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HomeMy WebLinkAbout201104, April.pdfFINANCE AND  INFORMATION TECHNOLOGY    M   E   M   O   R   A   N   D   U   M       DATE: June 6, 2011     TO: Terri Briere, Council President  Members of the Renton City Council     CC: Denis Law, Mayor  Administrators     FROM: Hai Nguyen, Sr. Finance Analyst     SUBJECT: April 2011 Financial Status Report       At the end of April, general governmental revenues show $1.2k or 4.2% above budget.  This is  primarily due to the $1.4 million favorable property tax collection due to timing difference and  should self‐correct in May or June.  Sales tax is $214k higher than budget, which is attributable  to one‐time activity occurred in December 2010 (February 2011 sales tax receipt).  Sales tax  activity continues to fluctuate widely from month to month and at this point we anticipate will  meet budget projection at the end of the year.  The revenue sources underperform year to date  budget and are likely to continue this trend for the year are: 1) Permit and Development fees  ($221k below budget at the end of April); 2) REET ($150k below); 3) Interfund service charge  ($202k below); and 4) Interest Earning ($82k below). These underperforming areas are offset by  higher than anticipated utility tax ($242k); state shared revenue ($185k); and court fines ($62k).   Therefore, we believe the overall revenue collection will be very close to budget for the year.       General government expenditures showed favorable variances of $1.7 million or 5.3%.  $1.3  million of the saving is related to SCORE jail start up cost.  Due to the reduced hiring/operation  plan at SCORE, we expect to realize part of the saving this year.  Started with March Financial  Report, we separated Jail cost form the rest of Police Department operating costs.  This allows  us better monitor SCORE jail cost and it also revealed that we have under budgeted wages and  benefits for a group of employees in the police department by $537k.  Therefore part of the jail  saving will be needed to cover this budget correction.      Some divisions other may appear to exceed their budget at the end of April, most are due to  the timing of various payments.  Combined expenditures by department are all within  department budgets.    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.      General  Governmental  Funds $% Beginning Fund Balance 11,816,561$       11,816,561$       11,955,285$       11,955,285$       11,407,119$       11,407,119$       11,407,119$        ‐$                   0.0% OPERATING REVENUES Property Tax 30,660,522          9,023,991             31,497,128          7,697,974             32,046,525          7,832,248             9,205,472             1,373,224      17.5% Sales  Tax 17,995,836          6,180,530             17,198,220          5,768,664             17,759,600          5,661,844             5,876,031             214,187          3.8% Sales  Tax ‐ Annexation  Credit 2,132,110             730,354                  2,025,660             677,118                  2,119,680             708,546                  663,746                  (44,800)             ‐6.3% Criminal Justice Sales  Tax 1,650,350             554,696                  1,620,479             536,715                  1,804,005             597,500                  562,500                  (34,999)             ‐5.9% Natural  Gas  Use  Tax 242,891                  56,975                     228,514                  99,228                     258,750                  112,357                  109,217                  (3,140)                ‐2.8% Admission  Tax 260,269                  118,330                  291,399                  141,355                  280,000                  135,826                  134,463                  (1,363)                ‐1.0% Franchise Fees 1,039,031             259,992                  1,222,444             594,746                  1,260,000             613,018                  600,206                  (12,811)             ‐2.1% Electricity Tax 4,963,151             1,935,934             5,036,907             1,822,135             4,968,000             1,797,207             1,928,010             130,803          7.3% Natural  Ga s  Utility Tax 1,891,255             1,092,044             1,577,756             754,082                  1,656,000             791,478                  950,006                  158,528          20.0% Transfer  Station 283,985                  87,871                     269,912                  67,963                     238,050                  59,941                     74,244                     14,304             23.9% TV Cable 1,263,743             310,738                  1,296,744             439,031                  1,366,200             462,547                  432,285                  (30,261)            ‐6.5% Telephone 1,037,873             332,183                  1,038,009             346,118                  1,000,000             333,444                  329,404                  (4,040)                ‐1.2% Cellular Phone 2,027,473             633,282                  2,206,637             750,775                  2,202,000             749,197                  711,036                  (38,162)            ‐5.1% City Utilities 2,871,599             906,377                  2,853,884             914,373                  3,477,600             1,114,210             1,128,654             14,444             1.3% Leasehold Excise  Tax 146,002                  28,626                     138,830                  36,976                     145,000                  38,619                     36,189                     (2,431)                ‐6.3% Gambling Excise  Tax 2,141,720             747,698                  1,546,386             532,483                  1,600,000             550,944                  551,756                  811                     0.1% Real Estate Excise  Tax 2,418,456             624,839                  2,464,489             769,455                  2,240,000             699,681                  514,275                  (185,406)         ‐26.5% Less: Municipal  Facilities CIP REET (1,000,000)            (281,557)                (400,000)                (127,787)                (400,000)                (127,787)                (91,835)                   35,952              ‐28.1% EMS Levy 1,170,657              ‐                              1,161,114              ‐                              950,921                   ‐                              51,467                     51,467             100.0% Business  License Fees 424,413                  191,408                  431,782                  195,045                  463,067                  209,177                  195,003                  (14,175)             ‐6.8% Other Licenses and Permits 176,851                  51,973                     262,629                  83,563                     210,255                  66,898                     57,805                     (9,094)                ‐13.6% Building Permits & Development Svc Fees 2,361,037             781,435                  2,437,270             839,812                  2,706,044             951,552                  730,608                  (220,944)         ‐23.2% Intergovt'l (Grants, State Shared, etc) 3,820,932             1,080,691             4,426,676             1,572,167             3,623,386             1,153,636             1,269,625             115,989          10.1% Fire District 25 and 40 Contracts 5,869,198             8,109                        5,252,877             19,525                     5,928,462             875,762                  875,762                  ‐                      0.0% Public Safety 521,484                  168,313                  482,343                  148,438                  426,081                  131,124                  142,506                  11,382             8.7% Culture and Recreation 1,631,486             361,214                  1,424,932             379,140                  1,628,486             433,301                  397,684                  (35,617)            ‐8.2% Interfund/Interdept‐Services 3,225,745             1,063,659             3,190,908             1,114,110             3,314,653             1,157,315             955,923                  (201,392)         ‐17.4% Fines  and Forfeits 1,349,034             404,075                  1,291,817             337,093                  1,088,750             280,667                  333,659                  52,992             18.9% Photo Enforcement 2,368,131             836,533                  1,925,159             657,615                  1,900,908             649,331                  705,422                  56,091             8.6% Seizure Funds  ‐ Federal/State/Local 99,844                     27,157                     221,046                  46,627                     180,693                  38,115                     ‐                              (38,115)             ‐100.0% Interests and Other  Earnings 535,314                  140,655                  327,558                  101,308                  477,730                  147,754                  65,937                     (81,817)             ‐55.4% Rents, Leases, and Concessions 677,960                  286,618                  727,338                  298,827                  698,929                  287,155                  264,766                  (22,389)            ‐7.8% Contributions  and Donations 150,406                  38,170                     133,756                  35,704                     146,800                  39,186                     49,818                     10,631             27.1% Other Miscellaneous 355,086                  89,858                     290,239                  97,138                     352,218                  121,087                  83,910                     (37,177)             ‐30.7% Refunding Debt and Premiums ‐                              ‐                              6,613,484             ‐                              ‐                              ‐                              ‐                              ‐                      0.0% Other Financing Sources  (Transfer‐In, etc) 578,206                  191                            653,595                  245                            529,056                  167,151                  167,151                  ‐                      0.0% Total  Operating Revenues 97,342,052          28,872,963          103,367,918       27,747,760          98,647,849          28,840,031          30,062,704          1,222,673      4.2% OPERATING EXPENDITURES Legislative 247,225                  83,121                     259,345                  87,679                     277,834                  93,677                     89,659                     4,018                4.3% Executive 1,499,747             480,448                  1,578,526             539,712                  1,484,762             492,060                  480,072                  11,988             2.4% City Clerk 646,581                  280,858                  789,209                  229,025                  790,484                  280,719                  315,627                  (34,907)             ‐12.4% Hearing Examiner 171,911                  58,214                     174,447                  58,097                     171,929                  57,736                     25,472                     32,264             55.9% City Attorney 1,248,380             419,401                  1,565,597             532,980                  1,600,531             541,694                  528,480                  13,214             2.4% Court Services 1,819,731             618,039                  2,007,599             664,092                  2,148,421             719,707                  661,478                  58,229             8.1% Community and Eco  Dvlpmnt Admin 265,269                  92,477                     579,396                  194,735                  929,263                  315,978                  310,112                  5,866                1.9% Development Services 3,615,129             1,260,781             2,946,413             1,009,764             3,164,064             1,094,888             953,343                  141,545          12.9% Economic Development 1,244,175             403,496                  1,322,004             409,322                  745,313                  236,072                  234,834                  1,238                0.5% Planning 1,525,460             433,665                  1,774,508             504,760                  1,545,279             439,437                  475,330                  (35,893)            ‐8.2% Finance 1,969,936             750,795                  2,214,458             591,163                  2,101,797             674,058                  620,994                  53,063             7.9% Human Resources 853,063                  275,996                  861,221                  283,314                  977,884                  319,048                  282,721                  36,328             11.4% Police 22,515,895          7,356,917             23,946,386          7,955,883             23,988,409          7,905,976             8,219,907             (313,930)          ‐4.0% Jail Services 3,317,861             1,004,952             3,539,035             999,808                  7,043,820             2,059,411             749,488                  1,309,923      63.6% Fire 20,378,891          7,445,325             21,554,792          7,607,800             22,045,916          7,913,923             7,652,583             261,341          3.3% Community Services  Admin 1 4,459,381             1,514,644             1,063,011             351,426                  412,476                  139,380                  136,129                  3,251                2.3% Parks 3,894,745             1,090,363             3,421,424             989,504                  3,928,721             1,116,871             1,109,451             7,420                0.7% Parks  Planning & Natural  Resources ‐                               ‐                              448,574                  114,194                  582,186                  194,062                  150,610                  43,452             22.4% Recreation 4,374,668             1,102,321             4,433,420             1,191,976             5,178,448             1,348,862             1,408,767             (59,905)             ‐4.4% Human Services 1,194,142             339,254                  1,326,778             383,074                  1,363,272             390,623                  369,358                  21,265             5.4% Neighborhoods, Resources, & Events 348,185                  84,443                     331,222                  86,610                     688,984                  173,464                  157,589                  15,875             9.2% Library 2,321,878             666,791                  2,289,692             505,911                  2,030,000             10,119                     10,119                     ‐                      0.0% Museum 140,801                  48,122                     191,090                  62,643                     208,407                  69,554                     69,499                     55                        0.1% Public Works  Admin 1 942,026                  322,225                  514,858                  172,378                  454,179                  154,191                  149,219                  4,972                3.2% Street Maintenance 3,794,716             1,274,564             3,412,892             1,095,310             3,693,925             1,214,569             1,168,482             46,087             3.8% Transportation 5,110,639             1,696,495             5,215,309             1,640,081             4,606,639             1,488,522             1,429,170             59,352             4.0% Debt Service 4,176,822              ‐                              11,320,584          126,471                  4,715,035             390,380                  390,380                   ‐                      0.0% Non‐Departmental and Other 5,126,072             1,918,218             4,834,296             1,429,727             3,820,946             2,214,722             2,214,722              ‐                      0.0% Total  Operating Expenditures 97,203,328          31,021,923          103,916,084       29,817,438          100,698,925       32,049,704          30,363,594          1,686,111      5.3% Total  Ending Fund Balance 11,955,285$       9,667,601$          11,407,119$       9,885,607$          9,356,043$          8,197,446$          11,106,230$       2,908,784      35.5% 1Facilities was  included in Community Services  Admin  and Technical Services  was  included in Public Works  Admin in 2009 Favorable (Unfavorable) 2009 2010 2011 Variance Annual Actual YTD Actual Annual Budget YTD Budget YTD ActualSummary of Sources and Uses Annual Actual YTD Actual Monthly Financial Report April 2011 Page 1 of 36 Monthly Financial Report April 2011        OVERVIEW  This financial overview reflects the City’s overall financial position for the fiscal year through April 30, 2011.  Except as  noted, year‐to‐date budgeted revenues and operating expenditures are generally based on the collection/disbursement  patterns for the same period of the preceding year.  The table on the previous page summarizes the general governmental  fund revenues and expenditures.    Revenues    Taxes   The combined collection of property, sales/use, utility, gambling, admissions, and real estate excise taxes represents 77% of  all resources supporting general governmental activities.   The following section provides detail information on property,  sales, utility, and other taxes.    Property Tax  April’s collection is $7.6 million,  making the total year‐to‐date  collection $9.2 million or 29% of  the total budget.  In comparison  to the previous year, the City  collected $1.5 million or 20%  more.  Compared to the budget,  the City is above projections by  $1.4 million or 18%.  The City is  projecting property taxes to meet  the 2011 budget at year‐end.  The  April variance is due to the timing  of collections.  The City expects  May’s collection to be under the  budget by roughly the same  amount.        Sales Tax  April 2011 sales tax receipts totaled  $1.3 million.  Compared to the same  month last year, it is $206k or 14%  less.  Compared to the projected  current month’s budget, it is below  projections by $56k or 4%.  The year‐ to‐date collection is $5.9 million or  33% of the sales tax budget, which is  $107k or 2% more than the prior  year and also $214k or 4% higher  than the budget.  Based on the year‐ to‐date collection, the City projected  sales tax revenues to be $18 million  by the end of 2011.    2010 2011 2011 Actual Budget Actual $ % $ % Jan 218,705$         222,520$         505,501$         286,797$      131% 282,981$      127% Feb 270,809            275,532            336,193            65,385            24% 60,661            22% Mar 547,632            557,184            745,285            197,653         36% 188,101         34% Apr 6,660,829        6,777,012        7,618,492        957,664         14% 841,480         12% May 8,736,691        8,889,083         Jun 114,982            116,988             Jul 87,952               89,486                Aug 149,160            151,761             Sep 491,642            500,217             Oct 7,060,074        7,183,221         Nov 7,288,083        7,029,490         Dec (129,429)           254,031             YTD  Total 7,697,974$     7,832,248$     9,205,472$     1,507,498$  20% 1,373,224$  18% Annual Total 31,497,128$  32,046,525$   Property Tax Revenues Year to Date through April 2011 vs. 2010 2011 vs. Budget Month 2010 2011 2011 Actual Budget Actual $ % $ % Jan 1,289,364$     1,368,563$     1,339,658$     50,295$      4% (28,905)$          ‐2% Feb 1,728,588        1,694,761        1,982,269        253,682      15% 287,508           17% Mar 1,289,589        1,287,665        1,299,237        9,648            1% 11,571              1% Apr 1,461,123        1,310,854        1,254,867        (206,257)      ‐14% (55,988)             ‐4% May 1,499,335        1,507,510         ‐                         Jun 1,382,049        1,417,926        ‐                         Jul 1,309,429        1,473,254        ‐                         Aug 1,470,881        1,609,937        ‐                         Sep 1,408,876        1,477,231        ‐                         Oct 1,447,338        1,529,414        ‐                         Nov 1,508,617        1,569,580        ‐                         Dec 1,403,032        1,512,904        ‐                         YTD  Total 5,768,664$     5,661,844$     5,876,031$     107,367$   2% 214,187$        4% Annual Total 17,198,220$  17,759,600$   2011 vs. Budget2011 vs. 2010 Month Year to Date through April Local Retail Sales  Tax Revenues Page 2 of 36 Monthly Financial Report April 2011      The following table breaks out the City’s base sales tax (excluding Criminal Justice and Annexation Credit) by major business  sectors:  Sales  Tax by Sector 2010 2011 Bgt YTD Act Change 2011/2010 2011 Act  vs  Bgt New Construction 816,024$         549,342$         447,248$         (368,776)$      ‐45%$      (102,094)‐19% Auto  Sales 934,047            1,041,306        1,026,985        92,937             10%            (14,321)‐1% General Retail 2,027,487        2,086,313        2,048,966        21,478             1%            (37,347)‐2% Manufacturing 268,050            257,722            500,880            232,830          87%           243,158 94% Wholesale 285,273            354,624            379,099            93,826             33%              24,474 7% Service 1,223,431        1,182,976        1,316,276        92,846             8%           133,300 11% Other 214,352            189,560            156,578            (57,773)            ‐27%            (32,982)‐17% Total 5,768,664$     5,661,844$     5,876,031$     107,367$       2%214,187$        4% Note: Excludes Annexation Credit and Criminal Justice Sales  Tax revenue.      Utility tax  April utility tax revenues are $1.4  million, which is $111k or 9% higher  than the same month last year and also  ahead of the budget by $49k or 4%.   The year‐to‐date collection is $5.7  million, which is $469k or 9% higher  than the prior year and is also $242k or  4% higher than the budget.  Based on  collections so far the City is projecting  utility taxes to meet the 2011 budget at  the end of the year.    The table below breaks out Utility Tax  by source:          Utility Tax by Type 2010 2011 Bgt YTD  Act Change  2011/2010  2011 Act  vs  Bgt  Electrical 1,822,135$     1,797,207$     1,928,010$     105,875$       6%$        130,803 7% Natural Gas 853,309            903,835            1,059,223        205,914          24%           155,388 17% Cell 750,775            749,197            711,036            (39,740)            ‐5%            (38,162)‐5% Phone 346,118            333,444            329,404            (16,714)            ‐5%               (4,040)‐1% Cable 439,031            462,547            432,285            (6,746)               ‐2%            (30,261)‐7% Transfer Station 67,963               59,941               74,244               6,281                9%              14,304 24% City Utilities 914,373            1,114,210        1,128,654        214,280          23%              14,444 1% YTD  Total 5,193,705$     5,420,381$     5,662,856$     469,151$       9%242,476$        4% Annual  Total 14,508,363$  15,166,600$   YTD  as % of 36% 36%      2010 2011 2011 Actual Budget Actual $ % $ % Jan 1,392,232$     1,449,257$      1,363,023$     (29,209)$      ‐2% (86,234)$    ‐6% Feb 1,245,631        1,302,522         1,448,275        202,644      16% 145,753     11% Mar 1,295,732        1,346,959         1,480,840        185,108      14% 133,881     10% Apr 1,260,110        1,321,643         1,370,718        110,608      9% 49,075        4% May 1,231,700        1,281,842          Jun 1,165,188        1,221,180          Jul 1,140,413        1,193,031          Aug 1,131,693        1,190,578          Sep 1,082,231        1,136,760          Oct 1,138,457        1,193,046          Nov 1,112,608        1,157,583          Dec 1,312,366        1,372,199          YTD  Total 5,193,705$     5,420,381$      5,662,856$     469,151$   9% 242,476$  4% Annual Total 14,508,363$  15,166,600$    2011 vs. Budget2011 vs. 2010 Year to Date through April Utility Tax Revenues Month Page 3 of 36 Monthly Financial Report April 2011      Other Taxes     Real Estate Excise Tax  The City collected $111k in Real Estate  Excise Tax revenues (REET) in April.  This  is $145k or 57% below the current  month’s budget and $171k or 61%  behind the same month last year.  The  year‐to‐date collection is $514k or 23%  of the total budget, which is $255k or  33% less than the prior year and is also  $185k or 26% below the budget.  Based  on the collections so far, the City is  projecting REET to be under the 2011  budget by year‐end.            Gambling Tax  April’s Gambling Tax collections  total $162k.  Year‐to‐date total of  $552k is $19k or 4% above the  year before and is also $812  above budget.      The lower tax collection is due to  cross‐the‐board reduction in  gambling activities.  Pull tabs  overall decreased by 1%, bingo  reduced by 35%, and card‐rooms  are seeing 3% higher in activities  when compared to the prior year.              Franchise Fees  Franchise Fees are due quarterly  and the year‐to‐date revenue  collections are $600k.  This is $12k  or 2% below the projected year‐ to‐date budget and $5k or 1%  higher than 2010.        2010 2011 2011 Actual Budget Actual $ % $ % Jan 71,303$         64,842$         161,911$      90,608$      127% 97,069$      150% Feb 107,242         97,524            99,677            (7,565)            ‐7% 2,153            2% Mar 309,164         281,121         141,700         (167,464)      ‐54% (139,421)      ‐50% Apr 281,746         256,194         110,987         (170,759)      ‐61% (145,207)      ‐57% May 216,814         197,233          Jun 191,741         174,436          Jul 149,706         136,195          Aug 209,369         190,471          Sep 123,054         111,936          Oct 183,333         176,560          Nov 203,091         184,761          Dec 417,925         368,726          YTD  Total 769,455$      699,681$      514,275$      (255,180)$   ‐33% (185,406)$   ‐26% Annual Total 2,464,489$  2,240,000$   Real Estate Excise  Tax Revenues Year to Date through April Month 2011 vs. Budget2011 vs. 2010 2010 2011 2011 Actual Budget Actual $ % $ % Jan 135,608$      140,310$      118,304$      (17,304)$      ‐13% (22,005)$      ‐16% Feb 137,736         142,512         135,926         (1,811)            ‐1% (6,586)            ‐5% Mar 63,054            134,061         135,067         72,013         114% 1,006            1% Apr 196,085         134,062         162,459         (33,626)         ‐17% 28,397         21% May 133,979         138,624          ‐                      Jun 142,790         147,741         ‐                      Jul 125,614         129,969         ‐                      Aug 138,563         143,368         ‐                      Sep 105,323         108,974         ‐                      Oct 126,396         130,779         ‐                      Nov 121,757         125,978         ‐                      Dec 119,481         123,624         ‐                      YTD  Total 532,483$      550,944$      551,756$      19,273$      4% 812$              0% Annual Total 1,546,386$  1,600,000$   2011 vs. 2010 2011 vs. Budget Gambling Tax Revenue Month Year to Date through April 2010 2011 2011 Actual Budget Actual $ % $ % Jan 320,478$      330,324$      305,646$      (14,833)$     ‐5% (24,678)$     ‐7% Apr 274,268         282,694         294,560         20,293         7% 11,867         4% Jul 286,523         295,326         ‐                      Aug 6,691               6,896               ‐                      Oct 289,316         298,204         ‐                      Dec 45,169            46,556            ‐                      YTD  Total 594,746$      613,018$      600,206$      5,460$         1% (12,811)$     ‐2% Annual Total 1,222,444$  1,260,000$   Franchise  Fees Revenue Year to Date through April Month 2011 vs. 2010 2011 vs. Budget Page 4 of 36 Monthly Financial Report April 2011      Admission Tax   Admission Tax returns are due  quarterly in January, April, July,  and October each year.  April  2011 collections represent  activities conducted during the 1st  quarter of 2011.      The report shows a decrease of  $7k or 5% from the year before  and also a $1k or 1% less than  anticipated.       Building Permits and Development Service Fees  Building Permits and Development  Service Fee revenues totaled $191k in  April.  The revenue swing between the  high in January 2010 and the low in  February 2010 is primarily attributable  to the rush of getting permits completed  prior to the new school impact fees  taking effect.  The year‐to‐date  development fees revenue of $731k is  $221k or 23% less than the budget and is  also $109k or 13% lower than 2010.                  Business Licenses totaled $84k for April, which is  $6k or 8% above the same month last year and  is also $317 above the current month’s budget.   The year‐to‐date Business Licenses revenue is  under the budget by $14k or 7% and is also $42  below last year.        2010 2011 2011 Actual Budget Actual $ % $ % Jan 74,777$         71,852$         70,405$         (4,372)$         ‐6% (1,447)$         ‐2% Feb 459                    441                    477                    18                    4% 35                    8% Apr 66,119            63,533            63,582            (2,538)            ‐4% 49                    0% Jul 76,024            73,050             ‐                      Aug 485                    466                    ‐                      Oct 73,073            70,215            ‐                      Nov 462                    444                    ‐                      YTD Total 141,355$      135,826$      134,463$      (6,892)$        ‐5% (1,363)$        ‐1% Annual Total 291,399$      280,000$       Month 2011 vs. 2010 2011 vs. Budget Admission Tax Revenue Year to Date through April 2010 2011 2011 Actual Budget Actual $ % $ % Jan 77,955$     83,603$     84,109$     6,154$   8% 506$           1% Feb 33,440        35,863        23,153        (10,287)   ‐31% (12,710)      ‐35% Mar 5,687           6,099           3,811           (1,875)      ‐33% (2,287)         ‐38% Apr 77,964        83,612        83,930        5,966      8% 317              0% May 21,558        23,120         ‐                  Jun 4,709           5,051           ‐                  Jul 83,201        89,230        ‐                  Aug 14,782        15,853        ‐                  Sep 4,475           4,799           ‐                  Oct 83,639        89,699        ‐                  Nov 22,288        23,903        ‐                  Dec 2,084           2,235           ‐                  YTD  Total 195,045$  209,177$  195,003$  (42)$         0% (14,175)$   ‐7% Annual Total 431,782$  463,067$   2011 vs. 2010 Year  to Date through April 2011 vs. Budget Business Licenses Month 2010 2011 2011 Actual Budget Actual $ % $ % Jan 394,165$      454,717$      132,621$      (261,545)$   ‐66% (322,096)$   ‐71% Feb 93,037            100,788         141,672         48,634         52% 40,884         41% Mar 172,096         188,567         265,782         93,686         54% 77,215         41% Apr 180,514         207,481         190,534         10,020         6% (16,946)         ‐8% May 221,843         238,569          Jun 210,810         240,300          Jul 319,462         336,067          Aug 167,001         194,145          Sep 158,882         183,653          Oct 223,901         232,210          Nov 125,748         143,854          Dec 169,811         185,693          YTD  Total 839,812$      951,552$      730,608$      (109,204)$   ‐13% (220,944)$   ‐23% Annual Total 2,437,270$  2,706,044$   Building Permits and Development Service Fees Year to Date through April 2011 vs. Budget2011 vs. 2010 Month Page 5 of 36 Monthly Financial Report April 2011      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 $2.7 million or 24% of the  budget.  All grant revenues also have corresponding expenditures which was added to the City’s budget through the 2011  carry forward budget adjustment.    State Shared Revenue  collections totaled $1.4  million since the start of  2011.  Compared to the  projected budget, State  Shared Revenues are above  by $173k or 14%.  Compared  to the prior year, the City is  collecting $112k or 9% more.   The actual collection that  lags budget is primarily due  to the reduced criminal  justice sales tax (King County  countywide sales tax  decrease).  The City is projecting State Shared Revenues to meet the 2011 budget by the end of the year.      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 76% of the total revenue in this category.  The year‐to‐date total charges for services are $1.8 million or 28% of  the budget.  This is 11% below budget projections.  The following sections provide detail information for Public Safety,  Recreation, and Interfund Services.    Public Safety Services  Public Safety Services totaled $143k since  the start of the year.  These services include  private security, adult probation services,  and housing/monitoring of prisoners.   Compared to the budget, the City is  collecting $11k or 9% more than anticipated  revenue.   Compared to the prior year, the  City is collecting $6k or 4% less.  The City is  projecting Public Safety Service revenues to  meet the 2011 projected budget by year‐ end.       2010 2011 2011 Actual Budget Actual $ % $ % Jan 35,994$     31,795$         18,824$      (17,169)$    ‐48% (12,971)$    ‐41% Feb 29,971        26,475            40,902         10,931        36% 14,427        54% Mar 34,786        30,728            30,346         (4,440)          ‐13% (382)               ‐1% Apr 47,687        42,125            52,434         4,746           10% 10,309        24% May 36,393        32,148             ‐                   Jun 27,093        23,933             ‐                   Jul 57,010        50,360             ‐                   Aug 34,206        30,217             ‐                   Sep 42,316        37,380             ‐                   Oct 39,487        34,881            ‐                   Nov 24,065        21,258            ‐                   Dec 73,334        64,780            ‐                   YTD  Total 148,438$  131,124$      142,506$   (5,932)$       ‐4% 11,382$     9% Annual Total 482,343$  426,081$       Month 2011 vs. 2010 Year to Date through April Public Safety Services 2011 vs. Budget Intergovernmental 2010 2011 Bgt YTD  Act Change 2011/2010 2011 Act  vs  Bgt  Fire  District #25 ‐$                           597,476$         597,476$         597,476$       100% $                          ‐ 0% Fire  District #40 19,525               278,286            278,286            258,761          1325%‐                            0% State  Shared Revenue 1,294,108        1,233,631        1,406,276        112,169          9% 172,645          14% Federal  Grants 497,543            158,327            158,327            (339,216)        ‐68%‐                            0% State  Grants 117,354            58,771               58,771               (58,584)            ‐50%‐                            0% Other Grants/Intgovt 82,974               82,836               82,836               (138)                   0%‐                            0% ARRA Grants 116,903            125,916            125,916            9,013                8%‐                            0% Total  Rev YTD 2,128,407$     2,535,242$     2,707,888$     579,481$       27%172,645$        7% Total  Rev Annual 11,300,032$  11,355,853$   YTD  %19% 22% 24% Note:  Includes CJ Sales  Tax. 2010 2011 2011 Actual Budget Actual $ % $ % Crim Just Sales  Tax 536,715$           597,500$      562,500$      25,786$     5% (34,999)$      ‐6% Judicial Contribution 17,229                 7,253               11,234            (5,995)$      ‐35% 3,981            55% Crim Just ‐ High Crime ‐                          ‐                     96,385            96,385        100% 96,385         100% Crim Just ‐ Pop 9,223                    ‐                     9,840               617               7% 9,840            100% Crim Just ‐ Spec Prog 35,060                 32,997            37,165            2,105           6% 4,168            13% State  DUI 7,871                    7,475               8,013               142               2% 538                 7% Liquor Profits 195,587              115,672         168,155         (27,432)      ‐14% 52,483         45% Liquor Excise  Tax 213,880              213,953         220,756         6,876           3% 6,803            3% Fuel Tax 278,543              258,781         292,227         13,684        5% 33,446         13% YTD  Total 1,294,108$      1,233,631$  1,406,276$  112,169$  9% 172,645$   14% Annual Total 4,189,298$      3,874,444$   2011 vs. Budget State  Shared Revenues 2011 vs. 2010 Revenue Year  to Date through April Page 6 of 36 Monthly Financial Report April 2011      Recreation  Recreation revenues totaled $154k for  the current month.  Compared to the  projected monthly budget, the City  collected $21k or 12% less.  Compared to  the same month the prior year, the City  collected $1k or 1% more.  The year‐to‐ date collection of $398k is $19k or 5%  more than the prior year but $36k or 8%  less than the budget.  The City is  projecting Recreation revenues to be  slightly under the 2011 budget by year‐ end.            Interfund Services  The year‐to‐date collections for Interfund  Services revenues are $956k.  Compared  to the projected budget, the revenues are  below by $201k or 17%.  Compared to  the prior year, the revenues are under by  $158k or 14%.  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, Transportation  division’s capital investment program  reimbursements, and Maintenance  division’s street maintenance  reimbursements.  The reason for high  amount in April 2010 and April 2011  budget is because of a correct that was done in April 2010.  The correction caught up amounts that were missed for January  through March of 2010.  The 2011 monthly budget is skewed since it is based on 2010 activity.     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 on the following  page breaks down these fines by type.   The year‐to‐date total fines and  penalties is $1 million.  This is $11k or  1% lower than a year ago, but is $62k  or 6% above the budget.  This  difference also includes $38k lower  than budgeted Seizure Funds received  this year.  The use of Seizure Funds is  restricted to drug enforcement only  and not available for general operating  purposes.  2010 2011 2011 Actual Budget Actual $ % $ % Jan 62,673$         71,626$         61,933$         (740)$             ‐1% (9,693)$         ‐14% Feb 64,915            74,189            82,497            17,582         27% 8,309            11% Mar 99,100            113,257         99,537            437                 0% (13,720)         ‐12% Apr 152,452         174,230         153,717         1,265            1% (20,513)         ‐12% May 83,760            95,725            ‐                      Jun 193,082         220,664         ‐                      Jul 280,956         321,091         ‐                      Aug 181,356         207,263         ‐                      Sep 111,952         127,945         ‐                      Oct 77,544            88,621            ‐                      Nov 51,672            59,054            ‐                      Dec 65,469            74,822            ‐                      YTD  Total 379,140$      433,301$      397,684$      18,544$      5% (35,617)$      ‐8% Annual Total 1,424,932$  1,628,486$   Recreation Year to Date through April 2011 vs. Budget2011 vs. 2010 Month 2010 2011 2011 Actual Budget Actual $ % $ % Jan 242,658$      252,068$      190,881$      (51,777)$      ‐21% (61,187)$      ‐24% Feb 273,674         284,288         282,743         9,068            3% (1,545)            ‐1% Mar 249,758         259,444         251,144         1,386            1% (8,300)            ‐3% Apr 348,019         361,516         231,156         (116,864)      ‐34% (130,360)      ‐36% May 269,154         279,591         ‐                      Jun 275,850         286,548         ‐                      Jul 263,285         273,495         ‐                      Aug 248,584         258,224         ‐                      Sep 238,713         247,970         ‐                      Oct 241,403         250,765         ‐                      Nov 255,986         265,913         ‐                      Dec 283,824         294,831         ‐                      YTD  Total 1,114,110$  1,157,315$  955,923$      (158,186)$   ‐14% (201,392)$   ‐17% Annual Total 3,190,908$  3,314,653$   Interfund Services Year to Date through April 2011 vs. 2010 2011 vs. Budget Month 2010 2011 2011 Actual Budget Actual $ % $ % Jan 239,080$      223,938$      165,721$      (73,360)$      ‐31% (58,218)$      ‐26% Feb 228,332         210,821         261,655         33,322         15% 50,833         24% Mar 279,311         259,871         313,067         33,756         12% 53,196         20% Apr 294,612         273,484         289,767         (4,845)            ‐2% 16,283         6% May 276,543         257,620          Jun 373,623         347,746          Jul 256,225         239,290          Aug 319,267         286,019          Sep 231,632         208,702          Oct 267,539         247,930          Nov 314,160         297,164          Dec 352,044         317,767          YTD  Total 1,041,335$  968,114$      1,030,208$  (11,127)$     ‐1% 62,095$      6% Annual Total 3,432,368$  3,170,351$   2011 vs. Budget2011 vs. 2010 Year to Date through April Fines  and Penalties by Month Month Page 7 of 36 Monthly Financial Report April 2011      Year  to Date through April 2010 2011 2011 Actual Budget Actual $ % $ % Civil Penalties 4,119$            3,803$            3,990$            (129)$             ‐3% 187$              5% Civil Infraction Penalties 212,895         192,430         211,474         (1,420)            ‐1% 19,045         10% Civil Parking Infraction Penalties 42,536            43,778            32,843            (9,693)            ‐23% (10,934)         ‐25% Photo Enforcement Program 657,615         649,331         705,422         47,807         7% 56,091         9% Criminal Traffic  Misdemeanor Fines 26,960            24,661            30,936            3,976            15% 6,275            25% Criminal Non‐Traffic  Fines 10,875            11,081            9,214               (1,661)            ‐15% (1,867)            ‐17% Criminal Costs 28,871            3,026               36,288            7,417            26% 33,262         1099% Seizure  Funds ‐ Federal/State/Local 46,627            38,115            ‐                     (46,627)        0% (38,115)        0% Non‐Court Fines, Forfeitures  and Penalties 10,836            1,888               40                       (10,796)         ‐100% (1,848)            ‐98% YTD  Total 1,041,335$  968,114$      1,030,208$  (11,127)$     ‐1% 62,095$      6% Annual Total 3,432,368$  3,170,351$   Revenue 2011 vs. Budget Fines  and Penalties by Type 2011 vs. 2010       Included in the Fines and Penalties revenue budget  is $1.9 million from the Photo Enforcement  program.  The budget was based on the prior year’s  revenue.  The year‐to‐date collections from this  program equates to $705k.  The associated costs  includes the equipment provided by American  Traffic Solutions Inc (ATS), we are also dedicating 2  FTEs in the Court Division to process the increased  caseload and 1.1 FTEs in the Police Department for  support services.  These staff’s 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.            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 86% of the total revenue in  this category.  The year‐to‐date total  miscellaneous is $387k.  Compared to the  projected year‐to‐date budget, the  revenues are under by $141k or 27%.   Compared to last year, the revenues are  under by $85k or 18%.  The table on the  next page breaks out Miscellaneous  revenues by type:    2010 2011 2011 Actual Budget Actual $ % $ % Jan 170,998$      181,164$      143,105$      (27,892)$     ‐16% (38,058)$      ‐21% Feb 86,124            99,440            70,237            (15,887)        ‐18% (29,203)         ‐29% Mar 115,122         132,824         99,131            (15,990)        ‐14% (33,692)         ‐25% Apr 99,376            114,159         74,048            (25,327)        ‐25% (40,110)         ‐35% May 101,909         116,069          Jun 148,339         173,389          Jul 158,134         177,832          Aug 93,081            107,144          Sep 110,810         124,170          Oct 73,018            86,617             Nov 56,175            67,061             Dec 56,503            64,592             YTD  Total 471,619$      527,586$      386,523$      (85,097)$     ‐18% (141,064)$   ‐27% Annual Total 1,269,588$  1,444,459$   Year to Date through April Month 2011 vs. Budget2011 vs. 2010 Miscellaneous Revenues by Month Favorable Budget Actual Budget Actual (Unfavorable) 1 Jan 184,922$      165,696$      76,201$        67,883$      97,812$            Feb 133,857         163,932         76,693           67,885         96,048               Mar 170,080         198,197         76,201           67,852         130,345            Apr 160,472         177,597         53,048           67,991         109,606            May 154,236          ‐                     71,882            ‐                  ‐                        Jun 215,118         ‐                     71,871           ‐                  ‐                        Jul 144,584         ‐                     72,275           ‐                  ‐                        Aug 126,504         ‐                     56,688           ‐                  ‐                        Sep 90,979            ‐                     71,527           ‐                  ‐                        Oct 158,357         ‐                     71,420           ‐                  ‐                        Nov 208,633         ‐                     71,884           ‐                  ‐                        Dec 153,166         ‐                     72,273           ‐                  ‐                        YTD  Total 649,331$      705,422$      282,143$     271,611$   433,811$         Annual Total 1,900,908$  841,964$      1 Actuals  of Revenues and Expenses Revenues Expenses Photo Enforcement Program Year to Date through April Month Page 8 of 36 Monthly Financial Report April 2011      2010 2011 2011 Actual Budget Actual $ % $ % Interests  and Other Earnings 101,308$      147,754$      65,937$         (35,371)$      ‐35% (81,817)$      ‐55% Rents, Leases, and Concessions 298,827         287,155         264,766         (34,060)         ‐11% (22,389)         ‐8% Contributions/Donations  from  Private Sources 35,704            39,186            49,818            14,113         40% 10,631         27% Other 35,780            53,491            6,002               (29,778)         ‐83% (47,490)         ‐89% YTD  Total 471,619$      527,586$      386,523$      (85,097)$      ‐18% (141,064)$   ‐27% Annual Total 1,269,588$  1,444,459$   2011 vs. Budget Miscellaneous Revenues by Type Year to Date through April Revenue 2011 vs. 2010     Rents, Leases, and Concessions are lower than the prior year due to receiving fewer revenues for the Carco Theater, Coulon  boat launches, and Coulon food concessions.  Other revenues are lower than the prior year because this type of revenue  stream is one‐time types (unclaimed property, miscellaneous reimbursements for accidents, sale of scrap, etc.), which we  would expect to fluctuate.    EXPENSES  Overall the City has expended 30% of its budgeted general governmental expenditures at the end of April.  This is $1.7  million or 5.3% below year‐to‐date budgeted expenditures.  While some of these savings would be realized at the end of  the year, others are due to the timing of the payments.  Below are the explanations for expenditure variances.    The City Clerk’s office of Executive Department appears to be over budget by $35k or 12.4%.  This is due to the timing of  voter registration payments.  In 2009 the payment was made in April but in 2010 the payment was made in May.  The 2011  year to date budget will correct itself in May.    The Planning division of Community and Economic Development Department appears to be over budget by $36k or 8.2%.   This is due to the timing of professional services contract payments made in 2009 and 2010 compared to 2011.  Payments  were made later in the year for 2009 and 2010 and therefore would skew the current 2011 year‐to‐date budget.  The year‐ to‐date budget will correct itself by the end of the year.    The Police Department is over budget by $314k or 4%.  The majority of this is due to higher than anticipated salaries and  wages (by $180k) and overtime (by $135k).  Of the $180k overage for salaries and wages (which includes budgeted uniform  allowance), $82k is related to various sick and vacation buy back/pay outs that was not included in the budget.  If we  remove this amount, Police would only be $232k or 2.9% over budget.  We are continuing to review the Police  department’s salaries and wages to determine the reason for the difference.    The Recreation division of Community Services Department is over budget by $60k or 4.4%.  This is due to a prior period  payment ($28k for 2009) for natural gas for the Henry Moses Aquatic Center.  We will monitor their budget to determine if  a budget adjustment is necessary to cover this expense at year‐end.       Page 9 of 36 Monthly Financial Report April 2011      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 Bond/Rate  Stabilization  Funds REVENUES: Licenses  and permits ‐                 ‐             ‐                   ‐               11,675         10,600       ‐               Grants  / intergovernmental 19,569            ‐             113,698           ‐               ‐               41,891       ‐               Charges  for services 36,232            314,345     4,954,058        3,541,847    6,485,661    2,183,589  ‐               Interdepartmental services ‐                 ‐             ‐                   68,397         43,819         125,274     ‐               Fines  and penalties ‐                 ‐             ‐                   ‐               ‐               ‐             ‐               Rents, leases, and misc fees 769,787          58,333       29,770             49,311          ‐               ‐             ‐               Interest and other misc 4,112              649            6,857               162,643       117,215       68,827       20                TOTAL REVENUES 829,700          373,327     5,104,383        3,822,198    6,658,370    2,430,181  20                EXPENSES: Utility billing ‐                 ‐             40,053             58,640         28,715         46,090       ‐               Utility systems ‐                 ‐             4,090,954        937,088       808,950       704,243     ‐               Utility maintenance ‐                 ‐             84,319             1,484,181    4,618,198    534,674     ‐               Transportation 372,734          ‐             ‐                   ‐               ‐               ‐             ‐               Golf ‐                 519,655     ‐                   ‐               ‐               ‐             ‐               TOTAL EXPENSES 372,734          519,655     4,215,326        2,479,909    5,455,863    1,285,007  ‐               AMOUNT AVAILABLE FOR DEBT SERVICE 456,966          (146,328)    889,057           1,342,289    1,202,507    1,145,174  20                DEBT SERVICE: Principal ‐                 7,970         ‐                   ‐               ‐               ‐             ‐               Interest and other debt service costs ‐                 118            ‐                   ‐               ‐               ‐             ‐               TOTAL DEBT SERVICE ‐                 8,088         ‐                   ‐               ‐               ‐             ‐               CAPITAL PROJECTS 107,996          121,226     ‐                   344,361       1,200,304    356,111     ‐               TRANSFERS IN/(OUT)‐                 ‐             ‐                   ‐               ‐               ‐             ‐               CHANGE IN FUND BALANCE 348,970          (275,642)    889,057           997,928       2,203           789,063     20                BEGINNING FUND BALANCE, January 1, 2011 1,361,349       888,604     961,788           6,759,754    1,353,232    3,273,863  15,773         ENDING FUND BALANCE, April  30, 2011 1,710,319       612,962     1,850,845        7,757,682    1,355,435    4,062,926  15,793           Page 10 of 36 Monthly Financial Report April 2011      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 ‐            20,988        ‐             ‐                      ‐              ‐                ‐             Grants  / intergovernmental ‐            ‐              146,334      ‐                      ‐              ‐               37,673        Charges  for services Equipment rental  m&o 718,730     690,408      ‐             ‐                      ‐              ‐                ‐             Telecommunications ‐            126,576      ‐             ‐                      ‐              ‐                ‐             Print and mail ‐            35,551        ‐             130,794               ‐              ‐                ‐             Communications ‐            ‐              ‐             191,891               ‐              ‐                ‐             Facilities ‐            ‐              1,372,324   ‐                      ‐              ‐                ‐             Data  ca rds  and cell  phones ‐            50,042         ‐              ‐                       ‐               ‐                ‐             IT service contracts ‐            104,518      ‐             ‐                      ‐              ‐                ‐             Interest and other misc 7,226         2,808          484             114                      7,555           8,352           5,418          Internal service fund misc: Vehicle  / equipment capital  recovery 372,879     312,921      ‐             ‐                      ‐              ‐                ‐             Insurance premiums ‐            ‐              ‐             ‐                      518,731       ‐                ‐             Worker's  compensation  / unemployment ‐            ‐              ‐             ‐                      440,736       ‐                ‐             Benefit premiums ‐            ‐              ‐             ‐                      ‐              3,427,179    1,479,647   Other misc 846            1,243          4,076          ‐                      3,234           206,415       ‐             Capital  contributions 18,970       ‐              ‐             ‐                      ‐              ‐                ‐             Disposal  of capital  assets 74,955       ‐              ‐             ‐                      ‐              ‐                ‐             Insurance recoveries ‐            ‐              ‐             ‐                      27,924         13,598         793             TOTAL REVENUES 1,193,606  1,345,055   1,523,218   322,799               998,180       3,655,544    1,523,531   EXPENSES: Communications 176,826                Equipment rental 739,437      Facilities 1,370,462    Healthcare 3,042,404     Information technology 983,564       Print and mail 126,457                Retiree  healthcare 243,726      Risk management Risk management 1,179,651     Unemployment 76,962          Worker's  compensation 413,103        TOTAL EXPENSES 739,437     983,564      1,370,462   303,283               1,669,716    3,042,404    243,726      AMOUNT AVAILABLE FOR CAPITAL 454,169     361,491      152,756      19,516                 (671,536)     613,140       1,279,805   CAPITAL PROJECTS 205,516     57,442        104,143      ‐                      ‐              ‐                ‐             TRANSFERS IN ‐            ‐              ‐             ‐                      ‐              ‐                ‐             TRANSFERS (OUT)‐            ‐              ‐             ‐                      ‐              ‐                ‐             CHANGE  IN FUND B ALANCE 248,653     304,049      48,613        19,516                 (671,536)     613,140       1,279,805   BEGINNING FUND BALANCE, January 1, 2011 5,293,107  1,949,165   241,046      70,214                 6,690,024    6,201,894    3,371,037   ENDING FUND BALANCE, April  30, 2011 5,541,760  2,253,214   289,659      89,730                 6,018,488    6,815,034    4,650,842   Page 11 of 36 Monthly Financial Report April 2011      FUND BALANCE  Page 13 shows the ending fund balance as of April 2011.  The City’s fund balance is a combination of current deficit/surplus  of funds which have accrued from unexpended operating budgets and unanticipated excess revenues and from balances  accumulated from prior years.      The prior year’s balances (or beginning balance) includes 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 April, the City has $11.1 million reported in combined general governmental fund balance of the current  year’s operating budget, which is approximately 11% of budgeted operating expenditures.  This is a decrease of $301k from  the beginning balance of January 1, 2011.  April’s ending fund balance is over the anticipated General Governmental Fund  Balance of $8.2 million by $2.9 million.  Although the ending fund balance is above projections, it is consistent with the prior  years’ trends since the City will receipt the first half of 2011 property taxes in April and May.  We expect the fund balance to  decrease but be in line with the projected fund balance after May and continue to decrease until we receive the second half  of 2011 property taxes in October and November.    CONTACT INFORMATION  This report is prepared by the Finance Division of the FIT 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 iwang@rentonwa.gov.  Page 12 of 36 Monthly Financial Report April 2011      City  of Renton All Funds ‐ Revenue, Expenditures and Fund Balances Cash  Basis through April 30, 2011 Funds Balance  01/01/2011 Budgeted  Revenue Revenue  04/30/11 Total Funds  Available Budgeted  Expenditure Expenditure  04/30/11 Ending Balance GENERAL GOVERNMENT FUNDS:11,407,119       98,647,849     30,062,704     41,469,823         100,698,924       30,363,593         11,106,230       000 General 9,477,148         71,881,012     18,776,883     28,254,031         74,195,956         24,238,350         4,015,681         001 Community Services 631,801            10,829,491     4,375,228       5,007,029           10,790,815         2,962,545           2,044,484         003 Street 116,298            8,402,117       3,628,380       3,744,678           8,300,564           2,597,652           1,147,026         004 Community Dev Block Grant (55,231)             501,728          117,332          62,101                370,272              83,492                (21,391)             005 Museum 66,830              195,966          196,011          262,841              208,407              69,499                193,342            006 Library 47,347              2,030,000       39                   47,386                2,030,000           10,119                37,267              009 Farmers  Market 81,630              67,500            27,669            109,299              62,875                9,653                  99,646              010 Fire  Memorial 1,251                ‐                     620                 1,871                  ‐                          ‐                          1,871                011 Fire  Health & Wellness 24,072              25,000            7,777              31,849                25,000                1,903                  29,946              031 Pa rk  Memorial 176,950             ‐                     223                 177,173               ‐                           ‐                          177,173            201 Ltd  GO Bonds  Gen Govt Debt 312,938            1,983,075       1,614,993       1,927,931           1,983,075            ‐                          1,927,931         215 Gen Govt Misc Debt Service 526,085            2,731,960       1,317,549       1,843,634           2,731,960           390,380              1,453,254         SPECIAL REVENUE FUNDS: 102 Arterial  Street 171,720            620,000          292,872          464,592              620,000              ‐                          464,592            108 Leased City Properties 759,594            748,060          180,745          940,339              614,457              169,674              770,665            110 Hotel Motel 212,950            245,000          119,792          332,742              275,000              94,648                238,094            118 Reserve for Paths  & Trails 3,299                 ‐                     4                     3,303                   ‐                           ‐                          3,303                125 1% For Art 136,830            32,000            171                 137,001              68,257                2,000                  135,001            127 Cable  Communication 171,358            85,000            66,123            237,481              221,301              13,781                223,700            135 Springbrook Wetlands Bank 660,524             ‐                     851                 661,375               ‐                           ‐                          661,375            DEBT SERVICE FUNDS: 219 1989 Unlimited GO Bonds ‐                         ‐                      ‐                      ‐                           ‐                           ‐                           ‐                        CAPITAL PROJECT FUNDS (CIP): 303 Community Dev Mitigation 1,343,877         60,000            7,551              1,351,428           400,000               ‐                          1,351,428         304 Fire Mitigation 1,929,477         100,000          23,412            1,952,889           529,056              ‐                          1,952,889         305 Transportation Mitigation 1,119,954         250,000          49,891            1,169,845           999,494              ‐                          1,169,845         316 Municipal Facilities  CIP 5,759,297         13,948,558     107,055          5,866,352           19,281,499         536,109              5,330,243         317 Transportation CIP 3,808,080         24,295,301     2,261,794       6,069,874           28,007,800         3,614,569           2,455,305         318 So Lake  WA Infrastructure  Proj 58,522              ‐                     70                   58,592                58,000                5,241                  53,351              326 Housing Opportunity 163,787            ‐                     169                 163,956              160,000              17,500                146,456            ENTERPRISE FUNDS: 402 Airport 1,295,036         432,010          372,114          1,667,150           1,125,756           372,734              1,294,416         403 Solid Waste Utility 961,788            15,015,942     5,104,384       6,066,172           14,951,710         4,215,325           1,850,847         404 Golf Course 630,924            2,483,545       372,975          1,003,899           2,504,738           575,246              428,653            422 Airport Capital 66,313              3,433,408       457,587          523,900              3,003,521           107,996              415,904            424 Golf Course  Capital 257,680            100,000          33,688            291,368              220,000              107,059              184,309            INTERNAL SERVICE FUNDS: 501 Equipment Repair/Replacement 5,293,107         3,211,401       1,193,605       6,486,712           4,407,337           944,953              5,541,759         502 Insurance 6,690,024         3,178,883       998,180          7,688,204           3,018,564           1,669,716           6,018,488         503 Information Services 1,949,165         4,119,051       1,345,054       3,294,219           5,633,307           1,041,007           2,253,212         504 Facilities 241,046            4,243,673       1,523,218       1,764,264           4,256,261           1,474,605           289,659            505 Communications 70,214              953,941          322,799          393,013              957,746              303,283              89,730              512 Insurance, Healthcare 6,201,894         11,248,058     3,655,544       9,857,438           10,844,696         3,042,404           6,815,034         522 Insurance, Leoff1 Retirees HC 3,371,037         2,935,684       1,523,531       4,894,568           2,261,732           243,726              4,650,842         FIDUCIARY FUNDS: 611 Firemen's  Pension 4,286,248         300,000          1,967              4,288,215           565,475              98,270                4,189,945         Funds Balance  01/01/2011 Budgeted  Revenue Revenue  04/30/11 Total Funds  Available Budgeted  Expenditure Expenditure  04/30/11 Ending Balance ENTERPRISE FUNDS: COMBINED  UTILITIES 11,402,622       46,660,496     12,910,769     24,313,391         50,069,800         11,121,554         13,191,837       405 Water Utility 4,695,116         9,680,689       2,603,260       7,298,376           10,521,313         2,489,560           4,808,816         406 Waste  Water Utility 681,616            4,931,139       1,526,033       2,207,649           5,141,813           1,241,725           965,924            407 Surface Water Utility 1,462,126         5,353,933       1,704,879       3,167,005           5,092,613           1,285,007           1,881,998         416 King  County Metro 671,616            13,156,760     4,129,363       4,800,979           13,156,760         4,214,138           586,841            425 Water Utility Construction 2,064,638         4,997,301       1,218,938       3,283,576           6,067,301           334,709              2,948,867         426 Waste  Water Construction ‐                        3,845,000       1,002,973       1,002,973           3,790,000           1,200,304           (197,331)           427 Surface Water Construction 1,811,737         4,695,674       725,303          2,537,040           6,300,000           356,111              2,180,929         461 Waterworks  Bond Reserve ‐                        ‐                     ‐                     ‐                          ‐                          ‐                          ‐                        471 Waterworks  Ra te  Stabilization 15,773              ‐                     20                   15,793                ‐                          ‐                          15,793              481 Future W/S Bond Proceeds ‐                        ‐                     ‐                     ‐                          ‐                          ‐                          ‐                        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 2011 Budget Year General Government Summary  Revenues Expenditures  $ Difference over (under)  w/beginning  balance  11,407,119             January 5,379,006              6,990,159              (1,611,153)             9,795,966               February 11,050,241            15,756,416            (4,706,175)             6,700,944               March 16,654,842            23,321,083            (6,666,241)             4,740,878               April 30,062,704            30,363,594            (300,889)                11,106,230             May June July August September October November December 2,000,000  3,000,000  4,000,000  5,000,000  6,000,000  7,000,000  8,000,000  9,000,000  60,000,000  70,000,000  80,000,000  90,000,000  100,000,000  Change in Fund  Balance Rev/Exp Revenues Expenditures Change in Fund Balance (9,000,000) (8,000,000) (7,000,000) (6,000,000) (5,000,000) (4,000,000) (3,000,000) (2,000,000) (1,000,000) ‐ 1,000,000  ‐ 10,000,000  20,000,000  30,000,000  40,000,000  50,000,000  Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec Page 14 of 36 City of Renton Monthly Revenue Analysis ‐ 2011 Budget Year General  Government Budget YTD Actual Annual %  over (under) Jan 5,678,529        5,379,006         ‐5.27% Feb 10,865,684      11,050,241      1.70% Mar 16,203,734      16,654,842      2.78% Apr 28,932,937      30,062,704      3.90% May 43,380,811       Jun 50,574,363       Jul 56,510,248       Aug 61,855,766       Sep 66,771,365       Oct 79,357,088       Nov 93,678,956       Dec 98,647,849       Percent of budget 30.47% YTD Annual %  $‐ $10  $20  $30  $40  $50  $60  $70  $80  $90  $100  $110  Millions Total Revenue General Government Budget Actual Last Year $33 Millions Property Tax Property Tax Budget Actual over (under) Jan 222,520           505,501           127.17% Feb 498,052           841,695           69.00% Mar 1,055,236        1,586,980        50.39% Apr 7,832,248        9,205,472        17.53% May 16,721,331       Jun 16,838,319       Jul 16,927,805       Aug 17,079,566       Sep 17,579,783       Oct 24,763,004       Nov 31,792,494       Dec 32,046,525       Percent of budget 28.73% $‐ $3  $6  $9  $12  $15  $18  $21  $24  $27  $30  $33  Budget Actual Last Year Page 15 of 36 City of Renton Monthly Revenue Analysis ‐ 2011 Budget Year Sales Tax Budget YTD Actual Annual %  over (under) Jan 1,528,973        1,498,057         ‐2.02% Feb 3,438,716        3,683,690        7.12% Mar 4,885,730        5,136,541        5.13% Apr 6,370,390        6,539,777        2.66% May 8,061,144         Jun 9,648,275         Jul 11,286,739       Aug 13,079,043       Sep 14,729,086       Oct 16,438,028       Nov 18,193,943       Dec 19,879,280       Percent of budget 32.90% Note:  Excludes CJ Sales Tax and Natural Gas Use Tax. YTD Annual %  $‐ $3  $6  $9  $12  $15  $18  $21  Millions Sales Tax Budget Actual Last Year $16 Millions Utility Tax Utility Tax Budget Actual over (under) Jan 1,449,257        1,363,023         ‐5.95% Feb 2,751,779        2,811,298        2.16% Mar 4,098,738        4,292,138        4.72% Apr 5,420,381        5,662,856        4.47% May 6,702,223         Jun 7,923,403         Jul 9,116,434         Aug 10,307,012       Sep 11,443,772       Oct 12,636,818       Nov 13,794,401       Dec 15,166,600       Percent of budget 37.34% Note:  Includes Natural Gas Use Tax. $0  $2  $4  $6  $8  $10  $12  $14  $16  Budget Actual Last Year Page 16 of 36 City of Renton Monthly Revenue Analysis ‐ 2011 Budget Year Licenses &  Permits Budget YTD Actual Annual %  over (under) Jan 469,355           185,889            ‐60.39% Feb 583,113           322,341            ‐44.72% Mar 741,647           539,342            ‐27.28% Apr 1,010,644        778,404            ‐22.98% May 1,187,535         Jun 1,393,028         Jul 1,693,253         Aug 1,895,469         Sep 2,064,907         Oct 2,302,673         Nov 2,462,856         Dec 2,612,987         Percent of budget 29.79% Note:  Includes Fund 318. YTD Annual % Millions Intergovernmental $‐ $0.30  $0.60  $0.90  $1.20  $1.50  $1.80  $2.10  $2.40  $2.70  Millions Licenses & Permits Budget Actual Last Year Intergovt'l Budget Actual over (under) Jan 560,812           565,843           0.90% Feb 1,138,089        1,079,643         ‐5.14% Mar 1,728,228        1,648,102         ‐4.64% Apr 2,719,803        2,707,888         ‐0.44% May 3,621,929         Jun 6,238,029         Jul 6,642,114         Aug 7,318,854         Sep 7,783,398         Oct 8,419,896         Nov 11,603,262       Dec 11,355,853       Percent of budget 23.85% Note:  Includes CJ Sales Tax. $‐ $1  $2  $3  $4  $5  $6  $7  $8  $9  $10  $11  $12  Millions Budget Actual Last Year Page 17 of 36 City of Renton Monthly Revenue Analysis ‐ 2011 Budget Year Charges for  Services Budget YTD Actual Annual %  over (under) Jan 447,067           323,609            ‐27.62% Feb 884,119           786,123            ‐11.08% Mar 1,363,364        1,257,415         ‐7.77% Apr 2,006,320        1,778,657         ‐11.35% May 2,526,347         Jun 3,132,602         Jul 3,941,618         Aug 4,487,827         Sep 4,949,440         Oct 5,447,614         Nov 5,842,063         Dec 6,366,817         Percent of budget 27.94% Fines & YTD Annual %  $‐ $1  $2  $3  $4  $5  $6  $7  Millions Charges for Services Budget Actual Last Year Millions Fines & Forfeits Forfeits Budget Actual over (under) Jan 223,938           165,721            ‐26.00% Feb 434,759           430,461            ‐0.99% Mar 694,630           746,372           7.45% Apr 968,114           1,039,081        7.33% May 1,225,734         Jun 1,573,479         Jul 1,812,769         Aug 2,098,788         Sep 2,307,490         Oct 2,555,419         Nov 2,852,584         Dec 3,170,351         Percent of budget 32.77% $‐ $0.50  $1.00  $1.50  $2.00  $2.50  $3.00  $3.50  Budget Actual Last Year Page 18 of 36 City of Renton Monthly Revenue Analysis ‐ 2011 Budget Year Other Taxes Budget YTD Actual Annual %  over (under) Jan 595,443           628,259           5.51% Feb 855,646           880,840           2.94% Mar 1,219,558        1,132,303         ‐7.15% Apr 1,910,301        1,796,896         ‐5.94% May 2,209,418         Jun 2,528,643         Jul 3,613,125         Aug 3,958,169         Sep 4,158,270         Oct 4,951,774         Nov 5,228,432         Dec 6,075,921         Percent of budget 29.57% YTD Annual % Millions Miscellaneous $0  $1  $2  $3  $4  $5  $6  $7  Millions Other Taxes Budget Actual Last Year Misc Budget Actual over (under) Jan 181,164           143,105            ‐21.01% Feb 280,604           213,343            ‐23.97% Mar 413,428           312,474            ‐24.42% Apr 527,586           386,523            ‐26.74% May 643,655            Jun 817,044            Jul 994,876            Aug 1,102,019         Sep 1,226,190         Oct 1,312,806         Nov 1,379,867         Dec 1,444,459         Percent of budget 26.76% $‐ $0.20  $0.40  $0.60  $0.80  $1.00  $1.20  $1.40 Budget Actual Last Year Page 19 of 36 City of Renton Monthly Revenue Analysis ‐ 2011 Budget Year Other  Financing Budget YTD Actual Annual %  over (under) Jan ‐                          ‐                         N/A Feb 808                   808                   0.00% Mar 3,175                3,175                0.00% Apr 167,151           167,151           0.00% May 481,494            Jun 481,541            Jul 481,515            Aug 529,019            Sep 529,030            Oct 529,056            Nov 529,056            Dec 529,056            Percent of budget 31.59% YTD Annual % Millions Real Estate Excise Tax $‐ $1.00  $2.00  $3.00  $4.00  $5.00  $6.00  $7.00  $8.00  Millions Other Financing Sources Budget Actual Last Year REET Budget Actual over (under) Jan 64,803              161,911           149.85% Feb 162,288           261,588           61.19% Mar 443,274           403,288            ‐9.02% Apr 699,373           514,275            ‐26.47% May 896,426            Jun 1,070,698         Jul 1,206,778         Aug 1,397,066         Sep 1,508,909         Oct 1,675,542         Nov 1,860,141         Dec 2,240,000         Percent of budget 22.96% $0.00 $0.50 $1.00 $1.50 $2.00 $2.50 Millions Budget Actual Last Year Page 20 of 36 City of Renton Monthly Expenditure Analysis ‐ 2011 Budget Year General  Government Budget YTD Actual Annual %  over (under) Jan 7,065,580        6,990,159         ‐1.07% Feb 16,776,018      15,756,416       ‐6.08% Mar 24,390,079      23,321,083       ‐4.38% Apr 32,049,704      30,363,594       ‐5.26% May 41,000,998       Jun 49,446,942       Jul 58,107,407       Aug 66,766,967       Sep 75,227,592       Oct 83,003,102       Nov 91,507,385       Dec 100,698,925     Percent of budget expended 30.15% YTD Annual %  $‐ $10  $20  $30  $40  $50  $60  $70  $80  $90  $100  $110  Millions Total Expenditures General Government Budget Actual Last Year $300 000 Legislative Legislative Budget Actual over (under) Jan 22,689              22,021               ‐2.94% Feb 46,076              44,576               ‐3.26% Mar 69,607              67,521               ‐3.00% Apr 93,677              89,659               ‐4.29% May 116,993            Jun 140,280            Jul 163,146            Aug 186,174            Sep 208,887            Oct 230,365            Nov 253,583            Dec 277,834            Percent of budget expended 32.27% $‐ $50,000  $100,000  $150,000  $200,000  $250,000  $300,000  Budget Actual Last Year Page 21 of 36 City of Renton Monthly Expenditure Analysis ‐ 2011 Budget Year Executive Budget YTD Actual Annual %  over (under) Jan 107,124           112,718           5.22% Feb 236,884           229,987            ‐2.91% Mar 364,848           346,789            ‐4.95% Apr 492,060           480,072            ‐2.44% May 616,193            Jun 735,255            Jul 865,752            Aug 985,602            Sep 1,122,608         Oct 1,245,595         Nov 1,362,997         Dec 1,484,762         Percent of budget expended 32.33% YTD Annual %  $‐ $0.30  $0.60  $0.90  $1.20  $1.50  $1.80  Millions Executive Budget Actual Last Year $0 80 Millions City Clerk City Clerk Budget Actual over (under) Jan 51,492              49,604               ‐3.67% Feb 103,964           98,230               ‐5.52% Mar 160,688           154,386            ‐3.92% Apr 280,719           315,627           12.43% May 380,999            Jun 435,251            Jul 485,774            Aug 534,200            Sep 583,630            Oct 678,087            Nov 727,878            Dec 790,484            Percent of budget expended 39.93% $0.00 $0.20 $0.40 $0.60 $0.80 Budget Actual Last Year Page 22 of 36 City of Renton Monthly Expenditure Analysis ‐ 2011 Budget Year Hearing  Examiner Budget YTD Actual Annual %  over (under) Jan 14,528              14,189               ‐2.33% Feb 28,905              21,908               ‐24.21% Mar 43,154              23,616               ‐45.27% Apr 57,736              25,472               ‐55.88% May 71,939               Jun 86,324               Jul 100,917            Aug 115,153            Sep 129,406            Oct 143,109            Nov 157,369            Dec 171,929            Percent of budget expended 14.82% YTD Annual % $1 60 Millions City Attorney $‐ $30,000  $60,000  $90,000  $120,000  $150,000  $180,000  Hearing Examiner Budget Actual Last Year City Attorney Budget Actual over (under) Jan 103,073           130,446           26.56% Feb 244,580           264,464           8.13% Mar 396,154           395,280            ‐0.22% Apr 541,694           528,480            ‐2.44% May 682,825            Jun 823,807            Jul 963,283            Aug 1,105,997         Sep 1,241,400         Oct 1,376,729         Nov 1,510,648         Dec 1,600,531         Percent of budget expended 33.02% $‐ $0.40  $0.80  $1.20  $1.60 Budget Actual Last Year Page 23 of 36 City of Renton Monthly Expenditure Analysis ‐ 2011 Budget Year Court Services Budget YTD Actual Annual %  over (under) Jan 173,836           163,613            ‐5.88% Feb 352,836           326,156            ‐7.56% Mar 539,914           490,833            ‐9.09% Apr 719,707           661,478            ‐8.09% May 898,391            Jun 1,082,682         Jul 1,266,794         Aug 1,444,260         Sep 1,625,297         Oct 1,787,517         Nov 1,960,773         Dec 2,148,421         Percent of budget expended 30.79% YTD Annual %  $‐ $0.20  $0.40  $0.60  $0.80  $1.00  $1.20  $1.40  $1.60  $1.80  $2.00  $2.20  Millions Court Services Budget Actual Last Year Millions Community & Economic Dl Ad iCED Admin Budget Actual over (under) Jan 74,575              77,455              3.86% Feb 157,835           155,007            ‐1.79% Mar 237,058           232,560            ‐1.90% Apr 315,978           310,112            ‐1.86% May 394,187            Jun 472,083            Jul 549,691            Aug 627,009            Sep 704,035            Oct 777,925            Nov 853,594            Dec 929,263            Percent of budget expended 33.37% $‐ $0.10  $0.20  $0.30  $0.40  $0.50  $0.60  $0.70  $0.80  $0.90  $1.00  Millions Development Admin Budget Actual Last Year Page 24 of 36 City of Renton Monthly Expenditure Analysis ‐ 2011 Budget Year Development  Services Budget YTD Actual Annual %  over (under) Jan 283,014           231,587            ‐18.17% Feb 559,091           474,633            ‐15.11% Mar 825,857           716,400            ‐13.25% Apr 1,094,888        953,343            ‐12.93% May 1,362,438         Jun 1,623,270         Jul 1,887,072         Aug 2,135,783         Sep 2,409,450         Oct 2,652,185         Nov 2,904,084         Dec 3,164,064         Percent of budget expended 30.13% Economic YTD Annual %  $‐ $0.50  $1.00  $1.50  $2.00  $2.50  $3.00  $3.50  Millions Development Services Budget Actual Last Year Millions Economic Development Development Budget Actual over (under) Jan 51,933              68,491              31.88% Feb 121,356           123,830           2.04% Mar 181,420           179,805            ‐0.89% Apr 236,072           234,834            ‐0.52% May 299,359            Jun 359,523            Jul 429,586            Aug 488,281            Sep 557,248            Oct 615,465            Nov 680,540            Dec 745,313            Percent of budget expended 31.51% $‐ $0.20  $0.40  $0.60  $0.80  $1.00  $1.20  $1.40  Millions Budget Actual Last Year Page 25 of 36 City of Renton Monthly Expenditure Analysis ‐ 2011 Budget Year Planning Budget YTD Actual Annual %  over (under) Jan 110,790           104,320            ‐5.84% Feb 218,683           258,972           18.42% Mar 334,314           348,727           4.31% Apr 439,437           475,330           8.17% May 559,927            Jun 718,541            Jul 835,766            Aug 973,934            Sep 1,145,112         Oct 1,281,210         Nov 1,381,332         Dec 1,545,279         Percent of budget expended 30.76% YTD Annual % $2 40 Millions Finance $‐ $0.20  $0.40  $0.60  $0.80  $1.00  $1.20  $1.40  $1.60  $1.80  $2.00  Millions Planning Budget Actual Last Year Finance Budget Actual over (under) Jan 186,686           155,421            ‐16.75% Feb 341,891           315,453            ‐7.73% Mar 517,662           467,036            ‐9.78% Apr 674,058           620,994            ‐7.87% May 865,088            Jun 1,023,874         Jul 1,187,649         Aug 1,354,267         Sep 1,520,593         Oct 1,632,415         Nov 1,777,248         Dec 2,101,797         Percent of budget expended 29.55% $‐ $0.40  $0.80  $1.20  $1.60  $2.00  $2.40 Budget Actual Last Year Page 26 of 36 City of Renton Monthly Expenditure Analysis ‐ 2011 Budget Year Human  Resources Budget YTD Actual Annual %  over (under) Jan 78,566              86,565              10.18% Feb 155,480           155,437            ‐0.03% Mar 237,774           221,683            ‐6.77% Apr 319,048           282,721            ‐11.39% May 399,386            Jun 483,070            Jul 565,498            Aug 647,359            Sep 729,334            Oct 806,895            Nov 882,317            Dec 977,884            Percent of budget expended 28.91% YTD Annual %  $‐ $0.20  $0.40  $0.60  $0.80  $1.00  $1.20  Millions Human Resources Budget Actual Last Year $33 Millions Police Police Budget Actual over (under) Jan 2,300,854        2,369,174        2.97% Feb 4,975,525        4,383,450         ‐11.90% Mar 7,489,363        7,075,221         ‐5.53% Apr 9,965,388        8,969,395         ‐9.99% May 12,372,160       Jun 15,119,628       Jul 17,670,174       Aug 20,219,584       Sep 22,892,770       Oct 25,166,744       Nov 28,038,602       Dec 31,032,228       Percent of budget expended 28.90% $‐ $3  $6  $9  $12  $15  $18  $21  $24  $27  $30  $33  Budget Actual Last Year Page 27 of 36 City of Renton Monthly Expenditure Analysis ‐ 2011 Budget Year Fire &  Emergency  Services Budget YTD Actual Annual %  over (under) Jan 1,894,040        1,754,253         ‐7.38% Feb 4,464,519        4,132,293         ‐7.44% Mar 6,244,191        5,900,678         ‐5.50% Apr 7,913,923        7,652,583         ‐3.30% May 9,636,531         Jun 11,386,741       Jul 13,170,370       Aug 14,956,836       Sep 16,745,399       Oct 18,390,379       Nov 20,227,278       Dec 22,045,916       Percent of budget expended 34.71% Community  Services YTD Annual %  $‐ $3  $6  $9  $12  $15  $18  $21  $24  Millions Fire & Emergency Services Budget Actual Last Year $1 200 000 Community Services Admin Admin Budget Actual over (under) Jan 24,324              33,774              38.85% Feb 69,640              67,558               ‐2.99% Mar 104,515           102,208            ‐2.21% Apr 139,380           136,129            ‐2.33% May 174,090            Jun 208,871            Jul 243,499            Aug 277,165            Sep 311,080            Oct 344,763            Nov 378,350            Dec 412,476            Percent of budget expended 33.00% $‐ $200,000  $400,000  $600,000  $800,000  $1,000,000  $1,200,000  Budget Actual Last Year Page 28 of 36 City of Renton Monthly Expenditure Analysis ‐ 2011 Budget Year Parks Budget YTD Actual Annual %  over (under) Jan 239,087           261,191           9.24% Feb 514,533           527,048           2.43% Mar 810,460           799,401            ‐1.36% Apr 1,116,871        1,109,451         ‐0.66% May 1,440,935         Jun 1,782,886         Jul 2,144,016         Aug 2,551,900         Sep 2,893,918         Oct 3,240,517         Nov 3,551,772         Dec 3,928,721         Percent of budget expended 28.24% Parks  Planning and YTD Annual %  $‐ $1  $1  $2  $2  $3  $3  $4  $4  $5  Millions Parks Budget Actual Last Year $1 Millions Parks Planning and Natural Resources Natural Budget Actual over (under) Jan 48,516              34,349               ‐29.20% Feb 97,031              69,260               ‐28.62% Mar 145,547           109,668            ‐24.65% Apr 194,062           150,610            ‐22.39% May 242,578            Jun 291,093            Jul 339,609            Aug 388,124            Sep 436,640            Oct 485,155            Nov 533,671            Dec 582,186            Percent of budget expended 25.87% $‐ $0  $0  $0  $0  $1  $1  $1  Budget Actual Last Year Page 29 of 36 City of Renton Monthly Expenditure Analysis ‐ 2011 Budget Year Recreation Budget YTD Actual Annual %  over (under) Jan 295,489           361,259           22.26% Feb 635,715           702,382           10.49% Mar 1,005,407        1,058,705        5.30% Apr 1,348,862        1,408,767        4.44% May 1,717,169         Jun 2,116,097         Jul 2,772,458         Aug 3,488,144         Sep 3,976,930         Oct 4,329,768         Nov 4,783,906         Dec 5,178,448         Percent of budget expended 27.20% Human YTD Annual % $1 60 Millions Human Services $‐ $1  $2  $3  $4  $5  $6  Millions Recreation Budget Actual Last Year Services Budget Actual over (under) Jan 59,293              53,756               ‐9.34% Feb 126,188           118,956            ‐5.73% Mar 198,582           177,533            ‐10.60% Apr 390,623           369,358            ‐5.44% May 474,289            Jun 553,794            Jul 757,937            Aug 837,909            Sep 900,588            Oct 1,060,018         Nov 1,161,722         Dec 1,363,272         Percent of budget expended 27.09% $0.00 $0.20 $0.40 $0.60 $0.80 $1.00 $1.20 $1.40 $1.60 Budget Actual Last Year Page 30 of 36 City of Renton Monthly Expenditure Analysis ‐ 2011 Budget Year Neighborhood s, Resources,  and Events Budget YTD Actual Annual %  over (under) Jan 41,830              36,383               ‐13.02% Feb 85,281              73,402               ‐13.93% Mar 128,860           110,686            ‐14.10% Apr 173,464           157,589            ‐9.15% May 228,231            Jun 290,830            Jul 376,730            Aug 426,476            Sep 473,127            Oct 511,361            Nov 548,937            Dec 688,984            Percent of budget expended 22.87% YTD Annual % $2 50 Millions Library Fund $‐ $100,000  $200,000  $300,000  $400,000  $500,000  $600,000  $700,000  $800,000  Neighborhoods, Resources, and Events Budget Actual Last Year Library Fund Budget Actual over (under) Jan 2,619                2,619                0.00% Feb 5,119                5,119                0.00% Mar 7,619                7,619                0.00% Apr 10,119              10,119              0.00% May 845,833            Jun 1,015,000         Jul 1,184,167         Aug 1,353,333         Sep 1,522,500         Oct 1,691,667         Nov 1,860,833         Dec 2,030,000         Percent of budget expended 0.50% $‐ $0.50  $1.00  $1.50  $2.00  $2.50  Budget Actual Last Year Page 31 of 36 City of Renton Monthly Expenditure Analysis ‐ 2011 Budget Year Museum Fund Budget YTD Actual Annual %  over (under) Jan 16,891              17,146              1.51% Feb 34,473              34,638              0.48% Mar 51,858              51,915              0.11% Apr 69,554              69,499               ‐0.08% May 87,464               Jun 105,332            Jul 122,835            Aug 140,126            Sep 157,397            Oct 174,522            Nov 191,345            Dec 208,407            Percent of budget expended 33.35% Public Works YTD Annual % $0 60 Millions Public Works Admin $‐ $30,000  $60,000  $90,000  $120,000  $150,000  $180,000  $210,000  Museum Fund Budget Actual Last Year Admin Budget Actual over (under) Jan 36,310              37,289              2.70% Feb 74,186              74,538              0.47% Mar 112,901           111,889            ‐0.90% Apr 154,191           149,219            ‐3.22% May 191,427            Jun 228,374            Jul 266,290            Aug 306,966            Sep 342,897            Oct 378,232            Nov 415,139            Dec 454,179            Percent of budget expended 32.85% $‐ $0.20  $0.40  $0.60  Budget Actual Last Year Page 32 of 36 City of Renton Monthly Expenditure Analysis ‐ 2011 Budget Year Street  Maintenance Budget YTD Actual Annual %  over (under) Jan 292,781           279,841            ‐4.42% Feb 594,598           597,149           0.43% Mar 892,291           894,017           0.19% Apr 1,214,569        1,168,482         ‐3.79% May 1,516,549         Jun 1,833,551         Jul 2,172,817         Aug 2,501,620         Sep 2,789,645         Oct 3,081,338         Nov 3,362,752         Dec 3,693,925         Percent of budget expended 31.63% Transportatio YTD Annual %  $‐ $1  $1  $2  $2  $3  $3  $4  $4  Millions Street Maintenance Budget Actual Last Year $6 Millions Transportation n Budget Actual over (under) Jan 331,107           308,560            ‐6.81% Feb 719,617           689,957            ‐4.12% Mar 1,114,917        1,101,787         ‐1.18% Apr 1,488,522        1,429,170         ‐3.99% May 1,869,361         Jun 2,262,793         Jul 2,606,257         Aug 3,030,111         Sep 3,405,716         Oct 3,807,825         Nov 4,176,065         Dec 4,606,639         Percent of budget expended 31.02% $‐ $1  $2  $3  $4  $5  $6  Budget Actual Last Year Page 33 of 36 City of Renton Monthly Expenditure Analysis ‐ 2011 Budget Year Debt Service Budget YTD Actual Annual %  over (under) Jan 4,600                4,600                0.00% Feb 254,918           254,918           0.00% Mar 390,380           390,380           0.00% Apr 390,380           390,380           0.00% May 1,964,598         Jun 2,357,518         Jul 2,750,437         Aug 3,143,357         Sep 3,536,276         Oct 3,929,196         Nov 4,322,115         Dec 4,715,035         Percent of budget expended 8.28% Non‐ Departmental YTD Annual % $5 00 Millions Non‐Departmental Other City Services $‐ $2.00  $4.00  $6.00  $8.00  $10.00  $12.00  Millions Debt Service Budget Actual Last Year Other City Budget Actual over (under) Jan 219,534           219,534           0.00% Feb 1,557,092        1,557,092        0.00% Mar 1,784,740        1,784,740        0.00% Apr 2,214,722        2,214,722        0.00% May 1,592,061         Jun 1,910,473         Jul 2,228,885         Aug 2,547,297         Sep 2,865,710         Oct 3,184,122         Nov 3,502,534         Dec 3,820,946         Percent of budget expended 57.96% $‐ $0.50  $1.00  $1.50  $2.00  $2.50  $3.00  $3.50  $4.00  $4.50  $5.00 Budget Actual Last Year Page 34 of 36 City of Renton Monthly Enterprise Fund Financial Report ‐ 2011 Budget Year Utilities Budget Revenue Expense Jan 3,432,048        4,058,961      2,857,743       Feb 7,863,617        8,549,030      7,011,826       Mar 11,121,543      13,634,112    11,834,545     Apr 17,414,953      18,015,133    15,336,879     May 21,543,781       Jun 29,860,612       Jul 37,518,040       Aug 42,011,852       Sep 47,249,783       Oct 52,752,037       Nov 57,466,891       Dec 65,021,510       Percent of budget expended 17.03% Note:  Operations and Capital $0 $10 $20 $30 $40 $50 $60 $70 Millions Utilities Budget Revenue Expense $4 50 Millions Airport Airport Budget Revenue Expense Jan 218,852           209,097          131,908           Feb 498,982           403,084          236,317           Mar 755,905           600,802          352,561           Apr 985,741           829,701          480,730           May 1,254,433         Jun 1,548,024         Jul 1,778,232         Aug 2,062,285         Sep 2,401,670         Oct 3,216,748         Nov 3,508,481         Dec 4,129,277         Percent of budget expended 11.64% Note:  Operations and Capital $‐ $0.50  $1.00  $1.50  $2.00  $2.50  $3.00  $3.50  $4.00  $4.50  Budget Revenue Expense Page 35 of 36 City of Renton Monthly Enterprise Fund Financial Report ‐ 2011 Budget Year Golf Course Budget Revenue Expense Jan 152,642           64,531            126,007           Feb 320,835           154,907          258,005           Mar 548,995           255,829          534,432           Apr 693,450           406,663          682,305           May 890,179            Jun 1,146,318         Jul 1,320,887         Aug 1,487,532         Sep 1,662,841         Oct 1,987,022         Nov 2,125,704         Dec 2,724,738         Percent of budget expended 25.04% 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