HomeMy WebLinkAbout4.09 PrelFin Oct 1999 AGENDA STATEMENT
CITY COUNCIL MEETING DATE: (December 7, 1999)
CITY CLERK FILE # 330-50
SUBJECT:
Preliminary Financial Report For the Month of October 1999
Report Prepared by: Fred Marsh, Finance Manager
EXHIBITS ATTACHED:
RECOMMENDATION:
Pro Forma Balance Sheet and Income Statements for
the Month of October 1999
CbhAc'cept and file the reports.
FINANCIAL STATEMENT:
See reports for detail of monthly financial activity.
DESCRIPTION: This item provides the report of the preliminary financial statdments for the month
of October. The current monthly report includes the final audited results for Fiscal Year 1998/99.
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.
Analvsis of October 1999 Revenue and Expenditure Report
The October report represents the reporting of revenues and expenditures for the four months of the Fiscal
Year. Major property tax revenues will not be received until December. In the expenditure category, the
October report does not include expenses for the fast quarter of Police Services, which will be paid in
December. 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 October are comparable to what occurred in the fourth
month of the previous Fiscal Year. The City had collected through October 1999 approximately 24% of
the total budgeted General Fund Revenues compared to approximately 25% in the prior Fiscal Year.
Based upon the limited information available there were not any areas with significant deviations from the
current budget projections.
Sales Tax is higher than in the same period of the prior year. The State has riised fie mount '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 lower than in the same period of the prior year due to a
delay in the receipt of taxes from one of the City's hotels. Interest and Rentals is lower than in the same
period in the prior year due to timing differences and a lower cash balance. Initially all interest revenue is
recorded in the General Fund and allocated to other funds on a pro rata basis at year end.
COPIES TO:
G:XlVIONTHFS\I099 ageida statement month ~nancials.doc
ITEM NO.
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 due to timing differences in the
recording of revenue for reimbursements received from developers for engineering plan checking
services. The mount 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 from
the sale of a Fire Engine to Alameda County is anticipated to be received later in the Fiscal Year.
General Fund Expenditures
Overall, through the month of October expenditures in the General Fund totaled $3,482,575 and
represented approximately 11% of the total budgeted expenditures in the General Fund. Of this amount, a
total of $51,166 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 October 1999 was. comparable
to the amounts expertdeal for the same period in the prior Fiscal Year. Through October 1999, the City
had expended 15% of the General Fund Operating Budget compared to 21% in the prior Fiscal Year.
As previously noted there are some timing differences with payment for contract sendces, which
complicate comparisons between one year to the next. General Government is lower than in the same
period in the prior Fiscal Year due to timing differences in the payment for legal services related to private
development. In addition, payments for several budgeted activities in the Central Services division
involving the use of contract professional services will not take place until later in the Fiscal Year. Fire
Services is lower than the same period in the prior year due to timing differences in payments for contract
fire services. ·
Community Development Expenditures are lower than in the prior Fiscal Year due to timing differences
in the payment for contract professional services related to new development. Capital Improvements
Projects expenditures are lower than in the same period of the prior year due to expenditures incurred in
the prior year for the completion of the Dougherty Hills Park Slope Repair Capital 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 October 31, 1999 - Unaudited
Total General Fund ~22~o~°
Revenues
Property Taxes 9%
z 9%
Sales Taxes
Transient
Occupancy Taxes
· FY 1999/2000
[] FY 1998/1999
Franchise Taxes 14%
-- 13%
Licenses and Permits 35%
i i37%
Interest and Rentals 43%
i ~.' 48%
Intergovernmental 43 %
from State ! i33%
19
Charges for Services
1
Other Revenues
:25%
0% 30%
60% 90% 120%
33% .of Year Complete
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 FY 1999~2000 % of
Budget YTD Actual Budget
5,643,600 529, 182 9%
9,200,000 ...... 2,435,869 ..... 26%'
580,000 114,740 20%
872,400 119,636 14%
3,041,520 1,069,387 35%
1,223,214 523,642 43%
1,373,450 588,316 43%
3,917,844 752,291 19%
842,353 143,254 17%
26,694,381 6,276,217 24%
FY 98~99
YTD Actual
479,486
2,088,463
91,717
108,306
920,043
653,351
442, 182
912,867
61,645
5,758,060
% of Total for
FY 98~99
9%
24%
24%
13%
37%
48%
33%
26%
25%
25%
ATTACHMENT 1
City of Dublin 1999-2000 YTD Expenses and Budget Comparison
For the Period Ending October 31, 1999 - Unaudited
Total General Fund Expenses {~1%
General Government i/l/~0%
Civic Center Lease 0%
Police
Fire
i21%
3%
3%
+
~ 17%
+
r6%
-- 7%
131%
Other Public Safety
Transportation
Health and Welfare
Culture & Community Services
Community Development
Capital Improy. Projects
~ 22%
.2
; 1%
)%
0%
1///~5%
12%
., i 15%
· FY 1999/2000
[] FY 1998/1999
0% 30% 60% 90% 120%
33% of Year Complete
o °
FY 1999~2000
Budget
General Government
Civic Center Lease
Police
Fire
Other Public S~fet~'
Transportation
Health and Welfare
Culture and Community Services
Community Development
Capital Improvement Projects
2,505,022
4,986,704
4,209,712 -
208,427
827,008
19,360
3,000,124
4,951,491
2,748,220
Total General Fund Expenses
General Fund Operating Expenses
23,456,068
20,707,848
FY1999~000 % of
YTD Actual Budget
612,531 24%
138,917 3%
719,175 17%
12,376 6%
185,149 22%
0%
799,991 27%
963,270 19%
51,166 2%
3,482,575 15%
3,431,409 17%
FY 98~99
YTD Actual
633,036
346,063
134,784
1,280,128,
14,120
164,099
684,144
907,951
272,802
4,437,127
4,164,325
% of Total for
FY 98~99
30%
21%
. 3%
31%
7%
21%
0%
30%
25%
15%
21%
22%
ATTACHMENT 2
CITY OF DUBLIN'S
FINANCIAL STATEMENTS
FOR
THE MONTH OF OCTOBER 1999
Prepared by
The Finance Department
November 10, 1999
ATTACHMENT 3
GENERAL
REVENUE
FUNDS
CITY OF DUBLIN
BALANCE SHEET
FOR THE .
PERIOD ENDING 3!0ct1999
SPECIAL SPECIAL CAPITAL TRUST/
REVENUE ASSESSMENT IMPROVEMENT AGENCY
FUNDS FUNDS FUND FUND
TOTALS
-°-MEMORANDUM ONLY---
CURRENT PRIOR
ASSETS
CASH
CASH WITH FISCAL AGENT
UNAMDRTIZED BOND DISCOUN~
(t7.256.019)
1.674.827
INVESTMENTS AT COST
RECEIVABLES: TAXES
ACCOUNTS (NE
iNTEREST
ASSESSMENTS
38,592,415
149.497
205.076
66.587
DUE FROM OTHERS
INVENTORY AT COST
PREPAID ITEMS
FIXED ASSETS
AMOUNT TO BE PROVIDED
TOTAL ASSETS
5.849
17.359
21.714.177
78.048
1.819.462
LIAL/FND BAL/RETN~ ERNGS
DEPOSITS FOR PRIVATE DEVEL (820.414)
DEPOSITS FOR ~d~1600 FEES (90.930)
DEPOSITS OTHERS (384.449)
PAYABLES: ACCOUNTS (159.307)
INTEREST
PAYROLL (218.793)
DUE TO OTHERS (29.118)
DEFERRED REVENUE (t49.497)
DEBT INSTRUMENTS PAYABLE
TOTAL LIABILITIES (1.852.508)
FUND BALANCES (19.861.669)
TOTAL FUND E (19.861.669)
TOTAL LIAB. FND BAL. REII) (21.714.177)
(7.888)
(7.888)
(1.8t!.574)
(1.8!1.574)
(1.819.462)
259.931 14.821.590
259.931 t4.821.590
(16.802.283)
(6.858)
(5.849)
(16.814.990)
(259.93i) 1.993.400
(259.931) 1.993.400
(259.931) (14.821.590)
1.658 (498.003) (8.211.t29)
149.763 149.763 149.763
38.592.415
216.084
205.076
1.860.500
2.Dll.931
83.897
17.359
1.860.500
40.627.092
(820.414)
(16.893.21'3)
(384.449)
(174.054)
(218.793)
(29.118)
(155,346)
· (1.978.000) (1.978.000)
(1.978.000) (20.653.387)
(33.931) (19.973.705)
(33.931) (19.973.705)
(2.011.931) (40.627.092)
34.556.969
1.399.589
502.727
212.897
7.027
1.860.500
30.478.344
(498.812)
(4,882,t78)
(468.866)
(2,895.909)
(309.574)
(150.963)
(155.346)
(1.978.000)
(11.339.647)
(19.138.697)
(19.138.697)
(30.478.344)
INTERNAL
SERVICE
FUNDS
ENTERPRISE
FUNDS
CITY OF DUBLIN
BALANCE SHEET
FOR THE
PERIOD ENDING 310ct1999
FIXED ASSETS GENERAL LONG
GROUP OF TERM DEBT
ACCOUNTS ACCOUNT GROUP
TOTALS
-- -MEMORANDUM- - -
CURRENT PRIOR
ASSETS
CASH
CASH WITH FISCAL AGENT
UN.~MORTIZED BOND DISCOUkrF
1,025.534
INVESTMENTS AT COST
RECEIVABLES: TAXES
ACCOUNTS (NE
INTEREST
ASSESSMENTS
DUE FROM OTHERS
INVENTORY AT COST
PREPAID ITEMS
FIXED ASSETS !9.491.955
AMOUNTTO BE PROVIDED
TOTAL'ASSETS 20.517.489
~---~.
LIAL/FND BAL/REND ERNGS
DEPOSITS FOR PRIVATE DEVEL
DEPOSITS FOR AB1600 FEES
DEPOSITS OTHERS
PAYABLES: ACCOUNTS
INTEREST
PAYROLL
DUE TOOTHERS
DEFERRED REVENUE
DEBT INSTRUMEk~S PAYABLE
TOTAL LIABILITIES
FUND BALANCES (20.517.489)
TOTAL FUND E (20.517.489)
TOTAL LiAB. FND BAL. RETD (20.517.489)
6,388.993
28.913.500
6.38B.993.28.913.500
(6.388.993)
(6.388,993)
(28.913.500)
(28.913.500)
(6.388.993) (28.913.500)
1,025.534
25.8BD.948
28.913,500
55,819.982
(28.913.500)
(28.913.500)
(26.906.482)
(26.906.482)
(55.819.982)
Revenues
Property Taxes
Sales Taxes
Real Property Transfer Tax
Hotel Transient Occupancy Tax
Franchise Taxes -
Licenses and Permits
Fines and Forfeitures
Use Money and Property - interest
Use Money and Property - Rentals
Intergovernmental from State
Charges for Services
Other Sources of Revenue
Total Revenue
Expenditures
General Government
City Council
City Manager
Central Services
City Attorney
Administrative Services
Building Management
Facility Rental
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 Maintenance
Activity Total
Health and Welfare "'
' Waste Management'
Child Care
Activity Total
City of Dublin General Fund Income Statement Showing
Revenues Versus Expenditures
For the Period 7~99 Through 10~99
Current Current Prior
Budget Actual % Variance Fiscal Year
5,346,600 439,035 8% 4,907,565 4,866,093
9,200,000 2,435,869 26% 6,764,131 8,687,091
297,000 90,147 30% 206,853 282,733
580,000 114,740 20% 465,260 389,664
872,400 119,636 14% 752,764 649,959
3,041,520 1,069,387 35% 1,972,133 2,472,217
57,200 20,607 36% 36,593 60,876
1,128,164 501,133 44% 627,021 1,262,400
95,060 22,409 24% 72,651 90,539
1,373,450 588,316 43% 785, 134 1,356,234
3,917,844 752,291 19% 3,165,553 3,482,983
785, 153 122,647 16% 662,506 250,889
26,694,381 6,276,217 24% 20,418,164 24,051,678
150,305 43,279 29% 107,026 145,936
376,735 104,241 28% 272,494 331,437
222,712 54,414 24% 168,298
300,140 63,136 21% 237,004 310,558
723,174 170,536 24% 552,638 687,654
550,831 91,814 17% 459,017 531,167
1,614,407
152,185 85,091 56% 67,004 125,622
940 20 2% 920 6,335
28,000 28,000 - 1,029
2,505,022 612,531 24% 1,892,491 3,754,145
4,986,704 138,917 3% 4,647,787 4,505,598
64,760 2,747 5% 52,013 51,697
118,735 118,735 104,137
34,932 9,629 28% 25,303 35,022
4,209,712 719,175 17% 3,490,537 4,109,003
9,404,843 870,468 9% 8,534,375 8,805,457
411,653 109,947 27% 301,706 389,595
500 500 112,085
98,580 21,257 22% 77,323
46,320 6,394 14% 39,926 49,395
269,955 47,551 18% 222,404 225,855
827,008 185,149 22% 641,859 776,930
7,360 7,360 4,969
12,000 12,000 12,000
19,360 19,360 16,969
Prior
YTD
400,899
2,088,463
78,587
91,717
108,306
920,043
.13,134
624,611
28,740
442,182
912,867
48,511
5,758,060
43,518
101,800
43,560
194,110
165,935
346,063
84,047
66
979,099
134,784
4,110
10,010
1,280, 128
1,429,032
110,544
114
7,017
46,424
164,099
8%
24%
28%
24%
13%
37%
22%
49%
32%
33%
26%
19%
24%
30%
31%
14%
28%
31%
21%
67%
1%
26%
3%
8%
29%
31%
16%
28%
14%
21%
21%
Variance
4,465, 194
6,598,628
204,146
297,947
741,653
1,552, 174
47,742
637,789
61,799
914,052
2,570, 116
202,378
18,293,618
102,418
229,637
266,998
493,544
365,232
1,268,344
41,575
6,269
1,029
2,775,046
4,370,814
47,587
104,137
25,012
2,828,875
7,376,425
279,051
111,971
42,378
179,431
612,831
4,969
12,000
16,969
City of Dublin General Fund Income Statement Showing
Revenues Versus Expenditures
For the Period 7~99 Through 10~99
Current Current Prior Prior
Budget Actual % Variance Fiscal Year YTD
Variance
Culture and Leisure Services
Library Services 309,558 77,283 25% 232,275 255,689 56,062 2_2% 199,627
Cultural Activities 35,785 5,706 16% 30,079 20,000 20,000 100%
Heritage Center 55,074 14,541 26% 40,533 43,004 12,696 30% 30,308
Dublin Cemetery 22.397 1,613 7% 20,784 15,010 2,950 20% 12,060
Park Maintenance 757,818 111,437 15% 646,381 533,105 122,676 23% 410,429
Community 'IV 71,886 46,900 65% 24,986 58,047 43,900 76% 14,147
Recreation Admin 280,456 78,123 28% 202,333 264,382 78,768 30% 185,614
Playgrounds 145,318 50,036 34% 95,282 137,577 49,342 36% 88,235
Shannon Center 201,388 44, 176 22% 157,212 164,547 40,905 25% 123,642
Preschool 48,586 13,795 28% 34,791 49,314 16,425 33% 32,889
Teens Program 77,163 17,185 22% 59,978 44,993 10,189 23% 34,804
Adult Sports 75,330 16,973 23% 58,357 60,291 19,677 33% 40,614
Youth Sports 62,015 22,903 37% 39, 112 63,730 14,943 23% 48,787
Community Gym 37,360 1,421 4% 35,939
Special Events 240,908 106,475 44% 134,433 105,170 10,881 10% 94,289
Senior Center 117,796 30,794 26% 87,002 99,729 28,505 29% 71,224
Recreation Instruction 114,863 26,293 23% 88,570 115,191 40,892 35% 74,299
Aquatics 256,508 108,672 42% 147,836 218,802 115,333 53% 103,469
Parks / Facility Management 89,915 25,665 29% 64,250
Activity Total 3,000,124 799,991 27% 2,200,133 2,248,581 634,144 30% 1,564,437
Community Development
Planning
Building Safety
Engineering
Economic Development
Activity Total
Capital Improvement Projects
General CIP Projects
Community Improvements
Parks
Street Construction / Improvements
Activity Total
Total ExpenditUres
Excess Revenues (Expenditures)
984,662 298,268 30% 686,394 1,010,015 251,446
1,105, 134 243,804 22% 861,330 795,025 198,462
2,549,357 337,626 13% 2,211,731 1,685,599 394,347
312,338 83,572 27% 228,766 115,762 63,696
4,951,491 963,270 19% 3,988,221 3,606,401 907,951
1,533,741 29,910 2% 1,503,831 252,013 19,212
293,720 2,854 1% 290,866 63,272 44
762,410 6,448 1% 755,962 1,110,304 150,909
158,349 11,954 8% 146,395 353,570 102,637
2,748,220 51,166 2% 2,697,054 1,779,159 272,802
23,456,068 3,482,575 15% 19,973,493 20,987,642 4,437,127
3,238,313 2,793,642 ' 86% ~, ~, ~. ,671 3,064,036 1,320,933
-- 3,238,313
2,793,642
39,874
-12,219,723
86% ~4~,671 -9,115,813 1,320,933
.,::,. ": :~ :::~ :: -:-'- :__ -, -: ,~ '::,,, --'
25%
25%
23%
55%
25%
Transfers In From Other Funds
Transfers Out From Other Funds
8%
14%
29%
15%
21%
43%'
Appropriations to Reservss
758,569
596,583
1,291,252
52,066
2,698,450
232,801
63,228
959,395
250,933
1,506,357
16,550,515
1,743,103
THE CITY OF DUBLIN STATEMENT SHOWING
REVENUES VERSUS EXPENDITURES
FOR THE PERIOD
01Jull999HROUGH 310ct1999
SP. ECIAL REVENUE FUND
CURRENT CURRENT PRIOR
BUDGET ACTUAL VARIANCE FISCAL YEAR
~DPERTY TAXES
ALES TAX/OTHER TAXES
tNES & FORFEITURES
SES/MONEY & PROPERTY
ITERGDVERNMENTAL FROM STATE
ITERGOVERNMENTAL FROM COUNTY
~TERGDVERNMENTAL FROM FEDERAL
-IARGES FOR SERVICES
7HER SOURCES OF REVENUE
TOTAL REVENUE
82.965.00 38.07 82.926.93 76.684.53
183.800.00 45.641.79 138.158.2! 172.561.75
59.000.00 20.192.21 38.807.79 65.857.76
90.160.00 90.160.00 93.371.12
2.515.457.00 209.278.98 2.306.178.02 753,103.27
136.650.00 24.215.00 112.435.00 149.244.00
401.640.00 401,640.00 374,449.92
729.650.00 2.534.66 727.115.34 706.992.33
30,000.00 31,609.31 (1,609.31) 22.439.87
4.229,322.00 333.510.02 3.895.811.98 2.414.704.55
"~*-***EXPEND I TURES· ~ · ,~; · *
)BLIC SAFETY:
POLICE
TRAFFIC SIGNALS & STREET LTG
FIRE SERVICES
ACTIVITY TOTAL
ANSPORTATI ON:
STREET MAINTENANCE
STREET SWEEPING
ACTIVITY TOTAL
ALTH & WELFARE:
WASTE MANAGEMENT
SENIOR SUPPORT CARE
ACTIVITY TOTAL
,'4MUNITT DEVELOPMENT:
ENGINEERING '
ACTIVITY TOTAL
~ITAL IMPROVEMENT PROJECTS
]ENERAL CIP PROJECTS
SOMMUNiTY PROJECTS
~ARKS
STREET CONSTR.UCTION/IMPRDVEMENT
.... ACTIVITY TOTAL'
5) T A L EXPENDITURES
SESS <REVENUE>EXPENDI:I'URE
~NSFER IN FROM OTHER FUNDS
,,NSFERS OUT TO OTHER FUNDS
SESS <REVENUE> EXPENDITURE
87.959.00
128,770.00
88.143.00
304.872.00
410.056.00
410,056.00
870,570.00
870.570.00
6,000.00
6.000.00
17,665.00
189.199.00
21,119.00
2,246,122.00
2,474.105.00--
4.065.603.00
(163,719.00)
(163.719.00)
34.145.54
34.!45.54
15.520.07
15.520.07
4.103.80
4.103.80
5.322.83
3.577.66
2.791.82
11.692.31
65,461.72
(268.048.30)
(268.048.30)
87.959.00
94.624.46
88.143.00
270,726.46
394.535.93
394.535.93
866.466.20
866.466.20
6,000.00
6.000.00
17,665.00
183.876.17
17,541.34
2,243,330.18
2,462.412.69
4,000,141.28
104.329.30
104,329.30
78.444.67
72,476.39
81,444.13
232.365.19
265.920.49
81.727.11
347.647.60
827,685.54
7.044.00
834.729.54
44.166.79
44.166.79
56.548.31
51.300.97
674.931.01.
782,780.29
2.241.689.41
(173.015.14)
(130.265.91)
62.370.78
(240.910.27)
THE CITY OF DUBLIN STATEMENT SHOWING
REVENUES VERSUS EXPENDITURES
FOR THE PERIOD
01jull999THROUGH 3!0ct1999
SPECIAL .ASSESSMENT
CURRENT CURRENT
BUDGET ACTUAL VARIANCE
FUND
PRIOR
FISCAL YEAR
~REVENUES~
SPECIAL BENEFITS ASSESSMENTS
USES/MONEY & PROP-INTEREST
OTHER SOURCES OF REVENUE
TOTAL REVENUE
309.093.00
15.027.00
2.500.00
326.620.00
456.01 308.636.99 253.175.40
15.027.00 16.381.44
2.500.00 2.736.05
456.01 326.163.99 272.292.89
~;~;~;;EXpENDITURES*~'~
~UBLIC SAFETY:
TRAFFIC SIGNALS & STREET L1G
ACTIVITY TOTAL
'RANSPORTATI ON
PUBLIC WORKS
· STRE~ TREE MAINTENANCE
STREET LANDSCAPE MAINTENANCE
ACTIVITY TOTAL
EE.A../L~,bL & WELFARE:
-.' EERING
ACTIVITY TOTAL
APITAL IMPROVEMENT PROJECTS:
COMMUNITY IMPROVEMENTS
STREET CDNSTRUCTION/IMPRVMNT'
ACTIVITY TOTAL
0 T A L EXPENDITURES
(CESS <REVENUE>EXPENDITURE
(CESS <REVENUE>EXPENDITURE
145.005.00 t8.595.71 !26.409.29 i07.525.57
i45.005.00 18.595.71 126.409.29 107.525.57
2.945.00 1.172.38 1,772.62 2.246.99
13.210.00 689.57 12.520.43 7.694.38
160.990.00 24.490.64 136.499.36 105.652.77
177.145.00 26.352.59 150.792.41 115.594.14
4.200.00 4.336.86 (136.86) 3.084.88
4.200.00 4.336.86 (136.86) 3.084.88
18.700.00 43.93 !8.656.07
82.600.00 82.600.00
1D1.3DD.OD 43.93 101.256.07
427.650.00 49.329.09 378.320.91 226.204.59
10!.030.00 48.873.08 52.156.92 (46.088.30)
101.030.00 48.873.08 52.156.92 (46.088.30)
THE CITY OF DUBLIN STATEMENT SHOWING
REVENUES VERSUS EXPENDITURES
FOR THE PERIOD
D1jut1999THROUGH 310ct1999
CAPITAL IMPROVEMENT
CURRENT CURRENT
BUDGET ACTUAL VARIANCE
FUND
PRIOR
FISCAL YEAR
~REVENUE~
JSES/MONEY & PROP-INTEREST
3THER SOURCES OF REVENUE
TOTAL REVENUE:
73.785.DD
25.789.745.00
25.863.530.00
73,785.00
1,289.10 25,788,455.90
1,289.!0 25,862,240.90
2,257,954.64
2,257,954.64
~EXpENDITURES~
)ENERAL GOVERNMENT ACTIVITIES:
ACTIVITY TOTAL
>UBLtC SAFETY:
'RANSPORTATION:
~EALTH & WELFARE:
~ULTURE & LEISURE SERVICES:
RECREATION ADMINISTRATION
ACTIVITY TOTAL
OMMUNii'Y DEVELOPMENT
PLANNING
ACTIVITY TOTAL
APITAL IMPROVEMENT PROJECTS
GENERAL CIP PROJECTS
COMMUNITY IMPROVEMENTS
PARKS
STRE~ CONSTRUCTION/IMPROVEMENT
ACTIVITY TOTAL
0 T A L EXPENDITURES
(CESS <REVENUE>EXPENDITURE
>~NSFER IN FROM OTHER FUNDS
tANSFERS OUT TO OTHER FUNDS
(CESS. <REVENUE>EXPENDITURE .
61.886. O0
61.886. OO
2.029.737.00
16,9!5.01
16,915.01
56.72 61,829.28 145.14
56.72 61,829.28 '145.!4
43,196:85.1,986,540.15
124,753.27
7,348,760.00 2,026,516.72 5,322,243.28 1,180,149.86
16,623,429.00 367,228.16 16,256,200.84 744,202.34
26,001,926.00 2,436.94!.73 23,564,984.27 2,049,105.47
2,436,998.45 23,626,813.55
2,435,709.35 (2,235,427.35)
2,435,709.35 (2,235,427.35)
26.063.812.00
200.282.00
200.282.00
2,066,165.62
(191,789.02)
17,586.84
(174,202.18)
THE CiTY OF DUBLIN STATEMENT SHOWING
REVENUES VERSUS EXPENDITURES
FORTHE PERIOD
01jull999THROUGH 310ct1999
TRUST/AGENCY FUND
CURRENT CURRENT PRIOR
BUDGET ACTUAL VARIANCE FISCAL YEAR
~xREVENUES.~
SPECIAL ASSESSMENTS
USES/MONEY & PROP-INTEREST
TOTAL REVENUE
235,672,36
12,637,55
248,309,91
~EXpENDITURES~
~ENERAL GOVERNMENT ACTIVITIES:
NON-DEPARTMENTAL
ACTIVITY TOTAL
~UBLIC SAFETY:
TRANSPORTATION:
~EALTH & WELFARE:
SULTURE & LEISURE SERVICES:
SOMMUNiTY DEVELOPMENT:
SAPITAL IMPROVEMENT PROJECTS
'.D/~A L EXPENDITURES
'~ =REVENUE>EXPENDITURE
]XCESS <REVENUE>EXPENDITURE
!90,256,D0 (190,256.D0) 231,864.50
190,256,00 (19D,256,0D) 231,864,50
!90,256,0D (190,256,DD) 231,864,50
190,256,00 (!90,256,00) . (16,445.41)
190,256:00, (190,256,00)
(16,445.41)'
THE CiTY OF DUBLIN STATEMENT SHOWING
REVENUES VERSUS EXPENDITURES
FOR THE PERIOD
010ull999THROUGH 310ct1999
INTERNAL SERVICE FUND
CURRENT CURRENT PRIOR
BUDGET ACTUAL VARIANCE FISCAL YEAR
=~REVENUES~
USES/MONEY & PROP-INTEREST
CKz~RGES FOR SERVICES
OTHER SOURCES OF REVENUE
TOTAL REVENUE
56.832.00 56,832.0D 40.084.94
589.275.0D 144.717.59 444,557.41 726.998.50
25.700.00 270.02 25,429.98 17.455.06
671.807.00 144.987.61 526,819.39 784.538.50
~,~;~EXpENDITURES~;;;
GENERAL GOVERNMENT ACTIViTiES
NON-DEPARTMENTAL
ACTIVITY TOTAL
PUBLIC SAFETY:
TRANSPORTATION:
HEALTH & WELFARE:
SULTURE & LEISURE SERVICES
SOMMUNiTY DEVELOPMENT:
SAPITAL IMPROVEMENT PROjE.CTS:
706.909.00 122.!54.29 584.754.71 794.802.16
706.909.00 122.154.29 584.754.71 794,802.16
F 0 T A L EXPENDITURES
EXCESS <REVENUE>EXPENDiTb?,E
TRANSFER IN FROM OTHER FUNDS
'RANSFERS OLFF TO OTHER FUNDS
ZXCESS <REVENUE>EXPEND!TU.~
706.909.D0 122.154.29 584.754.71
35.102.00 (22.833.32) 57,935.32
35.102.00
(22.833.32)
794.802.16
10,263.66
13.582.460.94
57.935.32 (13,572,197.28)
CURRENT
BUDGET
THE CITY OF DUBLIN STATEMENT SHOWING
REVENUES VERSUS EXPENDITURES
FOR THE PERIOD
01Jul!999THROUGH 310ct!999
ENTERPRISE
FUND
CURRENT
ACTUAL
VARIANCE
PRIOR
FISCAL YEAR
'~=~REVENUES~;~
USES/MONEY & PROP-INTEREST
TOTAL REVENUE
1.671.632.89
1.671.632.89
~AEXpENDiTURES~
ENE~AL GOVERNMENT ACTIViTiES:
NON-DEPARTMENTAL
FINANCE
ACTIVITY TOTAL
JBLIC SAFE'FY:
[ALTH & WELFARE:
]LTURE & LEISURE SERVICES
)MMUNII'Y DEVELOPMENT:
~PiTAL IMPROVEMENT PROJECTS:
Q,rTLjLL EXPENDiTURE~.
:F/ IEVENUE>EXPENDITU~E
~.,~S IN FROM OTHER FUNDS
ANSFERS OUT TO OTHER FUNDS
CESS <REVENUE>EXPENDITUR~
10.00
lO.OO
lO.O0
10.00
!0.00
lO.OO
lO.O0
10.00
10.00
10.00
935.724.30
500.00
936.224.30
936.224.30
(735,408.59)
(12.i34.212.45)
13.587.133.27
7t7.512.23