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HomeMy WebLinkAboutItem 4.02 April Fin Report CITY CLERK File # 0330-50 AGENDA STATEMENT CITY COUNCIL MEETING DATE: (May 16, 2000) SUBJECT:" ', Preliminary Financial Report For the Month of April 2000 ~4~ Report Prepared by: Fred Marsh, Finance Manager EXHIBITS ATTACHED: Pro Forma Balance Sheet and Income Statements for the Month of April 2000 RECOMMENDATION: Receive the reports. FINANCIAL STATEMENT: See reports for detail of monthly financial activity. DESCRIPTION: This item provides the report of the financial statements for the month of April. 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 2000 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, 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 ahead of What occurred in the ten months of the previous Fiscal Year. The City had collected through April 2000 approximately 86% of the total budgeted General Fund Revenues compared to approximately 81% in the prior Fiscal Year. Property Tax is higher than in the same period in the prior year as the City's assessed valuation was higher than what was anticipated in the budget due to residential and commercial growth occurring in Eastern Dublin as well as a higher than expected increase in property values throughout the City. Sales Tax is higher than in the same period of the prior year. The State has raised the amount of the monthly sales tax advances to the City as a result of the increased sales activity within the City, primarily related to autos. Transient Occupancy Taxes are higher than in the same period of the prior year due to additional revenues received from the City's two new hotels. The percentage of Franchise Fees collected is reflective of growth in the City. This report includes 100% of the Cable TV, Gas and Electric franchise taxes and Garbage franchise taxes through the month ended March 2000. As the subscription to these services increase the total revenue also increases. Similar trends are also reflected in the issuance of building permits. Through the month of April permits issued represented improvements valued in excess of $227 million. COPIES TO: G:\MONTHFS\042000 agenda statement month financiais.doc ITEM NO. The data presented regarding Interest and Rental revenue is somewhat skewed in the current report as the interest earnings reported in the General Fund have not been allocated to all of the City's funds on a pro rata basis. This allocation is done on an annual basis. In addition, the City has had more cash available in the first ten months for investment than was assumed in the budget calculations. Intergovernmental Revenue is higher than in the same period in the prior year due to an increase in the allocation of State Motor Vehicle In Lieu Fees from the State and the receipt of a one time ERAF repayment from the State of $63,700, out of a total of $150 million allocated by the State. The ERAF rebate was allocated to cities based upon each city's population. Charges for services are lower than in the same period in the prior year. This is due to a lower than expected amount of revenue for reimbursements received fi.om developers for engineering plan checking services due to delays that have occurred on some development projects. The amount of the revenue recorded is based upon the payments made to date to outside contractors for these services. In the Other Revenue category, the amount budgeted to be received as reimbursement from PG&E for the undergrounding of utilities on Dublin Blvd from Village Parkway to Sierra Court is not expected to be received until Fiscal Year 2000-2001. General Fund Expenditures Overall, through the month of April expenditures in the General Fund totaled $13,571,113 and represented approximately 55% of the total budgeted expenditures in the General Fund. Of this amount, a total of $1,434,450 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, activity through April 2000 was below the amounts expended for the same period in the prior Fiscal Year, primarily due to timing differences in the payment for contract fire services and several capital projects scheduled to be completed later in the Fiscal Year. Through April 2000, the City had expended 58% of the General Fund Operating Budget compared to 71% in the prior Fiscal Year. As previously noted there are some timing differences with payment for contract services, which complicate comparisons between one year to the next. General Government is lower than in the same period in the prior year due to staffing vacancies in the Finance Department. Fire Services is lower than the same period in the prior year due to timing differences in payments for contract fire services. Parks and Community Services Expenditures are lower than the same period in the prior year due to lower than expected expenditures to date for Park Maintenance. Community Development Expenditures are lower than in the prior Fiscal Year due to lower than expected expenditures incurred on new development for engineering professional services. Capital Improvements Projects expenditures are lower than in the same period of the prior year as several of the capital projects funded by the General Fund in Fiscal Year 1999-2000 will not incur major expenditures until later in the Fiscal Year, including the Civic Center Design Modification and Roof Replacement Projects, the Heritage Center Storage Building and the Swim Center Project. All expenditures to date are within the authorized budget. It is recommended that the City Council receive and file these reports as authorized by Section 41004 of the California Government Code. City of Dublin 1999-2000 YTD Revenues and Budget Comparison For the Period Ending April 30, 2000 - Unaudited Total General Fund Revenues Property Taxes Sales Taxes Transient Occupancy Taxes Franchise Taxes Licenses and Permits Interest and Rentals Intergovernmental from State Charges for Services Other Revenues ;% 94% ;6% 99% 92% 16% · FY 1999/2000 [] FY 1998/1999 O% 30% 60% 90% 83% of Year Complete 120% 150% Property Taxes Sales Taxes Transient Occupancy Taxes Franchise Taxes Licenses and Permits Interest and Rentals Intergovernmental Charges for Services Other Revenues Total General Fund Revenues FY 1999/2000 Budget 5,643,60O 9,200,000 580,000 872,400 3,041,520 1,223,214 1,439,880 4,142,844 1,454,515 27,597,973 FY 1999/2000 %of YTD Actual Budget 5,700,157 101% 8,092,420 88% 491,435 85% 820,842 94% 3,016,233 99% 1,421,637 116% 1,326,600 92% 2,051,065 50% 703,279 48% 23,623,669 86% FY 98199 YTD Actual 4,613,516 6,4O8,796 253,623 733,475 1,795,830 1,355,257 1,088,983 2,400,120 281,798 18,931,398 % of Total for FY 98/99 90% 74% 65% 86% 73% 100% 80% 69% 90% 81% City of Dublin 1999-2000 YTD Expenses and Budget Comparison For the Period Ending April 30, 2000 - Unaudited Total General Fund Expenses General Government Civic Center Lease Police Fire Other Public Safety Transportation Health and Welfare Culture & Community Services Community Development Capital Improv. Projects 0% 20% 40% 60% 80% 100% 120% 83% of Year Complete · FY 1999/2000 [] FY 1998/1999 General Government Civic Center Lease Police Fire Other Public Safety Transportation Health and Welfare Culture and Community Services Community Development Capital Improvement Projects Total General Fund Expenses General Fund Operating Expenses FY 1999/2000 FY 199912000 % of FY 98/99 Budget YTD Actual Budget YTD Actual 2,573,322 1,666,158 65% 1,608,183 1,614,407 4,992,259 2,631,143 53% 2,272,868 4,209,712 2,161,813 51% 3,324,873 208,427 112,619 54% 96,306 827,008 560,767 68% 458,399 19,360 6,431 33% 8,375 3,061,223 2,022,981 66% 1,625,372 5,188,683 2,974,753 57% 2,663,039 3,530,957 1,434,450 41% 1,076,326 24,610,951 13,571,113 55% 14,748,148 21,079,994 12,136,663 58% 13,671,822 % of Total for FY 98199 75% 100% 50% 81% 50% 59% 49% 72% 74% 60% 70% 71% ATTACHMENT 2 Dale Printed: 0,~05/2000 10:34 AM CITY OF DUBLIN'S FINANCIAL STATEMENTS FOR THE MONTH OF APRIL 2000 Prepared by The Finance Department May 4, 2000 ATTACHMENT 3 GENERAL REVENUE FUNDS CITY OF DUBLIN BALANCE SHEET FOR THE PERIOD ENDING 30Apr2000 SPECIAL SPECIAL CAPITAL TRUST/ REVENUE ASSESSMENT IMPROVEMENT AGENCY FUNDS FUNDS FUND FUND T 0 T A L S ---MEMORANDUM ONLY--- CURRENT PRIOR ASSETS CASH CASH WITH FISCAL AGENT AMOUNT HELD IN ESCROW (18.410.647) INVESTMENTS AT COST RECEIVABLES: TAXES ACCOUNTS (NE INTEREST ASSESSMENTS 47.121.002 149.497 205.076 DUE FROM OTHERS INVENTORY AT COST PREPAID ITEMS FIXED ASSETS AMOUNT TO BE PROVIDED TOTAL ASSETS 5.849 9.262 29.080.039 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 FUND BALANCES (739.266) (26,277) (634.483) (158.885) (209,297) (41.850) (149.497) (1.959,555) (27,120.484) TOTAL FUND E (27,120,484) 2.426,027 311 667 2,427,005 (2.427.005) (2.427.005) 420.448 14.719,515 134,360 (710.297) 154,569 154,569 4,267.787 4.267.787 420.448 18.987,302 (26.689.072) (114.165) (5.849) (26,809.086) (420,448) 7,821.783 (420.448) 7,821,783 47,121.002 149.808 205.076 1.860.500 2.149,429 6,516 9,262 1.860.500 53.064.223 (739.266) (26,715,349) (634.483) (273.050) (209.297) (41,850) (155.346) (1,978.000) (1,978.000) (1,978.000) (30,746,641) (171.429) (22,317,582) (171,429) (22.317.582) (8.211.129) 149.763 34,556.969 1.399,589 502,727 212.897 7.027 1.860,500 30.478,344 (498.812) (4,882,178) (468.866) (2.895.909) (309,574) (150,963) (155,346) (1,978,000) (11,339.647) (19.138,697) (19,138,697) TOTAL LIAB. FND BAL. RETD (29.080,039) (2.427,005) (420.448) (18,987,302) (2.149.429) (53,064.223) (30.478,344) INTERNAL SERVICE FUNDS ENTERPRISE FUNDS CITY OF DUBLIN BALANCE SHEET FOR THE PERIOD ENDING 30Apr2000 FIXED ASSETS GROUP OF ACCOUNTS GENERAL LONG TERM DEBT ACCOUNT GROUP TOTALS ---MEMORANDUM--- CURRENT PRI OR ASSETS CASH CASH WITH FISCAL AGENT AMOUNT HELD IN ESCROW 1,319,797 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 19,491,955 20,811.752 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 FUNDBALANCES (20,811,752) TOTAL FUND E (20,811,752) (355) 6,388,993 28,638,383 (355) 6,388,993 28,638,383 355 (6.388,993) 355 (6,388.993) (28,638.383) (28.638.383) 1,319.443 1,023.507 25,880,948 25,880,948 28.638,383 29,519,398 55.838,774 56,423,853 (20,806) (28,638,383) (29,519,398) (28,638,383) (29,540,205) (27.200.391) (26,883,649) (27.200,391) (26,883.649) TOTAL LIAB. FND ~AL. RETD (20.811,752) 355 (6,388,993) (28,638,383) (55,838,774) (56,423,853) THE CITY OF DUBLIN STATEMENT SHOWING REVENUES VERSUS EXPENDITURES FOR THE PERIOD 07/01/1999 THROUGH 04/30/2000 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 5,346,600.00 5,413,204.84 (66,604.84) 4,866,093.29 4,429,935.26 436,158.03 9,200,000.00 8,092,420.27 1,107,579.73 8,687,090.90 6,408,796.41 2,278,294.49 297,000.00 286,951.91 10,048.09 282,732.72 183,581.04 99,151.68 580,000.00 491,434.62 88,565.38 389,663.83 253,622.50 136,041.33 872,400.00 820,841.84 51,558.16 849,959.28 733,475.28 116,484.00 3,041,520.00 3,016,233.11 25,286.89 2,472,217.26 1,795,829.76 676,387.50 57,200.00 62,909.73 (5,709.73) 60,875.88 50,645.67 10,230.21 1,128,154.00 1,361,053.67 (232,899.67) 1,262,400.02 1,300,155.69 (37,755.67) 95,060.00 60,583.59 34,476.4t 90,539.48 55,101.31 35,438.17 1,437,181.15 1,326,600.4t 110,580.74 1,356,234.32 1,088,982.88 267,251.44 2,699.00 2,699.00 4,142,844.00 2,051,065.14 2,091,778.86 3,482,982.60 2,400,1t9.58 1,082,863.02 1,397,315.50 640,369,50 756,946.00 250,889.12 231,152.64 19,736.48 27,597,973.65 23,623,668.63 3,974,305.02 24,051,678:70 18,931,398.02 5,120,280.68 *******EXPENDITURES******* GENERAL GOVERNMENT ACTIVITIES: CITY COUNCIL 152,305.00 121,240,76 31,064.24 145,936.01 114,244.16 31,691.85 CITY MANAGER 376,735.00 284,915.82 91,819.18 331,437.26 266,261.07 65,176.19 CENTRAL SERVICES 222,712.00 154,843.44 67.868.56 CITY ATTORNEY 300,140.00 202,337.62 97,802.38 310,557.97 209,190.07 101,367.90 ADMIN SERVICES 793,174.00 460,906.58 332,267.42 687,654.23 523,994.39 163,659.84 BUILDING MANAGEMENT 550,831.00 323,863.58 226,967.42 531,817.85 402.406.32 129,411.53 FACILITY RENTAL 114.00 (114.00) 1,614,407.09 1,614,407.09 INSURANCE COST CENTER 152,185.00 117,026.38 35,158.62 125,621.86 85,779.10 39,842.76 ELECTIONS COST CENTER 940.00 831.77 108.23 6,335.24 6,308.27 26.97 NON-DEPARTMENTAL 24,300.00 77.83 24,222.17 377.71 377.71 ACTIVITY TOTAL 2,573,322.00 1,666,157.78 907,164.22 3,754,145.22 3,222,590.47 531,554.75 PUBLIC SAFETY POLICE 4,992,259.00 2,631,142.79 2,361,116.21 4,505,598.49 2,272,867.72 2,232,730.77 CROSSING GUARDS 54,760.00 30,961.59 23,798.41 51,696.91 36,455.41 15,241.50 ANIMAL CONTROL 118,735.00 51,131.97 67,603.03 104,136.76 31,530.50 72,606.26 DISASTER PREPAREDNESS 34,932.00 30,525.34 4,406.66 35,021.96 28,320.51 6,701.45 FIRE SERVICES 4,209,712.00 2,161,812.60 2,047,899.40 4,109,003.33 3,324,872.87 784,130.46 ACTIVITY TOTAL 9,410,398.00 4,905.574.29 4,504,823.71 8,805,457.45 5,694,047.01 3,1tl,410.44 TRANSPORTATION PUBLIC WORKS 411,653.00 311,681.45 99,971.55 389,594.78 297,921.26 91,673.52 STREET MAINTENANCE 500.00 26.10 473.90 112,085.18 114.30 111,970.88 STREET SWEEPING 98,580.00 58,109.63 40,470.37 STREET TREE MAINTENANCE 46,320.00 21,842.57 24,477.43 49,394.83 23,776.10 25,618.73 STREET LANDSCAPING MAINTENAN 269,955.00 169,106.91 100,848.09 225,854.52 136,587.61 89,266.91 ACTIVITY TOTAL 827,008.00 560,766.66 266,24t.34 776,929.31 458,399.27 318,530.04 HEALTH & WELFARE THE CITY OF DUBLIN STATEMENT sHoWING REVENUES VERSUS EXPENDITURES FOR THE PERIOD 07/01/1999 THROUGH 04/30/2000 GENERAL REVENUE FUND CURRENT CURRENT BUDGET ACTUAL VARIANCE PRIOR PRIOR 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 GENERAL 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 7,360.00 2.173.70 5,186.30 12.000.00 4,256.94 7,743.06 19.360.00 6,420.64 12,929.36 342.994.00 248,561.25 94,432.75 55.285.00 22,679.39 32.605.61 55,074.00 42.292.87 12,781.13 22.397.00 18,259.24 4,137.76 757.818.00 360,304.32 397.513.68 71,886.00 60,317.23 11,568.77 280.456.00 215,387.09 65,068.91 145,318.00 109,865.22 35,452.78 201,388.00 140,264.47 61.123.53 48,586.00 37.233.45 11,352.55 83,291.00 50.889.50 32.501.50 75,330.00 38,737106 36,592.94 62.015.00 59,900.65 2.114.35 37.360.00 12,307.76 25,052.24 240,908.00 205,354.52 35.553.48 1t9.730.50 87,567.57 32.162.93 114,863.00 78.856.81 36.006.19 256.508.00 167.564.67 88.943.33 89,915.00 66.638.05 23,276.95 3.061,222.50 2.022,981.12 1.038,241.38 1.221,854.00 926.104.32 295.749.68 1,105.134.00 768.318.53 336,815.47 2,549,357.00 1,001.529.02 1,547.827.98 312,338.00 278,800.63 33,537.37 5,188,683.00 2,974,752.50 2,213,930.50 1,556,662.00 887,611.93 669,050.07 309,056.00 168,743.87 140,312.13 906,890.00 309,429.63 597,460.37 758,349.00 68.664.63 689.684.37 3,530.957.00 1.434,450.06 2.096.506.94 24,610,950.50 2,987,023.15 13.571,113.05 10,052,555.58 4,968.90 726.50 4,242.40 12.000.00 7,648.26 4,351.74 16.968.90 8,374.76 8.594.14 255,689.00 182,326.75 73,362.25 20.000.00 20,000.00 43,003.52 34.041.44 8.962.08 15.010.17 10,217.26 4,792.91 532,104.94 328,112.39 204,992.55 58,046.52 51.908.52 6,138.00 264,38t.74 21t,538.08 52,842.66 137,577.04 103,868.09 33,708.95 164,547.25 117,588.63 46.958.62 49,314.09 39.997.62 9,316.46 44,993.27 34.836.57 10,156.70 60,291.18 40.573.26 19.717.92 63.730.01 48.627.84 15,102.t7 105,169.65 79,222.84 25,946.81 99,728.89 75.877.09 23.851.80 115.191.14 92,142.47 23,048.67 218,80t.72 154,493.16 64,308.57 2.248,580.14 1,625.372.02 623,208.12 1.010,015.03 746,055.79 263.959.24 795,024.52 589,089.22 205.935.31 1.685.599.49 1,216.724.42 468.875.07 115,762.34 111,169.21 4.593.13 3.606.401.39 2,663,038.64 943,362.75 252,012.63 171.515.49 80,497.14 63,272.48 tl,340.64 51,931.84 1,110,303.64 652,566.16 457.737.48 353,570.03 240.903.50 112.666.53 1,779,158.78 1.076,325.79 702,832.99 11,029.837.45 20.987,641.19 14.748.147.96 6.239,493.23 (7.065.532.43) 3,064.037.51 4.183.250.06 (1,119.212.55) 39,874.17 39.874.17 (t2,219,722.58)(12,134,212.45) (85,510.13) REVENUES OVER(UNDER) EXPENDITURES 2,987,023.15 10,052.555.58 (7.065,532.43) (9,115,810.90) (7,950,962.39) (1,164,848.51) THE CITY OF DUBLIN STATEMENT SHOWING REVENUES VERSUS EXPENDITURES FOR THE PERIOD 07/01/1999 THROUGH 04/30/2000 SPECIAL REVENUE FUND CURRENT CURRENT PRIOR PRIOR BUDGET ACTUAL VARIANCE FISCAL YEAR Y.T.D. VARIANCE ********************** PROPERTY TAXES SALES TAX/OTHER TAXES FINES & FORFEITURES USES/MONEY & PROPER-FY INTERGOVERNMENTAL FROM STATE INTERGOVERNMENTAL FROM COUNTY INTERGOVERNMENTAL FROM FEDERAL CHARGES FOR SERVICES OTHER SOURCES OF REVENUE TOTAL REVENUE 82,965.00 72,296.16 10,668.84 76,684.53 70,116.13 6,568.40 183,800.00 155,129.05 28,670.95 172,561.75 141,481.55 31,080.20 59,000.00 69.656.40 (10,656.40) 65,857.76 47,571.43 18,286.33 90,160.00 24,019.31 66,140.69 93,371.12 29,979.50 63,391.62 2,515,457.00 479,384.94 2,036,072.06 753,103.27 503,233.65 249,869.62 136,650.00 75,388.00 61,262.00 149,244.00 118,444.00 30,800.00 402,336.00 27,554.07 374,781.93 374,449.92 16,435.96 358,013.96 729,650.00 676,015.01 53,634.99 706,992.33 653,002.17 53,990.16 30,000.00 31,609.31 (1,609.31) 22,439.87 22,150.01 289.86 4,230,018.00 1.611,052.25 2,618,965.75 2,414,704.55 1,602,414.40 812,290.15 ************************** PUBLIC SAFETY: POLICE 93,034.00 50,635.92 42,398.08 78.444.67 40,916.57 37,528.10 TRAFFIC SIGNALS & STREET LTG 128,770.00 84,105.12 44,664.88 72,476.39 48,387.70 24.088~69 FIRE SERVICES 88,143.00 40,698]75 47,444.25 81,444.13 38,986.96 42,457.17 ACTIVITY TOTAL 309.947.00 175.439.79 134,507.21 232,365.19 128,291.23 104,073.96 TRANSPORTATION: STREET MAINTENANCE 410,056.00 76.540.17 333,515.83 265,920.49 75,147.17 190,773.32 STREET SWEEPING 81,727.11 62,661.67 19.065.44 ACTIVITY TOTAL 410.056.00 76,540.17 333,515.83 347,647.60 137,808.84 209,838.76 HEALTH & WELFARE: WASTE MANAGEMENT 870,570.00 437,085.67 433,484.33 827,685.54 406,234.85 421,450.69 SENIOR SUPPORT CARE 7,044.00 5,283.00 1,761.00 ACTIVITY TOTAL 870,570.00 437,085.67 433,484.33 834,729.54 411,517.85 423,211.69 COMMUNITY DEVELOPMENT: ENGINEERING 6,000.00 6,000.00 44,166.79 6,049.79 38,117.00 ACTIVITY TOTAL 6,000.00 6,000.00 44,166.79 6,049.79 38,117.00 CAPITAL IMPROVEMENT PROJECTS: GENERAL CIP PROJECTS 17,665.00 17.665.00 COMMUNITY PROJECTS 189,895.00 7.549.56 182,345.44 56,548.31 9.067.50 47,480.81 PARKS 21,119.00 3,577.66 17,541.34 51,300.97 39,854.05 11,446.92 STREET CONSTRUCTION/IMPROVEMENT 2,246,122.00 27,380.41 2,218,741.59 674,931.01 410,108.60 264,822.41 ACTIVITY TOTAL 2,474,801.00 38,507.63 2,436,293.37 782,780.29 459,030.15 223,750.14 T 0 T A L EXPENDITURES EXCESS <REVENUE>EXPENDITURE TRANSFER IN FROM OTHER FUNDS TRANSFERS OUT TO OTHER FUNDS 4,071,374.00 727,573.26 3,343,800.74 (158,644.00) (883,478.99) 724.834.99 2,241,689.41 (173,015.14) (130,265.91) 62,370.78 1,142,697.86 (459,716.54) 1,098,991.55 286,701.40 (130,265.91) 62,370.78 EXCESS <REVENUE> EXPENDITURE (158,644.00) (883,478.99) 724,834.99 (240,910.27) (459,716.54) 218.806.27 THE CITY OF DUBLIN STATEMENT SHOWING REVENUES VERSUS EXPENDITURES FOR THE PERIOD 07/01/t999 THROUGH 04/20/2000 SPECIAL ASSESSMENT FUND CURRENT BUDGET CURRENT PRIOR PRIOR ACTUAL VARIANCE FISCAL YEAR Y.T.D. VARIANCE ********REVENUES******** SPECIAL BENEFITS ASSESSMENTS USES/MONEY & PROP-INTEREST OTHER SOURCES OF REVENUE TOTAL REVENUE 309,093.00 281,554,49 27,538.51 253,175.40 225,494.50 27,680.90 15,027.00 3,797,92 11,229.08 16,381.44 4,691.75 11,689.69 2,500.00 668.85 1,821.15 2,736.05 2,736.05 326,620.00 286,021.26 40,598.74 272,292.89 232,922.30 39,370.59 *******EXPENDITURES******* PUBLIC SAFETY: TRAFFIC SIGNALS & STREET LIG 145,005.00 77,266.31 67,738.69 107,525.57 60,566,69 46,958.88 ACTIVITY TOTAL 145,005.00 77,266.31 67,738.69 107,525.57 60,566,69 46,958.88 TRANSPORTATION PUBLIC WORKS 2,945.00 2,513.34 431.66 2,246.99 1,673.32 573.67 STREET TREE MAINTENANCE 13,210.00 2,115.04 11,094.96 7,694.38 3,755.71 3,928.67 STREET LANDSCAPE MAINTENANCE 160,990.00 86,661.22 74,328.78 105,652.77 67,290.53 38,362.24 ACTIVITY TOTAL 177,145.00 91,289.60 85,855.40 115,594.14 72,719.56 42,874.58 HEALTH & WELFARE: ENGINEERING 4,200.00 4,236.86 (136.86) 3,084.88 2,957.04 127.84 ACTIVITY TOTAL 4,200.00 4,336.86 (136.86) 3,084.88 2,957.04 127.84 CAPITAL IMPROVEMENT PROJECTS: COMMUNITY IMPROVEMENTS 27,972.00 27,972.00 STREET CONSTRUCTION/IMPRVMNT 82,600.00 t,485.20 81,114.80 ACTIVITY TOTAL 110,572.00 1,485.20 109,086.80 T 0 T A L EXPENDITURES EXCESS <REVENUE>EXPENDITURE 436,922.00 174,377.97' 262,544.03 226,204.59 136,243.29 89,961.30 110.302.00 (111,643.29) 221,945.29 (46,088.30) (96.679.01) 50,590.71 EXCESS <REVENUE>EXPENDITURE 110,302.00 (111,643.29) 221,945.29 (46,088.30) (96,679.01) 50,590.71 THE CITY OF DUBLIN STATEMENT SHOWING REVENUES VERSUS EXPENDITURES FOR THE PERIOD 07/01/1999 THROUGH 04/30/2000 CAPITAL I MP.ROV EMENT CURRENT CURRENT BUDGET ACTUAL VARIANCE FUND ?RIOR FISCAL YEAR PRIOR Y.T.D. VARIANCE ~***REVENUE******** USES/MONEY & PROP-INTEREST OTHER SOURCES OF REVENUE TOTAL REVENUE: 73.785.00 27,856.145.00 27.929,930.00 196,773.67 (122,988.67) 27.856,145.00 196,773.67 27,733,156.33 2,257,954.64 2.257,954.64 188,344.68 557,789.74 746.134.42 (188,344.68) 1,700.164.90 1.511,820.22 *******EXPENDITURES******* GENERAL GOVERNMENT ACTIVITIES: ACTIVITY TOTAL PUBLIC SAFETY: TRANSPORTATION: HEALTH & WELFARE: CULTURE & LEISURE SERVICES: RECREATION ADMINIST~TION 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 EXCESS <REVENUE>EXPENDITURE 61,886.00 1,108.43 60,777.57 61.886.00 1.108.43 60,777.57 16,915.01 16.915.01 145.14 145.14 14,7,37.06 14.727.06 145.14 145.14 2.177.95 2,177.95 2,206,938.00 1.229.263.92 977,668.08 124,753.27 100,737.79 24,015.48 9,443.800.00 5.686.291.34 3,757,508.66 1,180.149.86 340.311.38 839.838.48 t6.623.429.00 1.544.196.80 15,079.232.20 744.202.34 371,164.81 373,037.53 28.274.167.00 8,459,758.06 t9,814,408.94 2.049.105.47 812,213.98 1,236,891.49 28,336.053.00 8.460,866.49 19.875,186.51 2,066,165.62 827.096.18 1,239.069.44 406.123.00 8.264,092.82 (7.857,969.82) (191,789.02) 80.961.76 (272.750.78) 17,586.84 17.586.84 406.123.00 8,264,092.82 (7,857,969.82) (174,202.18) 80.961.76 (255.163.94 THE CITY OF DUBLIN STATEMENT SHOWING REVENUES VERSUS EXPENDITURES FOR THE PERIOD 07/01/1999 THROUGH 04/20/2000 TRUST/AGENCY FUND CURRENT CURRENT PRIOR PRIOR BUDGET ACTUAL VARIANCE FISCAL YEAR Y.T.D. VARIANCE ****--**************** SPECIAL ASSESSMENTS USES/MONEY & PROP-INTEREST TOTAL REVENUE 203,042.46 (203,042.46) 235,672.36 199,386.71 36,285.65 5,575.23 (5,575.23) 12,627.55 7,010.09 5,627.46 208.617.69 (208,617.69) 248,309.91 206,396.80 41,913.11 *******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 261,375.75 (261,375.75) 231,864.50 231,864.50 261,375.75 (261,375.75) 231,864.50 231,864.50 261,375.75 (261,375.75) 231,864.50 231,864.50 52,758.06 (52,758.06) (16,445.41) 25,467.70 52.758.06 (52,758.06) (16,445.41) 25,467.70 (41,913.11) (41,913.11) THE CITY OF DUBLIN STATEMENT SHOWING REVENUES VERSUS EXPENDITURES FOR THE PERIOD 07/01/1999 THROUGH 04/30/2000 INTERNAL SERVICE FUND CURRENT CURRENT PRIOR PRIOR BUDGET ACTUAL VARIANCE FISCAL YEAR Y.T.D. VARIANCE ********************** USES/MONEY & PROP-INTEREST CHARGES FOR SERVICES OTHER SOURCES OF REVENUE TOTAL REVENUE 56,832.00 14,165.24 42,666.76 40,084.94 11,928.19 28,156.75 589,275.00 483,745.56 105,529.44 726,998.50 605,891.17 121,107.33 25,700.00 28,607.44 (2,907.44) 17,455.06 15,060.06 2.395.00 671,807.00 526,518.24 145,288.76 784,538.50 632,879.42 151,659.08 *******EXPENDITURES******* GENERAL GOVERNMENT ACTIVITIES NON-DEPARTMENTAL ACTIVITY TOTAL PUBLIC SAFETY: TRANSPORTATION: HEALTH & WELFARE: CULTURE & LEISURE SERVICES COMMUNITY DEVELOPMENT: CAPITAL IMPROVEMENT PROJECTS: 723,983.00 203,831.82 520,151.18 794,802.16 307,042.57 487,759.59 723,983.00 209,42t.82 514,561.18 794,802.16 307.04~.57 487,759.59 T 0 T A L EXPENDITURES EXCESS <REVENUE>EXPENDITURE TRANSFER IN FROM OTHER FUNDS TRANSFERS OUT TO OTHER FUNDS 723,983.00 209,421.82 514,561.18 52,176.00 (317,096.42) 369,272.42 794,802.16 307,042.57 487,759.59 10,263.66 (325,836.85) 336,100.51 13,582,460.94 13,582,460.94 EXCESS <REVENUE>EXPENDITURE 52,176.00 (317,096.42) 369,272.42 (12,572.197.28) (325,836.85)(13,246,360.43) CURRENT BUDGET THE CITY OF DUBLIN STATEMENT SHOWING REVENUES VERSUS EXPENDITURES FOR THE PERIOD 07/01/1999 THRUGH 04/30/2000 ENTERPRISE FUND CURRENT PRIOR PRIOR ACTUAL VARIANCE FISCAL YEAR Y.T.D. VARIANCE *********************** USES/MONEY & PROP-INTEREST TOTAL REVENUE 1,671,632.89 1,718,528.89 (46,896.00) 1,671,632.89 1,718,528.89 (46,896.00) ********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 10.00 935,724.30 344.50 (344.50) 500.00 354.50 (344.50) 936,224.30 354.50 354.50 15,234,638.82 (14,298,914.52) 500.00 15,234,638.82 (14,298,414.52) (344.50) 936,224.30 15,234,638.82 (14,298,414.52) (344.50) (735,408.59) 13,516.109.93 (14,251,518.52) (12,134,212.45)(12,134,212.45) 13,587,133.27 13,587,133.27 EXCESS <REVENUE>EXPENDITURE 10.00 354.50 (344.50) 717,512.23 1,381,897.48 (664,385.25)