HomeMy WebLinkAboutReport - Mail Packet - 7/23/2013 - General Fund Monthly Financial Report - June 2013All values are presented in thousands. 1 July 17, 2013
June 2013
POSITIVE
WARNING
NEGATIVE
= No concerns noted
= Staff monitoring current variance
= Staff currently taking action on variance
CURRENT MONTH YEAR TO DATE REFERENCE
GENERAL FUND
Revenue vs. Expenditures POSITIVE POSITIVE Page 2
Total Revenue POSITIVE POSITIVE Page 2
Sales Tax Revenue (prior month activity) POSITIVE POSITIVE Page 3
Use Tax Revenue (prior month activity) POSITIVE POSITIVE Page 3
Property Tax Revenue POSITIVE POSITIVE Page 4
Other Revenues POSITIVE POSITIVE Page 4
Fees and Charges POSITIVE POSITIVE Page 5
Expenditures POSITIVE POSITIVE Page 5
PERFORMANCE AT A GLANCE
PERFORMANCE INDICATORS ACTUALS vs. BUDGET
*Numbers in this report are subject to change as items are posted into the period they occurred.
REPORT
FINANCIAL
MONTHLY
GENERAL FUND
All values are presented in thousands. 2 July 17, 2013
2013*
Rev
2013*
Exp Var.
JAN $8,548 $8,525 $23
FEB 7,589 8,934 -1,345
MAR 11,719 7,810 3,909
APR 9,226 7,523 1,703
MAY 12,321 12,515 -194
JUN 9,793 8,340 1,453
JUL
AUG
SEP
OCT
NOV
DEC
Totals $59,195 $53,647 $4,096
*Actuals
REVENUE VS EXPENDITURES (Excludes Use Tax Economic Incentive Revenues and Expenditures)
OVERALL FUND PERFORMANCE:
June 2013 General Fund revenue collections were lower than June 2012 by 5.0%. Compared to the monthly budget revenues
POSITIVE were up 4.7%. Year to date collection are up $2,784 (4.9%) compared to the budget.
TOTAL REVENUE (Excludes Use Tax Economic Incentive Revenues)
0
2
4
6
8
10
12
14
JAN FEB MAR APR MAY JUN JUL AUG SEP OCT NOV DEC
2013
Revenue
2013
Expenditures
June 2013 generated a positive cash flow month with revenues higher than expenditures by $1,453. During the month
revenues were 17.4% higher than expenditures. Historically revenues are greater than expenditures during the first half of the
year due to the timing of property tax collections.
POSITIVE
2013
Actual
2013
Budget Var.
JAN $8,548 $8,504 $44
FEB 7,589 7,114 475
MAR 11,719 10,815 904
APR 9,226 9,307 -81
MAY 12,321 11,317 1,004
JUN 9,793 9,355 438
JUL
AUG
SEP
OCT
NOV
DEC
TOTALS $59,195 $56,412 $2,784
0
2
All values are presented in thousands. 3 July 17, 2013
2013
Actual
2013
Budget Var.
JAN $734 $691 $44
FEB 621 691 -69
MAR 766 691 75
APR 761 691 70
MAY 865 691 175
JUN 985 691 295
JUL
AUG
SEP
OCT
NOV
DEC
TOTALS $4,733 $4,143 $590
Use Tax Collections are for
Sales in prior month.
2013
Actual
2013
Budget Var.
JAN $5,936 $5,848 $88
FEB 4,327 4,235 92
MAR 4,162 4,106 56
APR 4,690 4,722 -33
MAY 4,351 4,392 -41
JUN 4,774 4,622 152
JUL
AUG
SEP
OCT
NOV
DEC
TOTALS $28,240 $27,925 $315
Sales Tax collections are
for Sales in prior month.
Sales Tax represents just over 50% of the General Fund Budget and serves as the primary funding source for the general
government. The General Fund allocation of sales tax remitted to the City in June and collected by merchants in May
experienced an increase of 6.5% compared to sales tax remitted in June 2012. Monthly collections by merchants were higher than the budgeted
amount by 3.3%, and year to date collections are up $315 (1.1%) compared to budget.
GENERAL FUND
REVENUE ANALYSIS:
SALES TAX REVENUE
POSITIVE
Use Tax represents approximately 10% of the General Fund Budget. Use tax is volatile because it is heavily dependent on
building activity and vehicle sales. Use Tax collections in June 2013 were up 42.7% compared to budget. Year to date
collections are up $590 (14.2%).
USE TAX REVENUE (Excludes Use Tax Economic Incentive Revenues)
POSITIVE
0
1
2
3
4
5
6
JAN FEB MAR APR MAY JUN JUL AUG SEP OCT NOV DEC
All values are presented in thousands. 4 July 17, 2013
2013
Actual
2013
Budget Var.
JAN $ - $ - $ -
FEB 673 431 241
MAR 4,283 4,073 211
APR 1,462 1,676 -214
MAY 4,445 4,387 57
JUN 1,963 2,060 -97
JUL
AUG
SEP
OCT
NOV
DEC
TOTALS $12,825 $12,626 $199
Property taxes represent 16% of the overall General Fund Budget. They are remitted in two installments due on February 28
and June 17 or they are paid in full by April 30. Whether paid by installment or in full by the April deadline, over 95% of the levy
has typically been remitted to the City by the end of July each year. Property tax collections for June 2013 were lower than 2012 by 8.3% and lower
than the budget by 4.7%. Year to date collections are higher than the budget by $199 (1.6%).
PROPERTY TAX REVEUNE
REVENUE ANALYSIS (continued):
GENERAL FUND
POSITIVE
2013
Actual
2013
Budget Var.
JAN $796 $927 -$131
FEB 885 700 185
MAR 1,421 890 531
APR 1,219 807 412
MAY 1,145 834 311
JUN 942 874 68
JUL
AUG
SEP
OCT
NOV
DEC
TOTALS $6,409 $5,032 $1,377
Other revenue consists of licenses (e.g., contractor license, liquor license), permits (e.g., building permits, street cut permits),
fines (e.g., court fines, camera radar fines), earnings on investments and miscellaneous. The volume of activity (i.e., building
permits and fines) will fluctuate month to month. Other revenue collections were lower than June 2012 by 32.1%, but were higher than the budget by
7.8%. Year to date collections are higher than the budget by $1,377 (1.3%).
OTHER REVENUE
POSITIVE
0
1
2
3
4
5
6
JAN FEB MAR APR MAY JUN JUL AUG SEP OCT NOV DEC
2013 Actual 2013
Budget
2012
All values are presented in thousands. 5 July 17, 2013
2013
Actual
2013
Budget Var.
JAN $1,081 $1,029 $52
FEB 1,082 1,066 16
MAR 1,086 1,056 30
APR 1,095 1,411 -316
MAY 1,515 1,013 501
JUN 1,129 1,109 19
JUL
AUG
SEP
OCT
NOV
DEC
TOTALS $6,987 $6,684 $303
REVENUE ANALYSIS (continued):
FEES AND CHARGES REVENUE
Fees and charges for services include the following: payments in lieu of taxes (“Pilot”) paid by the Utilities to the General Fund,
administrative charges, plan checking fees, PUD Subdivision & zoning fees, real estate service fees, custodial service fees,
project management service fees, and cable franchise fees. June 2013 Fees and Charges were slightly lower than June 2012, but were 1.7% higher
than the budget. Year to date collections are higher than the budget by $303 (4.5%).
GENERAL FUND
POSITIVE
Expenditures for June 2013 were lower than June 2012 by 16.4% and were lower than the budget by 11.9%. Year to date
POSITIVE expenditures are lower than the budget by $2,557 (4.5%).
0.0
0.5
1.0
1.5
2.0
JAN FEB MAR APR MAY JUN JUL AUG SEP OCT NOV DEC
2013 Actual 2013
Budget
2012
EXPENDITURES (Excludes Use Tax Economic Incentive Expenditures)
EXPENDITURE ANALYSIS:
2013
Actual
2013
Budget Var.
JAN $8,525 $8,201 -$325
FEB 8,934 8,933 -1
MAR 7,810 9,141 1,331
APR 7,523 9,409 1,886
MAY 12,515 11,058 -1,457
JUN 8,340 9,463 1,123
JUL
AUG
SEP
OCT
NOV
DEC
TOTALS $53,647 $56,204 $2,557
0
2
4
6
8
10
12
14
JAN FEB MAR APR MAY JUN JUL AUG SEP OCT NOV DEC
2013 Actual 2013
Budget
2012
0
1
2
3
4
5
6
7
8
9
JAN FEB MAR APR MAY JUN JUL AUG SEP OCT NOV DEC
2013 Actual 2013
Budget
2012
2013
Actual
2013
Budget
2012
0.0
0.2
0.4
0.6
0.8
1.0
JAN FEB MAR APR MAY JUN JUL AUG SEP OCT NOV DEC
2013
Actual
2013
Budget
4
6
8
10
12
14
16
JAN FEB MAR APR MAY JUN JUL AUG SEP OCT NOV DEC
2013 Actual 2013
Budget
2012