HomeMy WebLinkAboutMONTH 2021 01Page 1 of 7
OVERVIEW
This monthly financial report reflects the City’s revenue and expenditures/expenses for the fiscal year through January 31,
2021. 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 4,257,418$
Licenses and permits 815,035
Grants / intergovernmental 366,729
Charges for services 318,813
Fines and penalties 165,392
Contributions 56,912
Investment Earnings 23,750
Insurance recoveries 12,434
TOTAL REVENUES 6,016,483
EXPENDITURES:
Personnel 4,690,505
Supplies 13,715
Contracted Services 795,277
Internal Services 4,751
TOTAL EXPENDITURES 5,504,248
TRANSFERS OUT 3,130
NET TRANSFERS (3,130)
CHANGE IN FUND BALANCE 509,105
BEGINNING FUND BALANCE, Jan 1 54,391,582
ENDING FUND BALANCE, Jan 31 54,900,687
ECONOMIC DEVELOPMENT RESERVE 2,500,000
OPERATING RESERVES 8,600,000
AVAILABLE FUND BALANCE, Jan 31 43,800,687$
Monthly Financial Report January 2021
Monthly Financial Report City of Renton, Washington January 2021
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:
Investment Earnings 1,817$
TOTAL REVENUES 1,817
EXPENDITURES:
TOTAL EXPENDITURES ‐
NET TRANSFERS ‐
CHANGE IN FUND BALANCE 1,817
BEGINNING FUND BALANCE, Jan 1 5,010,629
ENDING FUND BALANCE, Jan 31 5,012,446$
Hotel‐Motel Tax Municipal Art
Cable
Communications
Springbrook
Wetlands Police Seizure
Police CSAM
Seizure
REVENUES:
Taxes 14,782$ ‐$ ‐$ ‐$ ‐$ ‐$
Licenses and permits ‐ ‐ 18,900 ‐ ‐ ‐
Fines and penalties ‐ ‐ ‐ ‐ ‐ 4,635
Investment Earnings 333 30 246 126 333 54
TOTAL REVENUES 15,115 30 19,146 126 333 4,689
EXPENDITURES:
Contracted Services 12,500 ‐ ‐ ‐ ‐ ‐
TOTAL EXPENDITURES 12,500 ‐ ‐ ‐ ‐ ‐
NET TRANSFERS ‐ ‐ ‐ ‐ ‐ ‐
CHANGE IN FUND BALANCE 2,615 30 19,146 126 333 4,689
BEGINNING FUND BALANCE, Jan 1 893,604 65,000 677,710 348,826 872,449 150,637
ENDING FUND BALANCE, Jan 31 896,219$ 65,030$ 696,856$ 348,952$ 872,782$ 155,326$
Monthly Financial Report City of Renton, Washington January 2021
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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 1 REET 2
Municipal
Facilities CIP
Capital
Investment
New Library
Development
Family First
Center
REVENUES:
Taxes ‐$ ‐$ 251,414$ 251,414$ ‐$ ‐$ ‐$ ‐$
Grants / intergovernmental ‐ ‐ ‐ ‐ 356,665 17,500 ‐ ‐
Charges for services 48,039 101,665 ‐ ‐ ‐ ‐ ‐ ‐
Fines and penalties ‐ ‐ ‐ ‐ ‐ 138 ‐ ‐
Investment Earnings 705 1,137 739 1,235 7,506 6,615 ‐ 3,021
TOTAL REVENUES 48,744 102,802 252,153 252,649 364,171 24,253 ‐ 3,021
EXPENDITURES:
Personnel ‐ ‐ ‐ ‐ 13,281 6,375 ‐ ‐
Capital Outlay ‐ ‐ ‐ ‐ 10,200 (53,476) ‐ ‐
TOTAL EXPENDITURES ‐ ‐ ‐ ‐ 23,481 (47,101) ‐ ‐
NET TRANSFERS ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐
CHANGE IN FUND BALANCE 48,744 102,802 252,153 252,649 340,690 71,354 ‐ 3,021
BEGINNING FUND BALANCE, Jan 1 1,713,833 3,154,954 2,042,269 3,411,866 20,298,663 16,792,413 16,679 8,356,704
ENDING FUND BALANCE, Jan 31 1,762,577$ 3,257,756$ 2,294,422$ 3,664,515$ 20,639,353$ 16,863,767$ 16,679$ 8,359,725$
Monthly Financial Report City of Renton, Washington January 2021
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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 ‐$ ‐$ ‐$ ‐$ 9,750$ ‐$ 6,000$
Charges for services 7,325 1,299,603 123,179 1,263,361 925,220 1,439,039 1,113,013
Fines and penalties ‐ ‐ ‐ ‐ 695 ‐ ‐
Rents, leases, and misc fees 249,629 ‐ 8,504 17,710 ‐ ‐ ‐
Interest and other misc 2,770 1,238 384 43,304 37,229 1,704 20,511
TOTAL REVENUES 259,724 1,300,841 132,067 1,324,375 972,894 1,440,743 1,139,524
EXPENSES:
Personnel 82,577 36,218 113,402 378,985 189,854 ‐ 313,904
Supplies 1,269 149 20,790 17,453 493 ‐ 4,735
Contracted Services 21,063 718,132 5,952 148,594 157,883 1,456,660 91,444
Internal Services 686 2,147 ‐ 2,370 1,958 ‐ 8,258
TOTAL OPERATING EXPENSES 105,595 756,646 140,144 547,402 350,188 1,456,660 418,341
AMOUNT AVAILABLE FOR DEBT SERVICE,
CAPITAL, AND TRANSFERS 154,129 544,195 (8,077) 776,973 622,706 (15,917) 721,183
TOTAL DEBT SERVICE ‐ ‐ ‐ ‐ ‐ ‐ ‐
CAPITAL OUTLAY ‐ ‐ ‐ 44,821 19,165 ‐ 36,069
NET TRANSFERS ‐ ‐ ‐ ‐ ‐ ‐ ‐
CHANGE IN FUND BALANCE 154,129 544,195 (8,077) 732,152 603,541 (15,917) 685,114
BEGINNING FUND BALANCE, Jan 1 7,558,405 2,771,562 476,746 40,776,314 23,996,217 4,729,749 21,610,356
ENDING FUND BALANCE, Jan 31 7,712,534$ 3,315,757$ 468,669$ 41,508,466$ 24,599,758$ 4,713,832$ 22,295,470$
Monthly Financial Report City of Renton, Washington January 2021
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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 ‐$ ‐$ 12,037$ ‐$ ‐$ ‐$ ‐$
Charges for services:
Equipment rental m&o 9,710 ‐ ‐ ‐ ‐ ‐ ‐
Interest and other misc 2,331 7,176 1,591 250 56 2,107 5,969
Internal service fund misc:
Worker's comp/unemployment ‐ 112,366 ‐ ‐ ‐ ‐ ‐
Benefit premiums ‐ ‐ ‐ ‐ ‐ 1,004,815 ‐
Other misc ‐ ‐ ‐ ‐ ‐ ‐ 17,132
TOTAL REVENUES 12,041 158,422 13,628 250 56 1,006,922 23,101
EXPENSES:
Personnel 87,650 94,960 241,125 237,958 56,688 809,803 65,638
Supplies 43,452 ‐ ‐ 1,257 589 ‐ ‐
Contracted Services 27,985 541,622 59,386 30,164 12,527 48,932 5,912
Internal Services ‐ ‐ ‐ 19 ‐ ‐ ‐
TOTAL OPERATING EXPENSES 159,087 636,582 300,511 269,398 69,804 858,735 71,550
AMOUNT AVAILABLE FOR DEBT SERVICE,
CAPITAL, AND TRANSFERS (147,046) (478,160) (286,883) (269,148) (69,748) 148,187 (48,449)
CAPITAL OUTLAY 81,118 ‐ ‐ ‐ ‐ ‐ ‐
TRANSFERS IN ‐ ‐ 3,130 ‐ ‐ ‐ ‐
NET TRANSFERS ‐ ‐ 3,130 ‐ ‐ ‐ ‐
CHANGE IN FUND BALANCE (228,164) (478,160) (283,753) (269,148) (69,748) 148,187 (48,449)
BEGINNING FUND BALANCE, Jan 1 6,376,259 19,860,208 3,939,941 504,167 151,624 5,773,429 16,541,245
ENDING FUND BALANCE, Jan 31 6,148,095$ 19,382,048$ 3,656,188$ 235,019$ 81,876$ 5,921,616$ 16,492,796$
Monthly Financial Report City of Renton, Washington January 2021
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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:
Charges for services 10,787$ ‐$
Investment Earnings 791 2,567
TOTAL REVENUES 11,578 2,567
EXPENDITURES:
Personnel ‐ 19,841
TOTAL EXPENDITURES ‐ 19,841
NET TRANSFERS ‐ ‐
CHANGE IN FUND BALANCE 11,578 (17,274)
BEGINNING FUND BALANCE, Jan 1 2,191,452 7,908,312
ENDING FUND BALANCE, Jan 31 2,203,030$ 7,891,038$
Monthly Financial Report City of Renton, Washington January 2021
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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 Kari Roller at kroller@rentonwa.gov.
City of Renton
All Funds ‐ Revenue, Expenditures and Fund Balances
Budgetary Basis through January 31, 2021
Funds
Balance
01/01/2020
Budgeted
Revenue
Revenue
01/31/21
Total Funds
Available
Budgeted
Expenditure
Expenditure
01/31/21 Ending Balance
GENERAL FUND 54,391,582 111,532,172 6,016,483 60,408,065 127,506,500 5,507,378 54,900,687
SPECIAL REVENUE FUNDS: 3,008,226 415,574 39,439 3,047,665 215,574 12,500 3,035,165
110 Hotel Motel 893,604 200,000 15,115 908,719 ‐ 12,500 896,219
125 Municipal Art 65,000 117,900 30 65,030 117,900 ‐ 65,030
127 Cable Communication 677,710 97,674 19,146 696,856 97,674 ‐ 696,856
135 Springbrook Wetlands Bank 348,826 ‐ 126 348,952 ‐ ‐ 348,952
140 Police Seizure 872,449 ‐ 333 872,782 ‐ ‐ 872,782
141 Police CSAM Seizure 150,637 ‐ 4,689 155,326 ‐ ‐ 155,326
DEBT SERVICE FUND 5,010,629 7,145,018 1,817 5,012,446 7,153,019 ‐ 5,012,446
CAPITAL PROJECT FUNDS (CIP): 55,787,381 9,688,685 1,047,793 56,835,174 10,758,708 (23,620) 56,858,794
303 Community Services Mitigation 1,713,833 86,500 48,744 1,762,577 316,000 ‐ 1,762,577
305 Transportation Mitigation 3,154,954 200,000 102,802 3,257,756 200,000 ‐ 3,257,756
308 REET1 2,042,269 2,250,000 252,153 2,294,422 2,865,000 ‐ 2,294,422
309 REET2 3,411,866 2,250,000 252,649 3,664,515 3,248,025 ‐ 3,664,515
316 Municipal Facilities CIP 20,298,663 2,702,185 364,171 20,662,834 2,954,433 23,481 20,639,353
317 Transportation CIP 16,792,413 2,200,000 24,253 16,816,666 675,250 (47,101) 16,863,767
336 New Library Development 16,679 ‐ ‐ 16,679 ‐ ‐ 16,679
346 New Family First Center Dvlpmnt 8,356,704 ‐ 3,021 8,359,725 500,000 ‐ 8,359,725
ENTERPRISE FUNDS: 101,919,349 88,390,867 6,570,168 108,489,517 81,552,537 3,875,031 104,614,486
4X2 Airport Operating & CIP 7,558,405 3,051,767 259,724 7,818,129 2,994,840 105,595 7,712,534
403 Solid Waste Utility 2,771,562 22,641,386 1,300,841 4,072,403 22,575,534 756,646 3,315,757
4X4 Golf Operating & CIP 476,746 2,901,275 132,067 608,813 2,634,100 140,144 468,669
4X5 Water Operating & CIP 40,776,314 17,972,403 1,324,375 42,100,689 14,934,718 592,223 41,508,466
4X6 Waste Water Operating & CIP 23,996,217 11,786,486 972,894 24,969,111 10,310,968 369,353 24,599,758
416 King County Metro 4,729,749 17,607,838 1,440,743 6,170,492 17,607,838 1,456,660 4,713,832
4X7 Surface Water Operating & CIP 21,610,356 12,429,712 1,139,524 22,749,880 10,494,539 454,410 22,295,470
INTERNAL SERVICE FUNDS: 53,146,873 39,017,389 1,217,550 54,364,423 35,926,656 2,446,785 51,917,638
501 Equipment Repair/Replacement 6,376,259 6,554,775 12,041 6,388,300 4,957,803 240,205 6,148,095
502 Insurance 19,860,208 3,533,775 158,422 20,018,630 3,276,889 636,582 19,382,048
503 Information Services 3,939,941 6,592,901 16,758 3,956,699 6,427,451 300,511 3,656,188
504 Facilities 504,167 5,996,730 250 504,417 6,168,171 269,398 235,019
505 Communications 151,624 1,155,732 56 151,680 1,152,826 69,804 81,876
512 Insurance, Healthcare 5,773,429 12,477,543 1,006,922 6,780,351 12,580,831 858,735 5,921,616
522 Insurance, Leoff1 Retirees HC 16,541,245 2,705,933 23,101 16,564,346 1,362,685 71,550 16,492,796
FIDUCIARY FUNDS: 10,099,764 484,000 14,145 10,113,909 647,462 19,841 10,094,068
304 Fire Mitigation 2,191,452 99,000 11,578 2,203,030 436,987 ‐ 2,203,030
611 Firemens' Pension 7,908,312 385,000 2,567 7,910,879 210,475 19,841 7,891,038
TOTAL FUNDS 283,363,804 256,673,705 14,907,395 298,271,199 263,760,456 11,837,915 286,433,284