HomeMy WebLinkAbout4.03 FinancialRptsJuly&Aug19930 0
CITY OF DUBLIN
AGENDA STATEMENT
CITY COUNCIL MEETING DATE: October 11, 1993
SUBJECT: Financial Reports For The Months of July and August
1993
%V by: Paul S. Rankin, Assistant City Manager)
EXHIBITS ATTACHED: 1. Balance Sheet and Income Statements for the Period
Ending July 31, 1993.
2. Balance Sheet and Income Statements for the Period
Ending August 31, 1993.
RECOMMENDATION: ccept and file the reports.
DESCRIPTION: This item provides the monthly financial statements for
the first two months of Fiscal Year 1993 - 1994.
The final audited results of Fiscal Year 1992/93 are not available. The
final audit results will impact the Fund Balance figures presented in these
monthly reports. For example, any General. Fund revenues in excess of
General Fund expenditures for the previous Fiscal Year have not been
carried forward to the 1993/94 Fund Balance. The Auditors anticipate being
complete with the field work in time to post these items with the September
monthly financial report.
Overall, in the first two months of the Fiscal Year there is relatively
very little activity in the form of major revenues or major expenses. This
is impacted by the fact that Major revenues such as Property Tax are not
remitted in significant amounts until mid year. Given that the City
provides a large number of services with independent contractors, the
expenses also tend to lag. As of August 31, 1991 in the General Fund the
City had received 8.9 percent of the budgeted revenue and incurred 5.5
percent of the budgeted expense.
There were two transactions in the revenue category which already exceed
the annual budget. Although these are relatively minor dollar amounts the
reports show over 100 % of the revenue was already collected. The General
Fund Category of "Other Sources of Revenue" has already exceeded the amount
of revenue budgeted for this category. This is due to a change in the
treatment of the ABAG PLAN Excess Liability Insurance Dividend. The
Auditor's have allowed the City to record this as a revenue in the year it
is received. Past practice had been to accrue the amount as an adjustment
to the fund balance in the prior year. The new treatment will simplify the
presentation of this revenue in future City Budget documents.
The second transaction involves the Special Revenue Funds. The category of
"Other Sources of Revenue exceeds the amount budgeted. This specific
revenue involved the receipt of Criminal Activity Funds from the District
Attorney. This was the result of an Asset Seizure completed in conjunction
with a criminal investigation. The projection of this particular line item
can fluctuate widely depending on the cases the City is involved with and
the timing of the release of funds by the District Attorney.
It is recommended that the City Council receive and file these reports as
authorized by section 41004 of the California Government Code.
---------------------------------------------------------------------
COPIES T0:
ITEM NO.
CITY CLERIC
FILE Q
0
CITY OF DUBLIN'S
FINANCIAL STATEMENTS
FOR
THE MONTH OF JULY 1993
Prepared by
The Finance Department
EXHIBIT �-
PAGE 1
9.44.47
BGL102
CITY OF DUBLIN
10/04/93
BALANCE
SHEET
FOR
THE
PERIOD 7/93 THROUGH 7/93
GENERAL
SPECIAL
SPECIAL
CAPITAL
REVENUE
REVENUE
ASSESSMENT
IMPROVEMENT
FUNDS
FUNDS
FUNDS
FUNDS
ASSETS
CASH
2018413.03-
444893.55
493757.54
118102.48
CASH WITH FISCAL AGENT
121210.04
UNA.MORTIZED BOND DISCOUNT
625.00
IlFIESTRENTS AT COST
18407994.12
RECEIVABLES:TAXES
ACCOUNTS (NET)
225086.99
178367.24
111684.72
INTEREST
209757.22
750.50
ASSESSMENTS
RENTS
NOTES
DUE FROM OTHERS
266806.79
13716.27
INVENTORY AT COST
PREPAID ITEMS
2769.99
FIXED ASSETS
AM MS TO BE PROVIDED
2232500.00
TOTAL ASSETS
17094627.08
636977.06
2847467.58
230537.70
LIAB, FND BAL, RETED EARNINGS
DEPOSITS FOR PRIVATE DEVEL14UIT
32964.25 -
DEPOSITS FOR AB1600 FEES
108508.46 -
DEPOSITS OTHERS
165319.66-
3125.00 -
PAYABLES:ACCOUNTS
220501.95-
238375.75-
50002.96-
23613.55 -
INTEREST
PAYROLL
10207.13 -
{'. IO OTHERS
105310.81-
119077.60-
147729.19 -
Diid INSTRUMENTS PAYABLE
2790000.00 -
TOTAL LIABILTIES
534303.80-
357453.35-
2843127.96-
279851.20 -
FUND BALANCES
16560323.28-
279523.71-
4339.62-
49313.50
TOTAL FUND EQUITY
16560323.28-
279523.71-
4339.62-
49313.50
TOTAL LIAB,FND BAL, RETD EARNS
17094627.08-
636977.06-
2847467.58-
230537.70-
PAGE 1
9.44.47
BGL102
CITY OF DUBLIN
PAGE 1
10/04/93
BALANCE SHEET
9.46.00
FOR THE
PERIOD 7/93 THROUGH 7/93
INTERNAL ENTERPRISE FIXED
ASSETS
GENERAL LONG
SERVICE FUNDS
GROUP OF
TERM DEBT
FUND
ACCOUNTS
ACCOUNT GROUP
ASSETS
CASH
300203.44 102.59
CASH WITH FISCAL AGENT
1726901.55
UNAMORTIZED BOND DISCOUNT
INVESTMENTS AT COST
RECEIVABLES :TAXES
ACCOUNTS (NET)
INTEREST
46871.38
ASSESSMENTS
RENTS
NOTES
DUE FROM OTHERS
INVENTORY AT COST
PREPAID ITEMS
FIXED ASSETS
165970.10 21623460.54
470014.62
AMOUNTS TO BE PROVIDED
2548360.41
TOTAL ASSETS
466173.54 23397336.06
470014:62
2548360.41
LIAB, KID BAL, RETHD EARNINGS
DEPOSITS FOR PRIVATE DEVELPMNT
DEPOSITS OTHERS
PAYABLES:A000UNTS
12.50- 25603.30 -
INTEREST
PAYROLL
PCE TO OTHERS
INSTRUMENTS PAYABLE
18602851.88-
2548360.41 -
TOTAL LIABILITIES
12.50- 18628455.18-
2548360.41 -
FUND BALANCE
342313.30- 334242.12
CONTRIBUTIONS
123847.74- 5103123.00 -
INVESTMENTS IN FIXED ASSETS
470014.62 -
RETAINED EARNINGS
TOTAL FUND EQUITY
466161.04- 4768880.88-
470014.62 -
TOTAL LIAB,FND BAL, RETD EARNS
466173.54- 23397336.06-
470014.62-
2548360.41-
BGL104 THE CITY OF DUBLIN STATEMENT SHOWING PA
10/05/93 REVENUES VERSUS EXPENDITURE 10.46.43
FOR THE
PERIOD 7/93 THROUGH 7/93
* * * * ** *EXPENDITURES * * * * * **
GENERAL GOVERNMENT ACTIVITIES:
NON- DEPARTMENTAL
GENERAL
REVENUE
FUND
50000.00
CITY COUNCIL
CURRENT PERIOD
110388.00
5077.13
BUDGET
ACTUAL PERCENT
VARIANCE
* * * * * ** *REVENUES * * * * * **
254184.00
19369.36
7.6
234814.64
PROPERTY TAXES
3839040.00-
.00
.00
3839040.00 -
SALES TAX
5560000.00-
153703.00-
2.8
5406297.00 -
REAL PROPERTY TRANSFERS
73000.00-
.00
327067.00
73000.00 -
TRANSIENT OCCUPANCY TAX
86000.00-
22546.00-
26.2
63454.00 -
FRANCHISE TAXES
505900.00-
6720.49-
1.3
499179.51 -
LICENSES & PERMITS
375600.00-
47053.65-
12.5
328546.35 -
FINES & FORFEITURES
26000.00-
1346.45-
5.2
24653.55 -
USES OF MONEY AND PROPERTY
881100.00-
4241.16-
.5
-876858.84 -
INTERNGOVERNMENTAL FROM STATE
964425.00-
77975.88-
8.1
886449.12 -
CHARGES FOR SERVICES
714533.00-
43526.41-
6.1
671006.59 -
OTHER SOURCES OF REVENUE
27850.00-
57655.62-
207.0
29805.62
TOTAL REVENUE
13053448.00-
414768.66-
3.2
12638679.34-
* * * * ** *EXPENDITURES * * * * * **
GENERAL GOVERNMENT ACTIVITIES:
NON- DEPARTMENTAL
50000.00
.00
50000.00
CITY COUNCIL
1010
110388.00
5077.13
4.6
105310.87
CITY MANAGER
1020
254184.00
19369.36
7.6
234814.64
CITY ATTORNEY
1030
161170.00
.00
161170.00
ADHIN SERVICES DEPT 1040
407469.00
21574.66
5.3
385894.34
BUILDING MANAGEMENT
1050
327067.00
4013.84
1.2
323053.16
FACILITY RENTAL 1050 -719
1532816.00
.00
1532816.00
INSURANCE COST CENTER
1060
169656.00
105439.25
62.1
64216.75
ELECTIONS COST CENTER
1070
12910.00
.00
12910.00
ACTIVITY TOTAL
3025660.00
155474.24
5.1
2870185.76
PUBLIC SAFETY:
POLICE
2010
3078779.00
9945.94
.3
3068833.06
CROSSING GUARDS COST
2020
.00
.00
.00
ANIMAL CONTROL
2030
103100.00
.00
103100.00
TRAFFIC SIGNALS
2040
93500.00
.00
93500.00
DISASTER PREAPREDNESS
2050
36084.00
1563.13
4.3
34520.87
FIRE SERVICES JPA
2060
2724203.00
.00
2724203.00
ACTIVITY TOTAL
6035666.00
11509.07
.2
6024156.93
TRANSPORTATION:
PUBLIC WORKS
3010
282681.00
13062.76
4.6
269618.24
STREET MAINTENANCE
3020
165000.00
.00
165000.00
STREET SWEEPING
3030
67200.00
.00
67200.00
STREET TREE MAINTENANCE
3040
39150.00
.00
39150.00
STREET LANDSCAPE MAINT.
3050
157670.00
.00
157670.00
PARATRANSIT SERVICES
3060
.00
.00
.00
ACTIVITY TOTAL
711701.00
13062.76
1.8
698638.24
HEALTH & WELFARE:
WASTE MANAGEMENT
5020
100.00
.00
100.00
ACTIVITY TOTAL
100.00
.00
100.00
CULTURE & LEISURE SERVICES:
LIBRARY SERVICES
8010
165000.00
.00
165000.00
CULTURAL ACTIVITIES
8011
8000.00
.00
8000.00
HERITAGE CENTER
8012
10450.00
.00
10450.00
• 0
GL104 THE CITY OF DUBLIN STATEMENT SHOWING
10/05/93 REVENUES VERSUS EXPENDITURE
FOR THE
PERIOD 7/93 THROUGH 7/93
GENERAL REVENUE FUND
CURRENT PERIOD
BUDGET ACTUAL PERCENT VARIANCE
PARK MAINTENANCE
8020
584100.00
.00
584100.00
COMITY CABLE TV
8030
9000.00
.00
9000.00
RECREATION 4MIN.
8040
174258.00
11991.57
6.9
162266.43
PLAYGROUNDS
8045
79482.00
7759.47
9.8
71722.53
SHANNON CENTER
8050
124260.00
4096.94
3.3
120163.06
PRESCHOOL
8055
36509.00
1617.67
4.4
34891.33
TEENS PROGRAM
8060
33891.00
979.69
2.9
32911.31
FIELD SCHEDULING
8065
104959.00
4078.70
3.9
100880.30
YOUTH SPORTS
8066
30805.00
2073.85
6.7
28731.15
SPECIAL EVENTS
8070
30655.00
1050.34.
3.4
29604.66
SENIOR CENTER
8080
136033.00
4240.66
3.1
131792.34
RECREATION INSTRUCTION
8090
90861.00
4376.58
4.8
86484.42
AQUATICS
8100
196565.00
22596.12
11.5
173968.88
ACTIVITY
TOTAL
1814828.00
64861.59
3.6
1749966.41
"JMMUNITY DEVELOPMENT:
PLANNING
9010
483617.00
30128.77
6.2
453488.23
BUILDING SAFETY
9020
251277.00
4363.65
1.7
246913.35
ENGINEERING
9030
176180.00
12606.17
7.2.
163573.83
ECONOMIC DEVELOPMENT
9040
9610.00
.00
9610.00
ACTIVITY
TOTAL
920684.00
47098.59
5.1
873585.41
CAPITAL IMPROVEMENT PROJECTS:
COMHUNITY IMPROVEMENTS
94NN
.00
.00
.00
PARKS
95NN
10000.00
.00
10000.00
STREET CONSTRC /IHPROVMT 96NN
.00
2724.75
2724.75-.
ACTIVITY
TOTAL
10000.00
2724.75
27,2
7275.25
T O T A L EXPENDITURES
12518639.00
294731.00
2,4
12223908.00
EXCESS <REVENUE>EXPENDITURES
534809.00-
120037.66-
22.4
414771.34 -1
TRANSFERS IN FROM OTHER FUNDS
.00
.00
.00
EXCESS < REVENUE> EXPENDITURE 534809.00- 120037.66- 22.4 414771.34-'
PAGE 2
10.46.43
j
BGL104 THE CITY OF DUBLIN STATEMENT SHOWING
10/05/93 REVENUES VERSUS EXPENDITURE
FOR THE
PERIOD 7/93 THROUGH 7/93
SPECIAL REVENUE FUNDS
CURRENT PERIOD
BUDGET ACTUAL PERCENT VARIANCE
* * * * * ** *REVENUES * * * * * **
SALES TAX
114000.00-
7423.09-
6.5
106576.91 -
FINES & FORFEIVURES
26500.00-
2147.17-
8.1
24352.83 -
USES OF MONEY AND PROPERTY
16430.00-
.00
16430.00 -
INTERNGOVERNMENTAL FROM STATE
756440.00-
.00
756440.00 -
INTERGOVERNMENTAL FROM COUNTY
29000.00-
.00
29000.00 -
INTERGOVERNMENTAL FROM FEDERAL
2147125.00-
.00
2147125.00 -
CHARGES FOR SERVICES
716557.00-
.00
716557.00 -
OTHER SOURCES OF REVENUE
5000.00-
6587.32-
131.7
1587.32
TOTAL REVENUE
3811052.00-
16157.58-
.4
3794894.42 -
x'k* ** *EXPENDITURES * * * * * **
GENERAL GOVERNMENT ACTIVITIES:
CITY COUNCIL
.00
.00
.00
CITY MANAGER
.00
.00
.00
ACTIVITY TOTAL
.00
.00
.00
PUBLIC SAFETY:
POLICE
18170.00
.00
18170.00
TRAFFIC SIGNALS
.00
.00
.00
ACTIVITY TOTAL
18170.00
.00
18170.00
TRANSPORTATION:
STREET MAINTENANCE
177350.00
.00
177350.00
STREET SWEEPING
.00
.00
.00
ACTIVITY TOTAL
177350.00
.00
177350.00
HEALTH & WELFARE:
WASTE MANAGEMENT
572236.00
.00
572236.00
CULTURE & LEISURE SERVICES:
COMMUNITY DEVELOPMENT:
ENGINEERING
116497.00
2431.86
2.1
114065.14
ACTIVITY TOTAL
116497.00
2431.86
2.1
114065.14
CAPITAL IMPROVEMENT PROJECTS:
GENERAL CIP PROJECTS
.00
.00
.00
COMMUNITY IMPROVEMENTS
171958.00
.00
171958.00
PARKS
127971.00
9550.60
7.5
118420.40
STREET CONSTRUCTION /IMPROVHT
2342550.00
1295.83
.1
2341254.17
ACTIVITY TOTAL
2642479.00
10846.43
.4
2631632.57
T O T A L EXPENDITURES
3526732.00
13278.29
.4
3513453.71
EXCESS <REVENUE>EXPENDITURE
284320.00-
2879.29-
1.0
281440.71 -
EXCESS < REVENUE> EXPENDITURE
284320.00-
2879.29-
1.0
281440.71-
PAGE 1
10.49.23
* * * * ** *EXPENDITURES * * * * * **
GENERAL GOVERNMENT ACTIVITIES:
NON- DEPARTMENTAL
FINANCE DEPARTMENT
ACTIVITY TOTAL
_C SAFETY:
qFC SIGS /STREET LIGHTING
ACTIVITY TOTAL
TRANSPORTATION:
PUBLIC WORKS
STREET TREE MAINTENANCE
STREET LANDSCAPE MAINTENANCE
ACTIVITY TOTAL
HEALTH & WELFARE:
CULTURE & LEISURE SERVICES:
COMMUNITY DEVELOPMENT:
ENGINEERING
ACTIVITY TOTAL
CAPITAL IMPROVEMENT PROJECTS:
T 0 T A L EXPENDITURES
EXCESS<REVENUbEXPENDITURE
:._.�L < REVENUE> EXPENDITURE
.00
•
BC-L104
THE CITY OF DUBLIN STATEMENT SHOWING
10/04/93
REVENUES VERSUS EXPELiDITURE
FOR THE
.00
PERIOD 7/93 THROUGH 7/93
SPECIAL ASSESSMENT FUNDS
197300.00
CURRENT PERIOD
.4
BUDGET ACTUAL PERCENT VARIANCE
* * * * * ** *REVENUES * * * * * **
750.00
SPECIAL BENEFTJS ASSESSMENTS
523913.00- .00 523913.00 -
USES OF MONEY AND PROPERTY
28260.00- .00 28260.00 -
OTHER SOURCES OF REVENUE
10400.00- 4727.89- 45.5 5672.11 -
TOTAL REVENUE
562573.00- 4727.89- .8 557845.11-
* * * * ** *EXPENDITURES * * * * * **
GENERAL GOVERNMENT ACTIVITIES:
NON- DEPARTMENTAL
FINANCE DEPARTMENT
ACTIVITY TOTAL
_C SAFETY:
qFC SIGS /STREET LIGHTING
ACTIVITY TOTAL
TRANSPORTATION:
PUBLIC WORKS
STREET TREE MAINTENANCE
STREET LANDSCAPE MAINTENANCE
ACTIVITY TOTAL
HEALTH & WELFARE:
CULTURE & LEISURE SERVICES:
COMMUNITY DEVELOPMENT:
ENGINEERING
ACTIVITY TOTAL
CAPITAL IMPROVEMENT PROJECTS:
T 0 T A L EXPENDITURES
EXCESS<REVENUbEXPENDITURE
:._.�L < REVENUE> EXPENDITURE
.00
480081.25
480081.25-
.00
.00
.00
.00
480081.25
480081.25-
197300.00
750.00
.4
196550.00
197300.00
750.00
.4
196550.00
1701.00
1026.62
60.4
674.38
11300.00
.00
11300.00
109520.00
7.20
109512.80
122521.00
1033.82
.8
121487.18
7550.00
.GO
7550.00
7550.00
.00
7550.00
327371.00
481865.07
147.2
154494.07-
235202.00-
477137.18
202.9-
712339.18-
235202.00- 477137.18 202.9- 712339.18-
is
PAGE 1
9.22.18
PACE 1
9.40.55
THE CITY OF DUBLIN STATEMENT
SHOWING
BGL104
REVENUES VERSUS EXPENDITURE
10/04/93
FOR THE
PERIOD 7/93 THROUGH 7/93
CAPITAL IMPROVEMENT FUND
CURRENT PERIOD
BUDGET
ACTUAL PERCENT
VARIANCE
4340.00 -
USES OF MONEY IND PROPERTY
4340.00-
.00
OTHER SOURCES OF REVENUE
853500.00-
.00
853500.Q0-
TOTAL REVENUE
857840.00-
.00
857840.00 -
* * * * ** *EXPENDITURES * * * * * **
GENERAL GOVERNMENT ACTIVITIES:
ACTIVITY TOTAL
.00
•00
.00
PUBLIC SAFETY:
TRANSPORTATION:
HblTH & WELFARE:
CULTURE & LEISURE SERVICES:
COMMUNITY DEVELOPMENT:
91b08.00
FlIGINEERING
ACTIVITY TOTAL
91608.00
91608.00
•00
.00
91608.00
CAPITAL IMPROVEMENT PROJECTS:
50000.00
C%iHUNITY IMPROVEMENTS
STREET CONSTRUCTION /IMPROVKT
50000.00
561150.00
.00
1204.05 .2
559945.95
ACTIVITY TOTAL
611150.00
1204.05 .2
609945.95
T O T A L EXPENDITURES
702758.00
1204.05 .2
701553.95
156286.05 -
EXCESS<REVEM bEXPENDITURE
155082.00-
1204.05 .8-
EXCESS <REVERDE> EXPENDITURE
155082.00-
1204.05 .8-
156286.05-
PACE 1
9.40.55
* * * * ** *EXPENDITURES * * * * * **
GENERAL GOVERNMENT ACTIVITIES:
NON - DEPARTMENTAL
188239.00
CITY COUNCIL
BGL104
THE CITY OF DUBLIN STATEMENT
SHOWING
10/04/93
REVENUES VERSUS EXPENDITURE
ACTIVITY TOTAL
FOR THE
PUBLIC SAFETY:
15.10-
PERIOD 7/93 THROUGH 7/93
.00
ACTIVITY TOTAL
INTERNAL SERVICE
FUND
10.18-
CURRENT PERIOD
.00
ACTIVITY TOTAL
BUDGET ACTUAL PERCENT
VARIANCE
* * * * * ** *REVENUES * * * * * **
CULTURE & LEISURE SERVICES:
USES OF MONEY AND PROPERTY
9360.00- .00
9360.00-
CHARGES FOR SERVICES
137229.00- 10483.15- 7.6
126745.85 -
OTHER SOURCES OF REVENUE
4500.00- .00
4500.00 -
TOTAL REVENUE
151089.00- 10483.15- 6.9
140605.85-
* * * * ** *EXPENDITURES * * * * * **
GENERAL GOVERNMENT ACTIVITIES:
NON - DEPARTMENTAL
188239.00
CITY COUNCIL
.00
CITY MANAGER
.00
FINANCE DEPARTMENT
.00
ACTIVITY TOTAL
188239.00
PUBLIC SAFETY:
15.10-
POLICE
.00
ACTIVITY TOTAL
.00
TRANSPORTATION:
10.18-
PUBLIC WORKS
.00
ACTIVITY TOTAL
.00
HEALTH & WELFARE:
27.90-
CULTURE & LEISURE SERVICES:
RECREATION ADMINISTRATION
.00
ACTIVITY TOTAL
.00
COMMUNITY DEVELOPMENT:
PLANNING
.00
BUILDING SAFETY
.00
ACTIVITY TOTAL
.00
CAPITAL IMPROVEMENT PROJECTS:
30.07
GENERAL CIP PROJECTS
.00
ACTIVITY TOTAL
.00
T O T A L EXPENDITURES
188239.00
EXCESS<REVENUE> EXPENDITURE
37150.00
TRANSFERS OUT TO OTHER FUNDS
.00
EXCESS < REVENUE> EXPENDITURE 37150.00
9647.48
5.1
178591.52
.10
.10-
14.23
14.23-
15.10
15.10-
9676.91
5.1
178562.09
10.18
10.18-
10.18
10.18-
27.90
27.90-
27.90
27.90-
16.57
16.57-
16.57
16.57-
26.37
26.37-
3.70
3.70-
30.07
30.07-
.00
.00
.00
.00
9761.74
5.2
178477.26
721.41-
1.9-
37871.41
.00
.00
721.41- 1.9- 37871.41
PAGE 1
9.32.30
0
BG11Q4 THE CITY OF DUBLIN STATEMENT SHOWING
10/04/93 REVENUES VERSOS EXPENDITURE
FOR THE
PERIOD 7/93 THROUGH 7/93
ENTERPRISE FUNDS
CURRENT PERIOD
BUDGET ACTUAL PERCENT VARIANCE
* * * * * ** *REVENUES * * * * * **
USES OF MONEY UD PROPERTY 1611177.00- .00 1611177.00 -
TOTAL REVENUE 1611177.00- .00 1611177.00-
** * * ** *EXPENDITURES * * * * * **
GENERAL GOVERNMENT ACTIVITIES:
NON- DEPARTMENTAL
60.00
CITY MANAGER
.00
FINANCE DEPARTMENT
8250.00
ACTIVITY TOTAL
8310.00
PUBLIC SAFETY:
125.00
DISASTER PREAPREDNESS
1140.00
ACTIVITY TOTAL
1140.00
TRANSPORTATION:
.00
HEALTH & WELFARE:
1140.00
CULTURE & LEISURE SERVICES:
RECREATION ADMINISTRATION
11800.00
SENIOR CENTER
450.00
ACTIVITY TOTAL
12250.00
COMMUNITY DEVELOPMENT:
157.34
CAPITAL IMPROVEMENT PROJECTS:
21542.66
T 0 T A L EXPENDITURES
21700.00
EXCESS <REVENUE>EXPENDITURES
1589477.00 -
EXCESS < REVENUE> EXPENDITURE
1589477.00-
.00
60.00
.00
.00
125.00
1.5
8125.00
125.00
1.5
8185.00
.00
1140.00
.00
1140.00
.00
11800.00
32.34
7.2
417.66
32.34
.3
12217.66
157.34
.7
21542.66
157.34
1589634.34-
157.34
1589634.34-
PAGE 1
9.36.35
if
• .
CITY OF DUBLIN'S
FINANCIAL STATEMENTS
FOR
THE MONTH OF AUGUST 1993
Prepared by
The Finance Department
exHiBaT
2
•
•
BGL102
CITY OF DUBLIN
10/04/93
BALANCE
SHEET
FOR
THE
PERIOD 7/93 THROUGH 8/93
GENERAL
SPECIAL•
SPECIAL
CAPITAL
REVENUE
REVENUE
ASSESSMENT
IMPROVEMENT
FUNDS
FUNDS
FUNDS
FUNDS
ASSETS
CASH
981673.90-
557679.18
326390.63
68579.56
CASH WITH FISCAL AGENT
121210.04
UNAMORTIZED BOND DISCOUNT
625.00
INVESTMENTS AT COST
17557852.90
RECEIV.ABLES:TAXES
ACCOUNTS (NET)
225066.99
95036.24
111684.72
INTEREST
200352.22
ASSESSMENTS
RENTS
NOTES
DUE FROM OTHERS
266806.79
13716.27
INVENTORY AT COST
PREPAID ITEMS
2326.47
FIXED ASSETS
AMOUNTS TO BE PROVIDED
2232500.00
TOTAL ASSETS
17271356.47
666431.69
2680100.67
180264.28
LIAB, FND BR, RETND EARNINGS
DEPOSITS FOR PRIVATE DEVELPMNT
38900.23 -
DEPOSITS FOR AB1600 FEES
108508.46 -
DEPOSITS OTHERS
163467.66-
3125.00 -
PAYA.BLES:A000UNTS
64441.32-
224092.07-
112.23 -
INTEREST
PAYROLL
10502.72 -
DUE TO OTHERS
86056.78-
119077.60-
147729.19 -
DEBT INSTRUMENTS PAYABLE
2790000.00 -
TOTAL LIABILTIES
363368.71-
343169.67-
2793237.23-
256237.65 -
FUND BALANCES
16907987.76-
323262.02-
113136.56
75973.37
TOTAL FUND EQUITY
16907987.76-
323262.02-
113136.56
75973.37
TOTAL LIAB,FND BAL, RETD EARNS
17271356.47-
666431.69-
2680100.67-
180264.28-
N
PAGE i
11.02.51
93
PAGE 1
11.03.05
BGLl02
CITY OF DUBLIN
10/04 /93
BALANCE
SHEET
FOR
THE
PERIOD 7/93 THROUGH 8/93
INTERNAL
ENTERPRISE
FIXED ASSETS
GENERAL LONG
SERVICE
FUNDS
CROUP OF
TERM DEBT
FUND
ACCOUNTS
ACCOUNT GROUP
ASSETS
CASH
276005.96
129.13 -
CASH WITH FISCAL AGENT
1726901.55
UNAMORTIZED BOND DISCOUNT
INVESTMENTS AT COST
RECEIVABLES:TAXES
ACCOUNTS (NET)
INTEREST
46871.38
ASSESSMENTS
RENTS
NOTES
DUE FROM OTHERS
INVENTORY AT COST
PREPAID ITEMS
FIXED ASSETS
165970.10
21623460.54
470014.62
AMOUNTS TO BE PROVIDED
2548360.41
TOTAL ASSETS
441976.06
23397104.34
470014.62
2548360.41
LIAR, FND BAL, RETND EARNINGS
DEPOSITS FOR PRIVATE DEVELPMNT
DEPOSITS OTHERS
P1YABLES:ACCOUNTS
25603.30 -
INTEREST
PAYROLL
1!f -E TO OTHERS
""BT INSTRUMENTS PAYABLE
18602851.88-
2548360.41 -
TOTAL LIABILITIES
18628455.18-
2548360.41 -
FUND BALANCE
318128.32-
334473.84
CONTRIBUTIONS
123847.74-
5103123.00 -
INVESTMENTS IN FIXED ASSETS
470014.62 -
RETAINED EARNINGS
TOTAL FUND EQUITY
441976.06-
4768649.16-
470014.62 -
TOTAL LIAB,FND BAL, RETD EARNS
441976.06-
23397104.34-
470014.62-
2548360.41-
PAGE 1
11.03.05
BGL104 CITY OF DUBLIN STATEMENT SHOWING is
10/05/93 REVENUES VERSUS EXPENDITURE
FOR THE
PERIOD 7/93 THROUGH 8/93'
GENERAL REVENUE FUND
CURRENT PERIOD
BUDGET ACTUAL PERCENT VARIANCE
* * * * * ** *REVENUES * * * * * **
PROPERTY TAXES
3839040.00-
89618.31-
2.3
3749421.69 -
SALES TAX f
5560000.00-
636703.00-
11.5
4923297.00 -
REAL PROPERTY TRANSFERS
73000.00-
11349.45-
15.5
61650.55 -
TRANSIENT OCCUPANCY TAX
86000.00-
22546.00-
26.2
63454.00 -
FRANCHISE TAXES
505900.00-
12979.62-
2.6
492920.38 -
LICENSES & PERMITS
375600.00-
79412.16-
21.1
296187.84 -
FINES & FORFEITURES
26000.00-
5121.65-
19.7
20878.35 -
USES OF MONEY AND PROPERTY
881100.00-
12074.48-
1.4
869025.52 -
IHTERNGOVERNMENTAL FROM STATE
964425.00-
138608.86-
14.4
825816.14 -
CHARGES FOR SERVICES
714533.00-
89164.42-
12.5
625368.58 -
OTHER SOURCES OF REVENUE
27850.00-
62497.87-
224.4
34647.87
TOTAL REVENUE
13053448.00-
1160075.82-
8.9
11893372.18-
* * * * ** *EXPENDITURES * * * * * **
GENERAL GOVERNMENT ACTIVITIES:
NON- DEPARTMENTAL
50000.00
.00
50000.00
CITY COUNCIL
1010
110388.00
12072.06
10.9
98315.94
CITY MANAGER
1020
254184,00
39700.29
15.6
214483.71
CITY ATTORNEY
1030
161170.00
14109.36
8.8
147060.64
AMIN SERVICES
1040
407469.00
47992.88
11.8
359476.12
BUILDING MANAGEMENT
1050
327067.00
23972.97
7.3
303094.03
FACILITY RENTAL 1050
-719
1532816.00
.00
1532816.00
INSURANCE COST CENTER
1060
169656.00
127296.16
75.0
42359.84
ELECTIONS COST CENTER
1070
12910.00
27.87
.2
12882.13
ACTIVITY
TOTAL
3025660.00
265171.59
8,8
2760488.41
PUBLIC SAFETY:
POLICE
2010
3078779.00
20956.70
.7
3057822.30
CROSSING GUARDS COST
2020
.00
.00
.00
ANIMAL CONTROL
2030
103100.00
.00
103100.00
TRAFFIC SIGNALS
2040
93500.00
2383,29
2.5
91116.71
DISASTER PREAPREDNESS
2050
36084.00
4044.83
11.2
32039.17
FIRE SERVICES JPA
2060
2724203,00
.00
2724203.00
ACTIVITY
TOTAL
6035666.00
27384.82
.5
6008281.18
TRANSPORTATION:
PUBLIC WORKS
3010
282681.00
34182.52
12.1
248498.48
STREET MAINTENANCE
3020
165000.00
1939.31
1.2
163060.69
STREET SWEEPING
3030
67200.00
.00
67200.00
STREET TREE MAINTENANCE
3040
39150.00
3649.39
9.3
35500.61
STREET LANDSCAPE MAINT.
3050
157670.00
15593.86
9.9
.142076.14
PARATRANSIT SERVICES
3060
.00
.00
,00
ACTIVITY
TOTAL
711701.00
55365.08
7.8
656335.92
HEALTH & WELFARE:
WASTE MANAGEMENT
5020
100.00
.00
100.00
ACTIVITY
TOTAL
100.00
.00
100.00
CULTURE & LEISURE SERVICES:
LIBRARY SERVICES
8010
165000.00
.00
165000.00
CULTURAL ACTIVITIES
8011
8000.00
.00
8000.00
HERITAGE CENTER
8012
10450.00
.00
10450.00
o,.
PAGE 1
11.51.39
F- 1
GL104
TUMITY
OF DUBLIN STATEMENT
SHOWING
10/05/93
REVENUES VERSUS
EXPENDITURE
FOR THE
PERIOD
7/93 THROUGH 8/93
GENERAL
REVENUE
FUND
CURRENT
PERIOD
BUDGET
ACTUAL PERCENT
VARIANCE
PARK MAINTENANCE
8020
584100.00
62969.80
10.8
521130.20
COMMUNITY CABLE TV
8030
9000.00
.00
9000.00
RECREATION A?IN.
8040
174258.00
24726.74
14.2
149531.26
PLAYGROUNDS -
8045
79482.00
18729.15
23.6
60752.85
SHANNON CENTER
8050
124260.00
13655.68
11.0
110604.32
PRESCHOOL
8055
36509.00
3624.78
9.9
32884.22
TEENS PROGRAM
8060
33891.00
2205.01
6.5
31685.99
FIELD SCHEDULING
8065
104959.00
12596.95
12.0
92362.05
YOUTH SPORTS
8066
30805.00
3716.23
12.1
27088.77
SPECIAL EVENTS
8070
30655.00
2463.60
8.0
28191.40
SENIOR CENTER
8080
136033.00
10281.41
7.6
125751.59
RECREATION INSTRUCTION
8090
90861.00
11301 :62
12.4
79559.38
AQUATICS
8100
196565.00
55318.44
28.1
141246.56
ACTIVITY
TOTAL
1814828.00
221589.41
12.2
1593238.59
COMMUNITY DEVELOPMENT:
PLANNING
9010
483617.00
63231.94
13.1
420385.06
BUILDING SAFETY
9020
251277.00
25130.87
10.0
226146.13
ENGINEERING
9030
176180.00
29210.50 .
16.6
146969.50
ECONOMIC DEVELOPMENT
9040
9610.00
.00
9610.00
ACTIVITY
TOTAL
920684.00
117573.31
12.8
803110.69
CAPITAL IMPROVEMENT PROJECTS:
GENERAL CIP PROJECTS
93NN
.00
.00
,00
COMMUNITY IMPROVEMENTS
94NN
.00
.00
.00
PARKS
95NN
10000.00
.00
10000.00
STREET CONSTRC /IMPROVMT 96NN
.00
5289.47
5289.47 -
ACTIVITY
TOTAL
10000.00
5289.47
52.9
4710.53
T 0 T A L EXPENDITURES
12518639.00
692373.68
5.5
11826265.32 1
EXCESS <REVENUE>EXPENDITURES
534809.00-
467702.14-
87.5
67106.86
TRANSFERS IN FROM OTHER
FUNDS
.00
.00
.00
EXCESS < REVENUE> EXPENDITURE
534809.00-
467702.14-
87.5
67106.86-
PAGE 2
11.51.39
BGL104 THECITY OF DUBLIN STATEMENT SHOWING
10%05/93 REVENUES VERSUS EXPENDITURE
FOR THE
PERIOD 7/93 THROUGH 8/93
SPECIAL REVENUE FUNDS
CURRENT PERIOD
BUDGET ACTUAL PERCENT VARIANCE
* * * * * ** *REVENUES * * * * * **
SALES TAX
114000.00-
17320.31-
15.2
96679.69 -
FINES & FORFEIJURES
26500.00-
5215.42-
19.7
21284.58 -
USES OF MONEY AND PROPERTY
16430.00-
.00
16430.00 -
INTERNGOVERNMENTAL FROM STATE
756440.00-
49563.71-
6.6
706876.29 -
INTERGOVERNMENTAL FROM COUNTY
29000.00-
.00
29000.00 -
INTERGOVERHMENTAL FROM FEDERAL
2147125.00-
.00
.2147125.00 -
CHARGES FOR SERVICES
716557.00-
2015.91-
.3
714541.09 -
OTHER SOURCES OF-REVENUE
5000.00-
6587.32-
131.7
1587.32
TOTAL REVENUE
3811052.00-
80702,67-
2.1
3730349.33-
* * * * ** *EXPENDITURES * * * * * **
r,ENERAL GOVERNMENT ACTIVITIES:
CITY COUNCIL
.00
.00
.00
CITY MANAGER
.00
.00
.00
ACTIVITY TOTAL
.00
.00
.00
PUBLIC SAFETY:
POLICE
18170.00
458.66
2.5
17711.34
TRAFFIC SIGNALS
.00
.00
.00
ACTIVITY TOTAL
18170.00
458.66
2.5
17711.34
TRANSPORTATION:
STREET MAINTENANCE
177350.00
485.44
.3
176864.56
STREET SWEEPING
.00
5066.36
5066.36 -
ACTIVITY TOTAL
177350.00
5551.80
3.1
171798.20
HEALTH & WELFARE:
WASTE MANAGEMENT
572236.00
.00
572236.00 j
CULTURE & LEISURE SERVICES:
COMMUNITY DEVELOPMENT:
ENGINEERING
116497.00
6115.65
5.2
110381.35
ACTIVITY TOTAL
116497.00
6115.65
5.2
110381.35
CAPITAL IMPROVEMENT PROJECTS:
GENERAL CIP PROJECTS
.00
.00
.00
COMMUNITY IMPROVEMENTS
171958.00
211.78
.1
171746.22
PARKS
127971.00
9550.60
7.5
118420.40
STREET CONSTRUCTION /IMPROVMT
2342550.00
12196.58
.5
2330353.42
ACTIVITY TOTAL
2642479.00
21958.96
.8
2620520.04
T O T A L EXPENDITURES
3526732.00
34085.07
1.0
3492646.93
EXCESS <REVENUE>EXPENDITURE
284320.00-
46617.60-
16.4
237702.40 -
EXCESS < REVENUE> EXPENDITURE
284320.00-
46617.60-
16.4
237702.40-
PAGE 1
11.25.11
BGL104 THE CITY OF DUBLIN STATEMENT SHOWING
10/04/93 REVENUES VERSUS EXPENDITURE
FOR THE
PERIOD 7/93 THROUGH 8/93
SPECIAL ASSESSMENT FUNDS
CURRENT PERIOD
BUDGET ACTUAL PERCENT VARIANCE
SPECIAL BENEFAS ASSESSMENTS
523913.00-
3198.61- .6
520714.39 -
USES OF MONEY AND PROPERTY
28260.00-
.00
28260.00 -
0'YHER SOURCES OF REVENUE
10400.00-
4727.89- 45.5
5672.11 -
TOTAL REVENUE
562573.00-
7926.50- 1.4
554646.50-
* * * * ** *EXPENDITURES * ** * * **
GENERAL GOVEP11MENT ACTIVITIES:
NON- DEPARTMENTAL
.00
565406.00
565406.00 -
FINANCE DEPARTMENT
.00
.00
•00
ACTIVITY TOTAL
.00
565406.00
565406.00 -
PUBLIC SAFETY:
TRFC SIGS /STREET LIGHTING
197300.00
16093.33
8.2
181206.67
ACTIVITY TOTAL
197300.00
16093.33
8.2
181206.67
TRANSPORTATION:
PUBLIC WORKS
1701.00
1433.39
84.3
267.61
STREET TREE MAINTENANCE
11300.00
181.90
1.6
11118.10
STREET LANDSCAPE MAINTENANCE
109520.00
11530.30
10.5
97989.70
ACTIVITY TOTAL
122521.00
13145.59
10.7
109375.41
HEALTH & WELFARE:
CULTURE & LEISURE SERVICES:
COMMUNITY DEVELOPMENT:
ENGINEERING
7550.00
3445.81
45.6
4104.19
ACTIVITY TOTAL
7550.00
3445.81
45.6
4104.19
CA.PITAL IMPROVEMENT PROJECTS:
COMMUNITY IMPROVEMENTS
.00
4449.13
4449.13 -
STREET CONSTRUCTION /IMPROVMT
.00
.00
.00
ACTIVITY TOTAL
.00
4449.13
4449.13 -
T O T A L EXPENDITURES
327371.00
602539.86
184.1
275168.86 -
EXCESS<REVENUE> EXPENDITURE
235202.00-
594613.36
252.8-
829815.36 -
EXCESS < REVENUE> EXPENDITURE
235202.00-
594613.36
252.8-
829815.36-
PAGE 1
10.44.40
PAGE 1
10.58.53
BGL104
THE CITY
OF DUBLIN STATEMENT
SHOWING
10/04/93
REVENUES VERSUS EXPENDITURE
FOR THE
PERIOD
7/93 THROUGH 8/93
CAPITAL IMPROVEMENT FUND
CURRENT PERIOD
BUDGET
ACTUAL PERCENT
VARIANCE
* * * * * * * *REVEI(UBS * * * * * **
USES OF MONEY PID PROPERTY
4340.00-
.00
4340.00 -
OTHER SOURCES OF REVENUE
853500.00-
.00
853500-00-
TOTAL REVENUE
857840.00-
.00
857840.00-
* * * * ** *EXPENDITURES * * * * * **
GENERAL, GOVERNMENT ACTIVITIES:
ACTIVITY TOTAL
.00
.00
.00
PUBLIC SAFETY:
TRANSPORTATION:
HEALTH & WELFARE:
CULTURE & LEISURE SERVICES:
COMMUNITY DEVELOPMENT:
ENGINEERING
91608.00
.00
91608.00
ACTIVITY TOTAL
91608.00
.00
91608.00
CAPITAL IMPROVEMENT PROJECTS:
COMMUNITY IMPROVEMENTS
50000.00
.00
50000.00
STREET CONSTRUCTION /IMPROVMT
561150.00
27863.92 5.0
533286.08
ACTIVITY TOTAL
611150.00
27863.92 4.6
583286.08
T 0 T A L EXPENDITURES
702758.00
27863.92 4.0
674894.08
EXCESS<REVEIJUE> EXPENDITURE
155082.00-
27863.92 18.0-
182945.92 -
EXCESS < REVENUE> EXPENDITURE
155082.00-
27863.92 18.0-
182945.92-
PAGE 1
10.58.53
BGL104
10/04/93
* * * * * ** *REVENUES * * * * * **
USES OF MONEeAND PROPERTY
CHARGES FOR SERVICES
OTHER SOURCES OF REVENUE
TOTAL REVENUE
* * * * ** *EXPENDITURES * * * * * **
GENERAL GOVERNMENT ACTIVITIES:
11011- DEPARTMENTAL
CITY COUNCIL
CITY MANAGER
FINANCE DEPARTMENT
ACTIVITY TOTAL
PUBLIC SAFETY:
POLICE
ACTIVITY TOTAL
TRANSPORTATION:
PUBLIC WORKS
ACTIVITY TOTAL
HEALTH & WELFARE:
CULTURE & LEISURE SERVICES:
RECREATION ADMINISTRATION
ACTIVITY TOTAL
COMMUNITY DEVELOPMENT:
PLANNING
BUILDING SAFETY
ACTIVITY TOTAL
CAPITAL IMPROVEMENT PROJECTS:
GENERAL CIP PROJECTS
ACTIVITY TOTAL
T 0 T A L EXPENDITURES
EXCESS<REVENUE> EXPENDITURE
TRANSFERS OUT TO OTHER FUNDS
EXCESS < REVENUE> EXPENDITURE
s
THE CITY
OF DUBLIN
STATEMENT
SHOWING
REVENUES VERSUS
EXPENDITURE
FOR THE
PERIOD
7/93 THROUGH 8/93
INTERNAL
SERVICE
FUND
CURRENT PERIOD
BUDGET
ACTUAL: PERCENT
VARIANCE
9360.00-
.00
9360.00-
137229.00-
20644.95-
15.0
116584.05-
4500.00-
.00
4500.00-
151089.00-
20644.95-
13.7
130444.05-
188239.00
43994.26
23.4
144244.74
.00
.10
.10-
.00
14.23
14.23-
.00
15.10
15.10-
188239.00
44023.69
23.4
144215.31
.00
10.18
10.18-
.00
10.18
10.18-
.00
27.90
27.90-
.00
27.90
27.90-
.00
16.57
16.57-
.00
16.57
16.57-
.00
26.37
26.37-
.00
3.70
3.70-
.00
30.07
30.07-
.00
.00
.00
.00
.00
.00
188239.00
44108.52
23.4
144130.48
37150.00
23463.57
63.2
13686.43
.00
.00
•00
37150.00
23463.57
63.2
13686.43
•
PAGE 1
10.50.35