HomeMy WebLinkAboutMONTH 2020 08Page 1 of 7
OVERVIEW
This monthly financial report reflects the City’s revenue and expenditures/expenses for the fiscal year through August 31,
2020. A detailed analysis, including budget to actual comparison, will be prepared quarterly in accordance with the City’s
financial management policies.
GENERAL FUND
The General Fund is used to account for resources that are not generally dedicated for a specific purpose. The General Fund
is used to meet the basic services that the City provides including, but not limited to, police protection, parks and recreation,
human services, municipal court, street maintenance and planning, economic development, and administrative functions.
The table below displays the year‐to‐date revenues and expenditures for the General Fund.
General
REVENUES:
Taxes 49,745,709$
Licenses and permits 3,627,740
Grants / intergovernmental 2,690,662
Charges for services 5,101,682
Fines and penalties 2,199,084
Contributions 1,117,425
Sale of general fixed assets 18,600
Investment Earnings 710,132
TOTAL REVENUES 65,211,034
EXPENDITURES:
Personnel 39,818,261
Supplies 923,914
Contracted Services 11,445,195
Capital Outlay 231,794
Internal Services 8,350,219
TOTAL EXPENDITURES 60,769,383
TRANSFERS IN 15,457,006
TRANSFERS OUT 12,871,715
NET TRANSFERS 2,585,291
CHANGE IN FUND BALANCE 7,026,942
BEGINNING FUND BALANCE, Jan 1 48,056,982
ENDING FUND BALANCE, Aug 31 55,083,924$
Monthly Financial Report August 2020
Monthly Financial Report City of Renton, Washington August 2020
Page 2 of 7
DEBT SERVICE FUND
Debt service funds are used to account for the accumulation of resources for the payment of principal and interest related to
the City’s general obligation bond issues. The table below displays the year‐to‐date revenues and expenditures for the City’s
debt service fund.
SPECIAL REVENUE FUNDS
Special revenue funds are used to account for revenues that are to be used for a specific purpose as required by law or
legislative action. The table below displays the year‐to‐date revenues and expenditures for the City’s special revenue funds.
General
Governmental
Misc Debt
REVENUES:
Grants / intergovernmental 415,505$
Investment Earnings 26,001
TOTAL REVENUES 441,506
EXPENDITURES:
Principal 580,922
Interest 973,242
TOTAL EXPENDITURES 1,554,164
TRANSFERS IN 2,850,961
NET TRANSFERS 2,850,961
CHANGE IN FUND BALANCE 1,738,303
BEGINNING FUND BALANCE, Jan 1 3,999,457
ENDING FUND BALANCE, Aug 31 5,737,760$
Hotel‐Motel Tax Municipal Art
Cable
Communications
Springbrook
Wetlands Police Seizure
Police CSAM
Seizure
REVENUES:
Taxes 163,545$ ‐$ ‐$ ‐$ ‐$ ‐$
Licenses and permits ‐ ‐ 60,876 ‐ ‐ ‐
Fines and penalties ‐ ‐ ‐ ‐ ‐ 9,436
Investment Earnings 5,968 909 3,762 2,095 1,315 251
TOTAL REVENUES 189,513 909 64,638 2,095 1,315 9,687
EXPENDITURES:
Supplies ‐ 90 ‐ ‐ 26,470 ‐
Contracted Services 140,970 38,018 29,420 ‐ 16,241 1,501
TOTAL EXPENDITURES 140,970 38,108 29,420 ‐ 50,018 1,501
TRANSFERS IN ‐ 180,660 ‐ ‐ 711,102 126,011
NET TRANSFERS ‐ 180,660 ‐ ‐ 711,102 126,011
CHANGE IN FUND BALANCE 48,543 143,461 35,218 2,095 662,399 134,197
BEGINNING FUND BALANCE, Jan 1 943,889 98,865 603,760 345,658 ‐ ‐
ENDING FUND BALANCE, Aug 31 992,432$ 242,326$ 638,978$ 347,753$ 662,399$ 134,197$
Monthly Financial Report City of Renton, Washington August 2020
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CAPITAL PROJECT FUNDS
Capital project funds are used to account for the acquisition and construction of major capital facilities and equipment. The
table below displays the year‐to‐date revenues and expenditures for the City’s capital project funds.
CS Impact
Mitigation
Transportation
Impact
Mitigation REET 1REET 2
Municipal
Facilities CIP
Capital
Investment
Housing
Opportunity
New Library
Development
Family First
Center
REVENUES:
Taxes ‐$ ‐$ 1,822,604$ 1,822,604$ ‐$ ‐$ ‐$ ‐$ ‐$
Grants / intergovernmental ‐ ‐ ‐ ‐ 555,083 1,302,098 ‐ ‐ ‐
Charges for services 451,853 1,584,551 ‐ ‐ 140 250,000 ‐ ‐ ‐
Fines and penalties ‐ ‐ ‐ ‐ ‐ 18,685 ‐ ‐ ‐
Sale of general fixed assets ‐ ‐ ‐ ‐ 560,000 ‐ ‐ ‐ ‐
Investment Earnings 12,923 20,984 4,568 4,568 167,118 112,533 6,309 271 50,752
TOTAL REVENUES 464,776 1,605,535 1,827,172 1,827,172 1,282,341 1,683,316 6,309 271 50,752
EXPENDITURES:
Personnel ‐ ‐ ‐ ‐ 343,336 74,668 ‐ ‐ ‐
Supplies ‐ ‐ ‐ ‐ ‐ 127,910 ‐ ‐ ‐
Contracted Services ‐ ‐ ‐ ‐ 309,110 107,460 ‐ ‐ ‐
Capital Outlay ‐ ‐ ‐ ‐ 4,744,872 3,864,177 ‐ ‐ 250,722
TOTAL EXPENDITURES ‐ ‐ ‐ ‐ 5,397,318 4,174,215 ‐ ‐ 250,722
TRANSFERS IN ‐ ‐ 1,143,855 1,143,855 ‐ 760,000 ‐ ‐ ‐
TRANSFERS OUT ‐ ‐ ‐ ‐ 2,323,680 ‐ 2,576,659 ‐ ‐
NET TRANSFERS ‐ ‐ 1,143,855 1,143,855 (2,323,680) 760,000 (2,576,659) ‐ ‐
CHANGE IN FUND BALANCE 464,776 1,605,535 2,971,027 2,971,027 (6,438,657) (1,730,899) (2,570,350) 271 (199,970)
BEGINNING FUND BALANCE, Jan 1 1,886,999 2,942,344 ‐ ‐ 26,395,567 18,947,853 2,570,350 16,408 8,551,401
ENDING FUND BALANCE, Aug 31 2,351,775$ 4,547,879$ 2,971,027$ 2,971,027$ 19,956,910$ 17,216,954$ ‐$ 16,679$ 8,351,431$
Monthly Financial Report City of Renton, Washington August 2020
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ENTERPRISE FUNDS
Enterprise funds are used to account for operations that are financed and operated in a manner similar to private business
enterprises. The table below displays the year‐to‐date revenues and expenses of the City’s enterprise funds.
Airport
Solid Waste
Utility Golf Course Water Utility
Wastewater
Utility Metro
Surface Water
Utility
REVENUES:
Licenses and permits ‐$ ‐$ ‐$ ‐$ 68,525$ ‐$ 47,600$
Grants / intergovernmental ‐ 89,664 ‐ ‐ ‐ ‐ 642,014
Charges for services 54,786 11,650,359 1,467,732 10,737,473 7,142,419 11,183,013 8,055,040
Rents, leases, and misc fees 1,971,058 ‐ 223,860 123,578 ‐ ‐ ‐
Interest and other misc 39,817 19,211 (13,458) 530,060 390,341 37,336 278,617
TOTAL REVENUES 2,065,661 11,759,234 1,678,134 11,391,111 7,601,548 11,220,349 9,023,271
EXPENSES:
Personnel 614,105 382,313 940,535 2,877,078 1,581,863 ‐ 2,469,906
Supplies 18,575 3,252 207,573 497,866 41,602 ‐ 68,743
Contracted Services 232,899 10,905,136 104,830 1,965,847 1,308,523 9,525,536 1,165,847
Internal Services 209,426 303,288 228,038 1,375,688 978,584 ‐ 1,157,723
TOTAL OPERATING EXPENSES 1,075,005 11,593,989 1,480,976 6,716,479 3,910,572 9,525,536 4,862,219
AMOUNT AVAILABLE FOR DEBT SERVICE,
CAPITAL, AND TRANSFERS 990,656 165,245 197,158 4,674,632 3,690,976 1,694,813 4,161,052
DEBT SERVICE:
Principal ‐ ‐ ‐ 345,818 ‐ ‐ ‐
Interest ‐ ‐ ‐ 105,595 45,398 ‐ 400,434
TOTAL DEBT SERVICE ‐ ‐ ‐ 451,413 45,398 ‐ 400,434
CAPITAL OUTLAY 213,658 ‐ ‐ 2,210,582 455,674 ‐ 1,179,967
TRANSFERS IN ‐ ‐ 50,667 ‐ ‐ ‐ ‐
TRANSFERS OUT 1,363 ‐ 53,362 330 ‐ ‐ ‐
NET TRANSFERS (1,363) ‐ (2,695) (330) ‐ ‐ ‐
CHANGE IN FUND BALANCE 775,635 165,245 194,463 2,012,307 3,189,904 1,694,813 2,580,651
BEGINNING FUND BALANCE, Jan 1 6,259,402 2,266,127 173,750 37,569,067 19,832,351 5,961,906 18,377,556
ENDING FUND BALANCE, Aug 31 7,035,037$ 2,431,372$ 368,213$ 39,581,374$ 23,022,255$ 7,656,719$ 20,958,207$
Monthly Financial Report City of Renton, Washington August 2020
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INTERNAL SERVICE FUNDS
Internal service funds are used to account for the goods and services furnished by one City department to other City
departments on a cost reimbursement basis. The table below displays the year‐to‐date revenues and expenses of the City’s
internal service funds.
Equipment Rental Insurance
Information
Technology Facilities Communications Healthcare
Retiree
Healthcare
REVENUES:
Technology Fee ‐$ ‐$ 167,733$ ‐$ ‐$ ‐$ ‐$
Grants / intergovernmental ‐ ‐ ‐ 21,835 49,690 ‐ 35,245
Charges for services:
Equipment rental m&o 2,021,582 ‐ 3,582,241 ‐ ‐ ‐ ‐
Print and mail ‐ ‐ ‐ ‐ 118,104 ‐ ‐
Communications ‐ ‐ ‐ ‐ 214,837 ‐ ‐
Facilities ‐ ‐ ‐ 2,766,517 ‐ ‐ ‐
Interest and other misc 42,289 113,926 27,597 7,883 4,685 34,069 96,932
Internal service fund misc:
Vehicle / equipment capital recovery 428,185 ‐ ‐ ‐ ‐ ‐ ‐
Insurance premiums ‐ 1,132,073 ‐ ‐ ‐ ‐ ‐
Worker's comp/unemployment ‐ 939,118 ‐ ‐ ‐ ‐ ‐
Benefit premiums ‐ ‐ ‐ ‐ ‐ 7,283,102 1,083,123
Other misc 199 ‐ 1,942 1 ‐ 907,423 ‐
Insurance recoveries ‐ 24,252 ‐ ‐ ‐ ‐ ‐
TOTAL REVENUES 2,492,255 2,209,369 3,779,513 2,796,236 387,316 8,224,594 1,215,300
EXPENSES:
Personnel 718,989 571,133 1,918,151 1,966,932 573,284 6,204,472 702,958
Supplies 649,146 401 233,439 300,669 18,946 6,881 ‐
Contracted Services 147,885 1,562,288 1,275,242 874,296 172,427 329,664 32,667
Internal Services 21,798 ‐ 1,203 45,713 2,627 40,287 ‐
TOTAL OPERATING EXPENSES 1,537,818 2,133,822 3,428,035 3,187,610 767,284 6,581,304 735,625
AMOUNT AVAILABLE FOR DEBT SERVICE,
CAPITAL, AND TRANSFERS 954,437 75,547 351,478 (391,374) (379,968) 1,643,290 479,675
CAPITAL OUTLAY 1,042,921 ‐ 39,687 5,704 ‐ ‐ ‐
TRANSFERS IN ‐ ‐ 12,433 8,596 ‐ ‐ ‐
TRANSFERS OUT ‐ 4,500,000 ‐ ‐ 4,229 ‐ ‐
NET TRANSFERS ‐ (4,500,000) 12,433 8,596 (4,229) ‐ ‐
CHANGE IN FUND BALANCE (88,484) (4,424,453) 324,224 (388,482) (384,197) 1,643,290 479,675
BEGINNING FUND BALANCE, Jan 1 6,851,811 19,095,508 4,490,062 1,220,276 803,561 5,151,648 15,799,729
ENDING FUND BALANCE, Aug 31 6,763,327$ 14,671,055$ 4,814,286$ 831,794$ 419,364$ 6,794,938$ 16,279,404$
Monthly Financial Report City of Renton, Washington August 2020
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FIDUCIARY FUNDS
Fiduciary funds are used to account for assets held by the City in a trustee capacity. These assets are not available for City use
as they are not City assets. The table below displays year‐to‐date revenues and expenditures of the City’s fiduciary funds.
Fire Mitigation Firemens' Pension
REVENUES:
Grants / intergovernmental ‐$ 165,917$
Charges for services 116,313 ‐
Investment Earnings 13,167 38,137
TOTAL REVENUES 129,480 204,054
EXPENDITURES:
Personnel ‐ 138,982
Contracted Services ‐ 3,400
TOTAL EXPENDITURES ‐ 142,382
NET TRANSFERS (113,806) ‐
CHANGE IN FUND BALANCE 15,674 61,672
BEGINNING FUND BALANCE, Jan 1 2,120,558 7,565,902
ENDING FUND BALANCE, Aug 31 2,136,232$ 7,627,574$
Monthly Financial Report City of Renton, Washington August 2020
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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 Misty Baker at mbaker@rentonwa.gov or Jan Hawn at jhawn@rentonwa.gov.
City of Renton
All Funds ‐ Revenue, Expenditures and Fund Balances
Budgetary Basis through August 31, 2020
Funds
Balance
01/01/2020
Budgeted
Revenue
Revenue
08/31/20
Total Funds
Available
Budgeted
Expenditure
Expenditure
08/31/20 Ending Balance
GENERAL FUND 48,056,982 131,167,346 80,668,040 128,725,022 124,162,622 73,641,098 55,083,924
SPECIAL REVENUE FUNDS: 1,992,172 1,315,447 1,285,930 3,278,102 1,673,139 260,017 3,018,085
110 Hotel Motel 943,889 200,000 189,513 1,133,402 466,562 140,970 992,432
125 Municipal Art 98,865 180,660 181,569 280,434 271,790 38,108 242,326
127 Cable Communication 603,760 97,674 64,638 668,398 97,674 29,420 638,978
135 Springbrook Wetlands Bank 345,658 ‐ 2,095 347,753 ‐ ‐ 347,753
140 Police Seizure ‐ 711,102 712,417 712,417 711,102 50,018 662,399
141 Police CSAM Seizure ‐ 126,011 135,698 135,698 126,011 1,501 134,197
DEBT SERVICE FUND 3,999,457 8,143,007 3,292,467 7,291,924 7,162,386 1,554,164 5,737,760
CAPITAL PROJECT FUNDS (CIP): 61,310,922 41,900,304 11,795,354 73,106,276 87,003,334 14,722,594 58,383,682
303 Community Services Mitigation 1,886,999 86,500 464,776 2,351,775 945,909 ‐ 2,351,775
305 Transportation Mitigation 2,942,344 1,435,875 1,605,535 4,547,879 1,811,987 ‐ 4,547,879
308 REET1 ‐ 3,143,855 2,971,027 2,971,027 1,775,000 ‐ 2,971,027
309 REET2 ‐ 3,143,855 2,971,027 2,971,027 1,775,000 ‐ 2,971,027
316 Municipal Facilities CIP 26,395,567 6,880,571 1,282,341 27,677,908 32,171,063 7,720,998 19,956,910
317 Transportation CIP 18,947,853 27,128,339 2,443,316 21,391,169 45,298,768 4,174,215 17,216,954
326 Housing Opportunity 2,570,350 6,309 6,309 2,576,659 2,576,659 2,576,659 ‐
336 New Library Development 16,408 ‐ 271 16,679 ‐ ‐ 16,679
346 New Family First Center Dvlpmnt 8,551,401 75,000 50,752 8,602,153 648,948 250,722 8,351,431
ENTERPRISE FUNDS: 90,440,159 99,238,882 54,789,975 145,230,134 153,576,378 44,176,957 101,053,177
4X2 Airport Operating & CIP 6,259,402 3,051,767 2,065,661 8,325,063 7,848,424 1,290,026 7,035,037
403 Solid Waste Utility 2,266,127 19,616,816 11,759,234 14,025,361 19,367,083 11,593,989 2,431,372
4X4 Golf Operating & CIP 173,750 2,872,920 1,728,801 1,902,551 2,476,682 1,534,338 368,213
4X5 Water Operating & CIP 37,569,067 19,516,652 11,391,111 48,960,178 49,940,511 9,378,804 39,581,374
4X6 Waste Water Operating & CIP 19,832,351 11,630,784 7,601,548 27,433,899 25,800,350 4,411,644 23,022,255
416 King County Metro 5,961,906 17,007,226 11,220,349 17,182,255 17,007,226 9,525,536 7,656,719
4X7 Surface Water Operating & CIP 18,377,556 25,542,717 9,023,271 27,400,827 31,136,102 6,442,620 20,958,207
INTERNAL SERVICE FUNDS: 53,412,595 30,866,021 21,125,612 74,538,207 40,371,739 23,964,039 50,574,168
501 Equipment Repair/Replacement 6,851,811 3,599,714 2,492,255 9,344,066 4,815,199 2,580,739 6,763,327
502 Insurance 19,095,508 3,371,506 2,209,369 21,304,877 7,829,878 6,633,822 14,671,055
503 Information Services 4,490,062 5,509,868 3,791,946 8,282,008 7,635,416 3,467,722 4,814,286
504 Facilities 1,220,276 4,313,651 2,804,832 4,025,108 5,079,561 3,193,314 831,794
505 Communications 803,561 1,177,126 387,316 1,190,877 1,263,537 771,513 419,364
512 Insurance, Healthcare 5,151,648 12,649,694 8,224,594 13,376,242 12,499,905 6,581,304 6,794,938
522 Insurance, Leoff1 Retirees HC 15,799,729 244,462 1,215,300 17,015,029 1,248,243 735,625 16,279,404
FIDUCIARY FUNDS: 9,686,460 567,000 333,534 10,019,994 314,283 256,188 9,763,806
304 Fire Mitigation 2,120,558 99,000 129,480 2,250,038 113,808 113,806 2,136,232
611 Firemens' Pension 7,565,902 468,000 204,054 7,769,956 200,475 142,382 7,627,574
TOTAL FUNDS 268,898,747 313,198,007 173,290,912 442,189,659 414,263,881 158,575,057 283,614,602