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HomeMy WebLinkAbout201203, March.pdfFINANCE AND  INFORMATION TECHNOLOGY    M   E   M   O   R   A   N   D   U   M       DATE: May 1, 2012     TO: Rich Zwicker, Council President  Members of the Renton City Council     CC: Denis Law, Mayor  Administrators     FROM: Hai Nguyen, Sr. Finance Analyst     SUBJECT: March 2012 Financial Status Report       At the end of March, general governmental revenues show $6k over budget.  Revenues sources  that are higher than expected are: gambling excise taxes ($45k); real estate excise taxes ($76k);  building permits & development service fees ($144k); state shared revenues ($31k); rents,  leases, and concessions ($54k); and other miscellaneous (61k).  On the down side, the revenue  sources that are underperforming the year to date budget are: property taxes ($133k below);  franchise fees ($27k below); utility taxes ($63k below); culture and recreation fees ($45k  below); interfund/inter‐departmental services ($124k below); and fines/forfeitures ($77k  below).    General government expenditures showed favorable variance of $398k or 1.8%.  See page 9 of  report for further expenditure savings/over‐spent explanations.    The attached report provides more detailed discussion of each revenue source and our updated  projections for the year.  Please do not hesitate to contact me at x6952 should you have any  questions or any suggestions about the report.        General  Governmental Funds $% Beginning Fund Balance 11,955,285$       11,955,285$       11,407,119$       11,407,119$       9,338,707$          9,338,707$          11,057,551$       1,718,844$   18.4% OPERATING REVENUES Property Tax 31,497,128          1,037,146             32,357,894          1,586,980             32,896,746          1,247,748             1,115,068             (132,680)         ‐10.6% Sales  Tax 17,198,220          4,307,540             17,729,731          4,621,165             17,864,000          4,548,153             4,555,081             6,929                0.2% Sales  Tax  ‐ Annexation Credit 2,025,660             511,021                  2,033,954             515,376                  2,101,647             532,528                  548,776                  16,248             3.1% Criminal Justice Sales  Tax 1,620,479             413,523                  1,809,757             433,145                  1,867,145             446,881                  469,776                  22,895             5.1% Natural  Gas  Use  Tax 228,514                  73,944                     249,407                  81,939                     270,394                  88,834                     135,319                  46,485             52.3% Admission  Tax 291,399                  75,236                     308,200                  70,881                     350,000                  80,495                     74,353                     (6,141)                ‐7.6% Franchise Fees 1,222,444             320,478                  1,234,448             305,646                  1,323,000             327,571                  300,392                  (27,179)            ‐8.3% Electricity Tax 5,036,907             1,381,772             5,166,711             1,471,764             5,283,280             1,504,969             1,522,488             17,519             1.2% Natural  Ga s  Utility Tax 1,577,756             599,950                  1,848,806             743,650                  1,950,000             784,353                  698,786                  (85,568)             ‐10.9% Transfer  Station 269,912                  62,164                     297,474                  62,236                     248,762                  52,045                     66,603                     14,559             28.0% TV Cable 1,296,744             327,983                  1,385,275             313,748                  1,427,679             323,352                  315,052                  (8,300)                ‐2.6% Telephone 1,038,009             269,528                  966,827                  251,762                  1,000,000             260,400                  236,098                  (24,302)            ‐9.3% Cellular Phone 2,206,637             553,363                  2,054,183             534,865                  2,309,360             601,308                  563,415                  (37,893)            ‐6.3% City Utilities 2,853,884             664,892                  3,516,179             832,175                  3,665,728             867,568                  882,471                  14,903             1.7% Leasehold Excise  Tax 138,830                  35,999                     162,593                  34,846                     145,000                  31,075                     26,202                     (4,873)                ‐15.7% Gambling Excise Tax 1,546,386             336,398                  1,671,414             389,297                  1,600,000             372,663                  418,076                  45,412             12.2% Real Estate Excise  Tax 2,464,489             487,709                  2,074,059             403,288                  2,025,000             393,580                  495,352                  101,772          25.9% Less: Municipal  Facilities CIP REET (400,000)                (81,027)                   (400,000)                (72,016)                   (400,000)                (72,016)                   (97,847)                   (25,832)            35.9% EMS Levy 1,161,114             ‐                              868,873                  ‐                              1,007,976             ‐                              ‐                              ‐                      0.0% Business  License Fees 431,782                  117,082                  442,451                  111,073                  469,817                  117,943                  117,854                  (89)                       ‐0.1% Other  Licenses and Permits 262,629                  62,268                     232,534                  43,772                     213,305                  40,152                     66,324                     26,172             65.2% Building Permits & Development Svc Fees 2,437,270             659,298                  2,772,779             540,074                  2,466,063             476,899                  621,236                  144,337          30.3% Intergovt'l (Grants, State  Shared, etc) 4,426,676             1,103,708             4,737,323             936,670                  4,381,262             759,316                  767,775                  8,459                1.1% Fire District 25 and 40 Contracts 5,252,877             19,525                     6,110,668             278,286                  6,008,694             152,200                  152,200                  ‐                      0.0% Public Safety 482,343                  100,750                  484,985                  90,072                     430,635                  79,978                     85,430                     5,452                6.8% Culture and Recreation 1,424,932             226,688                  1,493,540             243,967                  1,660,863             271,299                  226,174                  (45,125)             ‐16.6% Interfund/Interdept‐Services 3,190,908             766,090                  3,070,506             724,768                  3,414,200             867,214                  743,213                  (124,001)         ‐14.3% Fines  and Forfeits 1,291,817             205,000                  1,163,602             218,547                  1,088,750             205,348                  181,611                  (23,737)             ‐11.6% Photo Enforcement 1,925,159             495,096                  1,897,782             527,825                  1,944,713             540,877                  475,558                  (65,319)             ‐12.1% Seizure Funds  ‐ Federal/State/Local 221,046                  46,627                     83,220                     ‐                              180,693                  ‐                              11,738                     11,738             100.0% Interests and Other  Earnings 183,511                  37,996                     107,183                  17,599                     125,400                  20,590                     20,892                     302                     1.5% Rents, Leases, and Concessions 727,338                  241,192                  744,834                  219,861                  701,464                  207,059                  260,753                  53,695             25.9% Contributions  and Donations 133,756                  29,179                     196,586                  43,874                     105,000                  23,434                     37,447                     14,013             59.8% Other  Miscellaneous 434,286                  101,812                  529,147                  74,534                     427,358                  58,789                     119,752                  60,963             103.7% Other  Financing Sources  (Transfer‐In, etc) 653,595                  138                            1,073,507             3,175                        1,037,752             291                            5,494                        5,203                1788.1% Total  Operating Revenues 96,754,435          15,590,071          100,476,431       16,654,842          101,591,685       16,212,898          16,218,914          6,016                0.0% OPERATING EXPENDITURES Legislative 259,345                  65,280                     271,236                  67,521                     284,087                  71,106                     68,811                     2,295                3.2% Executive 1,578,526             407,609                  1,566,906             346,789                  1,468,694             352,251                  312,540                  39,711             11.3% Hearing Examiner 174,447                  43,412                     59,878                     23,616                     71,025                     20,317                     16,343                     3,974                19.6% City Attorney 1,565,597             400,465                  1,596,609             395,280                  1,668,686             419,912                  419,219                  693                     0.2% Court Services 2,007,599             499,117                  2,084,170             490,833                  2,147,819             519,637                  504,905                  14,732             2.8% Community and Eco Dvlpmnt Admin 579,396                  146,045                  929,814                  232,560                  952,912                  239,050                  239,249                  (198)                    ‐0.1% Development Services 2,946,413             768,673                  2,810,736             716,400                  3,181,944             820,791                  715,648                  105,144          12.8% Economic Development 1,322,004             305,673                  724,970                  179,805                  735,088                  174,340                  164,809                  9,530                5.5% Planning 1,774,508             383,792                  1,447,781             348,727                  1,516,719             344,794                  377,067                  (32,273)            ‐9.4% Finance 2,214,458             443,082                  2,134,667             467,036                  1,969,836             412,217                  476,115                  (63,897)             ‐15.5% City Clerk 789,209                  146,137                  736,880                  154,386                  897,889                  176,816                  170,116                  6,700                3.8% Human Resources 861,221                  213,772                  888,252                  221,683                  946,956                  235,703                  227,236                  8,467                3.6% Police 23,946,386          6,053,699             24,737,346          6,305,557             24,746,366          6,282,318             6,012,336             269,982          4.3% Jail Services 3,539,035             623,568                  6,206,735             769,664                  4,740,599             294,683                  294,683                   ‐                      0.0% Fire 21,554,792          5,943,458             22,511,597          5,900,678             24,056,171          6,465,803             6,539,657             (73,854)             ‐1.1% Community Services  Admin 1 1,063,011             263,482                  416,284                  102,208                  421,043                  104,084                  108,727                  (4,643)                ‐4.5% Parks 3,421,424             732,269                  3,829,676             799,401                  4,034,496             852,218                  862,246                  (10,028)             ‐1.2% Parks  Planning & Natural  Resources 448,574                  80,116                     551,423                  109,668                  595,868                  113,087                  124,284                  (11,197)             ‐9.9% Recreation 4,433,420             886,597                  4,974,002             1,058,705             5,263,801             1,088,468             999,673                  88,795             8.2% Human Services 1,326,778             207,504                  1,247,294             177,533                  1,250,561             187,063                  266,033                  (78,971)             ‐42.2% Neighborhoods, Resources, & Events 331,222                  64,287                     610,545                  110,686                  692,698                  128,698                  129,143                  (445)                    ‐0.3% Library 2,289,692             500,663                  2,030,000             7,619                        230,000                  7,500                        7,500                        ‐                      0.0% Museum 191,090                  46,726                     210,620                  51,915                     213,533                  52,434                     53,787                     (1,353)                ‐2.6% Public Works  Admin 1 514,858                  129,351                  452,538                  111,889                  465,889                  116,179                  119,164                  (2,985)                ‐2.6% Street Maintenance 3,412,892             816,882                  3,534,025             894,017                  3,728,945             918,371                  935,153                  (16,782)             ‐1.8% Transportation 5,215,309             1,261,456             4,509,066             1,101,787             4,711,542             1,145,011             1,000,881             144,130          12.6% Debt Service 4,707,100             126,390                  4,822,566             390,380                  6,531,373             250,317                  250,317                   ‐                      0.0% Non‐Departmental  and Other 4,834,296             1,136,033             4,930,383             1,784,740             2,944,248             886,227                  886,227                   ‐                      0.0% Total  Operating Expenditures 97,302,601          22,695,538          100,825,999       23,321,083          100,468,787       22,679,391          22,281,867          397,524          1.8% Total  Ending Fund Balance 11,407,119$       4,849,818$          11,057,551$       4,740,878$          10,461,605$       2,872,215$          4,994,598$          2,122,383      73.9% 1Facilities was  included in Community Services  Admin  and Technical Services  was  included in Public Works  Admin in 2010 Summary of Sources and Uses Annual Actual YTD Actual Favorable (Unfavorable) 2010 2011 2012 Variance Annual Actual YTD Actual Annual Budget YTD Budget YTD Actual Monthly Financial Report March 2012 Page 1 of 37 Monthly Financial Report March 2012        OVERVIEW  This financial overview reflects the City’s overall financial position for the fiscal year through March 31, 2012.  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 73% of  all resources supporting general governmental activities.   The following section provides detail information on property,  sales, utility, and other taxes.    Property Tax  March’s collection is $880k, making  the total year‐to‐date collection $1.1  million or 3% of the total budget.  In  comparison to the previous year,  the City collected $472k or 30% less.   Compared to the budget, the City is  below projections by $133k or 11%.   2012’s monthly budgets are based  on 2009 through 2011 collections.   The variance from the prior year is  due to a portion ($129k) of 2010’s  collection being receipted in January  2011.  Taking this into consideration,  the City is $342k or 23% behind  2011.        Sales Tax  March 2012 sales tax receipts totalled  $1.3 million.  Compared to the same  month last year, it is $5k more.   Compared to the projected current  month’s budget, it is $68k or 5%  below.  The year‐to‐date collection of  $4.6 million is $66k or 1% less than the  prior year but is $7k more than  budgeted.    2011 2012 2012 Actual Budget Actual $ % $ % Jan 505,501$         255,343$         149,112$         (356,390)$  ‐71% (106,231)$  ‐42% Feb 336,193            316,911            85,577               (250,616)     ‐75% (231,334)     ‐73% Mar 745,285            675,495            880,380            135,094      18% 204,885      30% Apr 7,618,492        7,776,464         May 7,849,481        8,109,059         Jun 54,963               98,578                Jul 112,076            106,083             Aug 25,954               84,126                Sep 467,946            421,108             Oct 7,014,860        6,907,167         Nov 7,348,025        7,974,601         Dec 279,117            171,812             YTD  Total 1,586,980$     1,247,748$     1,115,068$    (471,912)$  ‐30% (132,680)$  ‐11% Annual Total 32,357,894$  32,896,746$   Property Tax  Revenues Year to Date through March 2012 vs. 2011 2012 vs. Budget Month 2011 2012 2012 Actual Budget Actual $ % $ % Jan 1,339,658$     1,388,527$     1,327,548$     (12,111)$      ‐1% (60,980)$    ‐4% Feb 1,982,269        1,787,327        1,923,714        (58,556)         ‐3% 136,386     8% Mar 1,299,237        1,372,298        1,303,820        4,583            0% (68,478)       ‐5% Apr 1,254,867        1,391,509         ‐                         May 1,590,780        1,578,875         ‐                         Jun 1,368,213        1,422,596        ‐                         Jul 1,437,859        1,411,637        ‐                         Aug 1,534,218        1,522,536        ‐                         Sep 1,472,399        1,468,712        ‐                         Oct 1,517,444        1,529,207        ‐                         Nov 1,508,954        1,522,978        ‐                         Dec 1,423,832        1,467,796        ‐                         YTD  Total 4,621,165$     4,548,153$     4,555,081$     (66,083)$      ‐1% 6,929$        0% Annual Total 17,729,731$  17,864,000$   2012 vs. Budget2012 vs. 2011 Month Year to Date through March Local Retail  Sales  Tax  Revenues Page 2 of 37 Monthly Financial Report March 2012      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 2011 2012 Bgt YTD Act Change 2012/2011 2012 Act vs  Bgt New Construction 360,477$         356,535$         398,607$         38,129$          11%$           42,072 12% Auto Sales 788,059            848,617            800,860            12,801             2%            (47,757)‐6% General Retail 1,603,505        1,682,068        1,688,543        85,038             5%                 6,475 0% Manufacturing 423,520            199,022            251,433            (172,087)        ‐41%              52,411 26% Wholesale 295,717            311,059            283,392            (12,325)            ‐4%            (27,667)‐9% Service 1,023,389        1,051,442        1,046,461        23,072             2%               (4,981) 0% Other 126,498            99,410               85,786               (40,712)            ‐32%            (13,624)‐14% Total 4,621,165$     4,548,153$     4,555,081$     (66,083)$        ‐1%6,929$              0% Note: Excludes  Annexation  Credit and Criminal Justice Sales  Tax revenue.      Utility tax   March utility tax revenues are  $1.4 million, which is $42k or 3%  lower than the same month last  year and is also behind the budget  by $108k or 7%.  The year‐to‐date  collection is $4.4 million, which is  $128k or 3% higher than the prior  year but is $63k or 1% lower than  the budget.                      The table below breaks out Utility Tax by source.    Utility Tax by Type 2011 2012 Bgt YTD  Act Change  2012/2011  2012 Act  vs  Bgt  Electrical 1,471,764$     1,504,969$     1,522,488$     50,724$          3%$           17,519 1% Natural Gas 825,589            873,188            834,105            8,516                1%            (39,083)‐4% Cell 534,865            601,308            563,415            28,550             5%            (37,893)‐6% Phone 251,762            260,400            236,098            (15,664)            ‐6%            (24,302)‐9% Cable 313,748            323,352            315,052            1,304                0%               (8,300)‐3% Transfer Station 62,236               52,045               66,603               4,367                7%              14,559 28% City Utilities 832,175            867,568            882,471            50,296             6%              14,903 2% YTD  Total 4,292,138$     4,482,830$     4,420,232$     128,093$       3%(62,598)$          ‐1% Annual  Total 15,484,862$  16,155,203$   YTD  as % of 28% 28%      2011 2012 2012 Actual Budget Actual $ % $ % Jan 1,363,023$     1,423,448$      1,469,178$     106,155$   8% 45,730$      3% Feb 1,448,275        1,512,984         1,512,539        64,263         4% (445)               0% Mar 1,480,840        1,546,398         1,438,515        (42,325)         ‐3% (107,883)      ‐7% Apr 1,370,718        1,433,422          May 1,291,530        1,350,150          Jun 1,203,475        1,256,117          Jul 1,188,526        1,240,117          Aug 1,165,863        1,217,180          Sep 1,176,526        1,225,853          Oct 1,202,559        1,253,072          Nov 1,232,640        1,281,314          Dec 1,360,887        1,415,147          YTD  Total 4,292,138$     4,482,830$      4,420,232$     128,093$   3% (62,598)$      ‐1% Annual Total 15,484,862$  16,155,203$    2012 vs. Budget2012 vs. 2011 Year to Date through March Utility Tax  Revenues Month Page 3 of 37 Monthly Financial Report March 2012      Other Taxes     Real Estate Excise Tax  The City collected $204k in Real Estate  Excise Tax revenues (REET) in March.   This is $62k or 44% ahead of the same  month last year and $65k or 47% above  the current month’s budget.  The year‐ to‐date collection is $495k, which is  $92k or 23% more than the prior year  and is also $102k or 26% above the  budget.                    Gambling Tax  March’s Gambling Tax collections  total $98k.  Year‐to‐date total of  $418k is $29k or 7% above the  year before and is also $45k or  12% above budget.  The increase  in January’s collection from the  previous January is due to  payment plans with two  establishments to remit their  monthly portions (starting in  October) of 2011 by year‐end,  which was receipted in the  beginning of 2012.  Approximately  $30k collected in January was for  the prior year.  The decrease in  March is due the timing of  collections (the City receipted  $30k in April that was due for March).    Pull tabs overall had a 7% increase, bingo increased by 46%, and card‐rooms are seeing 6% higher in activities when  compared to the prior year.      Franchise Fees  Franchise Fees are due quarterly  and the year‐to‐date revenue  collections are $300k or 23% of  the budget.  This is $5k or 2%  lower than 2011 and is also $27k  or 8% below the projected year‐ to‐date budget.  2011 2012 2012 Actual Budget Actual $ % $ % Jan 161,911$      157,987$      77,631$         (84,280)$      ‐52% (80,356)$      ‐51% Feb 99,677            97,304            214,137         114,460      115% 116,833      120% Mar 141,700         138,289         203,583         61,883         44% 65,294         47% Apr 110,987         108,315          May 157,519         153,728          Jun 228,506         223,006          Jul 117,567         114,737          Aug 159,524         155,683          Sep 205,753         200,800          Oct 189,691         185,125          Nov 335,893         327,808          Dec 165,331         162,219          YTD  Total 403,288$      393,580$      495,352$      92,064$      23% 101,772$   26% Annual Total 2,074,059$  2,025,000$   Month 2012 vs. Budget2012 vs. 2011 Real Estate Excise  Tax  Revenues Year to Date through March 2011 2012 2012 Actual Budget Actual $ % $ % Jan 118,304$      113,250$      175,959$      57,655$      49% 62,710$      55% Feb 135,926         130,118         143,837         7,911            6% 13,719         11% Mar 135,067         129,296         98,279            (36,787)         ‐27% (31,016)         ‐24% Apr 162,459         155,518          ‐                      May 159,013         152,219         ‐                      Jun 151,240         144,778         ‐                      Jul 136,775         130,931         ‐                      Aug 144,161         138,001         ‐                      Sep 125,618         120,251         ‐                      Oct 92,937            88,966            ‐                      Nov 139,018         133,078         ‐                      Dec 170,897         163,595         ‐                      YTD  Total 389,297$      372,663$      418,076$      28,779$      7% 45,412$      12% Annual Total 1,671,414$  1,600,000$   2012 vs. 2011 2012 vs. Budget Gambling Tax  Revenue Month Year to Date through March 2011 2012 2012 Actual Budget Actual $ % $ % Jan 305,646$      327,571$      300,392$      (5,254)$         ‐2% (27,179)$      ‐8% Apr 294,560         315,690          ‐                      Jul 294,438         315,560         ‐                      Oct 292,692         313,688         ‐                      Dec 47,111            50,491            ‐                      YTD  Total 305,646$      327,571$      300,392$      (5,254)$        ‐2% (27,179)$     ‐8% Annual Total 1,234,448$  1,323,000$   Franchise  Fees Revenue Year  to Date through March Month 2012 vs. 2011 2012 vs. Budget Page 4 of 37 Monthly Financial Report March 2012      Admission Tax   Admission Tax returns are due  quarterly in January, April, July,  and October each year.  January  2012 collections represent  activities conducted during the 4th  quarter of 2011.      The report shows an increase of  $3k or 5% from the year before  but is $6k or 8% less than  anticipated.       Licenses and Permits    Building Permits and Development Service Fees  Building Permits and Development  Service Fee revenues totalled $263k in  March.  The year‐to‐date development  fees revenue of $621k is $81k or 15%  more than 2011 and is also $144k or  30% higher than budget.  The higher  than expected fees are due to collecting  more in general building permits,  electrical permits and plan check fees.                      Business Licenses  Business Licenses totalled $5k for March,  which is $1k or 29% above the same month  last year and is also $880 or 22% above the  current month’s budget.  The year‐to‐date  Business Licenses revenue is ahead of the  prior year by $7k or 6% and is right on target  with the budget.        2011 2012 2012 Actual Budget Actual $ % $ % Jan 70,405$         79,953$         73,420$         3,015$         4% (6,534)$         ‐8% Feb 477                    542                    934                    457                 96% 392                 72% Apr 63,582            72,205             ‐                      May 407                    462                    ‐                      Jul 86,024            97,691            ‐                      Aug 1,194               1,356               ‐                      Oct 86,112            97,791            ‐                      YTD  Total 70,881$         80,495$         74,353$         3,472$         5% (6,141)$        ‐8% Annual Total 308,200$      350,000$       Month 2012 vs. 2011 2012 vs. Budget Admission Tax  Revenue Year  to Date through Ma rch 2011 2012 2012 Actual Budget Actual $ % $ % Jan 84,109$     89,311$     88,676$     4,568$      5% (635)$          ‐1% Feb 23,153        24,585        24,251        1,098         5% (334)             ‐1% Mar 3,811           4,047           4,927           1,115         29% 880              22% Apr 83,930        89,121        ‐                  May 20,142        21,387        ‐                  Jun 3,964           4,209           ‐                  Jul 83,962        89,155        ‐                  Aug 18,393        19,531        ‐                  Sep 4,135           4,391           ‐                  Oct 95,874        101,804     ‐                  Nov 18,291        19,423        ‐                  Dec 2,686           2,852           ‐                  YTD Total 111,073$  117,943$  117,854$  6,781$      6% (89)$            0% Annual Total 442,451$  469,817$   Business Licenses Month 2012 vs. 2011 Year to Date through March 2012 vs. Budget 2011 2012 2012 Actual Budget Actual $ % $ % Jan 132,621$      112,664$      160,750$      28,129$      21% 48,086$      43% Feb 141,672         125,262         197,549         55,877         39% 72,287         58% Mar 265,782         238,974         262,937         (2,845)            ‐1% 23,963         10% Apr 190,534         167,552          May 239,018         215,841          Jun 215,975         195,717          Jul 211,760         187,937          Aug 393,797         351,616          Sep 321,961         289,918          Oct 213,930         189,380          Nov 229,322         196,766          Dec 216,409         194,437          YTD  Total 540,074$      476,899$      621,236$      81,162$      15% 144,337$   30% Annual Total 2,772,779$  2,466,063$   Building Permits and Development Service Fees Year to Date through March 2012 vs. Budget2012 vs. 2011 Month Page 5 of 37 Monthly Financial Report March 2012      Intergovernmental  These revenue sources  include federal (direct  and indirect) grants,  state grants, state  shared revenues, local  grants, entitlements,  and intergovernmental.  State shared revenues  and Fire Districts’ 25  and 40 contracts  compose 89% of the total revenues in this category.   The year‐to‐date total Intergovernmental revenue is $1.4 million or  11% of the budget.    State Shared Revenues  State Shared Revenue  collections totalled $1.1 million  since the start of 2012.   Compared to the prior year,  State Shared Revenues are  below by $10k or 1%.   Compared to the projected  budget, the City is collecting  $31k or 3% more.  The higher  than expected collections are  due to Criminal Justice’s High  Crime not being budgeted for.          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 74% of the total revenue in this category.  The year‐to‐date total charges for services are $1.3 million or 20% of  the budget.  This is 7% below budget projections.  The following sections provide detail information for Public Safety,  Recreation, and Interfund Services.    Public Safety Services  Public Safety Services totalled $85k since the  start of the year.  These services include private  security, adult probation services, and  housing/monitoring of prisoners.  Compared to  the prior year, the City is collecting $5k or 5%  less.  Compared to the budget, the City is  collecting $5k or 7% more than anticipated  revenue.         2011 2012 2012 Actual Budget Actual $ % $ % Jan 18,824$     16,715$         15,229$      (3,595)$       ‐19% (1,486)$       ‐9% Feb 40,902        36,318            34,848         (6,054)          ‐15% (1,470)          ‐4% Mar 30,346        26,945            35,353         5,007           17% 8,408           31% Apr 52,434        46,558            ‐                   May 35,609        31,619            ‐                   Jun 46,295        41,107            ‐                   Jul 70,094        62,239            ‐                   Aug 35,891        31,868            ‐                   Sep 30,743        27,298            ‐                   Oct 34,756        30,861            ‐                   Nov 42,944        38,131            ‐                   Dec 46,148        40,976            ‐                   YTD  Total 90,072$     79,978$         85,430$      (4,642)$       ‐5% 5,452$        7% Annual Total 484,985$  430,635$       Month 2012 vs. 2011 Year to Date through March Public Safety Services 2012 vs. Budget Intergovernmental 2011 2012 Bgt YTD  Act Change 2012/2011 2012 Act  vs  Bgt  Fire  District #25 ‐$                            ‐$                            ‐$                            ‐$                         N/A  $                          ‐ N/A Fire  District #40 278,286            152,200            152,200            (126,086)        ‐45%‐                            0% State  Shared Revenue 1,091,168        1,050,113        1,081,467        (9,700)               ‐1% 31,355             3% Federal  Grants 167,370            77,003               77,003               (90,367)            ‐54%‐                            0% State  Grants 48,791               30,646               30,646               (18,145)            ‐37%‐                            0% Other Grants/Intgovt 41,933               48,434               48,434               6,501                16%‐                            0% ARRA Grants 125,916             ‐                               ‐                              (125,916)        0%‐                            N/A Total  Rev YTD 1,753,464$     1,358,397$     1,389,752$     (363,712)$     ‐21%31,355$           2% Total  Rev Annual 12,657,748$  12,257,101$   YTD  % 14% 11% 11% Note:  Includes CJ Sales  Tax. 2011 2012 2012 Actual Budget Actual $ % $ % Crim Just Sales  Tax 433,145$          446,881$      469,776$        36,630$     8% 22,895$      5% Judicial Contribution 11,234                6,000               5,658                 (5,576)          ‐50% (342)                ‐6% Crim Just ‐ High Crime 47,179                ‐                     46,747              (432)               ‐1% 46,747         100% Crim Just ‐ Pop 4,821                   ‐                     5,086                 265               5% 5,086            100% Crim Just ‐ Spec  Prog 18,203                16,481            19,194              991               5% 2,713            16% State DUI 3,924                   3,125               4,438                 514               13% 1,312            42% Liquor Profits 168,155             172,438         123,076           (45,079)       ‐27% (49,362)         ‐29% Liquor Excise  Tax 104,651             106,927         109,021           4,369           4% 2,094            2% Fuel  Tax 299,855             298,261         298,472           (1,383)         0% 211                 0% YTD  Total 1,091,168$     1,050,113$  1,081,467$   (9,700)$       ‐1% 31,355$      3% Annual Total 4,495,551$     4,437,913$   2012 vs. Budget State  Shared Revenues 2012 vs. 2011 Revenue Year to Date through March Page 6 of 37 Monthly Financial Report March 2012      Recreation  Recreation revenues totalled $105k for  the current month.  Compared to the  same month the prior year, the City  collected $5k or 5% more.  Compared to  the projected monthly budget, the City  collected $6k or 5% less.  The year‐to‐ date collection of $226k is $18k or 7%  less than the prior year and is also $45k  or 17% less than the budget.                  Interfund Services  The year‐to‐date collections for Interfund  Services revenues are $743k.  Compared  to the prior year, the revenues are under  by $37k or 5%.  Compared to the  projected budget, the revenues are  below by $124k 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 budget variance is  due to January and February  maintenance activity that was not  recorded in those months and was corrected in March.      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 $664k.  This is $76k or 10% lower than  a year ago and also $82k or 11% below  the budget.    2011 2012 2012 Actual Budget Actual $ % $ % Jan 258,617$      287,565$      237,384$      (21,232)$      ‐8% (50,181)$      ‐17% Feb 251,772         279,954         234,758         (17,014)         ‐7% (45,196)         ‐16% Mar 269,526         299,696         271,071         1,545            1% (28,625)         ‐10% Apr 249,538         277,470         ‐                      May 255,425         284,016         ‐                      Jun 234,878         261,169         ‐                      Jul 238,262         264,932         ‐                      Aug 229,627         255,330         ‐                      Sep 237,006         263,535         ‐                      Oct 270,340         300,600         ‐                      Nov 266,859         296,730         ‐                      Dec 308,654         343,203         ‐                      YTD  Total 779,915$      867,214$      743,213$      (36,702)$      ‐5% (124,001)$   ‐14% Annual Total 3,070,506$  3,414,200$   Interfund Services Year to Date through March 2012 vs. 2011 2012 vs. Budget Month 2011 2012 2012 Actual Budget Actual $ % $ % Jan 165,721$      169,834$      183,478$      17,757$      11% 13,644$      8% Feb 261,655         262,221         238,928         (22,727)         ‐9% (23,293)         ‐9% Mar 313,067         314,171         241,678         (71,389)         ‐23% (72,493)         ‐23% Apr 289,767         288,252          May 255,949         255,826          Jun 262,444         261,662          Jul 247,468         249,471          Aug 184,473         189,735          Sep 181,000         185,846          Oct 300,431         385,882          Nov 297,580         299,240          Dec 352,911         352,016          YTD Total 740,442$      746,225$      664,083$      (76,358)$      ‐10% (82,142)$      ‐11% Annual Total 3,112,464$  3,214,156$   2012 vs. Budget2012 vs. 2011 Year  to Date through March Fines  and Penalties by Month Month 2011 2012 2012 Actual Budget Actual $ % $ % Jan 61,933$         68,872$         62,072$         138$              0% (6,800)$         ‐10% Feb 82,497            91,739            59,327            (23,170)         ‐28% (32,412)         ‐35% Mar 99,537            110,688         104,775         5,238            5% (5,913)            ‐5% Apr 153,717         170,938         ‐                      May 134,113         149,138         ‐                      Jun 144,083         160,224         ‐                      Jul 211,388         235,070         ‐                      Aug 254,060         282,523         ‐                      Sep 142,253         158,189         ‐                      Oct 83,540            92,899            ‐                      Nov 77,528            86,214            ‐                      Dec 48,890            54,368            ‐                      YTD  Total 243,967$      271,299$      226,174$      (17,793)$      ‐7% (45,125)$      ‐17% Annual Total 1,493,540$  1,660,863$   Recreation Year to Date through March 2012 vs. Budget2012 vs. 2011 Month Page 7 of 37 Monthly Financial Report March 2012      Year  to Date through March 2011 2012 2012 Actual Budget Actual $ % $ % Civil Penalties 2,901$            4,060$            1,667$            (1,235)$         ‐43% (2,393)$         ‐59% Civil Infraction Penalties 141,715         152,033         111,839         (29,876)         ‐21% (40,193)         ‐26% Civil Parking Infraction Penalties 20,846            22,735            19,964            (882)                ‐4% (2,771)            ‐12% Photo Enforcement Program 527,825         540,877         475,558         (52,266)         ‐10% (65,319)         ‐12% Criminal Traffic  Misdemeanor Fines 18,121            16,404            16,774            (1,346)            ‐7% 370                 2% Criminal Non‐Traffic  Fines 6,143               7,894               4,364               (1,779)            ‐29% (3,531)            ‐45% Criminal Costs 22,851            2,157               22,054            (797)                ‐3% 19,897         922% Seizure  Funds  ‐ Federal/State/Local ‐                      ‐                     11,738            11,738         100% 11,738         100% Non‐Court Fines, Forfeitures  and Penalties 40                       65                       125                    85                    213% 60                    91% YTD  Total 740,442$      746,225$      664,083$      (76,358)$      ‐10% (82,142)$      ‐11% Annual Total 3,112,464$  3,214,156$   Revenue 2012 vs. Budget Fines  and Penalties by Type 2012 vs. 2011       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 $476k.  The associated costs  includes the equipment provided by American  Traffic Solutions, Inc. (ATS), dedicated 2 FTEs in the  Court Services Department to process the increased  caseload and 1.1 FTEs in the Police Department for  support services.  This staff time, along with a 90%  pro tem budget and interpreter costs amounts to  $362k for personnel costs.  The total costs for the  program equates to $842k which is represented in  the table.            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 71% of the total  revenue in this category.  The year‐to‐date  total miscellaneous is $394k.  Compared to  last year, the revenues are over by $82k or  26%.  Compared to the projected year‐to‐ date budget, the revenues are over by $129k  or 49%.  The table on the next page breaks  out miscellaneous revenues by type:    2011 2012 2012 Actual Budget Actual $ % $ % Jan 143,105$      129,601$      206,151$      63,046$      44% 76,550$      59% Feb 70,237            54,283            83,823            13,585         19% 29,540         54% Mar 99,131            81,184            104,421         5,289            5% 23,236         29% Apr 74,048            61,628             May 97,083            84,780             Jun 145,018         116,531          Jul 173,878         129,148          Aug 133,570         104,016          Sep 97,973            80,880             Oct 75,425            63,490             Nov 77,427            64,538             Dec 163,299         152,620          YTD  Total 312,474$      265,069$      394,394$      81,920$      26% 129,326$   49% Annual  Total 1,350,195$  1,122,699$   Ye ar to Date through March Month 2012 vs. Budget2012 vs. 2011 Miscellaneous  Revenues by Month Favorable Budget Actual Budget Actual (Unfavorable) 1 Jan 169,793$      183,453$      76,201$        68,003$      115,449$         Feb 167,986         147,252         76,693           67,808         79,444               Mar 203,098         144,853         76,201           67,639         77,215               Apr 181,989          ‐                     53,048           ‐                  ‐                        May 160,960         ‐                     71,882           ‐                  ‐                        Jun 180,018         ‐                     71,871           ‐                  ‐                        Jul 155,574         ‐                     72,275           ‐                  ‐                        Aug 98,678            ‐                     56,688           ‐                  ‐                        Sep 83,853            ‐                     71,527           ‐                  ‐                        Oct 145,798         ‐                     71,420           ‐                  ‐                        Nov 211,430         ‐                     71,884           ‐                  ‐                        Dec 185,536         ‐                     72,273           ‐                  ‐                        YTD  Total 540,877$      475,558$      229,095$     203,451$   272,108$         Annual Total 1,944,713$  841,964$      1Actuals  of Revenues and Expenses Revenues Expenses Photo Enforcement Program Year to Date through March Month Page 8 of 37 Monthly Financial Report March 2012      2011 2012 2012 Actual Budget Actual $ % $ % Interests  and Other Earnings 17,599$         20,590$         20,892$         3,293$         19% 302$              1% Rents, Leases, and Concessions 219,861         207,059         260,753         40,893         19% 53,695         26% Contributions/Donations  from Private Sources 43,874            23,434            37,447            (6,426)            ‐15% 14,013         60% Other 31,141            13,986            75,302            44,161         142% 61,316         438% YTD  Total 312,474$      265,069$      394,394$      81,920$      26% 129,326$   49% Annual Total 1,350,195$  1,122,699$   2012 vs. Budget Miscellaneous  Revenues by Type Year to Date through March Revenue 2012 vs. 2011     Rents, leases and concessions are higher than the prior year and budget due to higher than expected facility rentals at the  community center and food concession payments at Coulon Park.    Contributions and donations from private sources are higher than the prior year and budget due to the timing of donations  received.    Other miscellaneous revenues are higher than the prior year and budget due to higher than expected utility late payment  penalties.      EXPENSES  Overall the City has expended 22% of its budgeted general governmental expenditures at the end of March.  This is $398k  or 1.8% below year‐to‐date budgeted expenditures.  See below for summary of unfavorable items for general governmental  departments.    Administrative Services Department (Finance and City Clerk) is over budget by $57k or 10%.  This is due to the spending  patterns of the 1st Quarter of 2012 compared to 2010 and 2011.  The year‐to‐date budget should even out later in the year.    Fire and Emergency Services Department is over budget by $74k or 1.1%.  This is mainly due to over spending on supplies  and intergovernmental ($107k) and under spending in professional services ($15k).    Community Services Department is over budget by $18k or 1%.  This is mainly due to over spending on salaries/benefits  ($5k) and professional services ($30k) and under spending in supplies ($19k).     Page 9 of 37 Monthly Financial Report March 2012      CASH AND INVESTMENTS – 1ST QUARTER  The current cash and investments  (C&I) portfolio is provided in the  table to the right.  The City’s  current C&I balance is $90.8  million, of this amount; $1.5 million  is an interfund loan investment  (Res 4070) from the general fund  (000) to the golf course fund (404).   This interfund loan is due in full on  December 1st 2015.    Currently the majority of the  portfolio is located in cash deposits  (US Bank).  The rest is spread out  between the State Investment  Pool, various certificates of  deposits, and the interfund loan.    The existing portfolio yield is  approximately .66%.  The majority  (.24%) lies within the cash at US  Bank.    US Bank ‐Cash 49% State Investment Pool 11% Golf Course  Interfund  Loan 2% First Savings Bank Northwest 5% Columbia Bank 7% Fortune Bank (CDARS) 2% Sterling Bank 6% Umpqua Bank 11% Commencement Bank  (CDARS) 7% Distribution by Institution (Percent of Cash & Investment Portfolio)      Deposit Total Maturity Date APY Weighted  Yield Current  Allocation of Cash  and Investments Allowed by  Policy Current Principal  Balance Cash US Bank ‐ Cash 44,401,384 overnight 0.50% 0.24% 48.90% N/A 44,401,384           355,000 12/01/2012 2.25% 0.01% 375,000 12/13/2013 2.25% 0.01% 395,000 12/01/2014 2.25% 0.01% 410,000 12/01/2015 0.85% 0.01% 1,535,000           US Treasury Securities none ‐                     N/A N/A 0.00%100%‐                              Local Government Investment Pool State Investment Pool 9,893,782 overnight 0.13% 0.01% 21.32% 75.00% 9,893,782           US Federal Agency Securities * ‐                     0.00% 100.00%‐                              Certificate of Deposit First Savings Bank Northwest 2,328,105 08/24/2012 0.92% 0.02% 2,328,848 08/24/2012 0.92% 0.02% Columbia Bank 2,768,975 01/11/2014 0.69% 0.02% 2,000,000 11/05/2012 1.12% 0.02% 2,015,400 11/09/2016 0.99% 0.02% Fortune Bank (CDARS) 1,504,108 06/14/2012 0.80% 0.01% Fortune Bank 250,839 12/23/2012 0.75% 0.00% Sterling Bank 5,000,000 06/16/2012 0.70% 0.04% 10.77% 20.00% 5,000,000           Umpqua Bank 5,140,000 05/18/2012 0.90% 0.05% 5,042,636 12/25/2012 1.20% 0.07% Commencement Bank (CDARS)1,000,000 09/20/2012 1.50% 0.02% CDARS 5,100,192 09/06/2013 1.00% 0.06% Traditional 500,000 10/27/2013 1.00% 0.01% Commercial Paper ‐                                none N/A 0.00% 5.00% TOTAL CASH & INVESTMENTS 90,809,267$ 0.66% 100.00% 90,809,267$         Institution Golf Interfund Loan 3.31% N/A 20.00%10.03% 20.00%14.62% 4,656,953             6,784,375             14.22% 20.00% 6,600,192             1,754,947             10,182,636           20.00%3.78% 20.00%21.94% Page 10 of 37 Monthly Financial Report March 2012      ENTERPRISE FUNDS  The table below gives an analysis of all City Enterprise funds.  Displayed are the year‐to‐date revenues and expenditures for  each enterprise.  Included in each fund are the capital revenues and expenditures.      Airport Golf Course Solid Waste  Utility Water Utility Wastewater  Utility Surface  Water  Utility Metro REVENUES: Licenses  and permits ‐                 ‐             ‐                 ‐               10,090         8,150         ‐               Grants  / intergovernmental 87,907            ‐             107,838          52,524         ‐               337,907     ‐               Charges  for services 20,214            212,696     3,803,009       3,157,495    2,067,559    1,905,500  3,353,349    Interdepartmental  services ‐                 ‐             3,031              65,077         72,285         156,606     ‐               Fines  and penalties ‐                 ‐             ‐                 ‐               ‐               ‐             ‐               Rents, leases, and misc fees 568,755          42,755       18,000            32,506         ‐               ‐             ‐               Interest and other misc 2,289              1,024         8,800              46,410         111,233       53,818       1,081           TOTAL REVENUES 679,165          256,475     3,940,678       3,354,012    2,261,167    2,461,981  3,354,430    EXPENSES: Utility billing ‐                 ‐             24,788            22,102         17,125         25,787       ‐               Utility systems ‐                 ‐             2,925,525       656,933       614,225       562,167     ‐               Utility maintenance ‐                 ‐             69,298            1,086,885    341,116       455,551     3,239,310    Transportation 324,120          ‐             ‐                 ‐               ‐               ‐             ‐               Golf ‐                 386,123     ‐                 ‐               ‐               ‐             ‐               TOTAL EXPENSES 324,120          386,123     3,019,611       1,765,920    972,466       1,043,505  3,239,310    AMOUNT AVAILABLE FOR DEBT SERVICE 355,045          (129,648)    921,067          1,588,092    1,288,701    1,418,476  115,120       DEBT SERVICE: Principal ‐                 ‐             ‐                 ‐               ‐               ‐             ‐               Interest and other debt service costs ‐                 ‐             ‐                 ‐               ‐               ‐             ‐               TOTAL DEBT SERVICE ‐                 ‐             ‐                 ‐               ‐               ‐             ‐               CAPITAL  PROJECTS 107,699          11,369       ‐                 244,313       441,441       666,575     ‐               TRANSFERS IN/(OUT)‐                 ‐             ‐                 ‐               ‐               ‐             ‐               CH ANGE IN FUND BALANCE 247,346          (141,017)    921,067          1,343,779    847,260       751,901     115,120       BEGINNING FUND BALANCE, January 1, 2012 2,084,710       615,488     1,734,734       7,642,506    1,209,356    4,210,599  1,077,805    ENDING FUND BALANCE, March  31, 2012 2,332,056       474,471     2,655,801       8,986,285    2,056,616    4,962,500  1,192,925      Page 11 of 37 Monthly Financial Report March 2012      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 ‐            19,510         ‐              ‐                       ‐               ‐                ‐             Grants  / intergovernmental ‐            17,500        1,915           ‐                       ‐               ‐               43,637        Charges  for services Equipment rental  m&o 564,524     529,094       ‐              ‐                       ‐               ‐                ‐             Telecommunications ‐            46,584         ‐              ‐                       ‐               ‐                ‐             Print and mail ‐            26,658         ‐             99,272                  ‐               ‐                ‐             Communications ‐             ‐               ‐             147,820                ‐               ‐                ‐             Facilities ‐             ‐              1,043,360    ‐                       ‐               ‐                ‐             Data  cards  and cell  phones ‐            37,525        ‐             ‐                      ‐              ‐                ‐             IT service contracts ‐            79,008        ‐             ‐                      ‐              ‐                ‐             Geographical  information systems ‐            49,214        ‐             ‐                      ‐              ‐                ‐             Interest and other misc 4,620         2,024          448             161                      5,897           7,246           5,487          Internal service fund misc: Vehicle  / equipment capital  recovery 239,890     235,678      ‐             ‐                      ‐              ‐                ‐             Insurance premiums ‐            ‐              ‐             ‐                      391,021       ‐                ‐             Worker's  compensation  / unemployment ‐            ‐              ‐             ‐                      336,411       ‐                ‐             Benefit premiums ‐            ‐              ‐             ‐                      ‐              2,763,500    552,374      Other misc 153            126             2,591          126                      199              176,737       ‐             Capital  contributions ‐            ‐              ‐             ‐                      ‐              ‐                ‐             Disposal  of capital  assets ‐            ‐              ‐             ‐                      ‐              ‐                ‐             Insurance recoveries ‐            ‐              ‐             ‐                      20,572         50                17               TOTAL REVENUES 809,187     1,042,921   1,048,314   247,379               754,100       2,947,533    601,515      EXPENSES: Communications 112,373                Equipment rental 599,912      Facilities 838,114       Healthcare 2,249,212     Information technology 793,176       Print and mail 97,132                  Retiree  healthcare 269,006      Risk management Risk management 826,666        Unemployment 42,976          Worker's  compensation 200,317        TOTAL EXPENSES 599,912     793,176      838,114      209,505               1,069,959    2,249,212    269,006      AMOUNT AVAILABLE FOR CAPITAL 209,275     249,745      210,200      37,874                 (315,859)     698,321       332,509      CAPITAL PROJECTS 211,047     318,437      47,602        ‐                      ‐              ‐                ‐             TRANSFERS IN ‐            ‐              ‐             ‐                      ‐              ‐                ‐             TRANSFERS (OUT)‐            ‐              ‐             ‐                      ‐              ‐                ‐             CHANGE  IN FUND BALANCE (1,772)       (68,692)       162,598      37,874                 (315,859)     698,321       332,509      BEGINNING FUND BALANCE, January 1, 2012 4,774,376  2,181,743   300,238      141,120               6,620,437    7,133,996    5,479,399   ENDING FUND BALANCE, March  31, 2012 4,772,604  2,113,051   462,836      178,994               6,304,578    7,832,317    5,811,908   Page 12 of 37 Monthly Financial Report March 2012      FUND BALANCE  Page 14 shows the ending fund balance as of March 2012.  The City’s fund balance is a combination of current  deficit/surplus of funds which have accrued from unexpended operating budgets, unanticipated excess revenues, and from  balances accumulated from prior years.      The prior year’s balances (or beginning balance) include funds identified as being reserved for specific purposes or required  to meet the current year’s appropriations. These balances also provide financial stability to the City’s operation during  uncertain times and provide a layer of security to bondholders.      At the end of March, the City has $5 million reported in the combined general governmental fund balance of the current  year’s operating budget, which is approximately 5% of budgeted operating expenditures.  This is a decrease of $6.1 million  from the year’s beginning balance.  March’s ending fund balance is over the anticipated General Governmental Fund  Balance of $2.9 million by $2 million or 73.9%.  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 2012 property taxes in April/May and second half in  October/November.    CONTACT INFORMATION  This report is prepared by the Finance Division of the Administrative Services Department.  For additional financial  information, please also review our website: http://www.rentonwa.gov/.  For any questions about the report, please feel  free to contact us at hnguyen@rentonwa.gov or JDThomas@Rentonwa.gov.  Page 13 of 37 Monthly Financial Report March 2012      City  of Renton All Funds ‐ Revenue, Expenditures and Fund  Balances Cash  Basis through March 31, 2012 Funds Balance  01/01/2012 Budgeted  Revenue Revenue  03/31/12 Total Funds   Available Budgeted  Expenditure Expenditure  03/31/12 Ending   Balance GENERAL GOVERNMENT FUNDS:11,057,551       101,591,685   16,218,914     27,276,465         100,468,787       22,281,867          4,994,598       000 General 6,934,747         74,013,147     11,869,999     18,804,746         73,638,578         17,726,701          1,078,045       001 Community Services 1,413,050         11,241,005     2,031,534       3,444,584           11,007,906         2,224,072            1,220,511       003 Street 1,264,341         8,953,479       1,465,196       2,729,537           8,440,487           1,936,035            793,502          004 Community Dev Block Grant 8,339                305,961          73,144            81,483                303,281              66,791                 14,692            005 Museum 52,620              216,220          216,306          268,926              213,533              53,787                 215,139          006 Library 48,603              230,000          41                   48,644                230,000              7,500                   41,144            009 Farmers  Market 87,437              75,500            16,877            104,314              78,629                15,658                 88,656            010 Fire  Memorial 1,953                ‐                      ‐                     1,953                  ‐                          ‐                          1,953              011 Fire  Health & Wellness 36,858              25,000            6,474              43,332                25,000                1,005                   42,327            031 Pa rk  Memorial 177,758            ‐                      171                 177,929              ‐                          ‐                          177,929          201 Ltd  GO Bonds  Gen Govt Debt 591,257            1,982,075       208,609          799,866              1,982,075           ‐                          799,866          215 Gen Govt Misc Debt Service 440,588            4,549,298       330,563          771,151              4,549,298           250,317               520,834          SPECIAL REVENUE FUNDS: 102 Arterial  Street 158,974            630,000          140,700          299,674              630,000              ‐                          299,674          108 Leased  City Properties 488,500            971,049          124,482          612,982              876,232              118,172               494,810          110 Hotel Motel 243,556            265,000          106,538          350,094              265,000              230,145               119,949          118 Reserve for Paths  & Trails 3,314                 ‐                      3                     3,317                   ‐                           ‐                          3,317              125 1% For Art 121,686            15,000            117                 121,803              50,000                ‐                          121,803          127 Cable  Communication 185,968            85,000            53,954            239,922              85,674                2,137                   237,785          135 Springbrook Wetlands  Bank 663,556            ‐                      638                 664,194              ‐                          ‐                          664,194          DEBT SERVICE FUNDS: 219 1989 Unlimited GO Bonds ‐                         ‐                       ‐                      ‐                           ‐                           ‐                           ‐                     CAPITAL PROJECT FUNDS (CIP): 303 Community Dev Mitigation 1,475,050         60,000            1,419              1,476,469           ‐                          ‐                          1,476,469       304 Fire Mitigation 1,492,674         100,000          3,963              1,496,637           536,926              ‐                          1,496,637       305 Transportation Mitigation 657,187            150,000          3,012              660,199              400,000              ‐                          660,199          316 Municipal Facilities CIP 3,745,546         760,000          189,110          3,934,656           1,170,000           553,249               3,381,407       317 Transportation CIP 3,422,219         21,418,181     969,640          4,391,859           21,603,852         1,000,911            3,390,948       318 So Lake  WA Infrastructure Proj 52,792              ‐                      50                   52,842                ‐                          441                      52,401            326 Housing Opportunity 130,546            ‐                      1,335              131,881              ‐                          ‐                          131,881          336 New Library Development 19,196,447       ‐                      17,262            19,213,709         8,000,000           174,882               19,038,827     ENTERPRISE FUNDS: 402 Airport 494,718            1,862,168       409,800          904,518              1,288,846           324,120               580,398          403 Solid Waste  Utility 1,734,734         15,004,692     3,940,678       5,675,412           14,972,362         3,019,611            2,655,801       404 Golf Course 379,997            2,483,545       256,242          636,239              2,542,204           411,126               225,113          422 Airport Capital 1,589,992         3,275,003       269,365          1,859,357           4,766,203           107,699               1,751,658       424 Golf Course  Capital 235,491            100,000          25,236            260,727              100,000              11,369                 249,358          INTERNAL SERVICE FUNDS: 501 Equipment Repair/Replacement 4,774,376         3,079,893       809,187          5,583,563           3,145,756           810,958               4,772,605       502 Insurance 6,620,437         3,187,593       754,100          7,374,537           2,930,079           1,069,959            6,304,578       503 Information Services 2,181,743         4,118,173       1,042,921       3,224,664           4,409,226           1,111,613            2,113,051       504 Facilities 300,238            4,324,987       1,048,314       1,348,552           4,379,434           885,716               462,836          505 Communications 141,120            974,307          247,379          388,499              991,015              209,504               178,995          512 Insurance, Healthcare 7,133,996         12,014,224     2,947,533       10,081,529         11,996,739         2,249,212            7,832,317       522 Insurance, Leoff1 Retirees HC 5,479,399         2,235,684       601,516          6,080,915           2,262,573           269,006               5,811,909       FIDUCIARY FUNDS: 611 Firemen's  Pension 4,377,696         300,000          1,753              4,379,449           550,475              69,843                 4,309,606       Funds Balance  01/01/2012 Budgeted  Revenue Revenue  03/31/12 Total Funds   Available Budgeted  Expenditure Expenditure  03/31/12 Ending   Balance ENTERPRISE FUNDS: COMBINED  UTILITIES 14,140,266       47,683,644     11,431,588     25,571,854         46,070,637         8,373,530            17,198,324     405 Water Utility 3,993,415         11,106,460     2,660,525       6,653,940           10,662,036         1,765,920            4,888,020       406 Waste Water Utility 685,178            5,888,574       1,399,054       2,084,232           5,130,805           972,466               1,111,766       407 Surface  Wa ter Utility 1,625,915         5,469,223       1,451,100       3,077,015           4,968,409           1,043,505            2,033,510       416 King County Metro 1,077,805         13,209,387     3,354,430       4,432,235           13,209,387         3,239,310            1,192,925       425 Water Utility Construction 3,633,246         5,200,000       693,471          4,326,717           5,350,000           244,313               4,082,404       426 Waste  Water Construction 524,178            3,310,000       862,113          1,386,291           3,250,000           441,441               944,850          427 Surface  Water Construction 2,584,684         3,500,000       1,010,880       3,595,564           3,500,000           666,575               2,928,989       461 Waterworks  Bond Reserve ‐                         ‐                       ‐                      ‐                           ‐                           ‐                           ‐                     471 Waterworks  Rate  Stabilization 15,845              ‐                      15                   15,860                ‐                          ‐                          15,860            481 Future W/S Bond Proceeds ‐                        ‐                      ‐                     ‐                          ‐                          ‐                          ‐                     Note:  Waterworks  Utility Funds  are managed as a  system and are designated by the  dotted lines.  Page 14 of 37 City of Renton General Government Financial Position 2011 Budget Year General Government Summary  Revenues Expenditures  $ Difference over (under)  w/beginning  balance  11,057,551             January 5,169,136              6,667,414              (1,498,278)             9,559,274               February 10,715,775            15,284,017            (4,568,242)             6,489,309               March 16,218,914            22,281,867            (6,062,953)             4,994,598               April 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 15 of 37 City of Renton Monthly Revenue Analysis ‐ 2011 Budget Year General  Government Budget YTD Actual Annual %  over (under) Jan 5,177,686        5,169,136         ‐0.17% Feb 10,661,236      10,715,775      0.51% Mar 16,212,898      16,218,914      0.04% Apr 29,811,735       May 44,765,022       Jun 49,576,341       Jul 55,545,967       Aug 60,654,624       Sep 66,677,448       Oct 80,091,446       Nov 94,892,892       Dec 101,591,685     Percent of budget 15.96% 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 255,343           149,112            ‐41.60% Feb 572,253           234,689            ‐58.99% Mar 1,247,748        1,115,068         ‐10.63% Apr 9,024,212         May 17,133,271       Jun 17,231,849       Jul 17,337,932       Aug 17,422,058       Sep 17,843,166       Oct 24,750,333       Nov 32,724,934       Dec 32,896,746       Percent of budget 3.39% $‐ $3  $6  $9  $12  $15  $18  $21  $24  $27  $30  $33  Budget Actual Last Year Page 16 of 37 City of Renton Monthly Revenue Analysis ‐ 2011 Budget Year Sales Tax Budget YTD Actual Annual %  over (under) Jan 1,552,198        1,493,022         ‐3.81% Feb 3,549,657        3,645,170        2.69% Mar 5,080,681        5,103,858        0.46% Apr 6,625,498         May 8,384,823         Jun 9,969,656         Jul 11,554,021       Aug 13,258,722       Sep 14,907,971       Oct 16,615,185       Nov 18,322,808       Dec 19,965,647       Percent of budget 25.56% 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 1,423,448        1,469,178        3.21% Feb 2,936,432        2,981,716        1.54% Mar 4,482,830        4,420,232         ‐1.40% Apr 5,916,252         May 7,266,402         Jun 8,522,519         Jul 9,762,636         Aug 10,979,816       Sep 12,205,670       Oct 13,458,742       Nov 14,740,056       Dec 16,155,203       Percent of budget 27.36% Note:  Includes Natural Gas Use Tax. $0  $2  $4  $6  $8  $10  $12  $14  $16  Budget Actual Last Year Page 17 of 37 City of Renton Monthly Revenue Analysis ‐ 2011 Budget Year Licenses &  Permits Budget YTD Actual Annual %  over (under) Jan 179,209           218,837           22.11% Feb 303,772           388,194           27.79% Mar 495,614           595,917           20.24% Apr 721,466            May 883,222            Jun 1,025,529         Jul 1,257,216         Aug 1,551,253         Sep 1,768,424         Oct 2,019,748         Nov 2,211,675         Dec 2,403,331         Percent of budget 24.80% 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 401,119           462,865           15.39% Feb 915,032           1,007,561        10.11% Mar 1,358,397        1,389,752        2.31% Apr 2,344,433         May 4,599,738         Jun 5,211,152         Jul 5,769,160         Aug 6,293,933         Sep 6,754,771         Oct 8,152,834         Nov 10,545,615       Dec 12,257,101       Percent of budget 11.34% Note:  Includes CJ Sales Tax. $‐ $1  $2  $3  $4  $5  $6  $7  $8  $9  $10  $11  $12  $13  $14  Millions Budget Actual Last Year Page 18 of 37 City of Renton Monthly Revenue Analysis ‐ 2011 Budget Year Charges for  Services Budget YTD Actual Annual %  over (under) Jan 416,181           374,426            ‐10.03% Feb 876,990           788,975            ‐10.04% Mar 1,402,675        1,308,436         ‐6.72% Apr 1,977,253         May 2,559,130         Jun 3,107,345         Jul 3,747,859         Aug 4,435,671         Sep 4,993,503         Oct 5,488,048         Nov 5,976,544         Dec 6,488,075         Percent of budget 20.17% 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 169,834           183,478           8.03% Feb 432,054           424,528            ‐1.74% Mar 746,225           668,907            ‐10.36% Apr 1,034,478         May 1,290,304         Jun 1,551,967         Jul 1,801,437         Aug 1,991,172         Sep 2,177,018         Oct 2,562,900         Nov 2,862,140         Dec 3,214,156         Percent of budget 20.81% $‐ $0.50  $1.00  $1.50  $2.00  $2.50  $3.00  $3.50  Budget Actual Last Year Page 19 of 37 City of Renton Monthly Revenue Analysis ‐ 2011 Budget Year Other Taxes Budget YTD Actual Annual %  over (under) Jan 650,754           612,068            ‐5.94% Feb 891,088           954,879           7.16% Mar 1,133,369        1,216,856        7.37% Apr 1,826,182         May 2,221,338         Jun 2,412,957         Jul 3,643,161         Aug 3,945,386         Sep 4,229,695         Oct 5,134,578         Nov 5,535,483         Dec 6,050,976         Percent of budget 20.11% 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 129,601           206,151           59.07% Feb 183,884           289,974           57.69% Mar 265,069           394,394           48.79% Apr 326,696            May 411,476            Jun 528,008            Jul 657,155            Aug 761,171            Sep 842,051            Oct 905,541            Nov 970,079            Dec 1,122,699         Percent of budget 35.13% $‐ $0.20  $0.40  $0.60  $0.80  $1.00  $1.20  $1.40  $1.60 Budget Actual Last Year Page 20 of 37 City of Renton Monthly Revenue Analysis ‐ 2011 Budget Year Other  Financing Budget YTD Actual Annual %  over (under) Jan ‐                          ‐                         N/A Feb 73                     90                     23.00% Mar 291                   5,494                1788.14% Apr 15,265               May 15,317               Jun 15,359               Jul 15,390               Aug 15,442               Sep 955,178            Oct 1,003,537         Nov 1,003,558         Dec 1,037,752         Percent of budget 0.53% YTD Annual % Millions Real Estate Excise Tax $‐ $2.00  $4.00  $6.00  $8.00  $10.00  $12.00  Millions Other Financing Sources Budget Actual Last Year REET Budget Actual over (under) Jan 158,072           77,631               ‐50.89% Feb 255,393           291,768           14.24% Mar 393,741           495,352           25.81% Apr 502,119            May 655,898            Jun 879,012            Jul 993,789            Aug 1,149,532         Sep 1,350,432         Oct 1,535,639         Nov 1,863,587         Dec 2,025,000         Percent of budget 24.46% $‐ $0.50  $1.00  $1.50  $2.00  $2.50  Millions Budget Actual Last Year Page 21 of 37 City of Renton Monthly Expenditure Analysis ‐ 2011 Budget Year General  Government Budget YTD Actual Annual %  over (under) Jan 7,159,501        6,667,414         ‐6.87% Feb 15,479,015      15,284,017       ‐1.26% Mar 22,679,391      22,281,867       ‐1.75% Apr 32,885,245       May 41,086,528       Jun 49,407,682       Jul 58,035,836       Aug 66,615,729       Sep 75,130,713       Oct 83,223,433       Nov 91,435,213       Dec 100,468,787     Percent of budget expended 22.18% 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 23,052              21,995               ‐4.59% Feb 47,250              45,516               ‐3.67% Mar 71,106              68,811               ‐3.23% Apr 94,952               May 118,463            Jun 142,332            Jul 166,209            Aug 189,913            Sep 213,507            Oct 235,771            Nov 259,647            Dec 284,087            Percent of budget expended 24.22% $‐ $50,000  $100,000  $150,000  $200,000  $250,000  $300,000  Budget Actual Last Year Page 22 of 37 City of Renton Monthly Expenditure Analysis ‐ 2011 Budget Year Executive Budget YTD Actual Annual %  over (under) Jan 115,566           75,851               ‐34.37% Feb 234,736           193,315            ‐17.65% Mar 352,251           312,540            ‐11.27% Apr 476,167            May 597,036            Jun 714,061            Jul 838,503            Aug 949,052            Sep 1,083,306         Oct 1,204,110         Nov 1,318,583         Dec 1,468,694         Percent of budget expended 21.28% Hearing YTD Annual %  $‐ $0.30  $0.60  $0.90  $1.20  $1.50  $1.80  Millions Executive Budget Actual Last Year $180 000 Hearing Examiner Examiner Budget Actual over (under) Jan 8,732                1,731                 ‐80.18% Feb 15,470              3,485                 ‐77.47% Mar 20,317              16,343               ‐19.56% Apr 25,330               May 30,687               Jun 36,506               Jul 42,088               Aug 47,349               Sep 53,136               Oct 58,229               Nov 65,292               Dec 71,025               Percent of budget expended 23.01% $‐ $30,000  $60,000  $90,000  $120,000  $150,000  $180,000  Budget Actual Last Year Page 23 of 37 City of Renton Monthly Expenditure Analysis ‐ 2011 Budget Year City Attorney Budget YTD Actual Annual %  over (under) Jan 135,939           136,926           0.73% Feb 280,202           277,093            ‐1.11% Mar 419,912           419,219            ‐0.16% Apr 560,129            May 698,477            Jun 838,962            Jul 978,014            Aug 1,116,943         Sep 1,255,965         Oct 1,386,265         Nov 1,523,461         Dec 1,668,686         Percent of budget expended 25.12% YTD Annual % $2 20 Millions Court Services $‐ $0.40  $0.80  $1.20  $1.60  Millions City Attorney Budget Actual Last Year Court Services Budget Actual over (under) Jan 174,315           166,993            ‐4.20% Feb 343,541           334,252            ‐2.70% Mar 519,637           504,905            ‐2.84% Apr 695,808            May 868,112            Jun 1,065,771         Jul 1,247,962         Aug 1,428,172         Sep 1,611,434         Oct 1,777,831         Nov 1,956,497         Dec 2,147,819         Percent of budget expended 23.51% $‐ $0.20  $0.40  $0.60  $0.80  $1.00  $1.20  $1.40  $1.60  $1.80  $2.00  $2.20  Budget Actual Last Year Page 24 of 37 City of Renton Monthly Expenditure Analysis ‐ 2011 Budget Year CED Admin Budget YTD Actual Annual %  over (under) Jan 77,315              79,562              2.91% Feb 159,341           159,405           0.04% Mar 239,050           239,249           0.08% Apr 318,760            May 398,469            Jun 478,179            Jul 557,987            Aug 637,894            Sep 717,523            Oct 794,989            Nov 873,950            Dec 952,912            Percent of budget expended 25.11% Development YTD Annual %  $‐ $0.20  $0.40  $0.60  $0.80  $1.00  $1.20  Millions Community & Economic Development Admin Budget Actual Last Year Millions Development Services Services Budget Actual over (under) Jan 285,738           239,412            ‐16.21% Feb 554,503           477,272            ‐13.93% Mar 820,791           715,648            ‐12.81% Apr 1,084,998         May 1,367,126         Jun 1,618,928         Jul 1,883,093         Aug 2,121,834         Sep 2,402,670         Oct 2,652,859         Nov 2,910,482         Dec 3,181,944         Percent of budget expended 22.49% $‐ $0.50  $1.00  $1.50  $2.00  $2.50  $3.00  $3.50  Millions Budget Actual Last Year Page 25 of 37 City of Renton Monthly Expenditure Analysis ‐ 2011 Budget Year Economic  Development Budget YTD Actual Annual %  over (under) Jan 57,949              51,733               ‐10.73% Feb 121,700           115,634            ‐4.98% Mar 174,340           164,809            ‐5.47% Apr 231,323            May 296,550            Jun 357,043            Jul 420,160            Aug 475,727            Sep 547,604            Oct 604,832            Nov 669,268            Dec 735,088            Percent of budget expended 22.42% YTD Annual %  $‐ $0.10  $0.20  $0.30  $0.40  $0.50  $0.60  $0.70  $0.80  Millions Economic Development Budget Actual Last Year Millions Planning Planning Budget Actual over (under) Jan 111,447           121,734           9.23% Feb 242,600           245,831           1.33% Mar 344,794           377,067           9.36% Apr 461,325            May 568,088            Jun 719,930            Jul 836,707            Aug 990,965            Sep 1,160,034         Oct 1,277,610         Nov 1,377,062         Dec 1,516,719         Percent of budget expended 24.86% $‐ $0.20  $0.40  $0.60  $0.80  $1.00  $1.20  $1.40  $1.60  $1.80  Millions Budget Actual Last Year Page 26 of 37 City of Renton Monthly Expenditure Analysis ‐ 2011 Budget Year Finance Budget YTD Actual Annual %  over (under) Jan 136,092           152,157           11.80% Feb 272,763           312,270           14.48% Mar 412,217           476,115           15.50% Apr 549,019            May 698,320            Jun 841,002            Jul 975,053            Aug 1,125,622         Sep 1,289,057         Oct 1,416,270         Nov 1,546,148         Dec 1,969,836         Percent of budget expended 24.17% YTD Annual % $0 80 Millions City Clerk $‐ $0.40  $0.80  $1.20  $1.60  $2.00  $2.40  Millions Finance Budget Actual Last Year City Clerk Budget Actual over (under) Jan 57,441              51,770               ‐9.87% Feb 112,475           111,173            ‐1.16% Mar 176,816           170,116            ‐3.79% Apr 320,451            May 434,608            Jun 491,567            Jul 549,792            Aug 606,842            Sep 665,236            Oct 773,721            Nov 833,785            Dec 897,889            Percent of budget expended 18.95% $‐ $0.20  $0.40  $0.60  $0.80  Budget Actual Last Year Page 27 of 37 City of Renton Monthly Expenditure Analysis ‐ 2011 Budget Year Human  Resources Budget YTD Actual Annual %  over (under) Jan 85,534              69,265               ‐19.02% Feb 160,543           145,615            ‐9.30% Mar 235,703           227,236            ‐3.59% Apr 306,383            May 377,353            Jun 458,275            Jul 539,353            Aug 617,162            Sep 695,139            Oct 771,451            Nov 853,247            Dec 946,956            Percent of budget expended 24.00% YTD Annual %  $‐ $0.20  $0.40  $0.60  $0.80  $1.00  Millions Human Resources Budget Actual Last Year $33 Millions Police Police Budget Actual over (under) Jan 2,206,020        1,905,016         ‐13.64% Feb 4,389,322        4,392,199        0.07% Mar 6,577,000        6,307,019         ‐4.10% Apr 9,802,495         May 12,224,630       Jun 14,750,537       Jul 17,291,458       Aug 19,694,067       Sep 22,140,419       Oct 24,468,872       Nov 26,911,238       Dec 29,486,965       Percent of budget expended 21.39% $‐ $3  $6  $9  $12  $15  $18  $21  $24  $27  $30  $33  Budget Actual Last Year Page 28 of 37 City of Renton Monthly Expenditure Analysis ‐ 2011 Budget Year Fire &  Emergency  Services Budget YTD Actual Annual %  over (under) Jan 1,923,042        1,891,121         ‐1.66% Feb 4,570,376        4,615,089        0.98% Mar 6,465,803        6,539,657        1.14% Apr 8,330,757         May 10,290,744       Jun 12,213,296       Jul 14,184,171       Aug 16,224,917       Sep 18,211,842       Oct 20,076,333       Nov 22,068,980       Dec 24,056,171       Percent of budget expended 27.18% Community YTD Annual %  $‐ $3  $6  $9  $12  $15  $18  $21  $24  Millions Fire & Emergency Services Budget Actual Last Year $0 45 Millions Community Services Admin Services Admin Budget Actual over (under) Jan 22,705              39,072              72.09% Feb 69,191              73,790              6.65% Mar 104,084           108,727           4.46% Apr 138,770            May 173,424            Jun 208,186            Jul 243,168            Aug 278,693            Sep 315,161            Oct 349,074            Nov 384,584            Dec 421,043            Percent of budget expended 25.82% $‐ $0.05  $0.10  $0.15  $0.20  $0.25  $0.30  $0.35  $0.40  $0.45  Budget Actual Last Year Page 29 of 37 City of Renton Monthly Expenditure Analysis ‐ 2011 Budget Year Parks Budget YTD Actual Annual %  over (under) Jan 261,786           274,545           4.87% Feb 557,743           551,290            ‐1.16% Mar 852,218           862,246           1.18% Apr 1,167,853         May 1,493,714         Jun 1,847,897         Jul 2,216,513         Aug 2,582,645         Sep 2,964,943         Oct 3,339,297         Nov 3,699,232         Dec 4,034,496         Percent of budget expended 21.37% Parks Planning  and Natural YTD Annual %  $‐ $0.50  $1.00  $1.50  $2.00  $2.50  $3.00  $3.50  $4.00  Millions Parks Budget Actual Last Year $0 60 Millions Parks Planning and Natural Resources Resources Budget Actual over (under) Jan 28,998              36,047              24.31% Feb 69,346              73,127              5.45% Mar 113,087           124,284           9.90% Apr 157,789            May 211,609            Jun 263,308            Jul 323,697            Aug 377,022            Sep 430,152            Oct 488,729            Nov 543,900            Dec 595,868            Percent of budget expended 20.86% $‐ $0.10  $0.20  $0.30  $0.40  $0.50  $0.60  Budget Actual Last Year Page 30 of 37 City of Renton Monthly Expenditure Analysis ‐ 2011 Budget Year Recreation Budget YTD Actual Annual %  over (under) Jan 358,551           304,539            ‐15.06% Feb 717,974           652,057            ‐9.18% Mar 1,088,468        999,673            ‐8.16% Apr 1,455,212         May 1,835,186         Jun 2,239,891         Jul 2,849,851         Aug 3,517,178         Sep 4,068,080         Oct 4,447,445         Nov 4,840,555         Dec 5,263,801         Percent of budget expended 18.99% Human YTD Annual % $1 40 Millions Human Services $‐ $1  $2  $3  $4  $5  $6  Millions Recreation Budget Actual Last Year Services Budget Actual over (under) Jan 52,442              58,787              12.10% Feb 112,820           130,666           15.82% Mar 187,063           266,033           42.22% Apr 365,554            May 464,165            Jun 527,898            Jul 700,951            Aug 775,728            Sep 841,420            Oct 984,322            Nov 1,072,876         Dec 1,250,561         Percent of budget expended 21.27% $‐ $0.20  $0.40  $0.60  $0.80  $1.00  $1.20  $1.40  Budget Actual Last Year Page 31 of 37 City of Renton Monthly Expenditure Analysis ‐ 2011 Budget Year Neighborhoods , Resources,  and Events Budget YTD Actual Annual %  over (under) Jan 42,529              41,419               ‐2.61% Feb 85,318              79,802               ‐6.47% Mar 128,698           129,143           0.35% Apr 179,615            May 228,786            Jun 291,874            Jul 361,214            Aug 426,413            Sep 480,940            Oct 526,500            Nov 579,477            Dec 692,698            Percent of budget expended 18.64% YTD Annual % $2 50 Millions Library Fund $‐ $100,000  $200,000  $300,000  $400,000  $500,000  $600,000  $700,000  Neighborhoods, Resources, and Events Budget Actual Last Year Library Fund Budget Actual over (under) Jan 2,500                2,500                0.00% Feb 5,000                5,000                0.00% Mar 7,500                7,500                0.00% Apr 76,667               May 95,833               Jun 115,000            Jul 134,167            Aug 153,333            Sep 172,500            Oct 191,667            Nov 210,833            Dec 230,000            Percent of budget expended 3.26% $‐ $0.50  $1.00  $1.50  $2.00  $2.50  Budget Actual Last Year Page 32 of 37 City of Renton Monthly Expenditure Analysis ‐ 2011 Budget Year Museum Fund Budget YTD Actual Annual %  over (under) Jan 17,252              17,791              3.12% Feb 34,965              35,736              2.21% Mar 52,434              53,787              2.58% Apr 70,241               May 88,071               Jun 106,029            Jul 124,048            Aug 141,990            Sep 160,056            Oct 177,858            Nov 195,702            Dec 213,533            Percent of budget expended 25.19% 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 38,441              39,864              3.70% Feb 77,369              79,440              2.68% Mar 116,179           119,164           2.57% Apr 154,878            May 193,891            Jun 232,725            Jul 271,807            Aug 311,339            Sep 350,878            Oct 388,230            Nov 426,925            Dec 465,889            Percent of budget expended 25.58% $‐ $0.20  $0.40  $0.60  Budget Actual Last Year Page 33 of 37 City of Renton Monthly Expenditure Analysis ‐ 2011 Budget Year Street  Maintenance Budget YTD Actual Annual %  over (under) Jan 279,287           285,940           2.38% Feb 611,900           614,685           0.46% Mar 918,371           935,153           1.83% Apr 1,215,152         May 1,515,424         Jun 1,821,797         Jul 2,128,792         Aug 2,447,569         Sep 2,764,011         Oct 3,088,569         Nov 3,403,987         Dec 3,728,945         Percent of budget expended 25.08% YTD Annual %  $‐ $0.50  $1.00  $1.50  $2.00  $2.50  $3.00  $3.50  $4.00  Millions Street Maintenance Budget Actual Last Year $5 Millions Transportation Transportation Budget Actual over (under) Jan 343,583           288,400            ‐16.06% Feb 732,773           660,477            ‐9.87% Mar 1,145,011        1,000,881         ‐12.59% Apr 1,487,078         May 1,869,588         Jun 2,288,875         Jul 2,643,630         Aug 3,060,278         Sep 3,428,984         Oct 3,846,248         Nov 4,223,516         Dec 4,711,542         Percent of budget expended 21.24% $‐ $1  $1  $2  $2  $3  $3  $4  $4  $5  $5  Budget Actual Last Year Page 34 of 37 City of Renton Monthly Expenditure Analysis ‐ 2011 Budget Year Debt Service Budget YTD Actual Annual %  over (under) Jan ‐                          ‐                         N/A Feb 250,317           250,317           0.00% Mar 250,317           250,317           0.00% Apr 2,177,124         May 2,721,405         Jun 3,265,687         Jul 3,809,968         Aug 4,354,249         Sep 4,898,530         Oct 5,442,811         Nov 5,987,092         Dec 6,531,373         Percent of budget expended 3.83% Non‐ Departmental YTD Annual % $5 00 Millions Non‐Departmental Other City Services $‐ $2  $4  $6  $8  $10  $12  $14  $16  Millions Debt Service Budget Actual Last Year Other City Budget Actual over (under) Jan 313,245           313,245           0.00% Feb 649,480           649,480           0.00% Mar 886,227           886,227           0.00% Apr 981,416            May 1,226,770         Jun 1,472,124         Jul 1,717,478         Aug 1,962,832         Sep 2,208,186         Oct 2,453,540         Nov 2,698,894         Dec 2,944,248         Percent of budget expended 30.10% $‐ $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 35 of 37 City of Renton Monthly Enterprise Fund Financial Report ‐ 2011 Budget Year Utilities Budget Revenue Expense Jan 3,164,286        4,860,643      3,270,986       Feb 7,740,013        9,712,888      7,451,062       Mar 13,011,714      15,372,251    11,393,139     Apr 16,907,772       May 20,901,033       Jun 28,637,592       Jul 33,611,835       Aug 37,987,613       Sep 43,191,375       Oct 48,302,115       Nov 53,139,220       Dec 61,042,999       Percent of budget expended 12.55% Note:  Operations and Capital $0 $10 $20 $30 $40 $50 $60 $70 Millions Utilities Budget Revenue Expense $7 00 Millions Airport Airport Budget Revenue Expense Jan 428,274           182,302          131,563           Feb 767,296           480,547          293,170           Mar 1,144,707        679,165          431,819           Apr 1,560,870         May 1,883,605         Jun 2,524,289         Jul 2,941,966         Aug 3,666,150         Sep 4,229,875         Oct 4,976,221         Nov 5,555,023         Dec 6,055,049         Percent of budget expended 7.13% Note:  Operations and Capital $‐ $1.00  $2.00  $3.00  $4.00  $5.00  $6.00  $7.00  Budget Revenue Expense Page 36 of 37 City of Renton Monthly Enterprise Fund Financial Report ‐ 2011 Budget Year Golf Course Budget Revenue Expense Jan 60,382              65,568            123,688           Feb 200,592           163,205          259,488           Mar 339,771           281,478          422,495           Apr 428,982            May 529,040            Jun 663,065            Jul 759,813            Aug 867,578            Sep 958,975            Oct 1,043,849         Nov 1,209,132         Dec 2,642,204         Percent of budget expended 15.99% 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 37 of 37