS COST CENTER 2.500.00 425.00 2.075.00 25.554.79 4.49751 21. 057 . 28 NON-DEPARTMENTAL 66.431.00 13.585.93 52.845.07 9.858.11 4.333.80 5.524.31 ACTI V ITY TOTAL 5.836.461. 00 2.825.972. 66 3 . 01 0 .488 . 34 5 .480 . 364 . 77 2.854.717.35 2.625.647.42 PUBLl C SAFETY POll CE 12.554.821. 00 3.041.276.49 9.513.544.51 11.662.394.30 2.631.582.04 9.030.812.26 CROSSING GUARDS 98.648.00 33.644.88 65.003.12 86.639.21 31. 834.94 54.804.27 ANIMAL CONTROL 351.192.00 19.368.90 331.823.10 251.956.53 42.739.22 209.217.31 TRAFFIC SIGNALS & STREET LIGHTIN 13.300.00 6.650.51 6.649.49 15.424.08 8.484.42 6.939.66 DISASTER PREPAREDNESS 109.888.00 34.273.07 75.614.93 79.826.64 23.588.56 56.238.08 FIRE SERVICES 9.558.930.00 2.415.172.33 7.143.757.67 9.178.765.31 2.344.998.04 6.833.767.27 ACTI V ITY TOTAL 22.686.779.00 5.550.386.18 17.136.392.82 21. 275.006.07 5.083.227.22 16.191. 778.85 TRANSPORT A TI ON PUBLl C WORKS 1.094.762.00 508.223.41 586.538.59 907.511.91 493.149.04 414.362.87 STREET MAINTENANCE 33.147.00 397.40 32.749.60 13.221.64 2.686.31 10.535.33 STREET SWEEPING 138.000.00 42.592.52 95.407.48 139.992.31 56.760.27 83.232.04 STREET TREE MAINTENANCE 106.917.00 27.429.34 79.487.66 131. 391. 84 29.340.48 102.051. 36 STREET LANDSCAPING MAINTENAN 866.593.00 335.231.26 531.361. 74 811.550.20 309.501.73 502.048.47 ACTI V ITY TOTAL 2.239.419.00 913.873.93 1.325.545.07 2.003.667.90 891.437.83 1.112.230.07 HEALTH & WELFARE WASTE MANAGEMENT 1. 500.00 7.190.58 (5.690.58) 22.055.21 22.055.21 CHILD CARE 18.500.00 8.176.61 10.323.39 18.500.00 18.500.00 SOCIAL SERVICES 25.413.00 25.413.00 HOUSING PROGRAMS THE CITY OF DUBLIN STATEMENT SHOWING 1 o~ J(, REVENUES VERSUS EXPENDITURES FOR THE PERIOD 07/01/2007 THROUGH 01/31/2008 G ENE R A L REV E N U E FUN D CURRENT CURRENT PRIOR PRIOR BUDGET ACTUAL VARIANCE FISCAL YEAR Y.T.D. VARIANCE ACTI V ITY TOTAL 45.413.00 15.367.19 30.045.81 40.555.21 18.500.00 22.055.21 CULTURE & LEISURE SERVICES LIBRARY SERVICES 836.571.00 394.315.77 442.255.23 809.628.89 401.243.10 408.385.79 CULTURAL ACTIVITIES 239.530.00 129.140.06 110.389.94 251. 944.51 140.901. 01 111. 043.50 HER IT AGE CENTER 233.752.00 129.139.84 104.612.16 181.827.65 104.150.35 77 .677 .30 DUBLIN CEMETERY 48.458.00 13.417.61 35.040.39 43.942.65 17.924.42 26.018.23 PARK MAINTENANCE 2.008.692.00 910.806.58 1. 097.885.42 1. 808.688.78 673.717.33 1.134.971. 45 COMMUNITY TV 75.027.00 45.921.18 29.105.82 128.881.00 60.491. 00 68.390.00 RECREATION ADMIN 759.339.00 393.920.94 365.418.06 702.189.94 385.798.54 316.391.40 PLAYGROUNDS 320.073.00 149.210.02 170.862.98 260.228.97 138.994.04 121.234.93 SHANNON CENTER 286.982.00 169.002.06 117 .979.94 342.407.56 203.236.41 139.171.15 PRESCHOOL 115.643.00 57.864.17 57.778.83 105.844.87 53.056.53 52.788.34 TEENS PROGRAM 146.164.00 64.081. 72 82.082.28 135.910.40 70.701.65 65.208.75 ADULT SPORTS 183.056.00 61.061. 70 121.994.30 106.532.29 48.230.09 58.302.20 YOUTH SPORTS 204.177 . 00 107.758.51 96.418.49 174.520.06 88.194.33 86.325.73 COMMUN ITY GYM 46.187.00 23.273.23 22.913.77 44.662.71 20.936.39 23.726.32 EMERALD GLEN ACTIVITY CENTER SPECIAL EVENTS 403.471.00 188.782.47 214.688.53 354.952.30 158.666.78 196.285.52 SENIOR CENTER 549.653.00 265.748.60 283.904.40 472.926.09 243.724.24 229.201. 85 RECREATION INSTRUCTION 209.545.00 93.486.68 116.058.32 198.529.01 95.008.38 103.520.63 AQUATICS 450.188.00 211. 816 .18 238.371.82 445.981.03 209.811 .77 236.169.26 PARKS/FACILITIES MANAGEMENT 330.083.00 173.678.59 156.404.41 304.996.60 170.671.15 134.325.45 ACTI V ITY TOTAL 7.446.591. 00 3.582.425.91 3.864.165.09 6.874.595.31 3.285.457.51 3.589.137.80 COMMUNITY DEVELOPMENT PLANNING 2.893.306.00 1.242.810.27 1.650.495.73 2.152.189.29 1.186.711. 97 965.477.32 BUILDING SAFETY 3.130.274.00 1. 330.898.16 1.799.375.84 2.886.668.83 1.548.967.15 1.337.701.68 ENGINEERING 2.321. 911.00 1.148.775.63 1.173. 135 . 37 2.407.540.23 1. 260 .487 . 96 1.147.052.27 ECONOMIC DEVELOPMENT 294.720.00 122.355.68 172.364.32 252.495.57 164.296.64 88.198.93 ACTI V ITY TOTAL 8.640.211.00 3.844.839.74 4.795.371.26 7.698.893.92 4.160.463.72 3.538.430.20 CAPITAL IMPROVEMENT PROJECTS GENERAL CIP PROJECTS 1. 558.757.00 46.600.20 1.512.156.80 377.025.76 55.314.54 321. 711. 22 COMMUNITY IMPROVEMENTS 328.578.00 107.796.99 220.781.01 95.671.93 19.908.29 75.763.64 PARKS 5.776.648.00 3.084.991. 97 2.691. 656.03 2.619.196.45 791.266.02 1. 827 . 930 .43 STREET CONSTRC/IMPROVEMENTS 1.142.403.00 56.929.81 1.085.473.19 308.244.43 241.876.35 66.368.08 ACTI V ITY TOTAL 8.806.386.00 3.296.318.97 5.510.067.03 3.400.138.57 1.108.365.20 2.291.773.37 TOTAL EXPENDITURES 55.701. 260.00 20.029.184.58 35.672.075.42 46.773.221.75 17.402.168.83 29.371.052.92 EXCESS REVENUE (EXPENDITURES) (626.031. 00) 4.770.034.90 (5.396.065.90) 7.492.184.71 8.359.401.48 (867.216.77) TRANSFERS IN FROM OTHER FUNDS 59.196.81 39.52520 19.671. 61 TRANSFERS OUT FROM OTHER FUNDS (23.505.65) (23.505.65) REVENUES OVER(UNDER) EXPENDITURES (626.031. 00) 4.770.034.90 (5.396.065.90) 7.527.875.87 8.398.926.68 (871.050.81) THE CITY OF DUBLIN STATEMENT SHOWING ~ ~c2~ REVENUES VERSUS EXPENDITURES FOR THE PERIOD 07/01/2007 THROUGH 01/31/2008 S P E C I A L REV E N U E FUN 0 S CURRENT CURRENT PRIOR PRIOR BUDGET ACTUAL VARIANCE FISCAL YEAR Y.T.D. VARIANCE ********REVENUES******** PROPERTY TAXES 125.760.00 66.330.87 59.429.13 119.472. 73 61. 237 . 46 58.235.27 SALES TAX/OTHER TAXES 460.862.00 195.344.67 265.517.33 433.043.17 187.547.54 245.495.63 FINES & FORFEITURES 195.000.00 95.530.01 99.469.99 201.862.59 99.493.48 102,369.11 USES/MONEY & PROPERTY 216,249.00 107.262.33 108.986.67 194.816.32 98.133.37 96.682.95 INTERGOVERNMENTAL FROM STATE 1. 670 . 059 . 00 609.299.30 1.060.759.70 1.174.710.84 852.108.95 322,601. 89 INTERGOVERNMENTAL FROM COUNTY 397.023.00 125.534.65 271 .488.35 376.594.90 125.061. 60 251.533.30 INTERGOVERNMENTAL FROM FEDERAL 459.471.00 93.766.14 365.704.86 144.868.47 16,590.59 128.277.88 CHARGES FOR SERVICES 1.513.762.00 769.360.33 744.401.67 1.430,805.72 735.276.64 695.529.08 OTHER SOURCES OF REVENUE 9.000.00 9,000.00 25.467.40 25.467.40 TOTAL REVENUE 5.047.186.00 2.062,428.30 2.984.757.70 4.101.642.14 2,175.449.63 1.926.192.51 *******EXPENDITURES******* PUBLIC SAFETY: POLICE 104.810.00 101. 355.00 3.455.00 101,780.53 100.370.70 1.409.83 TRAFFIC SIGNALS & STREET LTG 279.525.00 118,437.68 161,087.32 249.275.06 118.009.88 131.265.18 DISASTER PREPAREDNESS FIRE SERVICES 287.483.00 116,584.96 170.898.04 196.755.84 78,390.10 118.365.74 ACTI V ITY TOTAL 671.818.00 336.377.64 335.440.36 547.811.43 296 . 77 0 . 68 251. 040.75 TRANSPORTATION: STREET MAINTENANCE 398.986.00 103.237.78 295.748.22 305,088.60 94.493.25 210.595.35 STREET LANDSCAPE MAINTENANCE 6.038.00 6.038.00 7.563.43 7 . 563 .43 ACTI V ITY TOTAL 405,024.00 103.237.78 301.786.22 312.652.03 94.493.25 218.158.78 HEALTH & WELFARE: WASTE MANAGEMENT 1.663.490.00 802.872.86 860,617.14 1. 525 . 606 . 71 746.531. 41 779.075.30 SOCIAL SERVICES 52.945.00 24.22899 28.716.01 60.035.35 15.191. 67 44.843.68 HOUSING PROGRAMS ACTI V ITY TOTAL 1.716.435.00 827.101. 85 889.333.15 1. 585.642.06 761.723.08 823.918.98 COMMUNITY DEVELOPMENT: ENGINEERING 6.000.00 2.472.00 3.528.00 6.000.00 840.00 5,160.00 ACTI V ITY TOTAL 6.000.00 2.472.00 3.528.00 6,000.00 840.00 5.160.00 CAPITAL IMPROVEMENT PROJECTS: GENERAL CIP PROJECTS 10.853.00 10.853.00 COMMUNITY PROJECTS 17,580.62 17.580.62 PARKS 62.050.00 62.050.00 132.238.71 75.525.71 56.713.00 STREET CONSTRUCTION/IMPROVEMENT 2.086.803.00 789.620.13 1. 297.182.87 726.185.12 37.366.13 688.818.99 ACTI V ITY TOTAL 2.159.706.00 789.620.13 1.370.085.87 876.004.45 112.891. 84 763,112.61 TOT A L EXPENDITURES 4,958.983.00 2.058.809.40 2.900.173.60 3.328.109.97 1. 266 . 718 . 85 2.061. 391.12 EXCESS REVENUE (EXPENDITURES) 88.203.00 3.618.90 84.584.10 77 3 . 532 . 17 908.730.78 035.198.61) TRANSFER IN FROM OTHER FUNDS 0.097.00) 0.097 . 00) TRANSFERS OUT TO OTHER FUNDS 27.368.61 27.368.61 REVENUES OVER (UNDER) EXPENDITURES 88.203.00 3.618.90 84.584.10 747.26056 908.730.78 061.470.22) THE CITY OF DUBLIN STATEMENT SHOWING c; 1 02~ REVENUES VERSUS EXPENDITURES FOR THE PERIOD 07/01/2007 THROUGH 01/31/2008 S P E C I A L ASS E SSM E N T FUN 0 S CURRENT CURRENT PRIOR PRIOR BUDGET ACTUAL VARIANCE FISCAL YEAR Y.T.D. VARIANCE ********REVENUES******** SPECIAL BENEFITS ASSESSMENTS 785.567.00 411.787.33 373.779.67 716.143.96 364.945.60 351.198.36 USES/MONEY & PROP-INTEREST 26.106.00 12.623.37 13.482.63 26.363.45 10.981. 35 15.382.10 OTHER SOURCES OF REVENUE 5.000.00 578.00 4.422.00 3.219.91 3.219.91 TOTAL REVENUE 816.673.00 424.988.70 391.684.30 745.727.32 375.926.95 369.800.37 *******EXPENDITURES******* PUBLIC SAFETY: TRAFFIC SIGNALS & STREET LIG 376.400.00 153.658.19 222.741.81 325.491.81 159.598.84 165.892.97 ACTIVITY TOTAL 376.400.00 153.658.19 222.741. 81 325.491. 81 159.598.84 165.892.97 TRANSPORTATION PUBLIC WORKS 100.00 100.00 1.640.07 1.451.07 189.00 STREET TREE MAINTENANCE 65.910.00 21. 589.09 44.320.91 39 . 305 .46 7.896.07 31. 409.39 STREET LANDSCAPE MAINTENANCE 393.678.00 155.980.91 237.697.09 369.334.70 142.222.42 227.112.28 ACTI V ITY TOTAL 459.688.00 177.570.00 282.118.00 410.280.23 151. 569.56 258.710.67 COMMUNITY DEVELOPMENT ENGINEERING 15.500.00 9.782.94 5.717.06 10.558.50 358.50 10.200.00 ACTIVITY TOTAL 15.500.00 9.782.94 5.717.06 10.558.50 358.50 10.200.00 CAPITAL IMPROVEMENT PROJECTS: COMMUNITY IMPROVEMENTS STREET CONSTRUCTION/IMPRVMNT ACTI V ITY TOTAL TOT A L EXPENDITURES 851. 588.00 341. 011.13 510.576.87 746.330.54 311.526.90 434.803.64 EXCESS REVENUE (EXPENDITURES) (34.915.00) 83.977.57 (118.892.57) (603.22) 64.400.05 (65.003.27) REVENUES OVER (UNDER) EXPENDITURES (34.915.00) 83.977.57 (118.892.57) (603.22) 64.400.05 (65.003.27) THE CITY OF DUBLIN STATEMENT SHOWING REVENUES VERSUS EXPENDITURES FOR THE PERIOD 07/01/2007 THROUGH 01/31/2008 I () ~;20 CAP I TAL IMP R 0 V E MEN T FUN D S CURRENT CURRENT PR lOR PRIOR BUDGET ACTUAL VARIANCE FISCAL YEAR Y.T.D. VARIANCE ********REVENUE******** USES/MONEY & PROP-INTEREST 1. 709.300.00 908.109.32 801.190.68 2,044.630.85 1.073.834.37 970.796.48 OTHER SOURCES OF REVENUE 25.682.181. 00 5.521. 095.57 20.161. 085.43 8,652.525.77 6.472.885.71 2.179.640.06 TOTAL REVENUE: 27.391.481.00 6.429.204.89 20.962.276.11 10,697,156.62 7,546.720.08 3.150,436.54 *******EXPENDITURES******* GENERAL GOVERNMENT ACTIVITIES: NON-DEPARTMENTAL 78.785.62 78.785.62 CITY ATTORNEY 49.400.00 33.591. 50 15.808.50 59.936.48 34.963.91 24.972.57 ACTI V ITY TOTAL 49.400.00 33.591. 50 15.808.50 138.722.10 34.963.91 103.758.19 PUBLI C SAFETY: TRANSPORTATION: HEALTH & WELFARE: HOUSING PROGRAMS 3.994.884.00 568.459.94 3.426.424.06 458,257.23 154.726.38 303.530.85 ACTI V ITY TOTAL 3,994,884.00 568.459.94 3.426.424.06 458.257.23 154.726.38 303.530.85 CULTURE & LEISURE SERVICES: RECREATION ADMINISTRATION ACTI V ITY TOTAL COMMUNITY DEVELOPMENT PLANNING ACTI V ITY TOTAL CAPITAL IMPROVEMENT PROJECTS GENERAL CIP PROJECTS 195.550.00 195.550.00 24.905.17 16.751. 50 8.153.67 COMMUNITY IMPROVEMENTS 250.000.00 250.000.00 PARKS 8.242.583.00 975.897.94 7.266.685.06 7.993.412.28 333.181.87 7.660.230.41 STREET CONSTRUCTION/IMPROVEMENT 30.119.579.00 5.527.420.41 24.592.158.59 4.497.678.86 3,026.908.46 1.470.770.40 ACTI V ITY TOTAL 38.807.712.00 6.503.318.35 32.304.393.65 12.515.996.31 3.376.841.83 9,139,154.48 TOT A L EXPENDITURES 42.851. 996.00 7.105.369.79 35.746.626.21 13.112.975.64 3.566.532.12 9 . 546 .443 . 52 EXCESS REVENUE (EXPENDITURES) (15.460.515.00 ) (676.164.90)(14.784.350.10) (2.415.819.02) 3.980.187.96 (6,396.006.98) TRANSFER IN FROM OTHER FUNDS 30.105.65 30,105.65 TRANSFERS OUT TO OTHER FUNDS 39.525.20 39.525.20 REVENUES OVER (UNDER) EXPENDITURES(15.460.515.00) (676.164.90)(14.784.350.10) (2.425.238.57) 3.940.662.76 (6.365.901. 33) THE CITY OF DUBLIN STATEMENT SHOWING II ~ .;20 REVENUES VERSUS EXPENDITURES FOR THE PERIOD 07/01/2007 THROUGH 01/31/2008 T R U S T / AGE N C Y FUN D CURRENT CURRENT PRIOR PR lOR BUDGET ACTUAL VARIANCE FISCAL YEAR Y.T.D. VARIANCE ********REVENUES******** SPECIAL ASSESSMENTS 101.539.85 (101. 539.85) 217.030.10 108.515.05 108.515.05 USES/MONEY & PROP-INTEREST 80.526.68 (80.526.68) 14.825.42 6,906.99 7.918.43 TOTAL REVENUE 440.455.20 (440.455.20) 5,929.923.59 115.422.04 5.814.501. 55 *******EXPENDITURES******* GENERAL GOVERNMENT ACTIVITIES: NON-DEPARTMENTAL 42.049.19 (42.049.19) 231.940.00 187.007.50 44,932.50 ACTI V ITY TOTAL 42.049.19 (42.049.19) 231,940.00 187.007.50 44.932.50 PUBLIC SAFETY: TRANSPORTATION: HEALTH & WELFARE: CULTURE & LEISURE SERVICES: COMMUNITY DEVELOPMENT: CAPITAL IMPROVEMENT PROJECTS TOT A L EXPENDITURES 42,049.19 (42.04919) 231,940.00 187.007.50 44,932.50 EXCESS REVENUE (EXPENDITURES) 398.406.01 (398.406.01) 5.697,983.59 (71.585.46) 5,769.569.05 REVENUES OVER (UNDER) EXPENDITURES 398,406.01 (398,406.01) 5,697.983.59 (71.585.46 ) 5,769.569.05 THE CITY OF DUBLIN STATEMENT SHOWING /J-q~~ REVENUES VERSUS EXPENDITURES FOR THE PERIOD 07/01/2007 THROUGH 01/31/2008 I N T ERN A L S E R V ICE FUN D S CURRENT CURRENT PRIOR PRIOR BUDGET ACTUAL VARIANCE FISCAL YEAR Y.T.D. VARIANCE ********REVENUES******** USES/MONEY & PROP-INTEREST 214.192.00 167.377 .42 46.814.58 477.640.72 226.960.21 250.680.51 CHARGES FOR SERVICES 1. 682.057.00 1.107.288.78 574.768.22 1. 786.972.00 1. 041. 375.07 745.596.93 OTHER SOURCES OF REVENUE 22.800.00 18.816.40 3.983.60 1. 475.321. 69 10.046.58 1.465.275.11 TOTAL REVENUE 1.919.049.00 1. 293 .482.60 625.566.40 3.739.934.41 1.278.381.86 2.461. 552.55 *******EXPENDITURES******* GENERAL GOVERNMENT ACTIVITIES NON-DEPARTMENTAL ACTI V ITY TOTAL PUBLI C SAFETY: FIRE 3.787.454.00 3.787.454.00 338.734.53 3.448.719.47 11.472.708.13 338.734.53 3.448.719.47 11.472.708.13 373.755.83 11.098.952.30 373.755.83 11. 098.952.30 ACTIVITY TOTAL TRANSPORT A TI ON: HEALTH & WELFARE: CULTURE & LEISURE SERVICES COMMUNITY DEVELOPMENT: CAPITAL IMPROVEMENT PROJECTS: TOT A L EXPENDITURES EXCESS REVENUE (EXPENDITURES) TRANSFER IN FROM OTHER FUNDS TRANSFERS OUT TO OTHER FUNDS 3.787.454.00 338.734.53 3.448.719.4711.472.708.13 (1.868.405.00) 954.748.07 (2.823.153.07) (7.732.773.72) 373.755.83 11.098.952.30 904.626.03 (8.637.399.75) REVENUES OVER (UNDER) EXPENDITURES (1.868.405.00) 954.748.07 (2.823.153.07) (7.732.773.72) 904.626.03 (8.637.399.75) ********REVENUES******** USESIMONEY & PROP-INTEREST TOTAL REVENUE ********EXPENDITURES******* GENERAL GOVERNMENT ACTIVITIES: NON-DEPARTMENTAL FINANCE ACTI V ITY TOTAL PUBLIC SAFETY HEALTH & WELFARE: CULTURE & LEISURE SERVICES COMMUNITY DEVELOPMENT: CAPITAL IMPROVEMENT PROJECTS: TOT A L EXPENDITURES EXCESS REVENUE (EXPENDITURES) TRANSFERS IN FROM OTHER FUNDS TRANSFERS OUT TO OTHER FUNDS REVENUES OVER (UNDER) EXPENDITURES CURRENT BUDGET THE CITY OF DUBLIN STATEMENT SHOWING REVENUES VERSUS EXPENDITURES FOR THE PERIOD 07101/2007 THROUGH 01/31/2008 E N T E R P R I S E FUN D CURRENT ACTUAL VARIANCE PR IOR FISCAL YEAR PRIOR Y.T.D. 13 o'() !l-& VARIANCE ulLI? 6~~ City of Dublin 2007-2008 YTD Revenues and Budget Comparison FO!tbep~iod~._:tng_F'eb~ary :z9, 2~08. . Total General Fund Revenues'<',@!1l1li'Ytp!115f'% 48~o 46% I Sales Taxes . FY 2007/08 ~Y 2096/071 Property Taxes Real Property Transfer Tax Transient Occupancy Taxes Franchise Taxes Licenses and Permits Interest and Rentals 57% Intergovernmental from State Charges for Services Fines and Forfeitures Other Revenues 73% 0% 30% 60% 90% 120% 150% 67% of Year Complete I I _J FY 2007/08 FY 2007/08 %of FY 2006/07 % of Total for Budget YTO Actual Budget YTO Actual FY 2006/07 Property Taxes 22,194,200 10,667,282 48% 9,307,348 46% Sales Taxes 14,390,000 7,386,138 51% 8,781,055 63% Real Property Transfer Tax 540,000 299,593 55% 297,263 50% Transient Occupancy Taxes 775,000 434,726 56% 457,936 57% Franchise Taxes 2,095,635 937,286 45% 868,627 41% Licenses and Permits 2,306,445 1,039,379 45% 1,980,141 77% Interest and Rentals 2,964,212 1,692,611 57% 1,398,837 37% Intergovernmental 1,212,669 497,147 41% 188,761 16% Charges for Services 6,362,056 3,290,480 52% 5,235,081 65% Fines and Forfeitures 143,000 79,660 56% 79,810 57% Other Revenues 1,642,012 509,128 31% 675,819 73% Total General Fund Revenues 54,625,229 26,833,429 49% 29,270,679 54% Dale Printed: 3/21/2008 3:35 PM ATTACHMENT U -- -~ .l~: O':')l2&. ' ! . I ! I City of Dublin 2007-2008 YTD Expenses and Budget Comparison For the Period Ending February 29, 2008 Total General Fund Expenses General Government Other Public Safety Transportation Health and Welfare Culture & Community Services Community Development Capital Improv. Projects Police Fire 0% 20% 40% 67% of Year Complete ~FY 2007/08 !lI FY 2006/07 ! I I I I --- _"__.___..__'1 60% 80% 100% 120% 2007/08 2007/08 %of FY 2006/07 % of Total for Budget YTD Actual Budget YTD Actual FY 2006/07 General Government 5,844,224 3,230,344 55% 3,300,953 60% Police 12,554,821 3,211,335 26% 2,765,838 24% Fire 9,468,930 2,486,821 26% 2,439,524 27% Other Public Safety 563,028 145,104 26% 119,751 28% Transportation 2,239,419 1,056,305 47% 1,075,841 54% Health and Welfare 52,004 27,126 52% 18,500 46% Culture and Community Services 7,529,844 4,056,567 54% 3,729,666 54% Community Development 8,218,211 4,525,679 55% 4,838,933 63% Capital Improvement Projects 8,811,577 3,617,782 41% 1,498,255 44% Total General Fund Expenses 55,282,058 22,357,063 40% 19,787,262 42% General Fund Operating Expenses 46,470,481 18,739,280 40% 18,289,007 42% Date Printed: 3/21/2008 3:35 PM ATTACHMENT 2b .'4 ;?~ CITY OF DUBLIN'S PRO FORMA FINANCIAL STATEMENTS FOR THE MONTH OF FEBRUARY 2008 Prepared by The Finance Department March 13,2008 ATTACHMENT 2c ASSETS CAS!! CASHW I TH FISCAL Al~ENT AMOUNT HELD IN ESCROW INVESTMENTS AT COST RECEIVABLES. TAXES ACCOUNTS INTEREST ASSESSMENTS DUE FROM OTHERS INVENTORY AT COST c'REPAID ITEMS FIXED ASSETS LOANS RECEIVABLE AMOUNT TO BE PROVIDED TOTA'_ ASSETS LIABILITIES/FUND EQUITY DEPOSITS FOR PRIVATE DEVEL DEPOSITS FOR AB1600 FEES DEPOS, I TS CJTHERS PAVABLES. ACCOUNTS INTEREST PAYROLL [_~l.::: ;~) C~~-lERS GENERAL REVENUE FUNDS SPECIAL REVENUE FUNDS (49.232.383) 4.273.448 108099.179 107.718 658.001 5.161.049 2.478 64.796,044 4.273.448 (1. 201.197) (7.286) (336.896) (254.653) (3.845) ( 21. 533 ) (141.632) [jEFERRED REVENUE DEBT INSTRUMENTS PAYABLE TOTAL LIABILITIES (1.967.041) cuNC BALANCES (62.829.002) TOTAL FUND E (62.829.002) (62.871 ) (62.871) (4.210.577) (4.210.577) TOTA_ LIABILIT!ES/EQUITY (64.796.044) (4.273.448) CITY OF DUBLIN BALANCE SHEET FOR THE PERIOD ENDING 29Feb2008 1 "6 <7(, SPECIAL ASSESSMENT FUNDS CAPITAL IMPROVEMENT FUNDS TOT A L S ---MEMORANDUM ONLY--- CURRENT PRIOR TRUST/ AGENCY FUND 561.367 49.026.838 244.152 4.873.422 00.357.707) 176.943 176.943 169.249 151. 520 1. 712.000 108.099.179 116.171.903 107.718 1. 552.561 658.001 671.287 151.520 5.161. 049 1. 901. 086 2.478 7.973 5.117.250 5.117.250 6.653.777 943.500 943.500 1. 083.500 561.367 54.882.343 1. 364 . 595 125.877.797 119.565.629 06.860) 0.218.057) (490.999) 0.122.618) 0.129.904 ) (961. 289) (336.896) (523.498) (249.324) (566.849) (380.357) (3.845) (4.883) (1. 791. 762) 0.813.296) 0.951. 035) (5.703.985) (5.845.618) (2 , 534 . 827) (1. 061. 000) 0.061. 000) (1. 201. 000) (8.884.550) (1.061.000) (11.975.463) (8.047.888) (561. 367) (45.997.793) (303.595)(113.902.334) (97.418.770) (561.367) (45.997.793) (303.595)(113.902.334) (97.418.770) (561. 367) (54.882.343) (1.364.595)(125.877.797)(105.466.658) C!TY OF DUBL! N BALANCE SHEET FOR THE PERIOD ENDING 29Feb2008 It IJ'b co2 (. INTERNAL SERVICE FUNDS ENTERPRISE FIXED ASSETS GENERAL LONG FUND GROUP OF TERM DEBT ACCOUNTS ACCOUNT GROUP TOT A L S ---MEMORANDUM--- CURRENT PRIOR ASSETS CASH CASHlpj I TH FISCAL Al,ENT A'ICUNT IIELD IN ESCROW 7.438.640 7.438.640 11.295.891 INVESTMENTS AT COST RECEIVABLES: TAXES ACCOUNTS INTEREST ASSESSMENTS :leE FROM OTHERS I\~VENTiJRY AT COST ~RE~)AI D ITEMS FIXE[) ASSETS JiANS RECEIVABLE AMOUNT TO BE PROVIDED TOTAL ASSETS 3.966 3.966 3.966 48.289.121 351.342.286 399.631. 407 387.888.144 61. 986.566 61.986.566 62.220.554 55.731. 727 351.342.286 61.986.566 469.060.579 461. 408.555 LIABILITIES/FUND EQUITY DEPOSITS FOR PRIVATE DEVEL DEPOSITS FOR AB1600 FEES C~PClSITS OTHERS DAYABLES: ACCOJNTS INTEREST PAYROLL C)JE TO OTHERS DEFERRED REVENUE DEBT INSTRUMENTS PAYABLE (229.457) TCTAL LIABILITIES (229.457) BALANCES (55.502.270) TOTAL ~UND E (55.502.270) (61. 986 . 566) (61. 986 . 566 ) (62.216.023) (62.738.920) (62.216.023) (62.738.920) (406,844.556)(397.644.149) (406.844.556)(397.644.149) (351. 342.286) (351. 342.286) -a-AL LIABILITIES/EQUITY (55.731.727) (351.342.286) (61.986.566) (469.060.579)(460.383.069) THE CITY OF DUBLIN STATEMENT SHOWING REVENUES VERSUS EXPENDITURES FOR THE PERIOD 07/01/2007 THROUGH 02/29/2008 111;/(., G ENE R A L REV E N U E FUN D CURRENT BUDGET CURRENT ACTUAL VARIANCE PRIOR FISCAL YEAR PRIOR Y.T.D. VARIANCE *******REVENUES******* P~CPE~~Y TAXES 22.194,200.00 10,667.281. 97 11.526.918.03 20,146,742.78 9,307,347.81 10,839,394.97 6 c,- TAX 14,390,000.00 7,386,137 65 7,003,862.35 14,025,868.73 8,781. 055 38 5,244,813.35 ':-, , .l...~j REAL PROPERTY TRANSFER TAX 540.000.00 299,593.36 240,406.64 596,532.87 297,263.33 299,269.54 HOTEL TRANSIENT OCCUPANCY TAX 775,000.00 434,726.08 340,273.92 800,772.57 457,936.36 342,83621 :-RANCHISE TAXES 2,095,635.00 937,285.57 1.158,349.43 2,111. 281. 26 868,627.36 1.242,653.90 I CE:NSES & PERMITS 1. 564 ,645.00 1.0.39,378.63 525,266.37 2,572,067.54 1. 980 , 140 . 85 591,926.69 !'INES & FORFE !TURES 143,000.00 79,659.87 63, .340 .13 140,234.79 79,81014 60,424.65 USE/i'';(INEY ,& PROP-INTEREST 2,096,744.00 1.468,150.16 628,593.84 .3,575,137.21 1. 353 , 345 . 16 2,221. 792.05 JSE/MClNEY ,& PROP-RENTALS 290,927.00 224,460.43 66,466.57 203,240.52 45,491. 53 157,748.99 INTERGOVERNMENTAL 1.049,669.00 497,146.73 552,522.27 1.149,759.30 188,760.86 960,998.44 ~HARGES FOR SERVICES 6,262,056.00 3,290,480.34 2,971,575.66 8,015,064.77 5,235,080.78 2,779,983.99 ~~;"-HER SOURCES OF REVENUE 1.647,012.00 509,127.84 1,137,884.16 928,704.12 675,819.08 252,885.04 'ell AL REVENUE 53,048,888.00 26,833,428.63 26,215,459.37 54,265,406.46 29,270,678.64 24,994,727.82 *******EXPENDITURES******* ;:J\ER.6L l~OVERNMENT ACT! V IT! ES )TY CClUNCIL 304,891.00 192,008.16 112,882.84 320,924.20 240,447.27 80,476.93 CITY MANAGER 1.128,643.00 683,896.49 444,746.51 1. 042 ,480.01 660,971.16 381. 508.85 ENTRAL SERVICES 549,400.00 293,377.34 256,022.66 438,786.38 268,354.89 170,431. 49 ITY ATTORNEY 615,723.00 344,054.06 271,668.94 867,874.77 409,669.28 458,205.49 A[)!'IN SERVICES 1. 844,459.00 1. 006,880.00 837,579.00 1,593,027.81 1. 032,165.48 560,862.33 ~)l.JILOINC MANACiEMENT 796,873.00 410,808.85 386,064.15 707,316.31 378,050.20 329,266 11 INSURANCE COST CENTER 538.541. 00 284,191.35 254,349.65 474,542.39 301. 52616 173,016.23 ELECTIONS COST CENTER 2,500.00 425.00 2,075.00 25,554.79 4,497.51 21. 057.28 >iC'hlE PARTMENT AL 63,19400 14,70231 48,491. 69 9 , 858 . 11 5,271.25 4,586.86 ACT! V!TY TOTAL 5,844,22400 3,230,343.56 2,613,880.44 5,480,364.77 3,300,953.20 2,179,411.57 DUBLIC SAFETY PO Ll C E 12,554,821. 00 3,211 , 334 . 97 9,343,486.03 11,662,394.30 2,765,838.36 8,896.555.94 :=RCJSS I NG GUARDS 98.648.00 44 , 117 .82 54.530.18 86,639.21 40,453.88 46,185.33 ANIMAL CONTROL 351.192.00 56,272.90 294,919.10 251. 956.53 42,739.22 209,217 .31 TRAFFIC SIGNALS & STREET LI GHT! N 13,300.00 7,006.08 6,293.92 15,424.08 9,644.44 5,779.64 [) I.ASTER PREPAREDNESS 99,888.00 37,707.11 62,18089 79,826.64 26,913.69 52,912.95 ,-I ~E ~~ERV ICES 9,468,930.00 2,486.820.74 6,982,109.26 9,178,765.31 2,439,524.41 6,739,240.90 ACTIVITV TC:T AL 22,586,779.00 5.843.25962 16,743,519.38 21. 275,006.07 5,325,11400 15,949,892.07 ~Rp,\SPCR:ATION ~:U[)L I C ~K)RKS 1. 094.762.00 576,107.95 518,654.05 907,511.91 563,260.66 344,251. 25 MAl iHENANCE 33,147. 397.40 32,749.60 13,221. 64 7,467.59 5,754.05 STREET SWEEP'ING 138,000.00 70,179.97 67,820.03 139,992.31 71 ,672 .24 68,320.07 STREET TREE MAINTENANCE 106,917.00 27,905.42 79,011.58 131.391.84 30.707.26 100,684.58 STREET LANDSCAPING MAINTENAN 866,593.00 381. 713.88 484,879.12 811,550.20 402,7.32.88 408.817.32 ACTIVITY TOTAL 2,239,419.00 1,056.304.62 1.183,114.38 2,003,667.90 1.075,840.63 927,827.27 ~EA'c TH & WELFARE fJASTE MANAGE,'1ENT 8.091. 00 7,390.58 700.42 22,055,21 22,055,21 18.500.00 9,7.35.75 8,764.25 18,500.00 18,500.00 25,413.00 10.000.00 15,413.00 ACT! V ITY TOTAL CULTURE & LEISURE SERVICES U BRARY SERV ICES CULTURAL ACTIVITIES . iER I T AGE CENTER :J:;:iLl N CEMETERY PARK MAINTENANCE '.C:MMl!N I TY TV RECREATICN ADMIN PLA YCiROUNDS ,HMNON CENTER PRESCHOOL TEENS PROGRAM ADULT SPORTS YOUTH SPORTS 'DMMUN ITY GYM E~ERALD GLEN ACTIVITY CENTER :;PECIAL EVENTS '-:,EN I UR CENTER RECREATION INSTRUCTION ACUATI PARKS/FACILITIES MANAGEMENT ACTIVITY TOTAL .:}MMUN I TY DEVELOPMENT :JLMNING 3d LJ I NG SAFETY ENl~ I NEERI NG ECCNOMI DEVELDPMENT ACT! V ITY TOTAL ,AP:TA~ IMPROVEMENT PROJECTS ~~NERAL IJ PROJECTS ITY IMPROVEMENTS P'ARKS CTREET CONSTRC/IMPROVEMENTS ACTIVITY TDTAL -OTA~ EXPENDITURES EXCESS REVENUE (EXPENDITURES) TRA~SFERS IN FROM OTHER FUNDS TRA~SFERS OUT FROM OTHER FUNDS REVENUES OVER(UNDER) EXPENDITURES J-6 6 \ ~(. THE CITY OF DUBLIN STATEMENT SHOWING REVENUES VERSUS EXPENDITURES FOR THE PERIOD 07/01/2007 THROUGH 02/29/2008 G E N ERA L REV E N U E FUN D CURRENT CURRENT PRIOR PRIOR BUDGET ACTUAL VARIANCE FISCAL YEAR Y,T,D, VARIANCE 52.004.00 27 . 126. 33 24.877 .67 40.555.21 18.500.00 22.055.21 836.571.00 399.877.00 436.694.00 809.628.89 409.077 . 79 400.551.10 239.530.00 148.529.04 91. 000.96 251. 944.51 156.792.11 95.152.40 238.752.00 145.489.99 93.262.01 181.827.65 118.676.04 63.151. 61 48.45800 15.708.73 32.749.27 43.942.65 20.221. 38 23.721. 27 2.016.692.00 1.017 .079.57 999.612.43 1.808.688.78 774.016.00 1.034.672.78 127.980.00 46.481.18 81. 498.82 128.881. 00 60.791. 00 68.090.00 759.339.00 457.018.14 302.320.86 702.189.94 440.313.54 261.876.40 320.073.00 171. 369.58 148.703.42 260.228.97 158.053.30 102.175.67 286,982.00 174.539.92 112.442.08 342.407.56 212.718 68 129.688.88 115.643 00 69.857.90 45.785.10 105.844.87 62.407.40 43.437.47 146.164.00 73.337.19 72.826.81 135.910.40 80.353.79 55.556.61 183.056.00 94.474.06 88.581. 94 106.532.29 68.618.05 37.914.24 204.177.00 129.84762 74.329.38 174.520.06 117.581.22 56.93884 46.187.00 30.096.99 16.090.01 44.662 71 23.30953 21. 35318 403.471.00 217.491.50 185.979.50 354.952.30 189.572.11 165.380.19 549.653.00 313.771.43 235.881. 57 472.926.09 289.181.22 183.744.87 209.545.00 112.810.56 96.73444 198.529.01 121.729.98 76.799.03 467.48800 240.999.65 226.488.35 445.981. 03 233.370.47 212.610.56 330.083.00 197.787.03 132.295.97 304.996.60 192.882.51 112.114.09 7.529.844.00 4.056.567.08 3.473.276.92 6.874.595.31 3.729.666.12 3.144.92919 2.893.306.00 1.455.744.01 1. 437.561. 99 2.152.189.29 1. 380.322.41 771. 866.88 2.708.274.00 1. 629 . 808 . 99 1. 078 .465.01 2.886.668.83 1. 786.969.81 1. 099 . 699 . 02 2.321.911.00 1.303.856.88 1.018.054.12 2.407.540.23 1. 486 . 996 . 41 920.543.82 294.720.00 136.269.40 158.450.60 252.495.57 184.644.67 67.850.90 8.218.211.00 4.525.679.28 3.692.531. 72 7.698.893.92 4.838.933.30 2.859.960.62 1. 561. 994 00 65,242,42 1. 496.751. 58 377 . 025.76 206.651. 09 170.374.67 328.578.00 112.023.31 216.554.69 95.671.93 21. 762.82 73.909.11 5,776.648.00 3.379.919.70 2.396.728.30 2.619.19645 1.003.747 66 1.615.448.79 1.144.357.00 60.596.75 1. 083.760 25 308.244.43 266.093.23 42.151. 20 8.811.577.00 3.617.782.18 5. 193.794 82 3.400.138.57 1.498.254.80 1. 901. 883.77 55.282.058.00 22.357.062.67 32.924.995.33 46.773.221. 75 19.787.262.05 26.985.959.70 (2.233.170.00) 4.476.365.96 (6.709.535.96) 7.492.184.71 9.483.416.59 (1.991.231.88) 52.883.57 (52.883.57) 59.196.81 39.525.20 19.671.61 (23.505.65) (23.505.65) (2.233.170.00) 4. ~J29 . 249 . 53 (6.762.419.53) 7.527.875.87 9.522.941.79 (1.995.065.92) ********REVENUES******** x\UPERTY TAXES SALES TAX/OTHER TAXES ~INES & FORFEITURES USES/MONEY & PROPERTY I NTERl~OVERNMENTAL FROM STATE INTERGUVERNMENTAL FROM COUNTY INTERGOVERNMENTAL FROM FEDERAL 'ARGES FOR SERVICES ::~"ER SOURCES DF REVENUE TDTA~ REVENUE *******EXPENDITURES******* ~':~LI C SNHY. ~)CL I CE TRAFFIC SIGNALS & STREET LTG DISASTER PREPAREDNESS rIRE SERVICES ACT! V !TY TOTAL ~RANSPCiRTAT!ON . STREET MAINTENANCE STREET LANDSCAPE MAINTENANCE ACTIVITY TOTAL -EALTH & WELFARE. ftJASTE MANAl~EMENT SDCIAL SERVICES ING PROGRAMS ACT! V !TY TOTAL ITY DEVELOPMENT. EVil:'jEERING ACT! V I TY TeiT AL SAJITAL IMPROVEMENT PROJECTS. GENERAL CIP PROJECTS COMMUNITY PROJECTS ;:',6,Rk:S STREET CONSTRUCTION/IMPROVEMENT ACT! V I TY TOTAL ~ u ~ A L EXPENDITURES EXCESS REVENUE (EXPENDITURES) -RANSFER IN FROM OTHER FUNDS ~RANSFERS OUT TO OTHER FUNDS REVENUES OVER (UNDER) EXPENDITURES THE CITY OF DUBLIN STATEMENT SHOWING REVENUES VERSUS EXPENDITURES FOR THE PERIOD 07/01/2007 THROUGH 02/29/2008 S P E C I A L CURRENT BUDGET 125.760.00 460.862.00 195.000.00 216.249.00 1. 972 .487.00 397.023.00 459.471.00 1.513.762.00 9.000.00 5.349.614.00 104.810.00 279.525.00 287.483.00 671.818.00 398.986.00 6.038.00 405.024.00 1.663.490.00 52.94500 1. 716.435. 00 6.000.00 6.000.00 10.853.0Cl 103.588.00 2.086.80300 2.201. 244 . 00 5.000.521. 00 349.093.00 349,093.00 CURRENT ACTUAL 66.330,87 195.344.67 113.392.74 115.876.18 609.299.30 125.534.65 93.76614 769.360.33 2.088.904.88 101.355.00 146.881.32 116.584.96 364.821. 28 117.849.15 117.849.15 813.935,26 39.531.10 853.466.36 2.472.00 2.472,00 818.739.95 818.739.95 2.157.34874 (68.443.86) 52.883.57 (121. 327 43) REV E N U E VARIANCE 59.429.13 265 . 517 . 33 81.607.26 100.372.82 1.363.187.70 271.488.35 365.704.86 744.40167 9.000.00 3. 260 . 709. 12 3.455,00 132.643.68 170.898.04 306.996.72 281.136.85 6.03800 287.174,85 849.554.74 13.413.90 862.968.64 3.528.00 3.528.00 10.853.00 103.588.00 1. 268 . 063 , 05 1. 382 . 504 , 05 2.843.172.26 417 .536 . 86 (52.883.57) 470.420.43 FUN D S PRIOR FISCAL YEAR 119.47273 433.043.17 201.862.59 194.816.32 1.174.710.84 376.594.90 144.868.47 1. 430.805.72 25.467.40 4.101.642.14 101. 780.53 249.275.06 196.755.84 547.811.43 305.088.60 7.563.43 312.652.03 1.525.606.71 60.035.35 1. 585 .642 06 6.000.00 6.000.00 17 . 580 .62 132.238.71 726.185.12 876.004.45 3.328.109.97 773.532.17 (1.097.00) 27.368.61 747.26056 PRIOR V.T.D. 61.237.46 228.243.34 116.232.48 111.149,07 852.108.95 125.061.60 16.590.59 735.276.64 2.245.900.13 100.370.70 134.596.49 78.390.10 313.357.29 116.135.25 116.135.25 749.090.71 28.411.80 777.502.51 1.519.00 1.519.00 75.52571 42.111. 34 117.637.05 1. 326 .151.10 919.749.03 919.749.03 /-) 1.1( j(..., , .~J ~ rr.)(/ VARIlINCE 58.235.27 204.799.83 85. 630 . 11 83.667.25 322.601. 89 251. 533.30 128.277.88 695.529.08 25.467.40 1.855.742.01 1. 409 . 83 114.678.57 118.365.74 234.454.14 188.953.35 7.563.43 196.516.78 776.516.00 31. 623.55 808.139.55 4.481.00 4.481.00 17.580.62 56.713,ClO 684.073.78 758.367.40 2.001.958.87 046.216.86) 0.097.00 ) 27.368.61 072.488.47) THE CITY OF DUBLIN STATEMENT SHOWING REVENUES VERSUS EXPENDITURES FOR THE PERIOD 07/01/2007 THROUGH 02/29/2008 eJJ ()i ;; ~ " \ J ~ P E r I A L A S r E ~ S M E N T F U N D S , ,~ .) ., CURRENT CURRENT PRIOR PRIOR BUDGET ACTUAL VARIANCE FISCAL YEAR Y.T.D. VARIANCE ********REVENUES******** SPECIAL BENEFITS ASSESSMENTS 785.567.00 411 . 787 .33 373.779.67 716.143.96 364,945.60 351.198.36 USES/MONEY & PROP-INTEREST 26.106.00 13,867.74 12,238.26 26,363.45 12,612.35 13,751.10 OTHER SOURCES OF REVENUE 5,000.00 578.00 4,422.00 3,219.91 3,219.91 TOTAL REVENUE 816.673.00 426,233.07 390,439.93 745,727.32 377,557.95 368,169.37 *******EXPENDITURES******* c.;:,_.:[~L : SAFETY. TRA~FIC SIGNALS & STREET LIG 376,400.00 179,519.21 196,880.79 325,491. 81 188,311.55 137,180.26 ACT! V I TY TOTAL 376,400.00 179,519.21 196,880.79 325,491. 81 188,311.55 137,180.26 ~RAI;S~)ORTAT!ON Dl'BL I WCRKS 100.00 100.00 1. 640 . 07 1.508.37 131.70 '"-,r-',r-r-r- TREE MAINTENANCE 65.910.00 38.802,95 27,107.05 39,305.46 8 , 635 . 17 30,670.29 .~,' I Kt.t.. i STREET LANDSCAPE i"IAI NTENANCE 393.678.00 174,639.68 219,038.32 369,334.70 171.818.46 197,51624 ACT! V ITY TOTAL 459,688.00 213,442.63 246.245.37 410,280.23 181. 962.00 228,318.23 CMMUNITY DEVELOPMENT ENGI NEERI NC~ 15,500.00 9.782.94 5 , 717 .06 10,558.50 358.50 10,200.00 ACT! V ITY TOTAL 15,500.00 9,782.94 5 , 717 . 06 10,558.50 358.50 10,200.00 N'[TAL IMPROVEMENT PROJECTS: U}MM,.:N! TY IM~'ROVEMENTS (:~REET CONSTRUCT!CN/IMPRVMNT ACT! V I TY TOTAL A - EPENOI~URES 851,588.00 402.744.78 448,843.22 746,33054 370,632.05 375,698.49 :YESS, REVENUE EXPENDITURES) (34,915.00) 23,488.29 (58,403.29) (603.22) 6,925.90 (7.529.12) ~:~VE'~uES CVE.~ (U'WER) EXPENDITURES (34.915.00) 23.488.29 (58,403.29) (603.22) 6,925.90 (7,529.12) THE CITY OF DUBLIN STATEMENT SHOWING REVENUES VERSUS EXPENDITURES FOR THE PERIOD 07/01/2007 THROUGH 02/29/2008 ;)3 0' ;}& ) CAP I TAL IMP R 0 V E MEN T FUN D S CURRENT CURRENT PRIOR PRIOR BUDGET ACTUAL VARIANCE FISCAL YEAR Y.T.D. VARIANCE ********REVENUE******** USES/MONEY & PROP-INTEREST 1.709,300.00 1,027,324.68 681. 975.32 2,044,630,85 1.198,282.76 846,348,09 ::T'ER SOURCES OF REVENUE 17,447,972,00 17,674,062.16 (226,090.16) 8,652,525.77 6,435,343,77 2,217,182,00 ~D-AL REVENUE: 19,157,272.00 18,701. 386.84 455,885,16 10,697,156,62 7,633,626.53 3,063,530.09 HHH*EXPENDITURES******* GENERAL GOVERNMENT ACTIVITIES: N::N - :JEPARTMENT AL ITv ATTORNEY ACTIVITY TOTAL ~)UB_ I C SAFETY TRMCPORTATION: EALTH & ';']ELF ARE. N\; PROGRAMS ACTIVITY TOTAL TURE & LEISURE SERVICES: RECREATION ADMINISTRATION ACTI V ITY TOTAL ~OM~UNITY DEVELOPMENT P~ANN r NCi ACTI V ITY TOTAL :APITAL IMPROVEMENT PROJECTS CENERAL CIP PROJECTS rTY IMPROVEMENTS ~W\KS S-REET CONSTRUCTION/IMPROVEMENT ACT! V ITY TOTAL - 0 TAL EXPENDITURES EXCESS REVENUE (EXPENDITURES) -RANSFER IN FROM OTHER FUNDS TRANSFERS OUT TO OTHER FUNDS 49,400,00 49,400,00 78,785,62 59,936,48 138,722.10 45,264.97 45,264.97 78,785.62 14,67151 93,457.13 39,421. 22 39,421,22 9,978,78 9,97878 3,994,884.00 3,994,884.00 676,726,53 676,726,53 3,318,157,47 3,318,157.47 458,257,23 458,257.23 173,540,19 173,540,19 284,717.04 284,717.04 195,550,00 195,550,00 24,905,17 16,751. 50 8,153,67 250,000.00 250,000.00 8,242,583.00 1.157,383,99 7,085,199,01 7,993,412,28 354,881.80 7,638,530,48 30,119,579.00 6,403,564,06 23,716,014.94 4,497,678,86 3,242,619.55 1.255,059,31 38,807,712.1J0 7,560,948.05 31. 246,763,95 12,515,996.31 3,614,252.85 8,901. 743.46 42,851. 996 .IJIJ 8,277,095.81J 34,574,900.20 13,112,975,64 3,833,058.1J1 9,279,917.63 (23.694,72401J) 10.424,291.04 ( 34 , 119 , IJ 15 04 ) (2,415,819.02) 3,800,56852 (6,216,387.54) 30,10565 30,11J5,65 39,525.20 39,525.20 REVENUES OVER (UNDER) EXPENDITURES(23,694.724.00) 10,424,291.04 (34,119,015.04) (2,425,238.57) 3,761,043.32 (6,186,281.89) ********REVENUES******** SPECIAL ASSESSMENTS USES/MONEY & PROP-INTEREST TOTAL REVENUE *******EXPENDITURES******* 5ENERAL GOVERNMENT ACTIVITIES: 'HJN - DE PARTMENT AL ACTIVITY TOTAL SAFETY: -~A~(::::'CFC A TICJN: 'EA_ & WELFARE: ~LTJRE & LEISURE SERVICES: COMMLNITY DEVELOPMENT: CAPITAL IMPROVEMENT PROJECTS T eTA L EXPENDITURES EXCESS REVENUE (EXPENDITURES) REVENUES OVER (UNDER) EXPENDITURES CURRENT BUDGET THE CITY OF DUBLIN STATEMENT SHOWING REVENUES VERSUS EXPENDITURES FOR THE PERIOD 07/01/2007 THROUGH 02/29/2008 T R U S T / AGE N C Y CURRENT ACTUAL 101. 539.85 82.193.84 442. 122 . 36 83.162.94 212.804.64 212.804.64 229.317 . 72 229.317.72 FUN D VARIANCE PRIOR FISCAL YEAR (101.539.85) 217.030.10 (82.193.84) 14.825.42 (442.122.36) 5.929.923.59 (83.162.94) (212.80464) 231.940.00 231.940.00 (212.804.64) 231.940.00 (229.317.72) 5.697.983.59 (229.317.72) 5.697.983.59 PRIOR Y.T.D. 108.515.05 7.916.96 116.432 . 01 228.121.25 228.121.25 d~ 0002(, VARIANCE 108.515.05 6.908.46 5.813.491.58 3.818.75 3.818.75 228.121.25 3.818.75 (111.689.24) 5.809.672.83 (111.689.24) 5.809.672.83 ********REVENUES******** USES/MONEY & PROP-INTEREST .1 IARl~ES FOR SERV ICES O~YER SOURCES OF REVENUE -'-O-'-IIL REVENUE *******EXPENDITURES******* ~E~ERAL GOVERNMENT ACTIVITIES ~ON-DEPARTMENTAL ACT! V ITY TOTAL =,.:[iL! C:;AFETY . c:RE ACT! V ITY TOTAL -rC(ANSPCJRTATICN: EAL 'H ,& WELFARE. "L-URE & LEISURE SERVICES ITY DEVELOPMENT: CA?I~AL IMPROVEMENT PROJECTS: TOT A L EXPENDITURES EXCESS REVENUE (EXPENDITURES) TRANSFER IN FROM OTHER FUNDS TRANSFERS OUT TO OTHER FUNDS THE CITY OF DUBLIN STATEMENT SHOWING REVENUES VERSUS EXPENDITURES FOR THE PERIOD 07/01/2007 THROUGH 02/28/2008 Jj 6G07b N T ERN A L S E R V ICE FUN 0 S CURRENT BUDGET CURRENT ACTUAL PRIOR FISCAL YEAR PRIOR Y.T.D. VARIANCE VARIANCE 214,192.00 183.865.35 30,326.65 477,640.72 260,749.45 216,891. 27 1. 682 , 057 . 00 1.300.568.15 381.488.85 1.786,972.00 1,187,797.42 599,174.58 22.800.00 156,746.78 (133,946.78 ) 1. 475.321. 69 10.046.58 1. 465 . m:, 11 1.919,D49.DO 1. 641.180.28 277 ,868.72 3,739,934.41 1. 458,593.45 2,281. 340.96 3,787.454.00 3.787,454.00 462,938.81 462,938.81 3,324,515.19 11,472,708.13 3,324,515.19 11,472,708.13 433,106.90 11,039,601.23 433,106.90 11.039,601.23 3.787,454.00 462,938.81 3,324,515.19 11,472,708.13 433,106.90 11,039,601.23 (1.868.405.00) 1,178,241.47 (3,046,646.47) (7,732,773.72) 1,025,486.55 (8.758,260.27) REVENUES OVER (UNDER) EXPENDITURES (1,868.405.00) 1.178,241.47 (3.046.646.47) (7.732,773.72) 1,025,486.55 (8,758,260.27) ********REVENUES******** uSES/MONEY & PROP-INTEREST -~:)TA~ REVENUE ********EXPENDITURES******* ~ENERAL GOVERNMENT ACTIVITIES: -[JE:'ARTMENTAL FINANCE ACT! V !TY TOTAL ~'UBLI C SAFETY HEAL-H & WELFARE: TURE & LEISURE SERVICES COMMUNITY DEVELOPMENT: CAP:TAL IMPROVEMENT PROJECTS: TAL EXPENDITURES EXCESS REVENUE (EXPENDITURES) TRANSFERS IN FROM OTHER FUNDS -RANSFERS OUT TO OTHER FUNDS REVENUES OVER (UNDER) EXPENDITURES CURRENT BUDGET THE CITY OF DUBLIN STATEMENT SHOWING REVENUES VERSUS EXPENDITURES FOR THE PERIOD 07/01/2007 THROUGH 02/29/2008 E N T E R P R I S E FUN 0 CURRENT ACTUAL VARIANCE PRIOR FISCAL YEAR PRIOR Y.T.D. vi (') 6t t;\ Go VARIANCE