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HomeMy WebLinkAbout201712, December h:\finance\financial reporting\monthly reports\2017 reports\cover 1217.docx  ADMINISTRATIVE SERVICES    M   E   M   O   R   A   N   D   U   M       DATE: February 22, 2018    TO: Ed Prince, Council President  Members of Renton City Council     CC: Denis Law, Mayor  Jay Covington, Chief Administrative Officer     FROM: Jan Hawn, ASD Administrator     STAFF CONTACT: Hai Nguyen, Sr. Finance Analyst     SUBJECT: December 2017 Financial Status Report       At the end of December, general governmental revenues show $5M or 4.8% over budget.   Revenue source(s) that are higher than expected are: property tax ($253K); sales tax  ($481K); utility taxes ($1.2M); franchise fees ($232K); gambling taxes ($695K); business &  occupation taxes ($2.1M); business license ($180K); state shared revenues ($340K); public  safety ($225K); seizure funds ($177K), restricted to drug enforcement and not available  for general purposes); interest ($280K); and other miscellaneous/financing sources  ($375K).  If we remove B&O taxes and seizure funds, general governmental revenues are  $2.7M or 2.5% over budget.  On the down side, the revenue source(s) that are  underperforming the year to date budget are: building permits & development service  fees ($827K below) and interfund/interdept charges for services ($263K below).    General government expenditures showed a favorable variance of $7.4M or 6.7%.  See  page 10 of report for further expenditure over‐spent/savings explanations.    The attached report provides more detailed discussion of each revenue source and our  updated projections for the year.  Please do not hesitate to contact me at x6952 should  you have any questions or any suggestions about the report.        Armondo Pavone, Council President  Members of Renton City Council  Page 2 of 2  February 22, 2018    h:\finance\financial reporting\monthly reports\2017 reports\cover 1217.docx  This page is intentionally left blank      General Governmental Funds $% Beginning Fund Balance 17,565,282$     17,565,282$  19,962,845$       19,962,845$  26,563,785$    26,563,785$ 26,563,785$    ‐                        0.0% OPERATING REVENUES Property Tax 36,369,429        36,369,429     37,038,480          37,038,480     24,103,395       24,103,395    24,356,562      253,167            1.1% Sales  Tax 23,439,266        23,439,266     26,353,246          26,353,246     25,850,400       25,850,400    26,331,634      481,234            1.9% Sales  Tax ‐ Annexation Credit 2,778,858           2,778,858        3,114,762             3,114,762        3,063,280          3,063,280       3,123,230         59,950               2.0% Criminal Justice Sales  Tax 2,484,718           2,484,718        2,701,787             2,701,787        2,679,898          2,679,898       2,808,564         128,666            4.8% Natural  Gas Use  Tax 228,899                228,899            184,638                  184,638             228,000               228,000            180,456             (47,544)              ‐20.9% Admission Tax 309,790                309,790            262,506                  262,506             320,000               320,000            223,157             (96,843)              ‐30.3% Franchise Fees 1,349,154           1,349,154        1,406,092             1,406,092        1,330,000          1,330,000       1,562,100         232,100            17.5% Electricity Tax 5,012,962           5,012,962        5,440,139             5,440,139        5,596,019          5,596,019       5,721,366         125,347            2.2% Natural  Gas Utility Tax 1,437,552           1,437,552        1,327,937             1,327,937        1,350,900          1,350,900       1,630,375         279,475            20.7% Garbage/Solid Waste 638,073                638,073            717,148                  717,148             680,000               680,000            627,254             (52,746)               ‐7.8% TV Cable 1,591,866           1,591,866        1,619,364             1,619,364        1,645,659          1,645,659       1,651,405         5,746                  0.3% Telephone 880,233                880,233            859,868                  859,868             789,875               789,875            866,519             76,644               9.7% Cellular Phone 1,674,355           1,674,355        1,541,204             1,541,204        1,521,056          1,521,056       1,481,298         (39,758)               ‐2.6% City Utilities 4,183,165           4,183,165        4,206,473             4,206,473        3,941,628          3,941,628       4,840,530         898,902            22.8% Utility Tax Audit 1,962,092           1,962,092        111,227                  111,227              ‐                            ‐                         ‐                          ‐                        0.0% Leasehold Excise  Tax 163,314                163,314            173,769                  173,769             179,000               179,000            173,396             (5,604)                  ‐3.1% Gambling Excise  Tax 2,299,156           2,299,156        2,500,604             2,500,604        2,000,000          2,000,000       2,695,368         695,368            34.8% Real Estate Excise  Tax 4,595,166           4,595,166        6,121,830             6,121,830        5,170,000          5,170,000       7,211,736         2,041,736        39.5% Less: CIP REET (1,401,300)          (1,401,300)      (2,707,676)            (2,707,676)       (4,420,000)         (4,420,000)      (6,461,736)       (2,041,736)      46.2% EMS Levy 936,406                936,406            479,597                  479,597              ‐                            ‐                         ‐                          ‐                        0.0% B&O Taxes ‐                             ‐                        6,375,322             6,375,322        7,500,000          7,500,000       9,633,034         2,133,034        28.4% Less: CIP B&O Taxes ‐                             ‐                        (2,000,000)            (2,000,000)       (2,473,974)         (2,473,974)      (2,473,974)        ‐                        0.0% Business License Fees 3,125,740           3,125,740        1,926,510             1,926,510        1,302,453          1,302,453       1,480,730         178,277            13.7% Less: CIP Business License Fees (2,584,164)          (2,584,164)      (1,587,627)            (1,587,627)       (617,016)             (617,016)          (614,796)            2,220                  ‐0.4% Animal  Licenses and Spec Events  Permits 101,743                101,743            102,905                  102,905             212,575               212,575            140,391             (72,184)              ‐34.0% Building Permits & Development Svc Fees 6,077,055           6,077,055        5,293,563             5,293,563        5,735,368          5,735,368       4,907,983         (827,385)           ‐14.4% Intergovt'l (Grants, State  Shared, etc) 4,053,617           4,053,617        3,998,953             3,998,953        4,583,876          4,583,876       4,285,806         (298,070)           ‐6.5% Fire  District 25 and 40 Contracts 6,369,132           6,369,132        3,517,779             3,517,779        341,939               341,939            341,939             ‐                        0.0% Public Safety 649,797                649,797            994,179                  994,179             613,081               613,081            837,728             224,647            36.6% Culture and Recreation 1,587,878           1,587,878        1,632,903             1,632,903        1,750,923          1,750,923       1,722,323         (28,600)              ‐1.6% Interfund/Interdept‐Services 3,106,430           3,106,430        3,377,663             3,377,663        4,178,976          4,178,976       3,916,334         (262,642)           ‐6.3% Fines  and Penalties 848,052                848,052            901,592                  901,592             824,450               824,450            822,450             (2,000)                 ‐0.2% Photo Enforcement 2,171,184           2,171,184        1,959,071             1,959,071        2,044,000          2,044,000       2,124,399         80,399               3.9% Seizure  Funds  ‐ Federal/State/Local 21,676                   21,676               987,293                  987,293             ‐                           ‐                        176,503             176,503            100.0% Interests and Other Earnings 973,208                973,208            1,058,880             1,058,880        875,300               875,300            1,155,371         280,071            32.0% Rents, Leases, and Concessions 762,361                762,361            642,192                  642,192             623,195               623,195            634,897             11,702               1.9% Contributions and Donations 147,292                147,292            96,582                     96,582                175,500               175,500            177,919             2,419                  1.4% Other Miscellaneous 941,127                941,127            956,131                  956,131             691,812               691,812            954,680             262,868            38.0% Other Financing Sources  (Transfer‐In, etc) 270,224                (13,421,581)   2,129,561             2,129,561        171,196               171,196            283,213             112,017            65.4% Total  Operating Revenues 119,555,505     119,555,505  125,816,444       125,816,444  104,562,763    104,562,763 109,530,146   4,967,383        4.8% OPERATING EXPENDITURES Council 320,877                320,877            358,550                  358,550             368,211               368,211            362,101             6,110                  1.7% Executive 1,691,189           1,691,189        1,778,206             1,778,206        2,007,671          2,007,671       1,954,748         52,923               2.6% Emergency Management*398,808                398,808            370,832                  370,832             609,249               609,249            569,333             39,916               6.6% City Attorney 1,791,167           1,791,167        1,983,834             1,983,834        2,163,329          2,163,329       2,088,718         74,611               3.4% Court Services 2,013,364           2,013,364        2,075,763             2,075,763        2,265,056          2,265,056       2,174,217         90,839               4.0% Community and Eco Dvlpmnt Admin 1,183,052           1,183,052        1,161,330             1,161,330        1,350,991          1,350,991       1,351,830         (839)                      ‐0.1% Development Services 2,632,264           2,632,264        2,859,410             2,859,410        3,285,005          3,285,005       3,023,728         261,277            8.0% Economic Development 658,515                658,515            1,004,411             1,004,411        1,613,665          1,613,665       949,467             664,198            41.2% Planning 2,606,551           2,606,551        2,716,214             2,716,214        3,342,786          3,342,786       2,815,148         527,638            15.8% Finance 3,132,812           3,132,812        3,046,824             3,046,824        3,407,369          3,407,369       3,132,609         274,760            8.1% City Clerk 1,027,084           1,027,084        914,251                  914,251             1,239,455          1,239,455       1,119,376         120,080            9.7% Human Resources 1,182,629           1,182,629        1,193,016             1,193,016        1,359,317          1,359,317       1,221,841         137,476            10.1% Police 28,144,699        28,144,699     28,891,879          28,891,879     31,830,126       31,830,126    30,987,047      843,079            2.6% Jail Services 4,142,266           4,142,266        4,704,978             4,704,978        4,850,000          4,850,000       4,807,443         42,557               0.9% Fire* 26,138,192        26,138,192     25,349,755          25,349,755      ‐                            ‐                         ‐                          ‐                        0.0% Community Services  Admin 508,766                508,766            585,983                  585,983             563,654               563,654            554,951             8,703                  1.5% Parks 4,411,383           4,411,383        4,445,115             4,445,115        5,179,955          5,179,955       4,816,736         363,219            7.0% Parks Planning & Natural  Resources 808,558                808,558            952,980                  952,980             1,269,569          1,269,569       1,059,058         210,512            16.6% Recreation 5,088,483           5,088,483        5,096,236             5,096,236        5,720,955          5,720,955       5,278,631         442,324            7.7% Human Services 1,225,835           1,225,835        1,241,169             1,241,169        1,688,578          1,688,578       1,634,387         54,191               3.2% Neighborhoods, Resources, & Events 958,624                958,624            865,551                  865,551             1,264,095          1,264,095       983,864             280,231            22.2% Museum 227,094                227,094            229,543                  229,543             236,275               236,275            235,712             562                       0.2% Public Works Admin 387,493                387,493            398,796                  398,796             406,398               406,398            406,781             (383)                      ‐0.1% Street Maintenance 5,061,723           5,061,723        5,041,509             5,041,509        5,636,437          5,636,437       5,603,141         33,296               0.6% Transportation 4,975,059           4,975,059        5,966,281             5,966,281        5,669,897          5,669,897       5,368,887         301,011            5.3% Debt Service 6,371,715           6,371,715        6,099,166             6,099,166        6,066,629          6,066,629       6,063,576         3,053                  0.1% Non‐Departmental and Other 10,069,740        10,069,740     9,883,923             9,883,923        16,795,551       16,795,551    14,245,763      2,549,788        15.2% Total  Operating Expenditures 117,157,942     117,157,942  119,215,504       119,215,504  110,190,225    110,190,225 102,809,093   7,381,133        6.7% To tal  Ending Fund Balance 19,962,845$     19,962,845$  26,563,785$       26,563,785$  20,936,323$    20,936,323$ 33,284,838$   12,348,515$  59.0% *Emergency Management was moved to Executive  due to formation of RRFA Summary of Sources and Uses Annual Actual YTD Actual Favorable (Unfavorable) 2015 2016 2017 Variance Annual Actual YTD Actual Annual Budget YTD Budget YTD Actual Monthly Financial Report December 2017 Page 1 of 38 Monthly Financial Report December 2017        OVERVIEW  This financial overview reflects the City’s overall financial position for the fiscal year through December 31, 2017.  Except as  noted, year‐to‐date budgeted revenues and operating expenditures are generally based on the collection/disbursement  patterns for the same period of the preceding two years.  The table on the previous page summarizes the general  governmental fund revenues and expenditures.    Revenues    Taxes   The combined collection of property, sales/use, utility, gambling, admissions, and real estate excise taxes represents 76% of  all resources supporting general governmental activities.   The following section provides detail information on property,  sales, utility, and other taxes.    Property Tax  December’s collection is $144K,  making the total year‐to‐date  collection $24.4M or 101.1% of  the total budget.  In comparison  to the previous year, the City  collected $12.7M or 34% less.   Compared to the budget, the City  collected $253K or 1% more.  The  large variance with the prior year  is due to the formation of the  Renton Regional Fire Authority.                  Sales Tax  December 2017 sales tax receipts  totaled $2M.  Compared with the  same month last year, it is $155K  or 7% less.  Compared to the  projected current month’s  budget, it is $182K or 8% below.   The year‐to‐date collection of  $26.3M is $22K less than the  prior year but is $481K or 2%  more than budgeted.  Retail and  Service are the sectors that are  collecting more than anticipated.   2017’s monthly budgets are  generally based on 2011 through  2016 collections.  2016 2017 2017 Actual Budget Actual $ % $ % Jan 44,745$            36,768$            55,429$            10,684$              24% 18,661$            51% Feb 315,119            204,274            195,332            (119,788)             ‐38% (8,942)                  ‐4% Mar 1,273,685        726,604            902,965            (370,721)             ‐29% 176,361            24% Apr 7,856,230        5,915,645        7,035,332        (820,898)             ‐10% 1,119,687        19% May 9,906,533        5,742,951        4,489,476        (5,417,057)         ‐55% (1,253,475)       ‐22% Jun 137,794            93,616               128,834            (8,960)                   ‐7% 35,218               38% Jul 57,174               40,245               69,600               12,426                 22% 29,355               73% Aug 240,536            110,113            101,349            (139,188)             ‐58% (8,764)                  ‐8% Sep 558,716            367,830            442,694            (116,022)            ‐21% 74,865               20% Oct 6,233,910        4,103,547        4,057,893        (2,176,017)        ‐35% (45,654)              ‐1% Nov 10,268,791     6,647,038        6,733,813        (3,534,978)        ‐34% 86,775               1% Dec 145,246            114,763            143,844            (1,401)                   ‐1% 29,081               25% YTD  Total 37,038,480$  24,103,395$  24,356,562$  (12,681,918)$  ‐34% 253,167$         1% Annual Total 37,038,480$  24,103,395$   Property Tax  Revenues Year  to Date through December 2017 vs. 2016 2017 vs. Budget Month 2016 2017 2017 Actual Budget Actual $ % $ % Jan 1,978,530$     2,043,139$     2,092,821$     114,291$         6% 49,682$            2% Feb 2,320,497        2,437,183        2,473,715        153,218            7% 36,532               1% Mar 1,854,773        1,897,851        1,945,278        90,505               5% 47,427               2% Apr 1,888,875        1,892,753        1,871,345        (17,530)               ‐1% (21,408)               ‐1% May 2,314,220        2,213,349        2,381,981        67,761               3% 168,632            8% Jun 2,127,406        1,979,325        2,075,555        (51,851)               ‐2% 96,230               5% Jul 2,103,896        2,029,679        2,236,477        132,581            6% 206,799            10% Aug 2,438,277        2,287,199        2,421,720        (16,557)               ‐1% 134,521            6% Sep 2,179,438        2,183,510        2,162,766        (16,672)              ‐1% (20,744)              ‐1% Oct 2,410,824        2,275,244        2,273,788        (137,037)           ‐6% (1,456)                 0% Nov 2,532,820        2,381,095        2,347,924        (184,896)           ‐7% (33,171)              ‐1% Dec 2,203,689        2,230,072        2,048,264        (155,425)           ‐7% (181,808)           ‐8% YTD Total 26,353,246$  25,850,400$  26,331,634$  (21,612)$           0% 481,234$         2% Annual  Total 26,353,246$  25,850,400$   2017 vs. Budget2017 vs. 2016 Month Year  to Date through December Local Retail Sales  Tax  Revenues Page 2 of 38 Monthly Financial Report December 2017      The following table breaks out the City’s base sales tax (excluding Criminal Justice and Annexation Credit) by major business  sectors:                      Utility tax   December utility tax revenues  are $1.4M, which is $88K or 6%  higher than the same month last  year and is also higher than the  budget by $85K or 6%.  The year‐ to‐date collection is $17M, which  is $991K or 6% higher than the  prior year and is also $1.2M or 8%  higher than the budget.  The  large January variance with the  budget is due to lower 2015  activity for Electricity and the  timing of when 2015  Cell/Garbage taxes were  recorded.  The April variance is  due to collecting higher than  expected Electrical/Natural Gas  and a correction to City Utilities.  The monthly budgets are based on 2015/2016 activity.      The table below breaks out Utility Tax by source.          Sales  Tax  by Sector 2016 2017 Bgt YTD Act Change  2017/2016 2017 Act  vs  Bgt New Construction 4,682,830$     4,552,159$     4,246,126$     (436,704)$         ‐9% $      (306,033)‐7% Auto Sales 4,809,026        4,696,807        4,775,263        (33,763)               ‐1%               78,456 2% General Retail 7,295,531        7,321,764        7,711,534        416,002             6%            389,770 5% Manufacturing 1,810,521        1,584,850        1,550,359        (260,161)            ‐14%             (34,490)‐2% Wholesale 1,435,391        1,421,220        1,405,676        (29,714)               ‐2%             (15,544)‐1% Service 5,635,185        5,614,915        5,884,292        249,106             4%            269,377 5% Other 684,762            658,685            758,384            73,622                11%               99,699 15% YTD  Total 26,353,246$  25,850,400$  26,331,634$  (21,612)$           0%481,234$        2% Note: Excludes Annexation  Credit and Criminal Justice Sales  Tax revenue. 2016 2017 2017 Actual Budget Actual $ % $ % Jan 1,509,960$     1,300,842$     1,698,721$     188,761$         13% 397,880$         31% Feb 1,597,348        1,487,029        1,360,589        (236,759)            ‐15% (126,441)            ‐9% Mar 1,423,774        1,487,206        1,197,548        (226,226)            ‐16% (289,659)            ‐19% Apr 1,346,282        1,311,554        1,797,449        451,168            34% 485,896            37% May 1,363,323        1,307,318        1,464,438        101,115            7% 157,119            12% Jun 1,125,845        1,196,872        1,351,607        225,762            20% 154,735            13% Jul 1,276,335        1,254,591        1,538,390        262,054            21% 283,799            23% Aug 1,247,926        1,294,638        1,185,237        (62,689)               ‐5% (109,401)            ‐8% Sep 1,277,502        1,247,004        1,261,199        (16,303)              ‐1% 14,195               1% Oct 1,351,888        1,274,849        1,428,438        76,550               6% 153,589            12% Nov 1,128,100        1,229,041        1,267,897        139,797            12% 38,856               3% Dec 1,359,717        1,362,193        1,447,690        87,974               6% 85,497               6% YTD  Total 16,007,999$  15,753,137$  16,999,203$  991,204$         6% 1,246,066$     8% Annual  Total 16,007,999$  15,753,137$   2017 vs. Budget2017 vs. 2016 Year  to Date through December Utility Tax Revenues Month Utility Tax  by Type 2016 2017 Bgt YTD Act Change 2017/2016  2017 Act  vs  Bgt  Electrical 5,440,139$     5,596,019$     5,721,366$     281,227$          5% $        125,347 2% Natural  Gas 1,512,576        1,578,900        1,810,831        298,255             20%            231,931 15% Cell 1,541,204        1,521,056        1,481,298        (59,906)               ‐4%             (39,758)‐3% Phone 859,868            789,875            866,519            6,651                   1%               76,644 10% Cable 1,619,364        1,645,659        1,651,405        32,041                2%                  5,746 0% Garbage/Solid Waste 717,148            680,000            627,254            (89,894)               ‐13%             (52,746)‐8% City Utilities 4,206,473        3,941,628        4,840,530        634,057             15%            898,902 23% Utility Tax  Audit 111,227             ‐                               ‐                              (111,227)           0%                              ‐ N/A YTD  Total 16,007,999$  15,753,137$  16,999,203$  991,204$          6%1,246,066$    8% Annual Total 16,007,999$  15,753,137$   YTD  as % of 100% 100% Page 3 of 38 Monthly Financial Report December 2017      Other Taxes     Real Estate Excise Tax  The City collected $586K in Real  Estate Excise Tax revenues (REET)  for December.  This is $278K or  91% more than the same month  last year and is also $263K or 82%  more than the current month’s  budget.  The year‐to‐date  collection is $7.2M, which is  $1.1M or 18% more than the  prior year and is also $2M or 39%  above the budget.  The higher  than expected variance is due to  32 large transactions in  December, January, February,  March, April, May, June, July,  August, September, October, and November which accounts for $2.6M of the total REET collected.      Gambling Tax  December’s Gambling Tax  collections totaled $265K, which  is $83K or 46% above the same  month last year and is also above  the current month’s budget by  $109K or 70%.  The year‐to‐date  total of $2.7M is $195K or 8%  above the prior year and is also  $695K or 35% above budget.  The  large August variance with the  prior year month is due to  collections from a payment plan  of back taxes earned in  2013/2014.        Franchise Fees  Franchise Fees are due quarterly  in January, April, July, and  October.  The year‐to‐date total  of $1.6M is $156K or 11% higher  than the prior year and is also  $232K or 17% above the  projected year‐to‐date budget.   2016 2017 2017 Actual Budget Actual $ % $ % Jan 189,749$         145,025$         220,536$         30,786$            16% 75,511$            52% Feb 207,961            163,404            200,622            (7,339)                  ‐4% 37,218               23% Mar 195,255            151,889            180,839            (14,416)               ‐7% 28,949               19% Apr 197,286            168,730            219,422            22,136               11% 50,692               30% May 198,234            158,893            248,673            50,439               25% 89,780               57% Jun 185,042            149,623            232,889            47,846               26% 83,265               56% Jul 194,317            162,180            230,342            36,025               19% 68,162               42% Aug 322,828            229,017            216,990            (105,838)            ‐33% (12,027)               ‐5% Sep 202,409            159,756            205,141            2,732                  1% 45,385               28% Oct 242,254            190,582            215,122            (27,132)               ‐11% 24,541               13% Nov 183,345            165,084            259,744            76,399               42% 94,659               57% Dec 181,924            155,817            265,048            83,124               46% 109,231            70% YTD Total 2,500,604$     2,000,000$     2,695,368$     194,763$         8% 695,368$         35% Annual  Total 2,500,604$     2,000,000$      Gambling Tax Revenue Month Year  to Date through December 2017 vs. Budget2017 vs. 2016 2016 2017 2017 Actual Budget Actual $ % $ % Jan 348,118$         328,952$         380,870$         32,752$            9% 51,918$            16% Feb ‐                         ‐                        6,300                  6,300                  100% 6,300                  100% Mar ‐                        ‐                        9,100                  9,100                  100% 9,100                  100% Apr 355,430            333,387            369,626            14,196               4% 36,240               11% May ‐                        ‐                        7,688                  7,688                  100% 7,688                  100% Jun ‐                        ‐                        21,325               21,325               100% 21,325               100% Jul 343,910            330,451            342,363            (1,547)                 0% 11,912               4% Aug ‐                        ‐                        7,700                  7,700                  100% 7,700                  100% Sep 5,000                  2,414                  8,750                  3,750                  75% 6,336                  263% Oct 348,783            332,455            375,128            26,345               8% 42,673               13% Nov ‐                         ‐                        10,500               10,500               100% 10,500               100% Dec 4,850                  2,341                  22,750               17,900               369% 20,409               872% YTD  Total 1,406,092$     1,330,000$     1,562,100$     156,008$         11% 232,100$         17% Annual  Total 1,406,092$     1,330,000$      Month 2017 vs. 2016 2017 vs. Budget Franchise  Fees  Revenue Year to Date through December 2016 2017 2017 Actual Budget Actual $ % $ % Jan 1,204,479$     796,327$         1,028,456$     (176,023)$         ‐15% 232,129$         29% Feb 197,327            173,487            337,024            139,698            71% 163,537            94% Mar 208,452            245,588            708,868            500,416            240% 463,280            189% Apr 335,985            355,020            385,517            49,532               15% 30,497               9% May 475,244            422,078            386,087            (89,156)               ‐19% (35,990)               ‐9% Jun 405,179            410,218            747,549            342,371            84% 337,331            82% Jul 644,038            582,439            591,137            (52,901)               ‐8% 8,698                  1% Aug 759,583            551,458            672,396            (87,187)               ‐11% 120,938            22% Sep 522,472            469,872            633,804            111,332            21% 163,931            35% Oct 559,552            509,015            359,891            (199,661)            ‐36% (149,124)            ‐29% Nov 502,139            332,211            775,249            273,110            54% 443,038            133% Dec 307,382            322,287            585,757            278,375            91% 263,471            82% YTD  Total 6,121,830$     5,170,000$     7,211,736$     1,089,906$     18% 2,041,736$     39% Annual  Total 6,121,830$     5,170,000$      *Total REET (GF & CIP) Real  Estate Excise  Tax  (REET) Revenues* Year to Date through December Month 2017 vs. Budget2017 vs. 2016 Page 4 of 38 Monthly Financial Report December 2017      Admission Tax   Admission Tax returns are due  quarterly in January, April, July,  and October of each year.   December 2017 collections  represent activities conducted  during the 3rd quarter of 2017.   The year‐to‐date collection of  $223K is $39K or 15% less than  the prior year and is also $97K or  30% less than the budget.  The  October collection (3rd Quarter  activity) was recorded in  December.        Business & Occupation Tax  Business and Occupation (B&O)  Tax is a new revenue source for  the City in 2016.  It was adopted  by the Council in the 2015/2016  biennial budget.  Businesses with  gross receipts of $1.5M or more  per year, earned within the City  of Renton, will be required to file  and pay B&O tax, in lieu of the  Per Employee Fee, which is  currently reported as Business  License revenue.  Year‐to‐date  receipts totaled $9.6M.  The  monthly budgets are based on  large business quarterly  reporting with smaller business  annual reporting.      Licenses and Permits    Business Licenses  Business Licenses totaled $44K  for December, which is $31K or  249% above the same month last  year and is also $36K or 453%  above the current month’s  budget.  The year‐to‐date  Business Licenses revenue of  $1.5M is $446K or 23% below the  prior year but is above the budget  by $178K or 14%.  The variance  with the prior year is due the City  adopting the Business &  Occupation Tax for 2016 (January  2016 represents 2015 4th quarter  activity).   2016 2017 2017 Actual Budget Actual $ % $ % Jan 76,393$            89,502$            60,741$            (15,652)$            ‐20% (28,762)$            ‐32% Feb 1,360                  1,527                  2,788                  1,429                  105% 1,261                  83% Mar ‐                        59                           ‐                        ‐                        (59)                         ‐100% Apr 63,088               71,681               58,566               (4,522)                  ‐7% (13,115)               ‐18% May ‐                        852                       1,279                  1,279                  100% 427                       50% Jun ‐                        ‐                        785                       785                       100% 785                       100% Jul 60,763               80,276               51,061               (9,701)                  ‐16% (29,214)               ‐36% Aug ‐                        ‐                        1,578                  1,578                  100% 1,578                  100% Sep 518                       289                       ‐                        (518)                     (2 89)                      ‐100% Oct 58,934               74,983               1,705                  (57,229)               ‐97% (73,278)               ‐98% Nov 1,452                  831                       ‐                        (1,452)                  ‐100% (831)                      ‐100% Dec ‐                        ‐                        44,655               44,655               100% 44,655               100% YTD  Total 262,506$         320,000$         223,157$         (39,348)$            ‐15% (96,843)$            ‐30% Annual  Total 262,506$         320,000$          2017 vs. Budget Admission  Tax  Revenue Year  to Date through December Month 2017 vs. 2016 2016 2017 2017 Actual Budget Actual $ % $ % Jan ‐$                           1,500,000$     432,319$         432,319$         100% (1,067,681)$   ‐71% Feb ‐                        187,500            794,093            794,093            100% 606,593            324% Mar ‐                        187,500            13,228               13,228               100% (174,272)           ‐93% Apr 4,578,349        1,500,000        4,626,880        48,531               1% 3,126,880        208% May 304,032            187,500            316,791            12,759               4% 129,291            69% Jun 30,591               187,500            23,491               (7,100)                  ‐23% (164,009)           ‐87% Jul 376,209            1,500,000        1,139,041        762,832            203% (360,959)           ‐24% Aug 334,807            187,500            399,375            64,568               19% 211,875            113% Sep 10,779               187,500            169,792            159,012            1475% (17,708)              ‐9% Oct 603,622            1,500,000        981,417            377,795            63% (518,583)           ‐35% Nov 136,933            187,500            320,706            183,772            134% 133,206            71% Dec ‐                        187,500            415,901            415,901            100% 228,401            122% YTD  Total 6,375,322$     7,500,000$     9,633,034$     3,257,712$     51% 2,133,034$     28% Annual Total 6,375,322$     7,500,000$      *Total Business & Occupation Taxes (GF & CIP) Business & Occupation Taxes* Year to Date through December Month 2017 vs. 2016 2017 vs. Budget 2016 2017 2017 Actual Budget Actual $ % $ % Jan 559,894$         294,472            229,270$         (330,624)$         ‐59% (65,202)$            ‐22% Feb 275,059            127,682            157,504            (117,555)            ‐43% 29,822               23% Mar 31,642               14,759               53,131               21,490               68% 38,373               260% Apr 207,099            184,956            157,983            (49,116)               ‐24% (26,973)               ‐15% May 111,131            72,269               126,086            14,955               13% 53,817               74% Jun 26,936               13,489               36,375               9,439                  35% 22,886               170% Jul 248,769            228,999            217,718            (31,050)               ‐12% (11,281)               ‐5% Aug 121,095            65,678               124,833            3,738                  3% 59,155               90% Sep 22,190               13,573               57,640               35,450               160% 44,066               325% Oct 218,271            222,326            187,368            (30,903)               ‐14% (34,958)               ‐16% Nov 91,870               56,325               88,975               (2,895)                  ‐3% 32,650               58% Dec 12,555               7,925                  43,847               31,292               249% 35,922               453% YTD  Total 1,926,510$     1,302,453$     1,480,730$     (445,780)$        ‐23% 178,277$         14% Annual  Total 1,926,510$     1,302,453$      *Total Business License (GF & CIP) 2017 vs. 2016 Year  to Date through December 2017 vs. Budget Business Licenses* Month Page 5 of 38 Monthly Financial Report December 2017      Building Permits and  Development Service Fees  Building Permits and  Development Service Fee  revenues totaled $331K in  December.  The year‐to‐date  revenues of $4.9M is $386K or 7%  less than the year before and is  also $827K or 14% less than the  budget.  The large variances in  January/February 2016 is due to  large payments for building  permits and plan review  (Southport Developer and Group  Health).  The large variance in  May 2017 is due to large  payments for building permits  (Renton School District and Valley Medical Center).  The large variance in July 2016 is due to a large payment from Group  Health.      Intergovernmental  These revenue  sources include  federal (direct and  indirect) grants, state  grants, state shared  revenues, local  grants, and  entitlements.  State  shared revenues 87%  of the total revenues  in this category.  The  year‐to‐date total  Intergovernmental revenue is $7.4M or 98% of the budget.       State Shared  Revenues  State Shared  Revenue collections  totaled $6.1M since  the start of the year.   Compared to the  prior year, State  Shared Revenues are  above by $212K or  4%.  Compared to the  projected budget,  the City is collecting  $340K or 6% more.   The higher than  expected collection is  due to collecting more than anticipated Criminal Justice’s Sales Tax, Marijuana Enforcement, Liquor Excise Tax, and Fuel Tax.     2016 2017 2017 Actual Budget Actual $ % $ % Jan 661,363$         481,500$      399,548$         (261,815)$         ‐40% (81,952)$            ‐17% Feb 413,420            379,615         277,296            (136,124)            ‐33% (102,319)            ‐27% Mar 583,658            440,847         503,290            (80,368)               ‐14% 62,443               14% Apr 336,108            484,673         265,749            (70,360)               ‐21% (218,925)            ‐45% May 376,324            310,348         558,773            182,449            48% 248,425            80% Jun 437,619            698,400         611,441            173,822            40% (86,959)               ‐12% Jul 462,211            691,725         264,515            (197,696)            ‐43% (427,210)            ‐62% Aug 397,578            438,730         433,043            35,465               9% (5,687)                  ‐1% Sep 380,480            498,572         445,562            65,082               17% (53,010)               ‐11% Oct 479,048            478,350         338,298            (140,750)           ‐29% (140,052)           ‐29% Nov 297,449            359,940         479,017            181,569            61% 119,078            33% Dec 468,303            472,668         331,450            (136,852)           ‐29% (141,218)           ‐30% YTD  Total 5,293,563$     5,735,368$  4,907,983$     (385,580)$        ‐7% (827,385)$        ‐14% Annual Total 5,293,563$     5,735,368$   Year to Date through December 2017 vs. Budget2017 vs. 2016 Month Building Permits and Development Service Fees Intergovernmental 2016 2017 Bgt YTD  Act Change  2017/2016  2017 Act  vs  Bgt  Fire  District #25 698,123$          ‐$                            ‐$                           (698,123)$        0% $                          ‐ N/A Fire  District #40 2,819,656        341,939            341,939            (2,477,717)        ‐88%‐                            0% State  Shared Revenue 5,933,890        5,805,528        6,145,527        211,637             4% 339,999          6% Federal Grants 542,638            1,056,041        676,148            133,510             25% (379,893)          ‐36% State  Grants 51,274               40,000               31,404               (19,871)               ‐39% (8,596)                ‐21% Other Grants/Intgovt 652,533            362,205            241,291            (411,242)            ‐63% (120,914)         ‐33% ARRA Grants ‐                              ‐                              ‐                              ‐                               N/A ‐                            N/A Total  Rev YTD 10,698,115$  7,605,713$     7,436,309$     (3,261,806)$    ‐30%(169,404)$       ‐2% Total  Rev Annual 10,698,115$  7,605,713$      YTD  %100% 100% 98% Note:  Includes  CJ Sales  Tax  and FD25 & FD40  contracts 2016 2017 2017 Actual Budget Actual $ % $ % Crim Just Sales  Tax 2,701,787$     2,679,898$     2,808,564$     106,777$         4% 128,666$         5% Judicial Contribution 18,092               ‐                        16,707               (1,385)                  ‐8% 16,707               100% Crim Just ‐ High Crime 289,982            253,750            272,857            (17,124)              ‐6% 19,107               8% Crim Just ‐ Pop 27,122               24,360               28,640               1,519                  6% 4,280                  18% Crim Just ‐ Spec Prog 98,887               90,335               103,951            5,065                  5% 13,616               15% State  DUI 15,353               17,255               15,352               (1)                           0% (1,903)                  ‐11% Marijuana  Enforcement 29,625               ‐                        64,084               34,459               116% 64,084               100% Liquor Profits 848,248            850,000            855,262            7,014                  1% 5,262                  1% Liquor Excise  Tax 459,427            446,600            488,280            28,852               6% 41,680               9% Fuel Tax 1,445,368        1,443,330        1,491,829        46,461               3% 48,499               3% YTD Total 5,933,890$     5,805,528$     6,145,527$     211,637$         4% 339,999$         6% Annual Total 5,933,890$     5,805,528$      State  Shared Revenues 2017 vs. 2016 Revenue Year  to Date through December 2017 vs. Budget Page 6 of 38 Monthly Financial Report December 2017      Charges for Services   These revenue sources consist of general government, public safety, plan review and inspection, culture and recreation, and  interfund/interdepartmental sales and services.  Recreation and interfund/interdepartmental sales and services constitute  66% of the total revenue in this category.  The year‐to‐date total charges for services are $8.5M or 98% of the budget.  The  following sections provide detail information for Public Safety, Recreation, and Interfund Services.      Public Safety Services  Public Safety Services totaled  $838K since the start of the year.   These services include private  security, adult probation  services, monitoring of prisoners,  and intergovernmental public  safety services (non‐grants).   Compared to the prior year, the  City is collecting $156K or 16%  less.  Compared to the year‐to‐ date budget, the City is over  budget by $225K or 37%.  The  variance with the prior year is  due to collecting large  payments/reimbursements for  electronic home detention and  School Resource Officer  programs.      Recreation  Recreation revenues totaled  $46K for the current month.   Compared to the same month  the prior year, the City collected  $6K or 16% more.  Compared to  the projected monthly budget,  the City collected $1K or 3%  more.  The year‐to‐date  collection of $1.7M is $89K or 5%  higher than the year before but is  $29K or 2% lower than the year‐ to‐date budget.           2016 2017 2017 Actual Budget Actual $ % $ % Jan 104,644$         60,800$            64,424$            (40,221)$            ‐38% 3,624$               6% Feb 99,623               52,862               68,705               (30,918)               ‐31% 15,844               30% Mar 58,031               44,909               148,707            90,676               156% 103,798            231% Apr 51,002               73,680               61,399               10,397               20% (12,280)               ‐17% May 48,201               38,573               63,815               15,615               32% 25,242               65% Jun 179,089            79,037               43,374               (135,715)            ‐76% (35,664)               ‐45% Jul 34,906               27,743               59,850               24,944               71% 32,108               116% Aug 44,439               38,564               58,114               13,675               31% 19,550               51% Sep 67,570               33,790               53,908               (13,663)               ‐20% 20,118               60% Oct 160,438            72,212               52,056               (108,382)            ‐68% (20,155)               ‐28% Nov 67,763               42,537               77,748               9,985                  15% 35,210               83% Dec 78,473               48,375               85,628               7,156                  9% 37,253               77% YTD  Total 994,179$         613,081$         837,728$         (156,451)$         ‐16% 224,647$         37% Annual  Total 994,179$         613,081$          2017 vs. Budget Month 2017 vs. 2016 Year  to Date through December Public Safety Services 2016 2017 2017 Actual Budget Actual $ % $ % Jan 163,783$         152,710$         152,350$         (11,433)$            ‐7% (360)$                  0% Feb 48,009               42,505               38,452               (9,558)                  ‐20% (4,053)                  ‐10% Mar 60,615               52,493               65,420               4,805                  8% 12,927               25% Apr 112,627            110,918            74,806               (37,821)               ‐34% (36,112)               ‐33% May 72,246               74,076               84,381               12,135               17% 10,305               14% Jun 239,771            254,264            153,304            (86,467)               ‐36% (100,960)            ‐40% Jul 325,043            409,892            482,458            157,415            48% 72,566               18% Aug 349,650            360,345            382,296            32,646               9% 21,950               6% Sep 107,652            123,607            135,476            27,824               26% 11,869               10% Oct 45,706               55,007               49,113               3,407                  7% (5,894)                  ‐11% Nov 68,324               70,632               58,320               (10,004)               ‐15% (12,312)               ‐17% Dec 39,475               44,472               45,946               6,471                  16% 1,474                  3% YTD  Total 1,632,903$     1,750,923$     1,722,323$     89,420$            5% (28,600)$            ‐2% Annual  Total 1,632,903$     1,750,923$      2017 vs. Budget2017 vs. 2016 Month Recreation Year  to Date through December Page 7 of 38 Monthly Financial Report December 2017      Interfund Services  The year‐to‐date collections for  Interfund Services revenues are  $3.9M.  Compared to the prior  year, the revenues are over by  $539K or 16%.  Compared to the  projected budget, the revenues  are below by $263K or 6%.   2017’s monthly budgets are  based on 1/12th of the annual  budget.  The majority of these  revenues are related to indirect  cost allocations, which are  internal administrative costs.   The remaining costs consist of  Development Services division’s  inspection fees, Parks Planning  and Natural Resources division’s capital investment program reimbursements, Transportation division’s capital investment  program reimbursements, and Maintenance division’s street maintenance reimbursements.      Fines and Penalties  These revenue sources contain  civil (penalties, infractions, and  parking), criminal (traffic, non‐ traffic, and costs), and non‐court  fines, forfeitures, and penalties.   The table below breaks down  these fines by type.  The year‐to‐ date total fines and penalties is  $2.9M.  This is $86K or 3% higher  than a year ago and $78K or 3%  higher than the budget.                2016 2017 2017 Actual Budget Actual $ % $ % Jan 272,841$         348,248$         330,774$         57,933$            21% (17,474)$            ‐5% Feb 286,748            348,248            319,851            33,103               12% (28,397)               ‐8% Mar 305,054            348,248            377,192            72,138               24% 28,944               8% Apr 276,238            348,248            332,180            55,942               20% (16,068)               ‐5% May 272,641            348,248            332,543            59,902               22% (15,705)               ‐5% Jun 260,223            348,248            322,435            62,212               24% (25,813)               ‐7% Jul 259,888            348,248            314,856            54,968               21% (33,392)               ‐10% Aug 273,851            348,248            295,921            22,070               8% (52,327)               ‐15% Sep 286,057            348,248            350,908            64,850               23% 2,660                  1% Oct 277,517            348,248            321,038            43,521               16% (27,210)               ‐8% Nov 295,584            348,248            316,488            20,904               7% (31,760)               ‐9% Dec 311,019            348,248            302,147            (8,872)                  ‐3% (46,101)               ‐13% YTD Total 3,377,663$     4,178,976$     3,916,334$     538,671$         16% (262,642)$         ‐6% Annual  Total 3,377,663$     4,178,976$      2017 vs. Budget Month Interfund Services Year  to Date through December 2017 vs. 2016 2016 2017 2017 Actual Budget Actual $ % $ % Jan 136,421$         126,199$         134,957$         (1,464)$               ‐1% 8,758$               7% Feb 217,667            213,156            217,056            (611)                     0% 3,900                  2% Mar 263,648            264,385            212,186            (51,462)               ‐20% (52,199)               ‐20% Apr 250,873            242,171            242,816            (8,056)                  ‐3% 645                       0% May 214,613            231,927            229,877            15,263               7% (2,050)                  ‐1% Jun 261,254            261,299            302,666            41,411               16% 41,367               16% Jul 222,267            219,171            247,260            24,993               11% 28,089               13% Aug 274,964            252,324            298,685            23,721               9% 46,360               18% Sep 200,986            232,621            220,425            19,439               10% (12,196)               ‐5% Oct 238,517            243,770            274,245            35,728               15% 30,475               13% Nov 273,338            270,941            240,739            (32,599)               ‐12% (30,203)               ‐11% Dec 306,114            310,486            325,938            19,824               6% 15,452               5% YTD  Total 2,860,662$     2,868,450$     2,946,849$     86,186$            3% 78,399$            3% Annual  Total 2,860,662$     2,868,450$      Month 2017 vs. Budget2017 vs. 2016 Year  to Date through December Fines  and Penalties by Month Year to Date through December 2016 2017 2017 Actual Budget Actual $ % $ % Civil Penalties 2,557$               5,500$               2,178$               (378)$                   ‐15% (3,322)$               ‐60% Civil Infraction Penalties 366,683            330,500            341,971            (24,712)               ‐7% 11,471               3% Civil Parking Infraction Penalties 174,863            244,950            189,474            14,611               8% (55,476)               ‐23% Photo Enforcement Program 1,959,071        2,044,000        2,124,399        165,328            8% 80,399               4% Criminal Traffic  Misdemeanor Fines 81,217               73,000               77,052               (4,165)                  ‐5% 4,052                  6% Criminal Non‐Traffic  Fines 32,414               58,000               77,363               44,949               139% 19,363               33% Criminal Costs 97,412               90,500               86,958               (10,454)               ‐11% (3,542)                  ‐4% Non‐Court Fines, Forfeitures  and Penalties 146,446            22,000               47,454               (98,992)               ‐68% 25,454               116% YTD Total 2,860,662$     2,868,450$     2,946,849$     86,186$            3% 78,399$            3% Annual  Total 2,860,662$     2,868,450$      Revenue 2017 vs. Budget Fines  and Penalties by Type 2017 vs. 2016 Page 8 of 38 Monthly Financial Report December 2017      Included in the Fines and Penalties revenue  budget is $2M from the Photo Enforcement  program.  The monthly budget is based on  the prior year’s revenue.  The year‐to‐date  collections from this program equates to  $2.1M.      The associated costs includes the equipment  provided by American Traffic Solutions, Inc.  (ATS), dedicated 1 FTE in the Court Services  Department to process the increased  caseload and 1.1 FTEs in the Police  Department for support services.  This staff  time, along with a 50% pro tem budget and  interpreter costs amounts to $318k for  personnel costs.  The total costs for the  program equates to $1.1M which is  represented in the table.  Due to the timing  of when the invoice was received, January 2017’s equipment rental cost was recorded in February.  November and December  invoices were recorded in December.      Miscellaneous  This revenue source reflects the  collection of interest and other  earnings, rents, leases, and  concessions, contributions, and  donations from private sources,  and other miscellaneous  revenues.  The year‐to‐date total  miscellaneous is $2.5M.   Compared to last year, the  revenues are below by $709K or  22%.  Compared to the projected  year‐to‐date budget, the  revenues are over by $549K or  28%.  The large variance with the  prior year is due to collecting  more than anticipated Seizure  Funds in 2016.  Seizure Funds are  restricted to drug enforcement only and are not available for general operating purposes.  The large variance with the budget  is due to collecting more in interest and not having a budget for seizure funds.         Favorable 17 Budget 17 Actual 17  Budget 17 Actual (Unfavorable) 1 Jan 125,201$         127,976$         89,775$            27,432$            100,544$          Feb 157,962            151,276            89,775               95,200               56,076                Mar 189,510            146,612            89,775               95,186               51,425                Apr 165,633            161,103            89,775               95,192               65,911                May 152,426            175,251            89,775               95,189               80,062                Jun 194,994            221,788            89,775               95,183               126,605             Jul 144,851            183,910            89,775               95,189               88,721                Aug 183,427            225,288            89,775               95,204               130,084             Sep 164,770            146,972            89,775               95,195               51,776                Oct 175,856            210,697            89,775               95,192               115,505             Nov 185,108            173,692            89,775               95,192               78,500                Dec 204,263            199,835            89,775               162,945            36,889                YTD  Total 2,044,000$     2,124,399$     1,077,297$     1,142,302$     982,097$          Annual Total 2,044,000$     1,077,297$      1Actuals  of Revenues and Expenses Photo Enforcement  Program Year  to Date through December Month Revenues Expenses 2016 2017 2017 Actual Budget Actual $ % $ % Jan 258,876$         212,142$         363,997$         105,122$         41% 151,855$         72% Feb 802,908            120,191            148,988            (653,920)            ‐81% 28,798               24% Mar 125,950            132,420            150,954            25,004               20% 18,534               14% Apr 142,439            110,718            188,887            46,448               33% 78,169               71% May 139,504            117,051            152,678            13,174               9% 35,628               30% Jun 174,848            163,596            179,152            4,304                  2% 15,556               10% Jul 181,285            170,361            193,718            12,433               7% 23,357               14% Aug 294,665            163,223            198,576            (96,088)               ‐33% 35,354               22% Sep 160,616            123,853            151,310            (9,305)                  ‐6% 27,458               22% Oct 152,817            135,225            156,212            3,395                  2% 20,987               16% Nov 327,568            107,180            125,698            (201,870)            ‐62% 18,518               17% Dec 425,765            373,659            468,107            42,342               10% 94,448               25% YTD  Total 3,187,241$     1,929,617$     2,478,278$     (708,963)$         ‐22% 548,661$         28% Annual  Total 3,187,241$     1,929,617$      Year  to Date through December Month 2017 vs. Budget2017 vs. 2016 Miscellaneous  Revenues by Month 2016 2017 2017 Actual Budget Actual $ % $ % Interests  and Other Earnings 1,058,880$     875,300$         1,155,371$     96,490$            9% 280,071$         32% Rents, Leases, and Concessions 642,192            623,195            634,897            (7,295)                  ‐1% 11,702               2% Contributions/Donations  from  Private Sources 96,582               175,500            177,919            81,337               84% 2,419                  1% Other 402,294            255,622            333,588            (68,706)               ‐17% 77,966               31% Seizure Funds  ‐ Federal/State/Local 987,293            ‐                        176,503            (810,790)           ‐82% 176,503            100% YTD Total 3,187,241$     1,929,617$     2,478,278$     (708,963)$        ‐22% 548,661$         28% Annual  Total 3,187,241$     1,929,617$      2017 vs. Budget Miscellaneous Revenues  by Type Year to Date through December Revenue 2017 vs. 2016 Page 9 of 38 Monthly Financial Report December 2017      EXPENSES  Overall the City has expended 93% of its budgeted general governmental expenditures at the end of December.  This is $7.4M  or 6.7% below year‐to‐date budgeted expenditures.  $1.3M of the savings is related to various staffing vacancies in several  departments/divisions.  $3.4M of the savings will need to be carried forward (CF) into 2018:   $1M CF/savings for PD take home cars   $704K CF for seizure funds ($250K will be used for PD take home cars)   $1M CF for FS15 equipment   $88.5K CF/new for 2017 voter registration   $500K CF for CDBG and Port of Seattle Grant   $105K CF for CS/Neighbourhoods, Resources, & Events (various special events)  Remaining $2.7M in savings have not been identified for CF, but will be based on further review into the CF budget  amendment process.    The City did not have any general governmental departments over budget but we did see some divisions within those  departments over budget.  Please refer to the General Governmental Funds Summary of Sources and Uses table on page 1  for details.   Page 10 of 38 Monthly Financial Report December 2017      CASH AND INVESTMENTS –  4TH QUARTER  The current cash and  investments (C&I)  portfolio is provided in  the table to the right.  The  City’s current C&I balance  is $209.6M.  Currently,  the majority of the  portfolio is located in cash  deposits (US Bank) and  the State Investment  Pool.  The rest is spread  out between US Federal  Agency Securities and  various certificates of  deposits.    The existing portfolio yield is approximately 1.03%.  Current  % Blended Allowed  per policy Current  Portfolio (principal value) 34% N/A $        70,422,386  0% 100%‐$                     43% 75% 90,923,543$        8% 75% 16,747,500$        15% 75% 31,482,542$        0% 25%‐$                     TOTAL INVESTMENTS 100% 209,575,970$       *Excluding Cash the  portfolio distribution is 65% LGIP; 23% CD's; 12% GSE's Cash US Treasury Securities Local Government Investment Pool US Federal  Agency Securities Certificates  of Deposit Commercial  Paper By Type Cash 34% LGIP 43% GSE's 8% CD's 15% Distribution by Type        By Institution Current  % Blended Allowed by  Policy Current Portfolio (principal value)Maturity Date APY Weighted  Yield Blended Current  Principal  Balance Cash US Bank ‐ Cash 34%N/A 70,422,386 overnight 0.45% 0.15%70,422,386    US Treasury Securities none 0% 100%‐                        N/A N/A N/A ‐                              Local Government Investment Pool 3920 State Investment Pool 43% 75% 90,923,543 10/1/2014 0.10% 0.55%90,923,543          US Federal Agency Securities * 317189A FCCB 4,000,000            9/14/2018 1.25% 0.02% 315189D FNMA 4,997,500            10/26/2018 1.06% 0.03% 317209A FHLMC 2,750,000            4/27/2020 1.58%0.02% 317209B FHLMC 1,950,000            4/27/2020 1.63% 0.02% 317209C FHLMC 3,050,000            5/22/2020 1.63% 0.02% Certificates of Deposit 115184A First Savings Bank Northwest 5,092,087 2/6/2018 1.03%0.03% 116214A First Savings Bank Northwest 5,154,418 2/3/2021 1.67%0.04% 117204A First Savings Bank Northwest 5,175,781 10/29/2020 1.85% 0.05% 116191A Opus 5,000,000 2/25/2019 1.00% 0.02% 116181A Opus 5,000,000 12/21/2018 1.35%0.03% 116191B Opus 5,000,000 12/21/2019 1.60%0.04% 216183A Commencement Bank (CDARS)1%1,060,257 9/16/2018 1.00% 0.01%1,060,257           Commercial Paper none 0.00%5%‐                        N/A N/AN/A ‐                            209,575,970$      209,575,970$   16,747,500         75%8% 15,422,285          *Held in our safekeeping account at BNY Trust and Custody TOTAL CASH & INVESTMENTS 20% 7% 15,000,000         7% Page 11 of 38 Monthly Financial Report December 2017      ENTERPRISE FUNDS  The table below gives an analysis of all City Enterprise funds.  Displayed are the year‐to‐date revenues and expenditures for  each enterprise.  Included in each funds are the capital revenues and expenditures.  Airport Golf Course Solid Waste  Utility Water Utility Wastewater  Utility Surface Water  Utility Metro REVENUES: Licenses  and permits ‐                  ‐                 ‐                 ‐                 89,890            41,100            ‐                  Grants  / intergovernmental 34,761            6,009              134,063          ‐                 1,232,421       1,648,469       ‐                  Charges  for services 200,175          1,844,620       19,477,238     17,733,532     10,437,806     11,392,726     16,883,456      Interdepartmental services ‐                 ‐                 ‐                 ‐                 ‐                 ‐                 ‐                  Fines  and penalties 1,378              ‐                 ‐                 ‐                 970                 ‐                 ‐                  Rents, leases, and misc fees 2,626,371       410,853          11,857            159,015          ‐                 ‐                 ‐                  Interest and other misc 24,792            (59,581)          48,097            4,639,105       3,371,577       1,986,946       38,803             TOTAL REVENUES 2,887,477       2,201,901       19,671,255     22,531,652     15,132,664     15,069,241     16,922,259      EXPENSES: Utility billing ‐                  ‐                 43,544            156,221          126,169          192,743           ‐                  Utility systems ‐                 ‐                 19,031,858     3,852,700       3,425,062       4,435,508       ‐                  Utility maintenance ‐                 ‐                 346,588          5,901,214       2,188,396       2,824,542       16,827,147      Transportation 1,762,448       ‐                 ‐                 ‐                 ‐                 ‐                 ‐                  Golf ‐                 2,166,727       ‐                 ‐                 ‐                 ‐                 ‐                  TOTAL EXPENSES 1,762,448       2,166,727       19,421,990     9,910,135       5,739,627       7,452,793       16,827,147      AMOUNT AVAILABLE FOR DEBT SERVICE 1,125,029       35,174            249,265          12,621,517     9,393,037       7,616,448       95,112             DEBT SERVICE: Principal ‐                  ‐                 ‐                 4,721,253       2,158,820       1,598,904       ‐                  Interest ‐                 ‐                 ‐                 389,285          180,591          695,391          ‐                  TOTAL DEBT SERVICE ‐                 ‐                 ‐                 5,110,538       2,339,411       2,294,295       ‐                  CAPITAL PROJECTS 285,183          66,995            ‐                 2,122,415       3,113,579       2,214,989       ‐                  TRANSFERS IN/(OUT)‐                 ‐                 (370)               (3,933)            (389,705)        (66,435)          ‐                  CH ANGE IN FUND BALANCE 839,846          (31,821)          248,895          5,384,631       3,550,342       3,040,729       95,112             BEGINNING FUND BALANCE, Jan 1 2,619,343       37,088            2,751,417       28,528,934     13,859,662     10,893,975     4,994,658        ENDING FUND BALANCE, Dec 31 3,459,189       5,267              3,000,312       33,913,565     17,410,004     13,934,704     5,089,770              Page 12 of 38 Monthly Financial Report December 2017      INTERNAL SERVICE FUNDS  The table below gives an analysis of all City Internal Service Funds.  Displayed are the year‐to‐date revenues and expenditures  for each internal service.  Included in each fund are the capital revenues and expenditures.  Equipment  Rental Information  Technology Facilities Communications Insurance Healthcare Retiree  Healthcare REVENUES: Technology Fee ‐               205,921        ‐               ‐                     ‐               ‐               ‐                Grants  / intergovernmental ‐               7,110           ‐               ‐                     ‐               ‐               47,440          Charges  for services Equipment rental  m&o 2,728,597    4,250,415    ‐               ‐                     ‐               ‐               ‐                Print and mail ‐               ‐               ‐               439,335             ‐               ‐               ‐                Communications ‐               794,502       ‐               637,918             ‐               ‐               ‐                Facilities ‐               ‐               5,023,015    ‐                     ‐               ‐               ‐                Data cards  and cell  phones ‐               ‐               ‐               ‐                     ‐               ‐               ‐                IT service co ntracts ‐               ‐               ‐               ‐                     ‐               ‐               ‐                Interest and other misc 49,192         23,254         12,232         4,394                 97,191         34,109         82,235          Internal service fund misc: Vehicle  / equipment capital  recovery 2,214,005    483,956       ‐               ‐                     ‐               ‐               ‐                Insurance premiums ‐               ‐               ‐               ‐                     1,716,276    ‐               ‐                Worker's  comp/unemployment ‐               ‐               ‐               ‐                     1,364,787    ‐               ‐                Benefit premiums ‐               ‐               ‐               ‐                     ‐               9,252,695    2,624,684     Other misc 374              47                33,290         20                      ‐               929,743       ‐                Interfund Loan ‐               ‐               ‐               ‐                     175,000       ‐               ‐                Capital  contributions ‐               ‐               ‐               ‐                     ‐               ‐               ‐                Disposal  of capital  assets 209,301       ‐               ‐               100                    ‐               ‐               ‐                Insurance recoveries ‐               ‐               ‐               ‐                     186,898       ‐               ‐                TOTAL REVENUES 5,201,469    5,765,205    5,068,537    1,081,767          3,540,152    10,216,547  2,754,359     EXPENSES: Communications 608,024              Equipment rental 2,415,687     Facilities 4,707,966     Healthcare 9,665,332     Information technology 4,340,685     Print and mail 408,525              Retiree healthcare 946,266        Risk management: Risk ma nagement 1,478,848     Unemployment 51,343          Worker's  compensation 1,231,339     TOTAL EXPENSES 2,415,687    4,340,685    4,707,966    1,016,549          2,761,530    9,665,332    946,266        AMOUNT AVAILABLE FOR CAPITAL 2,785,782    1,424,520    360,571       65,218               778,622       551,215       1,808,093     CAPITAL PROJECTS 2,990,710    534,416       30,077         ‐                     ‐               ‐               ‐                TRANSFERS IN 655,495       276,582       10,700         ‐                     4,100,000    ‐               ‐                TRANSFERS (OUT)‐               ‐               (85,500)        ‐                     ‐               (89,876)        ‐                CHANGE IN FUND BALANCE 450,567       1,166,686    255,694       65,218               4,878,622    461,339       1,808,093     BEGINNING FUND BALANCE, Jan  1 6,432,053    2,570,374    1,275,053    542,927             12,852,509  4,156,148    10,079,251   ENDING FUND BALANCE, Dec 31 6,882,620    3,737,060    1,530,747    608,145             17,731,131  4,617,487    11,887,344        Page 13 of 38 Monthly Financial Report December 2017      FUND BALANCE  Page 15 shows the ending fund balance as of December 2017.  The City’s fund balance is a combination of current  deficit/surplus of funds which have accrued from unexpended operating budgets, unanticipated excess revenues, and from  balances accumulated from prior years.      The prior year’s balances (or beginning balance) include funds identified as being reserved for specific purposes or required  to meet the current year’s appropriations. These balances also provide financial stability to the City’s operation during  uncertain times and provide a layer of security to bondholders.      At the end of December, the City has $33.3M reported in the combined general governmental fund balance of the current  year’s operating budget, which is approximately 30% of budgeted operating expenditures.  This is an increase of $6.7M from  the year’s beginning balance.  December’s ending fund balance is over the anticipated General Governmental Fund Balance  of $20.9M by $12.3M or 59%.  Although the ending fund balance is above projections, it is consistent with the prior years’  trends.      CONTACT INFORMATION  This report is prepared by the Finance Division of the Administrative Services Department.  For additional financial  information, please also review our website: http://www.rentonwa.gov/.  For any questions about the report, please feel  free to contact us at hnguyen@rentonwa.gov or JDThomas@Rentonwa.gov.  Page 14 of 38 Monthly Financial Report December 2017      City  of Renton All Funds ‐ Revenue, Expenditures and Fund Balances Cash  Basis through December 31, 2017 Funds Balance  01/01/2017 Budgeted  Revenue Revenue  12/31/17 Total Funds  Available Budgeted  Expenditure Expenditure  12/31/17 Ending Balance GENERAL GOVERNMENT FUNDS: 26,563,785          104,562,764        109,530,146        136,093,931        110,190,226        102,809,093        33,284,838           000 General 18,201,028          71,439,589          76,808,186          95,009,214          77,598,966          72,301,147          22,708,066           001 Community Services 3,769,766            13,857,754          13,662,312          17,432,078          13,887,263          12,591,084          4,840,993             003 Street 1,936,367            12,005,024          12,179,565          14,115,932          11,306,335          10,972,028          3,143,904             004 Community Dev Block Grant 66,654                 936,292               531,022               597,676               983,792               543,390               54,286                  005 Museum 72,372                 233,936               234,333               306,705               236,275               235,712               70,992                  009 Farmers  Market 90,730                 114,844               116,749               207,479               110,966               102,155               105,323                201 Ltd  GO Bonds  Gen Govt Debt 852,111               1,749,675            1,761,171            2,613,282            1,749,675            1,749,550            863,732                215 Gen Govt Misc Debt Service 1,574,757            4,225,650            4,236,810            5,811,567            4,316,954            4,314,026            1,497,542             SPECIAL REVENUE F UNDS:1,599,965            1,934,729            2,483,111            4,083,076            2,189,749            1,990,023            2,093,053             102 Arterial  Street 63,480                 660,000               704,958               768,438               660,000               660,000               108,438                108 Leased  City Properties 276,865               902,550               1,201,042            1,477,907            888,131               866,852               611,055                110 Hotel  Motel 402,602               225,000               403,428               806,030               400,994               344,596               461,434                125 1% For Art 128,489               24,505                 39,253                 167,742               117,950               64,633                 103,109                127 Cable  Communication 394,504               122,674               131,927               526,431               122,674               53,942                 472,489                135 Springbrook Wetlands Bank 334,025                ‐                           2,503                   336,528                ‐                            ‐                           336,528                CAPITAL PROJECT FUNDS (CIP): 26,202,403          42,298,215          34,074,763          60,277,166          52,879,521          23,981,683          36,295,483           303 Community Services  Mitigation 1,255,194            406,014               693,656               1,948,850            54,074                 39,495                 1,909,355             304 Fire Mitigation 607,163               99,000                 488,505               1,095,668            158,696               158,696               936,972                305 Transportation Mitigation 1,497,748            620,000               1,203,214            2,700,962            1,890,000            1,890,000            810,962                316 Municipal  Facilities CIP 15,038,030          15,161,013          14,630,434          29,668,464          24,657,514          9,996,768            19,671,696           317 Transportation CIP 5,640,494            20,512,188          11,386,669          17,027,163          25,094,010          11,218,624          5,808,539             326 Housing Opportunity 1,041,173            1,500,000            1,507,802            2,548,975             ‐                            ‐                           2,548,975             336 New Library Development 1,122,601             ‐                           6,592                   1,129,193            1,025,227            678,100               451,093                346 New Family First Center Dvlpmnt ‐                           4,000,000            4,157,891            4,157,891             ‐                            ‐                           4,157,891             ENTERPRISE FUNDS: 63,685,077          96,750,816          94,498,094          158,183,171        127,425,147        81,370,358          76,812,813           4X2 Airport Operating & CIP 2,619,343            3,405,842            2,887,478            5,506,821            5,688,023            2,047,631            3,459,190             403 Solid Waste  Utility 2,751,417            19,187,851          19,671,256          22,422,673          19,024,775          19,422,360          3,000,313             4X4 Golf Operating & CIP 37,088                 2,893,044            2,261,901            2,298,989            2,630,288            2,293,722            5,267                    4X5 Water Operating & CIP 28,528,934          20,636,268          22,531,652          51,060,586          38,803,600          17,147,020          33,913,566           4X6 Waste Water Op erating & CIP 13,859,662          14,898,560          15,143,808          29,003,470          22,238,802          11,593,467          17,410,003           416 King County Metro 4,994,658            17,505,693          16,922,259          21,916,917          17,505,693          16,827,147          5,089,770             4X7 Surface Water Operating & CIP 10,893,975          18,223,558          15,079,740          25,973,715          21,533,966          12,039,011          13,934,704           INTERNAL SERVICE FUNDS:37,908,315          35,014,282          38,670,813          76,579,128          34,026,354          29,584,596          46,994,532           501 Equipment Repair/Replacement 6,432,053            6,494,353            5,856,964            12,289,017          7,733,113            5,406,397            6,882,620             502 I nsurance 12,852,509          7,392,368            7,640,152            20,492,661          3,571,166            2,761,531            17,731,130           503 Information Services 2,570,374            5,928,485            6,041,787            8,612,161            7,126,445            4,875,101            3,737,060             504 Facilities 1,275,053            5,077,715            5,079,237            6,354,290            5,316,091            4,823,543            1,530,747             505 Communications 542,927               1,078,253            1,081,767            1,624,694            1,076,474            1,016,550            608,144                512 Insurance, Healthcare 4,156,148            7,787,779            10,216,547          14,372,695          8,163,471            9,755,208            4,617,487             522 Insurance, Leoff1 Retirees HC 10,079,251          1,255,329            2,754,359            12,833,610          1,039,594            946,266               11,887,344           FIDUCIARY FUNDS: 5,578,045            468,000               506,951               6,084,996            210,475               252,098               5,832,898             611 Firemen's Pension 5,578,045            468,000               506,951               6,084,996            210,475               252,098               5,832,898             TOTAL  FUNDS 161,537,590     281,028,806     279,763,878     441,301,468     326,921,472     239,987,851     201,313,617      Page 15 of 38 City of Renton General Government Financial Position 2017 Budget Year General Government Summary  Revenues Expenditures  $ Difference over (under)  w/beginning  balance  26,563,785             January 7,364,146              6,595,136              769,010                  27,332,795             February 14,472,917            13,388,134            1,084,783              27,648,568             March 21,057,303            20,198,065            859,238                  27,423,023             April 39,230,543            27,006,711            12,223,832            38,787,617             May 47,996,932            34,253,900            13,743,032            40,306,817             June 54,429,132            41,552,555            12,876,577            39,440,362             July 62,729,973            49,694,920            13,035,053            39,598,838             August 69,843,380            57,216,081            12,627,299            39,191,084             September 76,428,173            64,564,463            11,863,710            38,427,495             October 88,032,675            71,278,851            16,753,824            43,317,609             November 101,061,072          78,365,889            22,695,183            49,258,968             December 109,530,146          102,809,093          6,721,053              33,284,838              (8,000,000) (7,000,000) (6,000,000) (5,000,000) (4,000,000)  (3,000,000)  (2,000,000) (1,000,000) ‐ 1,000,000 2,000,000 3,000,000  4,000,000  5,000,000 6,000,000 7,000,000 8,000,000 9,000,000  10,000,000  11,000,000 12,000,000 13,000,000 14,000,000 15,000,000 16,000,000  17,000,000  18,000,000 19,000,000 20,000,000 21,000,000 22,000,000  23,000,000  24,000,000  25,000,000  ‐  10,000,000  20,000,000  30,000,000  40,000,000  50,000,000  60,000,000  70,000,000  80,000,000  90,000,000  100,000,000  110,000,000 Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec Change in Fund  Balance Rev/Exp Revenues Expenditures Change in Fund Balance Page 16 of 38 City of Renton Monthly Revenue Analysis ‐ 2017 Budget Year General  Government Budget YTD Actual Annual %  over (under) Jan 7,392,698        7,364,146         ‐0.39% Feb 13,904,332      14,472,917      4.09% Mar 20,442,901      21,057,303      3.01% Apr 33,494,632      39,230,543      17.12% May 45,399,934      47,996,932      5.72% Jun 51,827,211      54,429,132      5.02% Jul 59,600,418      62,729,973      5.25% Aug 66,317,875      69,843,380      5.32% Sep 72,771,453      76,428,173      5.02% Oct 84,454,414      88,032,675      4.24% Nov 97,343,045      101,061,072    3.82% Dec 104,562,763    109,530,146    4.75% Percent of budget 104.75% Property Tax Budget YTD Actual Annual %  over (under) Jan 36,768              55,429              50.75% Feb 241,042           250,761           4.03% Mar 967,646           1,153,726        19.23% Apr 6,883,291        8,189,058        18.97% May 12,626,243      12,678,534      0.41% Jun 12,719,859      12,807,368      0.69% Jul 12,760,104      12,876,968      0.92% Aug 12,870,217      12,978,317      0.84% Sep 13,238,047      13,421,011      1.38% Oct 17,341,593      17,478,904      0.79% Nov 23,988,632      24,212,717      0.93% Dec 24,103,395      24,356,562      1.05% Percent of budget 101.05%  $‐  $10  $20  $30  $40  $50  $60  $70  $80  $90  $100  $110  $120  $130 Millions Total Revenue General Government Budget Actual Last Year  $‐  $3  $6  $9  $12  $15  $18  $21  $24  $27  $30  $33  $36  $39 Millions Property Tax Budget Actual Last Year Page 17 of 38 City of Renton Monthly Revenue Analysis ‐ 2017 Budget Year Sales Tax Budget YTD Actual Annual %  over (under) Jan 2,273,135        2,340,558        2.97% Feb 4,991,912        5,107,413        2.31% Mar 7,106,616        7,282,613        2.48% Apr 9,223,848        9,375,961        1.65% May 11,702,869      12,040,621      2.89% Jun 13,916,590      14,362,484      3.20% Jul 16,191,014      16,864,294      4.16% Aug 18,762,500      19,574,255      4.33% Sep 21,208,945      21,993,685      3.70% Oct 23,753,611      24,536,818      3.30% Nov 26,423,143      27,163,350      2.80% Dec 28,913,680      29,454,865      1.87% Percent of budget 101.87% Note:  Excludes CJ Sales Tax and Natural Gas Use Tax. Utility Tax Budget YTD Actual Annual %  over (under) Jan 1,300,842        1,698,721        30.59% Feb 2,787,871        3,059,310        9.74% Mar 4,275,077        4,256,858        ‐0.43% Apr 5,586,631        6,054,307        8.37% May 6,893,949        7,518,745        9.06% Jun 8,090,821        8,870,352        9.63% Jul 9,345,412        10,408,741      11.38% Aug 10,640,050      11,593,978      8.97% Sep 11,887,054      12,855,178      8.14% Oct 13,161,903      14,283,615      8.52% Nov 14,390,944      15,551,512      8.06% Dec 15,753,137      16,999,203      7.91% Percent of budget 107.91% Note:  Includes Natural Gas Use Tax.  $‐  $3  $6  $9  $12  $15  $18  $21  $24  $27  $30 Millions Sales Tax Budget Actual Last Year  $‐  $2  $4  $6  $8  $10  $12  $14  $16 Millions Utility Tax Budget Actual Last Year Page 18 of 38 City of Renton Monthly Revenue Analysis ‐ 2017 Budget Year Licenses &  Permits Budget YTD Actual Annual %  over (under) Jan 586,132           321,764            ‐45.10% Feb 956,756           594,059            ‐37.91% Mar 1,322,363        1,019,840         ‐22.88% Apr 1,688,572        1,318,141         ‐21.94% May 1,989,508        1,825,961         ‐8.22% Jun 2,315,824        2,301,827         ‐0.60% Jul 3,030,833        2,656,217         ‐12.36% Aug 3,447,876        3,093,300         ‐10.28% Sep 3,877,572        3,489,741         ‐10.00% Oct 4,359,932        3,821,627         ‐12.35% Nov 4,652,625        4,210,508         ‐9.50% Dec 4,935,012        4,470,875         ‐9.40% Percent of budget 90.60% Note:  GF only Intergovt'l Budget YTD Actual Annual %  over (under) Jan 559,448           604,678           8.08% Feb 1,084,313        1,193,433        10.06% Mar 1,626,173        1,773,868        9.08% Apr 2,145,472        2,313,101        7.81% May 2,958,092        2,729,902        ‐7.71% Jun 3,616,009        3,346,773        ‐7.45% Jul 4,116,000        4,001,945        ‐2.77% Aug 4,720,398        4,575,058         ‐3.08% Sep 5,346,111        5,211,371         ‐2.52% Oct 5,911,706        5,873,923         ‐0.64% Nov 6,604,379        6,257,677         ‐5.25% Dec 7,605,713        7,436,309         ‐2.23% Percent of budget 97.77% Note:  Includes CJ Sales Tax and FD25 & FD40 contracts  $‐  $2  $4  $6  $8  $10  $12 Millions Intergovernmental Budget Actual Last Year  $‐  $0.50  $1.00  $1.50  $2.00  $2.50  $3.00  $3.50  $4.00  $4.50  $5.00 Millions Licenses & Permits Budget Actual Last Year Page 19 of 38 City of Renton Monthly Revenue Analysis ‐ 2017 Budget Year Charges for  Services Budget YTD Actual Annual %  over (under) Jan 641,725           749,576           16.81% Feb 1,192,622        1,295,589        8.63% Mar 1,779,728        2,031,739        14.16% Apr 2,574,617        2,607,404        1.27% May 3,142,189        3,347,586        6.54% Jun 4,270,357        4,077,898         ‐4.51% Jul 5,207,148        5,052,850         ‐2.96% Aug 6,077,059        5,992,324         ‐1.39% Sep 6,705,746        6,661,946         ‐0.65% Oct 7,327,762        7,230,905         ‐1.32% Nov 7,947,988        7,901,039         ‐0.59% Dec 8,677,538        8,540,911         ‐1.57% Percent of budget 98.43% Note: Excludes FD25 & FD40 contracts Fines &  Forfeits Budget YTD Actual Annual %  over (under) Jan 126,199           134,957           6.94% Feb 339,355           352,013           3.73% Mar 603,740           564,199           ‐6.55% Apr 845,911           807,015           ‐4.60% May 1,077,838        1,036,892        ‐3.80% Jun 1,339,137        1,339,558        0.03% Jul 1,558,308        1,586,818        1.83% Aug 1,810,632        1,885,502        4.14% Sep 2,043,253        2,105,927        3.07% Oct 2,287,023        2,380,172        4.07% Nov 2,557,964        2,620,911        2.46% Dec 2,868,450        2,946,849        2.73% Percent of budget 102.73%  $‐  $1  $2  $3  $4  $5  $6  $7  $8  $9 Millions Charges for Services Budget Actual Last Year  $‐  $0.50  $1.00  $1.50  $2.00  $2.50  $3.00 Millions Fines & Forfeits Budget Actual Last Year Page 20 of 38 City of Renton Monthly Revenue Analysis ‐ 2017 Budget Year Other Taxes Budget YTD Actual Annual %  over (under) Jan 1,656,308        1,094,465         ‐33.92% Feb 1,978,128        2,107,354        6.53% Mar 2,296,804        2,310,521        0.60% Apr 3,970,819        7,618,498        91.86% May 4,316,724        5,718,954        32.48% Jun 4,702,000        6,043,234        28.52% Jul 6,364,625        7,806,041        22.65% Aug 6,798,946        8,474,829        24.65% Sep 7,153,749        8,858,512        23.83% Oct 8,864,681        10,433,287      17.70% Nov 9,222,107        11,024,236      19.54% Dec 9,605,026        12,563,082      30.80% Percent of budget 130.80% Misc Budget YTD Actual Annual %  over (under) Jan 212,142           363,997           71.58% Feb 332,333           512,986           54.36% Mar 464,753           663,940           42.86% Apr 575,471           852,826           48.20% May 692,521           1,005,505        45.19% Jun 856,117           1,184,657        38.38% Jul 1,026,478        1,378,374        34.28% Aug 1,189,700        1,576,951        32.55% Sep 1,313,553        1,728,261        31.57% Oct 1,448,778        1,884,473        30.07% Nov 1,555,958        2,010,171        29.19% Dec 1,929,617        2,478,278        28.43% Percent of budget 128.43%  $‐  $0.50  $1.00  $1.50  $2.00  $2.50  $3.00  $3.50 Millions Miscellaneous Budget Actual Last Year  $‐  $1  $2  $3  $4  $5  $6  $7  $8  $9  $10  $11  $12  $13  $14 Millions Other Taxes Budget Actual Last Year Page 21 of 38 City of Renton Monthly Revenue Analysis ‐ 2017 Budget Year Other  Financing Budget YTD Actual Annual %  over (under) Jan ‐                          ‐                         N/A Feb ‐                          ‐                         N/A Mar ‐                          ‐                         N/A Apr ‐                         94,231              100.00% May ‐                         94,231              100.00% Jun 496                   94,981              19031.36% Jul 496                   97,726              19584.19% Aug 496                   98,866              19813.79% Sep (2,576)               102,541            ‐4079.84% Oct (2,576)               108,951            ‐4328.63% Nov (695)                  108,951            ‐15775.08% Dec 171,196           283,213           65.43% Percent of budget 165.43% REET Budget YTD Actual Annual %  over (under) Jan 796,327           1,028,456        29.15% Feb 969,814           1,365,480        40.80% Mar 1,215,402        2,074,348        70.67% Apr 1,570,422        2,459,865        56.64% May 1,992,499        2,845,952        42.83% Jun 2,402,718        3,593,502        49.56% Jul 2,985,156        4,184,639        40.18% Aug 3,536,615        4,857,035        37.34% Sep 4,006,487        5,490,839        37.05% Oct 4,515,503        5,850,729        29.57% Nov 4,847,713        6,625,978        36.68% Dec 5,170,000        7,211,736        39.49% Percent of budget 139.49%  $‐  $0.50  $1.00  $1.50  $2.00  $2.50  $3.00  $3.50  $4.00  $4.50  $5.00  $5.50  $6.00  $6.50  $7.00  $7.50  $8.00 Millions Real Estate Excise Tax Budget Actual Last Year ‐$1 $0 $1 $1 $2 $2 $3 Mi l l i o n s Other Financing Sources Budget Actual Last Year Page 22 of 38 City of Renton Monthly Revenue Analysis ‐ 2017 Budget Year Bldg Permits  & Devlpmt Svc  Fees Budget YTD Actual Annual %  over (under) Jan 481,500           399,548            ‐17.02% Feb 861,115           676,844            ‐21.40% Mar 1,301,962        1,180,134         ‐9.36% Apr 1,786,635        1,445,882         ‐19.07% May 2,096,984        2,004,656         ‐4.40% Jun 2,795,383        2,616,096         ‐6.41% Jul 3,487,109        2,880,611         ‐17.39% Aug 3,925,839        3,313,654         ‐15.59% Sep 4,424,411        3,759,217         ‐15.03% Oct 4,902,760        4,097,515         ‐16.42% Nov 5,262,700        4,576,532         ‐13.04% Dec 5,735,368        4,907,983         ‐14.43% Percent of budget 85.57% B & O Tax Budget YTD Actual Annual %  over (under) Jan 1,500,000        432,319            ‐71.18% Feb 1,687,500        1,226,412         ‐27.32% Mar 1,875,000        1,239,641         ‐33.89% Apr 3,375,000        5,866,521        73.82% May 3,562,500        6,183,312        73.57% Jun 3,750,000        6,206,803        65.51% Jul 5,250,000        7,345,843        39.92% Aug 5,437,500        7,745,219        42.44% Sep 5,625,000        7,915,010        40.71% Oct 7,125,000        8,896,427        24.86% Nov 7,312,500        9,217,133        26.05% Dec 7,500,000        9,633,034        28.44% Percent of budget 128.44%  $‐  $1.00  $2.00  $3.00  $4.00  $5.00  $6.00 Millions Building Permits and Development Service  Fees Budget Actual Last Year  $‐  $0.50  $1.00  $1.50  $2.00  $2.50  $3.00  $3.50  $4.00  $4.50  $5.00  $5.50  $6.00  $6.50  $7.00  $7.50  $8.00  $8.50  $9.00  $9.50  $10.00  $10.50 Millions Business & Occupation Tax Budget Actual Last Year Page 23 of 38 City of Renton Monthly Expenditure Analysis ‐ 2017 Budget Year General  Government Budget YTD Actual Annual %  over (under) Jan 7,316,510        6,595,136         ‐9.86% Feb 14,383,362      13,388,134       ‐6.92% Mar 22,216,418      20,198,065       ‐9.08% Apr 29,335,397      27,006,711       ‐7.94% May 40,200,859      34,253,900       ‐14.79% Jun 48,645,183      41,552,555       ‐14.58% Jul 60,191,578      49,694,920       ‐17.44% Aug 68,031,777      57,216,081       ‐15.90% Sep 75,956,996      64,564,463       ‐15.00% Oct 83,872,817      71,278,851       ‐15.02% Nov 91,115,073      78,365,889       ‐13.99% Dec 110,190,225    102,809,093     ‐6.70% Percent of budget expended 93.30% Legislative Budget YTD Actual Annual %  over (under) Jan 36,183              36,043               ‐0.39% Feb 66,236              64,877               ‐2.05% Mar 101,649           97,498              ‐4.08% Apr 131,509           127,629           ‐2.95% May 161,207           157,670           ‐2.19% Jun 190,925           187,856           ‐1.61% Jul 219,892           216,595           ‐1.50% Aug 249,074           245,568           ‐1.41% Sep 278,319           274,509           ‐1.37% Oct 308,035           303,126           ‐1.59% Nov 337,502           331,903           ‐1.66% Dec 368,211           362,101           ‐1.66% Percent of budget expended 98.34%  $‐  $20  $40  $60  $80  $100  $120 Millions Total Expenditures General Government Budget Actual Last Year  $‐  $50,000  $100,000  $150,000  $200,000  $250,000  $300,000  $350,000  $400,000 Legislative Budget Actual Last Year Page 24 of 38 City of Renton Monthly Expenditure Analysis ‐ 2017 Budget Year Executive Budget YTD Actual Annual %  over (under) Jan 217,181           211,310            ‐2.70% Feb 363,825           350,285            ‐3.72% Mar 549,441           490,536            ‐10.72% Apr 695,792           632,403            ‐9.11% May 841,124           793,626            ‐5.65% Jun 1,005,349        963,928            ‐4.12% Jul 1,151,389        1,110,100         ‐3.59% Aug 1,316,295        1,290,543         ‐1.96% Sep 1,505,622        1,426,031         ‐5.29% Oct 1,652,178        1,596,730         ‐3.36% Nov 1,799,173        1,737,132         ‐3.45% Dec 2,007,671        1,954,748         ‐2.64% Percent of budget expended 97.36% Emergency  Management Budget YTD Actual Annual %  over (under) Jan 63,184              35,052               ‐44.52% Feb 104,484           75,996               ‐27.27% Mar 156,084           120,198           ‐22.99% Apr 197,331           171,474           ‐13.10% May 238,910           219,758           ‐8.02% Jun 287,314           267,919           ‐6.75% Jul 329,069           314,737           ‐4.36% Aug 399,866           370,942           ‐7.23% Sep 448,780           424,170           ‐5.48% Oct 492,637           473,196           ‐3.95% Nov 535,475           523,795           ‐2.18% Dec 609,249           569,333           ‐6.55% Percent of budget expended 93.45%  $‐  $0.30  $0.60  $0.90  $1.20  $1.50  $1.80  $2.10  $2.40 Millions Executive Budget Actual Last Year  $‐  $100,000  $200,000  $300,000  $400,000  $500,000  $600,000 Emergency Management Budget Actual Last Year Page 25 of 38 City of Renton Monthly Expenditure Analysis ‐ 2017 Budget Year City Attorney Budget YTD Actual Annual %  over (under) Jan 176,840           168,105            ‐4.94% Feb 356,198           333,751            ‐6.30% Mar 539,974           508,012            ‐5.92% Apr 727,889           694,752            ‐4.55% May 911,796           866,583            ‐4.96% Jun 1,096,207        1,038,696         ‐5.25% Jul 1,281,325        1,211,095         ‐5.48% Aug 1,466,602        1,384,646         ‐5.59% Sep 1,658,357        1,559,146         ‐5.98% Oct 1,826,387        1,734,835         ‐5.01% Nov 1,995,101        1,908,369         ‐4.35% Dec 2,163,329        2,088,718         ‐3.45% Percent of budget expended 96.55% Court Services Budget YTD Actual Annual %  over (under) Jan 174,688           169,642            ‐2.89% Feb 359,261           343,353           ‐4.43% Mar 546,129           523,105           ‐4.22% Apr 731,190           708,103           ‐3.16% May 919,420           888,624           ‐3.35% Jun 1,116,580        1,072,725        ‐3.93% Jul 1,303,785        1,252,041        ‐3.97% Aug 1,494,740        1,429,897        ‐4.34% Sep 1,689,236        1,614,919        ‐4.40% Oct 1,876,650        1,796,548        ‐4.27% Nov 2,063,510        1,982,165        ‐3.94% Dec 2,265,056        2,174,217        ‐4.01% Percent of budget expended 95.99%  $‐  $0.20  $0.40  $0.60  $0.80  $1.00  $1.20  $1.40  $1.60  $1.80  $2.00  $2.20 Millions Court Services Budget Actual Last Year  $‐  $0.40  $0.80  $1.20  $1.60  $2.00  $2.40 Millions City Attorney Budget Actual Last Year Page 26 of 38 City of Renton Monthly Expenditure Analysis ‐ 2017 Budget Year CED Admin Budget YTD Actual Annual %  over (under) Jan 105,708           109,731           3.81% Feb 212,008           219,758           3.66% Mar 318,307           329,786           3.61% Apr 427,006           439,814           3.00% May 536,809           549,841           2.43% Jun 646,136           669,673           3.64% Jul 810,818           781,490            ‐3.62% Aug 917,941           893,461            ‐2.67% Sep 1,025,297        1,005,432         ‐1.94% Oct 1,132,181        1,116,598         ‐1.38% Nov 1,238,672        1,227,699         ‐0.89% Dec 1,350,991        1,351,830        0.06% Percent of budget expended 100.06% Development  Services Budget YTD Actual Annual %  over (under) Jan 247,440           239,337            ‐3.27% Feb 524,348           501,405           ‐4.38% Mar 795,548           754,102           ‐5.21% Apr 1,052,842        1,024,029        ‐2.74% May 1,323,124        1,282,903        ‐3.04% Jun 1,597,665        1,542,242        ‐3.47% Jul 1,867,478        1,806,056        ‐3.29% Aug 2,149,867        2,066,905        ‐3.86% Sep 2,441,388        2,334,025        ‐4.40% Oct 2,715,837        2,598,327        ‐4.33% Nov 2,987,883        2,912,793        ‐2.51% Dec 3,285,005        3,023,728        ‐7.95% Percent of budget expended 92.05%  $‐  $0.20  $0.40  $0.60  $0.80  $1.00  $1.20  $1.40 Millions Community & Economic Development Admin Budget Actual Last Year  $‐  $0.50  $1.00  $1.50  $2.00  $2.50  $3.00  $3.50 Millions Development Services Budget Actual Last Year Page 27 of 38 City of Renton Monthly Expenditure Analysis ‐ 2017 Budget Year Economic  Development Budget YTD Actual Annual %  over (under) Jan 90,596              46,869               ‐48.27% Feb 223,992           98,329               ‐56.10% Mar 328,160           140,672            ‐57.13% Apr 500,822           190,278            ‐62.01% May 620,811           342,370            ‐44.85% Jun 764,702           435,487            ‐43.05% Jul 910,328           490,157            ‐46.16% Aug 1,024,032        580,426            ‐43.32% Sep 1,130,175        702,684            ‐37.83% Oct 1,325,387        754,788            ‐43.05% Nov 1,473,922        815,203            ‐44.69% Dec 1,613,665        949,467            ‐41.16% Percent of budget expended 58.84% Planning Budget YTD Actual Annual %  over (under) Jan 252,370           221,112            ‐12.39% Feb 508,667           449,900            ‐11.55% Mar 782,992           681,350           ‐12.98% Apr 1,052,478        906,510           ‐13.87% May 1,364,739        1,134,729        ‐16.85% Jun 1,665,650        1,353,531        ‐18.74% Jul 1,941,198        1,570,361        ‐19.10% Aug 2,220,251        1,787,262        ‐19.50% Sep 2,520,087        1,999,301        ‐20.67% Oct 2,807,101        2,215,869        ‐21.06% Nov 3,069,939        2,445,474        ‐20.34% Dec 3,342,786        2,815,148        ‐15.78% Percent of budget expended 84.22%  $‐  $0.20  $0.40  $0.60  $0.80  $1.00  $1.20  $1.40  $1.60  $1.80 Millions Economic Development Budget Actual Last Year  $‐  $0.50  $1.00  $1.50  $2.00  $2.50  $3.00  $3.50  $4.00 Millions Planning Budget Actual Last Year Page 28 of 38 City of Renton Monthly Expenditure Analysis ‐ 2017 Budget Year Finance Budget YTD Actual Annual %  over (under) Jan 216,257           197,230            ‐8.80% Feb 432,725           425,531            ‐1.66% Mar 646,873           630,778            ‐2.49% Apr 865,750           856,650            ‐1.05% May 1,099,214        1,073,519         ‐2.34% Jun 1,424,251        1,301,674         ‐8.61% Jul 1,642,231        1,565,684         ‐4.66% Aug 2,015,462        1,817,314         ‐9.83% Sep 2,251,751        2,031,969         ‐9.76% Oct 2,487,338        2,272,237         ‐8.65% Nov 2,708,242        2,501,966         ‐7.62% Dec 3,407,369        3,132,609         ‐8.06% Percent of budget expended 91.94% City Clerk Budget YTD Actual Annual %  over (under) Jan 78,434              62,018               ‐20.93% Feb 189,186           322,088           70.25% Mar 278,847           387,366           38.92% Apr 369,230           459,577           24.47% May 460,538           533,887           15.93% Jun 552,158           606,380           9.82% Jul 646,835           680,117           5.15% Aug 816,873           751,477           ‐8.01% Sep 832,467           825,121           ‐0.88% Oct 948,567           896,304           ‐5.51% Nov 1,045,159        976,122           ‐6.61% Dec 1,239,455        1,119,376        ‐9.69% Percent of budget expended 90.31% Includes Hearing Examiner  $‐  $0.20  $0.40  $0.60  $0.80  $1.00  $1.20  $1.40 Millions City Clerk Budget Actual Last Year  $‐  $0.40  $0.80  $1.20  $1.60  $2.00  $2.40  $2.80  $3.20  $3.60 Millions Finance Budget Actual Last Year Page 29 of 38 City of Renton Monthly Expenditure Analysis ‐ 2017 Budget Year Human  Resources Budget YTD Actual Annual %  over (under) Jan 89,142              87,874               ‐1.42% Feb 195,491           175,377            ‐10.29% Mar 317,705           273,335            ‐13.97% Apr 435,958           395,728            ‐9.23% May 545,888           492,849            ‐9.72% Jun 654,767           592,817            ‐9.46% Jul 763,876           699,070            ‐8.48% Aug 881,606           800,394            ‐9.21% Sep 989,949           905,158            ‐8.57% Oct 1,112,832        1,017,040         ‐8.61% Nov 1,220,753        1,116,195         ‐8.57% Dec 1,359,317        1,221,841         ‐10.11% Percent of budget expended 89.89% Police Budget YTD Actual Annual %  over (under) Jan 3,071,356        2,964,875         ‐3.47% Feb 5,823,299        5,600,968         ‐3.82% Mar 9,096,016        8,701,186        ‐4.34% Apr 11,881,396      11,416,735      ‐3.91% May 15,025,887      14,450,621      ‐3.83% Jun 17,918,154      17,182,081      ‐4.11% Jul 21,155,419      20,754,850      ‐1.89% Aug 23,988,157      23,624,806      ‐1.51% Sep 27,215,162      26,747,506      ‐1.72% Oct 30,107,802      29,482,171      ‐2.08% Nov 33,171,638      32,575,023      ‐1.80% Dec 36,680,126      35,794,490      ‐2.41% Percent of budget expended 97.59%  $‐  $0.20  $0.40  $0.60  $0.80  $1.00  $1.20  $1.40  $1.60 Millions Human Resources Budget Actual Last Year  $‐  $3  $6  $9  $12  $15  $18  $21  $24  $27  $30  $33  $36 Millions Police Budget Actual Last Year Page 30 of 38 City of Renton Monthly Expenditure Analysis ‐ 2017 Budget Year Community  Services Admin Budget YTD Actual Annual %  over (under) Jan 48,329              44,101               ‐8.75% Feb 101,910           84,711               ‐16.88% Mar 147,422           128,246            ‐13.01% Apr 190,653           168,961            ‐11.38% May 232,862           214,954            ‐7.69% Jun 272,191           254,219            ‐6.60% Jul 316,663           294,560            ‐6.98% Aug 360,730           336,379            ‐6.75% Sep 404,945           375,461            ‐7.28% Oct 448,567           415,405            ‐7.39% Nov 492,198           456,199            ‐7.31% Dec 563,654           554,951            ‐1.54% Percent of budget expended 98.46% Parks Budget YTD Actual Annual %  over (under) Jan 347,594           309,997            ‐10.82% Feb 721,741           630,236           ‐12.68% Mar 1,115,607        989,660           ‐11.29% Apr 1,515,120        1,374,644        ‐9.27% May 1,916,439        1,753,298        ‐8.51% Jun 2,361,763        2,138,544        ‐9.45% Jul 2,879,343        2,568,387        ‐10.80% Aug 3,372,507        3,023,118        ‐10.36% Sep 3,882,283        3,513,533        ‐9.50% Oct 4,333,779        3,918,443        ‐9.58% Nov 4,732,770        4,310,138        ‐8.93% Dec 5,179,955        4,816,736        ‐7.01% Percent of budget expended 92.99%  $‐  $1.00  $2.00  $3.00  $4.00  $5.00  $6.00 Millions Parks Budget Actual Last Year $0 $100,000 $200,000 $300,000 $400,000 $500,000 $600,000 Community Services Admin Budget Actual Last Year Page 31 of 38 City of Renton Monthly Expenditure Analysis ‐ 2017 Budget Year Parks Planning  and Natural  Resources Budget YTD Actual Annual %  over (under) Jan 66,732              53,458               ‐19.89% Feb 141,820           140,186            ‐1.15% Mar 228,022           204,477            ‐10.33% Apr 302,447           289,729            ‐4.20% May 420,850           369,879            ‐12.11% Jun 528,260           461,775            ‐12.59% Jul 633,665           554,297            ‐12.53% Aug 754,109           667,579            ‐11.47% Sep 878,846           758,713            ‐13.67% Oct 1,003,331        841,880            ‐16.09% Nov 1,116,062        938,972            ‐15.87% Dec 1,269,569        1,059,058         ‐16.58% Percent of budget expended 83.42% Recreation Budget YTD Actual Annual %  over (under) Jan 375,392           347,558           ‐7.41% Feb 777,039           729,951           ‐6.06% Mar 1,194,529        1,120,569        ‐6.19% Apr 1,621,359        1,523,454        ‐6.04% May 2,043,886        1,886,814        ‐7.68% Jun 2,507,300        2,298,110        ‐8.34% Jul 3,180,141        2,894,508        ‐8.98% Aug 3,874,805        3,510,278        ‐9.41% Sep 4,439,159        4,067,733        ‐8.37% Oct 4,857,478        4,466,281        ‐8.05% Nov 5,275,717        4,862,184        ‐7.84% Dec 5,720,955        5,278,631        ‐7.73% Percent of budget expended 92.27%  $‐  $200,000  $400,000  $600,000  $800,000  $1,000,000  $1,200,000  $1,400,000 Parks Planning and Natural Resources Budget Actual Last Year $0.00 $0.50 $1.00 $1.50 $2.00 $2.50 $3.00 $3.50 $4.00 $4.50 $5.00 $5.50 $6.00 $6.50 Millions Recreation Budget Actual Last Year Page 32 of 38 City of Renton Monthly Expenditure Analysis ‐ 2017 Budget Year Human  Services Budget YTD Actual Annual %  over (under) Jan 87,480              98,615              12.73% Feb 212,007           170,784            ‐19.44% Mar 356,597           256,318            ‐28.12% Apr 551,768           333,897            ‐39.49% May 648,316           513,338            ‐20.82% Jun 736,970           584,702            ‐20.66% Jul 889,239           754,865            ‐15.11% Aug 1,021,687        879,654            ‐13.90% Sep 1,115,105        940,189            ‐15.69% Oct 1,332,980        1,125,006         ‐15.60% Nov 1,438,714        1,256,572         ‐12.66% Dec 1,688,578        1,634,387         ‐3.21% Percent of budget expended 96.79% Neighborhoods , Resources,  and Events Budget YTD Actual Annual %  over (under) Jan 85,560              60,703              ‐29.05% Feb 191,666           125,601           ‐34.47% Mar 284,838           198,834           ‐30.19% Apr 364,363           266,753           ‐26.79% May 456,960           337,861           ‐26.06% Jun 550,630           414,589           ‐24.71% Jul 694,993           526,036           ‐24.31% Aug 811,349           631,442           ‐22.17% Sep 917,991           727,920           ‐20.71% Oct 1,016,269        804,485           ‐20.84% Nov 1,105,244        875,044           ‐20.83% Dec 1,264,095        983,864           ‐22.17% Percent of budget expended 77.83%  $‐  $0.20  $0.40  $0.60  $0.80  $1.00  $1.20  $1.40  $1.60  $1.80 Millions Human Services Budget Actual Last Year  $‐  $200,000  $400,000  $600,000  $800,000  $1,000,000  $1,200,000  $1,400,000 Neighborhoods, Resources, and Events Budget Actual Last Year Page 33 of 38 City of Renton Monthly Expenditure Analysis ‐ 2017 Budget Year Museum Fund Budget YTD Actual Annual %  over (under) Jan 19,490              19,400               ‐0.46% Feb 38,851              39,555              1.81% Mar 57,801              59,213              2.44% Apr 77,036              79,223              2.84% May 96,758              97,324              0.59% Jun 116,580           115,602            ‐0.84% Jul 136,413           135,354            ‐0.78% Aug 156,373           155,172            ‐0.77% Sep 176,366           175,375            ‐0.56% Oct 196,623           195,468            ‐0.59% Nov 216,498           215,835            ‐0.31% Dec 236,275           235,712            ‐0.24% Percent of budget expended 99.76% Public Works  Admin Budget YTD Actual Annual %  over (under) Jan 33,358              33,498              0.42% Feb 68,245              67,352              ‐1.31% Mar 102,054           101,914           ‐0.14% Apr 135,775           135,878           0.08% May 169,617           169,665           0.03% Jun 203,557           203,650           0.05% Jul 237,559           237,592           0.01% Aug 272,046           271,835           ‐0.08% Sep 306,358           306,988           0.21% Oct 339,748           340,310           0.17% Nov 373,069           373,534           0.12% Dec 406,398           406,781           0.09% Percent of budget expended 100.09%  $‐  $50,000  $100,000  $150,000  $200,000  $250,000  $300,000  $350,000  $400,000  $450,000 Public Works Admin Budget Actual Last Year  $‐  $30,000  $60,000  $90,000  $120,000  $150,000  $180,000  $210,000  $240,000 Museum Fund Budget Actual Last Year Page 34 of 38 City of Renton Monthly Expenditure Analysis ‐ 2017 Budget Year Street  Maintenance Budget YTD Actual Annual %  over (under) Jan 439,569           408,757            ‐7.01% Feb 886,721           920,483           3.81% Mar 1,366,996        1,383,891        1.24% Apr 1,835,020        1,913,150        4.26% May 2,295,588        2,408,369        4.91% Jun 2,759,772        2,877,748        4.27% Jul 3,256,692        3,319,755        1.94% Aug 3,742,444        3,780,074        1.01% Sep 4,214,166        4,250,178        0.85% Oct 4,682,566        4,698,648        0.34% Nov 5,131,438        5,132,052        0.01% Dec 5,636,437        5,603,141         ‐0.59% Percent of budget expended 99.41% Transportation Budget YTD Actual Annual %  over (under) Jan 340,428           326,959            ‐3.96% Feb 706,499           694,002            ‐1.77% Mar 1,247,152        1,046,712        ‐16.07% Apr 1,619,928        1,531,026        ‐5.49% May 2,095,850        2,065,482        ‐1.45% Jun 2,513,261        2,511,785        ‐0.06% Jul 2,960,840        2,953,908        ‐0.23% Aug 3,404,337        3,395,218        ‐0.27% Sep 3,854,060        3,825,910        ‐0.73% Oct 4,693,977        4,215,981        ‐10.18% Nov 5,071,355        4,645,164        ‐8.40% Dec 5,669,897        5,368,887        ‐5.31% Percent of budget expended 94.69%  $‐  $1.00  $2.00  $3.00  $4.00  $5.00  $6.00 Millions Street Maintenance Budget Actual Last Year $0.0 $1.0 $2.0 $3.0 $4.0 $5.0 $6.0 Millions Transportation Budget Actual Last Year Page 35 of 38 City of Renton Monthly Expenditure Analysis ‐ 2017 Budget Year Debt Service Budget YTD Actual Annual %  over (under) Jan 21,541              41,377              92.08% Feb 137,629           291,694           111.94% Mar 137,629           293,691           113.39% Apr 141,519           293,691           107.53% May 3,312,566        293,691            ‐91.13% Jun 3,581,050        859,786            ‐75.99% Jul 3,699,981        1,111,163         ‐69.97% Aug 3,816,069        1,361,480         ‐64.32% Sep 3,817,680        1,361,480         ‐64.34% Oct 3,869,714        1,361,480         ‐64.82% Nov 3,869,714        1,361,480         ‐64.82% Dec 6,066,629        6,063,576         ‐0.05% Percent of budget expended 99.95% Non‐ Departmental  Other City Budget YTD Actual Annual %  over (under) Jan 631,657           301,517           ‐52.27% Feb 1,039,514        531,962           ‐48.83% Mar 1,520,046        776,618           ‐48.91% Apr 1,911,216        1,072,621        ‐43.88% May 2,461,701        1,356,243        ‐44.91% Jun 3,593,992        1,617,036        ‐55.01% Jul 7,282,408        1,892,140        ‐74.02% Aug 7,504,555        2,160,209        ‐71.21% Sep 7,963,448        2,411,010        ‐69.72% Oct 8,304,853        2,637,698        ‐68.24% Nov 8,645,325        2,884,877        ‐66.63% Dec 16,795,551      14,245,763      ‐15.18% Percent of budget expended 84.82%  $‐  $2.00  $4.00  $6.00  $8.00  $10.00  $12.00  $14.00  $16.00  $18.00 Millions Non‐Departmental Other City Services Budget Actual Last Year  $‐  $1  $2  $3  $4  $5  $6  $7 Millions Debt Service Budget Actual Last Year Page 36 of 38 City of Renton Monthly Enterprise Fund Financial Report ‐ 2017 Budget Year Utilities Budget Revenue Expense Jan 4,571,586        6,899,538      3,629,075       Feb 11,110,840      13,370,807    7,900,322       Mar 17,641,639      19,032,931    12,269,408     Apr 24,067,140      24,791,562    19,152,344     May 30,676,489      31,698,603    24,885,271     Jun 40,496,131      38,440,101    31,089,893     Jul 47,776,948      45,643,871    38,955,538     Aug 61,130,459      53,462,764    45,109,789     Sep 73,377,308      67,860,074    55,682,855     Oct 96,911,662      74,684,009    60,779,840     Nov 104,294,910    80,889,839    68,104,579     Dec 119,106,836    89,348,593    77,023,932     Percent of budget expended 44.19% Note:  Operations and Capital Airport Budget Revenue Expense Jan 288,895           255,451          164,122           Feb 697,977           475,859          305,251           Mar 1,160,641        696,609          405,972           Apr 1,606,298        933,649          560,448           May 1,968,738        1,172,554      700,195           Jun 2,393,975        1,404,923      836,327           Jul 2,822,454        1,639,436      1,063,741       Aug 3,228,920        1,881,075      1,197,935       Sep 3,781,625        2,105,294      1,387,856       Oct 4,374,658        2,362,338      1,521,287       Nov 4,712,186        2,493,557      1,815,431       Dec 5,688,023        2,887,478      2,047,631       Percent of budget expended 36.00% Note:  Operations and Capital $0 $10 $20 $30 $40 $50 $60 $70 $80 $90 $100 $110 $120 $130 Millions Utilities Budget Revenue Expense  $‐  $1.00  $2.00  $3.00  $4.00  $5.00  $6.00 Millions Airport Budget Revenue Expense Page 37 of 38 City of Renton Monthly Enterprise Fund Financial Report ‐ 2017 Budget Year Golf Course Budget Revenue Expense Jan 137,464           60,345            141,202           Feb 293,683           133,495          325,022           Mar 489,627           226,967          523,715           Apr 658,337           415,629          739,488           May 838,487           699,291          933,160           Jun 1,035,356        975,459          1,181,928       Jul 1,262,542        1,367,250      1,387,578       Aug 1,469,281        1,669,761      1,625,803       Sep 1,655,432        1,909,731      1,845,472       Oct 1,851,777        1,984,668      2,030,657       Nov 2,026,038        2,092,489      2,213,714       Dec 2,630,288        2,261,901      2,293,722       Percent of budget expended 87.20% Note:  Operations and Capital  $‐  $0.30  $0.60  $0.90  $1.20  $1.50  $1.80  $2.10  $2.40  $2.70  $3.00 Millions Golf Course Budget Revenue Expense Page 38 of 38