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HomeMy WebLinkAbout201408, August.pdf ADMINISTRATIVE SERVICES  DEPARTMENT    M   E   M   O   R   A   N   D   U   M       DATE: September 22, 2014    TO: Don Persson, Council President  Members of the Renton City Council     CC: Denis Law, Mayor  Administrators     FROM: Hai Nguyen, Sr. Finance Analyst     SUBJECT: August 2014 Financial Status Report       At the end of August, general governmental revenues show $3.1 million or 4.7% over budget.   Revenues sources that are higher than expected are: sales tax ($607k); sales tax annexation  credit ($188k); utility taxes ($634k); state shared revenue ($258k); real estate excise tax  ($992k); building permits & development service fees ($734k), and other miscellaneous  ($192k).  On the down side, the revenue sources that are underperforming the year to date  budget are: fines/penalties ($436k below) and seizure funds ($120k below, restricted to drug  enforcement only and is not available for general operating purposes).    General government expenditures showed a favorable variance of $1.2 million or 1.7%.  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 $% Beginning Fund Balance 11,057,551$     11,057,551$  15,575,840$       15,575,840$  17,454,261$    17,454,261$ 17,454,261$    ‐                      0.0% OPERATING REVENUES Property Tax 33,466,364        17,697,303     32,485,690          17,012,180     35,240,495       18,546,494    18,488,664      (57,830)            ‐0.3% Sales Tax 18,564,670        12,096,835     20,416,372          13,395,862     20,196,000       13,392,174    13,998,857      606,683          4.5% Sales Tax ‐ Annexation Credit 2,208,492           1,441,634        2,418,789             1,587,887        2,236,262          1,464,100       1,652,022         187,922          12.8% Criminal Justice Sales  Tax 1,924,470           1,242,787        2,091,174             1,354,300        2,000,000          1,293,485       1,470,567         177,082          13.7% Natural Gas Use Tax 272,530                228,398            263,660                  203,203             300,000               241,482            223,696             (17,787)            ‐7.4% Admission Tax 311,054                235,808            327,258                  240,300             308,000               229,733            233,681             3,947                1.7% Franchise Fees 1,262,188           904,991            1,312,727             943,042             1,260,000          904,310            970,939             66,629             7.4% Electricity Tax 5,211,111           3,514,842        5,155,789             3,478,251        5,409,000          3,648,693       3,554,849         (93,844)            ‐2.6% Natural Gas Utility Tax 1,669,967           1,276,914        1,550,900             1,146,359        1,500,520          1,128,941       1,199,605         70,664             6.3% Garbage/Solid Waste 330,607                202,290            397,596                  266,152             300,000               192,986            373,166             180,181          93.4% TV Cable 1,423,664           924,994            1,481,779             964,072             1,529,365          994,365            995,180             814                     0.1% Telephone 1,056,420           671,176            917,021                  577,545             952,500               602,707            616,067             13,360             2.2% Cellular Phone 2,183,853           1,484,840        2,050,312             1,273,172        2,077,000          1,352,897       1,233,774         (119,123)         ‐8.8% City Utilities 3,806,281           2,498,376        3,964,989             2,638,419        3,791,465          2,506,151       2,644,875         138,724          5.5% Utility Tax Audit ‐                            ‐                        ‐                              ‐                         ‐                           ‐                        460,513             460,513          100.0% Leasehold Excise  Tax 158,849                92,045               164,637                  94,965                145,000               83,826               101,390             17,564             21.0% Gambling Excise  Tax 1,691,209           1,110,803        1,319,585             825,004             1,600,000          1,028,729       1,049,550         20,821             2.0% Real  Estate Excise  Tax 2,811,902           1,691,618        4,131,665             2,013,764        2,900,000          2,339,430       3,331,324         991,894          42.4% Less: CIP REET (943,792)              (334,147)           (700,000)                (387,276)           (550,000)             (631,791)          (631,791)             ‐                      0.0% EMS Levy 885,781                442,891            916,361                  458,181             900,000               450,784            450,784             (0)                         0.0% Business  License Fees 444,680                325,982            503,766                  371,979             533,067               392,284            378,936             (13,349)            ‐3.4% Animal  Licenses and Spec Events  Permits 91,835                   69,018               99,411                     75,047                90,000                  66,609               72,729                6,120                9.2% Building Permits & Development Svc Fees 3,552,369           2,201,050        4,001,625             2,565,255        3,705,701          2,328,357       3,062,821         734,464          31.5% Intergovt'l (Grants, State Shared, etc) 4,593,185           3,179,092        3,863,974             2,678,845        4,188,188          2,872,537       2,953,454         80,917             2.8% Fire District 25 and 40 Contracts 6,155,621           3,226,625        5,726,895             3,017,987        5,877,463          3,128,811       3,128,811         ‐                      0.0% Public Safety 485,899                317,947            680,581                  447,489             774,535               508,244            508,206             (38)                      0.0% Culture and Recreation 1,494,165           1,173,982        1,494,580             1,158,679        1,525,863          1,190,908       1,227,889         36,981             3.1% Interfund/Interdept‐Services 3,311,715           2,126,854        3,464,913             2,387,476        3,332,794          2,221,863       2,217,492         (4,370)               ‐0.2% Fines and Penalties 1,046,246           616,747            1,137,140             694,428             1,108,500          666,394            675,723             9,329                1.4% Photo Enforcement 1,976,203           1,372,464        1,629,524             1,255,513        1,950,000          1,421,227       976,256             (444,970)         ‐31.3% Seizure Funds ‐ Federal/State/Local 37,941                   25,614               50,639                     34,567                180,693               123,343            3,346                   (119,997)         ‐97.3% Interests and Other Earnings 342,424                66,355               423,609                  71,048                745,300               133,684            91,426                (42,258)            ‐31.6% Rents, Leases, and Concessions 822,428                606,311            734,530                  582,513             756,464               577,602            578,552             949                     0.2% Contributions and Donations 124,082                104,145            84,320                     71,717                96,100                  81,095               83,499                2,405                3.0% Other Miscellaneous 564,571                353,563            684,187                  481,842             516,630               356,428            548,447             192,019          53.9% Other Financing Sources  (Transfer‐In, etc) 5,118,188           145,543            299,527                  20,415                 ‐                            ‐                        23,015                23,015             100.0% Total Operating Revenues 108,457,170     63,335,690     105,545,527       64,000,182     107,476,905    65,838,885    68,948,315      3,109,430      4.7% OPERATING EXPENDITURES Council 278,768                184,727            289,911                  192,361             309,907               205,498            209,660             (4,162)               ‐2.0% Executive 1,377,109           892,376            1,240,910             824,425             1,359,996          891,836            861,339             30,497             3.4% City Attorney 1,706,320           1,122,280        1,922,225             1,157,082        1,863,395          1,170,538       1,196,303         (25,765)            ‐2.2% Court Services 2,074,980           1,396,118        2,003,104             1,302,458        2,094,010          1,385,662       1,333,913         51,749             3.7% Community and Eco  Dvlpmnt Admin 942,071                630,909            1,047,860             685,933             1,012,142          669,788            671,680             (1,892)               ‐0.3% Development Services 3,103,568           2,001,005        3,243,702             2,165,714        3,040,435          1,995,920       1,817,405         178,515          8.9% Economic Development 529,043                355,162            467,511                  300,522             644,063               423,762            410,729             13,033             3.1% Planning 1,482,233           995,013            1,510,707             993,017             2,261,206          1,501,983       1,300,370         201,612          13.4% Finance 2,221,882           1,348,224        2,274,147             1,312,345        2,334,758          1,381,616       1,578,130         (196,514)         ‐14.2% City Clerk1 997,434                718,447            1,020,822             765,703             1,125,927          827,964            717,774             110,190          13.3% Human Resources 937,412                625,233            904,182                  583,333             1,002,994          658,226            597,747             60,479             9.2% Police 25,004,580        16,560,001     24,946,784          16,528,605     25,925,197       17,173,278    17,162,895      10,383             0.1% Jail Services 3,489,616           2,037,181        3,814,042             2,542,701        4,500,000          2,507,506       2,507,506         ‐                      0.0% Fire 24,173,315        16,441,012     24,444,372          16,390,199     25,219,873       17,030,818    17,031,941      (1,123)               0.0% Community Services  Admin 434,558                285,879            452,146                  299,975             493,982               326,379            311,518             14,861             4.6% Parks 4,004,054           2,541,158        4,024,756             2,631,293        4,311,514          2,777,634       2,651,206         126,429          4.6% Parks Planning & Natural Resources 577,934                363,538            829,250                  428,676             880,373               495,631            447,522             48,109             9.7% Recreation 4,982,229           3,346,772        4,846,970             3,343,858        5,111,272          3,479,188       3,235,603         243,585          7.0% Human Services 1,193,871           748,587            1,162,330             695,514             1,221,989          748,949            734,148             14,801             2.0% Neighborhoods, Resources, & Events 701,673                429,999            770,841                  518,531             979,716               631,090            545,684             85,407             13.5% Library 278,604                268,606            ‐                              ‐                         ‐                           ‐                        ‐                         ‐                      0.0% Museum 216,887                144,117            209,387                  139,638             226,683               150,895            140,521             10,374             6.9% Public Works  Admin 470,051                315,216            426,312                  301,882             456,340               314,166            258,263             55,903             17.8% Street Maintenance 3,755,640           2,463,011        3,814,132             2,532,782        4,488,268          2,962,105       2,911,004         51,101             1.7% Transportation 4,615,160           2,910,811        4,476,854             2,933,793        4,539,752          2,918,281       2,773,453         144,828          5.0% Debt Service 9,752,337           2,158,688        8,048,508             2,058,556        8,340,863          2,319,244       2,319,244          ‐                      0.0% Non‐Departmental and Other 4,637,555           2,072,373        5,475,340             2,950,337        7,881,844          7,060,175       7,060,175         ‐                      0.0% Total Operating Expenditures 103,938,882     63,356,444     103,667,105       64,579,234     111,626,501    72,008,133    70,785,733      1,222,400      1.7% Total Ending Fund Balance 15,575,840$     11,036,798$  17,454,262$       14,996,787$  13,304,665$    11,285,013$ 15,616,843$   4,331,830$   38.4% Favorable  (Unfavorable) 2012 2013 2014 Variance Annual Actual YTD Actual Annual Budget YTD Budget YTD ActualSummary of Sources and  Uses Annual Actual YTD Actual Monthly Financial Report August 2014 Page 1 of 36 Monthly Financial Report August 2014        OVERVIEW  This financial overview reflects the City’s overall financial position for the fiscal year through August 31, 2014.  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 two years.  The table on the previous page summarizes the general governmental  fund revenues and expenditures.    Revenues    Taxes   The combined collection of property, sales/use, utility, gambling, admissions, and real estate excise taxes represents 74% of all  resources supporting general governmental activities.   The following section provides detail information on property, sales,  utility, and other taxes.    Property Tax  August’s collection is $179k,  making the total year‐to‐date  collection $18.5 million or 53% of  the total budget.  In comparison  to the previous year, the City  collected $1.5 million or 9% more.   Compared to the budget, the City  is below projections by $58k.  The  variance from the monthly budget  is due the timing of collections.   The City is projecting property tax  to meet the budget at year‐end.                Sales Tax  August 2014 sales tax receipts  totalled $2 million.  Compared  with the same month last year, it  is $197k or 11% more.  Compared  to the projected current month’s  budget, it is $311k or 18% above.   The year‐to‐date collection of $14  million is $603k or 5% more than  the prior year and is also $607k or  5% more than budgeted.  As you  can see in the table below, almost  this entire amount is attributed to  a large transportation  manufacturer, which changed its  reporting method in late  2013/early 2014.  2014’s monthly  budgets are generally based on 2006 through 2013 collections.  The City is projecting sales tax to meet the budget at year‐end.  2013 2014 2014 Actual Budget Actual $ % $ % Jan 154,945$         162,468$         (101,807)$        (256,752)$         ‐166% (264,275)$         ‐163% Feb 25,020               59,096               176,551            151,531            606% 117,455            199% Mar 917,901            960,884            1,626,283        708,382            77% 665,398            69% Apr 9,887,324        10,632,911     5,808,865        (4,078,459)      ‐41% (4,824,046)      ‐45% May 5,780,361        6,364,899        10,692,069     4,911,708        85% 4,327,171        68% Jun 88,480               70,363               (244,519)           (332,999)            ‐376% (314,882)            ‐448% Jul 100,047            292,155            352,287            252,240            252% 60,132               21% Aug 58,101               3,718                  178,936            120,835            208% 175,218            4713% Sep 548,071            584,469             Oct 10,140,892     10,620,057      Nov 4,341,474        5,057,587         Dec 443,072            431,888             YTD  Total 17,012,180$  18,546,494$  18,488,664$  1,476,484$     9% (57,830)$           0% Annual Total 32,485,690$  35,240,495$   Property Tax  Revenues Year  to Date through August 2014 vs. 2013 2014 vs. Budget Month 2013 2014 2014 Actual Budget Actual $ % $ % Jan 1,620,555$     1,607,453$     1,607,045$     (13,510)$            ‐1% (408)$                  0% Feb 1,962,886        2,047,494        2,079,673        116,787            6% 32,179               2% Mar 1,536,397        1,523,208        1,562,210        25,814               2% 39,002               3% Apr 1,509,953        1,548,879        1,558,271        48,318               3% 9,393                  1% May 1,732,058        1,762,699        1,759,697        27,639               2% (3,002)                 0% Jun 1,552,807        1,584,050        1,669,870        117,064            8% 85,821               5% Jul 1,647,860        1,599,650        1,731,929        84,069               5% 132,279            8% Aug 1,833,347        1,718,742        2,030,161        196,814            11% 311,419            18% Sep 1,741,262        1,633,772         ‐                         Oct 1,790,411        1,728,992        ‐                         Nov 1,802,768        1,740,835        ‐                         Dec 1,686,069        1,700,227        ‐                         YTD  Total 13,395,862$  13,392,174$  13,998,857$  602,995$         5% 606,683$         5% Annual  Total 20,416,372$  20,196,000$   2014 vs. Budget2014 vs. 2013 Month Year to Date through August Local Retail  Sales  Tax  Revenues Page 2 of 36 Monthly Financial Report August 2014      The following table breaks out the City’s base sales tax (excluding Criminal Justice and Annexation Credit) by major business  sectors:                      Utility tax   August utility tax revenues are  $1.3 million, which is $10k or 1%  lower than the same month last  year but is ahead of the budget by  $51k or 4%.  The year‐to‐date  collection is $11.3 million, which  is $755k or 7% higher than the  prior year and is also $634k or 6%  higher than the budget.  73% of  this favorable budget variance is  due to one‐time audit  adjustments.  Excluding audit  related collections, the City is  projecting utility tax revenues to  be very close to the budget at  year‐end.       The table below breaks out Utility Tax by source.  The variance for Garbage/Solid Waste (not City Utilities) is due to a one‐ time correction (under reporting during September 2013 through December 2013) receipted in February.  The variance for  Cellular utilities is due to lower activity.  Excluding the one‐time correction and audit related revenue, the YTD is  approximately $10.8 million.          Sales  Tax  by Sector 2013 2014 Bgt YTD Act Change 2014/2013 2014 Act  vs  Bgt New Construction 1,773,752$     1,378,779$     1,396,108$     (377,645)$      ‐21%$           17,329 1% Auto Sales 2,449,802        2,565,429        2,655,909        206,106          8%              90,479 4% General Retail 4,335,495        4,448,634        4,376,153        40,658             1%            (72,481)‐2% Manufacturing 846,683            912,605            1,385,728        539,045          64%           473,123 52% Wholesale 768,295            791,031            785,136            16,841             2%               (5,896)‐1% Service 2,880,696        2,939,442        3,023,280        142,584          5%              83,838 3% Other 341,138            356,254            376,544            35,406             10%              20,291 6% YTD Total 13,395,862$  13,392,174$  13,998,857$  602,995$       4%606,683$        5% Note: Excludes Annexation Credit and Criminal Justice Sales  Tax  revenue. 2013 2014 2014 Actual Budget Actual $ % $ % Jan 1,277,860$     1,372,593$     1,373,119$     95,259$            7% 526$                    0% Feb 1,462,236        1,490,351        1,524,563        62,327               4% 34,213               2% Mar 1,193,129        1,310,634        1,631,438        438,309            37% 320,804            24% Apr 1,545,257        1,463,692        1,218,999        (326,258)            ‐21% (244,693)            ‐17% May 1,338,923        1,362,789        1,380,317        41,394               3% 17,529               1% Jun 1,189,847        1,151,072        1,376,544        186,698            16% 225,472            20% Jul 1,259,713        1,298,235        1,526,628        266,915            21% 228,393            18% Aug 1,280,207        1,218,858        1,270,116        (10,091)               ‐1% 51,259               4% Sep 1,433,293        1,366,340         Oct 1,072,773        1,103,445         Nov 1,244,671        1,222,957         Dec 1,484,137        1,498,886         YTD  Total 10,547,172$  10,668,223$  11,301,725$  754,553$         7% 633,502$         6% Annual  Total 15,782,047$  15,859,850$   2014 vs. Budget2014 vs. 2013 Year  to Date through August Utility Tax  Revenues Month Utility Tax  by Type 2013 2014 Bgt YTD Act Change 2014/2013  2014 Act  vs  Bgt  Electrical 3,478,251$     3,648,693$     3,554,849$     76,598$          2%$         (93,844)‐3% Natural Gas 1,349,563        1,370,424        1,423,301        73,738             5%              52,878 4% Cell 1,273,172        1,352,897        1,233,774        (39,398)            ‐3%         (119,123)‐9% Phone 577,545            602,707            616,067            38,522             7%              13,360 2% Cable 964,072            994,365            995,180            31,108             3%                      814 0% Garbage/Solid Waste 266,152            192,986            373,166            107,014          40%           180,181 93% City Utilities 2,638,419        2,506,151        2,644,875        6,456                0%           138,724 6% Utility Tax  Audit ‐                              ‐                              460,513            460,513          100%           460,513 100% YTD Total 10,547,172$  10,668,223$  11,301,725$  754,553$       7%633,502$        6% Annual Total 15,782,047$  15,859,850$   YTD as % of 67% 67% Page 3 of 36 Monthly Financial Report August 2014      Other Taxes     Real Estate Excise Tax  The City collected $347k in Real  Estate Excise Tax revenues (REET)  for August.  This is $53k or 18%  more than the same month last  year and is also $56k or 19% more  than the current month’s budget.   The year‐to‐date collection is $3.3  million, which is $1.3 million or  65% more than the prior year and  is also $992k or 42% above the  budget.  The higher than expected  variance is due to 8 large  transactions in February, March,  April, June and July which  accounts for $1.2 million of the  total REET collected.  The monthly  budget is based on a normalized annual distribution (2012 only).  The City has met the current budget, but we are adjusting the  budget in the upcoming year‐end budget amendment.      Gambling Tax  August’s Gambling Tax collections  totalled $130k, which is $30k or  30% above the same month last  year but is right on target with the  current month’s budget.  The  year‐to‐date total of $1 million is  $225k or 27% above the year and  is also $21k or 2% above budget.   The monthly variances are due to  2 establishments filing for  bankruptcy earlier in the year.    Pull tabs overall had a 15%  increase, bingo increased by 4%,  and card‐rooms are seeing 20%  higher in activities when compared to the prior year.      Franchise Fees  Franchise Fees are due quarterly  in January, April, July, and  October.  Due to the timing of  when the payment was received,  the City recorded January’s  payment in February ($323k).  The  year‐to‐date total of $971k is $29k  or 3% higher than the prior year  and is also $67k or 7% above the  projected year‐to‐date budget.   The City is projecting Franchise  Fees to meet budget at year‐end.  2013 2014 2014 Actual Budget Actual $ % $ % Jan 134,099$         109,119$         162,143$         28,044$            21% 53,024$            49% Feb 262,229            301,209            448,452            186,223            71% 147,243            49% Mar 228,077            248,682            227,629            (448)                     0% (21,053)              ‐8% Apr 197,659            369,133            909,120            711,461            360% 539,987            146% May 285,948            305,678            262,746            (23,202)              ‐8% (42,932)               ‐14% Jun 347,890            468,877            624,342            276,452            79% 155,465            33% Jul 263,807            245,943            350,214            86,407               33% 104,270            42% Aug 294,056            290,788            346,677            52,622               18% 55,889               19% Sep 254,318            162,061             Oct 272,776            256,575             Nov 342,535            124,413             Dec 1,248,272        17,521                YTD  Total 2,013,764$     2,339,430$     3,331,324$     1,317,560$     65% 991,894$         42% Annual Total 4,131,665$     2,900,000$      Month 2014 vs. Budget2014 vs. 2013 Real  Estate  Excise  Tax  Revenues Year  to Date through August 2013 2014 2014 Actual Budget Actual $ % $ % Jan 133,504$         164,456$         131,776$         (1,728)$               ‐1% (32,679)$            ‐20% Feb 73,730               115,620            133,109            59,379               81% 17,489               15% Mar 111,294            111,371            153,695            42,401               38% 42,324               38% Apr 159,655            168,010            103,980            (55,675)               ‐35% (64,030)               ‐38% May 97,660               105,619            138,319            40,659               42% 32,700               31% Jun 60,074               99,613               135,701            75,627               126% 36,088               36% Jul 89,157               133,068            122,588            33,432               37% (10,480)               ‐8% Aug 99,930               130,972            130,381            30,452               30% (590)                     0% Sep 116,204            148,130             ‐                         Oct 112,141            106,090            ‐                         Nov 114,909            155,314            ‐                         Dec 151,327            161,736            ‐                         YTD  Total 825,004$         1,028,729$     1,049,550$     224,546$         27% 20,821$            2% Annual  Total 1,319,585$     1,600,000$      2014 vs. 2013 2014 vs. Budget Gambling Tax  Revenue Month Year to Date through August 2013 2014 2014 Actual Budget Actual $ % $ % Jan 314,269$         300,776$          ‐$                           (314,269)$         ‐100% (300,776)$         ‐100% Feb 200                       98                          323,121            322,921            161461% 323,023            330063% Mar 892                       437                        ‐                         Apr 311,986            299,239            323,544            11,558               4% 24,305               8% Jul 315,694            303,760            324,273            8,579                  3% 20,513               7% Oct 321,202            308,381             ‐                         Nov ‐                         ‐                        ‐                         Dec 48,484               47,308               ‐                         YTD  Total 943,042$         904,310$         970,939$         28,790$            3% 67,065$            7% Annual Total 1,312,727$     1,260,000$      Franchise  Fees Revenue Year to Date through August Month 2014 vs. 2013 2014 vs. Budget Page 4 of 36 Monthly Financial Report August 2014      Admission Tax   Admission Tax returns are due  quarterly in January, April, July,  and October of each year.  July  2014 collections represent  activities conducted during the 2nd  quarter of 2014.  The year‐to‐date  collection of $234k is $6.5k or 3%  less than the prior year but is  $4.4k or 2% more than the  budget.          Licenses and Permits    Building Permits and  Development Service Fees  Building Permits and  Development Service Fee  revenues totalled $300k in  August.  The year‐to‐date  development fees revenue of $3.1  million is $498k or 19% more than  the year before and is also $734k  or 32% higher than budget.  The  higher than expected fees are due  to collecting more in general  building permits, electrical  permits, and plan check fees.  The  City is projecting Building Permits  and Development Service Fees to  exceed the budget at year‐end.          Business Licenses  Business Licenses totalled $16k  for August, which is $13k or 44%  below the same month last year  and is also $8k or 33% below the  current month’s budget. The  variance in July is due to a mid‐ year correction made in July 2013.    The year‐to‐date Business  Licenses revenue of $379k is $7k  or 2% above the prior year but is  $13k or 3% lower than the  budget.  The City is projecting  business licenses to be under the  budget at year‐end.    2013 2014 2014 Actual Budget Actual $ % $ % Jan 82,440$            75,206$            80,243$            (2,196)$               ‐3% 5,038$               7% Feb ‐                        451                       ‐                         Apr 70,311               72,698               74,163               3,852                  5% 1,464                  2% Jun ‐                        ‐                        145                       145                       100% 145                       100% Jul 87,473               81,342               79,130               (8,344)                 ‐10% (2,213)                 ‐3% Aug 76                          37                          ‐                         Oct 85,616               77,019               ‐                         Nov 1,192                  575                       ‐                         Dec 149                       672                       ‐                         YTD Total 240,300$         229,733$         233,681$         (6,543)$              ‐3% 4,435$               2% Annual  Total 327,258$         308,000$          Month 2014 vs. 2013 2014 vs. Budget Admission Tax  Revenue Year to Date through August 2013 2014 2014 Actual Budget Actual $ % $ % Jan 327,584$         251,556$         432,890$         105,306$         32% 181,335$         72% Feb 230,039            215,688            412,317            182,278            79% 196,629            91% Mar 305,085            286,301            388,190            83,105               27% 101,889            36% Apr 367,165            315,718            374,004            6,839                  2% 58,286               18% May 386,735            320,878            349,590            (37,145)               ‐10% 28,712               9% Jun 293,386            278,431            516,689            223,303            76% 238,258            86% Jul 314,991            307,931            288,957            (26,033)               ‐8% (18,973)               ‐6% Aug 340,270            351,856            300,184            (40,087)               ‐12% (51,672)               ‐15% Sep 254,799            214,610             Oct 440,169            432,077             Nov 393,258            338,737             Dec 348,144            391,919             YTD Total 2,565,255$     2,328,357$     3,062,821$     497,565$         19% 734,464$         32% Annual Total 4,001,625$     3,705,701$      Building Permits and Development Service  Fees Year to Date through August 2014 vs. Budget2014 vs. 2013 Month 2013 2014 2014 Actual Budget Actual $ % $ % Jan 95,381$            103,448$         103,064$         7,683$               8% (384)$                  0% Feb 40,658               36,482               25,013               (15,645)               ‐38% (11,469)               ‐31% Mar 12,441               9,762                  5,421                  (7,020)                  ‐56% (4,340)                  ‐44% Apr 102,648            107,716            97,104               (5,544)                  ‐5% (10,612)               ‐10% May 33,354               20,233               15,091               (18,263)               ‐55% (5,142)                  ‐25% Jun 5,701                  5,102                  7,444                  1,743                  31% 2,342                  46% Jul 52,586               84,946               109,369            56,783               108% 24,423               29% Aug 29,210               24,595               16,430               (12,780)               ‐44% (8,165)                  ‐33% Sep 4,236                  4,178                   ‐                         Oct 109,998            117,828            ‐                         Nov 13,342               14,515               ‐                         Dec 4,211                  4,262                  ‐                         YTD Total 371,979$         392,284$         378,936$         6,956$               2% (13,349)$           ‐3% Annual Total 503,766$         533,067$          Business Licenses Month 2014 vs. 2013 Year to Date through August 2014 vs. Budget Page 5 of 36 Monthly Financial Report August 2014      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 84% of the total  revenues in this category.   The year‐to‐date total Intergovernmental revenue is $7.6 million or 63% of the budget.       State Shared Revenues  State Shared Revenue  collections totalled $3.2  million since the start of the  year.  Compared to the  prior year, State Shared  Revenues are above by  $293k or 10%.  Compared  to the projected budget,  the City is collecting $265k  or 9% more.  The higher  than expected collection is  due to collecting more than  anticipated Criminal Justice  Sales Tax, the low budget of Criminal Justice’s High Crime, collecting more than anticipated Liquor Profits and under collecting in  Liquor Excise Taxes.      Charges for Services   These revenue sources consist of general government, public safety, plan review and inspection, culture and recreation, and  interfund/interdepartmental sales and services.  Recreation and interfund/interdepartmental sales and services constitute 66%  of the total revenue in this category.  The year‐to‐date total charges for services are $5.2 million or 72% of the budget.  The  following sections provide detail information for Public Safety, Recreation, and Interfund Services.      Public Safety Services  Public Safety Services totalled  $508k 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 $61k or 14% more.   Compared to the year‐to‐date  budget, the City is right on target.   The large April variance is due to a  private security police provided  for a large one‐time private  business event in 2013.  The large  Intergovernmental 2013 2014 Bgt YTD Act Change 2014/2013 2014 Act  vs  Bgt  Fire  District #25 591,779$         620,568$         620,568$         28,789$          5% $                          ‐ 0% Fire  District #40 2,426,208        2,508,244        2,508,244        82,036             3%‐                            0% State  Shared Revenue 2,905,254        2,933,056        3,198,313        293,059          10% 265,257          9% Federal Grants 919,417            1,050,032        1,050,032        130,615          14%‐                            0% State  Grants 63,711               41,174               41,174               (22,537)            ‐35%‐                            0% Other Grants/Intgovt 29,972               141,761            134,504            104,532          349% (7,258)                ‐5% ARRA Grants 114,792            0                              ‐                              (114,792)        0%‐                            0% Total  Rev YTD 7,051,132$     7,294,834$     7,552,833$     501,701$       7%257,999$        4% Total  Rev Annual 11,682,043$  12,065,651$   YTD  %60% 60% 63% Note:  Includes  CJ  Sales  Tax  and FD25  & FD40  contracts 2013 2014 2014 Actual Budget Actual $ % $ % Crim Just Sales  Tax 1,354,300$     1,293,485$     1,470,567$     116,267$         9% 177,082$         14% Judicial Contribution 17,097               14,073               16,968               (129)                      ‐1% 2,895                  21% Crim Just ‐ High Crime 166,329             ‐                        191,330            25,001               15% 191,330            100% Crim Just ‐ Pop 16,728                ‐                        18,245               1,518                  9% 18,245               100% Crim Just ‐ Spec Prog 62,393               66,773               67,823               5,430                  9% 1,050                  2% State  DUI 12,697               13,480               12,949               251                       2% (532)                      ‐4% Liquor Profits 423,384            345,484            424,823            1,440                  0% 79,339               23% Liquor Excise  Tax ‐                        371,540            132,726            132,726            100% (238,814)            ‐64% Fuel Tax 852,326            828,220            862,881            10,555               1% 34,661               4% YTD  Total 2,905,254$     2,933,056$     3,198,313$     293,059$         10% 265,257$         9% Annual Total 4,701,889$     4,515,500$      2014 vs. Budget State Shared Revenues 2014 vs. 2013 Revenue Year to Date through August 2013 2014 2014 Actual Budget Actual $ % $ % Jan 32,322$            31,574$            117,639$         85,317$            264% 86,066$            273% Feb 117,056            100,863            45,139               (71,918)               ‐61% (55,725)               ‐55% Mar 37,079               48,095               44,028               6,949                  19% (4,067)                  ‐8% Apr 64,009               87,936               38,202               (25,806)               ‐40% (49,734)               ‐57% May 47,985               60,400               35,540               (12,446)               ‐26% (24,860)               ‐41% Jun 36,945               45,438               107,246            70,301               190% 61,808               136% Jul 69,340               82,484               56,212               (13,128)               ‐19% (26,272)               ‐32% Aug 42,753               51,456               64,201               21,448               50% 12,745               25% Sep 48,986               56,443               ‐                         Oct 81,116               78,627               ‐                         Nov 49,703               54,931               ‐                         Dec 53,287               76,290               ‐                         YTD  Total 447,489$         508,244$         508,206$         60,717$            14% (38)$                     0% Annual  Total 680,581$         774,535$          Month 2014 vs. 2013 Year to Date through August Public Safety Services 2014 vs. Budget Page 6 of 36 Monthly Financial Report August 2014      June variance is due to staff reimbursement for training provided to the Basic Law Enforcement Academy.  The City is projecting  Public Safety Services to be very close to the budget by year‐end.      Recreation  Recreation revenues totalled  $246k for the current month.   Compared to the same month the  prior year, the City collected $40k  or 20% more.  Compared to the  projected monthly budget, the  City collected $7k or 3% more.   The year‐to‐date collection of  $1.2 million is $69k or 6% higher  than the year before and is also  $37k or 3% higher than the year‐ to‐date budget.  The City is  projecting Recreation revenues to  be very close with the budget at  year‐end.          Interfund Services  The year‐to‐date collections for  Interfund Services revenues are  $2.2 million.  Compared to the  prior year, the revenues are under  by $170k or 7%.  Compared to the  projected budget, the revenues  are below by $4k.  2014’s monthly  budgets are based on 1/12th of  the annual budget.  The majority  of these revenues are related to  indirect cost allocations, which  are internal administrative costs.   The remaining costs consist of  Development Services division’s  inspection fees, Parks Planning  and Natural Resources division’s  capital investment program reimbursements, Transportation division’s capital investment program reimbursements, and  Maintenance division’s street maintenance reimbursements.     201320142014 ActualBudgetActual $%$% Jan 60,546$            62,601$            69,522$            8,976$               15% 6,921$               11% Feb 51,160               56,408               68,873               17,713               35% 12,465               22% Mar 79,491               94,074               66,458               (13,033)               ‐16% (27,616)               ‐29% Apr 170,541            157,142            179,282            8,742                  5% 22,140               14% May 95,710               119,835            106,771            11,061               12% (13,064)               ‐11% Jun 150,284            152,865            172,332            22,047               15% 19,466               13% Jul 345,126            309,124            318,669            (26,458)               ‐8% 9,544                  3% Aug 205,821            238,859            245,982            40,162               20% 7,123                  3% Sep 123,550            118,153             ‐                         Oct 83,685               86,617               ‐                         Nov 65,656               67,145               ‐                         Dec 63,010               63,040               ‐                         YTD  Total 1,158,679$     1,190,908$     1,227,889$     69,210$            6% 36,981$            3% Annual Total 1,494,580$     1,525,863$      Recreation Year to Date through August 2014 vs. Budget2014 vs. 2013 Month 2013 2014 2014 Actual Budget Actual $ % $ % Jan 265,873$         277,733$         301,808$         35,935$            14% 24,075$            9% Feb 292,362            277,733            257,027            (35,335)               ‐12% (20,706)               ‐7% Mar 317,998            277,733            287,465            (30,533)               ‐10% 9,732                  4% Apr 288,610            277,733            295,489            6,879                  2% 17,756               6% May 299,652            277,733            269,032            (30,619)               ‐10% (8,700)                  ‐3% Jun 287,569            277,733            277,620            (9,950)                  ‐3% (113)                     0% Jul 282,466            277,733            244,707            (37,759)               ‐13% (33,026)               ‐12% Aug 352,945            277,733            284,344            (68,601)               ‐19% 6,611                  2% Sep 274,525            277,733            ‐                         Oct 352,421            277,733            ‐                         Nov 286,300            277,733            ‐                         Dec 164,190            277,733            ‐                         YTD  Total 2,387,476$     2,221,863$     2,217,492$     (169,984)$        ‐7% (4,370)$              0% Annual  Total 3,464,913$     3,332,794$      Interfund Services Year to Date through August 2014 vs. 2013 2014 vs. Budget Month Page 7 of 36 Monthly Financial Report August 2014      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  $1.7 million.  This is $298k or 15%  lower than a year ago and is also  $436k or 21% below the budget.                                            Included in the Fines and Penalties revenue  budget is $2 million from the Photo  Enforcement program.  The monthly budget is  based on the prior year’s revenue.  The year‐to‐ date collections from this program equates to  $976k.  The budget shortfall is due to  temporary shutting down 4 intersection  cameras in construction areas (expected until  September) and lower activity (driver  behaviour changes).    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 $842k which is represented in the table.  April  and May expenditures do not include the monthly equipment rental costs paid to ATS, these costs are recorded in June.     2013 2014 2014 Actual Budget Actual $ % $ % Jan 153,064$         182,703$         136,762$         (16,302)$            ‐11% (45,941)$            ‐25% Feb 247,166            251,253            151,470            (95,696)               ‐39% (99,783)               ‐40% Mar 275,222            276,820            203,482            (71,740)               ‐26% (73,338)               ‐26% Apr 318,235            312,315            263,785            (54,451)               ‐17% (48,530)               ‐16% May 278,783            309,616            208,436            (70,347)               ‐25% (101,180)            ‐33% Jun 269,334            307,008            224,214            (45,120)               ‐17% (82,794)               ‐27% Jul 236,571            269,780            205,103            (31,468)               ‐13% (64,677)               ‐24% Aug 171,565            178,125            258,728            87,162               51% 80,603               45% Sep 154,604            169,913             Oct 191,919            249,230             Nov 189,412            230,005             Dec 280,787            321,732             YTD  Total 1,949,941$     2,087,621$     1,651,980$     (297,961)$         ‐15% (435,641)$         ‐21% Annual  Total 2,766,663$     3,058,500$      2014 vs. Budget2014 vs. 2013 Year  to Date through August Fines  and Penalties by Month Month Year  to Date through August 2013 2014 2014 Actual Budget Actual $ % $ % Civil Penalties 5,483$               8,988$               4,473$               (1,010)$               ‐18% (4,515)$               ‐50% Civil Infraction Penalties 386,612            365,637            368,761            (17,851)              ‐5% 3,124                  1% Civil Parking Infraction Penalties 108,792            106,992            116,580            7,788                  7% 9,588                  9% Photo Enforcement Program 1,255,513        1,421,227        976,256            (279,256)           ‐22% (444,970)           ‐31% Criminal Traffic  Misdemeanor Fines 64,338               63,817               57,759               (6,580)                  ‐10% (6,058)                  ‐9% Criminal Non‐Traffic  Fines 27,410               28,401               25,851               (1,560)                  ‐6% (2,550)                  ‐9% Criminal Costs 79,951               74,414               84,861               4,910                  6% 10,446               14% Non‐Court Fines, Forfeitures  and Penalties 21,842               18,144               17,440               (4,402)                  ‐20% (704)                      ‐4% YTD Total 1,949,941$     2,087,621$     1,651,980$     (297,961)$        ‐15% (435,641)$        ‐21% Annual Total 2,766,663$     3,058,500$      Revenue 2014 vs. Budget Fines  and Penalties by Type 2014 vs. 2013 Favorable Budget Actual Budget Actual (Unfavorable) 1 Jan 180,582$         61,721$            73,624$            30,160$            31,561$             Feb 165,453            68,045               73,336               51,174               16,871                Mar 161,059            103,922            73,278               79,750               24,172                Apr 214,411            166,547            71,661               30,160               136,388             May 214,507            125,097            73,575               30,160               94,937                Jun 207,265            130,264            71,358               179,726            (49,463)               Jul 184,107            144,267            71,451               80,154               64,113                Aug 93,843               176,393            71,108               79,962               96,431                Sep 71,053                ‐                        58,646                ‐                        ‐                         Oct 159,611            ‐                        63,603               ‐                        ‐                         Nov 135,380            ‐                        64,079               ‐                        ‐                         Dec 162,729            ‐                        76,245               ‐                        ‐                         YTD  Total 1,421,227$     976,256$         579,391$         561,246$         415,011$          Annual Total 1,950,000$     841,964$          1Actuals  of Revenues  and Expenses ExpensesRevenues Photo Enforcement  Program Year  to Date through August Month Page 8 of 36 Monthly Financial Report August 2014      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 67% of  the total revenue in this category.   The year‐to‐date total  miscellaneous is $1 million.   Compared to last year, the  revenues are above by $16k or  2%.  Compared to the projected  year‐to‐date budget, the revenues  are under by $41k or 4%.  The negative amount for July is due to a correction made to move interest earned from Utility tax  audits, originally recorded in June.  The table below page breaks out miscellaneous revenues by type.                          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.      EXPENSES  Overall the City has expended 63% of its budgeted general governmental expenditures at the end of August.  This is $1.2 million  or 1.7% below year‐to‐date budgeted expenditures.  See below for summary of unfavorable items for general governmental  departments.    Council department is over the year‐to‐date budget by $4k or 2%.  This is due to an annual membership payment made to  National League Online.  The budget for this was included in the Carry Forward amendment.  We anticipate at year‐end the  department will be within budget.    City Attorney is over the year‐to‐date budget by $26k or 2.2%.  This is due to over spending on professional services.  We will  monitor this item to determine if a budget adjustment is needed.    Administrative Services department is over the year‐to‐date by $86k or 3.9%.  This is mainly due to the timing of payments  related to Springbrook merchant account fees and fees paid for utility tax audit.  We have requested an adjustment in the  upcoming 2nd Quarter Budget Amendment, which will be posted in September.        2013 2014 2014 Actual Budget Actual $ % $ % Jan 179,743$         180,999$         243,963$         64,220$            36% 62,964$            35% Feb 76,397               59,215               99,547               23,149               30% 40,331               68% Mar 147,909            148,337            126,132            (21,777)               ‐15% (22,204)               ‐15% Apr 92,872               93,691               70,094               (22,778)               ‐25% (23,597)               ‐25% May 118,719            201,575            107,650            (11,069)               ‐9% (93,925)               ‐47% Jun 123,441            122,135            257,714            134,273            109% 135,579            111% Jul 128,246            115,614            (21,407)              (149,652)            ‐117% (137,021)            ‐119% Aug 122,652            124,685            121,979            (673)                      ‐1% (2,706)                  ‐2% Sep 92,799               87,377                Oct 82,288               81,590                Nov 63,945               80,793                Dec 399,005            673,545             YTD  Total 989,980$         1,046,251$     1,005,672$     15,692$            2% (40,579)$           ‐4% Annual  Total 1,628,017$     1,969,557$      Year  to Date through August Month 2014 vs. Budget2014 vs. 2013 Miscellaneous  Revenues  by Month 2013 2014 2014 ActualBudgetActual $%$% Interests and Other Earnings 71,048$            133,684$         91,426$            20,378$            29% (42,258)$            ‐32% Rents, Leases, and Concessions 582,513            577,602            578,552            (3,962)                  ‐1% 949                       0% Contributions/Donations  from Private Sources 71,717               81,095               83,499               11,782               16% 2,405                  3% Other 230,135            130,526            248,848            18,713               8% 118,322            91% Seizure  Funds  ‐ Federal/State/Local1 34,567              123,343          3,346                (31,220)             ‐90% (119,997)           ‐97% YTD  Total 989,980$         1,046,251$     1,005,672$     15,692$            2% (40,579)$           ‐4% Annual  Total 1,628,017$     1,969,557$      1Seizure Funds  are categorized in Miscellaneous  for  2013 and on. 2014 vs. Budget Miscellaneous  Revenues  by Type Year  to Date through August Revenue 2014 vs. 2013 Page 9 of 36 Monthly Financial Report August 2014      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 ‐                 ‐                 ‐                 ‐                 49,435            35,175            ‐                  Grants  / intergovernmental 980,792          ‐                 117,144          ‐                 ‐                 927,624          ‐                  Charges  for services 88,130            1,362,560       11,606,697     10,970,020     6,436,132       6,679,122       10,170,293      Interdepartmental services ‐                 ‐                 ‐                 ‐                 ‐                 ‐                 ‐                  Fines  and penalties 4,227              ‐                 ‐                 ‐                 2,116              ‐                 ‐                  Rents, leases, and misc fees 1,570,606       266,975          44,891            93,805            ‐                 ‐                 ‐                  Interest and other misc 3,553              1,141              4,802              252,993          579,851          510,402          5,200               TOTAL REVENUES 2,647,308       1,630,676       11,773,534     11,316,818     7,067,534       8,152,323       10,175,493      EXPENSES: Utility billing ‐                 ‐                 82,770            72,399            59,846            96,767            ‐                  Utility systems ‐                 ‐                 9,991,428       3,614,479       1,962,255       2,314,545       ‐                  Utility maintenance ‐                 ‐                 177,449          3,181,320       844,334          1,511,277       9,737,192        Transportation 1,970,110       ‐                 ‐                 ‐                 ‐                 ‐                 ‐                  Golf ‐                 1,361,519       ‐                 ‐                 ‐                 ‐                 ‐                  TOTAL EXPENSES 1,970,110       1,361,519       10,251,647     6,868,198       2,866,435       3,922,589       9,737,192        AMOUNT AVAILABLE FOR DEBT SERVICE 677,198          269,157          1,521,887       4,448,620       4,201,099       4,229,734       438,301           DEBT SERVICE: Principal ‐                  ‐                 ‐                 395,175          270,848          42,590            ‐                  Interest ‐                 1,625              ‐                 329,405          166,761          142,024          ‐                  TOTAL DEBT SERVICE ‐                 1,625              ‐                 724,580          437,609          184,614          ‐                  CAPITAL PROJECTS 672,884          52,812            ‐                 1,417,307       1,719,544       1,439,242       ‐                  TRANSFERS IN/(OUT)‐                 ‐                 ‐                 (4,799)            (4,799)            (4,799)            ‐                  CHANGE  IN FUND BALANCE 4,314              214,720          1,521,887       2,301,934       2,039,147       2,601,079       438,301           BEGINNING FUND BALANCE, Jan 1 1,669,564       319,161          1,344,883       12,350,952     5,528,366       7,510,285       2,603,562        ENDING FUND BALANCE, Aug  31 1,673,878       533,881          2,866,770       14,652,886     7,567,513       10,111,364     3,041,863            Page 10 of 36 Monthly Financial Report August 2014      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 ‐               105,749       ‐               ‐                     ‐               ‐               ‐                Grants  / intergovernmental ‐               ‐               ‐               ‐                     ‐               ‐               44,426          Charges  for services Equipment rental  m&o 1,858,042    2,011,323    ‐               ‐                     ‐               ‐               ‐                Print and mail ‐               74,941         ‐               269,148             ‐               ‐               ‐                Communications ‐               3,090           ‐               344,918             ‐               ‐               ‐                Facilities ‐               ‐               2,837,067    ‐                     ‐               ‐               ‐                Data cards  and cell  phones ‐               93,609         ‐               ‐                     ‐               ‐               ‐                IT service co ntracts ‐               292,540        ‐               ‐                     ‐               ‐               ‐                Interest and other misc 7,970           4,296           2,539           719                    25,385         11,949         13,882          Internal service fund misc: Vehicle  / equipment capital  recovery 1,014,353    89,997         ‐               ‐                     ‐               ‐               ‐                Insurance premiums ‐               ‐               ‐               ‐                     1,085,815    ‐               ‐                Worker's  comp/unemployment ‐               ‐               ‐               ‐                     1,122,319    ‐               ‐                Benefit premiums ‐               ‐               ‐               ‐                     ‐               7,602,713    1,138,336     Other misc ‐               3,797           1,518           164                    ‐               227,251       ‐                Interfund Loan ‐               ‐               ‐               ‐                     139,931       ‐               ‐                Capital  contributions ‐               ‐               ‐               ‐                     ‐               ‐               ‐                Disposal  of capital  assets 39,759         ‐               ‐               ‐                     ‐               ‐               ‐                Insurance recoveries ‐               ‐               ‐               ‐                     68,915         ‐               ‐                TOTAL REVENUES 2,920,124    2,679,342    2,841,124    614,949             2,442,365    7,841,913    1,196,644     EXPENSES: Communications 343,237              Equipment rental 1,600,672     Facilities 2,497,291     Healthcare 8,556,141     Information technology 2,315,208     Print and mail 233,523              Retiree healthcare 792,618        Risk ma nagement Risk management 1,216,409     Unemployment 76,569          Worker's  compensation 1,056,026     TOTAL EXPENSES 1,600,672    2,315,208    2,497,291    576,760             2,349,004    8,556,141    792,618        AMOUNT AVAILABLE FOR CAPITAL 1,319,452    364,134       343,833       38,189               93,361         (714,228)      404,026        CAPITAL PROJECTS 681,293       387,594       194,011       ‐                     ‐               ‐               ‐                TRANSFERS IN ‐               (41,384)        ‐               ‐                     3,600,000    ‐               ‐                TRANSFERS (OUT)‐               ‐               ‐               ‐                     ‐               ‐               ‐                CHANGE  IN FUND BALANCE 638,159       (64,844)        149,822       38,189               3,693,361    (714,228)      404,026        BEGINNING FUND BALANCE, Jan 1 3,935,088    2,216,612    1,167,714    347,771             7,630,077    6,934,304    7,207,703     ENDING FUND BALANCE, Aug  31 4,573,247    2,151,768    1,317,536    385,960             11,323,438  6,220,076    7,611,729     Page 11 of 36 Monthly Financial Report August 2014      FUND BALANCE  Page 13 shows the ending fund balance as of August 2014.  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 August, the City has $15.6 million reported in the combined general governmental fund balance of the current  year’s operating budget, which is approximately 14% of budgeted operating expenditures.  This is a decrease of $1.8 million  from the year’s beginning balance.  August’s ending fund balance is over the anticipated General Governmental Fund Balance of  $11.3 million by $4.3 million or 38.4%.  Although the ending fund balance is above projections, it is consistent with the prior  years’ trends.      CONTACT INFORMATION  This report is prepared by the Finance Division of the Administrative Services Department.  For additional financial information,  please also review our website: http://www.rentonwa.gov/.  For any questions about the report, please feel free to contact us at  hnguyen@rentonwa.gov or JDThomas@Rentonwa.gov.  Page 12 of 36 Monthly Financial Report August 2014      City  of Renton All Funds ‐ Revenue, Expenditures and Fund Balances Cash  Basis through August 31, 2014 Funds Balance  01/01/2014 Budgeted  Revenue Revenue  08/31/14 Total Funds  Available Budgeted  Expenditure Expenditure  08/31/14 Ending   Balance GENERAL GOVERNMENT FUNDS:17,454,261    107,476,905  68,948,315    86,402,576    111,626,502  70,785,733    15,616,843     000 General 12,515,053    77,540,984    49,983,514    62,498,567    81,920,905    55,255,927    7,242,640       001 Community Services 2,124,598      11,706,752    7,306,493      9,431,091      11,693,059    7,145,607      2,285,484       003 Street 1,667,393      9,028,020      5,290,552      6,957,945      9,028,020      5,684,458      1,273,488       004 Community Dev Block Grant (229,834)       548,203         319,176         89,342           308,172         189,898         (100,557)        005 Museum 52,979           226,683         113,417         166,396         226,683         140,521         25,875            009 Farmers  Market 98,826           60,400           43,577           142,403         83,322           45,447           96,956            011 Fire  Health & Wellness 55,094           25,000           16,761           71,855           25,000           4,153             67,702            031 Park  Memorial 478                ‐                    ‐                    478                478                478                ‐                     201 Ltd  GO Bonds  Gen Govt Debt 833,717         1,749,705      877,020         1,710,737      1,749,705      119,700         1,591,037       215 Gen Govt Misc Debt Service 335,957         6,591,158      4,997,805      5,333,762      6,591,158      2,199,544      3,134,218       SPECIAL REVENUE FUNDS: 102 Arterial  Street 192,689         633,000         406,738         599,427         810,000          ‐                    599,427          108 Leased  City Properties 549,887         833,071         415,920         965,807         853,626         494,023         471,784          110 Hotel  Motel 185,606         265,000         163,976         349,582         315,693         169,318         180,264          125 1% For Art 97,771           15,000           174                97,945           50,000           7,050             90,895            127 Cable  Communication 284,632         85,674           77,421           362,053         85,674           21,155           340,898          135 Springbrook Wetlands Bank 667,613         ‐                    1,252             668,865         ‐                    ‐                    668,865          CAPITAL PROJECT  FUNDS (CIP): 303 Community Dev Mitigation 934,618         60,000           163,650         1,098,268      ‐                    ‐                    1,098,268       304 Fire Mitigation 646,165         50,000           144,585         790,750         ‐                    ‐                    790,750          305 Transportation Mitigation 486,185         40,000           362,756         848,941         200,000          ‐                    848,941          316 Municipal  Facilities CIP 5,083,524      3,070,672      1,599,022      6,682,546      7,921,548      1,741,492      4,941,054       317 Transportation CIP 2,687,303      18,857,104    9,203,957      11,891,260    20,835,072    9,527,969      2,363,291       318 So Lake  WA Infrastructure  Proj 9,012              ‐                    17                  9,029             9,012              ‐                    9,029              326 Housing Opportunity 84,599           1,000,000      1,000,768      1,085,367      75,000            ‐                    1,085,367       336 New Library Development 19,571,748    450,000         486,308         20,058,056    20,021,748    992,789         19,065,267     ENTERPRISE FUNDS: 402 Airport 191,466         1,505,636      1,663,959      1,855,425      1,496,624      1,039,023      816,402          403 Solid Waste  Utility 1,344,883      16,419,820    11,773,534    13,118,417    16,508,948    10,251,648    2,866,769       404 Golf Course 33,445           2,487,449      1,630,172      1,663,617      2,522,025      1,374,923      288,694          422 Airport Capital 1,478,098      15,878,548    983,349         2,461,447      17,331,646    1,603,971      857,476          424 Golf Course  Capital 285,716         50,000           33,836           319,552         193,894         74,366           245,186          INTERNAL SERVICE FUNDS: 501 Equipment Repair/Replacement 3,935,088      4,361,968      2,920,124      6,855,212      4,829,709      2,281,966      4,573,246       502 Insurance 7,630,077      7,344,062      6,042,365      13,672,442    3,188,983      2,349,004      11,323,438     503 Information Services 2,216,612      4,010,222      2,637,959      4,854,571      5,358,145      2,702,802      2,151,769       504 Facilities 1,167,714      4,105,749      2,841,124      4,008,838      4,505,641      2,691,302      1,317,536       505 Communications 347,771         896,374         614,949         962,720         917,403         576,759         385,961          512 Insurance, Healthcare 6,934,304      11,622,068    7,841,913      14,776,217    12,062,456    8,556,141      6,220,076       522 Insurance, Leoff1 Retirees HC 7,207,703      1,735,684      1,196,644      8,404,347      1,738,162      792,618         7,611,729       FIDUCIARY FUNDS: 611 Firemen's  Pension 4,790,247      300,000         147,676         4,937,923      225,475         139,827         4,798,096       Funds Balance  01/01/2014 Budgeted  Revenue Revenue  08/31/14 Total Funds  Available Budgeted  Expenditure Expenditure  08/31/14 Ending   Balance ENTERPRISE FUNDS: COMBINED  UTILITIES 27,993,165    62,804,226    36,712,170    64,705,335    68,486,436    29,331,709    35,373,626     405 Water Utility 8,523,106      13,765,149    11,104,706    19,627,812    11,453,942    6,204,939      13,422,873     406 Waste Water Utility 2,578,193      7,263,934      6,547,177      9,125,370      5,544,029      3,254,840      5,870,530       407 Surface Water Utility 4,342,360      4,867,612      6,727,446      11,069,806    6,996,129      3,541,621      7,528,185       416 King  County Metro 2,603,562      15,202,336    10,175,493    12,779,055    15,202,336    9,737,192      3,041,863       425 Water Utility Construction 3,811,904      4,385,000      212,083         4,023,987      7,771,000      2,809,946      1,214,041       426 Waste Water Construction 2,950,173      4,900,000      520,358         3,470,531      7,055,000      1,773,548      1,696,983       427 Surface Water Construction 3,167,925      12,420,195    1,424,877      4,592,802      14,464,000    2,009,623      2,583,179       471 Waterworks  Rate  Stabilization 15,942           ‐                    30                  15,972           ‐                    ‐                    15,972            Note:  Waterworks  Utility Funds  are managed as a  system and are designated by the  dotted lines.  Page 13 of 36 City of Renton General Government Financial Position 2014 Budget Year General Government Summary  Revenues Expenditures  $ Difference over (under)  w/beginning  balance  17,454,261             January 5,710,991              8,047,088              (2,336,097)             15,118,164             February 12,530,792            15,890,655            (3,359,862)             14,094,399             March 19,541,262            23,627,952            (4,086,690)             13,367,571             April 32,250,423            32,119,009            131,414                  17,585,675             May 50,233,421            44,853,913            5,379,508              22,833,769             June 56,390,743            53,545,448            2,845,294              20,299,555             July 62,847,141            62,026,823            820,318                  18,274,579             August 68,948,315            70,785,733            (1,837,418)             15,616,843             September October November December  (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  3,000,000  4,000,000  5,000,000  6,000,000  7,000,000  ‐  10,000,000  20,000,000  30,000,000  40,000,000  50,000,000  60,000,000  70,000,000  80,000,000  90,000,000  100,000,000  110,000,000 Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec Change in Fund  Balance Rev/Exp Revenues Expenditures Change in Fund Balance Page 14 of 36 City of Renton Monthly Revenue Analysis ‐ 2014 Budget Year General  Government Budget YTD Actual Annual %  over (under) Jan 5,851,672        5,710,991         ‐2.40% Feb 11,906,391      12,530,792      5.24% Mar 17,730,142      19,541,262      10.21% Apr 34,988,423      32,250,423       ‐7.83% May 48,805,878      50,233,421      2.92% Jun 54,347,230      56,390,743      3.76% Jul 60,480,219      62,847,141      3.91% Aug 65,838,885      68,948,315      4.72% Sep 71,378,866       Oct 88,357,866       Nov 100,428,885     Dec 107,476,905     Percent of budget 64.15% Property Tax Budget YTD Actual Annual %  over (under) Jan 162,468           (101,807)           ‐162.66% Feb 221,564           74,744               ‐66.27% Mar 1,182,448        1,701,026        43.86% Apr 11,815,359      7,509,891         ‐36.44% May 18,180,258      18,201,961      0.12% Jun 18,250,621      17,957,441      ‐1.61% Jul 18,542,776      18,309,728      ‐1.26% Aug 18,546,494      18,488,664      ‐0.31% Sep 19,130,963       Oct 29,751,020       Nov 34,808,607       Dec 35,240,495       Percent of budget 52.46%  $‐  $10  $20  $30  $40  $50  $60  $70  $80  $90  $100  $110 Millions Total Revenue General Government Budget Actual Last Year  $(3)  $‐  $3  $6  $9  $12  $15  $18  $21  $24  $27  $30  $33  $36 Millions Property Tax Budget Actual Last Year Page 15 of 36 City of Renton Monthly Revenue Analysis ‐ 2014 Budget Year Sales Tax Budget YTD Actual Annual %  over (under) Jan 1,780,130        1,796,358        0.91% Feb 4,049,868        4,122,324        1.79% Mar 5,735,971        5,867,541        2.29% Apr 7,449,682        7,607,062        2.11% May 9,403,295        9,574,693        1.82% Jun 11,160,683      11,442,944      2.53% Jul 12,941,079      13,379,782      3.39% Aug 14,856,274      15,650,879      5.35% Sep 16,674,205       Oct 18,600,929       Nov 20,542,214       Dec 22,432,262       Percent of budget 69.77% Note:  Excludes CJ Sales Tax and Natural Gas Use Tax. Utility Tax Budget YTD Actual Annual %  over (under) Jan 1,372,593        1,373,119        0.04% Feb 2,862,943        2,897,682        1.21% Mar 4,173,577        4,529,120        8.52% Apr 5,637,269        5,748,119        1.97% May 7,000,058        7,128,436        1.83% Jun 8,151,130        8,504,980        4.34% Jul 9,449,365        10,031,609      6.16% Aug 10,668,223      11,301,725      5.94% Sep 12,034,563       Oct 13,138,008       Nov 14,360,964       Dec 15,859,850       Percent of budget 71.26% Note:  Includes Natural Gas Use Tax.  $‐  $3  $6  $9  $12  $15  $18  $21  $24 Millions Sales Tax Budget Actual Last Year  $‐  $2  $4  $6  $8  $10  $12  $14  $16 Millions Utility Tax Budget Actual Last Year Page 16 of 36 City of Renton Monthly Revenue Analysis ‐ 2014 Budget Year Licenses &  Permits Budget YTD Actual Annual %  over (under) Jan 283,179           404,067           42.69% Feb 483,298           718,566           48.68% Mar 687,979           929,709           35.14% Apr 1,005,116        1,321,521        31.48% May 1,238,954        1,615,047        30.36% Jun 1,452,511        2,018,843        38.99% Jul 1,758,517        2,340,772        33.11% Aug 2,047,093        2,584,102        26.23% Sep 2,213,029         Oct 2,636,671         Nov 2,886,417         Dec 3,129,504         Percent of budget 82.57% Note:  Franchise Fees Intergovt'l Budget YTD Actual Annual %  over (under) Jan 804,661           846,109           5.15% Feb 1,644,685        1,714,034        4.22% Mar 2,017,623        2,206,902        9.38% Apr 3,096,296        3,273,493        5.72% May 5,523,875        5,716,232        3.48% Jun 6,143,873        6,361,338        3.54% Jul 6,718,562        6,946,598        3.39% Aug 7,294,834        7,552,833        3.54% Sep 7,784,968         Oct 8,854,810         Nov 11,311,879       Dec 12,065,651       Percent of budget 62.60% Note:  Includes CJ Sales Tax and FD25 & FD40 contracts  $‐  $1  $2  $3  $4  $5  $6  $7  $8  $9  $10  $11  $12 Millions Intergovernmental Budget Actual Last Year  $‐  $0.50  $1.00  $1.50  $2.00  $2.50  $3.00  $3.50 Millions Licenses & Permits Budget Actual Last Year Page 17 of 36 City of Renton Monthly Revenue Analysis ‐ 2014 Budget Year Charges for  Services Budget YTD Actual Annual %  over (under) Jan 466,134           669,010           43.52% Feb 1,002,386        1,198,034        19.52% Mar 1,548,420        1,831,413        18.28% Apr 2,214,131        2,482,936        12.14% May 2,816,212        3,017,160        7.14% Jun 3,402,473        3,730,690        9.65% Jul 4,200,894        4,470,663        6.42% Aug 4,887,074        5,183,570        6.07% Sep 5,421,972         Oct 6,024,642         Nov 6,558,687         Dec 7,158,086         Percent of budget 72.42% Note: Excludes FD25 & FD40 contracts Fines &  Forfeits Budget YTD Actual Annual %  over (under) Jan 182,703           136,762            ‐25.15% Feb 433,957           288,232           ‐33.58% Mar 710,777           491,714           ‐30.82% Apr 1,023,092        755,499           ‐26.16% May 1,332,708        963,935           ‐27.67% Jun 1,639,716        1,188,149        ‐27.54% Jul 1,909,496        1,393,252        ‐27.04% Aug 2,087,621        1,651,980        ‐20.87% Sep 2,257,534         Oct 2,506,763         Nov 2,736,768         Dec 3,058,500         Percent of budget 54.01%  $‐  $1  $2  $3  $4  $5  $6  $7  $8 Millions Charges for Services Budget Actual Last Year  $‐  $0.50  $1.00  $1.50  $2.00  $2.50  $3.00  $3.50 Millions Fines & Forfeits Budget Actual Last Year Page 18 of 36 City of Renton Monthly Revenue Analysis ‐ 2014 Budget Year Other Taxes Budget YTD Actual Annual %  over (under) Jan 618,804           343,410            ‐44.50% Feb 967,476           1,173,666        21.31% Mar 1,284,796        1,511,820        17.67% Apr 2,265,235        3,008,720        32.82% May 2,626,701        3,359,954        27.92% Jun 3,340,270        4,272,641        27.91% Jul 4,037,964        5,082,426        25.87% Aug 4,405,021        5,505,875        24.99% Sep 4,728,003         Oct 5,629,805         Nov 5,927,336         Dec 6,563,000         Percent of budget 83.89% Misc Budget YTD Actual Annual %  over (under) Jan 180,999           243,963           34.79% Feb 240,215           343,510           43.00% Mar 388,551           469,642           20.87% Apr 482,243           539,736           11.92% May 683,818           647,386           ‐5.33% Jun 805,952           905,100           12.30% Jul 921,566           883,693           ‐4.11% Aug 1,046,251        1,005,672        ‐3.88% Sep 1,133,629         Oct 1,215,219         Nov 1,296,012         Dec 1,969,557         Percent of budget 51.06%  $‐  $0.20  $0.40  $0.60  $0.80  $1.00  $1.20  $1.40  $1.60  $1.80  $2.00 Millions Miscellaneous Budget Actual Last Year  $‐  $1  $2  $3  $4  $5  $6  $7  $8 Millions Other Taxes Budget Actual Last Year Page 19 of 36 City of Renton Monthly Revenue Analysis ‐ 2014 Budget Year Other  Financing Budget YTD Actual Annual %  over (under) Jan ‐                          ‐                         N/A Feb ‐                          ‐                         N/A Mar ‐                         2,375                100.00% Apr ‐                         3,447                100.00% May ‐                         8,617                100.00% Jun ‐                         8,617                100.00% Jul ‐                         8,617                100.00% Aug ‐                         23,015              100.00% Sep ‐                          Oct ‐                          Nov ‐                          Dec ‐                          Percent of budget 100.00% $0 $50,000 $100,000 $150,000 $200,000 $250,000 $300,000 $350,000 Other Financing Sources Budget Actual Last Year Page 20 of 36 City of Renton Monthly Revenue Analysis ‐ 2014 Budget Year REET Budget YTD Actual Annual %  over (under) Jan 94,134              162,143           72.25% Feb 278,168           610,596           119.51% Mar 438,277           838,225           91.25% Apr 577,013           1,747,345        202.83% May 777,722           2,010,091        158.46% Jun 1,021,902        2,634,433        157.80% Jul 1,207,067        2,984,646        147.26% Aug 1,413,460        3,331,324        135.69% Sep 1,591,955         Oct 1,783,413         Nov 2,023,852         Dec 2,900,000         Percent of budget 114.87% Bldg Permits &  Devlpmt Svc  Fees Budget YTD Actual Annual %  over (under) Jan 251,556           432,890           72.09% Feb 467,244           845,207           80.89% Mar 753,544           1,233,397        63.68% Apr 1,069,262        1,607,401        50.33% May 1,390,140        1,956,991        40.78% Jun 1,668,571        2,473,680        48.25% Jul 1,976,502        2,762,637        39.77% Aug 2,328,357        3,062,821        31.54% Sep 2,542,968         Oct 2,975,045         Nov 3,313,782         Dec 3,705,701         Percent of budget 82.65%  $‐  $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  $‐  $0.50  $1.00  $1.50  $2.00  $2.50  $3.00  $3.50  $4.00 Millions Building Permits and Development Service  Fees Budget Actual Last Year Page 21 of 36 City of Renton Monthly Expenditure Analysis ‐ 2014 Budget Year General  Government Budget YTD Actual Annual %  over (under) Jan 7,656,884        8,047,088        5.10% Feb 16,346,895      15,890,655       ‐2.79% Mar 24,067,020      23,627,952       ‐1.82% Apr 32,912,955      32,119,009       ‐2.41% May 46,211,853      44,853,913       ‐2.94% Jun 54,872,871      53,545,448       ‐2.42% Jul 63,602,060      62,026,823       ‐2.48% Aug 72,008,133      70,785,733       ‐1.70% Sep 83,251,821       Oct 92,225,305       Nov 101,392,393     Dec 111,626,501     Percent of budget expended 63.41% Legislative Budget YTD Actual Annual %  over (under) Jan 24,713              23,569               ‐4.63% Feb 50,791              55,960              10.18% Mar 77,175              84,100              8.97% Apr 103,348           108,911           5.38% May 128,959           133,956           3.88% Jun 154,624           159,997           3.48% Jul 180,383           185,030           2.58% Aug 205,498           209,660           2.03% Sep 231,042            Oct 256,847            Nov 282,568            Dec 309,907            Percent of budget expended 67.65%  $‐  $10  $20  $30  $40  $50  $60  $70  $80  $90  $100  $110  $120 Millions Total Expenditures General Government Budget Actual Last Year  $‐  $50,000  $100,000  $150,000  $200,000  $250,000  $300,000  $350,000 Legislative Budget Actual Last Year Page 22 of 36 City of Renton Monthly Expenditure Analysis ‐ 2014 Budget Year Executive Budget YTD Actual Annual %  over (under) Jan 80,412              76,257               ‐5.17% Feb 197,216           186,396            ‐5.49% Mar 316,702           296,472            ‐6.39% Apr 439,720           407,807            ‐7.26% May 557,592           517,214            ‐7.24% Jun 661,840           629,321            ‐4.91% Jul 776,168           742,514            ‐4.34% Aug 891,836           861,339            ‐3.42% Sep 997,727            Oct 1,110,465         Nov 1,222,415         Dec 1,359,996         Percent of budget expended 63.33% City Attorney Budget YTD Actual Annual %  over (under) Jan 143,108           135,206            ‐5.52% Feb 289,153           276,371            ‐4.42% Mar 435,055           419,299            ‐3.62% Apr 589,689           562,501            ‐4.61% May 731,578           713,626           ‐2.45% Jun 882,055           878,900           ‐0.36% Jul 1,024,858        1,035,254        1.01% Aug 1,170,538        1,196,303        2.20% Sep 1,323,502         Oct 1,482,556         Nov 1,626,768         Dec 1,863,395         Percent of budget expended 64.20%  $‐  $0.30  $0.60  $0.90  $1.20  $1.50 Millions Executive Budget Actual Last Year  $‐  $0.40  $0.80  $1.20  $1.60  $2.00 Millions City Attorney Budget Actual Last Year Page 23 of 36 City of Renton Monthly Expenditure Analysis ‐ 2014 Budget Year Court Services Budget YTD Actual Annual %  over (under) Jan 163,940           159,512            ‐2.70% Feb 331,204           323,167            ‐2.43% Mar 499,924           487,984            ‐2.39% Apr 676,750           660,115            ‐2.46% May 849,947           830,863            ‐2.25% Jun 1,039,155        997,832            ‐3.98% Jul 1,215,215        1,167,708         ‐3.91% Aug 1,385,662        1,333,913         ‐3.73% Sep 1,555,116         Oct 1,726,270         Nov 1,897,359         Dec 2,094,010         Percent of budget expended 63.70% CED Admin Budget YTD Actual Annual %  over (under) Jan 83,847              83,232               ‐0.73% Feb 167,836           166,457            ‐0.82% Mar 252,105           249,681            ‐0.96% Apr 338,988           333,812            ‐1.53% May 421,256           418,279           ‐0.71% Jun 504,064           502,746           ‐0.26% Jul 586,980           587,213           0.04% Aug 669,788           671,680           0.28% Sep 752,773            Oct 835,539            Nov 918,100            Dec 1,012,142         Percent of budget expended 66.36%  $‐  $0.20  $0.40  $0.60  $0.80  $1.00  $1.20  $1.40  $1.60  $1.80  $2.00  $2.20 Millions Court Services Budget Actual Last Year  $‐  $0.20  $0.40  $0.60  $0.80  $1.00  $1.20 Millions Community & Economic Development Admin Budget Actual Last Year Page 24 of 36 City of Renton Monthly Expenditure Analysis ‐ 2014 Budget Year Development  Services Budget YTD Actual Annual %  over (under) Jan 245,147           216,780            ‐11.57% Feb 475,540           437,105            ‐8.08% Mar 710,754           683,399            ‐3.85% Apr 967,749           931,956            ‐3.70% May 1,211,026        1,163,496         ‐3.92% Jun 1,463,648        1,382,845         ‐5.52% Jul 1,721,037        1,593,443         ‐7.41% Aug 1,995,920        1,817,405         ‐8.94% Sep 2,250,357         Oct 2,519,009         Nov 2,776,952         Dec 3,040,435         Percent of budget expended 59.77% Economic  Development Budget YTD Actual Annual %  over (under) Jan 79,265              36,443               ‐54.02% Feb 121,101           80,671               ‐33.39% Mar 166,928           136,650            ‐18.14% Apr 216,402           186,131            ‐13.99% May 261,778           230,384           ‐11.99% Jun 312,460           286,843           ‐8.20% Jul 365,766           353,794           ‐3.27% Aug 423,762           410,729           ‐3.08% Sep 475,562            Oct 526,555            Nov 583,152            Dec 644,063            Percent of budget expended 63.77%  $‐  $0.50  $1.00  $1.50  $2.00  $2.50  $3.00  $3.50 Millions Development Services Budget Actual Last Year  $‐  $0.10  $0.20  $0.30  $0.40  $0.50  $0.60  $0.70 Millions Economic Development Budget Actual Last Year Page 25 of 36 City of Renton Monthly Expenditure Analysis ‐ 2014 Budget Year Planning Budget YTD Actual Annual %  over (under) Jan 176,776           123,910            ‐29.91% Feb 364,981           264,152            ‐27.63% Mar 549,854           426,860            ‐22.37% Apr 735,514           584,673            ‐20.51% May 921,326           747,714            ‐18.84% Jun 1,108,350        922,069            ‐16.81% Jul 1,296,003        1,107,408         ‐14.55% Aug 1,501,983        1,300,370         ‐13.42% Sep 1,703,471         Oct 1,879,353         Nov 2,062,499         Dec 2,261,206         Percent of budget expended 57.51% Finance Budget YTD Actual Annual %  over (under) Jan 153,798           161,643           5.10% Feb 309,673           331,528           7.06% Mar 474,196           505,966           6.70% Apr 647,301           678,686           4.85% May 825,083           852,555           3.33% Jun 1,006,594        1,129,517        12.21% Jul 1,192,630        1,336,451        12.06% Aug 1,381,616        1,578,130        14.22% Sep 1,546,956         Oct 1,701,753         Nov 1,852,570         Dec 2,334,758         Percent of budget expended 67.59%  $‐  $0.40  $0.80  $1.20  $1.60  $2.00  $2.40 Millions Finance Budget Actual Last Year  $‐  $0.50  $1.00  $1.50  $2.00  $2.50 Millions Planning Budget Actual Last Year Page 26 of 36 City of Renton Monthly Expenditure Analysis ‐ 2014 Budget Year City Clerk Budget YTD Actual Annual %  over (under) Jan 64,003              62,855               ‐1.79% Feb 132,897           183,252           37.89% Mar 216,913           380,731           75.52% Apr 292,782           446,560           52.52% May 498,004           516,105           3.63% Jun 563,065           583,164           3.57% Jul 745,933           650,434            ‐12.80% Aug 827,964           717,774            ‐13.31% Sep 901,085            Oct 973,200            Nov 1,046,567         Dec 1,125,927         Percent of budget expended 63.75% Includes Hearing Examiner Human  Resources Budget YTD Actual Annual %  over (under) Jan 72,706              63,751               ‐12.32% Feb 152,715           131,247            ‐14.06% Mar 239,432           203,164            ‐15.15% Apr 320,251           294,344           ‐8.09% May 397,478           365,419           ‐8.07% Jun 489,534           439,333           ‐10.25% Jul 572,574           516,316           ‐9.83% Aug 658,226           597,747           ‐9.19% Sep 739,793            Oct 822,360            Nov 907,045            Dec 1,002,994         Percent of budget expended 59.60%  $‐  $0.20  $0.40  $0.60  $0.80  $1.00 Millions Human Resources Budget Actual Last Year  $‐  $0.20  $0.40  $0.60  $0.80  $1.00  $1.20 Millions City Clerk Budget Actual Last Year Page 27 of 36 City of Renton Monthly Expenditure Analysis ‐ 2014 Budget Year Police Budget YTD Actual Annual %  over (under) Jan 2,445,788        2,620,270        7.13% Feb 4,883,369        4,935,606        1.07% Mar 7,300,805        7,538,512        3.26% Apr 9,820,439        9,787,131         ‐0.34% May 12,415,628      12,388,107       ‐0.22% Jun 14,764,648      14,833,908      0.47% Jul 17,407,954      17,418,007      0.06% Aug 19,680,783      19,670,400       ‐0.05% Sep 22,849,319       Oct 25,195,504       Nov 27,818,990       Dec 30,425,197       Percent of budget expended 64.65% Fire &  Emergency  Services Budget YTD Actual Annual %  over (under) Jan 2,041,819        2,561,083        25.43% Feb 4,847,480        4,745,812         ‐2.10% Mar 6,854,096        6,727,201         ‐1.85% Apr 8,855,803        8,701,872        ‐1.74% May 11,028,108      10,587,000      ‐4.00% Jun 13,014,291      12,576,090      ‐3.37% Jul 15,006,605      14,602,905      ‐2.69% Aug 17,030,818      17,031,941      0.01% Sep 19,036,886       Oct 21,071,064       Nov 23,133,937       Dec 25,219,873       Percent of budget expended 67.53%  $‐  $3  $6  $9  $12  $15  $18  $21  $24  $27  $30  $33 Millions Police Budget Actual Last Year  $‐  $3  $6  $9  $12  $15  $18  $21  $24  $27 Millions Fire & Emergency Services Budget Actual Last Year Page 28 of 36 City of Renton Monthly Expenditure Analysis ‐ 2014 Budget Year Community  Services Admin Budget YTD Actual Annual %  over (under) Jan 42,394              36,113               ‐14.82% Feb 82,537              75,787               ‐8.18% Mar 122,781           120,240            ‐2.07% Apr 164,144           158,781            ‐3.27% May 205,095           196,067            ‐4.40% Jun 245,774           233,851            ‐4.85% Jul 286,244           273,470            ‐4.46% Aug 326,379           311,518            ‐4.55% Sep 366,052            Oct 405,523            Nov 447,189            Dec 493,982            Percent of budget expended 63.06% Parks Budget YTD Actual Annual %  over (under) Jan 292,322           271,473            ‐7.13% Feb 598,427           555,521            ‐7.17% Mar 920,103           856,188            ‐6.95% Apr 1,273,822        1,154,945         ‐9.33% May 1,614,058        1,483,776        ‐8.07% Jun 1,979,168        1,838,337        ‐7.12% Jul 2,366,921        2,221,396        ‐6.15% Aug 2,777,634        2,651,206        ‐4.55% Sep 3,184,127         Oct 3,574,538         Nov 3,939,495         Dec 4,311,514         Percent of budget expended 61.49%  $‐  $0.50  $1.00  $1.50  $2.00  $2.50  $3.00  $3.50  $4.00  $4.50 Millions Parks Budget Actual Last Year $0 $50,000 $100,000 $150,000 $200,000 $250,000 $300,000 $350,000 $400,000 $450,000 $500,000 Community Services Admin Budget Actual Last Year Page 29 of 36 City of Renton Monthly Expenditure Analysis ‐ 2014 Budget Year Parks Planning  and Natural  Resources Budget YTD Actual Annual %  over (under) Jan 49,228              43,855               ‐10.91% Feb 101,030           90,409               ‐10.51% Mar 166,883           148,948            ‐10.75% Apr 229,214           201,429            ‐12.12% May 301,827           270,042            ‐10.53% Jun 366,732           323,404            ‐11.81% Jul 431,978           388,391            ‐10.09% Aug 495,631           447,522            ‐9.71% Sep 564,205            Oct 636,195            Nov 702,081            Dec 880,373            Percent of budget expended 50.83% Recreation Budget YTD Actual Annual %  over (under) Jan 317,480           278,944            ‐12.14% Feb 677,093           603,208            ‐10.91% Mar 1,041,360        928,117            ‐10.87% Apr 1,429,365        1,262,485        ‐11.68% May 1,793,244        1,601,422        ‐10.70% Jun 2,188,393        1,972,450        ‐9.87% Jul 2,809,941        2,585,291        ‐7.99% Aug 3,479,188        3,235,603        ‐7.00% Sep 3,980,445         Oct 4,344,574         Nov 4,701,254         Dec 5,111,272         Percent of budget expended 63.30%  $‐  $100,000  $200,000  $300,000  $400,000  $500,000  $600,000  $700,000  $800,000  $900,000 Parks Planning and Natural Resources Budget Actual Last Year $0.00 $0.50 $1.00 $1.50 $2.00 $2.50 $3.00 $3.50 $4.00 $4.50 $5.00 $5.50 Millions Recreation Budget Actual Last Year Page 30 of 36 City of Renton Monthly Expenditure Analysis ‐ 2014 Budget Year Human  Services Budget YTD Actual Annual %  over (under) Jan 54,337              47,594               ‐12.41% Feb 134,179           143,610           7.03% Mar 251,034           249,760            ‐0.51% Apr 389,020           385,688            ‐0.86% May 471,784           453,886            ‐3.79% Jun 540,831           503,169            ‐6.96% Jul 679,987           632,253            ‐7.02% Aug 748,949           734,148            ‐1.98% Sep 802,062            Oct 950,120            Nov 1,027,713         Dec 1,221,989         Percent of budget expended 60.08% Neighborhoods , Resources,  and Events Budget YTD Actual Annual %  over (under) Jan 68,622              57,193              ‐16.66% Feb 131,885           146,776           11.29% Mar 210,347           200,847           ‐4.52% Apr 280,168           257,492           ‐8.09% May 348,656           307,785           ‐11.72% Jun 436,118           371,803           ‐14.75% Jul 544,155           472,085           ‐13.24% Aug 631,090           545,684           ‐13.53% Sep 711,521            Oct 785,130            Nov 890,176            Dec 979,716            Percent of budget expended 55.70%  $‐  $0.20  $0.40  $0.60  $0.80  $1.00  $1.20  $1.40 Millions Human Services Budget Actual Last Year  $‐  $100,000  $200,000  $300,000  $400,000  $500,000  $600,000  $700,000  $800,000  $900,000  $1,000,000 Neighborhoods, Resources, and Events Budget Actual Last Year Page 31 of 36 City of Renton Monthly Expenditure Analysis ‐ 2014 Budget Year Museum Fund Budget YTD Actual Annual %  over (under) Jan 18,447              16,819               ‐8.82% Feb 37,132              33,387               ‐10.09% Mar 55,837              49,955               ‐10.53% Apr 75,357              66,789               ‐11.37% May 94,204              84,860               ‐9.92% Jun 113,251           103,291            ‐8.79% Jul 131,932           121,764            ‐7.71% Aug 150,895           140,521            ‐6.87% Sep 169,970            Oct 189,000            Nov 208,138            Dec 226,683            Percent of budget expended 61.99% Public Works  Admin Budget YTD Actual Annual %  over (under) Jan 40,644              31,793               ‐21.78% Feb 81,126              63,574               ‐21.64% Mar 121,691           95,355               ‐21.64% Apr 164,065           127,778           ‐22.12% May 203,500           160,270           ‐21.24% Jun 241,286           193,002           ‐20.01% Jul 277,486           225,599           ‐18.70% Aug 314,166           258,263           ‐17.79% Sep 350,422            Oct 385,541            Nov 420,605            Dec 456,340            Percent of budget expended 56.59%  $‐  $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  $‐  $30,000  $60,000  $90,000  $120,000  $150,000  $180,000  $210,000  $240,000 Museum Fund Budget Actual Last Year Page 32 of 36 City of Renton Monthly Expenditure Analysis ‐ 2014 Budget Year Street  Maintenance Budget YTD Actual Annual %  over (under) Jan 348,761           311,026            ‐10.82% Feb 744,828           658,352            ‐11.61% Mar 1,110,350        980,862            ‐11.66% Apr 1,489,239        1,423,475         ‐4.42% May 1,853,405        1,791,574         ‐3.34% Jun 2,241,891        2,157,217         ‐3.78% Jul 2,607,657        2,532,280         ‐2.89% Aug 2,962,105        2,911,004         ‐1.73% Sep 3,328,647         Oct 3,699,390         Nov 4,070,992         Dec 4,488,268         Percent of budget expended 64.86% Transportation Budget YTD Actual Annual %  over (under) Jan 299,741           278,181            ‐7.19% Feb 664,652           632,259            ‐4.87% Mar 1,036,278        921,240            ‐11.10% Apr 1,468,622        1,450,448         ‐1.24% May 1,810,444        1,771,639        ‐2.14% Jun 2,129,219        2,100,480        ‐1.35% Jul 2,522,140        2,426,304        ‐3.80% Aug 2,918,281        2,773,453        ‐4.96% Sep 3,263,752         Oct 3,635,898         Nov 3,985,013         Dec 4,539,752         Percent of budget expended 61.09%  $‐  $0.50  $1.00  $1.50  $2.00  $2.50  $3.00  $3.50  $4.00  $4.50 Millions Street Maintenance Budget Actual Last Year $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 Page 33 of 36 City of Renton Monthly Expenditure Analysis ‐ 2014 Budget Year Debt Service Budget YTD Actual Annual %  over (under) Jan 51,520              51,520              0.00% Feb 302,837           302,837           0.00% Mar 303,355           303,355           0.00% Apr 916,538           916,538           0.00% May 917,058           917,058           0.00% Jun 1,807,407        1,807,407        0.00% Jul 2,068,927        2,068,927        0.00% Aug 2,319,244        2,319,244        0.00% Sep 6,255,647         Oct 6,950,719         Nov 7,645,791         Dec 8,340,863         Percent of budget expended 27.81% Non‐ Departmental  Other City Budget YTD Actual Annual %  over (under) Jan 298,065           298,065           0.00% Feb 467,210           467,210           0.00% Mar 633,063           633,063           0.00% Apr 1,028,664        1,028,664        0.00% May 6,350,814        6,350,814        0.00% Jun 6,618,473        6,618,473        0.00% Jul 6,782,586        6,782,586        0.00% Aug 7,060,175        7,060,175        0.00% Sep 5,911,383         Oct 6,568,203         Nov 7,225,024         Dec 7,881,844         Percent of budget expended 89.58%  $‐  $1.00  $2.00  $3.00  $4.00  $5.00  $6.00  $7.00  $8.00 Millions Non‐Departmental Other City Services Budget Actual Last Year  $‐  $1  $2  $3  $4  $5  $6  $7  $8  $9 Millions Debt Service Budget Actual Last Year Page 34 of 36 City of Renton Monthly Enterprise Fund Financial Report ‐ 2014 Budget Year Utilities Budget Revenue Expense Jan 4,282,421        6,606,636      3,795,307       Feb 9,839,723        11,939,236    8,329,760       Mar 17,394,389      17,397,529    13,080,021     Apr 23,769,707      23,768,876    17,635,562     May 30,978,426      29,697,956    22,628,698     Jun 39,309,642      35,247,583    28,309,030     Jul 47,343,798      41,725,569    34,204,756     Aug 54,078,194      48,485,673    39,583,355     Sep 61,661,742       Oct 67,509,352       Nov 73,767,095       Dec 84,995,384       Percent of budget expended 46.89% Note:  Operations and Capital Airport Budget Revenue Expense Jan 211,065           292,698          108,595           Feb 433,615           639,757          472,632           Mar 878,150           1,015,941      1,226,930       Apr 1,081,496        1,499,014      1,410,992       May 2,139,080        1,720,026      1,746,960       Jun 3,390,971        2,031,905      1,929,278       Jul 5,546,997        2,302,052      2,441,832       Aug 11,430,266      2,647,308      2,642,994       Sep 12,053,858       Oct 17,677,109       Nov 17,970,642       Dec 18,828,270       Percent of budget expended 14.04% Note:  Operations and Capital $0 $10 $20 $30 $40 $50 $60 $70 $80 $90 Millions Utilities Budget Revenue Expense  $‐  $2.00  $4.00  $6.00  $8.00  $10.00  $12.00  $14.00  $16.00  $18.00  $20.00 Millions Airport Budget Revenue Expense Page 35 of 36 City of Renton Monthly Enterprise Fund Financial Report ‐ 2014 Budget Year Golf Course Budget Revenue Expense Jan 148,339           83,199            128,950           Feb 311,204           157,539          295,744           Mar 506,698           276,011          463,052           Apr 746,715           478,430          653,009           May 929,343           731,751          898,163           Jun 1,151,882        1,039,218      1,072,304       Jul 1,346,835        1,356,019      1,258,392       Aug 1,533,049        1,664,007      1,449,288       Sep 1,729,746         Oct 1,916,501         Nov 2,077,100         Dec 2,715,919         Percent of budget expended 53.36% 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 36 of 36