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HomeMy WebLinkAbout201312, December.pdfADMINISTRATIVE SERVICES  DEPARTMENT    M   E   M   O   R   A   N   D   U   M       DATE: February 24, 2014    TO: Don Persson, Council President  Members of the Renton City Council     CC: Denis Law, Mayor  Administrators     FROM: Hai Nguyen, Sr. Finance Analyst     SUBJECT: December 2013 Financial Status Report       At the end of December, general governmental revenues show $2.1 million or 2% over budget.   Revenues sources that are higher than expected are: property tax ($244k); sales tax ($212k);  sales tax annexation credit ($299k); utility taxes ($181k); real estate excise tax ($1.3 million);  building permits & development service fees ($378k); public safety services including FD25 &  FD40 contacts ($123k); interfund services ($151k); and other miscellaneous ($168k).  On the  down side, the revenue sources that are underperforming the year to date budget are:  gambling taxes ($280k below); culture/recreation services ($124k below); fines/penalties  ($292k below); seizure funds ($130k below, restricted to drug enforcement only and is not  available for general operating purposes) and interest ($322k below).    General government expenditures showed a favorable variance of $2.6 million or 2.5%.  See  page 9 of report for further expenditure over‐spent 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.         This page is intentionally left blank        General Governmental Funds $% Beginning Fund Balance 11,407,119$     11,407,119$  11,057,551$       11,057,551$  10,751,945$    15,575,839$       15,575,839$    ‐                      0.0% OPERATING REVENUES Property Tax 32,357,894        32,357,894     33,466,364          33,466,364     31,741,366       32,241,366          32,485,690      244,324          0.8% Sales  Tax 17,729,731        17,729,731     18,564,670          18,564,670     18,604,000       20,204,000          20,416,372      212,373          1.1% Sales Tax ‐ Annexation Credit 2,033,954           2,033,954        2,208,492             2,208,492        2,119,680          2,119,680             2,418,789         299,109          14.1% Criminal Justice Sales  Tax 1,809,757           1,809,757        1,924,470             1,924,470        1,932,500          1,932,500             2,091,174         158,674          8.2% Natural  Gas Use Tax 249,407                249,407            272,530                  272,530             300,000               300,000                  263,660             (36,340)            ‐12.1% Admission Tax 308,200                308,200            311,054                  311,054             308,000               308,000                  327,258             19,258             6.3% Franchise Fees 1,234,448           1,234,448        1,262,188             1,262,188        1,260,000          1,260,000             1,312,727         52,727             4.2% Electricity Tax 5,166,711           5,166,711        5,211,111             5,211,111        5,468,000          5,218,000             5,155,789         (62,211)            ‐1.2% Natural Gas Utility Tax 1,848,806           1,848,806        1,669,967             1,669,967        1,656,000          1,456,000             1,550,900         94,900             6.5% Transfer Station 297,474                297,474            330,607                  330,607             300,000               300,000                  397,596             97,596             32.5% TV Cable 1,385,275           1,385,275        1,423,664             1,423,664        1,477,648          1,477,648             1,481,779         4,131                0.3% Telephone 966,827                966,827            1,056,420             1,056,420        1,000,000          1,000,000             917,021             (82,979)            ‐8.3% Cellular Phone 2,054,183           2,054,183        2,183,853             2,183,853        2,200,000          2,000,000             2,050,312         50,312             2.5% City Utilities 3,516,179           3,516,179        3,806,281             3,806,281        3,849,014          3,849,014             3,964,989         115,975          3.0% Leasehold Excise  Tax 162,593                162,593            158,849                  158,849             145,000               145,000                  164,637             19,637             13.5% Gambling Excise  Tax 1,671,414           1,671,414        1,691,209             1,691,209        1,600,000          1,600,000             1,319,585         (280,415)          ‐17.5% Real Estate Excise  Tax 2,074,059           2,074,059        2,811,902             2,811,902        2,600,000          2,600,000             4,131,665         1,531,665      58.9% Less: CIP REET (400,000)              (400,000)           (943,792)                (943,792)           (500,000)             (500,000)                (700,000)            (200,000)         40.0% EMS Levy 868,873                868,873            885,781                  885,781             900,000               900,000                  916,361             16,361             1.8% Business  License Fees 442,451                442,451            444,680                  444,680             533,067               533,067                  503,766             (29,301)            ‐5.5% Animal  Licenses and Spec Events  Permits 92,385                   92,385               91,835                     91,835                90,000                  90,000                     99,411                9,411                10.5% Building Permits & Development Svc Fees 2,912,928           2,912,928        3,552,369             3,552,369        3,080,188          3,623,413             4,001,625         378,212          10.4% Intergovt'l (Grants, State Shared, etc) 4,737,323           4,737,323        4,593,185             4,593,185        2,670,330          4,042,227             3,863,974         (178,253)         ‐4.4% Fire District 25 and 40 Contracts 6,110,668           6,110,668        6,155,621             6,155,621        5,865,056          5,865,056             5,726,895         (138,161)         ‐2.4% Public Safety 484,985                484,985            485,899                  485,899             380,229               419,229                  680,581             261,352          62.3% Culture and Recreation 1,493,540           1,493,540        1,494,165             1,494,165        1,633,486          1,618,486             1,494,580         (123,906)         ‐7.7% Interfund/Interdept‐Services 3,070,506           3,070,506        3,311,715             3,311,715        3,004,214          3,313,830             3,464,913         151,083          4.6% Fines  and Penalties 1,163,602           1,163,602        1,046,246             1,046,246        1,108,500          1,108,500             1,137,140         28,640             2.6% Photo Enforcement 1,897,782           1,897,782        1,976,203             1,976,203        1,950,000          1,950,000             1,629,524         (320,476)         ‐16.4% Seizure Funds ‐ Federal/State/Local 83,220                   83,220               37,941                     37,941                180,693               180,693                  50,639                (130,054)         ‐72.0% Interests and Other Earnings 107,183                107,183            342,424                  342,424             645,300               745,300                  423,609             (321,691)         ‐43.2% Rents, Leases, and Concessions 744,834                744,834            822,428                  822,428             657,929               650,929                  734,530             83,601             12.8% Contributions and Donations 196,586                196,586            124,082                  124,082             87,000                  94,665                     84,320                (10,345)            ‐10.9% Other Miscellaneous 529,147                529,147            564,571                  564,571             516,369               516,369                  684,187             167,818          32.5% Other Financing Sources  (Transfer‐In, etc) 1,073,507           1,073,507        5,118,188             5,118,188        250,000               274,868                  299,527             24,659             9.0% Total  Operating Revenues 100,476,431     100,476,431  108,457,170       108,457,170  99,613,569       103,437,840       105,545,527   2,107,688      2.0% OPERATING EXPENDITURES Council 271,236                271,236            278,768                  278,768             289,114               290,291                  289,911             380                     0.1% Executive 1,566,906           1,566,906        1,377,109             1,377,109        1,318,832          1,322,364             1,240,910         81,454             6.2% City Attorney 1,596,609           1,596,609        1,706,320             1,706,320        1,872,973          1,915,103             1,922,225         (7,123)               ‐0.4% Court Services 2,084,170           2,084,170        2,074,980             2,074,980        2,009,664          2,026,149             2,003,104         23,045             1.1% Community and Eco Dvlpmnt Admin 929,814                929,814            942,071                  942,071             1,017,853          1,040,208             1,047,860         (7,652)               ‐0.7% Development Services 2,810,736           2,810,736        3,103,568             3,103,568        2,966,891          3,358,299             3,243,702         114,597          3.4% Economic Development 659,981                659,981            529,043                  529,043             546,986               550,280                  467,511             82,768             15.0% Planning 1,447,781           1,447,781        1,482,233             1,482,233        1,454,717          1,541,592             1,510,707         30,885             2.0% Finance 2,134,667           2,134,667        2,221,882             2,221,882        1,952,608          2,242,682             2,274,147         (31,465)            ‐1.4% City Clerk1 796,758                796,758            997,434                  997,434             1,056,822          1,101,505             1,020,822         80,683             7.3% Human Resources 888,252                888,252            937,412                  937,412             971,207               977,094                  904,182             72,912             7.5% Police 24,737,346        24,737,346     25,004,580          25,004,580     24,833,698       25,379,201          24,946,784      432,418          1.7% Jail Services 6,206,735           6,206,735        3,489,616             3,489,616        3,750,000          3,750,000             3,814,042         (64,042)            ‐1.7% Fire 22,511,597        22,511,597     24,173,315          24,173,315     24,043,143       24,639,458          24,444,372      195,085          0.8% Community Services  Admin 416,284                416,284            434,558                  434,558             448,556               454,878                  452,146             2,732                0.6% Parks 3,829,676           3,829,676        4,004,054             4,004,054        4,109,908          4,155,186             4,024,756         130,430          3.1% Parks Planning & Natural  Resources 551,423                551,423            577,934                  577,934             662,852               934,005                  829,250             104,755          11.2% Recreation 4,974,002           4,974,002        4,982,229             4,982,229        5,070,152          5,120,246             4,846,970         273,276          5.3% Human Services 1,247,294           1,247,294        1,193,871             1,193,871        1,124,509          1,275,816             1,162,330         113,485          8.9% Neighborhoods, Resources, & Events 675,534                675,534            701,673                  701,673             884,968               914,955                  770,841             144,114          15.8% Library 2,030,000           2,030,000        278,604                  278,604              ‐                           ‐                              ‐                         ‐                      0.0% Museum 210,620                210,620            216,887                  216,887             209,903               217,167                  209,387             7,780                3.6% Public Works Admin 452,538                452,538            470,051                  470,051             479,503               483,035                  426,312             56,723             11.7% Street Maintenance 3,534,025           3,534,025        3,755,640             3,755,640        4,264,927          4,294,894             3,814,132         480,762          11.2% Transportation 4,509,066           4,509,066        4,615,160             4,615,160        4,531,004          4,579,081             4,476,854         102,227          2.2% Debt Service 4,822,566           4,822,566        9,752,337             9,752,337        8,001,433          8,073,283             8,048,508         24,775             0.3% Non‐Departmental and Other 4,930,383           4,930,383        4,637,555             4,637,555        1,741,350          5,641,350             5,475,340         166,010          2.9% Total  Operating Expenditures 100,825,999     100,825,999  103,938,882       103,938,882  99,613,569       106,278,122       103,667,105   2,611,017      2.5% Total  Ending Fund Balance 11,057,551$     11,057,551$  15,575,840$       15,575,840$  10,751,945$    12,735,557$       17,454,262$   4,718,705$   37.1% 1Hearing Examiner is reported under City Clerk 2011 2012 2013 Variance Summary of Sources and Uses Annual Actual YTD Actual Annual Actual YTD Actual Original Budget Adjusted Budget YTD Actual Favorable (Unfavorable) Monthly Financial Report December 2013 Page 1 of 39 Monthly Financial Report December 2013        OVERVIEW  This financial overview reflects the City’s overall financial position for the fiscal year through December 31, 2013.  Except as  noted, year‐to‐date budgeted (adjusted) revenues and operating expenditures are generally based on the  collection/disbursement patterns for the same period of the preceding year.  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 74% 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 $443k, making  the total year‐to‐date collection $32  million or 100.8% of the total budget.  In  comparison to the previous year, the City  collected $981k or 3% less.  Compared to  the budget, the City is above projections  by $244k or 1%.  2013’s monthly budgets  are based on 2010 through 2012  collections.  The variance from the  monthly budget is due the timing of  collections.                Sales Tax  December 2013 sales tax receipts totalled  $1.7 million.  Compared with the same  month last year, it is $61k or 4% more.   Compared to the projected current  month’s budget, it is $18k or 1% below.   The year‐to‐date collection of $20.4  million is $1.9 million or 10% more than  the prior year and is also $212k or 1%  more than budgeted.  The increase is  primarily attributed to several major  projects underway in both Building  Construction and Heavy and Civil  projects, which account for $646k of the  budget variance.  Another item is a 1‐ time audit correction in the  manufacturing sector for 2012 that  reduced activity in 2012 by $131k.  If we remove all of these items, we are $1 million or 6% over 2012 and $434k or 2% less  than budget.    2012 2013 2013 Actual Budget Actual $ % $ % Jan 149,112$         221,893$         154,945$         5,834$              4% (66,948)$        ‐30% Feb 85,577               242,361            25,020               (60,557)             ‐71% (217,341)        ‐90% Mar 880,380            759,716            917,901            37,521              4% 158,184         21% Apr 10,012,008     8,585,815        9,887,324       (124,683)          ‐1% 1,301,510    15% May 6,131,450        6,914,733        5,780,361       (351,089)          ‐6% (1,134,372)    ‐16% Jun 43,203               70,657               88,480               45,277              105% 17,824            25% Jul 446,717            221,732            100,047            (346,670)          ‐78% (121,685)        ‐55% Aug (51,143)              13,834               58,101               109,245            ‐214% 44,267            320% Sep 545,753            422,377            548,071            2,319                 0% 125,695         30% Oct 9,734,384        7,525,042        10,140,892    406,508           4% 2,615,850    35% Nov 5,123,725        6,932,969        4,341,474       (782,251)          ‐15% (2,591,495)    ‐37% Dec 365,200            330,238            443,072            77,873              21% 112,835         34% YTD Total 33,466,364$  32,241,366$  32,485,690$ (980,674)$       ‐3% 244,324$      1% Annual  Total 33,466,364$  32,241,366$   Property Tax  Revenues Year to Date through December 2013 vs. 2012 2013 vs. Budget Month 2012 2013 2013 Actual Budget Actual $ % $ % Jan 1,327,548$     1,535,829$     1,620,555$     293,007$      22% 84,726$         6% Feb 1,923,714        2,091,944        1,962,886        39,173            2% (129,058)         ‐6% Mar 1,303,820        1,497,931        1,536,397        232,577         18% 38,466            3% Apr 1,370,731        1,576,194        1,509,953        139,222         10% (66,242)            ‐4% May 1,599,184        1,762,738        1,732,058        132,874         8% (30,680)            ‐2% Jun 1,482,794        1,598,730        1,552,807        70,013            5% (45,923)            ‐3% Jul 1,505,142        1,574,693        1,647,860        142,718         9% 73,166            5% Aug 1,583,903        1,733,831        1,833,347        249,443         16% 99,516            6% Sep 1,472,566        1,628,004        1,741,262        268,697         18% 113,259         7% Oct 1,660,941        1,729,689        1,790,411        129,470         8% 60,722            4% Nov 1,709,049        1,770,504        1,802,768        93,719            5% 32,264            2% Dec 1,625,280        1,703,913        1,686,069        60,789            4% (17,844)            ‐1% YTD  Total 18,564,670$  20,204,000$  20,416,372$  1,851,702$  10% 212,373$      1% Annual Total 18,564,670$  20,204,000$   2013 vs. Budget2013 vs. 2012 Month Year to Date through December Local Retail Sales  Tax  Revenues Page 2 of 39 Monthly Financial Report December 2013      The following table breaks out the City’s base sales tax (excluding Criminal Justice and Annexation Credit) by major business  sectors:  Sales  Tax  by Sector 2012 2013 Bgt YTD Act Change  2013/2012 2013 Act vs  Bgt New Construction 1,844,545$     2,647,231$     2,694,710$     850,166$       46%$           47,480 2% Auto Sales 3,361,196        3,668,047        3,731,241        370,045          11%              63,194 2% General Retail 6,482,942        6,576,429        6,577,601        94,659             1%                 1,173 0% Manufacturing 1,043,859        1,296,515        1,323,363        279,504          27%              26,848 2% Wholesale 1,169,431        1,173,619        1,174,007        4,576                0%                      388 0% Service 4,221,446        4,331,078        4,362,344        140,898          3%              31,266 1% Other 441,252            511,082            553,106            111,855          25%              42,024 8% YTD Total 18,564,670$  20,204,000$  20,416,372$  1,851,702$  10%212,373$        1% Note: Excludes  Annexation Credit and Criminal Justice Sales  Tax  revenue.        Utility tax   December utility tax revenues are $1.5  million, which is $44k or 3% lower than  the same month last year and is also  behind the budget by $17k or 1%.  The  year‐to‐date collection is $15.8 million,  which is $172k or 1% lower than the prior  year but is $181k or 1% higher than the  budget.                      The table below breaks out Utility Tax by source.      Utility Tax  by Type 2012 2013 Bgt YTD  Act Change  2013/2012 2013 Act  vs  Bgt  Electrical 5,211,111$     5,218,000$     5,155,789$     (55,322)$         ‐1%$         (62,211)‐1% Natural  Gas 1,942,497        1,756,000        1,814,561        (127,936)        ‐7%              58,561 3% Cell 2,183,853        2,000,000        2,050,312        (133,540)        ‐6%              50,312 3% Phone 1,056,420        1,000,000        917,021            (139,399)         ‐13%            (82,979)‐8% Cable 1,423,664        1,477,648        1,481,779        58,114             4%                 4,131 0% Transfer Station 330,607            300,000            397,596            66,989             20%              97,596 33% City Utilities 3,806,281        3,849,014        3,964,989        158,708          4%           115,975 3% YTD Total 15,954,432$  15,600,662$  15,782,047$  (172,386)$     ‐1%181,385$        1% Annual Total 15,954,432$  15,600,662$   YTD as % of 100% 100%      2012 2013 2013 Actual Budget Actual $ % $ % Jan 1,469,178$     1,422,818$      1,277,860$     (191,318)$   ‐13% (144,958)$   ‐10% Feb 1,512,539        1,426,084         1,462,236        (50,302)         ‐3% 36,152         3% Mar 1,438,515        1,402,697         1,193,129        (245,387)      ‐17% (209,569)      ‐15% Apr 1,384,240        1,350,579         1,545,257        161,017      12% 194,677      14% May 1,394,109        1,363,203         1,338,923        (55,185)         ‐4% (24,279)        ‐2% Jun 1,108,588        1,104,507         1,189,847        81,259         7% 85,340         8% Jul 1,340,939        1,315,082         1,259,713        (81,225)         ‐6% (55,369)        ‐4% Aug 1,153,724        1,144,258         1,280,207        126,484      11% 135,950      12% Sep 1,301,158        1,284,116         1,433,293        132,136      10% 149,177      12% Oct 1,126,772        1,116,965         1,072,773        (53,999)         ‐5% (44,192)        ‐4% Nov 1,196,932        1,168,940         1,244,671        47,739         4% 75,732         6% Dec 1,527,740        1,501,412         1,484,137        (43,603)         ‐3% (17,275)        ‐1% YTD  Total 15,954,432$  15,600,662$   15,782,047$  (172,386)$  ‐1% 181,385$   1% Annual Total 15,954,432$  15,600,662$    2013 vs. Budget2013 vs. 2012 Year to Date through December Utility Tax Revenues Month Page 3 of 39 Monthly Financial Report December 2013      Other Taxes     Real Estate Excise Tax  The City collected $1.2 million in Real  Estate Excise Tax revenues (REET) for  December.  This is $997k or 397% above  the same month last year and is also $1.1  million or 684% more than the current  month’s budget.  The year‐to‐date  collection is $4.1 million, which is $1.3  million or 47% more than the prior year  and is also $1.5 million or 59% above the  budget.  The large receipt in December is  due to 3 large transactions that netted the  City about $1 million more than  anticipated.          Gambling Tax  December’s Gambling Tax collections  totalled $151k, which is $2k or 1%  below the same month last year but is  $7k or 5% above the current month’s  budget.  The year‐to‐date total of $1.3  million is $372k or 22% below the year  before and is also $280k or 18% below  budget.  The decline in revenue is  mainly due to payment plans with two  (2) establishments that will be paid in  full by March 2015.  The City is also  seeing a decline in overall activity.    Pull tabs overall had a 2% decrease,  bingo decreased by 8%, and card‐ rooms are seeing 35% lower in  activities when compared to the prior year.        Franchise Fees  Franchise Fees are due quarterly and  the year‐to‐date revenue collections  are $1.3 million or 104% of the  budget.  This is $51k or 4% higher than  the prior year and is also $53k or 4%  above the projected year‐to‐date  budget.   2012 2013 2013 Actual Budget Actual $ % $ % Jan 77,631$         78,153$         134,099$      56,468$         73% 55,946$         72% Feb 214,137         215,578         262,229         48,092            22% 46,651            22% Mar 203,583         204,953         228,077         24,494            12% 23,124            11% Apr 194,868         196,179         197,659         2,791               1% 1,480               1% May 253,446         255,151         285,948         32,501            13% 30,796            12% Jun 347,179         349,515         347,890         711                    0% (1,625)              0% Jul 177,839         179,036         263,807         85,967            48% 84,771            47% Aug 222,933         224,433         294,056         71,123            32% 69,623            31% Sep 173,212         174,377         254,318         81,106            47% 79,941            46% Oct 326,027         300,429         272,776         (53,251)            ‐16% (27,653)            ‐9% Nov 370,123         263,005         342,535         (27,588)            ‐7% 79,530            30% Dec 250,922         159,190         1,248,272     997,350         397% 1,089,082     684% YTD  Total 2,811,902$  2,600,000$  4,131,665$  1,319,763$  47% 1,531,665$  59% Annual  Total 2,811,902$  2,600,000$   Month 2013 vs. Budget2013 vs. 2012 Real Estate Excise  Tax  Revenues Year  to Date through December 2012 2013 2013 Actual Budget Actual $ % $ % Jan 175,959$      166,470$      133,504$      (42,455)$      ‐24% (32,965)$      ‐20% Feb 143,837         136,080         73,730            (70,107)         ‐49% (62,350)         ‐46% Mar 98,279            92,979            111,294         13,014         13% 18,315         20% Apr 156,498         148,058         159,655         3,158            2% 11,598         8% May 101,088         95,636            97,660            (3,428)           ‐3% 2,024            2% Jun 127,372         120,502         60,074            (67,298)        ‐53% (60,428)        ‐50% Jul 161,244         152,548         89,157            (72,087)        ‐45% (63,391)        ‐42% Aug 146,526         138,623         99,930            (46,596)        ‐32% (38,694)        ‐28% Sep 162,540         153,774         116,204         (46,336)        ‐29% (37,570)        ‐24% Oct 87,494            82,776            112,141         24,647         28% 29,365         35% Nov 177,352         167,787         114,909         (62,443)        ‐35% (52,878)        ‐32% Dec 153,019         144,767         151,327         (1,692)           ‐1% 6,560            5% YTD Total 1,691,209$  1,600,000$  1,319,585$  (371,624)$  ‐22% (280,415)$  ‐18% Annual  Total 1,691,209$  1,600,000$   2013 vs. 2012 2013 vs. Budget Gambling Tax Revenue Month Year to Date through December 2012 2013 2013 Actual Budget Actual $ % $ % Jan 300,392$      299,872$      314,269$      13,877$      5% 14,397$      5% Feb ‐                      ‐                     200                    200                 100% 200                 100% Mar ‐                      ‐                     892                    892                 100% 892                 100% Apr 299,534         299,015         311,986         12,452         4% 12,971         4% Jul 305,065         304,536         315,694         10,630         3% 11,158         4% Oct 309,001         308,466         321,202         12,200         4% 12,736         4% Dec 48,195            48,111            48,484            289                 1% 373                 1% YTD  Total 1,262,188$  1,260,000$  1,312,727$  50,540$      4% 52,727$      4% An nual  Total 1,262,188$  1,260,000$   Franchise  Fees  Revenue Year to Date through December Month 2013 vs. 2012 2013 vs. Budget Page 4 of 39 Monthly Financial Report December 2013      Admission Tax   Admission Tax returns are due  quarterly in January, April, July, and  October of each year.  October 2013  collections represent activities  conducted during the 3rd quarter of  2013.  The year‐to‐date collection of  $327k is $17k or 5% more than the  prior year and is also $20k or 6% more  than the budget.          Licenses and Permits    Building Permits and Development Service  Fees  Building Permits and Development Service  Fee revenues totalled $348k in December.   The year‐to‐date development fees  revenue of $4 million is $449k or 13% more  than the year before and is also $378k or  10% higher than budget.  The higher than  expected fees are due to collecting more in  general building permits, electrical permits,  street excavations, and plan check fees.                      Business Licenses  Business Licenses totalled $4k for December,  which is $839 or 25% above the same month  last year and is also $168 or 4% above the  current month’s budget.  The year‐to‐date  Business Licenses revenue of $504k is $59k  or 13% above the prior year but is $29k or  5% lower than the budget.  The variance for  July is due to correcting the percentages  distributed between the General fund and  Transportation CIP fund.      2012 2013 2013 Actual Budget Actual $ % $ % Jan 88,676$         106,302$      95,381$     6,705$      8% (10,921)$   ‐10% Feb 24,251            29,071            40,658        16,407      68% 11,587      40% Mar 4,927               5,906               12,441        7,515         153% 6,535         111% Apr 89,003            106,694         102,648     13,644      15% (4,047)         ‐4% May 2,645               3,171               33,354        30,709      1161% 30,183      952% Jun 3,377               4,048               5,701           2,324         69% 1,653         41% Jul 98,553            118,142         52,586        (45,967)     ‐47% (65,556)      ‐55% Aug 14,550            17,442            29,210        14,661      101% 11,769      67% Sep 3,197               3,833               4,236           1,039         32% 403              11% Oct 99,644            119,450         109,998     10,354      10% (9,452)         ‐8% Nov 12,484            14,965            13,342        858              7% (1,623)         ‐11% Dec 3,372               4,042               4,211           839              25% 168              4% YTD  Total 444,680$      533,067$      503,766$  59,086$   13% (29,301)$  ‐5% Annual Total 444,680$      533,067$       Business  Licenses Month 2013 vs. 2012 Year to Date through December 2013 vs. Budget 2012 2013 2013 Actual Budget Actual $ % $ % Jan 73,420$         72,699$         82,440$         9,020$         12% 9,741$         13% Feb 934                    925                     ‐                      Apr 80,352            79,563            70,311            (10,041)         ‐12% (9,252)            ‐12% Jul 81,104            80,307            87,473            6,370            8% 7,166            9% Aug ‐                      ‐                     76                       76                    100% 76                    100% Oct 74,001            73,275            85,616            11,615         16% 12,342         17% Nov ‐                      ‐                     1,192               1,192            100% 1,192            100% Dec 1,244               1,232               149                    (1,095)            ‐88% (1,083)            ‐88% YTD Total 311,054$      308,000$      327,258$      17,138$      5% 20,182$      6% Annual  Total 311,054$      308,000$       Month 2013 vs. 2012 2013 vs. Budget Admission Tax  Revenue Year to Date through December 2012 2013 2013 Actual Budget Actual $ % $ % Jan 174,925$           185,998$      327,584$      152,659$   87% 141,586$   76% Feb 200,852              214,820         230,039         29,187         15% 15,220         7% Mar 281,861              283,121         305,085         23,224         8% 21,964         8% Apr 265,286              281,570         367,165         101,879      38% 85,595         30% May 292,030              270,456         386,735         94,705         32% 116,280      43% Jun 300,624              279,642         293,386         (7,239)            ‐2% 13,743         5% Jul 308,608              321,387         314,991         6,382            2% (6,396)            ‐2% Aug 376,862              384,971         340,270         (36,592)         ‐10% (44,701)         ‐12% Sep 196,517              182,841         254,799         58,281         30% 71,958         39% Oct 431,934              452,825         440,169         8,235            2% (12,656)         ‐3% Nov 288,899              302,483         393,258         104,359      36% 90,775         30% Dec 433,968              463,300         348,144         (85,824)         ‐20% (115,156)      ‐25% YTD  Total 3,552,369$      3,623,413$  4,001,625$  449,255$   13% 378,212$   10% Annual  Total 3,552,369$      3,623,413$   Building Permits and Development Service  Fees Year to Date through December 2013 vs. Budget2013 vs. 2012 Month Page 5 of 39 Monthly Financial Report December 2013      Intergovernmental  These revenue sources include  federal (direct and indirect)  grants, state grants, state shared  revenues, local grants, and  entitlements.  State shared  revenues and Fire Districts’ 25  and 40 contracts compose 89% of  the total revenues in this  category.   The year‐to‐date total  Intergovernmental revenue is $11.7 million or 99% of the budget.       State Shared Revenues  State Shared Revenue collections  totalled $4.7 million since the start  of the year.  Compared to the prior  year, State Shared Revenues are  below by $123k or 3%.  Compared  to the projected budget, the City is  collecting $494k or 12% more.  The  higher than expected (but lower  than prior year) collection is due to  collecting more than anticipated  Criminal Justice Sales Tax, the low  budget of Criminal Justice’s High  Crime and the higher than expected collections for Liquor Profits.  The reason for the decline in Liquor Excise Tax is also due  to the passage of Initiative 1183.  Starting October 2012, the State will divert all Liquor Excise Taxes that would normally be  distributed to local governments to their State General Fund for one year.  The City will not receive these excise taxes in  January 2013, April 2013 and July 2013.  On the October 2013 distribution and on, local governments will start receiving  their portions of the excise taxes less a $10 million (per year) transfer from the State Liquor Excise Tax Fund to the State  General Fund.      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 68% of the total revenue in this category.  The year‐to‐date total charges for services are $7.3 million or 107% of  the budget.  The following sections provide detail information for Public Safety, Recreation, and Interfund Services.       2012 2013 2013 Actual Budget Actual $ % $ % Crim Just Sales  Tax 1,924,470$     1,932,500$  2,091,174$   166,704$   9% 158,674$   8% Judicial Contribution 22,632                22,500            22,796              164                 1% 296                 1% Crim Just ‐ High Crime 196,270              ‐                     229,636           33,366         17% 229,636      100% Crim Just ‐ Pop 20,976                ‐                     22,656              1,680            8% 22,656         100% Crim Just ‐ Spec Prog 78,864                90,000            84,328              5,465            7% (5,672)            ‐6% State  DUI 17,397                18,000            17,116              (281)                ‐2% (884)                ‐5% Liquor Profits 928,773             640,000         846,798           (81,975)        ‐9% 206,798      32% Liquor Excise  Tax 342,495             220,000         63,108              (279,387)     ‐82% (156,892)     ‐71% Fuel Tax 1,293,325        1,285,000     1,324,277      30,952         2% 39,277         3% YTD  Total 4,825,202$     4,208,000$  4,701,889$   (123,313)$  ‐3% 493,889$   12% Annual  Total 4,825,202$     4,208,000$   2013 vs. Budget State  Shared Revenues 2013 vs. 2012 Revenue Year  to Date through December Intergovernmental 2012 2013 Bgt YTD Act Change 2013/2012 2013 Act  vs Bgt  Fire  District #25 1,397,433$     1,200,000$     1,183,558$     (213,875)$      ‐15% $         (16,442)‐1% Fire  District #40 4,758,188        4,665,056        4,543,337        (214,851)        ‐5% (121,719)         ‐3% State  Shared Revenue 4,825,202        4,208,000        4,701,889        (123,313)        ‐3% 493,889          12% Federal Grants 981,308            1,460,478        1,034,828        53,520             5% (425,650)         ‐29% State  Grants 160,964            94,324               63,711               (97,254)            ‐60% (30,613)             ‐32% Other Grants/Intgovt 156,189            97,754               39,929               (116,260)        ‐74% (57,825)             ‐59% ARRA Grants 393,992            114,171            114,792            (279,201)        ‐71%621                     1% Total  Rev YTD 12,673,276$  11,839,783$  11,682,043$  (991,233)$     ‐8%(157,739)$       ‐1% Total  Rev Annual 12,673,276$  11,839,783$   YTD %100% 100% 99% Note:  Includes  CJ Sales  Tax  and FD25 & FD40 contracts Page 6 of 39 Monthly Financial Report December 2013      Public Safety Services  Public Safety Services totalled $681k 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 $195k or 40% more.  Compared to  the year‐to‐date budget, the City is $261k or  62% more.  The reason for the large favourable  variance with the prior year is due to a  different way of accounting for  intergovernmental services.  Prior to 2013, the  City accounted for these services as general  intergovernmental.  Due to the 2013  Budgeting, Accounting, and Reporting System (BARS) Restructuring Project, the State does not recognize intergovernmental  charges for services as separate from charges for services.  Of the $681k receipted for Public Safety Services, $154k is for  intergovernmental.        Recreation  Recreation revenues totalled $63k for the  current month.  Compared to the same month  the prior year, the City collected $2.5k or 4%  more.  Compared to the projected monthly  budget, the City collected $2.5k or 4% less.   The primary reason that recreation fees are  lower is due to the new cost recovery policy  approved by council in 2012 which reduces or  eliminates those programs that do not meet  recovery objectives.  This revenue reduction  translates into a savings of $273k in the  Recreation Division of the Community Services  Department.          Interfund Services  The year‐to‐date collections for Interfund  Services revenues are $3.5 million.  Compared  to the prior year, the revenues are over by  $153k or 5%.  Compared to the projected  budget, the revenues are above by $151k or  5%.  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.  2012 2013 2013 Actual Budget Actual $ % $ % Jan 15,229$         13,139$          32,322$         17,093$     112% 19,183$      146% Feb 34,848            30,067             117,056         82,208        236% 86,990         289% Mar 35,353            30,502             37,079            1,726           5% 6,577            22% Apr 68,426            59,037             64,009            (4,418)           ‐6% 4,971            8% May 42,979            37,082             47,985            5,007           12% 10,904         29% Jun 31,486            27,166             36,945            5,459           17% 9,779            36% Jul 54,883            47,353             69,340            14,457        26% 21,988         46% Aug 34,742            29,975             42,753            8,010           23% 12,777         43% Sep 36,019            31,077             48,986            12,967        36% 17,909         58% Oct 37,300            32,182             81,116            43,817        117% 48,934         152% Nov 33,025            28,493             49,703            16,678        51% 21,210         74% Dec 61,608            53,155             53,287            (8,322)           ‐14% 131                 0% YTD  Total 485,899$      419,229$       680,581$      194,682$  40% 261,352$   62% Annual  Total 485,899$      419,229$        Month 2013 vs. 2012 Year  to Date through December Public Safety Services 2013 vs. Budget 2012 2013 2013 Actual Budget Actual $ % $ % Jan 62,072$         67,237$         60,546$         (1,526)$         ‐2% (6,690)$         ‐10% Feb 59,327            64,264            51,160            (8,167)            ‐14% (13,104)         ‐20% Mar 104,775         113,492         79,491            (25,283)         ‐24% (34,001)         ‐30% Apr 137,257         148,678         170,541         33,284         24% 21,863         15% May 139,013         150,580         95,710            (43,303)         ‐31% (54,870)         ‐36% Jun 149,137         161,546         150,284         1,147            1% (11,262)         ‐7% Jul 260,363         282,026         345,126         84,763         33% 63,100         22% Aug 262,038         283,841         205,821         (56,217)         ‐21% (78,020)         ‐27% Sep 107,879         116,855         123,550         15,670         15% 6,694            6% Oct 85,973            93,126            83,685            (2,288)            ‐3% (9,441)            ‐10% Nov 65,863            71,343            65,656            (207)               0% (5,687)            ‐8% Dec 60,467            65,498            63,010            2,543            4% (2,488)            ‐4% YTD  Total 1,494,165$  1,618,486$  1,494,580$  416$              0% (123,906)$   ‐8% Annual  Total 1,494,165$  1,618,486$   Recreation Year  to Date through December 2013 vs. Budget2013 vs. 2012 Month 2012 2013 2013 Actual Budget Actual $ % $ % Jan 237,384$      276,153$      265,873$      28,489$      12% (10,279)$      ‐4% Feb 234,758         276,153         292,362         57,604         25% 16,209         6% Mar 271,071         276,153         317,998         46,927         17% 41,846         15% Apr 253,070         276,153         288,610         35,541         14% 12,458         5% May 291,941         276,153         299,652         7,711            3% 23,499         9% Jun 275,112         276,153         287,569         12,457         5% 11,417         4% Jul 217,828         276,153         282,466         64,638         30% 6,314            2% Aug 345,690         276,153         352,945         7,255            2% 76,793         28% Sep 273,570         276,153         274,525         955                 0% (1,628)            ‐1% Oct 338,304         276,153         352,421         14,117         4% 76,269         28% Nov 276,902         276,153         286,300         9,398            3% 10,148         4% Dec 296,085         276,153         164,190         (131,895)      ‐45% (111,962)      ‐41% YTD  Total 3,311,715$  3,313,830$  3,464,913$  153,197$   5% 151,083$   5% Annual  Total 3,311,715$  3,313,830$   Interfund Services Year  to Date through December 2013 vs. 2012 2013 vs. Budget Month Page 7 of 39 Monthly Financial Report December 2013      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 $2.8 million.  This is $294k or  10% lower than a year ago and is also $292k  or 10% below the budget.                Year to Date through December 2012 2013 2013 Actual Budget Actual $ % $ % Civil Penalties 9,299$            15,500$         9,824$            525$              6% (5,676)$         ‐37% Civil Infraction Penalties 621,443         604,500         628,202         6,759            1% 23,702         4% Civil Parking Infraction Penalties 167,920         190,000         190,997         23,077         14% 997                 1% Photo Enforcement Program 1,976,203     1,950,000     1,629,524     (346,679)      ‐18% (320,476)      ‐16% Criminal Traffic  Misdemeanor Fines 88,457            102,000         101,458         13,001         15% (542)                ‐1% Criminal Non‐Traffic  Fines 28,462            52,000            50,417            21,955         77% (1,583)            ‐3% Criminal Costs 129,907         122,500         129,724         (183)               0% 7,224            6% Seizure  Funds  ‐ Federal/State/Local1 37,941            ‐                   ‐                   (37,941)      0%‐                  N/A Non‐Court Fines, Forfeitures and Penalties 758                    22,000            26,517            25,760         3401% 4,517            21% YTD  Total 3,060,389$  3,058,500$  2,766,663$  (293,726)$  ‐10% (291,837)$  ‐10% Annual Total 3,060,389$  3,058,500$   1Seizure Funds are categorized in Miscellaneous  for  2013 and on. Revenue 2013 vs. Budget Fines  and Penalties by Type 2013 vs. 2012       Included in the Fines and Penalties revenue budget is  $2 million from the Photo Enforcement program.  The  budget was based on the prior year’s revenue.  The  year‐to‐date collections from this program equates to  $1.6 million.  The budget shortfall in January is due to a  change in receipting operations that resulted in a 1‐ month lag for defendant paid infractions.  December’s  receipts recognized 2 month’s worth of defendant paid  infractions.  The budget shortfall starting in June is due  to temporary shutting down cameras in construction  areas.  These revenues should pick up after  construction is near completion.    The associated costs includes the equipment provided  by American Traffic Solutions, Inc. (ATS), dedicated 2  FTEs 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 90% pro tem budget and interpreter costs amounts to $362k  for personnel costs.  The total costs for the program equates to $824k which is represented in the table.  2012 2013 2013 Actual Budget Actual $ % $ % Jan 183,478$      181,746$      153,064$      (30,413)$      ‐17% (28,682)$      ‐16% Feb 241,050         231,901         247,166         6,116            3% 15,265         7% Mar 244,379         246,962         275,222         30,842         13% 28,259         11% Apr 278,972         279,587         318,235         39,264         14% 38,648         14% May 306,424         310,705         278,783         (27,641)         ‐9% (31,922)         ‐10% Jun 318,091         312,586         269,334         (48,758)         ‐15% (43,252)         ‐14% Jul 274,243         277,336         236,571         (37,672)         ‐14% (40,765)         ‐15% Aug 168,187         171,297         171,565         3,378            2% 268                 0% Sep 179,166         176,075         154,604         (24,562)         ‐14% (21,470)         ‐12% Oct 278,866         280,183         191,919         (86,947)         ‐31% (88,264)         ‐32% Nov 247,607         251,568         189,412         (58,195)         ‐24% (62,156)         ‐25% Dec 339,926         338,553         280,787         (59,139)         ‐17% (57,766)         ‐17% YTD Total 3,060,389$  3,058,500$  2,766,663$  (293,726)$   ‐10% (291,837)$   ‐10% Annual  Total 3,060,389$  3,058,500$   2013 vs. Budget2013 vs. 2012 Year  to Date through December Fines  and Penalties by Month Month Favorable Budget Actual Budget Actual (Unfavorable) 1 Jan 181,020$      150,459$      73,013$        60,422$      90,037$            Feb 145,300         158,685         72,803           60,116         98,568               Mar 142,933         152,959         72,621           60,184         92,775               Apr 176,175         217,923         69,590           60,187         157,736            May 212,766         181,018         72,987           60,361         120,657            Jun 218,587         161,729         72,958           56,521         105,208            Jul 186,121         151,808         73,264           56,398         95,411               Aug 91,365            80,932            72,679           56,345         24,586               Sep 71,743            58,676            49,784           55,930         2,747                  Oct 191,799         100,760         64,222           51,130         49,629               Nov 153,910         94,351            64,881           51,346         43,005               Dec 178,282         120,223         64,962           72,494         47,730               YTD  Total 1,950,000$  1,629,524$  823,764$     701,435$   928,089$         Annual Total 1,950,000$  823,764$      1 Actuals  of Revenues  and Expenses Revenues Expenses Photo Enforcement Program Year  to Date through December Month Page 8 of 39 Monthly Financial Report December 2013      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.  Interest and other  earnings along with rents, leases, and  concessions constitute 71% of the total  revenue in this category.  The year‐to‐date  total miscellaneous is $1.6 million.  Compared  to last year, the revenues are below by $2.9k.   Compared to the projected year‐to‐date  budget, the revenues are under by $235k or  13%.  The table below breaks out  miscellaneous revenues by type:      2012 2013 2013 Actual Budget Actual $ % $ % Interests and Other Earnings 342,424$      745,300$      423,609$      81,185$      24% (321,691)$   ‐43% Rents, Leases, and Concessions 822,428         650,929         734,530         (87,898)         ‐11% 83,601         13% Contributions/Donations  from  Private Sources 124,082         94,665            84,320            (39,762)        ‐32% (10,345)        ‐11% Other 341,988         191,000         334,918         (7,070)           ‐2% 143,918      75% Seizure Funds ‐ Federal/State/Local1 ‐                   180,693       50,639          50,639       100% (130,054)      ‐72% YTD  Total 1,630,922$  1,862,587$  1,628,017$  (2,906)$        0% (234,570)$   ‐13% Annual Total 1,630,922$  1,862,587$   1Seizure  Funds are categorized in Miscellaneous for  2013 and on. 2013 vs. Budget Miscellaneous Revenues by Type Year  to Date through December Revenue 2013 vs. 2012     Rents, leases and concessions are higher than the prior year and budget due to higher than expected picnic shelter rentals,  facility rentals at the community center and food concession payments at Coulon Park.    Other miscellaneous revenues are higher than the prior year and budget due to higher than expected utility late payment  penalties and miscellaneous reimbursements for Fire.    Seizure funds are lower than the budget due to the timing of activity.  The use of Seizure Funds is restricted to drug  enforcement only and is not available for general operating purposes.         2012 2013 2013 Actual Budget Actual $ % $ % Jan 206,151$      163,431$      179,743$      (26,408)$     ‐13% 16,312$      10% Feb 83,823            136,065         76,397            (7,425)           ‐9% (59,668)         ‐44% Mar 104,421         84,541            147,909         43,488         42% 63,368         75% Apr 98,164            111,952         92,872            (5,291)           ‐5% (19,080)         ‐17% May 145,213         112,394         118,719         (26,494)        ‐18% 6,325            6% Jun 93,832            113,925         123,441         29,609         32% 9,516            8% Jul 112,316         95,092            128,246         15,930         14% 33,154         35% Aug 143,389         131,691         122,652         (20,737)       ‐14% (9,038)            ‐7% Sep 89,588            100,826         92,799            3,211            4% (8,027)            ‐8% Oct 91,608            75,628            82,288            (9,320)           ‐10% 6,659            9% Nov 64,705            56,874            63,945            (760)                ‐1% 7,071            12% Dec 397,713         680,168         399,005         1,292            0% (281,164)      ‐41% YTD  Total 1,630,922$  1,862,587$  1,628,017$  (2,906)$       0% (234,570)$   ‐13% Annual Total 1,630,922$  1,862,587$   Year  to Date through December Month 2013 vs. Budget2013 vs. 2012 Miscellaneous Revenues  by Month Page 9 of 39 Monthly Financial Report December 2013      EXPENSES  Overall the City has expended 98% of its budgeted (adjusted) general governmental expenditures at the end of December.   This is $2.6 million or 2.5% below year‐to‐date budgeted expenditures.  See below for summary of unfavorable items for  general governmental departments.    City Attorney department is over the budget by $7k. This is mainly due to overspending on intermittent salaries and  benefits ($13k) and under spending on supplies/minor equipment ($6k).    While the majority of the $2.6 million is savings, approximately $163k (amount will change based on review) will have to be  carried forward/added to 2014 for obligations/services not yet received or been billed and new items needed:   $27.5k for archival of records and hazardous material disposal contingency – Administrative Services/Non‐Dept   $60k for New Market Tax Credit (NMTC) technical service ‐ Community and Economic Development   $24k for replacement of neighbourhood trailer grills (2) ‐ Community Services   $19k for various conferences/training (including travel/incidentals) – Council/Executive   $5k for supplies related to Heart Month grand donation – Fire   $4k for remaining photo enforcement enhancements – Police   $23k for increased costs of One Regional Card for All (ORCA) program – Public Works   Page 10 of 39 Monthly Financial Report December 2013      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 $115.2 million,  of this amount; $775k is  an interfund loan  investment (Res 4070)  from the insurance fund  (502) to the golf course  fund (404).  This  interfund loan is due in  full on December 1st  2015.    Currently the majority of  the portfolio is located in  cash deposits (US Bank).   The rest is spread out  between the State  Investment Pool, various  certificates of deposits, and the interfund loan.    The existing portfolio yield is approximately .57%.  The majority (.28%) is within the cash at US Bank.  Cash 61% Local Government  Investment Pool 8% US Federal  Agency  Securities 9% Certificates of  Deposit 21% INTERFUND  INVESTMENT 1% Distribution by Instrument (shown as percent of blended Portfolio*) Deposit Total Maturity Date APY Weighted Yield Current Allocation of  Cash and Investments Allowed  by Policy Current Principal  Balance Cash US Bank ‐ Cash 70,659,013 overnight 0.45% 0.39%61%N/A 70,659,013                GOLF '14 GOLF '14 383,239 12/1/2014 2.25% 0.02% GOLF '15 GOLF '15 391,853 12/1/2015 2.25% 0.03% US Treasury Securities none ‐                        N/A N/A 0.00% 0% 100%‐                                 Local Government Investment Pool 3920 State Investment Pool 9,927,865 1/1/2014 0.13% 0.02% 9% 75% 9,927,865                  US Federal Agency Securities * 313169A FNMA 5,000,000         1/0/1900 1.00% 0.14% 313169B FHLMC 2,500,000         10/24/2016 0.90% 0.07% 313169C FNMA 2,500,000         10/24/2016 1.06% 0.08% Certificates of Deposit 113154A First Savings Bank Northwest 5,000,000 2/4/2015 0.92% 0.13% 113164A First Savings Bank Northwest 5,000,000 2/4/2016 1.02% 0.15% 112147a Columbia Bank 2,768,975 1/11/2014 0.69% 0.06% 111167a Columbia Bank 2,015,400 11/9/2016 0.99% 0.06% 212145a Fortune Bank (CDARS) 1,516,108 6/14/2014 0.70% 0.03% 212145b Fortune Bank (CDARS) 1,000,685 12/18/2014 0.65% 0.02% 112145a Fortune Bank (traditional) 252,980 12/23/2014 0.85% 0.01%0% 20% 112146a Umpqua Bank 5,209,717 5/18/2014 0.85% 0.13% Commencement Bank (CDARS) 1,030,141 9/20/2014 0.65% 0.02%1% 212143a Commercial Paper none ‐                        N/A N/A 0.00% 0.00% 5%‐                                 TOTAL CASH & INVESTMENTS 115,155,976$    115,155,976$             By Institution *Held  in our safekeeping account at BNY Trust and Custody Golf Interfund Loan 20%9% 20%4% 10,000,000                4,784,375                  20% 1,030,141                  20%2% 20%5% 5,209,717                  2,769,772                  10,000,000               100%9% 1% N/A 775,092                     Page 11 of 39 Monthly Financial Report December 2013      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 fund are the capital revenues and expenditures.      Airport Golf Course Solid Waste  Utility Water Utility Wastewater  Utility Surface  Water  Utility Metro REVENUES: Licenses  and permits ‐                  ‐             ‐                 ‐               61,477         49,619        ‐               Grants  / intergovernmental 8,597,763       ‐             100,563          355              9,316           928,589      ‐               Charges  for services 136,197          1,789,463  15,777,316     16,439,413  9,323,355    8,767,121   15,184,436  Interdepartmental  services ‐                 ‐             ‐                 ‐               ‐               ‐              ‐               Fines  and penalties 7,759              ‐             ‐                 ‐               568              ‐              ‐               Rents, leases, and misc fees 2,411,793       353,001     82,486            144,410       ‐               ‐              ‐               Interest and other misc 7,180              79,633       9,593              527,906       811,690       321,536      5,600           TOTAL REVENUES 11,160,692     2,222,097  15,969,959     17,112,084  10,206,406  10,066,865 15,190,036  EXPENSES: Utility billing ‐                  ‐             117,678          113,489       85,676         139,415       ‐               Utility systems ‐                 ‐             15,742,713     5,096,260    2,823,030    3,553,219   ‐               Utility maintenance ‐                 ‐             288,566          4,742,487    1,231,509    2,083,606   14,332,361  Transportation 2,155,102       ‐             ‐                 ‐               ‐               ‐              ‐               Golf ‐                 2,022,979  ‐                 ‐               ‐               ‐              ‐               TOTAL EXPENSES 2,155,102       2,022,979  16,148,957     9,952,236    4,140,215    5,776,240   14,332,361  AMOUNT AVAILABLE  FOR DEBT SERVICE 9,005,590       199,118     (178,999)        7,159,848    6,066,191    4,290,625   857,675       DEBT SERVICE: Principal 98,209            374,815     ‐                 1,097,325    796,483       274,840      ‐               Interest 6,995              25,846       ‐                 667,009       342,361       292,582      ‐               TOTAL DEBT SERVICE 105,204          400,661     ‐                 1,764,334    1,138,844    567,422      ‐               CAPITAL PROJECTS 9,560,249       19,110       ‐                 2,898,395    2,587,305    1,998,672   ‐               TRANSFERS IN/(OUT)(13,499)          ‐             ‐                 7,526           (8,411)          (228,719)     ‐               CHANGE IN FUND BALANCE (673,362)        (220,653)    (178,999)        2,504,645    2,331,631    1,495,812   857,675       BEGINNING FUND BALANCE, Jan  1 2,342,924       539,814     1,523,881       9,846,308    3,196,734    6,014,474   1,745,887    ENDING FUND BALANCE, Dec 31 1,669,562       319,161     1,344,882       12,350,953  5,528,365    7,510,286   2,603,562        Page 12 of 39 Monthly Financial Report December 2013      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 ‐                 123,357        ‐             ‐                      ‐            ‐              ‐             Grants  / intergovernmental 83                   1,024           ‐             ‐                      ‐            ‐              32,467        Charges  for services Equipment rental  m&o 2,732,401       3,053,748    ‐             ‐                      ‐            ‐              ‐             Print and mail ‐                 112,409       ‐             400,683             ‐            ‐              ‐             Communications ‐                 6,090           73,834       509,570             ‐            ‐              ‐             Facilities ‐                 ‐              4,278,735  ‐                      ‐            ‐              ‐             Data cards  and cell  phones ‐                 140,409       ‐             ‐                      ‐            ‐              ‐             IT service contracts ‐                 438,836        ‐             ‐                      ‐            ‐              ‐             Interest and other misc 11,100            5,543           3,050         896                    54,825      19,737        18,388        Internal service fund misc: Vehicle  / equipment capital  recovery 1,421,790       170,001       ‐             ‐                      ‐            ‐              ‐             Insurance premiums ‐                 ‐              ‐             ‐                     1,592,032 ‐              ‐             Worker's  comp/unemployment ‐                 ‐              ‐             ‐                     1,590,164 ‐              ‐             Benefit premiums ‐                 ‐              ‐             ‐                      ‐            9,482,293   1,707,409   Other misc 6,231              12,218         12,026       ‐                     227           107,200      ‐             Interfund Loan ‐                 ‐              ‐             ‐                     511,666    ‐              ‐             Capital  contributions 22,930            ‐              ‐             ‐                      ‐            ‐              ‐             Disposal  of capital  assets 91,261            ‐              ‐             ‐                      ‐            ‐              ‐             Insurance recoveries 25,000            ‐              ‐             ‐                     97,463      2,169          ‐             TOTAL REVENUES 4,310,796       4,063,635    4,367,645  911,149             3,846,377 9,611,399   1,758,264   EXPENSES: Communications 485,367              Equipment rental 2,447,975        Facilities 3,522,209   Healthcare 10,576,165  Information technology 3,215,196     Print and mail 381,488              Retiree  healthcare 1,032,725   Risk management Ri sk management 1,721,618  Unemployment 45,330       Worker's  compensation 1,436,159  TOTAL EXPENSES 2,447,975       3,215,196    3,522,209  866,855             3,203,107 10,576,165 1,032,725   AMOUNT AVAILABLE FOR CAPITAL 1,862,821       848,439       845,436     44,294               643,270    (964,766)     725,539      CAPITAL PROJECTS 1,981,423       577,929       303,911     ‐                      ‐            ‐              ‐             TRANSFERS IN 331,189          89,130         160,551     ‐                     2,000,000 ‐              ‐             TRANSFERS (OUT)‐                 ‐              (383,834)    ‐                      ‐            ‐              ‐             CHANGE IN FUND BALANCE 212,587          359,640       318,242     44,294               2,643,270 (964,766)     725,539      BEGINNING FUND BALANCE, Jan 1 3,722,501       1,856,972    849,472     303,477             4,986,807 7,899,070   6,482,165   ENDING FUND BALANCE, Dec 31 3,935,088       2,216,612    1,167,714  347,771             7,630,077 6,934,304   7,207,704      Page 13 of 39 Monthly Financial Report December 2013      FUND BALANCE  Page 15 shows the ending fund balance as of December 2013.  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 $17.5 million reported in the combined general governmental fund balance of the  current year’s operating budget, which is approximately 16% of budgeted operating expenditures.  This is an increase of  $1.9 million from the year’s beginning balance.  December’s ending fund balance is over the anticipated General  Governmental Fund Balance of $12.7 million by $4.7 million or 37.1%.  The reason for the surplus of fund balance is due to  overall revenues being favourable by $2.1 million and overall expenditures being favourable by $2.6 million.       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 39 Monthly Financial Report December 2013      City  of Renton All Funds ‐ Revenue, Expenditures and Fund  Balances Cash  Basis through December  31, 2013 Funds Balance  01/01/2013 Budgeted  Revenue Revenue  12/31/13 Total Funds   Available Budgeted  Expenditure Expenditure  12/31/13 Ending  Balance GENERAL GOVERNMENT FUNDS:15,575,839 103,437,840 105,545,527 121,121,366 106,278,122 103,667,105 17,454,262  000 General 10,575,369 74,864,505   77,801,319   88,376,688   77,134,850   75,861,635   12,515,053  001 Community Services 1,891,966   11,080,510   10,921,025   12,812,991   11,320,489   10,688,393   2,124,598    003 Street 1,585,553   8,677,257     8,372,826     9,958,379     8,873,975     8,290,986     1,667,393    004 Community Dev Block Grant (13,145)       460,832        86,317          73,172          374,577        303,005        (229,834)      005 Museum 52,369        209,903        209,997        262,366        217,167        209,387        52,979         009 Farmers  Market 90,520        79,400          65,509          156,029        80,414          57,203          98,826         011 Fire Health & Wellness 55,483        25,000          29,232          84,715          25,000          29,621          55,094         031 Park  Memorial 178,367      ‐                    478               178,845        178,367        178,367        478              201 Ltd  GO Bonds  Gen Govt Debt 829,784      1,749,305     1,753,234     2,583,018     1,749,305     1,749,302     833,717       215 Gen Govt Misc Debt Service 329,573      6,291,128     6,305,590     6,635,163     6,323,978     6,299,206     335,957       SPECIAL REVENUE FUNDS: 102 Arterial  Street 168,514      643,000        624,175        792,689        600,000        600,000        192,689       108 Leased  City Properties 527,677      1,181,123     1,090,184     1,617,861     1,135,845     1,067,974     549,887       110 Hotel  Motel 111,256      245,000        314,657        425,913        291,000        240,307        185,606       125 1% For Art 116,142      16,000          11,429          127,571        50,000          29,800          97,771         127 Cable  Communication 257,372      85,674          93,131          350,503        85,674          65,870          284,633       135 Springbrook Wetlands  Bank 665,828      ‐                    1,785            667,613        ‐                    ‐                    667,613       CAPITAL PROJECT FUNDS (CIP): 303 Community Dev Mitigation 1,540,154   60,000          94,464          1,634,618     700,000        700,000        934,618       304 Fire Mitigation 797,417      25,000          98,748          896,165        250,000        250,000        646,165       305 Transportation  Mi tigation 292,627      40,000          247,558        540,185        54,000          54,000          486,185       316 Municipal Facilities CIP 3,474,517   4,377,834     3,711,499     7,186,016     7,743,713     2,102,492     5,083,524    317 Transportation  CIP (391,159)     33,586,759   23,827,469   23,436,310   33,146,358   20,749,006   2,687,304    318 So Lake  WA Infrastructure Proj 52,073        44,874          44,913          96,986          96,947          87,974          9,012           326 Housing Opportunity 84,359        ‐                    240               84,599          75,000          ‐                    84,599         336 New Library Development 19,143,344 1,830,836     1,850,316     20,993,660   20,974,180   1,421,913     19,571,747  ENTERPRISE FUNDS: 402 Airport 331,939      1,282,820     1,361,341     1,693,280     1,467,346     1,501,814     191,466       403 Solid Waste Utility 1,523,881   15,700,852   15,969,959   17,493,840   16,177,073   16,148,957   1,344,883    404 Golf Course 291,978      2,530,619     2,221,387     2,513,365     2,689,182     2,479,920     33,445         422 Airport Capital 2,010,985   14,039,720   9,799,352     11,810,337   16,025,599   10,332,239   1,478,098    424 Golf Course  Capital 247,836      50,000          50,709          298,545        156,482        12,829          285,716       INTERNAL SERVICE FUNDS: 501 Equipment Repair/Replacement 3,722,501   4,261,224     4,641,985     8,364,486     4,295,028     4,429,397     3,935,089    502 Insurance 4,986,807   5,713,764     5,846,378     10,833,185   3,060,718     3,203,107     7,630,078    503 Information Services 1,856,972   4,188,823     4,152,765     6,009,737     5,326,336     3,793,125     2,216,612    504 Facilities 849,472      4,349,946     4,528,196     5,377,668     4,542,713     4,209,954     1,167,714    505 Communications 303,477      877,773        911,149        1,214,626     893,249        866,855        347,771       512 Insurance, Healthcare 7,899,070   9,329,364     9,611,399     17,510,469   10,904,461   10,576,165   6,934,304    522 Insurance, Leoff1 Retirees  HC 6,482,165   1,735,684     1,758,263     8,240,428     1,737,782     1,032,725     7,207,703    FIDUCIARY FUNDS: 611 Firemen's  Pension 4,556,003   300,000        427,661        4,983,664     240,475        193,418        4,790,246    Funds Balance  01/01/2013 Budgeted  Revenue Revenue  12/31/13 Total Funds   Available Budgeted  Expenditure Expenditure  12/31/13 Ending  Balance ENTERPRISE FUNDS: COMBINED  UTILITIES 20,803,403 57,368,442   52,582,916   73,386,319   60,491,286   45,393,155   27,993,164  405 Wa ter Utility 5,449,029   13,402,096   13,068,936   18,517,965   11,034,019   9,994,859     8,523,106    406 Waste  Water Utility 1,363,629   6,758,645     6,432,844     7,796,473     5,406,116     5,218,280     2,578,193    407 Surface Water Utility 2,269,771   7,963,326     7,468,577     9,738,348     6,167,448     5,395,988     4,342,360    416 King  County Metro 1,745,887   15,126,703   15,190,035   16,935,922   15,126,703   14,332,361   2,603,561    425 Water Utility Construction 4,381,380   3,743,357     4,050,631     8,432,011     8,007,000     4,620,107     3,811,904    426 Waste  Wa ter Construction 1,833,105   3,300,000     3,773,563     5,606,668     4,870,000     2,656,495     2,950,173    427 Surface Water Construction 3,744,703   7,074,315     2,598,287     6,342,990     9,880,000     3,175,065     3,167,925    471 Waterworks  Rate Stabilization 15,899         ‐                    43                 15,942           ‐                     ‐                    15,942         Note:  Waterworks  Utility Funds are managed as a  system and are designated by the  dotted lines.  Page 15 of 39 City of Renton General Government Financial Position 2013 Budget Year General Government Summary  Revenues Expenditures  $ Difference over (under)  w/beginning  balance  15,575,839             January 5,592,172              7,563,322              (1,971,150)             13,604,689             February 11,590,564            15,996,818            (4,406,254)             11,169,585             March 17,392,180            23,413,342            (6,021,162)             9,554,677               April 33,559,062            31,631,530            1,927,532              17,503,371             May 46,893,848            39,883,684            7,010,164              22,586,003             June 52,007,692            48,473,829            3,533,864              19,109,703             July 58,496,912            56,535,685            1,961,227              17,537,066             August 64,000,182            64,579,234            (579,052)                14,996,787             September 69,756,998            72,338,457            (2,581,459)             12,994,380             October 86,460,206            81,277,689            5,182,517              20,758,356             November 97,939,274            88,737,144            9,202,130              24,777,969             December 105,545,527          103,667,105          1,878,423              17,454,262             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  70,000,000  80,000,000  90,000,000  100,000,000  110,000,000  Change in Fund  Balance Rev/Exp Revenues Expenditures Change in Fund Balance (9,000,000) (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  ‐ 10,000,000  20,000,000  30,000,000  40,000,000  50,000,000  60,000,000  Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec Page 16 of 39 City of Renton Monthly Revenue Analysis ‐ 2013 Budget Year General  Government Budget YTD Actual Annual %  over (under) Jan 5,345,251        5,592,172        4.62% Feb 11,254,456      11,590,564      2.99% Mar 16,763,671      17,392,180      3.75% Apr 31,420,421      33,559,062      6.81% May 45,813,664      46,893,848      2.36% Jun 51,134,745      52,007,692      1.71% Jul 57,389,850      58,496,912      1.93% Aug 63,398,116      64,000,182      0.95% Sep 68,600,594      69,756,998      1.69% Oct 82,297,710      86,460,206      5.06% Nov 96,190,279      97,939,274      1.82% Dec 103,437,840    105,545,527    2.04% Percent of budget 102.04% YTD Annual %  $‐ $10  $20  $30  $40  $50  $60  $70  $80  $90  $100  $110  Millions Total Revenue General Government Budget Actual Last Year $36 Millions Property Tax Property Tax Budget Actual over (under) Jan 221,893           154,945            ‐30.17% Feb 464,254           179,965            ‐61.24% Mar 1,223,970        1,097,866         ‐10.30% Apr 9,809,785        10,985,190      11.98% May 16,724,518      16,765,551      0.25% Jun 16,795,175      16,854,032      0.35% Jul 17,016,907      16,954,079       ‐0.37% Aug 17,030,741      17,012,180       ‐0.11% Sep 17,453,117      17,560,252      0.61% Oct 24,978,160      27,701,144      10.90% Nov 31,911,128      32,042,618      0.41% Dec 32,241,366      32,485,690      0.76% Percent of budget 100.76% $‐ $3  $6  $9  $12  $15  $18  $21  $24  $27  $30  $33  $36  Budget Actual Last Year Page 17 of 39 City of Renton Monthly Revenue Analysis ‐ 2013 Budget Year Sales Tax Budget YTD Actual Annual %  over (under) Jan 1,694,648        1,812,385        6.95% Feb 4,005,840        4,006,705        0.02% Mar 5,652,411        5,725,296        1.29% Apr 7,384,604        7,413,785        0.40% May 9,329,260        9,351,345        0.24% Jun 11,095,640      11,088,148       ‐0.07% Jul 12,841,489      12,931,683      0.70% Aug 14,755,549      14,983,749      1.55% Sep 16,551,075      16,931,533      2.30% Oct 18,469,789      18,934,149      2.51% Nov 20,434,713      20,949,122      2.52% Dec 22,323,680      22,835,161      2.29% Percent of budget 102.29% Note:  Excludes CJ Sales Tax and Natural Gas Use Tax. YTD Annual %  $‐ $3  $6  $9  $12  $15  $18  $21  $24  Millions Sales Tax Budget Actual Last Year $16 Millions Utility Tax Utility Tax Budget Actual over (under) Jan 1,422,818        1,277,860         ‐10.19% Feb 2,848,902        2,740,096         ‐3.82% Mar 4,251,600        3,933,225         ‐7.49% Apr 5,602,179        5,478,482         ‐2.21% May 6,965,382        6,817,405         ‐2.12% Jun 8,069,889        8,007,252         ‐0.78% Jul 9,384,971        9,266,965         ‐1.26% Aug 10,529,229      10,547,172      0.17% Sep 11,813,346      11,980,466      1.41% Oct 12,930,310      13,053,238      0.95% Nov 14,099,250      14,297,910      1.41% Dec 15,600,662      15,782,047      1.16% Percent of budget 101.16% Note:  Includes Natural Gas Use Tax. $‐ $2  $4  $6  $8  $10  $12  $14  $16  Budget Actual Last Year Page 18 of 39 City of Renton Monthly Revenue Analysis ‐ 2013 Budget Year Licenses &  Permits Budget YTD Actual Annual %  over (under) Jan 241,251           325,005           34.72% Feb 420,942           547,949           30.17% Mar 636,962           747,996           17.43% Apr 928,618           1,091,568        17.55% May 1,122,599        1,368,619        21.92% Jun 1,329,123        1,596,317        20.10% Jul 1,654,250        1,891,884        14.37% Aug 1,958,715        2,172,762        10.93% Sep 2,120,273        2,348,691        10.77% Oct 2,531,943        2,788,939        10.15% Nov 2,750,132        3,077,321        11.90% Dec 3,063,828        3,260,747        6.43% Percent of budget 106.43% Note:  Franchise Fees YTD Annual % Millions Intergovernmental $‐ $0.50  $1.00  $1.50  $2.00  $2.50  $3.00  $3.50  Millions Licenses & Permits Budget Actual Last Year Intergovt'l Budget Actual over (under) Jan 387,097           565,532           46.10% Feb 940,149           1,466,833        56.02% Mar 1,282,477        1,933,705        50.78% Apr 2,252,313        2,801,258        24.37% May 4,670,375        5,218,611        11.74% Jun 5,368,398        5,720,394        6.56% Jul 5,963,557        6,584,190        10.41% Aug 7,220,869        7,051,132         ‐2.35% Sep 7,687,808        7,575,466         ‐1.46% Oct 8,730,874        8,682,607         ‐0.55% Nov 11,180,893      11,078,662       ‐0.91% Dec 11,839,783      11,682,043       ‐1.33% Percent of budget 98.67% Note:  Includes CJ Sales Tax and FD25 & FD40 contracts $‐ $1  $2  $3  $4  $5  $6  $7  $8  $9  $10  $11  $12  $13  Millions Budget Actual Last Year Page 19 of 39 City of Renton Monthly Revenue Analysis ‐ 2013 Budget Year Charges for  Services Budget YTD Actual Annual %  over (under) Jan 423,297           485,115           14.60% Feb 898,060           1,051,174        17.05% Mar 1,431,522        1,636,717        14.33% Apr 2,054,670        2,321,588        12.99% May 2,633,658        2,949,916        12.01% Jun 3,208,699        3,543,866        10.45% Jul 3,965,563        4,364,049        10.05% Aug 4,686,178        5,084,872        8.51% Sep 5,170,418        5,643,259        9.15% Oct 5,764,322        6,307,022        9.41% Nov 6,279,014        6,854,412        9.16% Dec 6,859,566        7,333,398        6.91% Percent of budget 106.91% Note: Excludes FD25 & FD40 contracts Fines & YTD Annual %  $‐ $1  $2  $3  $4  $5  $6  $7  $8  Millions Charges for Services Budget Actual Last Year Millions Fines & Forfeits Forfeits Budget Actual over (under) Jan 181,746           153,064            ‐15.78% Feb 413,648           400,231            ‐3.24% Mar 660,610           675,452           2.25% Apr 940,197           993,688           5.69% May 1,250,902        1,272,471        1.72% Jun 1,563,488        1,541,804         ‐1.39% Jul 1,840,824        1,778,375         ‐3.39% Aug 2,012,121        1,949,941         ‐3.09% Sep 2,188,195        2,104,545         ‐3.82% Oct 2,468,378        2,296,464         ‐6.96% Nov 2,719,947        2,485,876         ‐8.61% Dec 3,058,500        2,766,663         ‐9.54% Percent of budget 90.46% $‐ $0.50  $1.00  $1.50  $2.00  $2.50  $3.00  $3.50  Budget Actual Last Year Page 20 of 39 City of Renton Monthly Revenue Analysis ‐ 2013 Budget Year Other Taxes Budget YTD Actual Annual %  over (under) Jan 609,070           638,523           4.84% Feb 963,161           934,497            ‐2.98% Mar 1,239,788        1,230,900         ‐0.72% Apr 1,951,594        1,963,238        0.60% May 2,500,859        2,520,946        0.80% Jun 2,974,287        2,903,455         ‐2.38% Jul 3,897,103        3,837,944         ‐1.52% Aug 4,247,808        4,187,979         ‐1.41% Sep 4,557,833        4,509,594         ‐1.06% Oct 5,289,676        5,507,285        4.11% Nov 5,584,037        5,900,050        5.66% Dec 6,313,000        7,472,234        18.36% Percent of budget 118.36% YTD Annual % Millions Miscellaneous $‐ $1  $2  $3  $4  $5  $6  $7  $8  Millions Other Taxes Budget Actual Last Year Misc Budget Actual over (under) Jan 163,431           179,743           9.98% Feb 299,496           256,140            ‐14.48% Mar 384,037           404,049           5.21% Apr 495,989           496,921           0.19% May 608,383           615,640           1.19% Jun 722,308           739,082           2.32% Jul 817,399           867,327           6.11% Aug 949,090           989,980           4.31% Sep 1,049,916        1,082,778        3.13% Oct 1,125,545        1,165,066        3.51% Nov 1,182,419        1,229,012        3.94% Dec 1,862,587        1,628,017         ‐12.59% Percent of budget 87.41% $‐ $0.20  $0.40  $0.60  $0.80  $1.00  $1.20  $1.40  $1.60  $1.80  $2.00 Budget Actual Last Year Page 21 of 39 City of Renton Monthly Revenue Analysis ‐ 2013 Budget Year Other  Financing Budget YTD Actual Annual %  over (under) Jan ‐                          ‐                         N/A Feb 5                        6,974                139374.80% Mar 294                   6,974                2272.02% Apr 473                   13,343              2720.94% May 7,729                13,343              72.64% Jun 7,740                13,343              72.39% Jul 7,787                20,415              162.16% Aug 7,817                20,415              161.16% Sep 8,612                20,415              137.05% Oct 8,713                24,292              178.81% Nov 48,748              24,292               ‐50.17% Dec 274,868           299,527           8.97% Percent of budget 108.97% $‐ $1.00  $2.00  $3.00  $4.00  $5.00  $6.00  Millions Other Financing Sources Budget Actual Last Year Page 22 of 39 City of Renton Monthly Revenue Analysis ‐ 2013 Budget Year REET Budget YTD Actual Annual %  over (under) Jan 71,786              134,099           86.80% Feb 269,776           396,328           46.91% Mar 458,016           624,405           36.33% Apr 638,196           822,064           28.81% May 872,560           1,108,012        26.98% Jun 1,193,556        1,455,902        21.98% Jul 1,358,006        1,719,709        26.63% Aug 1,564,134        2,013,764        28.75% Sep 1,724,294        2,268,082        31.54% Oct 2,025,764        2,540,858        25.43% Nov 2,367,976        2,883,394        21.77% Dec 2,600,000        4,131,665        58.91% Percent of budget 158.91% Bldg Permits &  Devlpmt Svc YTD Annual %  $‐ $0.50  $1.00  $1.50  $2.00  $2.50  $3.00  $3.50  $4.00  $4.50  Millions Real Estate Excise Tax Budget Actual Last Year Millions Building Permits and Development Service  Fees Budget Actual over (under) Jan 185,998           327,584           76.12% Feb 400,818           557,624           39.12% Mar 683,939           862,709           26.14% Apr 965,509           1,229,874        27.38% May 1,235,964        1,616,609        30.80% Jun 1,515,607        1,909,994        26.02% Jul 1,836,994        2,224,985        21.12% Aug 2,221,965        2,565,255        15.45% Sep 2,404,806        2,820,054        17.27% Oct 2,857,631        3,260,223        14.09% Nov 3,160,113        3,653,481        15.61% Dec 3,623,413        4,001,625        10.44% Percent of budget 110.44% $‐ $0.50  $1.00  $1.50  $2.00  $2.50  $3.00  $3.50  $4.00  Millions Fees Budget Actual Last Year Page 23 of 39 City of Renton Monthly Expenditure Analysis ‐ 2013 Budget Year General  Government Budget YTD Actual Annual %  over (under) Jan 7,197,119        7,563,322        5.09% Feb 16,286,905      15,996,818       ‐1.78% Mar 23,885,855      23,413,342       ‐1.98% Apr 32,092,643      31,631,530       ‐1.44% May 40,295,343      39,883,684       ‐1.02% Jun 48,875,120      48,473,829       ‐0.82% Jul 57,036,076      56,535,685       ‐0.88% Aug 65,362,851      64,579,234       ‐1.20% Sep 76,648,107      72,338,457       ‐5.62% Oct 84,490,673      81,277,689       ‐3.80% Nov 92,519,783      88,737,144       ‐4.09% Dec 106,278,122    103,667,105     ‐2.46% Percent of budget expended 97.54% YTD Annual %  $‐ $10  $20  $30  $40  $50  $60  $70  $80  $90  $100  $110  Millions Total Expenditures General Government Budget Actual Last Year $300 000 Legislative Legislative Budget Actual over (under) Jan 23,231              23,354              0.53% Feb 47,551              47,686              0.28% Mar 71,956              72,806              1.18% Apr 95,878              97,646              1.84% May 120,148           121,071           0.77% Jun 144,309           145,113           0.56% Jul 168,859           169,210           0.21% Aug 192,896           192,361            ‐0.28% Sep 217,082           216,073            ‐0.46% Oct 241,441           239,890            ‐0.64% Nov 265,573           263,960            ‐0.61% Dec 290,291           289,911            ‐0.13% Percent of budget expended 99.87% $‐ $50,000  $100,000  $150,000  $200,000  $250,000  $300,000  Budget Actual Last Year Page 24 of 39 City of Renton Monthly Expenditure Analysis ‐ 2013 Budget Year Executive Budget YTD Actual Annual %  over (under) Jan 84,700              78,944               ‐6.80% Feb 190,135           186,330            ‐2.00% Mar 296,151           297,118           0.33% Apr 407,614           419,061           2.81% May 516,918           528,321           2.21% Jun 623,960           614,036            ‐1.59% Jul 735,658           718,411            ‐2.34% Aug 847,425           824,425            ‐2.71% Sep 953,811           919,138            ‐3.64% Oct 1,064,489        1,023,885         ‐3.81% Nov 1,170,013        1,121,750         ‐4.13% Dec 1,322,364        1,240,910         ‐6.16% Percent of budget expended 93.84% YTD Annual %  $‐ $0.30  $0.60  $0.90  $1.20  $1.50  Millions Executive Budget Actual Last Year $2 00 Millions City Attorney City Attorney Budget Actual over (under) Jan 155,027           141,744            ‐8.57% Feb 314,005           285,967            ‐8.93% Mar 472,262           427,953            ‐9.38% Apr 633,182           584,735            ‐7.65% May 787,132           724,478            ‐7.96% Jun 947,880           872,824            ‐7.92% Jul 1,105,337        1,013,090         ‐8.35% Aug 1,263,381        1,157,082         ‐8.41% Sep 1,421,095        1,315,727         ‐7.41% Oct 1,593,003        1,460,487         ‐8.32% Nov 1,749,576        1,604,675         ‐8.28% Dec 1,915,103        1,922,225        0.37% Percent of budget expended 100.37% $‐ $0.40  $0.80  $1.20  $1.60  $2.00 Budget Actual Last Year Page 25 of 39 City of Renton Monthly Expenditure Analysis ‐ 2013 Budget Year Court Services Budget YTD Actual Annual %  over (under) Jan 161,056           152,280            ‐5.45% Feb 321,721           310,767            ‐3.40% Mar 485,078           468,698            ‐3.38% Apr 650,782           643,564            ‐1.11% May 824,039           795,263            ‐3.49% Jun 1,016,165        978,124            ‐3.74% Jul 1,185,948        1,141,510         ‐3.75% Aug 1,354,731        1,302,458         ‐3.86% Sep 1,519,505        1,468,967         ‐3.33% Oct 1,684,389        1,633,316         ‐3.03% Nov 1,852,716        1,793,783         ‐3.18% Dec 2,026,149        2,003,104         ‐1.14% Percent of budget expended 98.86% YTD Annual %  $‐ $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 Millions Community & Economic Dl Ad iCED Admin Budget Actual over (under) Jan 87,254              85,287               ‐2.26% Feb 174,720           170,570            ‐2.37% Mar 262,185           256,405            ‐2.20% Apr 351,364           344,293            ‐2.01% May 437,349           428,857            ‐1.94% Jun 523,334           514,481            ‐1.69% Jul 609,406           600,318            ‐1.49% Aug 695,571           685,933            ‐1.39% Sep 781,609           771,885            ‐1.24% Oct 867,019           858,042            ‐1.04% Nov 952,634           943,428            ‐0.97% Dec 1,040,208        1,047,860        0.74% Percent of budget expended 100.74% $‐ $0.20  $0.40  $0.60  $0.80  $1.00  $1.20  Millions Development Admin Budget Actual Last Year Page 26 of 39 City of Renton Monthly Expenditure Analysis ‐ 2013 Budget Year Development  Services Budget YTD Actual Annual %  over (under) Jan 267,446           272,362           1.84% Feb 540,517           515,474            ‐4.63% Mar 813,155           768,135            ‐5.54% Apr 1,086,172        1,060,776         ‐2.34% May 1,379,682        1,319,207         ‐4.38% Jun 1,645,056        1,589,997         ‐3.35% Jul 1,929,849        1,867,544         ‐3.23% Aug 2,201,921        2,165,714         ‐1.64% Sep 2,488,019        2,425,328         ‐2.52% Oct 2,780,951        2,704,130         ‐2.76% Nov 3,065,780        2,973,668         ‐3.00% Dec 3,358,299        3,243,702         ‐3.41% Percent of budget expended 96.59% Economic YTD Annual %  $‐ $0.50  $1.00  $1.50  $2.00  $2.50  $3.00  $3.50  Millions Development Services Budget Actual Last Year Millions Economic Development Development Budget Actual over (under) Jan 52,738              75,717              43.57% Feb 105,680           81,391               ‐22.98% Mar 150,024           109,135            ‐27.26% Apr 191,366           146,523            ‐23.43% May 237,394           175,487            ‐26.08% Jun 280,134           211,913            ‐24.35% Jul 327,723           254,764            ‐22.26% Aug 371,084           300,522            ‐19.02% Sep 413,800           341,333            ‐17.51% Oct 456,286           380,375            ‐16.64% Nov 506,186           412,147            ‐18.58% Dec 550,280           467,511            ‐15.04% Percent of budget expended 84.96% $‐ $0.10  $0.20  $0.30  $0.40  $0.50  $0.60  Millions Budget Actual Last Year Page 27 of 39 City of Renton Monthly Expenditure Analysis ‐ 2013 Budget Year Planning Budget YTD Actual Annual %  over (under) Jan 118,936           112,247            ‐5.62% Feb 265,596           237,260            ‐10.67% Mar 381,868           350,721            ‐8.16% Apr 509,685           480,129            ‐5.80% May 630,402           603,248            ‐4.31% Jun 748,996           728,944            ‐2.68% Jul 870,176           856,640            ‐1.56% Aug 1,024,050        993,017            ‐3.03% Sep 1,159,558        1,133,145         ‐2.28% Oct 1,279,389        1,256,275         ‐1.81% Nov 1,405,692        1,382,280         ‐1.67% Dec 1,541,592        1,510,707         ‐2.00% Percent of budget expended 98.00% YTD Annual % $2 40 Millions Finance $‐ $0.20  $0.40  $0.60  $0.80  $1.00  $1.20  $1.40  $1.60  Millions Planning Budget Actual Last Year Finance Budget Actual over (under) Jan 158,336           144,010            ‐9.05% Feb 323,142           284,066            ‐12.09% Mar 485,519           437,042            ‐9.98% Apr 646,871           610,911            ‐5.56% May 815,548           775,564            ‐4.90% Jun 991,610           942,750            ‐4.93% Jul 1,157,861        1,123,823         ‐2.94% Aug 1,335,063        1,312,345         ‐1.70% Sep 1,499,653        1,491,143         ‐0.57% Oct 1,643,469        1,649,170        0.35% Nov 1,786,254        1,799,155        0.72% Dec 2,242,682        2,274,147        1.40% Percent of budget expended 101.40% $‐ $0.40  $0.80  $1.20  $1.60  $2.00  $2.40 Budget Actual Last Year Page 28 of 39 City of Renton Monthly Expenditure Analysis ‐ 2013 Budget Year City Clerk Budget YTD Actual Annual %  over (under) Jan 72,010              61,226               ‐14.97% Feb 144,148           123,564            ‐14.28% Mar 223,753           202,364            ‐9.56% Apr 361,399           277,252            ‐23.28% May 435,793           581,575           33.45% Jun 507,931           636,188           25.25% Jul 710,263           692,263            ‐2.53% Aug 788,236           765,703            ‐2.86% Sep 863,409           830,214            ‐3.84% Oct 937,218           894,171            ‐4.59% Nov 1,017,649        955,952            ‐6.06% Dec 1,101,505        1,020,822         ‐7.32% Percent of budget expended 92.68% Includes Hearing Examiner Human YTD Annual % $1 00 Millions Human Resources $‐ $0.20  $0.40  $0.60  $0.80  $1.00  $1.20  Millions City Clerk Budget Actual Last Year Resources Budget Actual over (under) Jan 83,400              64,230               ‐22.99% Feb 161,123           134,784            ‐16.35% Mar 240,261           212,385            ‐11.60% Apr 311,770           288,203            ‐7.56% May 382,831           357,200            ‐6.70% Jun 469,447           439,470            ‐6.39% Jul 552,148           510,868            ‐7.48% Aug 635,001           583,333            ‐8.14% Sep 713,975           658,189            ‐7.81% Oct 797,946           733,652            ‐8.06% Nov 885,037           815,257            ‐7.88% Dec 977,094           904,182            ‐7.46% Percent of budget expended 92.54% $‐ $0.20  $0.40  $0.60  $0.80  $1.00  Budget Actual Last Year Page 29 of 39 City of Renton Monthly Expenditure Analysis ‐ 2013 Budget Year Police Budget YTD Actual Annual %  over (under) Jan 2,163,914        2,521,995        16.55% Feb 4,407,225        4,737,466        7.49% Mar 6,696,434        7,196,803        7.47% Apr 9,177,538        9,460,145        3.08% May 11,398,123      11,645,035      2.17% Jun 13,987,211      14,265,277      1.99% Jul 16,284,434      16,827,604      3.34% Aug 18,715,273      19,071,306      1.90% Sep 21,053,667      21,624,322      2.71% Oct 23,251,239      23,852,347      2.59% Nov 25,873,263      26,327,574      1.76% Dec 29,129,201      28,760,825       ‐1.26% Percent of budget expended 98.74% Fire &  Emergency YTD Annual %  $‐ $3  $6  $9  $12  $15  $18  $21  $24  $27  $30  Millions Police Budget Actual Last Year $27 Millions Fire & Emergency Services Services Budget Actual over (under) Jan 1,923,963        2,045,002        6.29% Feb 4,616,711        4,729,656        2.45% Mar 6,565,785        6,673,347        1.64% Apr 8,490,774        8,636,731        1.72% May 10,703,214      10,518,427       ‐1.73% Jun 12,646,891      12,459,420       ‐1.48% Jul 14,599,902      14,457,407       ‐0.98% Aug 16,684,205      16,390,199       ‐1.76% Sep 18,695,102      18,346,018       ‐1.87% Oct 20,646,459      20,390,546       ‐1.24% Nov 22,613,208      22,411,736       ‐0.89% Dec 24,639,458      24,444,372       ‐0.79% Percent of budget expended 99.21% $‐ $3  $6  $9  $12  $15  $18  $21  $24  $27  Budget Actual Last Year Page 30 of 39 City of Renton Monthly Expenditure Analysis ‐ 2013 Budget Year Community  Services Admin Budget YTD Actual Annual %  over (under) Jan 38,945              37,025               ‐4.93% Feb 75,568              74,364               ‐1.59% Mar 112,770           111,667            ‐0.98% Apr 149,649           150,854           0.81% May 187,504           187,590           0.05% Jun 224,486           225,313           0.37% Jul 261,692           262,830           0.43% Aug 298,602           299,975           0.46% Sep 335,099           336,859           0.53% Oct 371,183           373,747           0.69% Nov 409,019           414,255           1.28% Dec 454,878           452,146            ‐0.60% Percent of budget expended 99.40% YTD Annual % $4 50 Millions Parks $‐ $0.05  $0.10  $0.15  $0.20  $0.25  $0.30  $0.35  $0.40  $0.45  $0.50  Millions Community Services Admin Budget Actual Last Year Parks Budget Actual over (under) Jan 284,166           269,811            ‐5.05% Feb 571,975           563,088            ‐1.55% Mar 881,374           851,150            ‐3.43% Apr 1,213,908        1,192,965         ‐1.73% May 1,544,851        1,515,905         ‐1.87% Jun 1,895,562        1,862,252         ‐1.76% Jul 2,262,010        2,236,956         ‐1.11% Aug 2,639,487        2,631,293         ‐0.31% Sep 3,031,679        3,002,198         ‐0.97% Oct 3,422,118        3,373,623         ‐1.42% Nov 3,790,522        3,703,721         ‐2.29% Dec 4,155,186        4,024,756         ‐3.14% Percent of budget expended 96.86% $‐ $0.50  $1.00  $1.50  $2.00  $2.50  $3.00  $3.50  $4.00  $4.50 Budget Actual Last Year Page 31 of 39 City of Renton Monthly Expenditure Analysis ‐ 2013 Budget Year Parks Planning  and Natural  Resources Budget YTD Actual Annual %  over (under) Jan 58,219              42,639               ‐26.76% Feb 117,758           88,359               ‐24.97% Mar 193,484           142,461            ‐26.37% Apr 264,742           196,871            ‐25.64% May 353,686           258,947            ‐26.79% Jun 439,691           310,633            ‐29.35% Jul 513,977           370,751            ‐27.87% Aug 589,503           428,676            ‐27.28% Sep 673,988           484,402            ‐28.13% Oct 766,574           545,724            ‐28.81% Nov 852,923           601,585            ‐29.47% Dec 934,005           829,250            ‐11.22% Percent of budget expended 88.78% YTD Annual %  $‐ $0.10  $0.20  $0.30  $0.40  $0.50  $0.60  $0.70  $0.80  $0.90  $1.00  Millions Parks Planning and Natural Resources Budget Actual Last Year $6 Millions Recreation Recreation Budget Actual over (under) Jan 342,403           305,989            ‐10.63% Feb 696,555           650,023            ‐6.68% Mar 1,058,573        1,002,907         ‐5.26% Apr 1,432,734        1,371,571         ‐4.27% May 1,806,830        1,698,203         ‐6.01% Jun 2,191,397        2,075,334         ‐5.30% Jul 2,782,063        2,696,025         ‐3.09% Aug 3,439,700        3,343,858         ‐2.79% Sep 3,953,196        3,822,962         ‐3.29% Oct 4,335,111        4,151,697         ‐4.23% Nov 4,705,287        4,472,957         ‐4.94% Dec 5,120,246        4,846,970         ‐5.34% Percent of budget expended 94.66% $‐ $1  $2  $3  $4  $5  $6  Budget Actual Last Year Page 32 of 39 City of Renton Monthly Expenditure Analysis ‐ 2013 Budget Year Human  Services Budget YTD Actual Annual %  over (under) Jan 58,818              45,984               ‐21.82% Feb 130,459           128,054            ‐1.84% Mar 231,819           218,002            ‐5.96% Apr 407,227           340,261            ‐16.44% May 511,284           431,038            ‐15.69% Jun 578,545           496,606            ‐14.16% Jul 719,933           628,351            ‐12.72% Aug 794,107           695,514            ‐12.42% Sep 859,021           749,137            ‐12.79% Oct 1,023,887        883,276            ‐13.73% Nov 1,099,721        962,149            ‐12.51% Dec 1,275,816        1,162,330         ‐8.90% Percent of budget expended 91.10% Neighborhoods , Resources, YTD Annual %  $‐ $0.20  $0.40  $0.60  $0.80  $1.00  $1.20  $1.40  Millions Human Services Budget Actual Last Year $1 00 Millions Neighborhoods, Resources, and Events and Events Budget Actual over (under) Jan 55,854              56,917              1.90% Feb 109,166           108,774            ‐0.36% Mar 172,916           171,351            ‐0.91% Apr 236,903           231,744            ‐2.18% May 298,441           288,076            ‐3.47% Jun 378,699           362,006            ‐4.41% Jul 470,110           447,998            ‐4.70% Aug 555,842           518,531            ‐6.71% Sep 632,165           582,563            ‐7.85% Oct 703,188           638,898            ‐9.14% Nov 803,370           703,994            ‐12.37% Dec 914,955           770,841            ‐15.75% Percent of budget expended 84.25% $‐ $0.10  $0.20  $0.30  $0.40  $0.50  $0.60  $0.70  $0.80  $0.90  $1.00  Budget Actual Last Year Page 33 of 39 City of Renton Monthly Expenditure Analysis ‐ 2013 Budget Year Library Fund Budget YTD Actual Annual %  over (under) Jan ‐                          ‐                         N/A Feb ‐                          ‐                         N/A Mar ‐                          ‐                         N/A Apr ‐                          ‐                         N/A May ‐                          ‐                         N/A Jun ‐                          ‐                         N/A Jul ‐                          ‐                         N/A Aug ‐                          ‐                         N/A Sep ‐                          ‐                         N/A Oct ‐                          ‐                         N/A Nov ‐                          ‐                         N/A Dec ‐                          ‐                         N/A Percent of budget expended N/A YTD Annual %  $‐ $0.05  $0.10  $0.15  $0.20  $0.25  $0.30  Millions Library Fund Budget Actual Last Year $240 000 Museum Fund Museum Fund Budget Actual over (under) Jan 17,748              16,898               ‐4.79% Feb 35,749              34,090               ‐4.64% Mar 53,695              51,213               ‐4.62% Apr 71,829              69,807               ‐2.81% May 89,877              87,136               ‐3.05% Jun 108,087           104,728            ‐3.11% Jul 126,103           122,060            ‐3.21% Aug 144,243           139,638            ‐3.19% Sep 162,616           157,141            ‐3.37% Oct 180,847           174,718            ‐3.39% Nov 199,167           192,315            ‐3.44% Dec 217,167           209,387            ‐3.58% Percent of budget expended 96.42% $‐ $30,000  $60,000  $90,000  $120,000  $150,000  $180,000  $210,000  $240,000  Budget Actual Last Year Page 34 of 39 City of Renton Monthly Expenditure Analysis ‐ 2013 Budget Year Public Works  Admin Budget YTD Actual Annual %  over (under) Jan 40,394              39,971               ‐1.05% Feb 80,618              79,912               ‐0.88% Mar 120,971           119,866            ‐0.91% Apr 161,356           163,297           1.20% May 201,472           202,081           0.30% Jun 241,508           237,314            ‐1.74% Jul 281,724           269,323            ‐4.40% Aug 322,247           301,882            ‐6.32% Sep 363,226           333,688            ‐8.13% Oct 402,909           364,742            ‐9.47% Nov 442,662           395,530            ‐10.65% Dec 483,035           426,312            ‐11.74% Percent of budget expended 88.26% Street YTD Annual %  $‐ $50,000  $100,000  $150,000  $200,000  $250,000  $300,000  $350,000  $400,000  $450,000  $500,000  Public Works Admin Budget Actual Last Year $4 50 Millions Street Maintenance Maintenance Budget Actual over (under) Jan 333,344           302,270            ‐9.32% Feb 713,983           641,518            ‐10.15% Mar 1,077,703        937,528            ‐13.01% Apr 1,405,768        1,294,196         ‐7.94% May 1,756,371        1,600,743         ‐8.86% Jun 2,128,477        1,924,036         ‐9.61% Jul 2,485,951        2,229,390         ‐10.32% Aug 2,826,956        2,532,782         ‐10.41% Sep 3,174,309        2,856,379         ‐10.02% Oct 3,531,791        3,185,461         ‐9.81% Nov 3,898,668        3,497,441         ‐10.29% Dec 4,294,894        3,814,132         ‐11.19% Percent of budget expended 88.81% $‐ $0.50  $1.00  $1.50  $2.00  $2.50  $3.00  $3.50  $4.00  $4.50  Budget Actual Last Year Page 35 of 39 City of Renton Monthly Expenditure Analysis ‐ 2013 Budget Year Transportation Budget YTD Actual Annual %  over (under) Jan 299,590           311,908           4.11% Feb 677,729           670,659            ‐1.04% Mar 1,055,244        1,074,529        1.83% Apr 1,434,200        1,512,690        5.47% May 1,803,617        1,819,302        0.87% Jun 2,165,731        2,113,464         ‐2.41% Jul 2,562,459        2,490,033         ‐2.83% Aug 2,933,871        2,933,793        0.00% Sep 3,312,264        3,219,909         ‐2.79% Oct 3,700,291        3,582,655         ‐3.18% Nov 4,085,694        3,894,267         ‐4.69% Dec 4,579,081        4,476,854         ‐2.23% Percent of budget expended 97.77% YTD Annual % $10 Millions Debt Service $0.0 $0.5 $1.0 $1.5 $2.0 $2.5 $3.0 $3.5 $4.0 $4.5 $5.0 Millions Transportation Budget Actual Last Year Debt Service Budget Actual over (under) Jan 1,494                 ‐                         0.00% Feb 164,058           250,317           52.58% Mar 208,045           250,317           20.32% Apr 400,183           835,676           108.82% May 404,846           835,676           106.42% Jun 1,036,094        1,776,589        71.47% Jul 1,036,094        1,808,239        74.52% Aug 1,158,244        2,058,556        77.73% Sep 4,495,757        2,058,808         ‐54.21% Oct 4,686,987        3,562,890         ‐23.98% Nov 4,738,224        3,562,890         ‐24.81% Dec 8,073,283        8,048,508         ‐0.31% Percent of budget expended 99.69% $‐ $1  $2  $3  $4  $5  $6  $7  $8  $9  $10  Budget Actual Last Year Page 36 of 39 City of Renton Monthly Expenditure Analysis ‐ 2013 Budget Year Non‐ Departmental  Other City Budget YTD Actual Annual %  over (under) Jan 314,132           355,512           13.17% Feb 1,301,016        862,677            ‐33.69% Mar 1,574,828        1,009,438         ‐35.90% Apr 1,999,750        1,221,630         ‐38.91% May 2,667,993        2,385,254         ‐10.60% Jun 2,953,917        2,587,016         ‐12.42% Jul 3,296,397        2,740,276         ‐16.87% Aug 3,551,212        2,950,337         ‐16.92% Sep 3,874,503        3,192,930         ‐17.59% Oct 4,122,489        3,363,972         ‐18.40% Nov 4,350,946        3,530,675         ‐18.85% Dec 5,641,350        5,475,340         ‐2.94% Percent of budget expended 97.06% $‐ $0.50  $1.00  $1.50  $2.00  $2.50  $3.00  $3.50  $4.00  $4.50  $5.00  $5.50  $6.00  Millions Non‐Departmental Other City Services Budget Actual Last Year Page 37 of 39 City of Renton Monthly Enterprise Fund Financial Report ‐ 2013 Budget Year Utilities Budget Revenue Expense Jan 3,822,102        5,451,016      3,091,235       Feb 8,574,226        10,484,839    7,162,971       Mar 13,024,597      16,704,949    12,742,494     Apr 17,938,249      21,897,618    17,525,965     May 22,525,197      27,540,401    22,717,408     Jun 29,100,939      33,144,751    28,759,364     Jul 34,997,102      39,459,369    34,603,156     Aug 40,172,098      46,050,162    39,527,809     Sep 45,175,109      51,921,474    45,278,284     Oct 51,050,583      58,226,205    49,431,907     Nov 56,005,354      63,659,500    53,993,089     Dec 76,668,359      68,552,832    61,542,111     Percent of budget expended 76.76% Note:  Operations and Capital $0 $10 $20 $30 $40 $50 $60 $70 $80 Millions Utilities Budget Revenue Expense $18 00 Millions Airport Airport Budget Revenue Expense Jan 872,898           197,380          132,655           Feb 1,945,215        816,583          272,568           Mar 2,864,994        1,033,561      551,940           Apr 3,990,840        1,326,892      679,773           May 5,462,522        1,542,344      1,344,469       Jun 7,450,945        2,240,528      2,131,340       Jul 8,369,150        3,029,040      3,486,489       Aug 9,719,255        4,424,167      7,184,207       Sep 10,632,212      7,702,430      7,576,205       Oct 12,569,206      10,060,354    11,110,481     Nov 13,492,133      10,894,495    11,295,008     Dec 17,492,945      11,160,693    11,834,053     Percent of budget expended 67.65% Note:  Operations and Capital $‐ $2.00  $4.00  $6.00  $8.00  $10.00  $12.00  $14.00  $16.00  $18.00  Budget Revenue Expense Page 38 of 39 City of Renton Monthly Enterprise Fund Financial Report ‐ 2013 Budget Year Golf Course Budget Revenue Expense Jan 149,676           59,391            129,801           Feb 306,469           161,197          254,957           Mar 634,821           291,654          404,017           Apr 810,471           505,367          579,467           May 1,036,409        747,089          721,090           Jun 1,224,604        1,010,936      914,581           Jul 1,439,471        1,404,992      1,099,310       Aug 1,635,353        1,694,229      1,422,736       Sep 1,825,455        1,982,981      1,659,746       Oct 2,015,355        2,121,991      1,810,203       Nov 2,187,756        2,202,856      1,950,512       Dec 2,845,664        2,272,097      2,492,750       Percent of budget expended 87.60% 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 39 of 39