Loading...
HomeMy WebLinkAbout4.04 FinanceRept April2001CITY CLERK FILE # 330-50 AGENDA STATEMENT CITY COUNCIL MEETING DATE: (May 15, 2001) SUBJECT: ATTACHMENTS: RECOMMENDATION:/~ FINANCIAL STATEMENT: Financial Reports For the Month of April 2001 Report Prepared by: Carole Perry, Administrative Services Director and Fred Marsh, Finance Manager YTD Revenues and Budget Comparison YTD Expenses and Budget Comparison Financial Statements for the Month of April 2001 Receive the reports. See reports for detail of monthly financial activity. DESCRIPTION: This item provides the report of the preliminary financial statements for the month of April 2001. 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. Analysis of April 2001 Revenue and Expenditure Report The April report represents the reporting of revenues and expenditures for the first ten months of the Fiscal Year. It should be noted that there is not an even distribution of revenues and expenditures on a monthly basis. For example, the expenditures for major contracts such as Police and Fire Services lag since the City is billed on a quarterly basis. A more detailed analysis of General Fund Revenue and Expenditures is shown on the attached reports and discussed below. General Fund Revenues Total General Fund Revenues collected through April are higher than what occurred in the ninth month of the previous Fiscal Year. The City had collected through April 2001 approximately 93% of the total budgeted General Fund Revenues compared to approximately 77% in the prior Fiscal Year. Property Taxes are higher than in the same period of the prior year as the assessed valuation increased over the prior year, primarily due to the sales of properties and additions of several commercial and residential developments during the past year in Eastem Dublin. Sales Tax is higher than in the same period of the prior year. The State has raised the amount of monthly sales tax advances to the City as a result of the increased sales activity within the City, primarily related to tax collections from motor vehicle sales. Real Property Transfer Tax is higher than the same period of the prior year due to increased sales of residential and commercial properties within the City. Transient Occupancy Taxes are higher than in the same period in the prior year due to higher room rates and higher than expected occupancy rates. COPIES TO: G:MMonthly Financials\032001 agenda statement monthly ~nancials. doc ITEM Franchise Taxes are higher than in the same period in the prior year due to an increase in cable rates that occurred during the year as well as a larger than expected increase in the number of new residential customers in Eastern Dublin~ Licenses and Permits are higher than in the same period in the prior year due to an increase in the valuation of building permits issued during the first ten months of Fiscal Year 2000/2001. The data presented regarding Interest and Rental revenue is somewhat skewed in the current report as a portion of the interest eamings reported in the General Fund still needs to be allocated to all of the City's funds on a pro rata basis. This allocation will be done prior to the year end closing. In addition, the City has more cash available in the first ten months of the year than was assumed in the budget calculations. Intergovemmental is higher than in the same period of the prior year due to an increase in the allocation of State Motor Vehicle In Lieu Fees and an increase in the amount of the ERAF repayment from the State. Charges for services are higher than in the same period of the prior year as there were delays that occurred on some development projects during the same time period in the prior year, resulting in lower than expected year to date revenue for engineering plan checking services in the prior year. The amount of revenue recorded is based upon the payments made to date to outside contractors for these services. Fines and Forfeitures is higher than the prior year due to an increase in the number of traffic citations issued over the prior year. Other Revenue is lower than the same period in the prior year, as the City has not yet received any reimbursements from PG&E for the Dublin Boulevard Underground Utilities project. General Fund Exilenditures Overall, through the month of April expenditures in the General Fund totaled $13,247,680 and represented approximately 47% of the total budgeted expenditures in the General Fund. Of this amount, a total of $987,852 was related to Capital Improvement Projects and the remainder was related to Operating Costs reported in the General Fund. Capital Project expenditures typically do not follow an even distribution due to differences in project timing. In looking at only General Fund Operating Expenditures, the activity through April 2001 was lower than the amounts expended for the same period in the prior Fiscal Year. As of April 2001, the City had expended 53'% of the General Fund Operating Budget compared to 62% in the prior Fiscal Year. As previously noted there are some timing differences with payment for contract services which complicate comparisons between one Stear to the next. General Governmental is lower than in the prior year as the amount budgeted for technical support for "Computers-for Our Schools" has not yet been spent. Police Services are lower than in the prior year due to timing differences in payments for contract police services. Other Public Safety is lower than in the prior year due to timing differences in payments for contract animal control services. Culture and Leisure Services are lower than in the same period of the prior year due to lower than expected personnel expense to date for Recreation Administration and Playgrounds, and timing differences in payments for contract services in the Special Events and Shannon Center events divisions. Community Development is lower than in the same period of the prior year due to timing differences in the payment of development related contract services in the Engineering division. Capital Improvement Project expenditures are lower than in the same period of the prior year as several of the capital projects ~mded by the General Fund in Fiscal Year 2000-2001 will not incur major expenditures until later in the Fiscal Year, including the DUSD Technology Project, Civic Center Library, Freeway Underpass Art and Sidewalk Reconstruction and the Alamo Canal Bikepath project. In addition, there may be a delay in the Dublin Boulevard Undergrounding project due to a delay in the receipt of reimbursement funds. All expenditures to date are within the authorized budget. It is recommended that the City Council receive these reports as authorized by Section 41004 of the Califomia Government Code. f Total General Fund Revenues Property Taxes City of Dublin 2000-2001 YTD Revenues and Budget Comparison For the Period Ending April 30, 2001 ~ ~ 177°~ 93% ] [9o% IIIIII 111% Sales Taxes Real Property Transfer Tax 88% · FY 2000/2001 [] FY 1999/2000 Transient Occupancy Taxes 79% Franchise Taxes Licenses and Permits Interest and Rentals Intergovernmental from State 136°/~ Charges for Services 74% Fines and Forfeitures ]123% Other Revenues 0% 30% 60% '88% 90% 120% 150% 83% of Year Complete 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 Total General Fund Revenues FY 200012001 Budget 6, 168,350 11,300,000 288,000 910,000 1,017,840 3, 124,088 1,513,259 1,813,500 3,434, 158 68,755 2,935,654 32,573,604 FY 2000/2001 % of YTD Actual Budget 6,874,391 111% 9,925,371 88% 487,637 169% 717,043 79% 988,532 97% 2,702,406 87% 2,059,520 136% 1,655,797 91% 2,558,365 74% 84,415 123% 2,340,599 80% 30,394,075 93% FY 99~00 YTD Actual 5,403,434 8,092,420 286,952 491,435 820,842 3,016,233 1,422,091 1,336,371 2,050,965 62,855 640,370 23,623,968 % of Total for FY 99~00 90% 70% 77% 61% 85% 77% 106% 82% 62% 74% 88% 77% V. ¢ I ATTACHMENT 1 City of Dublin 2000-2001 YTD Expenses and Budget Comparison For the Period Ending April 30, 2001 Total General Fund Expenses General Government I I 62% 68% 73% Police 52% Fire Other Public Safety Transportation Health and Welfare Culture & Community Services Community Development Capital Improv. Projects 0% 20% 59% 45% 40% 60% 83% of Year Complete )% 72% 90% 82% 81% 80% 100% [] FY 2000/2001 · FY 1999/2000 FY 2000/2001 Budget General Government Police Fire Other Public Safety Transportation Health and Welfare Culture and Community Services Community Development Capital Improvement Projects 3,067,557 6, 125,924 4,448,831 283,619 960,383 19,390 3,472,989 4,894,262 5,055,978 Total General Fund Expenses 28,328,933 General Fund Operating Expenses 23,272,955 FY 200012001 % of YTD Actual Budget 2,092,809 68% 1,468, 133 24% 2,070,371 47% 106,587 38% 659,506 69% 8,716 45% 2,391,255 69% 3,462,453 71% 987,852 20% 13,247,680 47% 12,259,829 53% FY 99~00 YTD Actual 1,666, 158 2,631,143 2,161,813 112,619 560,767 6,431 2,022,981 2,974,753 1,434,450 13,571,113 12,136,663 % of Total for FY 99~00 73% 52% 51% 59% 72% 38% 90% 82% 81% 62% 62% ATTACHMENT 2 CITY OF DUBLIN'S FINANCIAL STATEMENTS FOR THE MONTH OF APRIL 2001 Prepared by The Finance Department May 2, 2001 ATTACHMENT 3 GENERAL REVENUE FUNDS CITY OF DUBLIN BALANCE SHEET FOR THE PERIOD ENDING 30Apr2001 SPECIAL SPECIAL CAPITAL TRUST/ REVENUE ASSESSMENT IMPROVEMENT AGENCY FUNDS FUNDS FUND FUND TOTALS --~MEMORANDUM ONLY--- CURRENT PRIOR ASSETS CASH CASH WITH FISCAL AGENT AMOUNT HELD IN ESCROW (30,328,157) INVESTMENTS AT COST RECEIVABLES: TAXES ACCOUNTS (NE INTEREST ASSESSMENTS 73,567,745 179,827 302,286 DUE FROM OTHERS INVENTORY AT COST PREPAID ITEMS FIXED ASSETS AMOUNT TO BE PROVIDED TOTAL ASSETS 4.143 8.708 43,734.553 LIAL/FND BAL/RETND ERNGS DEPOSITS FOR PRIVATE DEVEL (613.152) DEPOSITS FOR AB1600 FEES (5.733) DEPOSITS OTHERS (469,793) PAYABLES: ACCOUNTS (152,483) INTEREST PAYROLL (268,717) DUE TO OTHERS (16.800) DEFERRED REVENUE (149,497) DEBT INSTRUMENTS PAYABLE TOTAL LIABILITIES (1,676,174) FUND BALANCES (42.058.378) TOTAL FUND E (42,058,378) 2,392,535 20,646 (114) 2,413,067 (34,364) (34,364) (2,378.703) (2.378.703) 486,461 24,891,045 515.300 486.461 25,406.345 (31,169,162) (10.875) 144,208 161.931 (2.413.908) (10.431.784) 161.931 157.925 515,300 4.267.787 73,567,745 49,227,117 200,473 2,365,857 302,286 718,499 1,745;500 2,051,639 4,029 61,210 8,708 13,144 1.745,500 1,745,500 74,092,064 48,125,255 (613.152) (663.000) (31,174.895) (12.455,564) (469.793) (354,683) (197.722) (4.536.975) (268.717) (446,756) (16.800) (233,477) (4,143) (153,640) (153,640) (1,863.000) (1.863.000) (1,863,000) (31.184,180~ (1,863.000) (34.757,719) (20,707,095) (486,461) 5,777,836 (188.639) (39:334,345) (27,418.160) (486,461) 5,777.836 (188.639) (39,334,345) (27,418.160) TOTAL LIAB. FND BAL. RETD (43.734,553) (2.413,067) (486.461) (25.406,345) (2,051,639) (74.092,064) (48.125.255) INTERNAL SERVICE FUNDS ENTERPRISE FUNDS CITY OF DUBLIN BALANCE SHEET FOR THE PERIOD ENDING 30Apr2001 FIXED ASSETS GENERAL LONG GROUP OF TERM DEBT ACCOUNTS ACCOUNT GROUP TOTALS - ~ -MEMORANDUM- - - CURRENT PRIOR ASSETS CASH CASH WITH FISCAL AGENT AMOUNT HELD IN ESCROW 2,680.230 INVESTMENTS AT COST RECEIVABLES: TAXES ACCOUNTS (NE INTEREST ASSESSMENTS DUE FROM OTHERS INVENTORY AT COST PREPAID ITEMS FIXED ASSETS AMOUNT TO BE PROVIDED TOTAL ASSETS 21,105.766 23,785.997 LIAL/FND BAL/RETND ERNGS DEPOSITS FOR PRIVATE DEVEL DEPOSITS FOR AB1600 FEES DEPOSITS OTHERS PAYABLES: ACCOUNTS INTEREST PAYROLL DUE TO OTHERS DEFERRED REVENUE DEBT INSTRUMENTS PAYABLE TOTAL LIABILITIES (1) FUND BALANCES (23,785,996) TOTAL FUND E (23,785,996) (1) 8,626.020 48,192,411 8.626,020 48,192,411 (8.626.020) (8,626,020) (48,192,411) (48,192,411) 2.680,230 2,384,683 29.731.786 29.731.786 48,192.411 48.653.563 80.604.428 80.770.032 (1) (6,353) (48,192,411) (48,653,563) (48,192,412) (48,659,916) (32,412.016) (32,110,116) (32,412,016) (32,110,116) TOTAL LIAB. FND BAL. RETD (23.785,997) (8.626.020) (48.192,411) (80.604,428) (80,770,032) THE CITY OF DUBLIN STATEMENT SHOWING REVENUES VERSUS EXPENDITURES FOR THE PERIOD 07/01/2000 THROUGH 04/30/200t GENERAL REVENUE FUND CURRENT CURRENT PRIOR PRIOR BUDGET ACTUAL VARIANCE FISCAL YEAR Y.T.D. VARIANCE *******REVENUES******* PROPERTY TAXES SALES TAX REAL PROPERTY TRANSFER TAX HOTEL TRANSIENT OCCUPANCY TAX FRANCHISE TAXES LICENSES & PERMITS FINES & FORFEITURES USE/MONEY & PROP-INTEREST USE/MONEY & PROP-RENTALS INTERGOVERNMENTAL FROM STATE INTERGOVERNMENTAL FROM COUNTY CHARGES FOR SERVICES OTHER SOURCES OF REVENUE TOTAL REVENUE *******EXPENDITURES******* GENERAL GOVERNMENT ACTIVITIES: CITY COUNCIL CITY MANAGER CENTRAL SERVICES CITY ATTORNEY ADMIN SERVICES BUILDING MANAGEMENT INSURANCE COST CENTER ELECTIONS COST CENTER NON-DEPARTMENTAL ACTIVITY TOTAL PUBLIC SAFETY POLICE CROSSING GUARDS ANIMAL CONTROL DISASTER PREPAREDNESS FIRE SERVICES ACTIVITY TOTAL TRANSPORTATION PUBLIC WORKS STREET MAINTENANCE STREET SWEEPING STREET TREE MAINTENANCE STREET LANDSCAPING MAINTENAN ACTIVITY TOTAL HEALTH & WELFARE 6,168,350.00 6,874,390.92 (706,040.92) 5,991,813.80 5,403,433.77 588,380.03 11,300,000.00 9,925,371.27 1,374,628.73 11,548,901.00 8,092,420.27 3,456,480.73 288,000.00 487,637.36 (199,637.36) 370,945.99 286,951.91 83,994.08 910,000.00 717,042.82 192,957.18 808,688.14 491,434.62 3t7,253.52 1,017,840.00 988,532.17 29,307.83 963,069.84 820,841.84 142,228.00 3,124,088.00 2,702,405.82 421,682.18 3,897,965.22 3,016,233.11 881,732.11 68,755.00 84,414.87 (15,659.87) 84,542.77 62,854.73 21,688.04 1,411,205.00 1,982,623.68 (571,418.68) 1,254,906.26 1,361,507.86 (106,601.60) 102,054.00 76,895.82 25,158.18 85,831.12 60,583.59 25,247.53 1,813,500.00 1,655,796.50 157,703.50 1,629,846.86 1,336,371.48 293,475.38 2,594.33 2,594.33 3,434,158.00 2,558,364.76 875,793.24 3,308,263.42 2,050,965.14 1,257,298.28 2,935,654.00 2,340,598.58 595,055.42 726,524.45 640,369.50 86,154.95 32,573,604.00 30,394,074.57 2,179,529.43 30,673,893.20 23,623,967.82 7,049,925.38 177,905.00 130,638.29 47,266.71 144,214.76 445,805.00 345,583.03 100,221.97 368,092.08 250,000.00 194,327.36 55,672.64 202,489.29 407,882.00 323,505.07 84,376.93 301.4-46.94 889,601.00 583,008.13 306,592.87 606,030.20 516,021.00 376,346.41 139,674.59 482,597.30 245,493.00 127,387.52 118,105.48 169,061.86 7,350.00 12,013.21 (4,663.21) 904.34 127,500.00 127,500.00 77.83 3,067,557.00 2,092,809.02 974,747.98 2,274,914.60 6,125,924.00 1,468,132.54 4,657,791.46 5,106,215.64 63,760.00 33,565.50 30,194.50 47,608.15 177,595.00 38,868.24 138,726.76 107,720.18 42,264.00 34,153.03 8,110.97 37,094.46 4,448,831.00 2,070,371.42 2,378,459.58 4,186,527.66 10,858,374.00 3,645,090.73 7,213,283.27 9,485,166.09 508,071.00 388,522.43 119,548.57 406,083.23 861.00 79.88 781.12 11,513.70 107,031.00 72,099.13 34,931.87 82,440.23 45,768.00 28,013.33 17,754.67 40,288.40 298,652.00 170,790.75 127,861.25 286,816.64 960,383.00 659,505.52 300,877.48 827,142.20 121 240.76 284 915.82 154 843.44 202 337.62 460 906.58 323 977.58 117 026.38 831.77 77.83 1,666,157.78 2,631,142.79 30,961.59 51,131.97 30,525.34 2,161,812.60 4,905,574.29 311,681.45 26.10 58,109.63 21,842.57 169,106.91 560,766.66 22,974.00 83,176.26 47,645.85 99,109.32 145,123.62 158,619.72 52,035.48 72.57 608,756.82 2,475,072.85 16,646.56 56,588.21 6,569.12 2,024,715.06 4,579,591.80 94,401.78 11,487.60 24,330.60 18,445.83 117,709.73 266,375.54 THE CITY OF DUBLIN STATEMENT SHOWING REVENUES VERSUS EXPENDITURES FOR THE PERIOD 07/01/2000 THROUGH 04/30/2001 GENERAL REVENUE FUND CURRENT CURRENT PRIOR PRIOR BUDGET ACTUAL VARIANCE FISCAL YEAR Y.T.D. VARIANCE WASTE MANAGEMENT CHILD CARE ACTIVITY TOTAL CULTURE & LEISURE SERVICES LIBRARY SERVICES CULTURAL ACTIVITIES HERITAGE CENTER DUBLIN CEMETERY PARK MAINTENANCE COMMUNITY TV RECREATION ADMIN PLAYGROUNDS SHANNON CENTER PRESCHOOL TEENS PROGRAM ADULT SPORTS YOUTH SPORTS COMMUNITY GYM SPECIAL EVENTS SENIOR CENTER RECREATION INSTRUCTION AQUATICS PARKS/FACILITIES MANAGEMENT ACTIVITY TOTAL COMMUNITY DEVELOPMENT PLANNING BUILDING SAFETY ENGINEERING ECONOMIC DEVELOPMENT ACTIVITY TOTAL CAPITAL IMPROVEMENT PROJECTS GENEP, AL CIP PROJECTS COMMUNITY IMPROVEMENTS PARKS STREET CONSTRC/IMPROVEMENTS ACTIVITY TOTAL TOTAL EXPENDITURES EXCESS REVENUE (EXPENDITURES) TRANSFERS IN FROM OTHER FUNDS TRANSFERS OUT FROM OTHER FUNDS REVENUES OVER(UNDER) EXPENDITURES 7,390.00 12,000.00 19,390.00 362,922.00 55,408.00 67,861.00 33,337.00 868,907.00 69,852.00 312,313.00 218,209.00 238,841.00 55,790.00 105,053.00 76,562.00 75,044.00 34,035.00 264,524.00 145,236.00 129,585.00 278,195.00 96,315.00 3,472,989.00 1,376,095.00 1,401,919.00 1,816,058.00 300,190.00 4,894,262.00 2,646,604.00 381,901.00 545,201.00 1,482,272.00 5,055,978.00 28,328,933.00 4,244,671.00 22,850.00 (2,400,010.00) 1,867,511.00 1,469.88 5,920.12 7,085.81 2,173.70 4,912.11 7,246.00 4,754.00 12,000.00 4,256.94 7,743.06 8,715.88 10,674.12 19,085.81 6,430.64 t2,655.17 272,191:50 43,160.12 48 694.37 21832.11 518 914.29 60 204.35 239 459.45 142 302.80 168 146.30 43,491.00 74,953.50 48,991.27 62,583.01 15,020.48 166,250.30 107,577.00 88,008.86 193,188.48 76,286.03 2,391,255.22 1,020,887.07 976,207.96 1,236,092.79 229,264.76 3,462,452.58 320.,461.80 116,687.55 391,065.23 159,636.93 987,851.51 13,247,680.46 17,146,394.11 17,146,394.11 90,730.50 12,247.88 19,166.63 11,504.89 344,992.71 9,647.65 72 853.55 70 906.20 65 694.70 12 299.00 30 099.50 27570.73 t2 460.99 19 014.52 98273.70 37659.00 41576.14 85,006.52 20,028.97 1,081,733.78 355,207.93 425,711.04 579,965.21 70,925.24 1,431,809.42 2,326,142.20 265,213.45 154,135.77 1,322,635.07 4,068,126.49 15,081,252.54 (12,901,723.11) 22,850.00 (2,400,010.00) (15,278,883.11) 342,557.00 53,367.37 56,071.79 30,225.33 633,590.64 66,950.70 269,725.81 145,380.76 195,927.57 47,479.90 75,134.57 63,823.38 67,900.31 28,795.78 218,102.49 115,715.37 102,256.75 228,879.72 85,735.46 2,827,620.70 1,252,774.61 1,144,717.07 1,462,847.69 255,690.44 4,116,029.81 1,297,739.34 234,272.83 722,642.96. 111,551.69 2,366,206.82 21,916,166.03 8,757,727.17 17,869.13 (931,640.50) 7,843,955.80 248,561.25 22,679.39 42,292.87 18,259.24 360,304.32 60,317.23 215,387.09 109,865.22 140,264.47 37,233.45 50,889.50 38,737.06 59,900.65 12,307.76 205,354.52 87,567.57 78,856.81 167,564.67 66,638.05 2,022,981.12 926,104'.32 768,318.53 1,001,529.02 278,800.63 2,974,752.50 887,611.93 168,743.87 309,429.63 68,664.63 1,434,450.06 13,571,113.05 10,052,854.77 10,052,854.77 93,995.75 30,687.98 13,778.92 11,966.09 273,286.32 6,633.47 54,338.72 35,515.54 55,663.10 10,246.45 24,245.07 25,086.32 7,999.66 16,488.02 12,747.97 28,147.80 23,399.94 61,315.05 19,097.41 804,639.58 326,670.29 376,398.54 461,318.67 (23,110.19) 1,141,277.31 410,127.41 65,528.96 413,213.33 42,887.06 931,756.76 8,345,052.98 (1,295,127.60) 17,869.13 (931,640.50) (2,208,898.97) THE CITY OF DUBLIN STATEMENT SHOWING REVENUES VERSUS EXPENDITURES FOR THE PERIOD 07/01/2000 THROUGH 04/30/2001 SPECIAL REVENUE FUND CURRENT CURRENT PRIOR PRIOR BUDGET ACTUAL VARIANCE FISCAL YEAR Y.T.D. VARIANCE ********REVENUES******** PROPERTY TAXES SALES TAX/OTHER TAXES FINES & FORFEITURES USES/MONEY & PROPERTY INTERGOVERNMENTAL FROM STATE INTERGOVERNMENTAL FROM COUNTY INTERGOVERNMENTAL FROM FEDERAL CHARGES FOR SERVICES OTHER SOURCES OF REVENUE TOTAL REVENUE *******EXPENDITURES******* PUBLIC SAFETY: POLICE TRAFFIC SIGNALS & STREET LTG FIRE SERVICES ACTIVITY TOTAL TRANSPORTATION: STREET MAINTENANCE STREET SWEEPING ACTIVITY TOTAL HEALTH & WELFARE: WASTE MANAGEMENT SENIOR SUPPORT CARE HOUSING PROGRAMS ACTIVITY TOTAL COMMUNITY DEVELOPMENT: ENGINEERING ACTIVITY TOTAL CAPITAL IMPROVEMENT PROJECTS: GENERAL CIP PROJECTS COMMUNITY PROJECTS PARKS STREET CONSTRUCTION/IMPROVEMENT ACTIVITY TOTAL T 0 T A L EXPENDITURES EXCESS <REVENUE>EXPENDITURE TRANSFER IN FROM OTHER FUNDS TRANSFERS OUT TO OTHER FUNDS 82,850.00 75,000.93 7,849.07 194,000.00 180,849.41 13,150.59 89,475.00 89,617.18 (142.18) 100,676.00 87,213.13 13,462.87 2,367,881.00 938,689.81 1,429,191.19 137,780.00 128,820.00 8,960.00 1,026,394.00 64,286.02 962,107.98 763,302.00 714,741.38 48,560.62 5,000.00 5,259.25 (259.25) 4,767,358.00 2,284,477.11 2,482,880.89 210,840.00 141,645.00 89,125.00 441,610.00 659,896.00 659,896.00 1,169,535.00 7,500.00 10,000.00 1,187,035.00 6,000.00 6,000.00 285,004.00 8,820.00 2,695,289.00 2,989,113.00 5,283,654.00 516,296.00 22,850.00 78,715.14 t92,662.02 113,370.96 103,772.70 1,158,533.84 177,904.00 87,679.67 733,208.99 40,601.31 2,686,448.63 72,296.16 155,129.05 69,656.40 24,019.31 479,384.94 75,388.00 27,554.07 676,015.01 31,609.31 1,611,052.25 6,418.98 37,532.97 43,714.56 79,753.39 679,148.90 102,516.00 60,125.60 57,193.98 8,992.00 1,075,396.38 62,998.79 t47,841.21 88,258.42 50,635.92 37,622.50 57,844.41 83,800.59 121,790.46 84,105.12 37,685.34 131,419.58 (.42,294.58) 79,100.67 40,698.75 38,401.92 252,262.78 189,347.22 289,149.55 175,439.79 113,709.76 136,302.66 523,593.34 533,583.10 76,540.17 457,042.93 136,302.66 523,593.34 533,583.10 76,540.17 457,042.93 660,632.56 508,902.44 866,219.67 437,085.67 429,134.00 3,750.00 3,750.00. 6,202.30 3,797.70 670,584.86 516,450.14 866,219.67 437,085.67 429,134.00 6,000.00 6,000.00 6,000.00 6,000.00 6,000.00 6,000.00 13,997.81 13,997.81 53,851.22 231,152.78 59,617.41 7,549.56 52,067.85 8,820.00 20,517.41 3,577.66 16~939.75 550,347.86 2,144,941.14 429,360.36 27,380.41 401,979.95 604,199.08 2,384,913.92 523,492.99 38,507.63 484,985.36 1,663,349.38 3,620,304.62 2,218,445.31 727,573.26 1,490,872.05 (621,127.73) 1,137,423.73 (468,003.32) (883,478.99) 415,475.67 17,869.13 22,850.00 17,869.13 EXCESS <REVENUE> EXPENDITURE 539,146.00 (621,127.73) 1,160,273.73 (450,134.19) (883,478.99) 433,344.80 THE CITY OF DUBLIN STATEMENT SHOWING REVENUES VERSUS EXPENDITURES FOR THE PERIOD 07/01/2000 THROUGH 04/30/2001 SPECIAL ASSESSMENT CURRENT CURRENT BUDGET ACTUAL VARIANCE FUND PRIOR FISCAL YEAR PRIOR Y.T.D. VARIANCE ********REVENUES******** SPECIAL BENEFITS ASSESSMENTS USES/MONEY & PROP-INTEREST OTHER SOURCES OF REVENUE TOTAL REVENUE 390,388.00 345,216.36 45,171.64 318,354.40 281,554.49 36,799.91 13,589.00 10,955.35 2,633.65 16,637.02 3,797.92 12,839.10 6,000.00 2,300.37 3,699.63 668.85 668.85 409,977.00 358,472.08 51,504.92 335,660.27 286,021.26 49,639.01 *******EXPENDITURES******* PUBLIC SAFETY: TRAFFIC SIGNALS & STREET LIG 172,115.00 76,802.47 95,312.53 118,667.18 77,266.31 41,400.87 ACTIVITY TOTAL 172,115.00 76,802.47 95,312.53 118,667.18 77,266.31 41,400.87 TRANSPORTATION PUBLIC WORKS 4,480.00 1,867.10 2,612.90 3,613.20 2,513.34 1,099.86 STREET TREE MAINTENANCE 12,039.00 2,495.99 9,543.01 4,219.57 2,115.04 2,104.53 STREET LANDSCAPE MAINTENANCE 239,352.00 91,403.02 147,948.98 131,200.04 86,661.22 44,538.82 ACTIVITY TOTAL 255,871.00 95,766.11 160,104.89 139,032.81 91,289.60 47,743.21 HEALTH & WELFARE: ENGINEERING 4,760.00 4,300.08 459.92 4,495.98 4,336.86 159.12 ACTIVITY TOTAL 4,760~00 4,300.08 459.92 4,495.98 4,336.86 159.12 CAPITAL IMPROVEMENT PROJECTS: COMMUNITY IMPROVEMENTS 52,840.00 2,519.14 50,320.86 28,139.83 28,139.83 STREET CONSTRUCTION/IMPRVMNT 46;752.16 1,485.20 45,266.96 ACTIVITY TOTAL 52,840.00 2,519.14 50,320.86 74,891.99 1,485.20 73,406.79 T 0 T A L EXPENDITURES EXCESS <REVENUE>EXPENDITURE 485,586.00 179,387.80 306,198.20 337,087.96 174,377.97 162,709.99 75,609.00 (179,084.28) 254,693.28 1,427.69 (111,643.29) 113,070.98 EXCESS <REVENUE>EXPENDITURE 75,609.00 (179,084.28) 254,693.28 1,427.69 (111,643.29) 113,070.98 THE CITY OF DUBLIN STATEMENT SHOWING REVENUES VERSUS EXPENDITURES FOR THE PERIOD 07/01/2000 THROUGH 04/30/2001 CAPITAL IMPROVEMENT CURRENT CURRENT BUDGET ACTUAL VARIANCE FUND PRIOR FISCAL YEAR PRIOR Y.T.D. VARIANCE ********REVENUE******** USES/MONEY & PROP-INTEREST OTHER SOURCES OF REVENUE TOTAL REVENUE: 19,061,493.75 19,061,493.75 789,214.44 (789,214.44) 19,061,493.75 789,214.44 18,272,279.31 10,337,149.24 10,337,149.24 196,773.67 196,773.67 (196,773.67) 10,337,149.24 10,t40,375.57 *******EXPENDITURES******* GENERAL GOVERNMENT ACTIVITIES: ACTIVITY TOTAL PUBLIC SAFETY: TRANSPORTATION: HEALTH & WELFARE: CULTURE & LEISURE SERVICES: RECREATION ADMINISTRATION ACTIVITY TOTAL COMMUNITY DEVELOPMENT PLANNING ACTIVITY TOTAL CAPITAL IMPROVEMENT PROJECTS GENERAL CIP PROJECTS COMMUNITY IMPROVEMENTS PARKS STREET CONSTRUCTION/IMPROVEMENT ACTIVITY TOTAL T 0 T A L EXPENDITURES EXCESS <REVENUE>EXPENDITURE TRANSFER IN FROM OTHER FUNDS TRANSFERS OUT TO OTHER FUNDS 37,834.00 26,460.81 11,373.19 12,389.68 1,108.43 11,281.25 37,834.00 26,460.81 11,373.19 12,389.68 1,108.43 11,281.25 1,747,473.75 1,412,999.00 20,483,791.00 23,644,263.75 23,682,097.75 4,620,604.00 627,111.96 1,120,361.79 1,859,640.67 1,229,269.92 17,881.46 1,395,117.54 6,311,994.27 14,171,796.73 6,956,987.69 16,687,276.06 6,983,448.50 16,698,649.25 6,194,234.06 (1,573,630.06) 6,057,184.37 2,433,845.51 10,350,670.55 10,363,060.23 25,910.99 5,686,291.34 1,544,196.80 8,459,758.06 8,460,866.49 8,264,092.82 630,370.75 370,893.03 889,648.71 1,890,912.49 1,902,193.74 (8,238,181.83) EXCESS <REVENUE>EXPENDITURE 4,620,604.00 6,194,234.06 (1,573,630.06) 25,910.99 8,264,092.82 (8,238,181.83) THE CITY OF DUBLIN STATEMENT SHOWING REVENUES VERSUS EXPENDITURES FOR THE PERIOD 07/01/2000 THROUGH 04/30/2001 TRUST/AGENCY FUND CURRENT CURRENT PRIOR PRIOR BUDGET ACTUAL VARIANCE FISCAL YEAR Y.T.D. VARIANCE ********REVENUES******** SPECIAL ASSESSMENTS USES/MONEY & PROP-INTEREST TOTAL REVENUE 206,511.07 (206,511.07) 233,189.54 203,042.46 30,147.08 5,939.51 (5,939.51) 13,281.66 5,575.23 7,706.43 212,450.58 (212,450.58) 246,471.20 208,617.69 37,853.51 *******EXPENDITURES******* GENERAL GOVERNMENT ACTIVITIES: NON-DEPARTMENTAL ACTIVITY TOTAL PUBLIC SAFETY: TRANSPORTATION: HEALTH & WELFARE: CULTURE & LEISURE SERVICES: COMMUNITY DEVELOPMENT: CAPITAL IMPROVEMENT PROJECTS T 0 T A L EXPENDITURES EXCESS <REVENUE>EXPENDITURE EXCESS <REVENUE>EXPENDITURE 233,093.57 (233,093.57) 261,375.75 261.375.75 233,093.57 (233,093.57) 261,375.75 261,375.75 233,093.57 (233,093.57) 261,375.75 261.375.75 20,642.99 (20,642.99) 14,904.55 52,758.06 20,642.99 (20,642.99) 14,904.55 52,758.06 (37,853.51) (37.853.51) THE CITY OF DUBLIN STATEMENT SHOWING REVENUES VERSUS EXPENDITURES FOR THE PERIOD 07/01/2000 THROUGH 04/30/2001 INTERNAL SERVICE FUND CURRENT CURRENT PRIOR PRIOR BUDGET ACTUAL VARIANCE FISCAL YEAR Y.T.D. VARIANCE /5 ********REVENUES******** USES/MONEY & PROP-INTEREST CHARGES FOR SERVICES OTHER SOURCES OF REVENUE TOTAL REVENUE 187,672.00 96,664.80 91,007.20 65,324.17 14,165.24 5t,158.93 919,498.00 767,650.32 151,847.68 580,974.63 483,745.56 97,229.07 17,000.00 17,000.00 42,214.73 28,607.44 13,607.29 1,124,170.00 864,315.12 259,854.88 688,513.53 526,518.24 161,995.29 *******EXPENDITURES******* GENERAL GOVERNMENT ACTIVITIES NON-DEPARTMENTAL ACTIVITY TOTAL PUBLIC SAFETY: TRANSPORTATION: HEALTH & WELFARE: CULTURE & LEISURE SERVICES COMMUNITY DEVELOPMENT: CAPITAL IMPROVEMENT PROJECTS: 1,019,738.00 298,084.35 721,653.65 865,319.44 203,831.82 661,487.62 1,019,738.00 298,084.35 721,653.65 865,319.44 203,831.82 661,487.62 28,825.00 20,576.74 8,248.26 5,590.00 (5,590.00) T 0 T A L EXPENDITURES EXCESS <REVENUE>EXPENDITURE TRANSFER IN FROM OTHER FUNDS TRANSFERS OUT TO OTHER FUNDS 1,048,563.00 337,898.72 710,664.28 (75,607.00) (526,416.40) 450,809.40 865,319.44 176,805.91 931,286.00 209,421.82 (317,096.42) 655,897.62 493,902.33 931,286.00 EXCESS <REVENUE>EXPENDITURE (2,475,607.00) (526,416.40) (1,949,190.60) (754,480.09) (317,096.42) (437,383.67) THE CITY OF DUBLIN STATEMENT SHOWING REVENUES VERSUS EXPENDITURES FOR THE PERIOD 07/01/2000 THROUGH 04/30/2001 ENTERPRISE FUND CURRENT CURRENT PRIOR PRIOR BUDGET ACTUAL VARIANCE FISCAL YEAR Y.T.D. VARIANCE ********REVENUES******** USES/MONEY & PROP-INTEREST TOTAL REVENUE ********EXPENDITURES******* GENERAL GOVERNMENT ACTIVITIES: NON-DEPARTMENTAL FINANCE ACTIVITY TOTAL PUBLIC SAFETY: HEALTH & WELFARE: CULTURE & LEISURE SERVICES COMMUNITY DEVELOPMENT: CAPITAL IMPROVEMENT PROJECTS: T 0 T A L EXPENDITURES EXCESS <REVENUE>EXPENDITURE TRANSFERS IN FROM OTHER FUNDS TRANSFERS OUT TO OTHER FUNDS 10.00 10.00 10.00 10.00 (10.00) 10.00 10.00 10.00 10.00 (10.00) 10.00 344.50 354.50 354.50 354.50 (354.50) 10.00 344.50 354.50 354.50 354,50 (354.50) EXCESS <REVENUE>EXPENDITURE 354.50 (354.50)