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HomeMy WebLinkAbout201007, July.pdfFINANCE AND  INFORMATION TECHNOLOGY    M   E   M   O   R   A   N   D   U   M       DATE: September 7, 2010    TO: Don Persson, Council President  Members of the Renton City Council     CC: Denis Law, Mayor  Administrators     FROM: Iwen Wang, FIT Administrator     SUBJECT: July 2010 Financial Status Report       At the end of July, general governmental revenues show $448k or 0.7% under budget.  This  includes a $317k favorable property tax collection but otherwise almost all other revenue  categories are under performing.  Unfortunately, the favorable property tax collection is a  temporary phenomenon from the surge of home sales triggered by the stimulus package, which  ended in April with closing of sales by June.  Without the favorable property tax, revenues are  $765k or 1.2% below budget.      For the year, we are expecting a total sales tax collection of $17.1 million, similar to what we  have collected in 2005.  This is underperforming the budget by $1.45 million.  Similarly we  expect gambling tax to underperform the budget by $500k; court fines by $300k; real estate  excise tax by $200k, and recreation fees by $150k.  This is a combined $2.6 million of lower than  expected revenue in 2010, and it will also require us to lower our projection for 2011 and 2012.    On the expenditures’ side, other than a couple of minor exceptions, all departments are  conserving their spending and are showing favorable variances.  Overall general governmental  funds are showing a 2.4% or $1.5 million saving.  Part of the savings is due to the timing of  certain lump sum payments which are not due until the last quarter of the year, such as  principal payment on the City’s general obligation debts, banking fees, and voter  registration/election costs.  In addition to the timing of disbursements, there is also a risk of  over expenditure in certain areas.  One is the street light energy cost.  Due to the amount  budgeted for 2010, it is below the actual cost in 2009 and a rate increase took effect earlier this  year, the amount budgeted for the street light is likely to be insufficient to cover the cost.   Another risk factor is the winter weather condition.  Therefore, while we do expect some  expenditure savings this year, we think it will be less than the current level.     The attached report provides more detailed discussion of each revenue sources and our  updated projections for the year.  Please do not hesitate to contact me at x6858 or Hai Nguyen  at x6952 should you have any questions or any suggestions about the report.      General Governmental Funds $% Beginning Fund Balance 13,300,854$       13,300,854$       11,816,561$       11,816,561$       11,955,285$       11,955,285$       11,955,285$        ‐$                   0.0% OPERATING REVENUES Property Tax 29,050,790          14,275,513          30,660,522          15,953,970          31,364,643          16,320,354          16,637,599          317,245          1.9% Sales  Tax 20,825,055          11,596,885          17,995,836          10,477,006          18,609,000          10,601,947          9,959,476             (642,471)          ‐6.1% Sales  Tax ‐ Annexation Credit ‐                               ‐                              2,132,110             1,236,994             2,248,000             1,304,231             1,171,816             (132,415)          ‐10.2% Criminal Justice Sales  Tax 1,755,469             961,095                  1,650,350             950,096                  1,743,000             1,003,434             924,177                  (79,257)             ‐7.9% Natural Gas Use  Tax 253,377                  162,939                  242,891                  124,780                   ‐                               ‐                              155,964                  155,964          100.0% Admission Tax 197,740                  149,716                  260,269                  189,020                  260,000                  188,824                  217,379                  28,555             15.1% Franchise Fees 998,288                  660,113                  1,039,031             779,233                  1,040,000             734,749                  881,269                  146,520          19.9% Electricity Tax 4,580,037             2,701,338             4,963,151             3,034,909             5,150,000             3,149,165             2,984,864             (164,301)          ‐5.2% Gas Tax 1,565,810             1,099,526             1,891,255             1,438,989             1,858,000             1,413,687             1,077,147             (336,540)         ‐23.8% Transfer Station 380,961                  193,333                  283,985                  134,590                  230,000                  109,005                  131,906                  22,901             21.0% TV Cable 1,073,168             514,605                  1,263,743             727,404                  1,250,000             719,494                  782,859                  63,365             8.8% Telephone 1,032,048             601,900                  1,037,873             585,115                  960,000                  541,213                  604,440                  63,227             11.7% Cellular Phone 1,748,147             976,033                  2,027,473             1,113,852             1,900,000             1,043,821             1,388,254             344,433          33.0% City Utilities 2,606,786             1,424,909             2,871,599             1,599,625             2,880,000             1,604,304             1,605,573             1,268                0.1% Leasehold Excise  Tax 190,644                  53,288                     146,002                  57,477                     100,000                  39,367                     65,359                     25,992             66.0% Gambling Excise  Tax 2,157,029             1,073,512             2,141,720             1,296,309             2,000,000             1,210,531             934,866                  (275,665)         ‐22.8% Real Estate Excise  Tax 2,800,103             1,795,369             2,418,456             1,346,171             2,400,000             1,335,888             1,327,717             (8,171)                ‐0.6% Less: Municipal  Facilities CIP REET (450,103)                (897,684)                (1,000,000)            (642,223)                (400,000)                (256,889)                (222,573)                34,317              ‐13.4% EMS Levy 890,998                  85,744                     1,170,657             682,883                  897,095                  580,473                  580,473                  ‐                      0.0% Business  License Fees 485,537                  273,818                  424,413                  295,525                  463,067                  322,440                  304,514                  (17,926)            ‐5.6% Other Licenses and Permits 257,477                  162,670                  176,851                  91,258                     157,250                  81,144                     126,421                  45,277             55.8% Building Permits 2,034,225             1,580,787             1,683,082             1,002,343             1,766,059             1,051,759             1,013,874             (37,884)            ‐3.6% Intergovernmental (Grants, etc)3,734,887             1,627,788             3,820,932             2,363,458             4,355,523             2,465,483             2,465,483             ‐                      0.0% Fire District 25 and 40 Contracts 5,013,549             775,262                  5,869,198             2,338,225             5,554,723             2,507,971             2,507,971             ‐                      0.0% Records, Duplicating, and Passport Fees 176,950                  115,868                  187,721                  99,249                     217,585                  115,038                  122,155                  7,117                6.2% Public Safety 524,565                  323,122                  521,484                  331,565                  430,000                  273,398                  268,934                  (4,464)                ‐1.6% Development Service  Fees 903,768                  573,215                  677,955                  359,158                  696,708                  369,093                  578,052                  208,959          56.6% Culture and Recreation 1,678,818             1,131,649             1,631,486             1,089,561             1,572,240             1,049,995             936,938                  (113,057)         ‐10.8% Interfund/Interdept‐Services 3,072,950             1,697,411             3,225,745             1,880,391             3,080,927             1,795,972             1,922,398             126,426          7.0% Fines  and Forfeits 2,110,973             659,685                  1,448,878             806,301                  1,327,193             738,583                  769,617                  31,034             4.2% Photo Enforcement ‐                              ‐                              2,368,131             1,424,667             2,250,000             1,353,600             1,178,110             (175,490)         ‐13.0% Interests and Other Earnings 735,910                  548,202                  535,314                  354,535                  434,300                  287,634                  206,357                  (81,278)             ‐28.3% Rents, Leases, and Concessions 676,919                  467,601                  677,960                  473,429                  720,780                  503,331                  519,731                  16,401             3.3% Contributions and Donations 175,513                  126,489                  150,406                  692,498                  111,900                  89,610                     89,610                     ‐                      0.0% Other Miscellaneous 67,355                     57,896                     168,567                  53,392                     262,557                  83,162                     65,235                     (17,927)             ‐21.6% Refunding Debt and Premiums ‐                              ‐                              ‐                              ‐                              ‐                              6,613,484             6,613,484             ‐                      0.0% Transfer‐In 381,364                  66,541                     577,004                  ‐                              652,398                  ‐                              ‐                              ‐                      0.0% Total  Operating Revenues 93,687,106          47,616,137          97,342,052          54,741,756          98,542,948          61,345,296          60,897,449          (447,847)         ‐0.7% OPERATING EXPENDITURES Legislative 245,441                  146,194                  247,225                  145,176                  267,957                  158,474                  152,284                  6,190                3.9% City Attorney 1,661,225             1,082,293             1,248,380             763,989                  1,621,295             1,028,789             929,609                  99,179             9.6% City Clerk 604,844                  387,862                  646,581                  422,821                  931,014                  603,119                  459,511                  143,608          23.8% Court Services 1,744,122             985,510                  1,819,731             1,088,594             2,016,361             1,173,489             1,168,151             5,339                0.5% Executive 966,373                  549,713                  1,499,747             861,218                  1,635,047             935,453                  933,696                  1,757                0.2% Hearing Examiner 166,820                  96,367                     171,911                  101,577                  200,440                  117,131                  101,724                  15,407             13.2% Community and Eco  Dvlpmnt Admin ‐                              ‐                              265,269                  158,841                  696,149                  416,848                  340,807                  76,041             18.2% Development Services 4,178,096             2,336,374             3,615,129             2,179,573             2,985,683             1,800,077             1,733,782             66,295             3.7% Economic  Development 1,875,749             1,087,040             1,244,175             739,134                  1,323,047             774,414                  739,968                  34,447             4.4% Planning ‐                              ‐                              1,525,460             802,336                  1,661,732             969,344                  982,457                  (13,113)            ‐1.4% Finance 1,909,652             1,117,868             1,969,936             1,288,066             2,164,890             1,342,561             1,076,383             266,178          19.8% Human Resources 981,306                  607,959                  853,063                  486,144                  918,169                  547,639                  505,205                  42,433             7.7% Police 23,894,898          13,512,057          25,833,756          14,801,142          28,022,582          15,954,764          15,859,503          95,261             0.6% Fire 21,763,640          12,315,573          20,375,286          12,219,385          21,922,009          12,763,866          12,790,432          (26,566)            ‐0.2% Facilities 3,614,850             2,069,463             ‐                              (242)                           ‐                              ‐                              ‐                              ‐                      0.0% Parks 4,892,441             2,507,005             4,820,336             2,487,766             4,569,001             2,349,597             2,172,070             177,528          7.6% Parks Planning & Natural Resources ‐                               ‐                               ‐                               ‐                              545,943                  318,467                  241,477                  76,990             24.2% Recreation 4,383,163             2,486,414             7,878,458             4,579,066             4,970,795             2,864,307             2,724,751             139,556          4.9% Human Services 1,162,553             616,678                  1,194,142             653,513                  1,406,586             758,109                  748,040                  10,070             1.3% Community Resources & Events 367,627                  184,970                  348,185                  185,060                  375,694                  194,210                  186,433                  7,777                4.0% Library 1,890,886             1,083,455             2,312,128             1,182,074             2,544,263             1,628,119             1,628,119             ‐                      0.0% Museum 136,327                  81,119                     140,801                  84,455                     194,120                  115,980                  111,161                  4,819                4.2% Public Works Administration 886,867                  544,586                  463,533                  278,733                  518,399                  316,060                  302,033                  14,027             4.4% Street Maintenance 3,212,111             1,732,165             3,794,716             2,324,503             3,379,080             1,956,349             1,915,110             41,239             2.1% Technical Services 515,708                  299,565                  478,493                  273,421                  ‐                              ‐                              ‐                              ‐                      0.0% Transportation 4,841,955             2,545,225             5,110,639             2,930,438             5,164,058             2,961,068             2,911,581             49,487             1.7% Debt Service 4,263,739             1,049,799             4,176,822             975,344                  4,494,945             927,251                  927,251                  ‐                      0.0% Payment of LTGO Refunding Debt ‐                               ‐                               ‐                               ‐                               ‐                              6,613,194             6,613,194              ‐                      0.0% Non‐Departmental and Other 5,011,007             2,674,534             5,169,426             2,288,887             4,817,981             2,348,983             2,145,494             203,489          8.7% Total  Operating Expenditures 95,171,399          52,099,787          97,203,328          54,301,012          99,347,239          61,937,662          60,400,225          1,537,437      2.5% Total  Ending Fund Balance 11,816,561$       8,817,204$          11,955,285$       12,257,305$       11,150,994$       11,362,919$       12,452,510$       1,089,591      9.6% Favorable (Unfavorable) 2008 2009 2010 Variance Annual Actual YTD Actual Annual Budget YTD Budget YTD ActualSummary of Sources and Uses Annual Actual YTD Actual Monthly Financial Report July 2010 Page 1 of 34 Monthly Financial Report July 2010          OVERVIEW  This financial overview reflects the City’s overall financial position for the fiscal year through July 31, 2010.  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 tax, sales/use tax, utility tax, gambling, admissions, and real estate excise tax  represents 66% of all resources supporting general governmental activities.   The following section provides detail  information on property, sales, utility, and other taxes.    Property Tax  July’s collection is $88k, making  the total year‐to‐date collection  $16.6 million or 53% of the total  budget.  In comparison to the  previous year, the City collected  $684k or 4% higher.  Compared to  the budget, the City is above  projections by $317k or 2%.   Based on distribution we have  received in July, we are projecting  property tax collections to meet  the projections at year end.                Sales Tax  July 2010 sales tax receipts totaled $1.3  million.  Compared to the same month  last year, it is $134k or 9% less.   Compared to the projected current  month’s budget, it is below projections  by $238k or 15%.  The year‐to‐date  collection is $10 million or 54% of the  sales tax budget.  This is $518k less  than last year and $642k below budget.   We also have received August’s tax  distributions of $1.47 million, which is  5% below last year and 12% below  budget.  Based on the year‐to‐date  collection, the City is projecting sales  tax revenues to be $17.15 million by  the end of 2010, $1.45 million or 8%  under budget.      2009 2010 2010 Actual Budget Actual $ % $ % Jan 9,419$               9,635$               51,304$            41,885$           445% 41,669$           432% Feb 303,513            310,483            438,210            134,696           44% 127,727           41% Mar 647,845            662,723            547,632            (100,213)          ‐15% (115,091)          ‐17% Apr 8,063,214        8,248,386        6,660,829        (1,402,385)      ‐17% (1,587,557)      ‐19% May 6,711,943        6,866,083        8,736,691        2,024,747      30% 1,870,608      27% Jun 113,279            115,881            114,982            1,703                 2% (899)                     ‐1% Jul 104,757            107,163            87,952               (16,805)             ‐16% (19,211)             ‐18% Aug 66,589               68,118                Sep 250,296            256,044             Oct 5,770,027        5,902,536         Nov 8,275,695        8,465,747         Dec 343,945            351,844             YTD Total 15,953,970$  16,320,354$  16,637,599$  683,629$        4% 317,245$        2% Annual Total 30,660,522$  31,364,643$   Property Tax Revenues Year to Date through July 2010 vs. 2009 2010 vs. Budget Month 2009 2010 2010 Actual Budget Actual $ % $ % Jan 1,458,072$     1,459,527$     1,289,364$  (168,709)$   ‐12% (170,163)$   ‐12% Feb 1,863,430        1,834,595        1,728,588     (134,842)     ‐7% (106,007)     ‐6% Mar 1,461,007        1,324,674        1,289,589     (171,418)      ‐12% (35,085)         ‐3% Apr 1,398,021        1,367,908        1,461,123     63,103         5% 93,215         7% May 1,490,778        1,603,693        1,499,335     8,557            1% (104,359)     ‐7% Jun 1,361,808        1,464,336        1,382,049     20,241         1% (82,288)         ‐6% Jul 1,443,891        1,547,213        1,309,429     (134,462)     ‐9% (237,785)      ‐15% Aug 1,551,415        1,662,544        ‐                      Sep 1,454,550        1,573,534        ‐                      Oct 1,560,217        1,610,574        ‐                      Nov 1,440,143        1,636,255        ‐                      Dec 1,512,506        1,524,146        ‐                      YTD Total 10,477,006$  10,601,947$  9,959,476$  (517,530)$  ‐5% (642,471)$  ‐6% Annual Total 17,995,836$  18,609,000$   2010 vs. Budget2010 vs. 2009 Month Year  to Date through July Local Retail Sales  Tax Revenues Page 2 of 34 Monthly Financial Report July 2010        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 2008 2009 2010 Bgt YTD Act Chg 10/09 10Act vs  Bgt New Construction 2,889,552$     1,814,968$     1,576,417$     1,311,091$     (503,877)$       ‐28% $       (265,326)‐17% Auto Sales 2,169,261        1,752,082        1,914,693        1,735,400        (16,682)             ‐1%           (179,293)‐9% General Retail 3,498,337        3,437,672        3,500,477        3,480,662        42,990              1%              (19,815)‐1% Manufacturing 605,045            632,746            559,978            443,404            (189,342)          ‐30%           (116,574)‐21% Wholesale 676,792            526,793            573,259            541,654            14,862              3%              (31,605)‐6% Service 2,208,819        2,065,986        2,154,063        2,134,238        68,252              3%              (19,825)‐1% Other 240,263            246,761            323,061            313,028            66,267              27%              (10,033)‐3% Total 12,288,069$  10,477,007$  10,601,947$  9,959,476$     (517,531)         ‐5%(642,471)$       ‐6% Note: Excludes  Annexation Credit and Criminal Justice Sales  Tax revenue.      Utility tax  July utility taxes revenue totals $1.1  million, which is $130k higher than the  same month last year and ahead of the  budget by $154k.  The year‐to‐date  collection of $8.7 million is above the  budget by $184k or 2% but is $28k  below 2009.  The unfavorable  comparisons in January and February  are primarily due to higher than normal  electrical and natural gas consumptions  during winter months in 2009 that  distorted the budget for these two  months.  At this time, the City is  projecting utility tax revenues to meet  our 2010 budget by the end of the year.        The table below breaks out Utility Tax by source, the lower amount generated from Natural Gas is due to warmer  temperatures in the 1st quarter of 2010 than 2009:    Utility Tax by Type 2008 2009 2010 Bgt YTD  Act Chg 10/09 10Act  vs  Bgt Electrical 2,701,338        3,034,909        3,093,561        2,984,864         ‐2%‐4% Natural  Gas 1,262,465        1,563,769        1,116,085        1,233,111         ‐21% 10% Cell 976,033            1,113,852        1,141,314        1,388,254        25% 22% Phone 601,900            585,115            576,664            604,440            3% 5% Cable 514,605            727,404            750,864            782,859            8% 4% Transfer  Station 193,333            134,590            138,159            131,906             ‐2%‐5% City Utilities 1,424,909        1,599,625        1,729,991        1,605,573        0%‐7% YTD  Total 7,674,582        8,759,264        8,546,637        8,731,006        0%2% Annual Total 13,240,334     14,581,971     14,228,000      YTD  as % of 58% 60% 60%      2009 2010 2010 Actual Budget Actual $ % $ % Jan 1,413,641$     1,379,325$      1,282,930$   (130,711)$   ‐9% (96,395)$    ‐7% Feb 1,485,870        1,449,801         1,354,933      (130,936)      ‐9% (94,868)       ‐7% Mar 1,251,275        1,220,901         1,295,732      44,457         4% 74,831        6% Apr 1,204,619        1,175,377         1,260,110      55,491         5% 84,733        7% May 1,322,947        1,290,833         1,231,700      (91,247)         ‐7% (59,133)       ‐5% Jun 1,070,303        1,044,322         1,165,188      94,885         9% 120,866     12% Jul 1,010,609        986,077              1,140,413      129,803      13% 154,335     16% Aug 1,201,122        1,171,965          Sep 1,068,035        1,042,109          Oct 1,079,380        1,053,179          Nov 1,090,897        1,064,416          Dec 1,383,272        1,349,694          YTD  Total 8,759,264$     8,546,637$      8,731,006$   (28,258)$     0% 184,369$  2% Annual Total 14,581,971$  14,228,000$    2010 vs. Budget2010 vs. 2009 Year  to Date through July Utility Tax Revenues Month Page 3 of 34 Monthly Financial Report July 2010        Other Taxes     Real Estate Excise Tax  The City collected $150k in Real Estate  Excise Tax revenues (REET) in July.  This  is $51k below current month’s budget  and $52k behind the same month last  year.  Year‐to‐date collection of $1.3  million is $8k or 1% behind the budget  and is also $18k or 1% below 2009.        Almost all REET in recent months are  generated from residential property  transactions.  The activities appear to be  smaller in amount but steady in volume.   We hope this trend will continue and not  stop once the federal stimulus incentive  expires.       Gambling Tax  July’s Gambling Tax collections  total $126k.  Year‐to‐date total of  $935k is $361k or 28% below the  year before; and $276k or 23%  below budget.      The lower tax collection is due to  cross‐the‐board reduction in  gambling activities.  Pull tabs  overall reduced by 25%, partially  due to the change in business at  Cascade Lanes; and card‐rooms are  seeing over 30% lower in activities.    Because of these changes, the City  is anticipating around $455k less in  gambling tax revenue collection  than budgeted by the end of the year.    Franchise Fees  Franchise Fees are due quarterly  and the year‐to‐date revenue  collections are $881k.  This is $147k  or 20% above the projected year‐ to‐date budget and $102k or 13%  higher than 2009.  2009’s May  collection should have been  recorded in April.  The City is  projecting franchise fees to meet  the 2010 budget.        2009 2010 2010 Actual Budget Actual $ % $ % Jan 231,334$      229,560$      71,303$         (160,031)$   ‐69% (158,257)$   ‐69% Feb 69,290            68,760            107,242         37,952         55% 38,482         56% Mar 183,177         181,800         309,164         125,987      69% 127,364      70% Apr 141,038         139,944         281,746         140,708      100% 141,802      101% May 308,077         305,736         216,814         (91,262)         ‐30% (88,922)         ‐29% Jun 211,295         209,688         191,741         (19,554)         ‐9% (17,947)         ‐9% Jul 201,960         200,400         149,706         (52,253)         ‐26% (50,694)         ‐25% Aug 310,599         308,232          Sep 208,046         206,472          Oct 209,975         208,368          Nov 222,052         220,344          Dec 121,614         120,696          YTD  Total 1,346,171$  1,335,888$  1,327,717$  (18,454)$      ‐1% (8,171)$         ‐1% Annual Total 2,418,456$  2,400,000$   Real Estate Excise  Tax Revenues Year  to Date through July Month 2010 vs. Budget2010 vs. 2009 2009 2010 2010 Actual Budget Actual $ % $ % Jan 7,691$            186,179$      135,608$   127,917$   1663% (50,571)$      ‐27% Feb 391,054         186,179         137,736      (253,317)      ‐65% (48,443)         ‐26% Mar 171,097         159,776         63,054         (108,044)      ‐63% (96,722)         ‐61% Apr 177,856         166,087         196,085      18,229         10% 29,998         18% May 178,840         167,006         133,979      (44,861)         ‐25% (33,027)         ‐20% Jun 186,920         174,551         142,790      (44,130)        ‐24% (31,762)        ‐18% Jul 182,851         170,752         125,614      (57,237)        ‐31% (45,138)        ‐26% Aug 210,237         196,325         ‐                   Sep 173,745         162,248         ‐                   Oct 176,490         164,811         ‐                   Nov 146,960         137,236         ‐                   Dec 137,979         128,849         ‐                   YTD  Total 1,296,309$  1,210,531$  934,866$   (361,444)$  ‐28% (275,665)$  ‐23% Annual Total 2,141,720$  2,000,000$   Gambling Tax Revenue Month Year to Date through July 2010 vs. 2009 2010 vs. Budget 2009 2010 2010 Actual Budget Actual $ % $ % Jan 259,792$      255,537$      45,703$      (214,089)$   ‐82% (209,834)$   ‐82% Feb 200                    102                    274,776      274,576      137288% 274,674      269037% Mar ‐                      ‐                     ‐                   Apr ‐                     102,746         274,268      274,268      100% 171,521      167% May 258,593         132,005         ‐                  (258,593)     (132,005)      Jun ‐                     ‐                     ‐                   Jul 260,647         244,359         286,523      25,876         10% 42,164         17% Aug ‐                     ‐                     ‐                   Sep ‐                     24,721            ‐                   Oct 259,798         258,846         ‐                   Nov ‐                     ‐                     ‐                   Dec ‐                     21,683            ‐                   YTD Total 779,233$      734,749$      881,269$   102,037$   13% 146,520$   20% Annual Total 1,039,031$  1,040,000$   Franchise Fees  Revenue Year to Date through July Month 2010 vs. 2009 2010 vs. Budget Page 4 of 34 Monthly Financial Report July 2010        Admission Tax   Admission Tax returns are due  quarterly in January, April, July, and  October each year.  July 2010  collections represent activities  conducted during the 2nd quarter of  2010.      The report shows an increase of  $28k from the year before and  $25k more than anticipated.       Licenses and Permits  These revenue sources reflect the collection of business licenses; building permits; and other licenses, fees, and permits.   Building Permit Fees and General Business Licenses constitute 83% of the revenue in this category.  As of the end of July, we  have collected 61% of the projected revenue from licenses and permits.  Licenses and Permits totaled $1.4 million by the  end of July, which is $6k less that the budget.  The following sections provide detail information for Building Permits and  Business Licenses revenues.    Building Permits and Fees revenues  totaled $137k in July.  The revenue  swing between the high in January and  the low in February is primarily  attributable to the rush of getting  permits completed prior to the new  school impact fees taking effect.  The  year‐to‐date development fees revenue  of $912k is $43k or 4% less than the  budget but is $23k or 3% higher than  2009.  The City is projecting building  permits and fees to be under the 2010  budget by $72k.                Business Licenses totaled $305k since the start of  the year, which is 3% above last year but 6%  below budget.  The month by month comparison  is not representative due to the payment timing  shift of employers.  The General Fund portion of  the Business Licenses revenue is under the  budget by $18k but $9k above last year.      2009 2010 2010 Actual Budget Actual $ % $ % Jan 106,633$      114,591$      285,826$   179,192$        168% 171,234$  149% Feb 124,555         133,851         46,586         (77,969)             ‐63% (87,265)       ‐65% Mar 179,330         192,714         82,637         (96,693)             ‐54% (110,076)    ‐57% Apr 114,694         123,254         122,217      7,522                 7% (1,037)          ‐1% May 125,344         134,698         102,511      (22,833)             ‐18% (32,187)       ‐24% Jun 131,705         141,534         135,295      3,591                 3% (6,238)          ‐4% Jul 106,810         114,781         137,367      30,557              29% 22,585        20% Aug 119,439         128,352          ‐                   Sep 101,087         108,631          ‐                   Oct 131,899         141,742          ‐                   Nov 82,516            88,674            ‐                   Dec 169,581         182,237         ‐                   YTD Total 889,072$      955,423$      912,439$   23,367$           3% (42,984)$    ‐4% Annual Total 1,493,593$  1,605,059$   Building Permits and Fees Year  to Date through July 2010 vs. Budget2010 vs. 2009 Month 2009 2010 2010 Actual Budget Actual $ % $ % Jan 57,167$         58,965$         74,777$      17,610$      31% 15,811$      27% Feb ‐                      ‐                     459                 459                 100% 459                 100% Apr 61,163            63,415            66,119         4,956            8% 2,704            4% Jul 70,690            69,911            76,024         5,334            8% 6,114            9% Oct 70,729            67,414             ‐                   Nov 520                    295                    ‐                   YTD Total 189,020$      192,291$      217,379$   28,359$      15% 25,088$      13% Annual Total 260,269$      260,000$       Year to Date through July Month 2010 vs. 2009 2010 vs . Budget Admission Tax Revenue 2009 2010 2010 Actual Budget Actual $ % $ % Jan 81,835$     89,289$     77,955$     (3,880)$    ‐5% (11,334)$   ‐13% Feb 30,180        32,929        33,440        3,260        11% 511              2% Mar 6,337           6,914           5,687           (650)            ‐10% (1,228)         ‐18% Apr 73,055        79,709        77,964        4,908        7% (1,746)         ‐2% May 14,185        15,477        21,558        7,373        52% 6,081         39% Jun 9,352           10,204        4,709           (4,643)       ‐50% (5,495)         ‐54% Jul 80,579        87,918        83,201        2,622        3% (4,717)         ‐5% Aug 20,280        22,127         ‐                  Sep 1,746           1,905           ‐                  Oct 84,002        91,653        ‐                  Nov 18,937        20,662        ‐                  Dec 3,922           4,279           ‐                  YTD  Total 295,525$  322,440$  304,514$  8,989$     3% (17,926)$   ‐6% Annual Total 424,413$  463,067$   Business Licenses Month Year  to Date through July 2010 vs. Budget2010 vs. 2009 Page 5 of 34 Monthly Financial Report July 2010        Intergovernmental  These revenue sources include  federal (direct and indirect)  grants, state grants, state  shared revenues, local grants,  and entitlements.  State  shared revenues and Fire  Districts’ 25 and 40 contracts  compose 84% of the total  revenues in this category.    The year‐to‐date total  Intergovernmental revenue is  $5.9 million or 50% of the budget.  All grant revenues also have corresponding expenditures which have been added to the  City’s budget through the 2010 carry forward budget adjustment.     State Shared Revenue collections  totaled $2.4 million since the start  of 2010.  Compared to the  projected budget, State Shared  Revenues are above by $85k or 4%.   Compared to the prior year, the  City is collecting $76k more or up  by 3%.  The actual collections that  lags budget are primarily due to the  reduced criminal justice sales tax  (King County countywide sales tax  decrease).  Liquor profits appears  to be over budget by $207k and  liquor excise taxes appear to be under budget by $139k, but this is not the case.  In 2009, the June payment for liquor  profits was inadvertently recorded in the liquor excise tax account.  This error was not fixed until August and until then, the  2010 year‐to‐date budget will be distorted.  Had this error not occurred, liquor profits would be $55k or 19% above  projections and liquor excise taxes would be $8k or 3% above projections.      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.  Culture, recreation, interfund/interdepartmental‐sales and services  constitute 75% of the total revenue in this category.  The year‐to‐date total charges for services are $3.8 million or 64% of  the budget.  This is 6% above budget projections.  The following sections provide detail information for Plan Review with  Inspection Fees, Recreation, and Interfund Services.    Plan Review and Inspection fees are $575k  since the start of the year.  Compared to the  budget, the City is collecting $205k or 55%  more than anticipated revenue.   Compared to  the prior year, the City is collecting $216k or  60% more.  The large increase in July is due to  a payment related to an environmental impact  statement.  The City is projecting plan review  and inspection fees to exceed the 2010  budget.    Intergovernmental 2008 2009 2010 Bgt YTD Act Chg 10/09 10Act  vs  Bgt Fire  District #25 775,262             ‐                        558,243            558,243            100% 0% Fire  District #40 ‐                        2,338,225        1,949,728        1,949,728         ‐17% 0% State Shared Revenue 2,066,333        2,307,545        2,299,216        2,383,778        3% 4% Federal Grants 386,850            227,259            413,685            413,685            82% 0% State Grants 17,996               151,499            168,703            168,703            11% 0% Other Grants 117,705            627,252            138,675            138,675             ‐78% 0% ARRA Grants ‐                         ‐                        238,056            238,056            100% 0% Total  Rev YTD 3,364,145        5,651,780        5,766,306        5,850,868        4% 1% Total  Rev Annual 10,503,905     11,340,480     11,653,246      YTD  %32% 50% 49% 50% Note:  Includes CJ Sales  Tax. 2009 2010 2010 Actual Budget Actual $ % $ % Crim Just Sales  Tax 950,096$      1,003,434$  924,177$      (25,919)$   ‐3% (79,257)$   ‐8% Judicial Contribution 23,918            9,628               17,229            (6,689)$      ‐28% 7,601         79% Crim Just ‐ Pop 13,209            ‐                     14,038            829              6% 14,038      100% Crim Just ‐ Spec  Prog 50,510            49,090            53,236            2,726         5% 4,147         8% State  DUI 11,244            6,111               11,787            543              5% 5,676         93% Liquor Profits 136,619         144,264         351,048         214,428   157% 206,783   143% Liquor Excise  Tax 442,053         452,315         313,158         (128,895)   ‐29% (139,157)   ‐31% Fuel  Tax 679,895         634,374         699,105         19,210      3% 64,731      10% YTD  Total 2,307,545$  2,299,216$  2,383,778$  76,233$   3% 84,562$   4% Annual Total 3,986,791$  3,988,931$   State  Shared Revenues 2010 vs. 2009 Revenue Year to Date through July 2010 vs. Budget 2009 2010 2010 Actual Budget Actual $ % $ % Jan 35,851$     36,982$     98,294$     62,443$     174% 61,312$     166% Feb 45,883        47,331        41,012        (4,871)          ‐11% (6,319)          ‐13% Mar 86,425        89,153        64,399        (22,026)       ‐25% (24,754)       ‐28% Apr 27,659        28,532        45,065        17,406        63% 16,533        58% May 58,715        60,569        103,250     44,534        76% 42,681        70% Jun 43,085        44,445        60,642        17,557        41% 16,197        36% Jul 61,541        63,483        162,517     100,977     164% 99,034        156% Aug 43,348        44,716         ‐                  Sep 36,509        37,662        ‐                  Oct 67,095        69,213        ‐                  Nov 59,883        61,773        ‐                  Dec 109,397     112,850     ‐                  YTD Total 359,158$  370,494$  575,179$  216,021$  60% 204,685$  55% Annual Total 675,391$  696,708$   2010 vs. Budget Year  to Date through July Plan Review / Inspection Month 2010 vs. 2009 Page 6 of 34 Monthly Financial Report July 2010        Recreation revenues totaled $937k since  the start of the year.  Compared to the  projected monthly budget, the City  collected $133k or 32% less.  Compared to  the same month the prior year, the City  collected $148k or 35% less.  Based on the  current month’s collection, the City is  projecting Recreation revenues to be  under the budget projection for 2010 by  $170k.                    The year‐to‐date collections for Interfund  Service revenues are $1.9 million.   Compared to the projected budget, the  revenues are above by $126k or up by 7%.   Compared to the prior year, the revenues  are over by $42k or up by 2%.  Interfund  Services is projected to meet the budget  projection for 2010.                      Fines and Penalties  These revenue sources contain civil  (penalties, infractions, and parking),  criminal (traffic, non‐traffic, and costs),  and non‐court fines, forfeitures, and  penalties.  The table below breaks  down these fines by type.  The year‐to‐ date total fines and penalties is $1.9  million.  This is $283k or 13% lower  than a year ago and $151k or 7% under  budget.  Part of the difference is due to  the timing of revenue recognition,  which contributed to the variance in  January and will be caught up at the  end of the year.          2009 2010 2010 Actual Budget Actual $ % $ % Jan 65,409$         63,034$         62,673$      (2,736)$         ‐4% (361)$             ‐1% Feb 72,988            70,337            64,915         (8,072)            ‐11% (5,422)            ‐8% Mar 81,034            78,092            99,100         18,065         22% 21,008         27% Apr 141,783         136,635         152,452      10,669         8% 15,818         12% May 145,050         139,783         83,760         (61,290)         ‐42% (56,023)         ‐40% Jun 154,237         148,636         193,082      38,844         25% 44,445         30% Jul 429,059         413,478         280,956      (148,103)      ‐35% (132,523)      ‐32% Aug 203,222         195,842         ‐                   Sep 123,439         118,956         ‐                   Oct 79,452            76,566            ‐                   Nov 61,971            59,720            ‐                   Dec 73,842            71,161            ‐                   YTD  Total 1,089,561$  1,049,995$  936,938$   (152,623)$   ‐14% (113,057)$   ‐11% Annual Total 1,631,486$  1,572,240$   Recreation Year to Date through July 2010 vs. 2009 Month 2010 vs. Budget 2009 2010 2010 Actual Budget Actual $ % $ % Jan 253,147$      241,782$      242,658$      (10,489)$   ‐4% 876$            0% Feb 243,496         232,565         273,674         30,178      12% 41,110        18% Mar 286,921         274,040         249,758         (37,163)      ‐13% (24,282)       ‐9% Apr 280,094         267,520         348,019         67,925      24% 80,499        30% May 282,056         269,393         269,154         (12,902)      ‐5% (240)              0% Jun 270,778         258,622         275,850         5,072         2% 17,228        7% Jul 263,897         252,050         263,285         (612)            0% 11,235        4% Aug 258,386         246,785          ‐                      Sep 265,902         253,965          ‐                      Oct 266,313         254,357          ‐                      Nov 281,154         268,532         ‐                      Dec 273,599         261,316         ‐                      YTD  Total 1,880,391$  1,795,972$  1,922,398$  42,007$   2% 126,426$  7% Annual  Total 3,225,745$  3,080,927$   2010 vs. 2009 2010 vs. Budget Month Interfund Services Year to Date through July 2009 2010 2010 Actual Budget Actual $ % $ % Jan 280,849$      262,296$      239,080$      (41,769)$          ‐15% (23,215)$      ‐9% Feb 285,126         270,000         228,332         (56,794)             ‐20% (41,668)         ‐15% Mar 370,244         347,334         279,311         (90,933)             ‐25% (68,023)         ‐20% Apr 331,546         310,184         294,612         (36,934)             ‐11% (15,572)         ‐5% May 310,888         290,518         276,543         (34,345)             ‐11% (13,976)         ‐5% Jun 330,829         310,311         373,623         42,794              13% 63,312          20% Jul 321,486         307,795         256,225         (65,261)             ‐20% (51,570)         ‐17% Aug 256,668         238,715          ‐                      Sep 269,199         250,627         ‐                      Oct 318,272         297,690         ‐                      Nov 368,928         345,586         ‐                      Dec 372,972         346,135         ‐                      YTD Total 2,230,968$  2,098,439$  1,947,727$  (283,241)$       ‐13% (150,712)$  ‐7% Annual  Total 3,817,008$  3,577,193$   2010 vs. Budget2010 vs. 2009 Year to Date through July Fines  and Penalties by Month Month Page 7 of 34 Monthly Financial Report July 2010        There are also substantial declines in the photo enforcement fines, which we expect to continue.  The decline is due to  driver behavior changes in the areas with photo enforcement programs; and the change in speed enforcement threshold in  school zones.  These factors contributed to the reduction in photo enforcement revenue by 7% in June and 3% in July when  compared with the same periods in 2009.  At this point, the City is projecting Fines and Penalties to be under budget by  $257k by the end of 2010.    Year to Date through July 2009 2010 2010 Actual Budget Actual $ % $ % Civil Penalties 9,389$            8,040$            8,673$            (716)$             ‐8% 632$              8% Civil Infraction Penalties 445,308         404,256         439,756         (5,552)            ‐1% 35,500         9% Civil Parking Infraction Penalties 84,564            72,429            80,599            (3,965)            ‐5% 8,170            11% Photo Enforcement Program 1,424,667     1,353,600     1,178,110     (246,557)      ‐17% (175,490)      ‐13% Crim Traffic  Misdemeanor Fines 58,463            46,697            53,531            (4,932)            ‐8% 6,834            15% Criminal Non‐Traffic  Fines 27,849            25,921            21,046            (6,803)            ‐24% (4,874)            ‐19% Criminal Costs 148,680         159,827         154,816         6,136            4% (5,011)            ‐3% Non‐Court Fines, Forfeitures  and Penalties 32,048            27,669            11,196            (20,852)         ‐65% (16,473)         ‐60% YTD  Total 2,230,968$  2,098,439$  1,947,727$  (283,241)$   ‐13% (150,712)$  ‐7% Annual  Total 3,817,008$  3,577,193$   Fines  and Penalties by Type Revenue 2010 vs. Budget2010 vs. 2009       Included in the Fines and Penalties revenue budget  is $2.3 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 $1.2 million.  The  associated costs includes the equipment provided  by American Traffic Solutions Inc (ATS), we are also  dedicating 2 FTEs in the Court Division to process  the increased caseload and 1.1 FTEs in the Police  Department for support services.  These staff’s  time along with a 90% pro tem budget and  interpreter costs amounts to $362k for personnel  costs.  The total costs for the program equates to  $842k which is represented in the table.            Miscellaneous  This revenue source reflects the collection  of interest and other earnings, rents,  leases, and concessions, contributions, and  donations from private sources, and other  miscellaneous revenues.  Interest and  other earnings along with rents, leases,  and concessions constitute 83% of the  total revenue in this category.  The year‐ to‐date total miscellaneous is $880k.   Compared to the projected year‐to‐date  budget, the revenues are over by $4k.        Favorable Budget Actual Budget Actual (Unfavorable) 1 Jan 173,461$      187,281$      70,097$     71,970$          115,311$           Feb 166,708         135,565         69,919        72,434             63,131                 Mar 245,529         172,250         69,697        71,970             100,280              Apr 209,106         162,520         70,260        50,102             112,418              May 192,106         156,204         70,181        67,891             88,313                 Jun 223,152         217,862         69,786        67,880             149,982              Jul 143,538         146,429         69,991        30,160             116,269              Aug 143,576          ‐                     69,525         ‐                      ‐                          Sep 149,862         ‐                     69,700        ‐                      ‐                          Oct 188,205         ‐                     69,347        ‐                      ‐                          Nov 240,433         ‐                     70,269        ‐                      ‐                          Dec 174,325         ‐                     73,194        ‐                      ‐                          YTD Total 1,353,600$  1,178,110$  489,930$  432,406$       745,704$           Annual Total 2,250,000$  841,964$  1,408,036$       Revenues Expenses Photo Enforcement Program Year  to Date through July Month 2009 2010 2010 Actual Budget Actual $ % $ % Jan 143,245$      129,038$      170,998$   27,753$     19% 41,959$   33% Feb 192,680         173,570         86,124         (106,555)    ‐55% (87,446)      ‐50% Mar 59,923            53,980            115,122      55,199        92% 61,142      113% Apr 100,349         90,397            99,376         (974)               ‐1% 8,979         10% May 156,161         140,673         101,909      (54,252)       ‐35% (38,764)      ‐28% Jun 100,207         90,269            148,339      48,132        48% 58,070      64% Jul 219,671         197,884         158,134      (61,537)       ‐28% (39,751)      ‐20% Aug 80,681            72,680             Sep 131,358         118,330          Oct 76,125            68,575             Nov 73,002            65,762             Dec 196,289         176,822          YTD  Total 972,235$      875,811$      880,001$   (92,235)$   ‐9% 4,190$      0% Annual Total 1,529,692$  1,377,980$   Year to Date through July Month 2010 vs. Budget2010 vs. 2009 Miscellaneous Revenues by Month Page 8 of 34 Monthly Financial Report July 2010        2009 2010 2010 Actual Budget Actual $ % $ % Interests and Other  Earnings 354,535$      276,031$      206,357$   (148,178)$   ‐42% (69,674)$      ‐25% Rents, Leases, and Concessions 473,429         458,110         519,731      46,303         10% 61,621         13% Contributions/Donations  from  Private Sources 92,498            71,121            89,610         (2,887)            ‐3% 18,490         26% Other 51,774            70,549            64,302         12,528         24% (6,247)            ‐9% YTD  Total 972,235$      875,811$      880,001$   (92,235)$      ‐9% 4,190$         0% Annual Total 1,529,692$  1,377,980$   2010 vs. Budget Miscellaneous  Re venues  by Type Year  to Date through July Revenue 2010 vs. 2009         EXPENSES  Overall the City has expended 61% of its budgeted general governmental expenditures at the end of July.  This is 2.4% or  $1.5 million below year‐to‐date budgeted expenditures.  While some of these savings would be realized at the end of the  year, others are due to the timing of the payments.  Below are the explanations for some of the large variances on the  expenditures.  We do expect some expenditure savings at the end of the year, but it will be narrower than the 2.4% we  currently have.     The “unfavorable variances” in the transportation division is primarily due to the electrical rate adjustment which occurred  in April this year which would likely raise street lighting costs to above the $935k budgeted.  The 2010 adopted budget for  street light electricity is lower than 2009’s year‐end actual, which is another reason that 2010’s cost is likely to exceed the  amount budgeted.    On the positive variance side, the Finance Department appears to be under budget by $266k.  This is due to the $200,000  banking service fees in the carry forward budget amendment that will not be paid until year‐end.  The department had a  couple of temporary vacancies in 2010 which also helped the year‐to‐day status.  These positions are now filled and we  expect the banking service fees to be substantially higher than we have budgeted for, therefore we do not expect savings in  Finance at the end of the year.     Page 9 of 34 Monthly Financial Report July 2010        ENTERPRISE FUNDS  The table below gives an analysis of all City Enterprise funds.  Displayed are the year‐to‐date revenues and expenditures for  each enterprise.  Included in each fund are the capital revenues and expenditures.      Airport Golf  Course Solid Waste  Utility Water Utility Wastewater  Utility Surface  Water  Utility Bond/Rate  Stabilization  Funds REVENUES: Licenses  and permits ‐                  ‐             ‐              ‐               34,553         27,700       ‐               Grants 61,220           ‐             ‐              2,699           ‐               498,609     ‐               Charges  for services 16,131           1,077,287  8,748,225    5,405,670    9,872,787    2,943,456  ‐               Interdepartmental services ‐                 ‐             1,969           141,736       100,158       320,753     ‐               Rents, leases, and misc fees 926,571         213,283     48,000         53,308         ‐               ‐             ‐               Interest and other misc 9,083             12,158       109,924       254,270       215,999       148,112     116              TOTAL REVENUES 1,013,005      1,302,728  8,908,118    5,857,683    10,223,497  3,938,630  116              EXPENSES: Utility billing ‐                 ‐             74,352         62,212         54,237         88,352       ‐               Utility systems ‐                 ‐             8,191,383    1,401,774    1,296,344    1,214,384  ‐               Utility maintenance ‐                 ‐             161,872       2,586,817    7,159,795    983,339     ‐               Transportation 604,670         ‐             ‐              ‐               ‐               ‐             ‐               Golf ‐                 998,072     ‐              ‐               ‐               ‐             ‐               TOTAL EXPENSES 604,670         998,072     8,427,607    4,050,803    8,510,376    2,286,075  ‐               AMOUNT AVAILABLE FOR DEBT SERVICE 408,335         304,656     480,511       1,806,880    1,713,121    1,652,555  116              DEBT SERVICE: Principal ‐                 13,357       ‐              1,246,675    815,776       151,840     ‐               Interest and other debt service costs ‐                 57,459       ‐              480,938       250,164       194,229     ‐               TOTAL DEBT SERVICE ‐                 70,816       ‐              1,727,613    1,065,940    346,069     ‐               CAPITAL PROJECTS 170,556         163,622     ‐              1,282,431    2,581,916    621,375     ‐               TRANSFERS IN/(OUT)‐                 ‐             ‐              ‐               ‐               ‐             ‐               CHANGE  IN FUND BALANCE 237,779         70,218       480,511       (1,203,164)   (1,934,735)   685,111     116              BEGINNING FUND BALANCE, January 1, 2010 1,049,083      1,085,801  326,034 7,157,108    2,775,538    3,982,842  15,605         ENDING FUND BALANCE, July 31, 2010 1,286,862      1,156,019  806,545       5,953,944    840,803       4,667,953  15,721           Page 10 of 34 Monthly Financial Report July 2010        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: Grants ‐            986              ‐              ‐                       ‐               ‐                ‐             Charges  for services Equipment rental  m&o 1,246,974  1,144,801    ‐              ‐                       ‐               ‐                ‐             Telecommunications ‐            166,720       ‐              ‐                       ‐               ‐                ‐             Print and mail ‐            62,634         ‐             196,878                ‐               ‐                ‐             Communications ‐             ‐               ‐             315,022                ‐               ‐                ‐             Facilities ‐             ‐              2,436,137    ‐                       ‐               ‐                ‐             Data  cards  and cell  phones ‐            65,598         ‐              ‐                       ‐               ‐                ‐             IT service contracts ‐            146,302      ‐             ‐                      ‐              ‐               ‐             Interest and other misc 33,910       13,650        1,587          700                      43,703         43,744         23,467        Internal service fund  misc: Vehicle/equipment capital  recovery 840,474     581,450      ‐             ‐                      ‐              ‐               ‐             Insurance premiums ‐            ‐              ‐             ‐                      1,288,533    ‐               ‐             Worker's  compensation  / unemployment ‐            ‐              ‐             ‐                      797,167       ‐               ‐             Benefit premiums ‐            ‐              ‐             ‐                      ‐              6,477,190    1,020,899   Other misc 336            ‐              2,297          ‐                      ‐              284,207       ‐             Disposal  of capital  assets ‐            ‐              ‐             ‐                      ‐              ‐               ‐             Insurance recoveries ‐            ‐              ‐             ‐                      60,251         84,869         27,898        TOTAL REVENUES 2,121,694  2,182,141   2,440,021   512,600               2,189,654    6,890,010    1,072,264   EXPENSES: Communications 269,220                Equipment rental 1,263,340   Facilities 2,204,600    Healthcare 5,370,821     Information technology 1,771,735    Print and mail ‐              246,237                Retiree  healthcare 628,517      Risk management Risk management 952,117        Unemployement 327,664        Worker's  compensation 747,672        TOTAL EXPENSES 1,263,340  1,771,735   2,204,600   515,457               2,027,453    5,370,821    628,517      AMOUNT AVAILABLE FOR CAPITAL 858,354     410,406      235,421      (2,857)                 162,201       1,519,189    443,747      CAPITAL PROJECTS 634,131     202,478      25,000        29,408                 ‐              ‐               ‐             TRANSFERS IN ‐            ‐              ‐             ‐                      ‐              ‐               ‐             TRANSFERS (OUT)‐            ‐              ‐             ‐                      ‐              ‐               ‐             CHANGE IN FUND BALANCE 224,223     207,928      210,421      (32,265)               162,201       1,519,189    443,747      BEGINNING FUND BALANCE, January 1, 2010 4,593,399  1,647,931   91,175        111,818               6,039,509    4,792,452    2,820,473   ENDING FUND BALANCE, July 31, 2010 4,817,622  1,855,859   301,596      79,553                 6,201,710    6,311,641    3,264,220   Page 11 of 34 Monthly Financial Report July 2010        THE SCORE    The South Correctional Entity (SCORE) is a public development authority (PDA) that was formed to build and operate a new  822‐bed misdemeanor jail in South King County.  SCORE is made up of cities located in South King County and they are  Auburn, Burien, Des Moines, Federal Way, Renton, SeaTac, and Tukwila.  The City of Renton is the principle of the PDA as  well as acting as the treasurer and fiscal agent for SCORE during the planning and development phase. The design and  permit work, construction bid opening, and bond sell has been completed.    The current estimated total development and construction costs for the project is around $95 million, including capitalized  interest and startup costs.  The bonding is $87 million with the remaining $8 million to be financed by member  contributions.  The City of Renton is obligated for 36% of the bonds issued.       The table below lists the year to date financing sources and uses of the SCORE:    SCORE REVENUES: Interlocal city contribution Auburn ‐                  Burien 4,000              Des  Moines ‐                  Federal  Way ‐                  Renton ‐                  Seatac 3,000              Tukwila ‐                  Interest and other misc 199,368          Bond proceeds ‐                  Tax Credit  (BABs) 837,545          TOTAL REVENUES 1,043,913       EXPENSES: Salaries  and wages 11,421            Benefits 937                 Supplies 6,654              Professional services 1,077,981       Intergovernmental 673,290          Construction 28,278,404     TOTAL EXPENSES 30,048,687     AMOUNT AVAILABLE FOR DEBT SERVICE (29,004,774)    DEBT SERVICE: Principal ‐                  Interest and other debt service costs 3,439,680       TOTAL DEBT SERVICE 3,439,680       CHANGE IN FUND BALANCE (32,444,454)    BEGINNING FUND BALANCE, January 1, 2010 80,644,637     ENDING FUND BALANCE, July 31, 2010 48,200,183     Page 12 of 34 Monthly Financial Report July 2010        FUND BALANCE  Page 14 shows the ending fund balance as of July 2010.  The City’s fund balance is a combination of current deficit/surplus  of funds which have accrued from unexpended operating budgets and unanticipated excess revenues and from balances  accumulated from prior years.      The prior year’s balances (or beginning balance) 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 July, the City has $12.5 million reported in combined general governmental fund balance of the current year’s  operating budget, which is approximately 13% of budgeted operating expenditures.  This is an increase of $497k from the  beginning balance of January 1, 2010.  July’s ending fund balance is over the anticipated General Governmental Fund  Balance of $11.4 million by $1.1 million.  Although the ending fund balance is above projections, it is consistent with the  prior years’ trends since the City receipted the first half of 2010 property taxes in April and May.  We expect the fund  balance to decrease but be in line with the projected fund balance after May.    CONTACT INFORMATION  This report is prepared by the Finance Division of the FIT Department.  For additional financial information, please also  review our website: http://www.rentonwa.gov/.  For any questions about the report, please feel free to contact us at  hnguyen@rentonwa.gov or iwang@rentonwa.gov.  Page 13 of 34 Monthly Financial Report July 2010        City  of Renton All Funds ‐ Revenue, Expenditures and Fund Balances Cash  Basis through July  31, 2010 Funds Balance  01/01/2010 Budgeted  Revenue Revenue  07/31/10 Total Funds  Available Budgeted  Expenditure Expenditure  07/31/10 Ending Balance GENERAL GOVERNMENT FUNDS:11,955,285       98,542,948     60,897,449     72,852,734         99,347,239         60,400,225         12,452,509       000 General 8,535,013         74,520,193     42,206,499     50,741,512         72,517,802         40,671,076         10,070,436       001 Community Services 958,009            9,557,924       5,545,852       6,503,861           10,461,433         5,324,731           1,179,130         003 Street 1,391,648         7,201,490       4,271,554       5,663,202           8,543,138           4,826,691           836,511            004 Community Dev Block Grant (6,528)               532,635          80,774            74,246                532,227              272,301              (198,055)           005 Museum 64,705              192,621          96,742            161,447              194,120              111,161              50,286              006 Library 706,011            1,888,252       926,027          1,632,038           2,544,263           1,628,119           3,919                009 Farmers  Market 60,571              44,280            33,546            94,117                34,311                24,521                69,596              010 Fire  Memorial 936                   ‐                     315                 1,251                  ‐                          ‐                          1,251                011 Fire  Health & Wellness 4,303                25,000            13,937            18,240                25,000                1,180                  17,060              031 Pa rk  Memorial 175,066             ‐                     1,331              176,397               ‐                           ‐                          176,397            201 Ltd  GO Bonds Gen Govt Debt 1,448                2,033,177       467,770          469,218              1,984,625           318,588              150,630            215 Gen Govt Misc Debt Service 64,103              2,547,376       7,253,102       7,317,205           2,510,320           7,221,857           95,348              SPECIAL REVENUE FUNDS: 102 Arterial  Street 200,686            620,000          332,339          533,025              620,000              ‐                          533,025            108 Leased  City Properties 837,613            1,669,586       747,483          1,585,096           1,511,561           1,188,054           397,042            110 Hotel  Motel 247,828            245,000          162,370          410,198              245,000              163,549              246,649            118 Reserve for Paths  & Trails 3,264                ‐                     28                   3,292                  ‐                          ‐                          3,292                125 1% For Art 143,796            35,000            1,087              144,883              50,000                8,611                  136,272            127 Cable  Communication 89,391              85,000            38,728            128,119              85,674                13,145                114,974            135 Springbrook Wetlands Bank 459,528            ‐                     3,501              463,029              ‐                          ‐                          463,029            DEBT SERVICE FUNDS: 219 1989 Unlimited GO Bonds 79,340              ‐                     ‐                     79,340                79,340                ‐                          79,340              CAPITAL PROJECT FUNDS (CIP): 303 Community Dev Mitigation 1,066,593         60,000            255,227          1,321,820           ‐                          ‐                          1,321,820         304 Fire  Mitigation 2,363,522         100,000          47,694            2,411,216           560,000              (40,004)               2,451,220         305 Transportation  Mitigation 2,167,133         200,000          (34,281)          2,132,852           1,810,000           ‐                          2,132,852         316 Municipal  Facilities  CIP 6,933,186         1,333,553       707,070          7,640,256           7,621,771           1,072,240           6,568,016         317 Transportation  CIP 2,892,341         30,582,042     6,964,739       9,857,080           32,413,734         7,411,441           2,445,639         318 So Lake  WA Infrastructure Proj 114,039            ‐                     754                 114,793              114,000              47,825                66,968              326 Housing Opportunity 201,653            ‐                     1,539              203,192              200,000              ‐                          203,192            ENTERPRISE FUNDS: 402 Airport 415,929            1,917,163       947,272          1,363,201           1,001,800           604,670              758,531            403 Solid Waste  Utility 326,034            15,025,000     8,908,118       9,234,152           15,025,000         8,427,607           806,545            404 Golf Course 798,278            2,483,545       1,301,264       2,099,542           2,566,837           1,111,362           988,180            422 Airport Capital 633,154            1,578,000       65,733            698,887              1,831,485           170,556              528,331            424 Golf Course  Capital 287,523            150,000          1,464              288,987              302,499              121,147              167,840            INTERNAL SERVICE FUNDS: 501 Equipment Repair/Replacement 4,593,399         3,631,241       2,121,694       6,715,093           3,413,927           1,897,471           4,817,622         502 Insurance 6,039,509         3,287,584       2,189,653       8,229,162           4,170,106           2,027,453           6,201,709         503 Information Services 1,647,931         4,194,774       2,182,141       3,830,072           4,841,706           1,974,213           1,855,859         504 Facilities 91,175              4,705,475       2,440,021       2,531,196           4,326,200           2,229,600           301,596            505 Communications 111,818            1,049,671       512,600          624,418              877,560              544,866              79,552              512 Insurance, Healthcare 4,792,452         12,358,471     6,890,011       11,682,463         12,462,810         5,370,821           6,311,642         522 Insurance, Leoff1 Retirees  HC 2,820,473         2,235,684       1,072,264       3,892,737           2,248,907           628,517              3,264,220         FIDUCIARY FUNDS: 611 Firemen's  Pension 4,332,817         300,000          123,205          4,456,022           550,475              223,783              4,232,239         Funds Balance  01/01/2010 Budgeted  Revenue Revenue  07/31/10 Total Funds  Available Budgeted  Expenditure Expenditure  07/31/10 Ending Balance ENTERPRISE FUNDS: COMBINED  UTILITIES 13,931,093       44,912,214     20,019,926     33,951,019         51,150,420         22,472,598         11,478,421       405 Water Utility 4,294,833         11,316,610     5,693,403       9,988,236           11,560,951         5,794,495           4,193,741         406 Waste  Water Utility 1,887,815         6,070,737       3,313,799       5,201,614           6,780,650           3,170,399           2,031,215         407 Surface  Water Utility 2,448,845         5,783,148       3,329,390       5,778,235           6,641,884           2,632,144           3,146,091         416 King  County Metro 46,504              11,211,935     6,713,437       6,759,941           11,211,935         6,405,917           354,024            425 Water Utility Construction 2,862,275         3,460,000       164,280          3,026,555           5,510,000           1,266,352           1,760,203         426 Waste  Water Construction 841,219            3,153,781       196,261          1,037,480           3,995,000           2,581,916           (1,544,436)        427 Surface  Water Construction 1,533,997         3,916,003       609,240          2,143,237           5,450,000           621,375              1,521,862         461 Waterworks  Bond Reserve ‐                        ‐                     ‐                     ‐                          ‐                          ‐                          ‐                        471 Wa terworks  Rate  Stabilization 15,605               ‐                     116                 15,721                 ‐                           ‐                          15,721              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 34 City of Renton General Government Financial Position 2010 Budget Year General Government Summary  Revenues Expenditures  $ Difference over (under)  w/beginning  balance  11,955,285             January 4,881,556              7,161,528              (2,279,972)             9,675,313               February 10,472,029            15,011,456            (4,539,427)             7,415,858               March 15,590,071            22,695,538            (7,105,467)             4,849,818               April 27,747,760            29,817,438            (2,069,678)             9,885,607               May 48,191,829            43,949,015            4,242,814              16,198,099             June 55,079,253            52,299,100            2,780,152              14,735,437             July 60,897,449            60,400,225            497,224                  12,452,509             August September October November December 1,000,000 2,000,000  3,000,000  4,000,000  5,000,000  6,000,000  7,000,000  70,000,000  80,000,000  90,000,000  100,000,000  110,000,000  DifferenceRev/Exp Revenues Expenditures Difference (7,000,000) (6,000,000) (5,000,000) (4,000,000) (3,000,000) (2,000,000) (1,000,000) ‐ 1,000,000  2,000,000  3,000,000  4,000,000  5,000,000  6,000,000  7,000,000  ‐ 10,000,000  20,000,000  30,000,000  40,000,000  50,000,000  60,000,000  70,000,000  80,000,000  90,000,000  100,000,000  110,000,000  Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec DifferenceRev/Exp Revenues Expenditures Difference Page 15 of 34 City of Renton Monthly Revenue Analysis ‐ 2010 Budget Year General  Government Budget YTD Actual Annual %  over (under) Jan 4,913,351        4,881,556         ‐0.65% Feb 10,850,564      10,472,029       ‐3.49% Mar 16,350,246      15,590,071       ‐4.65% Apr 29,228,824      27,747,760       ‐5.07% May 44,121,619      48,191,829      9.22% Jun 49,310,891      55,079,253      11.70% Jul 55,416,612      60,897,449      9.89% Aug 61,148,855       Sep 65,808,951       Oct 77,111,827       Nov 92,687,526       Dec 98,542,948       Percent of budget 61.80% Property Tax Budget YTD Actual Annual %  over (under) $‐ $10  $20  $30  $40  $50  $60  $70  $80  $90  $100  Millions Total Revenue General Government Budget Actual Last Year $30  $33  Millions Property Tax Budget Actual py g () Jan 9,635                218,705           2169.90% Feb 320,118           489,513           52.92% Mar 982,841           1,037,146        5.53% Apr 9,231,227        7,697,974        ‐16.61% May 16,097,311      16,434,665      2.10% Jun 16,213,191      16,549,647      2.08% Jul 16,320,354      16,637,599      1.94% Aug 16,388,472       Sep 16,644,516       Oct 22,547,053       Nov 31,012,799       Dec 31,364,643       Percent of budget 53.05% $‐ $10  $20  $30  $40  $50  $60  $70  $80  $90  $100  Millions Total Revenue General Government Budget Actual Last Year $‐ $3  $6  $9  $12  $15  $18  $21  $24  $27  $30  $33  Millions Property Tax Budget Actual Last Year Page 16 of 34 City of Renton Monthly Revenue Analysis ‐ 2010 Budget Year Sales Tax Budget YTD Actual Annual %  over (under) Jan 1,688,260        1,442,659         ‐14.55% Feb 3,848,016        3,376,692         ‐12.25% Mar 5,540,865        4,818,562         ‐13.04% Apr 7,161,203        6,445,782         ‐9.99% May 8,888,836        8,120,233         ‐8.65% Jun 10,537,549      9,663,981         ‐8.29% Jul 12,138,293      11,131,292       ‐8.30% Aug 13,935,185       Sep 15,628,456       Oct 17,436,835       Nov 18,929,142       Dec 20,857,000       Percent of budget 53.37% Note:  Includes Funds 108, 318, 501, and 503.  Excludes CJ Sales Tax and Natural Gas Use Tax. Utility Tax Budget YTD Actual Annual %  over (under) $‐ $3  $6  $9  $12  $15  $18  $21  Millions Sales Tax Budget Actual Last Year $14 $16  Millions Utility Tax Budget Actual y g () Jan 1,379,262        1,282,930        ‐6.98% Feb 2,829,096        2,637,863        ‐6.76% Mar 4,050,000        3,933,596        ‐2.87% Apr 5,225,375        5,193,705        ‐0.61% May 6,516,282        6,425,405        ‐1.39% Jun 7,560,617        7,590,593        0.40% Jul 8,546,617        8,731,006        2.16% Aug 9,718,578         Sep 10,760,779       Oct 11,813,935       Nov 12,878,332       Dec 14,228,000       Percent of budget 61.36% Note:  Includes Natural Gas Use Tax. $‐ $3  $6  $9  $12  $15  $18  $21  Millions Sales Tax Budget Actual Last Year $0  $2  $4  $6  $8  $10  $12  $14  $16  Millions Utility Tax Budget Actual Last Year Page 17 of 34 City of Renton Monthly Revenue Analysis ‐ 2010 Budget Year Licenses/ Permits Budget YTD Actual Annual %  over (under) Jan 220,191           394,387           79.11% Feb 415,373           496,041           19.42% Mar 640,289           633,007            ‐1.14% Apr 866,016           867,134           0.13% May 1,046,903        1,014,467         ‐3.10% Jun 1,224,807        1,185,796         ‐3.19% Jul 1,451,179        1,444,809         ‐0.44% Aug 1,631,518         Sep 1,759,093         Oct 2,024,220         Nov 2,153,967         Dec 2,386,376         Percent of budget 60.54% Note:  Includes Fund 318. Intergovt'l Budget YTD Actual Annual %  over (under) $11 $12  Millions Intergovernmental Budget Al $‐ $0.30  $0.60  $0.90  $1.20  $1.50  $1.80  $2.10  $2.40  Millions Licenses & Permits Budget Actual Last Year g g () Jan 352,045           371,847           5.62% Feb 819,806           1,023,691        24.87% Mar 1,244,334        1,536,757        23.50% Apr 1,688,788        2,128,407        26.03% May 4,999,359        2,963,839        ‐40.72% Jun 5,390,092        5,426,368        0.67% Jul 5,807,628        5,897,632        1.55% Aug 6,922,028         Sep 7,390,372         Oct 8,027,921         Nov 11,304,114       Dec 11,653,246       Percent of budget 50.61% Note:  Includes CJ Sales Tax. $‐ $1  $2  $3  $4  $5  $6  $7  $8  $9  $10  $11  $12  Millions Intergovernmental Budget Actual Last Year $‐ $0.30  $0.60  $0.90  $1.20  $1.50  $1.80  $2.10  $2.40  Millions Licenses & Permits Budget Actual Last Year Page 18 of 34 City of Renton Monthly Revenue Analysis ‐ 2010 Budget Year Charges for  Svcs Budget YTD Actual Annual %  over (under) Jan 391,334           445,172           13.76% Feb 791,905           869,415           9.79% Mar 1,295,331        1,336,778        3.20% Apr 1,774,948        1,954,003        10.09% May 2,308,362        2,466,435        6.85% Jun 2,817,547        3,043,138        8.01% Jul 3,611,251        3,828,477        6.02% Aug 4,145,264         Sep 4,604,070         Oct 5,058,558         Nov 5,489,415         Dec 5,997,460         Percent of budget 63.83% Fines &  Forfeits Budget YTD Actual Annual %  over (under) $‐ $1  $2  $3  $4  $5  $6  $7  Millions Charges for Services Budget Actual Last Year $4.00  Millions Fines & Forfeits Budget g () Jan 262,296           239,080           ‐8.85% Feb 532,296           467,413           ‐12.19% Mar 879,630           746,724           ‐15.11% Apr 1,189,814        1,041,335        ‐12.48% May 1,480,333        1,317,878        ‐10.97% Jun 1,790,644        1,691,502        ‐5.54% Jul 2,098,439        1,947,727        ‐7.18% Aug 2,337,154         Sep 2,587,781         Oct 2,885,471         Nov 3,231,058         Dec 3,577,193         Percent of budget 54.45% $‐ $1  $2  $3  $4  $5  $6  $7  Millions Charges for Services Budget Actual Last Year $‐ $0.50  $1.00  $1.50  $2.00  $2.50  $3.00  $3.50  $4.00  Millions Fines & Forfeits Budget Actual Last Year Page 19 of 34 City of Renton Monthly Revenue Analysis ‐ 2010 Budget Year Other Taxes Budget YTD Actual Annual %  over (under) Jan 424,298           315,778            ‐25.58% Feb 887,009           854,174            ‐3.70% Mar 1,210,805        1,175,121         ‐2.95% Apr 1,527,046        1,947,556        27.54% May 2,129,929        2,261,610        6.18% Jun 3,055,413        2,591,928         ‐15.17% Jul 3,781,909        3,784,819        0.08% Aug 4,301,294         Sep 4,584,474         Oct 5,408,386         Nov 5,791,753         Dec 6,297,095         Percent of budget 60.10% Misc Budget YTD Actual Annual %  over (under) $1 60 $1.80  Millions Miscellaneous Budget Al $0  $1  $2  $3  $4  $5  $6  $7  Millions Other Taxes Budget Actual Last Year g () Jan 129,034           170,998           32.52% Feb 302,604           257,122           ‐15.03% Mar 356,594           372,244           4.39% Apr 446,989           471,619           5.51% May 587,653           573,528           ‐2.40% Jun 677,925           721,867           6.48% Jul 875,817           880,001           0.48% Aug 948,491            Sep 1,066,818         Oct 1,135,400         Nov 1,201,158         Dec 1,377,980         Percent of budget 63.86% $‐ $0.20  $0.40  $0.60  $0.80  $1.00  $1.20  $1.40  $1.60  $1.80  Millions Miscellaneous Budget Actual Last Year $0  $1  $2  $3  $4  $5  $6  $7  Millions Other Taxes Budget Actual Last Year Page 20 of 34 City of Renton Monthly Revenue Analysis ‐ 2010 Budget Year REET Budget YTD Actual Annual %  over (under) Jan 229,560           71,303               ‐68.94% Feb 298,320           178,545            ‐40.15% Mar 480,120           487,709           1.58% Apr 620,064           769,455           24.09% May 925,800           986,269           6.53% Jun 1,135,488        1,178,010        3.74% Jul 1,335,888        1,327,717         ‐0.61% Aug 1,644,120         Sep 1,850,592         Oct 2,058,960         Nov 2,279,304         Dec 2,400,000         Percent of budget 55.32% Note:  Combines Funds 201, 215, 316, and 318 $0.00 $0.50 $1.00 $1.50 $2.00 $2.50 $3.00 Millions Real Estate Excise Tax Budget Actual Last Year Page 21 of 34 City of Renton Monthly Expenditure Analysis ‐ 2010 Budget Year General  Government Budget YTD Actual Annual %  over (under) Jan 7,163,929        7,161,528         ‐0.03% Feb 15,254,769      15,011,456       ‐1.59% Mar 22,794,231      22,695,538       ‐0.43% Apr 30,497,615      29,817,438       ‐2.23% May 37,946,671      43,949,015      15.82% Jun 46,603,790      52,299,100      12.22% Jul 54,947,964      60,400,225      9.92% Aug 62,948,398       Sep 70,847,497       Oct 78,654,203       Nov 86,699,342       Dec 99,347,239       Percent of budget expended 60.80% Legislative Budget YTD Actual Annual %  over (under) $‐ $10  $20  $30  $40  $50  $60  $70  $80  $90  $100  Millions Total Expenditures General Government Budget Actual Last Year $300,000  Legislative Budget g g () Jan 21,938              21,032              ‐4.13% Feb 44,183              43,671              ‐1.16% Mar 68,592              65,280              ‐4.83% Apr 91,263              87,679              ‐3.93% May 113,769           109,177           ‐4.04% Jun 136,495           131,035           ‐4.00% Jul 158,472           152,284           ‐3.90% Aug 180,456            Sep 202,484            Oct 224,540            Nov 246,799            Dec 267,957            Percent of budget expended 56.83% $‐ $10  $20  $30  $40  $50  $60  $70  $80  $90  $100  Millions Total Expenditures General Government Budget Actual Last Year $‐ $50,000  $100,000  $150,000  $200,000  $250,000  $300,000  Legislative Budget Actual Last Year Page 22 of 34 City of Renton Monthly Expenditure Analysis ‐ 2010 Budget Year Court Services Budget YTD Actual Annual %  over (under) Jan 152,880           168,470           10.20% Feb 317,920           328,318           3.27% Mar 483,826           499,117           3.16% Apr 656,729           664,092           1.12% May 829,712           822,296            ‐0.89% Jun 1,004,692        990,091            ‐1.45% Jul 1,173,482        1,168,151         ‐0.45% Aug 1,341,545         Sep 1,508,802         Oct 1,677,249         Nov 1,836,905         Dec 2,016,361         Percent of budget expended 57.93% Executive Budget YTD Actual Annual %  over (under) $‐ $0.20  $0.40  $0.60  $0.80  $1.00  $1.20  $1.40  $1.60  $1.80  $2.00  $2.20  Millions Court Services Budget Actual Last Year $1.80  Millions Executive Budget g () Jan 105,591           134,784           27.65% Feb 250,653           272,736           8.81% Mar 385,511           407,609           5.73% Apr 521,891           539,712           3.41% May 654,166           672,872           2.86% Jun 785,689           800,153           1.84% Jul 935,460           933,696           ‐0.19% Aug 1,087,274         Sep 1,225,811         Oct 1,370,153         Nov 1,499,437         Dec 1,635,047         Percent of budget expended 57.11% $‐ $0.20  $0.40  $0.60  $0.80  $1.00  $1.20  $1.40  $1.60  $1.80  $2.00  $2.20  Millions Court Services Budget Actual Last Year $‐ $0.30  $0.60  $0.90  $1.20  $1.50  $1.80  Millions Executive Budget Actual Last Year Page 23 of 34 City of Renton Monthly Expenditure Analysis ‐ 2010 Budget Year Finance Budget YTD Actual Annual %  over (under) Jan 254,764           145,053            ‐43.06% Feb 426,592           286,770            ‐32.78% Mar 619,310           443,082            ‐28.46% Apr 794,926           591,163            ‐25.63% May 992,753           770,836            ‐22.35% Jun 1,166,399        926,194            ‐20.59% Jul 1,342,556        1,076,383         ‐19.83% Aug 1,525,165         Sep 1,700,824         Oct 1,832,622         Nov 2,006,095         Dec 2,164,890         Percent of budget expended 49.72% City Attorney Budget YTD Actual Annual %  over (under) $1.60  $1.80  Millions City Attorney Budget At l $‐ $0.30  $0.60  $0.90  $1.20  $1.50  $1.80  $2.10  Millions Finance Budget Actual Last Year y y g () Jan 106,795           127,162           19.07% Feb 246,680           266,526           8.05% Mar 403,070           400,465           ‐0.65% Apr 549,408           532,980           ‐2.99% May 691,207           666,194           ‐3.62% Jun 825,807           799,852           ‐3.14% Jul 1,028,793        929,609           ‐9.64% Aug 1,108,058         Sep 1,244,944         Oct 1,384,635         Nov 1,520,418         Dec 1,621,295         Percent of budget expended 57.34% $‐ $0.20  $0.40  $0.60  $0.80  $1.00  $1.20  $1.40  $1.60  $1.80  Millions City Attorney Budget Actual Last Year $‐ $0.30  $0.60  $0.90  $1.20  $1.50  $1.80  $2.10  Millions Finance Budget Actual Last Year Page 24 of 34 City of Renton Monthly Expenditure Analysis ‐ 2010 Budget Year Human  Resources Budget YTD Actual Annual %  over (under) Jan 62,931              71,457              13.55% Feb 148,376           141,160            ‐4.86% Mar 230,102           213,772            ‐7.10% Apr 311,875           283,314            ‐9.16% May 394,684           354,450            ‐10.19% Jun 472,922           428,866            ‐9.32% Jul 547,642           505,205            ‐7.75% Aug 620,352            Sep 697,386            Oct 773,457            Nov 845,873            Dec 918,169            Percent of budget expended 55.02% Public Works Budget YTD Actual Annual %  over (under) $‐ $0.10  $0.20  $0.30  $0.40  $0.50  $0.60  $0.70  $0.80  $0.90  $1.00  Millions Human Resources Budget Actual Last Year $1.20  Millions Public Works Budget g () Jan 40,311              42,532              5.51% Feb 86,173              86,114              ‐0.07% Mar 133,892           129,351           ‐3.39% Apr 179,050           172,378           ‐3.73% May 221,237           215,438           ‐2.62% Jun 264,331           258,597           ‐2.17% Jul 308,727           302,033           ‐2.17% Aug 353,278            Sep 394,646            Oct 441,919            Nov 483,769            Dec 518,399            Percent of budget expended 58.26% Note:  For comparative purposes history does not include Development Svcs division (now in CED). $‐ $0.10  $0.20  $0.30  $0.40  $0.50  $0.60  $0.70  $0.80  $0.90  $1.00  Millions Human Resources Budget Actual Last Year $‐ $0.30  $0.60  $0.90  $1.20  Millions Public Works Budget Actual Last Year Page 25 of 34 City of Renton Monthly Expenditure Analysis ‐ 2010 Budget Year Other City  Services Budget YTD Actual Annual %  over (under) Jan 414,785           348,715            ‐15.93% Feb 819,456           701,408            ‐14.41% Mar 1,210,803        1,136,033         ‐6.18% Apr 1,824,496        1,429,727         ‐21.64% May 1,977,632        1,657,444         ‐16.19% Jun 2,363,946        1,849,216         ‐21.77% Jul 2,580,253        2,144,315         ‐16.90% Aug 2,956,550         Sep 3,332,176         Oct 3,741,593         Nov 4,083,716         Dec 4,792,981         Percent of budget expended 44.74% Police Budget YTD Actual Annual %  over (under) $‐ $0.50  $1.00  $1.50  $2.00  $2.50  $3.00  $3.50  $4.00  $4.50  $5.00  Millions Other City Services Budget Actual Last Year $27  $30  Millions Police Budget Actual g () Jan 2,165,025        2,260,619        4.42% Feb 4,517,801        4,238,853        ‐6.17% Mar 6,790,712        6,677,267        ‐1.67% Apr 8,836,921        8,955,690        1.34% May 11,203,428      11,016,981      ‐1.66% Jun 13,466,812      13,574,734      0.80% Jul 15,954,657      15,859,503      ‐0.60% Aug 18,080,450       Sep 20,560,448       Oct 22,762,743       Nov 25,377,250       Dec 28,022,582       Percent of budget expended 56.60% $‐ $0.50  $1.00  $1.50  $2.00  $2.50  $3.00  $3.50  $4.00  $4.50  $5.00  Millions Other City Services Budget Actual Last Year $‐ $3  $6  $9  $12  $15  $18  $21  $24  $27  $30  Millions Police Budget Actual Last Year Page 26 of 34 City of Renton Monthly Expenditure Analysis ‐ 2010 Budget Year Fire & Emerg  Svc Budget YTD Actual Annual %  over (under) Jan 1,804,022        1,768,398         ‐1.97% Feb 4,287,068        4,239,777         ‐1.10% Mar 6,047,506        5,943,458         ‐1.72% Apr 7,733,307        7,607,800         ‐1.62% May 9,475,312        9,312,143         ‐1.72% Jun 11,207,916      11,038,448       ‐1.51% Jul 13,014,504      12,790,432       ‐1.72% Aug 14,732,889       Sep 16,560,924       Oct 18,349,790       Nov 20,065,074       Dec 21,922,009       Percent of budget expended 58.35% City Clerk Budget YTD Actual Annual %  over (under) $‐ $3  $6  $9  $12  $15  $18  $21  $24  Millions Fire & Emergency Services Budget Actual Last Year $1.00 Millions City Clerk Budget y g () Jan 77,013              48,025              ‐37.64% Feb 148,683           92,936              ‐37.49% Mar 257,863           146,137           ‐43.33% Apr 393,130           229,025           ‐41.74% May 465,321           368,812           ‐20.74% Jun 538,843           414,558           ‐23.07% Jul 603,120           459,511           ‐23.81% Aug 661,523            Sep 723,147            Oct 781,484            Nov 843,676            Dec 931,014            Percent of budget expended 49.36% $‐ $3  $6  $9  $12  $15  $18  $21  $24  Millions Fire & Emergency Services Budget Actual Last Year $0.00 $0.20 $0.40 $0.60 $0.80 $1.00 Millions City Clerk Budget Actual Last Year Page 27 of 34 City of Renton Monthly Expenditure Analysis ‐ 2010 Budget Year Human  Services Budget YTD Actual Annual %  over (under) Jan 31,267              40,228              28.66% Feb 68,742              72,960              6.14% Mar 97,456              139,024           42.65% Apr 240,125           282,858           17.80% May 298,961           333,690           11.62% Jun 360,953           372,237           3.13% Jul 476,053           475,738            ‐0.07% Aug 528,908            Sep 569,793            Oct 693,393            Nov 748,914            Dec 874,359            Percent of budget expended 54.41% Note:  General Fund only Hearing  Examiner Budget YTD Actual Annual %  over (under) $0.00 $0.10 $0.20 $0.30 $0.40 $0.50 $0.60 $0.70 $0.80 $0.90 $1.00 Millions Human Svcs (Comm Svcs) Budget Actual Last Year $200,000  $220,000  Hearing Examiner Budget g () Jan 16,707              14,619              ‐12.50% Feb 33,528              29,129              ‐13.12% Mar 50,066              43,412              ‐13.29% Apr 67,019              58,097              ‐13.31% May 83,535              72,376              ‐13.36% Jun 99,983              87,146              ‐12.84% Jul 117,131           101,724           ‐13.15% Aug 133,757            Sep 150,300            Oct 166,956            Nov 183,659            Dec 200,440            Percent of budget expended 50.75% $0.00 $0.10 $0.20 $0.30 $0.40 $0.50 $0.60 $0.70 $0.80 $0.90 $1.00 Millions Human Svcs (Comm Svcs) Budget Actual Last Year $‐ $20,000  $40,000  $60,000  $80,000  $100,000  $120,000  $140,000  $160,000  $180,000  $200,000  $220,000  Hearing Examiner Budget Actual Last Year Page 28 of 34 City of Renton Monthly Expenditure Analysis ‐ 2010 Budget Year CED Budget YTD Actual Annual %  over (under) Jan 509,427           555,670           9.08% Feb 1,079,871        1,097,029        1.59% Mar 1,636,852        1,602,874         ‐2.08% Apr 2,163,456        2,116,917         ‐2.15% May 2,707,968        2,646,710         ‐2.26% Jun 3,234,971        3,251,020        0.50% Jul 3,814,567        3,772,492         ‐1.10% Aug 4,373,869         Sep 4,921,763         Oct 5,481,795         Nov 6,022,924         Dec 6,632,300         Percent of budget expended 56.88% Note:  For comparative purposes history includes Development Svcs division (previously in Public Works). Note:  General Fund only General Fund Budget YTD Actual Annual %  over (under)$75  Millions General Fund Budget $‐ $1.50  $3.00  $4.50  $6.00  $7.50  Millions Community & Economic Development Budget Actual Last Year g () Jan 5,749,211        5,746,764        ‐0.04% Feb 12,150,358      11,897,388      ‐2.08% Mar 17,973,537      17,846,883      ‐0.70% Apr 23,903,318      23,551,432      ‐1.47% May 29,556,081      29,019,419      ‐1.82% Jun 35,401,015      34,922,145      ‐1.35% Jul 41,520,793      40,671,076      ‐2.05% Aug 47,160,502       Sep 53,217,189       Oct 58,976,553       Nov 65,185,527       Dec 72,517,802       Percent of budget expended 56.08% $‐ $15  $30  $45  $60  $75  Millions General Fund Budget Actual Last Year $‐ $1.50  $3.00  $4.50  $6.00  $7.50  Millions Community & Economic Development Budget Actual Last Year Page 29 of 34 City of Renton Monthly Expenditure Analysis ‐ 2010 Budget Year Community  Svcs Fund Budget YTD Actual Annual %  over (under) Jan 628,418           570,605            ‐9.20% Feb 1,415,327        1,321,394         ‐6.64% Mar 2,178,593        2,026,750         ‐6.97% Apr 2,968,536        2,733,709         ‐7.91% May 3,780,448        3,481,093         ‐7.92% Jun 4,619,455        4,303,348         ‐6.84% Jul 5,761,843        5,324,731         ‐7.59% Aug 6,929,653         Sep 7,789,687         Oct 8,632,774         Nov 9,503,898         Dec 10,461,433       Percent of budget expended 50.90% Street Fund Budget YTD Actual Annual %  over (under) $‐ $2  $4  $6  $8  $10  $12  $14  Millions Community Svcs Fund Budget Actual Last Year $8  $9  Millions Street Fund Budget At l g () Jan 600,924           641,040           6.68% Feb 1,276,345        1,365,252        6.97% Mar 1,958,856        2,078,338        6.10% Apr 2,664,177        2,735,391        2.67% May 3,383,424        3,438,717        1.63% Jun 4,063,971        4,197,932        3.30% Jul 4,801,841        4,826,691        0.52% Aug 5,565,769         Sep 6,290,996         Oct 7,004,518         Nov 7,710,951         Dec 8,543,138         Percent of budget expended 56.50% $‐ $2  $4  $6  $8  $10  $12  $14  Millions Community Svcs Fund Budget Actual Last Year $‐ $1  $2  $3  $4  $5  $6  $7  $8  $9  Millions Street Fund Budget Actual Last Year Page 30 of 34 City of Renton Monthly Expenditure Analysis ‐ 2010 Budget Year CDBG Budget YTD Actual Annual %  over (under) Jan 35,191              13,958               ‐60.34% Feb 75,363              40,304               ‐46.52% Mar 120,736           68,480               ‐43.28% Apr 167,971           100,216            ‐40.34% May 204,663           122,058            ‐40.36% Jun 240,955           153,564            ‐36.27% Jul 275,465           272,301            ‐1.15% Aug 339,295            Sep 370,840            Oct 429,422            Nov 467,929            Dec 532,227            Percent of budget expended 51.16% Library Fund Budget YTD Actual Annual %  over (under)$3.00  Millions Library Fund Budget At l $‐ $100,000  $200,000  $300,000  $400,000  $500,000  $600,000  CDBG Budget Actual Last Year y g () Jan 178,200           173,794           ‐2.47% Feb 369,656           229,125           ‐38.02% Mar 573,477           500,663           ‐12.70% Apr 777,934           505,911           ‐34.97% May 977,023           1,067,015        9.21% Jun 1,176,467        1,067,015        ‐9.30% Jul 1,368,254        1,628,119        18.99% Aug 1,579,352         Sep 1,772,156         Oct 1,974,603         Nov 2,165,372         Dec 2,544,263         Percent of budget expended 63.99% $‐ $0.50  $1.00  $1.50  $2.00  $2.50  $3.00  Millions Library Fund Budget Actual Last Year $‐ $100,000  $200,000  $300,000  $400,000  $500,000  $600,000  CDBG Budget Actual Last Year Page 31 of 34 City of Renton Monthly Expenditure Analysis ‐ 2010 Budget Year Museum Fund Budget YTD Actual Annual %  over (under) Jan 15,829              15,310               ‐3.28% Feb 32,775              31,141               ‐4.99% Mar 49,002              46,726               ‐4.64% Apr 65,543              62,643               ‐4.42% May 82,433              78,771               ‐4.44% Jun 99,543              94,929               ‐4.63% Jul 115,981           111,161            ‐4.16% Aug 132,242            Sep 148,372            Oct 164,641            Nov 180,555            Dec 194,120            Percent of budget expended 57.26% Note: Prior to 2009, Museum was part of the Library Fund LTGO Funds Budget YTD Actual Annual %  over (under) $7.00 $8.00  Millions LTGO Funds Budget Actual $‐ $20,000  $40,000  $60,000  $80,000  $100,000  $120,000  $140,000  $160,000  $180,000  $200,000  $220,000  Museum Fund Budget Actual Last Year g () Jan ‐                          ‐                         N/A Feb ‐                         126,390           100.00% Mar 22,250              126,390           468.04% Apr 22,250              126,471           468.41% May 22,250              6,739,665        30190.63% Jun 1,078,472        7,540,445        599.18% Jul 1,078,472        7,540,445        599.18% Aug 1,078,472         Sep 1,078,472         Oct 1,290,948         Nov 1,293,331         Dec 4,494,945         Percent of budget expended 167.75% $‐ $1.00  $2.00  $3.00  $4.00  $5.00  $6.00  $7.00  $8.00  Millions LTGO Funds Budget Actual Last Year $‐ $20,000  $40,000  $60,000  $80,000  $100,000  $120,000  $140,000  $160,000  $180,000  $200,000  $220,000  Museum Fund Budget Actual Last Year Page 32 of 34 City of Renton Monthly Enterprise Fund Financial Report ‐ 2010 Budget Year Utilities Budget Revenue Expense Jan 2,475,180        3,901,859      2,612,849       Feb 5,573,491        7,676,067      5,998,348       Mar 8,521,156        11,963,798    8,343,902       Apr 10,646,195      15,716,035    12,647,433     May 14,447,983      19,691,324    15,881,194     Jun 18,958,727      23,695,967    21,496,504     Jul 23,155,850      27,958,146    26,430,562     Aug 27,231,086       Sep 30,252,248       Oct 33,275,236       Nov 36,644,712       Dec 45,650,678       Percent of budget expended 57.90% Note:  Operations only, excludes bond proceeds and transfers to capital. Airport Budget Revenue Expense $0 $5 $10 $15 $20 $25 $30 $35 $40 $45 $50 Millions Utilities Budget Revenue Expense $1.20  Millions Airport Budget p g p Jan 66,269              94,268            72,717             Feb 159,667           204,281          156,869           Mar 250,901           310,979          242,660           Apr 329,772           418,081          325,667           May 438,337           517,628          410,185           Jun 517,870           655,253          512,611           Jul 598,355           947,272          604,670           Aug 688,817            Sep 759,575            Oct 838,546            Nov 913,982            Dec 1,001,800         Percent of budget expended 60.36% Note:  Operations only. $0 $5 $10 $15 $20 $25 $30 $35 $40 $45 $50 Millions Utilities Budget Revenue Expense $‐ $0.20  $0.40  $0.60  $0.80  $1.00  $1.20  Millions Airport Budget Revenue Expense Page 33 of 34 City of Renton Monthly Enterprise Fund Financial Report ‐ 2010 Budget Year Golf Course Budget Revenue Expense Jan 129,394           68,826            97,947             Feb 258,326           174,258          215,710           Mar 479,768           309,509          434,186           Apr 618,377           505,332          578,898           May 813,533           717,289          741,203           Jun 1,066,444        1,006,321      958,609           Jul 1,232,903        1,301,264      1,111,362       Aug 1,384,039         Sep 1,549,779         Oct 1,857,389         Nov 1,994,766         Dec 2,566,837         Percent of budget expended 43.30% Note:  Operations only. $‐ $0.30  $0.60  $0.90  $1.20  $1.50  $1.80  $2.10  $2.40  $2.70  Millions Golf Course Budget Revenue Expense Page 34 of 34