HomeMy WebLinkAbout08 2023Page 1 of 7
OVERVIEW
This monthly financial report reflects the City’s revenue and expenditures/expenses for the fiscal year through August 31,
2023. 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.
Economic Development and Operating reserves are established internally in accordance with the City’s Policy on Stabilization
Funds, as outlined in the 2023-2024 Adopted Budget.
General
REVENUES:
Taxes 74,526,420$
Licenses and permits 4,735,609
Grants / intergovernmental 3,519,869
Charges for services 7,071,200
Fines and penalties 2,592,608
Miscellaneous 1,509,885
Investment Earnings 2,023,501
Insurance recoveries 17,423
TOTAL REVENUES 95,996,515
EXPENDITURES:
Personnel 48,496,757
Supplies 1,598,871
Contracted Services 14,266,748
Capital Outlay 136,973
Internal Services 10,245,367
TOTAL EXPENDITURES 74,744,716
Transfers In -
Transfers Out (21,100)
NET TRANSFERS (21,100)
CHANGE IN FUND BALANCE 21,230,699
BEGINNING FUND BALANCE, Jan 1 83,605,978
Prior Period Adjustment 29,640
BEGINNING FUND BALANCE, Jan 1 - restated 83,635,618
ENDING FUND BALANCE, Aug 31 104,866,317$
ECONOMIC DEVELOPMENT RESERVE 2,500,000
OPERATING RESERVES 13,585,276
AVAILABLE FUND BALANCE, Aug 31 88,781,041$
Monthly Financial Report August 2023
Monthly Financial Report City of Renton, Washington August 2023
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.
Debt service reserves are established internally in accordance with the City’s Policy on Stabilization Funds, as outlined in the
2023-2024 Adopted Budget.
General
Governmental
Misc Debt
REVENUES:
Grants / intergovernmental 38,319$
Investment Earnings 97,512
TOTAL REVENUES 135,831
EXPENDITURES:
Principal 2,748,188
Interest 606,114
TOTAL EXPENDITURES 3,354,302
Transfers In 2,595,376
NET TRANSFERS 2,595,376
CHANGE IN FUND BALANCE (623,095)
BEGINNING FUND BALANCE, Jan 1 5,262,665
ENDING FUND BALANCE, Aug 31 4,639,570$
Debt Service Reserve 2,711,725
AVAILABLE FUND BALANCE 1,927,845$
Monthly Financial Report City of Renton, Washington August 2023
Page 3 of 7
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.
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.
Hotel-Motel Tax
Cable
Communications
Housing and
Supportive
Services
Springbrook
Wetlands
Fire Impact
Mitigation
School District
Impact Mitigation Police Seizure
Police CSAM
Seizure
REVENUES:
Taxes 331,506$ -$ 2,905,283$ -$ -$ -$ -$ -$
Licenses and permits - 41,047 - - - - - -
Grants / intergovernmental - - - 4,011 - - - -
Charges for services - - - - 35,224 167,596 - -
Fines and penalties - - - - - - - 491
Contributions - - - - - - 106,159 -
Investment Earnings 16,200 8,620 148,186 10,959 30,951 338 7,406 3,341
Sale of Fixed Assets - - - 247,852 - - - -
TOTAL REVENUES 347,706 49,667 3,053,469 262,822 66,175 167,934 113,565 3,832
EXPENDITURES:
Personnel - - - 6,281 - - - -
Supplies - 46,230 - - - - 31,566 -
Contracted Services 112,343 77,699 32,000 4,132 190,008 122,127 35,106 4,588
TOTAL EXPENDITURES 112,343 123,929 32,000 10,413 190,008 122,127 66,672 4,588
-
Transfers In - - - - - - - -
Transfers Out - - - - (2,595,376) - - -
NET TRANSFERS - - - - (2,595,376) - - -
CHANGE IN FUND BALANCE 235,363 (74,262) 3,021,469 252,409 (2,719,209) 45,807 46,893 (756)
BEGINNING FUND BALANCE, Jan 1 712,384 453,147 6,110,390 454,628 2,724,187 - 339,814 172,804
Prior Period Adjustment - - - - - - - -
BEGINNING FUND BALANCE, Jan 1 - restated 712,384 453,147 6,110,390 454,628 2,724,187 - 339,814 172,804
ENDING FUND BALANCE, Aug 31 947,747$ 378,885$ 9,131,859$ 707,037$ 4,978$ 45,807$ 386,707$ 172,048$
CS Impact
Mitigation
Transportation
Impact
Mitigation REET 1 REET 2
Municipal
Facilities CIP
Capital
Investment
Family First
Center
REVENUES:
Taxes -$ -$ 1,607,456$ 1,607,456$ -$ -$ -$
Grants / intergovernmental - - - - 2,281,181 6,066,573 20,000
Charges for services 100,760 511,152 - - 21,245 100,087 -
Contributions - - - - 3,055 211,490 3,027,479
Investment Earnings 32,412 142,846 72,244 130,611 392,014 267,981 52,003
TOTAL REVENUES 133,172 653,998 1,679,700 1,738,067 2,697,495 6,646,131 3,099,482
EXPENDITURES:
Personnel - - - - 34,191 46,334 -
Supplies - - - - - 51,938 -
Contracted Services - - - - 722,647 95,115 4,089
Capital Outlay - - - - 12,042,481 9,113,036 2,580,585
TOTAL EXPENDITURES - - - - 12,799,319 9,306,423 2,584,674
Transfers In - - - - - - -
Transfers Out - - - - (100,000) - -
NET TRANSFERS - - - - (100,000) - -
CHANGE IN FUND BALANCE 133,172 653,998 1,679,700 1,738,067 (10,201,824) (2,660,292) 514,808
BEGINNING FUND BALANCE, Jan 1 1,595,389 6,964,011 3,049,711 6,019,961 24,671,384 12,561,975 2,795,295
Prior Period Adjustment - - - - - - -
BEGINNING FUND BALANCE, Jan 1 - restated 1,595,389 6,964,011 3,049,711 6,019,961 24,671,384 12,561,975 2,795,295
ENDING FUND BALANCE, Aug 31 1,728,561$ 7,618,009$ 4,729,411$ 7,758,028$ 14,469,560$ 9,901,683$ 3,310,103$
Monthly Financial Report City of Renton, Washington August 2023
Page 4 of 7
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.
Amounts restricted for debt service are in accordance with revenue bond requirements. Operating reserves are established
internally in accordance with the City’s Policy on Stabilization Funds, as outlined in the 2023-2024 Adopted Budget.
Airport
Solid Waste
Utility Golf Course Water Utility
Wastewater
Utility Metro
Surface Water
Utility
REVENUES:
Licenses and permits -$ -$ -$ -$ 42,650$ -$ 17,250$
Grants / intergovernmental 149,837 165,834 - 846,705 - - 1,475,185
Charges for services 4,113,115 13,633,751 2,192,098 12,362,161 8,060,477 13,561,647 9,112,755
Rents, leases, and misc fees - - 419,470 198,025 - - -
Interest and other misc 194,060 74,010 40,476 1,421,442 883,104 121,694 1,516,822
TOTAL REVENUES 4,457,012 13,873,595 2,652,044 14,828,333 8,986,231 13,683,341 12,122,012
EXPENSES:
Personnel 746,729 380,601 1,200,973 3,099,491 1,625,411 - 2,603,912
Supplies 52,657 30,014 309,880 717,489 106,924 - 85,502
Contracted Services 348,002 14,509,736 119,946 2,164,646 1,609,376 13,519,855 1,072,340
Internal Services 222,848 263,508 234,167 1,470,285 999,594 - 1,494,860
TOTAL OPERATING EXPENSES 1,370,236 15,183,859 1,864,966 7,451,911 4,341,305 13,519,855 5,256,614
CAPITAL, AND TRANSFERS 3,086,776 (1,310,264) 787,078 7,376,422 4,644,926 163,486 6,865,398
DEBT SERVICE:
Principal - - 29,640 272,647 - - -
Interest - - 1,171 83,686 36,645 - 45,222
TOTAL DEBT SERVICE - - 30,811 356,333 36,645 - 45,222
CAPITAL OUTLAY 855,241 - 326,882 3,327,949 1,074,720 - 1,066,614
Transfers In - - 77,500 - - - -
Transfers Out - - (77,500) (861) - - -
NET TRANSFERS - - - (861) - - -
CHANGE IN FUND BALANCE 2,231,535 (1,310,264) 429,385 3,691,279 3,533,561 163,486 5,753,562
BEGINNING FUND BALANCE, Jan 1 8,925,689 3,951,191 1,609,927 48,208,077 22,850,871 6,237,142 28,314,756
ENDING FUND BALANCE, Aug 31 11,157,224$ 2,640,927$ 2,039,312$ 51,899,356$ 26,384,432$ 6,400,628$ 34,068,318$
Restricted for Debt Service - - - 1,394,051 661,227 - 754,868
Operating Reserve 244,162 400,000 787,490 1,706,759 975,361 380,000 1,245,213
AVAILABLE FUND BALANCE 10,913,062$ 2,240,927$ 1,251,822$ 48,798,546$ 24,747,844$ 6,020,628$ 32,068,237$
Monthly Financial Report City of Renton, Washington August 2023
Page 5 of 7
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.
Insurance reserves for the Healthcare Fund are established at a rate of 31% of current year budgeted expenses. 100% of the
Retiree Healthcare fund balance is reserved for OPEB.
Equipment Rental Insurance
Information
Technology Facilities Communications Healthcare
Retiree
Healthcare
REVENUES:
Technology Fee -$ -$ 147,266$ -$ -$ -$ -$
Equipment rental m&o 1,692,364 - 3,677,798 - - - -
Print and mail - - - - 255,569 - -
Communications - - - - 540,581 - -
Facilities - - - 3,408,314 - - -
Interest and other misc 257,267 450,566 153,645 10,142 7,399 151,375 393,333
Internal service fund misc:
Vehicle / equipment capital recovery 1,661,609 - - - - - -
Insurance premiums - 1,442,089 - - - - -
Worker's comp/unemployment - 1,187,897 - - - - -
Benefit premiums - - - - - 8,830,671 912,500
Other misc 859 9,912 11,454 65,196 - 402,830 137,192
Insurance recoveries 41,231 197,718 - - - 2,141 -
TOTAL REVENUES 3,653,330 3,288,182 3,990,163 3,483,652 803,549 9,387,017 1,443,025
EXPENSES:
Personnel 758,646 962,150 2,188,744 2,420,636 636,047 7,960,051 863,727
Supplies 1,131,141 - 263,974 620,479 32,132 2,640 -
Contracted Services 251,320 2,557,745 2,489,683 1,316,295 201,358 329,592 48,360
Internal Services 65,682 - 3,269 136,543 2,348 51,876 -
TOTAL OPERATING EXPENSES 2,206,789 3,519,895 4,945,670 4,493,953 871,885 8,344,159 912,087
AMOUNT AVAILABLE FOR DEBT SERVICE,
CAPITAL, AND TRANSFERS 1,446,541 (231,713) (955,507) (1,010,301) (68,336) 1,042,858 530,938
TOTAL DEBT SERVICE - - - - - - -
CAPITAL OUTLAY 1,967,070 - 965,270 27,003 - - -
Transfers In - - 76,327 100,000 - - -
Transfers Out - (54,366) - - - - -
NET TRANSFERS - (54,366) 76,327 100,000 - - -
CHANGE IN FUND BALANCE (520,529) (286,079) (1,844,450) (937,304) (68,336) 1,042,858 530,938
BEGINNING FUND BALANCE, Jan 1 13,277,635 23,221,020 9,021,343 937,922 428,724 6,935,644 19,928,792
ENDING FUND BALANCE, Aug 31 12,757,106$ 22,934,941$ 7,176,893$ 618$ 360,388$ 7,978,502$ 20,459,730$
Insurance Reserves - 16,897,915 - - - 4,559,148 20,459,730
Opearting Reserves 12,757,106 - 2,326,091 - - - -
AVAILABLE FUND BALANCE -$ 6,037,026$ 4,850,802$ 618$ 360,388$ 3,419,354$ -$
Monthly Financial Report City of Renton, Washington August 2023
Page 6 of 7
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.
Firemens' Pension Custodial Fund
REVENUES:
Intergovernmental 199,566$ -$
Investment Earnings 161,501 -
Collected for Others - 1,582,495
TOTAL REVENUES 361,067 1,582,495
EXPENDITURES:
Distributions to Others 167,718 1,168,637
TOTAL EXPENDITURES 167,718 1,168,637
NET TRANSFERS - -
CHANGE IN FUND BALANCE 193,349 413,858
BEGINNING FUND BALANCE, Jan 1 8,733,791 -
ENDING FUND BALANCE, Aug 31 8,927,140$ 413,858$
Monthly Financial Report City of Renton, Washington August 2023
Page 7 of 7
CONTACT INFORMATION
This report is prepared by the Finance 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 Nate Malone
nmalone@rentonwa.gov or Kristin Trivelas ktrivelas@rentonwa.gov .
City of Renton
All Funds - Revenue, Expenditures and Fund Balances
Budgetary Basis through August 31, 2023
Funds
Balance
01/01/2022
Budgeted
Revenue
Revenue
08/31/23
Total Funds
Available
Budgeted
Expenditure
Expenditure
08/31/23 Ending Balance
GENERAL FUND 83,605,978 133,148,027 96,026,155 179,632,133 138,565,955 74,765,816 104,866,317
SPECIAL REVENUE FUNDS:10,967,354 5,152,674 4,065,170 15,032,524 5,642,007 3,257,456 11,775,068
110 Hotel Motel 712,384 200,000 347,706 1,060,090 454,616 112,343 947,747
127 Cable Communication 453,147 57,674 49,667 502,814 255,586 123,929 378,885
130 Housing and Supportive Services 6,110,390 3,500,000 3,053,469 9,163,859 260,000 32,000 9,131,859
135 Springbrook Wetlands Bank 454,628 - 262,822 717,450 40,000 10,413 707,037
140 Police Seizure 339,814 - 113,565 453,379 339,814 66,672 386,707
141 Police CSAM Seizure 172,804 - 3,832 176,636 172,804 4,588 172,048
31X School District Impact Mitigation - 995,000 167,934 167,934 995,000 122,127 45,807
304 Fire Mitigation 2,724,187 400,000 66,175 2,790,362 3,124,187 2,785,384 4,978
DEBT SERVICE FUND 5,262,665 5,755,022 2,731,207 7,993,872 5,565,690 3,354,302 4,639,570
CAPITAL PROJECT FUNDS (CIP):57,657,726 63,242,649 16,648,045 74,305,771 107,866,332 24,790,416 49,515,355
303 Community Services Mitigation 1,595,389 86,500 133,172 1,728,561 1,090,000 - 1,728,561
305 Transportation Mitigation 6,964,011 1,780,000 653,998 7,618,009 5,817,897 - 7,618,009
308 REET1 3,049,711 2,300,000 1,679,700 4,729,411 3,500,000 - 4,729,411
309 REET2 6,019,961 2,300,000 1,738,067 7,758,028 5,403,625 - 7,758,028
316 Municipal Facilities CIP 24,671,384 10,441,251 2,697,495 27,368,879 35,030,341 12,899,319 14,469,560
317 Transportation CIP 12,561,975 41,712,746 6,646,131 19,208,106 53,190,642 9,306,423 9,901,683
346 New Family First Center Dvlpmnt 2,795,295 4,622,152 3,099,482 5,894,777 3,833,827 2,584,674 3,310,103
ENTERPRISE FUNDS:120,097,653 113,328,675 70,680,068 190,777,721 179,033,479 56,187,524 134,590,197
4X2 Airport Operating & CIP 8,925,689 4,531,000 4,457,012 13,382,701 9,546,030 2,225,477 11,157,224
403 Solid Waste Utility 3,951,191 25,533,751 13,873,595 17,824,786 25,980,244 15,183,859 2,640,927
4X4 Golf Operating & CIP 1,609,927 3,504,825 2,729,544 4,339,471 3,853,974 2,300,159 2,039,312
4X5 Water Operating & CIP 48,208,077 20,789,505 14,828,333 63,036,410 52,379,968 11,137,054 51,899,356
4X6 Waste Water Operating & CIP 22,850,871 12,064,965 8,986,231 31,837,102 25,445,102 5,452,670 26,384,432
416 King County Metro 6,237,142 19,358,929 13,683,341 19,920,483 20,173,811 13,519,855 6,400,628
4X7 Surface Water Operating & CIP 28,314,756 27,545,700 12,122,012 40,436,768 41,654,350 6,368,450 34,068,318
INTERNAL SERVICE FUNDS:73,751,080 50,607,131 26,225,245 99,976,325 56,678,469 28,308,147 71,668,178
501 Equipment Repair/Replacement 13,277,635 9,885,963 3,653,330 16,930,965 9,812,590 4,173,859 12,757,106
502 Insurance 23,221,020 4,997,328 3,288,182 26,509,202 7,358,743 3,574,261 22,934,941
503 Information Services 9,021,343 8,830,085 4,066,490 13,087,833 13,962,728 5,910,940 7,176,893
504 Facilities 937,922 7,142,137 3,583,652 4,521,574 7,265,712 4,520,956 618
505 Communications 428,724 1,593,402 803,549 1,232,273 1,711,701 871,885 360,388
512 Insurance, Healthcare 6,935,644 16,123,216 9,387,017 16,322,661 15,197,161 8,344,159 7,978,502
522 Insurance, Leoff1 Retirees HC 19,928,792 2,035,000 1,443,025 21,371,817 1,369,834 912,087 20,459,730
FIDUCIARY FUNDS:8,733,791 400,000 1,943,562 10,677,353 253,475 1,336,355 9,340,998
611 Firemens' Pension 8,733,791 400,000 361,067 9,094,858 253,475 167,718 8,927,140
630 Custodial Fund - - 1,582,495 1,582,495 - 1,168,637 413,858
TOTAL FUNDS 360,076,247 371,634,178 218,319,452 578,395,699 493,605,407 192,000,016 386,395,683