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HomeMy WebLinkAbout201603, MarchADMINISTRATIVE SERVICES  DEPARTMENT    M   E   M   O   R   A   N   D   U   M       DATE: May 9, 2016     TO: Randy Corman, Council President  Members of the Renton City Council     CC: Denis Law, Mayor  Administrators     FROM: Hai Nguyen, Sr. Finance Analyst     SUBJECT: March 2016 Financial Status Report       At the end of March, general governmental revenues show $2.8 million or 14.7% over budget.   Revenue source(s) that are higher than expected are: property tax ($183k); sales tax ($222k);  utility taxes ($287k); gambling taxes ($216k); real estate excise taxes ($389k); building permits  & development service fees ($633k); public safety ($107k) and seizure funds ($661k, restricted  to drug enforcement and not available for general purposes).  If we remove the seizure funds,  general governmental revenues are $2.1 million or 11.2% over budget.  March did not have any  major revenues that were $100k under budget.    General government expenditures showed a favorable variance of $517k or 1.9%.  See page 10  of report for further expenditure over‐spent explanations.    The attached report provides more detailed discussion of each revenue source and our updated  projections for the year.  Please do not hesitate to contact me at x6952 should you have any  questions or any suggestions about the report.         This page is intentionally left blank        General Governmental Funds $% Beginning Fund Balance 17,454,261$     17,454,261$  17,565,282$       17,565,282$  13,433,567$    13,433,567$ 19,962,845$   6,529,278      48.6% OPERATING REVENUES Property Tax 35,295,390        1,701,026        36,369,429          1,313,457        37,213,314       1,450,568       1,633,550         182,982          12.6% Sales Tax 21,512,379        5,248,928        23,439,266          5,692,874        23,999,421       5,931,368       6,153,800         222,432          3.8% Sales Tax  ‐ Annexation Credit 2,542,394           618,612            2,778,858             673,289             2,748,167          667,204            728,203             60,998             9.1% Criminal Justice Sa les  Tax 2,267,947           562,564            2,484,718             609,416             2,580,795          636,409            665,383             28,973             4.6% Natural Gas Use  Tax 271,485                99,781               228,899                  78,954                268,000               92,441               72,943                (19,497)             ‐21.1% Admission Tax 310,311                80,243               309,790                  85,153                320,000               85,352               77,752                (7,599)                ‐8.9% Franchise Fees 1,342,269           323,121            1,349,154             333,343             1,260,000          307,326            348,118             40,792             13.3% Electricity Tax 5,167,444           1,547,772        5,012,962             1,299,617        4,946,019          1,383,367       1,600,340         216,973          15.7% Natural Gas Utility Tax 1,562,341           694,379            1,437,552             578,683             1,350,900          573,281            557,961             (15,320)             ‐2.7% Garbage/Solid Waste 573,457                150,679            638,073                  134,850             580,000               136,692            153,593             16,900             12.4% TV Cable 1,518,821           348,235            1,591,866             361,627             1,629,365          371,823            371,036             (787)                   ‐0.2% Telephone 909,088                258,930            880,233                  260,572             952,500               276,544            244,707             (31,837)            ‐11.5% Cellular Phone 1,951,925           508,427            1,674,355             425,016             1,671,056          430,147            437,934             7,787                1.8% City Utilities 3,961,052           920,917            4,183,165             975,860             4,208,377          980,126            981,340             1,215                0.1% Utility Tax  Audit 460,513                ‐                         1,962,092             ‐                          ‐                            ‐                         111,227             111,227          100.0% Leasehold Excise  Tax 171,470                10,618               163,314                  11,601                179,000               11,880               713                        (11,166)            ‐94.0% Gambling Excise  Tax 1,650,384           418,580            2,299,156             511,743             1,600,000          376,884            592,965             216,081          57.3% Real  Estate  Excise  Tax 4,348,762           838,225            4,595,166             728,573             4,000,000          1,221,136       1,610,258         389,122          31.9% Less: CIP REET (1,650,000)          (158,968)           (1,401,300)            (182,143)           (2,000,000)         (805,129)          (805,129)            ‐                       0.0% EMS Levy ‐                            ‐                         936,406                  ‐                          946,000               ‐                         ‐                          ‐                       0.0% B&O Taxes ‐                            ‐                         ‐                              ‐                          5,000,000          ‐                         ‐                          ‐                       0.0% Less: CIP B&O Taxes ‐                            ‐                         ‐                              ‐                          (2,000,000)         ‐                         ‐                          ‐                       0.0% Business  License Fees 2,965,850           771,729            3,125,740             836,181             1,811,000          1,078,038       866,595             (211,443)         ‐19.6% Less: CIP Business License Fees (2,450,295)          (638,231)           (2,584,164)            (691,643)           (1,509,000)         (878,609)          (717,651)            160,958          ‐18.3% Animal  Licenses and Spec Events  Permits 95,698                   28,113               101,743                  29,720                91,000                  28,291               24,160                (4,131)               ‐14.6% Building Permits & Development Svc Fees 4,519,234           1,233,397        6,077,055             864,986             5,173,368          1,025,109       1,658,442         633,333          61.8% Intergovt'l (Grants, State Shared, etc) 5,438,901           1,492,870        4,053,617             919,084             3,652,084          925,698            954,547             28,849             3.1% Fire District 25 and 40 Contracts 5,959,428           151,469            6,369,132             158,163             6,128,712          164,356            164,356             ‐                       0.0% Public Safety 844,375                206,806            649,797                  163,218             630,135               155,712            262,299             106,586          68.5% Culture and Recreation 1,485,123           204,853            1,587,878             183,247             1,778,093          224,562            272,407             47,846             21.3% Interfund/Interdept‐Services 3,270,503           846,300            3,106,430             789,552             3,766,874          941,719            864,644             (77,074)            ‐8.2% Fines  and Penalties 962,977                258,026            848,052                  142,646             1,126,500          250,848            134,548             (116,301)         ‐46.4% Photo Enforcement 1,719,971           233,688            2,171,184             471,928             2,194,000          397,857            483,189             85,332             21.4% Seizure Funds  ‐ Federal/State/Local 68,870                   (470)                     21,676                     ‐                          50,000                  (259)                     661,152             661,412           ‐255105.6% Interests and Other Earnings 981,630                35,420               973,208                  161,599             875,300               88,217               165,180             76,963             87.2% Rents, Leases, and Concessions 711,070                262,643            762,361                  248,863             545,116               189,238            189,094             (144)                   ‐0.1% Contributions and Donations 113,626                27,847               147,292                  30,402                97,000                  21,655               35,013                13,358             61.7% Other Miscellaneous 879,105                252,357            941,127                  264,403             705,630               197,655            243,599             45,944             23.2% Other Financing Sources  (Transfer ‐In, etc) 48,632                   2,375                  270,224                  500                       250,000               62,500               ‐                          (62,500)            ‐100.0% Total Operating Revenues 111,782,133     19,541,262     119,555,505       18,465,333     118,818,726    19,000,004    21,798,267      2,798,263      14.7% OPERATING EXPENDITURES Council 309,317                84,100               320,877                  88,145                348,161               95,160               99,419                (4,259)               ‐4.5% Executive 1,338,738           296,472            1,691,189             319,885             1,772,884          360,645            486,643             (125,998)         ‐34.9% City Attorney 1,829,254           419,299            1,791,167             443,297             2,213,353          527,350            498,957             28,393             5.4% Court Services 2,016,273           487,984            2,013,364             477,408             2,187,710          524,116            508,523             15,593             3.0% Community and Eco  Dvlpmnt Admin 1,010,761           249,681            1,183,052             266,079             1,163,302          273,489            286,282             (12,792)            ‐4.7% Development Services 2,659,078           683,399            2,632,264             653,820             3,051,790          771,244            676,129             95,115             12.3% Economic Development 654,007                136,650            658,515                  171,373             902,274               211,746            166,805             44,942             21.2% Planning 2,095,706           426,860            2,606,551             616,614             3,243,237          719,704            630,155             89,550             12.4% Finance 2,644,827           505,966            3,132,812             531,013             2,927,787          525,483            642,161             (116,678)         ‐22.2% City Clerk 1,152,246           380,731            1,027,084             194,321             1,151,870          303,940            242,432             61,508             20.2% Human Resources 922,668                203,164            1,182,629             256,191             1,372,669          299,503            299,054             449                     0.1% Police 26,383,640        6,598,483        28,144,699          6,971,905        30,007,426       7,467,904       7,159,946         307,958          4.1% Jail Services 3,760,273           940,029            4,142,266             1,034,578        4,703,000          1,176,073       1,176,073         ‐                       0.0% Fire 25,240,760        6,727,201        26,536,999          7,236,866        27,970,913       7,543,542       7,516,586         26,956             0.4% Community Services  Admin 480,727                120,240            509,439                  131,187             562,434               142,816            155,142             (12,327)            ‐8.6% Parks 4,070,181           856,188            4,411,383             958,044             5,025,610          1,074,993       949,380             125,614          11.7% Parks Planning & Natural Resources 722,739                148,948            808,558                  151,169             1,125,443          220,574            165,213             55,361             25.1% Recreation 4,823,195           928,117            5,087,811             1,048,007        5,338,949          1,064,517       1,078,551         (14,034)            ‐1.3% Human Services 1,159,189           249,760            1,225,835             251,898             1,212,606          255,056            269,088             (14,032)            ‐5.5% Neighborhoods, Resources, & Events 875,223                200,847            958,624                  197,567             1,049,871          228,091            213,473             14,618             6.4% Museum 214,291                49,955               227,094                  56,379                235,281               56,682               55,330                1,352                2.4% Public Works  Admin 389,493                95,355               387,493                  96,942                413,579               102,357            100,509             1,848                1.8% Street Maintenance 4,503,315           980,862            5,061,723             1,213,907        5,399,313          1,238,913       1,236,414         2,499                0.2% Transportation 4,263,725           921,240            4,975,059             1,186,713        5,109,047          1,165,698       1,219,946         (54,249)            ‐4.7% Debt Service 8,393,140           303,355            6,371,715             298,456             6,248,676          295,075            295,075             ‐                       0.0% Non‐Departmental and Other 9,758,346           633,063            10,069,740          888,765             3,638,924          917,099            917,099             ‐                       0.0% Total  Operating Expenditures 111,671,112     23,627,952     117,157,942       25,740,531     118,376,109    27,561,769    27,044,383      517,387          1.9% Total  Ending Fund Balance 17,565,282$     13,367,571$  19,962,846$       10,290,085$  13,876,184$    4,871,802$    14,716,730$   9,844,927$   202.1% Favorable (Unfavorable) 2014 2015 2016 Variance Annual Actual YTD Actual Annual Budget YTD Budget YTD ActualSummary of Sources and Uses Annual Actual YTD Actual Monthly Financial Report March 2016 Page 1 of 38 Monthly Financial Report March 2016        OVERVIEW  This financial overview reflects the City’s overall financial position for the fiscal year through March 31, 2016.  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 two years.  The table on the previous page summarizes the general governmental fund  revenues and expenditures.    Revenues    Taxes   The combined collection of property, sales/use, utility, gambling, admissions, and real estate excise taxes represents 68% of all  resources supporting general governmental activities.   The following section provides detail information on property, sales,  utility, and other taxes.    Property Tax  March’s collection is $1.3 million,  making the total year‐to‐date  collection $1.6 million or 4.4% of  the total budget.  In comparison  to the previous year, the City  collected $320k or 24% more.   Compared to the budget, the City  is above projections by $183k or  13%.                        Sales Tax  March 2016 sales tax receipts  totaled $1.9 million.  Compared  with the same month last year, it  is $181k or 11% more.  Compared  to the projected current month’s  budget, it is $77k or 4% above.   The year‐to‐date collection of  $6.2 million is $461k or 8% more  than the prior year and is also  $222k or 4% more than budgeted.   New Construction and Auto Sales  are the sectors that are collecting  more than anticipated.  2016’s  monthly budgets are generally  based on 2010 through 2015  collections.  2015 2016 2016 Actual Budget Actual $ % $ % Jan 67,234$            3,065$               44,745$            (22,489)$            ‐33% 41,681$            1360% Feb 307,006            373,244            315,119            8,113                  3% (58,125)               ‐16% Mar 939,218            1,074,259        1,273,685        334,468            36% 199,426            19% Apr 10,160,118     8,131,093         May 7,583,868        9,072,513         Jun 147,318            34,492                Jul 65,395               518,865             Aug 94,817               439,220             Sep 561,525            520,828             Oct 6,263,616        8,267,195         Nov 9,975,046        7,836,248         Dec 204,271            942,291             YTD  Total 1,313,457$     1,450,568$     1,633,550$     320,093$         24% 182,982$         13% Annual Total 36,369,429$  37,213,314$   Property Tax Revenues Year to Date through March 2016 vs. 2015 2016 vs. Budget Month 2015 2016 2016 Actual Budget Actual $ % $ % Jan 1,758,332$     1,862,249$     1,978,530$     220,198$         13% 116,281$         6% Feb 2,260,395        2,291,583        2,320,497        60,102               3% 28,913               1% Mar 1,674,147        1,777,535        1,854,773        180,626            11% 77,238               4% Apr 1,750,506        1,766,278         ‐                          May 1,977,843        2,098,153        ‐                          Jun 1,677,458        1,842,450        ‐                          Jul 1,866,949        1,907,549        ‐                          Aug 2,178,289        2,108,862        ‐                          Sep 2,100,591        2,030,965        ‐                          Oct 2,014,951        2,100,010        ‐                          Nov 2,158,753        2,153,518        ‐                          Dec 2,021,053        2,060,268        ‐                          YTD Total 5,692,874$     5,931,368$     6,153,800$     460,926$         8% 222,432$         4% An nual  Total 23,439,266$  23,999,421$   2016 vs. Budget2016 vs. 2015 Month Year  to Date through March Local Retail Sales  Tax  Revenues Page 2 of 38 Monthly Financial Report March 2016      The following table breaks out the City’s base sales tax (excluding Criminal Justice and Annexation Credit) by major business  sectors:                      Utility tax   March utility tax revenues are  $1.4 million, which is $120k or 8%  lower than the same month last  year and is also lower than the  budget by $129k or 8%.  The year‐ to‐date collection is $4.5 million,  which is $416k or 10% higher than  the prior year and is also $287k or  7% higher than the budget. The  favorable variance is due to  collecting more than anticipated  in Electrical and Utility Tax Audit  proceeds.          The table below breaks out Utility Tax by source.  The favorable utility tax audit revenues are gross and do not include the  related audit fees ($26k).          2015 2016 2016 Actual Budget Actual $ % $ % Jan 1,199,348$     1,272,858$     1,509,960$     310,612$         26% 237,102$         19% Feb 1,371,771        1,418,341        1,597,348        225,577            16% 179,007            13% Mar 1,544,060        1,553,221        1,423,774        (120,286)            ‐8% (129,448)            ‐8% Apr 1,263,898        1,221,113         May 1,262,764        1,307,620         Jun 1,815,284        1,318,211         Jul 2,175,167        1,165,160         Aug 1,351,000        1,299,385         Sep 1,214,144        1,203,343         Oct 1,204,406        1,193,676         Nov 1,342,058        1,262,186         Dec 1,865,296        1,391,102         YTD  Total 4,115,178$     4,244,420$     4,531,081$     415,903$         10% 286,661$         7% Annual  Total 17,609,196$  15,606,217$   2016 vs. Budget2016 vs. 2015 Year  to Date through March Utility Tax Revenues Month Sales  Tax  by Sector 2015 2016 Bgt YTD  Act Change  2016/2015 2016 Act  vs  Bgt New Construction 612,005$         756,551$         873,553$         261,548$       43%$        117,003 15% Auto  Sales 1,060,781        1,104,518        1,189,828        129,047          12%              85,310 8% General Retail 1,832,826        1,857,298        1,874,318        41,492             2%              17,020 1% Manufacturing 497,222            446,111            431,563            (65,658)            ‐13%            (14,548)‐3% Wholesale 275,396            283,360            276,840            1,444                1%               (6,519)‐2% Service 1,254,011        1,340,582        1,357,842        103,832          8%              17,260 1% Other 160,632            142,949            149,854            (10,778)            ‐7%                 6,906 5% YTD  Total 5,692,874$     5,931,368$     6,153,800$     460,926$       8%222,432$        4% Note: Excludes  Annexation  Credit and Criminal Justice Sales  Tax  revenue. Utility Tax by Type 2015 2016 Bgt YTD Act Change 2016/2015  2016 Act  vs Bgt  Electrical 1,299,617$     1,383,367$     1,600,340$     300,723$       23%$        216,973 16% Natural Gas 657,637            665,721            630,904            (26,733)            ‐4%            (34,817)‐5% Cell 425,016            430,147            437,934            12,918             3%                 7,787 2% Phone 260,572            276,544            244,707            (15,865)            ‐6%            (31,837)‐12% Cable 361,627            371,823            371,036            9,409                3%                    (787) 0% Garbage/Solid Waste 134,850            136,692            153,593            18,743             14%              16,900 12% City Utilities 975,860            980,126            981,340            5,480                1%                 1,215 0% Utility Tax Audit ‐                              ‐                              111,227            111,227          100%           111,227 100% YTD  Total 4,115,178$     4,244,420$     4,531,081$     415,903$       10%286,661$        7% Annual Total 17,609,196$  15,606,217$   YTD  as % of 23% 27% Page 3 of 38 Monthly Financial Report March 2016      Other Taxes     Real Estate Excise Tax  The City collected $208k in Real  Estate Excise Tax revenues (REET)  for March.  This is $135k or 39%  less than the same month last  year and is also $46k or 18% less  than the current month’s budget.   The year‐to‐date collection is $1.6  million, which is $882k or 121%  more than the prior year and is  also $389k or 32% above the  budget.  The higher than expected  variance is due to 9 large  transactions in December and  January which accounts for $868k  of the total REET collected.          Gambling Tax  March’s Gambling Tax collections  totaled $195k, which is $26k or  15% above the same month last  year and is also above the current  month’s budget by $64k or 49%.   The year‐to‐date total of $593k is  $81k or 16% above the prior year  and is also $216k or 57% above  budget.  $22k of the year‐to‐date  collections are from a payment  plan of back taxes earned in  2013/2014.    Pull tabs overall had a 5%  increase, bingo had an 81%  decrease (bingo establishment  closed December 2015), and card‐rooms are seeing 19% higher in activities when compared to the prior year.      Franchise Fees  Franchise Fees are due quarterly  in January, April, July, and  October.  The year‐to‐date total  of $348k is $15k or 4% higher  than the prior year and is also  $41k or 13% above the projected  year‐to‐date budget.  2015 2016 2016 Actual Budget Actual $ % $ % Jan 226,377$         704,460$         1,204,479$     978,102$         432% 500,019$         71% Feb 158,616            262,383            197,327            38,710               24% (65,057)               ‐25% Mar 343,579            254,292            208,452            (135,127)            ‐39% (45,840)               ‐18% Apr 438,485            499,832             May 394,014            212,496             Jun 478,186            388,332             Jul 563,474            292,984             Aug 281,921            219,801             Sep 449,693            227,860             Oct 497,978            312,965             Nov 325,743            139,520             Dec 437,098            485,073             YTD  Total 728,573$         1,221,136$     1,610,258$     881,685$         121% 389,122$         32% Annual  Total 4,595,166$     4,000,000$      Mo nth 2016 vs. Budget2016 vs. 2015 Real  Estate Excise  Tax  Revenues Year to Date through March 2015 2016 2016 Actual Budget Actual $ % $ % Jan 158,293$         117,510$         189,749$         31,457$            20% 72,239$            61% Feb 184,189            128,540            207,961            23,772               13% 79,420               62% Mar 169,262            130,833            195,255            25,993               15% 64,421               49% Apr 207,646            126,243             ‐                          May 183,090            130,206            ‐                          Jun 174,036            125,477            ‐                          Jul 194,895            128,616            ‐                          Aug 226,785            144,692            ‐                          Sep 180,986            129,810            ‐                          Oct 215,119            150,141            ‐                          Nov 212,838            149,793            ‐                          Dec 192,018            138,138            ‐                          YTD  Total 511,743$         376,884$         592,965$         81,221$            16% 216,081$         57% Annual  Total 2,299,156$     1,600,000$      2016 vs. 2015 Gambling Tax  Revenue Month Year to Date through March 2016 vs. Budget 2015 2016 2016 Actual Budget Actual $ % $ % Jan 333,343$         307,326$         348,118$         14,775$            4% 40,792$            13% Apr 335,218            308,402             ‐                          Jul 340,657            311,290            ‐                          Oct 339,936            309,807            ‐                          Dec ‐                        23,175               ‐                          YTD  Total 333,343$         307,326$         348,118$         14,775$            4% 40,792$            13% Annual  Total 1,349,154$     1,260,000$      Franchise  Fees  Revenue Year  to Date through March Month 2016 vs. 2015 2016 vs. Budget Page 4 of 38 Monthly Financial Report March 2016      Admission Tax   Admission Tax returns are due  quarterly in January, April, July,  and October of each year.   January 2016 collections  represent activities conducted  during the 4th quarter of 2015.   The year‐to‐date collection of  $78k is $7k or 9% less than the  prior year and is also $8k or 9%  less than the budget.              Business & Occupation Tax  Business and Occupation (B&O)  Tax is a new revenue source for  the City in 2016.  It was adopted  by the Council in the 2015/2016  biennial budget.  Businesses with  gross receipts of $1.5 million or  more per year, earned within the  City of Renton, will be required to  file and pay B&O tax, in lieu of the  Per Employee Fee, which is  currently reported as Business  License revenue.  Businesses that  are required to pay B&O tax do  not pay the Per Employee Fee and  businesses that do not meet the  $1.5 million threshold, will  continue to pay the Per Employee  Fee.  Depending on the business size, some businesses will be paying B&O tax on quarterly basis and others will be paying  annually.  April 2016 is the first collection month for quarterly B&O filers.  Annual filers will not pay their first B&O payment until  2017, once they have a full years’ worth of revenue activity to report.      Licenses and Permits    Business Licenses  Business Licenses totaled $32k for  March, which is $6k or 21% above  the same month last year and is  also $15k or 95% above the  current month’s budget.  The  year‐to‐date Business Licenses  revenue of $867k is $30k or 4%  above the prior year but is below  the budget by $211k or 20%.  The  annual budget was decreased due  to the City adopting the Business  & Occupation Tax for 2016.  2015 2016 2016 Actual Budget Actual $ % $ % Jan 83,675$            84,589$            76,393$            (7,282)$               ‐9% (8,196)$               ‐10% Feb 1,371                  707                       1,360                  (11)                         ‐1% 652                       92% Mar 106                       55                          ‐                          Apr 65,108               71,870               ‐                          May 1,523                  786                       ‐                          Jun ‐                        75                          ‐                          Jul 82,804               83,565               ‐                          Oct 75,167               78,334               ‐                          Nov 35                          18                          ‐                          YTD  Total 85,153$            85,352$            77,752$            (7,294)$               ‐9% (7,544)$               ‐9% Annual  Total 309,790$         320,000$          2016 vs. Budget Admission Tax  Revenue Year to Date through March Month 2016 vs. 2015 2015 2016 2016 Actual Budget Actual $ % $ % Jan ‐$                            ‐$                            ‐$                            Feb ‐                         ‐                         ‐                          Mar ‐                        ‐                         ‐                          Apr ‐                        1,666,667        ‐                          May ‐                        ‐                         ‐                          Jun ‐                        ‐                         ‐                          Jul ‐                        1,666,667        ‐                          Aug ‐                        ‐                         ‐                          Sep ‐                        ‐                         ‐                          Oct ‐                        1,666,667        ‐                          Nov ‐                        ‐                         ‐                          Dec ‐                        ‐                         ‐                          YTD  Total ‐$                           ‐$                           ‐$                           ‐$                           N/A ‐$                           N/A Annual  Total ‐$                           5,000,000$      *Total Business & Occupation Taxes (GF & CIP) Business & Occupation  Taxes* Year  to Date through March Month 2016 vs. 2015 2016 vs. Budget 2015 2016 2016 Actual Budget Actual $ % $ % Jan 588,093$         952,446            559,894$         (28,199)$           ‐5% (392,552)$        ‐41% Feb 222,022            109,398            275,059            53,038               24% 165,662            151% Mar 26,067               16,194               31,642               5,575                  21% 15,448               95% Apr 513,360            118,272            ‐                          May 167,985            75,750               ‐                          Jun 25,663               19,444               ‐                          Jul 645,791            181,556            ‐                          Aug 134,328            68,456               ‐                          Sep 29,333               17,246               ‐                          Oct 637,451            173,662            ‐                          Nov 117,394            67,012               ‐                          Dec 18,254               11,564               ‐                          YTD  Total 836,181$         1,078,038$     866,595$         30,414$            4% (211,443)$        ‐20% An nual  Total 3,125,740$     1,811,000$      *Total Business License (GF & CIP) Business Licenses* Month 2016 vs. 2015 Year to Date through March 2016 vs. Budget Page 5 of 38 Monthly Financial Report March 2016      Building Permits and  Development Service Fees  Building Permits and  Development Service Fee  revenues totaled $584k in March.   The year‐to‐date development  fees revenue of $1.7 million is  $793k or 92% more than the year  before and is also $633k or 62%  higher than budget.  The large  variances in January and March  are due to large payments for  building permits and plan review  (Southport Developer, Group  Health Projects, and Boeing).              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  90% of the total  revenues in this category.  The year‐to‐date total Intergovernmental revenue is $1.8 million or 13% of the budget.       State Shared Revenues  State Shared Revenue  collections totaled $1.4  million since the start of  the year.  Compared to  the prior year, State  Shared Revenues are  above by $154k or 12%.   Compared to the  projected budget, the  City is collecting $64k or  5% more.  The higher  than expected collection  is due to collecting more  than anticipated  Criminal Justice’s Sales Tax and Criminal Justice’s High Crime.         2015 2016 2016 Actual Budget Actual $ % $ % Jan 260,603$         341,282$         661,363$         400,760$         154% 320,081$         94% Feb 328,557            364,818            413,420            84,863               26% 48,602               13% Mar 275,826            319,009            583,658            307,832            112% 264,650            83% Apr 655,282            492,468             May 235,121            291,407             Jun 1,024,848        723,808             Jul 873,549            585,030             Aug 454,971            378,288             Sep 586,213            478,819             Oct 462,191            425,333             Nov 427,863            326,114             Dec 492,031            446,990             YTD  Total 864,986$         1,025,109$     1,658,442$     793,455$         92% 633,333$         62% Annual  Total 6,077,055$     5,173,368$      Building Permits and Development Service  Fees Year to Date through March 2016 vs. Budget2016 vs. 2015 Month Intergovernmental 2015 2016 Bgt YTD  Act Change 2016/2015  2016 Act  vs  Bgt  Fire  District #25 ‐$                            ‐$                            ‐$                            ‐$                         N/A  $                          ‐ N/A Fire  District #40 158,163            164,356            164,356            6,193                4%‐                            0% State  Shared Revenue 1,294,100        1,384,554        1,448,340        154,240          12% 63,786             5% Federal  Grants 133,343            65,938               65,938               (67,405)            ‐51%‐                            0% State  Grants 12,147               25,065               25,065               12,918             106%‐                            0% Other  Grants/Intgovt 88,911               86,550               80,587               (8,324)               ‐9% (5,963)                ‐7% ARRA Grants ‐                              0                              ‐                              ‐                            N/A ‐                            0% Total  Rev YTD 1,686,664$     1,726,463$     1,784,286$     97,622$          6%57,823$           3% Total  Rev Annual 13,842,673$  13,307,591$   YTD  % 12% 13% 13% Note:  Includes CJ Sales  Tax  and FD25 & FD40 contracts 2015 2016 2016 Actual Budget Actual $ % $ % Crim Just Sales  Tax 609,416$         636,409$         665,383$         55,966$            9% 28,973$            5% Judicial Contribution 5,409                   ‐                         6,100                  691                       13% 6,100                  100% Crim Just ‐ High Crime 62,861               59,003               77,796               14,935               24% 18,793               32% Crim Just ‐ Pop 6,345                  5,837                  6,626                  281                       4% 789                       14% Crim Just ‐ Spec Prog 23,311               21,663               24,226               915                       4% 2,563                  12% State  DUI 4,272                  4,636                  3,873                  (399)                      ‐9% (762)                      ‐16% Marijuana  Enforcement ‐                        ‐                         2,927                  2,927                  100% 2,927                  100% Liquor Profits 212,978            212,622            212,574            (405)                     0% (48)                        0% Liquor Excise  Tax 48,351               110,628            104,339            55,989               116% (6,288)                  ‐6% Fuel Tax 321,156            333,757            344,496            23,340               7% 10,739               3% YTD  Total 1,294,100$     1,384,554$     1,448,340$     154,240$         12% 63,786$            5% Annual  Total 5,439,235$     5,672,795$      2016 vs. Budget State  Shared Revenues 2016 vs. 2015 Revenue Year  to Date through March Page 6 of 38 Monthly Financial Report March 2016      Charges for Services   These revenue sources consist of general government, public safety, plan review and inspection, culture and recreation, and  interfund/interdepartmental sales and services.  Recreation and interfund/interdepartmental sales and services constitute 64%  of the total revenue in this category.  The year‐to‐date total charges for services are $1.8 million or 22% of the budget.  The  following sections provide detail information for Public Safety, Recreation, and Interfund Services.      Public Safety Services  Public Safety Services totaled  $262k since the start of the year.   These services include private  security, adult probation services,  monitoring of prisoners, and  intergovernmental public safety  services (non‐grants).  Compared  to the prior year, the City is  collecting $99k or 61% more.   Compared to the year‐to‐date  budget, the City is over budget by  $107k or 68%.  The variance with  the prior year and budget is due  to collecting 2 large  payments/reimbursements for  electronic home detention and  School Resource Office programs.      Recreation  Recreation revenues totaled $61k  for the current month.  Compared  to the same month the prior year,  the City collected $25k or 69%  more.  Compared to the projected  monthly budget, the City  collected $1k or 2% more.  The  year‐to‐date collection of $272k is  $89k or 49% higher than the year  before and is also $48k or 21%  higher than the year‐to‐date  budget.  The variance with the  prior year and monthly budget is  due to a change in how the  recreation class revenues are  recorded.  The City is now  recognizing class revenues as the classes begin instead of when they are paid.  The City currently has $278k in class revenues to  be recognized as soon as the classes begin.           2015 2016 2016 Actual Budget Actual $ % $ % Jan 58,509$            74,126$            104,644$         46,135$            79% 30,518$            41% Feb 42,228               36,766               99,623               57,395               136% 62,858               171% Mar 62,481               44,821               58,031               (4,450)                  ‐7% 13,211               29% Apr 146,715            77,816                ‐                          May 55,309               38,231               ‐                          Jun 33,004               59,020               ‐                          Jul 39,540               40,294               ‐                          Aug 59,046               51,865               ‐                          Sep 23,104               28,310               ‐                          Oct 33,339               94,331               ‐                          Nov 46,384               35,303               ‐                          Dec 51,339               49,254               ‐                          YTD  Total 163,218$         155,712$         262,299$         99,081$            61% 106,586$         68% Annual  Total 650,997$         630,135$          Year  to Date through March Public Safety Services 2016 vs. 2015 2016 vs. Budget Month 2015 2016 2016 Actual Budget Actual $ % $ % Jan 117,124$         107,996$         163,783$         46,659$            40% 55,787$            52% Feb 30,177               57,312               48,009               17,832               59% (9,303)                  ‐16% Mar 35,946               59,253               60,615               24,669               69% 1,362                  2% Apr 91,404               156,624             ‐                          May 64,015               98,820               ‐                          Jun 227,942            231,605            ‐                          Jul 428,943            432,581            ‐                          Aug 313,197            323,551            ‐                          Sep 119,720            138,191            ‐                          Oct 55,478               74,116               ‐                          Nov 61,601               56,695               ‐                          Dec 42,331               41,348               ‐                          YTD  Total 183,247$         224,562$         272,407$         89,161$            49% 47,846$            21% Annual  Total 1,587,878$     1,778,093$      Recreation Year  to Date through March 2016 vs. Budget2016 vs. 2015 Month Page 7 of 38 Monthly Financial Report March 2016      Interfund Services  The year‐to‐date collections for  Interfund Services revenues are  $865k.  Compared to the prior  year, the revenues are over by  $75k or 10%.  Compared to the  projected budget, the revenues  are below by $77k or 8%.  2016’s  monthly budgets are based on  1/12th of the annual budget.  The  majority of these revenues are  related to indirect cost  allocations, which are internal  administrative costs.  The  remaining costs consist of  Development Services division’s  inspection fees, Parks Planning  and Natural Resources division’s capital investment program reimbursements, Transportation division’s capital investment  program reimbursements, and Maintenance division’s street maintenance reimbursements.      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  $618k.  This is $3k or 1% higher  than a year ago but is $31k or 5%  below the budget.  The reason for  the variance with the budget is  due to a change in accounting for  December 2014’s revenue.  In the  past we would record December  through November, but starting in  2015 we are recording January through December.  2016’s budget is based on 2014/2015 activity.        2015 2016 2016 Actual Budget Actual $ % $ % Jan 265,068$         313,906$         272,841$         7,774$               3% (41,065)$            ‐13% Feb 264,413            313,906            286,748            22,336               8% (27,158)               ‐9% Mar 260,071            313,906            305,054            44,983               17% (8,852)                  ‐3% Apr 248,466            313,906             ‐                          May 260,774            313,906            ‐                          Jun 292,480            313,906            ‐                          Jul 252,451            313,906            ‐                          Aug 248,774            313,906            ‐                          Sep 247,822            313,906            ‐                          Oct 283,145            313,906            ‐                          Nov 257,874            313,906            ‐                          Dec 225,093            313,906            ‐                          YTD  Total 789,552$         941,719$         864,644$         75,092$            10% (77,074)$           ‐8% Annual  Total 3,106,430$     3,766,874$      Interfund Services Year  to Date through March 2016 vs. 2015 2016 vs. Budget Month 2015 2016 2016 Actual Budget Actual $ % $ % Jan 124,856$         152,177$         136,421$         11,565$            9% (15,756)$            ‐10% Feb 213,981            215,466            217,667            3,686                  2% 2,201                  1% Mar 275,737            281,062            263,648            (12,088)               ‐4% (17,414)               ‐6% Apr 245,206            298,933             May 257,217            273,396             Jun 268,116            288,287             Jul 221,949            246,930             Aug 280,257            313,023             Sep 272,343            299,806             Oct 260,327            290,029             Nov 281,222            333,431             Dec 318,027            327,959             YTD  Total 614,574$         648,705$         617,736$         3,163$               1% (30,969)$            ‐5% Annual  Total 3,019,236$     3,320,500$      2016 vs. Budget2016 vs. 2015 Year  to Date through March Fines  and Penalties by Month Month Year to Date through March 2015 2016 2016 Actual Budget Actual $ % $ % Civil Penalties 613$                    4,162$               443$                    (170)$                   ‐28% (3,719)$               ‐89% Civil Infraction Penalties 65,274               140,777            57,595               (7,679)                  ‐12% (83,182)               ‐59% Civil Parking Infraction Penalties 22,534               40,024               24,738               2,203                  10% (15,286)               ‐38% Photo Enforcement Program 471,928            397,857            483,189            11,261               2% 85,332               21% Criminal Traffic  Misdemeanor Fines 13,831               22,816               9,646                  (4,185)                  ‐30% (13,170)               ‐58% Criminal Non‐Traffic  Fines 13,828               12,205               6,679                  (7,149)                  ‐52% (5,526)                  ‐45% Criminal Costs 19,631               26,844               18,036               (1,594)                  ‐8% (8,807)                  ‐33% Non‐Court Fines, Forfeitures  and Penalties 6,935                  4,021                  17,411               10,476               151% 13,390               333% YTD  Total 614,574$         648,705$         617,736$         3,163$               1% (30,969)$            ‐5% Annual  Total 3,019,236$     3,320,500$      Revenue 2016 vs. Budget Fines  and Penalties by Type 2016 vs. 2015 Page 8 of 38 Monthly Financial Report March 2016      Included in the Fines and Penalties revenue  budget is $2.2 million from the Photo  Enforcement program.  The monthly budget is  based on the prior year’s revenue.  The year‐to‐ date collections from this program equates to  $483k.      The associated costs includes the equipment  provided by American Traffic Solutions, Inc.  (ATS), dedicated 1 FTE in the Court Services  Department to process the increased caseload  and 1.1 FTEs in the Police Department for  support services.  This staff time, along with a  50% pro tem budget and interpreter costs  amounts to $320k for personnel costs.  The  total costs for the program equates to $1.1  million which is represented in the table.  Due  to the timing of when the invoice was received,  January 2016’s equipment rental cost was recorded in February.      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.  The year‐to‐date total  miscellaneous is $1.2 million.   Compared to last year, the  revenues are above by $600k or  102%.  Compared to the projected  year‐to‐date budget, the revenues  are over by $789k or 198%.  The  large variance with the prior year  and budget is due to collecting  more than anticipated Seizure  Funds.  These funds are restricted to drug enforcement only and are not available for general operating purposes.           2015 2016 2016 Actual Budget Actual $ % $ % Jan 269,664$         188,129$         258,876$         (10,789)$            ‐4% 70,746$            38% Feb 135,539            93,042               802,908            667,369            492% 709,866            763% Mar 182,386            117,720            125,950            (56,436)               ‐31% 8,230                  7% Apr 132,893            81,460                May 144,753            97,064                Jun 215,629            191,018             Jul 189,913            59,333                Aug 199,969            124,538             Sep 139,977            302,554             Oct 173,512            118,474             Nov 148,227            109,398             Dec 435,114            386,687             YTD  Total 587,589$         398,891$         1,187,734$     600,145$         102% 788,843$         198% Annual  Total 2,367,576$     1,869,416$      Ye ar to Date through March Month 2016 vs. Budget2016 vs. 2015 Miscellaneous Revenues by Month Favorable 16 Budget 16 Actual 16  Budget 16 Actual (Unfavorable)1 Jan 103,426$         131,281$         89,912$            26,662$            104,619$          Feb 124,175            167,005            89,912               97,181               69,824                Mar 170,255            184,903            89,912               95,109               89,794                Apr 187,598             ‐                         89,912                ‐                         ‐                          May 163,442            ‐                         89,912               ‐                         ‐                          Jun 186,599            ‐                         89,912               ‐                         ‐                          Jul 164,807            ‐                         89,912               ‐                         ‐                          Aug 221,543            ‐                         89,912               ‐                         ‐                          Sep 213,406            ‐                         89,912               ‐                         ‐                          Oct 195,225            ‐                         89,912               ‐                         ‐                          Nov 218,318            ‐                         89,912               ‐                         ‐                          Dec 245,205            ‐                         89,912               ‐                         ‐                          YTD Total 397,857$         483,189$         269,736$         218,952$         264,236$          Annual Total 2,194,000$     1,078,943$      1Actuals  of Revenues and Expenses ExpensesRevenues Photo Enforcement Program Year  to Date through March Month 2015 2016 2016 Actual Budget Actual $ % $% Interests and Other Earnings 161,599$         88,217$            165,180$         3,582$               2% 76,963$            87% Rents, Leases, and Concessions 248,863            189,238            189,094            (59,768)               ‐24% (144)                     0% Contributions/Donations  from Private Sources 30,402               21,655               35,013               4,611                  15% 13,358               62% Other 146,726            100,040            137,295            (9,431)                  ‐6% 37,255               37% Seizure Funds  ‐ Federal/State/Local ‐                        (259)                     661,152            661,152            100% 661,412             ‐255106% YTD Total 587,589$         398,891$         1,187,734$     600,145$         102% 788,843$         198% Annual Total 2,367,576$     1,869,416$      2016 vs. Budget Miscellaneous  Revenues by Type Year to Date through March Revenue 2016 vs. 2015 Page 9 of 38 Monthly Financial Report March 2016      EXPENSES  Overall the City has expended 23% of its budgeted general governmental expenditures at the end of March.  This is $517k or  1.9% below year‐to‐date budgeted expenditures.  See below for summary of unfavorable items for general governmental  departments.    Council department is over the year‐to‐date budget by $4k or 4.5%.  This is due to the updated Council salaries set by the  Independent Salary Commission and over spending on travel/training.  The budget was updated to reflect the current salaries in  the approved 2016 Carry Forward Budget Amendment (adopted April 2016).    Executive department is over the year‐to‐date budget by $126k or 34.9%.  This is due to the timing of when Sound Cities  Association, Association of Washington Cities (AWC) and Communities in Schools memberships were corrected in 2015  (August).    Administrative Services (Finance and City Clerk) department is over the year‐to‐date budget by $55k or 6.7%.  This is due  higher than expected merchant fees and 2015 utility tax audit services paid in 2016 with no budget (was approved in the  2016 Carry Forward Budget Amendment, adopted April 2016).    Public Works (Admin, Street Maintenance and Transportation) department is over the year‐to‐date budget by 50k or 2%.   This is due to the timing of when Surface Water utility charges updated (April 2014) and spending patterns (One Regional  Card for All (ORCA)) in 2014/2015.       Page 10 of 38 Monthly Financial Report March 2016      CASH AND INVESTMENTS – 1ST  QUARTER  The current cash and  investments (C&I)  portfolio is provided in the  table to the right.  The  City’s current C&I balance  is $143.4 million.    Currently, the majority of  the portfolio is located in  cash deposits (US Bank).  The rest is spread out  between the State  Investment Pool, US  Federal Agency Securities,  and various certificates of  deposits.        The existing portfolio yield is approximately 0.68%.  Current  % Blended Allowed  per policy Current  Portfolio (principal value) 58% N/A $        82,910,248  0% 100%‐$                     7% 75% 9,974,544$          19% 75% 27,198,255$        16% 75% 23,305,444$        0% 25%‐$                     TOTAL INVESTMENTS 100%143,388,492$       *Excluding Cash the portfolio distribution is 16% LGIP; 39% CD's; 45% GSE's By Type Cash US Treasury Securities Local Government Investment Pool US Federal  Agency Securities Certificates  of Deposit Commercial  Paper Cash 58%LGIP 7% GSE's 19% CD's 16% Distribution by Type    By Institution Current  % Blended Allowed by  Policy Current Portfolio (principal value)Maturity Date APY Weighted  Yield Blended Cash US Bank ‐ Cash 58%N/A 82,910,248 overnight 0.45% 0.26% US Treasury Securities none 0% 100%‐                        N/A N/A N/A Local Government Investment  Pool 3920 State  Investment Pool 7% 75%9,974,544 10/1/2014 0.10% 0.02% US Federal Agency Securities * 314179A FHLB 1,996,920            8/11/2017 1.05%0.01% 315189D FNMA 4,997,500            10/26/2018 1.03%0.04% 314179G FHLB 5,009,485            10/17/2017 0.93%0.03% 315209A FHLMC 1,600,000            5/26/2020 1.75%0.02% 315189C FHLMC 5,000,000            6/1/2018 1.12%0.04% 314189A FNMA 3,745,000            2/15/2018 1.30%0.03% 314179C FNMA 4,849,350          11/28/2017 1.00%0.03% Certificates of Deposit 115184A First Savings Bank Northwest 5,092,087 2/6/2018 1.03%0.04% 116214A First Savings Bank Northwest 5,154,418 2/3/2021 1.67%0.06% 114174A First Savings Bank Northwest 5,000,000 10/29/2017 1.15%0.04% 116191A Opus 3%5,000,000 2/25/2019 1.00%0.03% 111167a Columbia Bank 1%2,015,400 11/9/2016 0.99%0.01% 214163A Commencement Bank (CDARS)1%1,043,540 9/15/2016 0.90%0.01% Commercial Paper none 0.00% 5%‐                        N/A N/AN/A 143,388,492$       *Held in our safekeeping account at BNY Trust and Custody TOTAL CASH & INVESTMENTS 20% 11% 75%19% Page 11 of 38 Monthly Financial Report March 2016      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.  The negative beginning fund balance for the Golf Course fund is due to receiving less than anticipated user fees in  2015.  This negative balance will be corrected at the end of 2016 due to the Golf Course making its final payment for debt  service (interfund loan) in 2015.  Included in each fund are the capital revenues and expenditures.    Airport Golf Course Solid Waste  Utility Water Utility Wastewater  Utility Surface Water  Utility Metro REVENUES: Licenses  and permits ‐                  ‐                  ‐                  ‐                  18,650            10,250            ‐                   Grants  / intergovernmental 443,911          ‐                  111,688          ‐                  ‐                  713,078          ‐                   Charges  for services 32,247            233,707          4,315,232       3,729,547       2,464,687       2,629,043       3,970,352        Interdepartmental  services ‐                 ‐                  ‐                  ‐                  ‐                  ‐                  ‐                   Fines  and penalties 1,023              ‐                  ‐                  ‐                  517                 ‐                  ‐                   Rents, leases, and misc fees 648,990          56,171            33,902            43,623            ‐                  ‐                  ‐                   Interest and other misc 1,622              260                 3,712              282,808          200,352          73,933            4,373               TOTAL REVENUES 1,127,793       290,138          4,464,535       4,055,978       2,684,206       3,426,304       3,974,725        EXPENSES: Utility billing ‐                  ‐                  37,605            38,078            28,571            48,105             ‐                   Utility systems ‐                  ‐                  2,845,305       831,212          776,649          1,009,427        ‐                   Utility maintenance ‐                  ‐                  70,650            1,309,066       413,942          656,471          3,765,414        Transportation 370,245          ‐                  ‐                  ‐                  ‐                  ‐                  ‐                   Golf ‐                 425,565          ‐                  ‐                  ‐                  ‐                  ‐                   TOTAL EXPENSES 370,245          425,565          2,953,560       2,178,356       1,219,162       1,714,003       3,765,414        AMOUNT AVAILABLE FOR DEBT SERVICE 757,548          (135,427)        1,510,975       1,877,622       1,465,044       1,712,301       209,311           DEBT SERVICE: Principal ‐                  ‐                  ‐                  ‐                  ‐                  ‐                  ‐                   Interest ‐                 ‐                  ‐                  ‐                  ‐                  130,003          ‐                   TOTAL DEBT SERVICE ‐                 ‐                  ‐                  ‐                  ‐                  130,003          ‐                   CAPITAL PROJECTS 39,753            ‐                  ‐                  142,902          95,179            214,842          ‐                   TRANSFERS IN/(OUT)‐                 ‐                  ‐                  ‐                  (5,974)            (2,689)            ‐                   CHANGE IN FUND BALANCE 717,795          (135,427)        1,510,975       1,734,720       1,363,891       1,364,767       209,311           BEGINNING FUND BALANCE, Jan 1 1,144,749       (110,056)        2,151,456       22,681,621     11,636,515     10,682,778     3,992,378        ENDING FUND BALANCE, Mar 31 1,862,544       (245,483)        3,662,431       24,416,341     13,000,406     12,047,545     4,201,689            Page 12 of 38 Monthly Financial Report March 2016      INTERNAL SERVICE FUNDS  The table below gives an analysis of all City Internal Service Funds.  Displayed are the year‐to‐date revenues and expenditures  for each internal service.  Included in each fund are the capital revenues and expenditures.    Equipment  Rental Information  Technology Facilities Communications Insurance Healthcare Retiree  Healthcare REVENUES: Technology Fee ‐               67,584          ‐                ‐                     ‐                ‐                ‐                 Grants  / intergovernmental ‐               ‐                ‐                ‐                     ‐                ‐                ‐                 Charges  for services Equipment rental  m&o 701,343       912,552       ‐                ‐                     ‐                ‐                ‐                 Print and mail ‐               13,221         ‐                107,025             ‐                ‐                ‐                 Communications ‐               ‐                ‐                149,674             ‐                ‐                ‐                 Facilities ‐               ‐                1,238,106    ‐                     ‐                ‐                ‐                 Data  cards  and cell  phones ‐               40,395         ‐                ‐                     ‐                ‐                ‐                 IT service contracts ‐               123,114       ‐                ‐                     ‐                ‐                ‐                 Interest and other misc 6,425           2,631           1,491           653                    13,707         8,336           9,636            Internal service fund misc: Vehicle  / equipment capital  recovery 805,842       36,759         ‐                ‐                     ‐                ‐                ‐                 Insurance premiums ‐               ‐                ‐                ‐                     475,223       ‐                ‐                 Worker's  comp/unemployment ‐               ‐                ‐                ‐                     472,025       ‐                ‐                 Benefit premiums ‐               ‐                ‐                ‐                     ‐                3,126,557    556,780        Other misc 70                ‐                5,970           ‐                     ‐                292,501       ‐                 Interfund Loan ‐               ‐                ‐                ‐                     ‐                ‐                ‐                 Capital  contributions ‐               ‐                ‐                ‐                     ‐                ‐                ‐                 Disposal of capital  assets 19,949         ‐                ‐                ‐                     ‐                ‐                ‐                 Insurance recoveries ‐               ‐                ‐                ‐                     45,294         ‐                ‐                 TOTAL REVENUES 1,533,629    1,196,256    1,245,568    257,352             1,006,249    3,427,394    566,416        EXPENSES: Communications 122,516              Equipment rental 468,583        Facilities 968,318        Healthcare 2,882,319     Information technology 983,739        Print and mail 94,296                Retiree healthcare 249,133        Risk management: Risk management 708,536        Unemployment 31,185          Worker's  compensation 469,719        TOTAL EXPENSES 468,583       983,739       968,318       216,812             1,209,440    2,882,319    249,133        AMOUNT AVAILABLE  FOR CAPITAL 1,065,046    212,517       277,249       40,540               (203,191)      545,075       317,283        CAPITAL PROJECTS 10,482         46,779         101,520       ‐                     ‐                ‐                ‐                 TRANSFERS IN ‐               8,664           ‐                ‐                     ‐                ‐                ‐                 TRANSFERS (OUT)‐               ‐                ‐                ‐                     ‐                ‐                ‐                 CHANGE IN FUND BALANCE 1,054,564    174,402       175,729       40,540               (203,191)      545,075       317,283        BEGINNING FUND BALANCE, Jan 1 5,620,280    2,327,309    1,259,503    576,333             13,085,310  7,523,267    8,892,488     ENDING FUND BALANCE, Mar 31 6,674,844    2,501,711    1,435,232    616,873             12,882,119  8,068,342    9,209,771     Page 13 of 38 Monthly Financial Report March 2016      FUND BALANCE  Page 15 shows the ending fund balance as of March 2016.  The City’s fund balance is a combination of current deficit/surplus of  funds which have accrued from unexpended operating budgets, unanticipated excess revenues, and from balances accumulated  from prior years.      The prior year’s balances (or beginning balance) include funds identified as being reserved for specific purposes or required to  meet the current year’s appropriations. These balances also provide financial stability to the City’s operation during uncertain  times and provide a layer of security to bondholders.      At the end of March, the City has $14.7 million reported in the combined general governmental fund balance of the current  year’s operating budget, which is approximately 12% of budgeted operating expenditures.  This is a decrease of $5.2 million  from the year’s beginning balance.  March’s ending fund balance is over the anticipated General Governmental Fund Balance of  $4.9 million by $9.8 million or 202.1%.  Although the ending fund balance is above projections, it is consistent with the prior  years’ trends.      CONTACT INFORMATION  This report is prepared by the Finance Division of the Administrative Services Department.  For additional financial information,  please also review our website: http://www.rentonwa.gov/.  For any questions about the report, please feel free to contact us at  hnguyen@rentonwa.gov or JDThomas@Rentonwa.gov.  Page 14 of 38 Monthly Financial Report March 2016      City  of Renton All Funds ‐ Revenue, Expenditures and Fund Balances Cash  Basis through March 31, 2016 Funds Balance  01/01/2016 Budgeted  Revenue Revenue  03/31/16 Total Funds   Available Budgeted  Expenditure Expenditure  03/31/16 Ending  Balance GENERAL GOVERNMENT FUNDS: 19,962,845      118,818,727    21,798,267      41,761,112      118,376,109    27,044,383      14,716,730       000 General 12,622,447      88,974,330      17,066,687      29,689,134      87,960,498      21,659,698      8,029,436         001 Community Services 2,818,784        12,478,994      2,130,422        4,949,206        13,038,993      2,547,798        2,401,408         003 Street 2,422,668        10,489,584      1,519,350        3,942,018        10,508,360      2,456,360        1,485,658         004 Community Dev Block Grant 66,654             307,462           57,199             123,853           295,986           14,952             108,901            005 Museum 66,388             235,281           51                    66,439             235,281           55,330             11,109              009 Farmers  Market 110,830           59,400             5,426               116,256           63,315             13,961             102,295            011 Fire  Health & Wellness 88,406             25,000             6,466               94,872             25,000             1,209               93,664              201 Ltd  GO Bonds  Gen Govt Debt 845,273           1,755,255        923                  846,196           1,755,255        ‐                      846,196            215 Gen Govt Misc Debt Service 921,395           4,493,421        1,011,743        1,933,138        4,493,421        295,075           1,638,063         SPECIAL REVENUE FUNDS: 1,681,875        1,951,764        458,518           2,140,393        1,889,837        354,548           1,785,845         102 Arterial  Street 31,697             650,000           162,214           193,911           650,000            ‐                      193,911            108 Leased  City Properties 560,515           924,090           180,543           741,058           877,163           336,404           404,654            110 Hotel  Motel 315,590           265,000           51,355             366,945           265,000           13,500             353,445            125 1% For Art 111,206           15,000             119                  111,325           ‐                      ‐                      111,325            127 Cable  Communication 330,376           97,674             63,932             394,308           97,674             4,644               389,664            135 Springbrook Wetlands  Bank 332,491           ‐                      355                  332,846           ‐                      ‐                      332,846            CAPITAL PROJECT FUNDS (CIP):21,039,649      22,586,552      3,347,294        24,386,943      23,879,345      2,339,003        22,047,940       303 Community Dev Mitigation 1,239,509        86,500             50,346             1,289,855        ‐                      ‐                      1,289,855         304 Fire  Mitigation 1,209,670        99,000             167,322           1,376,992        250,000           ‐                      1,376,992         305 Transportation  Mitigation 937,248           433,000           132,038           1,069,286        ‐                      ‐                      1,069,286         316 Municipal  Facilities CIP 9,264,141        6,144,587        1,081,289        10,345,430      6,433,587        475,971           9,869,459         317 Transportation  CIP 3,947,132        15,823,465      1,911,407        5,858,539        17,195,758      1,928,405        3,930,134         326 Housing Opportunity 1,041,775        ‐                      1,114               1,042,889        ‐                      ‐                      1,042,889         336 New Library Development 3,400,174        ‐                      3,778               3,403,952        ‐                      (65,373)           3,469,325         ENTERPRISE FUNDS:52,179,441      76,620,298      20,036,176      72,215,617      76,784,075      13,270,143      58,945,474       4X2 Ai rport Operating & CIP 1,144,749        3,473,293        1,127,792        2,272,541        3,240,185        409,998           1,862,543         403 Solid Waste  Utility 2,151,456        16,514,320      4,464,535        6,615,991        17,144,532      2,953,560        3,662,431         4X4 Golf Operating & CIP (110,056)         2,812,793        302,635           192,579           2,303,479        438,062           (245,483)          4X5 Water Operating & CIP 22,681,621      16,959,363      4,055,978        26,737,599      17,909,135      2,321,257        24,416,342       4X6 Waste  Water Operating & CIP 11,636,515      10,169,271      2,684,206        14,320,721      9,276,937        1,320,315        13,000,406       416 King  County Metro 3,992,378        16,638,722      3,974,726        7,967,104        16,638,722      3,765,414        4,201,690         4X7 Surface Water Operating & CIP 10,682,778      10,052,536      3,426,304        14,109,082      10,271,085      2,061,537        12,047,545       INTERNAL SERVICE FUNDS: 39,284,490      37,408,531      9,241,528        48,526,018      34,259,955      7,137,125        41,388,893       501 Equipment Repair/Replacement 5,620,280        5,970,145        1,533,630        7,153,910        4,248,192        479,065           6,674,845         502 Insurance 13,085,310      4,166,201        1,006,249        14,091,559      3,509,594        1,209,440        12,882,119       503 Information Services 2,327,309        4,722,871        1,204,919        3,532,228        4,749,478        1,030,518        2,501,710         504 Facilities 1,259,503        4,953,544        1,245,568        2,505,071        4,959,108        1,069,838        1,435,233         505 Communications 576,333           1,027,739        257,352           833,685           1,029,881        216,812           616,873            512 Insurance, Healthcare 7,523,267        14,295,824      3,427,394        10,950,661      14,596,149      2,882,319        8,068,342         522 Insurance, Leoff1 Retirees  HC 8,892,488        2,272,207        566,416           9,458,904        1,167,553        249,133           9,209,771         FIDUCIARY FUNDS:5,299,035        468,000           5,091               5,304,126        200,475           49,745             5,254,381         611 Firemen's  Pension 5,299,035        468,000           5,091               5,304,126        200,475           49,745             5,254,381         TOTAL  FUNDS 139,447,335 257,853,872 54,886,874   194,334,209 255,389,796 50,194,947   144,139,263  Page 15 of 38 City of Renton General Government Financial Position 2016 Budget Year General Government Summary Revenues Expenditures $ Difference over (under) w/beginning balance 19,962,845 January 7,317,475 8,625,290 (1,307,815) 18,655,030 February 14,715,559 18,026,295 (3,310,736) 16,652,109 March 21,798,267 27,044,383 (5,246,115) 14,716,730 April May June July August September October November December (9,000,000) (8,000,000) (7,000,000) (6,000,000) (5,000,000) (4,000,000) (3,000,000) (2,000,000) (1,000,000) - - 10,000,000 20,000,000 30,000,000 40,000,000 50,000,000 60,000,000 70,000,000 80,000,000 90,000,000 100,000,000 110,000,000 120,000,000 Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec Change in Fund Balance Rev/Exp Revenues Expenditures Change in Fund Balance Page 16 of 38 City of Renton Monthly Revenue Analysis - 2016 Budget Year General Government Budget YTD Actual Annual % over (under) Jan 5,937,550 7,317,475 23.24% Feb 12,349,923 14,715,559 19.16% Mar 19,000,004 21,798,267 14.73% Apr 34,834,753 May 51,733,044 Jun 58,067,757 Jul 65,898,429 Aug 72,685,855 Sep 79,201,554 Oct 94,963,410 Nov 109,084,516 Dec 118,818,726 Percent of budget 18.35% Property Tax Budget YTD Actual Annual % over (under) Jan 3,065 44,745 1360.10% Feb 376,309 359,864 -4.37% Mar 1,450,568 1,633,550 12.61% Apr 9,581,661 May 18,654,175 Jun 18,688,667 Jul 19,207,532 Aug 19,646,752 Sep 20,167,580 Oct 28,434,775 Nov 36,271,023 Dec 37,213,314 Percent of budget 4.39% $- $10 $20 $30 $40 $50 $60 $70 $80 $90 $100 $110 $120 $130 $140 Millions Total Revenue General Government Budget Actual Last Year $- $3 $6 $9 $12 $15 $18 $21 $24 $27 $30 $33 $36 $39 Millions Property Tax Budget Actual Last Year Page 17 of 38 City of Renton Monthly Revenue Analysis - 2016 Budget Year Sales Tax Budget YTD Actual Annual % over (under) Jan 2,067,608 2,212,710 7.02% Feb 4,624,605 4,807,357 3.95% Mar 6,598,572 6,882,003 4.30% Apr 8,565,740 May 10,893,426 Jun 12,941,024 Jul 15,068,593 Aug 17,435,267 Sep 19,708,241 Oct 22,045,782 Nov 24,451,213 Dec 26,747,588 Percent of budget 25.73% Note: Excludes CJ Sales Tax and Natural Gas Use Tax. Utility Tax Budget YTD Actual Annual % over (under) Jan 1,272,858 1,509,960 18.63% Feb 2,691,199 3,107,308 15.46% Mar 4,244,420 4,531,081 6.75% Apr 5,465,533 May 6,773,153 Jun 8,091,364 Jul 9,256,524 Aug 10,555,909 Sep 11,759,252 Oct 12,952,928 Nov 14,215,115 Dec 15,606,217 Percent of budget 29.03% Note: Includes Natural Gas Use Tax. $- $3 $6 $9 $12 $15 $18 $21 $24 $27 Millions Sales Tax Budget Actual Last Year $- $2 $4 $6 $8 $10 $12 $14 $16 $18Millions Utility Tax Budget Actual Last Year Page 18 of 38 City of Renton Monthly Revenue Analysis - 2016 Budget Year Licenses & Permits Budget YTD Actual Annual % over (under) Jan 438,371 707,784 61.46% Feb 735,235 1,079,373 46.81% Mar 947,143 1,559,970 64.70% Apr 1,265,530 May 1,515,887 Jun 1,900,918 Jul 2,421,261 Aug 2,748,612 Sep 3,152,452 Oct 3,516,273 Nov 3,759,344 Dec 4,009,000 Percent of budget 38.91% Note: GF only Intergovt'l Budget YTD Actual Annual % over (under) Jan 574,724 589,820 2.63% Feb 1,180,291 1,223,323 3.65% Mar 1,726,463 1,784,286 3.35% Apr 2,827,762 May 5,532,345 Jun 6,129,801 Jul 6,619,629 Aug 7,405,351 Sep 7,987,951 Oct 8,731,060 Nov 9,852,333 Dec 13,307,591 Percent of budget 13.41% Note: Includes CJ Sales Tax and FD25 & FD40 contracts $- $2 $4 $6 $8 $10 $12 $14 Millions Intergovernmental Budget Actual Last Year $- $0.50 $1.00 $1.50 $2.00 $2.50 $3.00 $3.50 $4.00 $4.50 Millions Licenses & Permits Budget Actual Last Year Page 19 of 38 City of Renton Monthly Revenue Analysis - 2016 Budget Year Charges for Services Budget YTD Actual Annual % over (under) Jan 608,139 640,658 5.35% Feb 1,135,310 1,197,265 5.46% Mar 1,725,293 1,777,230 3.01% Apr 2,517,155 May 3,057,838 Jun 4,043,882 Jul 4,962,465 Aug 5,748,498 Sep 6,341,349 Oct 6,952,480 Nov 7,486,378 Dec 8,136,100 Percent of budget 21.84% Note: Excludes FD25 & FD40 contracts Fines & Forfeits Budget YTD Actual Annual % over (under) Jan 152,177 136,421 -10.35% Feb 367,643 354,088 -3.69% Mar 648,705 617,736 -4.77% Apr 947,638 May 1,221,034 Jun 1,509,321 Jul 1,756,252 Aug 2,069,275 Sep 2,369,080 Oct 2,659,110 Nov 2,992,541 Dec 3,320,500 Percent of budget 18.60% $- $1 $2 $3 $4 $5 $6 $7 $8 $9 Millions Charges for Services Budget Actual Last Year $- $0.50 $1.00 $1.50 $2.00 $2.50 $3.00 $3.50 Millions Fines & Forfeits Budget Actual Last Year Page 20 of 38 City of Renton Monthly Revenue Analysis - 2016 Budget Year Other Taxes Budget YTD Actual Annual % over (under) Jan 611,646 1,216,500 98.89% Feb 916,494 1,525,197 66.42% Mar 1,197,449 1,824,678 52.38% Apr 3,100,048 May 3,403,604 Jun 3,869,347 Jul 5,632,574 Aug 5,957,221 Sep 6,273,290 Oct 8,089,336 Nov 8,344,672 Dec 8,359,000 Percent of budget 21.83% Misc Budget YTD Actual Annual % over (under) Jan 188,129 258,876 37.61% Feb 281,172 1,061,784 277.63% Mar 398,891 1,187,734 197.76% Apr 480,352 May 577,416 Jun 768,433 Jul 827,766 Aug 952,304 Sep 1,254,858 Oct 1,373,332 Nov 1,482,729 Dec 1,869,416 Percent of budget 63.54% $- $0.50 $1.00 $1.50 $2.00 $2.50 Millions Miscellaneous Budget Actual Last Year $- $1 $2 $3 $4 $5 $6 $7 $8 $9 Millions Other Taxes Budget Actual Last Year Page 21 of 38 City of Renton Monthly Revenue Analysis - 2016 Budget Year Other Financing Budget YTD Actual Annual % over (under) Jan 20,833 - 0.00% Feb 41,667 - 0.00% Mar 62,500 - 0.00% Apr 83,333 May 104,167 Jun 125,000 Jul 145,833 Aug 166,667 Sep 187,500 Oct 208,333 Nov 229,167 Dec 250,000 Percent of budget 0.00% REET Budget YTD Actual Annual % over (under) Jan 704,460 1,204,479 70.98% Feb 966,843 1,401,806 44.99% Mar 1,221,136 1,610,258 31.87% Apr 1,720,968 May 1,933,464 Jun 2,321,796 Jul 2,614,780 Aug 2,834,581 Sep 3,062,441 Oct 3,375,407 Nov 3,514,927 Dec 4,000,000 Percent of budget 40.26% $- $0.50 $1.00 $1.50 $2.00 $2.50 $3.00 $3.50 $4.00 $4.50 $5.00 Millions Real Estate Excise Tax Budget Actual Last Year $0 $2 $4 $6 $8 $10 $12 $14 $16 Mi l l i o n s Other Financing Sources Budget Actual Last Year Page 22 of 38 City of Renton Monthly Revenue Analysis - 2016 Budget Year Bldg Permits & Devlpmt Svc Fees Budget YTD Actual Annual % over (under) Jan 341,282 661,363 93.79% Feb 706,100 1,074,783 52.21% Mar 1,025,109 1,658,442 61.78% Apr 1,517,577 May 1,808,985 Jun 2,532,793 Jul 3,117,823 Aug 3,496,111 Sep 3,974,931 Oct 4,400,264 Nov 4,726,378 Dec 5,173,368 Percent of budget 32.06% B & O Tax Budget YTD Actual Annual % over (under) Jan - - N/A Feb - - N/A Mar - - N/A Apr 1,666,667 May 1,666,667 Jun 1,666,667 Jul 3,333,333 Aug 3,333,333 Sep 3,333,333 Oct 5,000,000 Nov 5,000,000 Dec 5,000,000 Percent of budget 0.00% $- $1.00 $2.00 $3.00 $4.00 $5.00 $6.00 $7.00 Millions Building Permits and Development Service Fees Budget Actual Last Year $- $0.50 $1.00 $1.50 $2.00 $2.50 $3.00 $3.50 $4.00 $4.50 $5.00 $5.50 Millions Business & Occupation Tax Budget Actual Last Year Page 23 of 38 City of Renton Monthly Expenditure Analysis - 2016 Budget Year General Government Budget YTD Actual Annual % over (under) Jan 8,844,239 8,625,290 -2.48% Feb 18,267,981 18,026,295 -1.32% Mar 27,561,769 27,044,383 -1.88% Apr 38,136,945 May 47,655,421 Jun 57,257,063 Jul 67,564,414 Aug 77,802,299 Sep 87,787,360 Oct 97,321,915 Nov 106,986,560 Dec 118,376,109 Percent of budget expended 22.85% Legislative Budget YTD Actual Annual % over (under) Jan 30,718 34,732 13.07% Feb 62,980 64,182 1.91% Mar 95,160 99,419 4.48% Apr 122,949 May 151,628 Jun 180,169 Jul 208,006 Aug 235,728 Sep 263,351 Oct 291,208 Nov 318,797 Dec 348,161 Percent of budget expended 28.56% $- $20 $40 $60 $80 $100 $120 $140 Millions Total Expenditures General Government Budget Actual Last Year $- $50,000 $100,000 $150,000 $200,000 $250,000 $300,000 $350,000 Legislative Budget Actual Last Year Page 24 of 38 City of Renton Monthly Expenditure Analysis - 2016 Budget Year Executive Budget YTD Actual Annual % over (under) Jan 91,702 192,359 109.77% Feb 226,122 322,242 42.51% Mar 360,645 486,643 34.94% Apr 498,203 May 635,001 Jun 770,286 Jul 910,919 Aug 1,139,113 Sep 1,294,359 Oct 1,428,452 Nov 1,574,883 Dec 1,772,884 Percent of budget expended 27.45% City Attorney Budget YTD Actual Annual % over (under) Jan 175,034 157,485 -10.03% Feb 349,257 326,649 -6.47% Mar 527,350 498,957 -5.38% Apr 710,479 May 896,957 Jun 1,092,924 Jul 1,282,507 Aug 1,475,680 Sep 1,671,064 Oct 1,846,482 Nov 2,021,528 Dec 2,213,353 Percent of budget expended 22.54% $- $0.30 $0.60 $0.90 $1.20 $1.50 $1.80 Millions Executive Budget Actual Last Year $- $0.40 $0.80 $1.20 $1.60 $2.00 $2.40 Millions City Attorney Budget Actual Last Year Page 25 of 38 City of Renton Monthly Expenditure Analysis - 2016 Budget Year Court Services Budget YTD Actual Annual % over (under) Jan 169,086 163,432 -3.34% Feb 345,603 335,163 -3.02% Mar 524,116 508,523 -2.98% Apr 706,499 May 890,985 Jun 1,081,645 Jul 1,265,010 Aug 1,449,036 Sep 1,627,840 Oct 1,805,361 Nov 1,978,143 Dec 2,187,710 Percent of budget expended 23.24% CED Admin Budget YTD Actual Annual % over (under) Jan 91,015 95,028 4.41% Feb 182,252 190,655 4.61% Mar 273,489 286,282 4.68% Apr 367,204 May 461,902 Jun 556,162 Jul 701,359 Aug 793,589 Sep 886,107 Oct 978,401 Nov 1,070,254 Dec 1,163,302 Percent of budget expended 24.61% $- $0.20 $0.40 $0.60 $0.80 $1.00 $1.20 $1.40 $1.60 $1.80 $2.00 $2.20 Millions Court Services Budget Actual Last Year $- $0.20 $0.40 $0.60 $0.80 $1.00 $1.20 Millions Community & Economic Development Admin Budget Actual Last Year Page 26 of 38 City of Renton Monthly Expenditure Analysis - 2016 Budget Year Development Services Budget YTD Actual Annual % over (under) Jan 241,239 212,162 -12.05% Feb 498,872 448,710 -10.06% Mar 771,244 676,129 -12.33% Apr 1,037,984 May 1,297,588 Jun 1,547,352 Jul 1,792,796 Aug 2,053,723 Sep 2,285,546 Oct 2,529,302 Nov 2,775,640 Dec 3,051,790 Percent of budget expended 22.16% Economic Development Budget YTD Actual Annual % over (under) Jan 54,699 50,235 -8.16% Feb 139,703 108,276 -22.50% Mar 211,746 166,805 -21.22% Apr 284,990 May 349,659 Jun 421,632 Jul 501,057 Aug 581,464 Sep 655,785 Oct 725,529 Nov 801,400 Dec 902,274 Percent of budget expended 18.49% $- $0.50 $1.00 $1.50 $2.00 $2.50 $3.00 Millions Development Services Budget Actual Last Year $- $0.10 $0.20 $0.30 $0.40 $0.50 $0.60 $0.70 $0.80 $0.90 $1.00 Millions Economic Development Budget Actual Last Year Page 27 of 38 City of Renton Monthly Expenditure Analysis - 2016 Budget Year Planning Budget YTD Actual Annual % over (under) Jan 221,962 203,948 -8.12% Feb 456,775 411,848 -9.84% Mar 719,704 630,155 -12.44% Apr 975,403 May 1,265,675 Jun 1,549,887 Jul 1,824,298 Aug 2,095,599 Sep 2,380,903 Oct 2,685,584 Nov 2,952,764 Dec 3,243,237 Percent of budget expended 19.43% Finance Budget YTD Actual Annual % over (under) Jan 168,923 220,501 30.53% Feb 345,736 434,053 25.54% Mar 525,483 642,161 22.20% Apr 704,393 May 892,107 Jun 1,203,473 Jul 1,400,753 Aug 1,727,096 Sep 1,931,821 Oct 2,134,116 Nov 2,324,115 Dec 2,927,787 Percent of budget expended 21.93% $- $0.40 $0.80 $1.20 $1.60 $2.00 $2.40 $2.80 $3.20 $3.60 Millions Finance Budget Actual Last Year $- $0.50 $1.00 $1.50 $2.00 $2.50 $3.00 $3.50 Millions Planning Budget Actual Last Year Page 28 of 38 City of Renton Monthly Expenditure Analysis - 2016 Budget Year City Clerk Budget YTD Actual Annual % over (under) Jan 62,637 67,195 7.28% Feb 164,231 168,845 2.81% Mar 303,940 242,432 -20.24% Apr 375,900 May 450,924 Jun 522,077 Jul 593,286 Aug 671,377 Sep 741,134 Oct 834,041 Nov 907,039 Dec 1,151,870 Percent of budget expended 21.05% Includes Hearing Examiner Human Resources Budget YTD Actual Annual % over (under) Jan 84,669 89,683 5.92% Feb 187,462 185,388 -1.11% Mar 299,503 299,054 -0.15% Apr 431,140 May 540,016 Jun 651,578 Jul 766,621 Aug 881,492 Sep 993,608 Oct 1,112,638 Nov 1,219,645 Dec 1,372,669 Percent of budget expended 21.79% $- $0.20 $0.40 $0.60 $0.80 $1.00 $1.20 $1.40 $1.60 Millions Human Resources Budget Actual Last Year $- $0.20 $0.40 $0.60 $0.80 $1.00 $1.20 Millions City Clerk Budget Actual Last Year Page 29 of 38 City of Renton Monthly Expenditure Analysis - 2016 Budget Year Police Budget YTD Actual Annual % over (under) Jan 2,955,907 2,819,381 -4.62% Feb 5,588,146 5,349,745 -4.27% Mar 8,643,977 8,336,018 -3.56% Apr 11,267,685 May 14,229,736 Jun 17,038,401 Jul 20,082,621 Aug 22,744,871 Sep 25,768,424 Oct 28,482,339 Nov 31,532,863 Dec 34,710,426 Percent of budget expended 24.02% Fire & Emergency Services Budget YTD Actual Annual % over (under) Jan 2,500,601 2,291,374 -8.37% Feb 5,336,072 5,299,522 -0.68% Mar 7,543,542 7,516,586 -0.36% Apr 9,698,234 May 11,856,468 Jun 14,064,684 Jul 16,319,867 Aug 18,751,956 Sep 21,023,843 Oct 23,197,235 Nov 25,467,264 Dec 27,970,913 Percent of budget expended 26.87% $- $3 $6 $9 $12 $15 $18 $21 $24 $27 $30 $33 $36 Millions Police Budget Actual Last Year $- $3 $6 $9 $12 $15 $18 $21 $24 $27 $30 Millions Fire & Emergency Services Budget Actual Last Year Page 30 of 38 City of Renton Monthly Expenditure Analysis - 2016 Budget Year Community Services Admin Budget YTD Actual Annual % over (under) Jan 44,038 52,449 19.10% Feb 91,102 113,335 24.40% Mar 142,816 155,142 8.63% Apr 188,797 May 231,403 Jun 273,217 Jul 320,383 Aug 366,928 Sep 413,394 Oct 458,470 Nov 506,014 Dec 562,434 Percent of budget expended 27.58% Parks Budget YTD Actual Annual % over (under) Jan 333,489 302,959 -9.15% Feb 695,412 615,902 -11.43% Mar 1,074,993 949,380 -11.69% Apr 1,448,271 May 1,850,095 Jun 2,280,586 Jul 2,781,830 Aug 3,272,063 Sep 3,765,938 Oct 4,207,686 Nov 4,597,218 Dec 5,025,610 Percent of budget expended 18.89% $- $0.50 $1.00 $1.50 $2.00 $2.50 $3.00 $3.50 $4.00 $4.50 $5.00 Millions Parks Budget Actual Last Year $0 $100,000 $200,000 $300,000 $400,000 $500,000 $600,000 Community Services Admin Budget Actual Last Year Page 31 of 38 City of Renton Monthly Expenditure Analysis - 2016 Budget Year Parks Planning and Natural Resources Budget YTD Actual Annual % over (under) Jan 66,146 46,446 -29.78% Feb 135,203 103,226 -23.65% Mar 220,574 165,213 -25.10% Apr 301,273 May 407,024 Jun 486,764 Jul 592,877 Aug 688,924 Sep 797,310 Oct 910,915 Nov 1,018,122 Dec 1,125,443 Percent of budget expended 14.68% Recreation Budget YTD Actual Annual % over (under) Jan 332,493 330,010 -0.75% Feb 694,355 697,557 0.46% Mar 1,064,517 1,078,551 1.32% Apr 1,446,444 May 1,829,740 Jun 2,251,729 Jul 2,912,280 Aug 3,596,433 Sep 4,138,040 Oct 4,510,080 Nov 4,895,207 Dec 5,338,949 Percent of budget expended 20.20% $- $200,000 $400,000 $600,000 $800,000 $1,000,000 $1,200,000 Parks Planning and Natural Resources Budget Actual Last Year $0.00 $0.50 $1.00 $1.50 $2.00 $2.50 $3.00 $3.50 $4.00 $4.50 $5.00 $5.50 Millions Recreation Budget Actual Last Year Page 32 of 38 City of Renton Monthly Expenditure Analysis - 2016 Budget Year Human Services Budget YTD Actual Annual % over (under) Jan 47,817 81,352 70.13% Feb 121,777 213,832 75.59% Mar 255,056 269,088 5.50% Apr 404,712 May 470,050 Jun 534,658 Jul 670,143 Aug 759,766 Sep 819,175 Oct 972,094 Nov 1,030,914 Dec 1,212,606 Percent of budget expended 22.19% Neighborhoods , Resources, and Events Budget YTD Actual Annual % over (under) Jan 65,441 66,354 1.39% Feb 159,671 144,459 -9.53% Mar 228,091 213,473 -6.41% Apr 294,553 May 361,904 Jun 442,834 Jul 568,264 Aug 663,792 Sep 754,293 Oct 832,825 Nov 913,882 Dec 1,049,871 Percent of budget expended 20.33% $- $0.20 $0.40 $0.60 $0.80 $1.00 $1.20 Millions Human Services Budget Actual Last Year $- $200,000 $400,000 $600,000 $800,000 $1,000,000 $1,200,000 Neighborhoods, Resources, and Events Budget Actual Last Year Page 33 of 38 City of Renton Monthly Expenditure Analysis - 2016 Budget Year Museum Fund Budget YTD Actual Annual % over (under) Jan 18,883 19,061 0.94% Feb 37,795 37,570 -0.59% Mar 56,682 55,330 -2.39% Apr 75,818 May 95,501 Jun 115,297 Jul 135,152 Aug 155,440 Sep 175,323 Oct 195,438 Nov 215,317 Dec 235,281 Percent of budget expended 23.52% Public Works Admin Budget YTD Actual Annual % over (under) Jan 33,648 33,119 -1.57% Feb 68,336 67,230 -1.62% Mar 102,357 100,509 -1.81% Apr 136,585 May 171,018 Jun 205,573 Jul 240,151 Aug 275,209 Sep 310,708 Oct 344,670 Nov 378,434 Dec 413,579 Percent of budget expended 24.30% $- $50,000 $100,000 $150,000 $200,000 $250,000 $300,000 $350,000 $400,000 $450,000 Public Works Admin Budget Actual Last Year $- $30,000 $60,000 $90,000 $120,000 $150,000 $180,000 $210,000 $240,000 $270,000 Museum Fund Budget Actual Last Year Page 34 of 38 City of Renton Monthly Expenditure Analysis - 2016 Budget Year Street Maintenance Budget YTD Actual Annual % over (under) Jan 394,389 400,277 1.49% Feb 814,190 805,426 -1.08% Mar 1,238,913 1,236,414 -0.20% Apr 1,713,744 May 2,155,740 Jun 2,602,120 Jul 3,077,957 Aug 3,551,816 Sep 3,999,208 Oct 4,484,264 Nov 4,914,469 Dec 5,399,313 Percent of budget expended 22.90% Transportation Budget YTD Actual Annual % over (under) Jan 320,144 356,191 11.26% Feb 705,069 720,619 2.21% Mar 1,165,698 1,219,946 4.65% Apr 1,649,817 May 2,044,470 Jun 2,440,216 Jul 2,848,513 Aug 3,279,472 Sep 3,674,487 Oct 4,115,120 Nov 4,509,015 Dec 5,109,047 Percent of budget expended 23.88% $- $1.00 $2.00 $3.00 $4.00 $5.00 $6.00 Millions Street Maintenance Budget Actual Last Year $0.0 $1.0 $2.0 $3.0 $4.0 $5.0 $6.0 Millions Transportation Budget Actual Last Year Page 35 of 38 City of Renton Monthly Expenditure Analysis - 2016 Budget Year Debt Service Budget YTD Actual Annual % over (under) Jan 44,758 44,758 0.00% Feb 295,075 295,075 0.00% Mar 295,075 295,075 0.00% Apr 2,082,892 May 2,603,615 Jun 3,124,338 Jul 3,645,061 Aug 4,165,784 Sep 4,686,507 Oct 5,207,230 Nov 5,727,953 Dec 6,248,676 Percent of budget expended 4.72% Non- Departmental Other City Budget YTD Actual Annual % over (under) Jan 294,800 294,800 0.00% Feb 566,783 566,783 0.00% Mar 917,099 917,099 0.00% Apr 1,212,975 May 1,516,218 Jun 1,819,462 Jul 2,122,706 Aug 2,425,949 Sep 2,729,193 Oct 3,032,437 Nov 3,335,680 Dec 3,638,924 Percent of budget expended 25.20% $- $1.00 $2.00 $3.00 $4.00 $5.00 $6.00 $7.00 $8.00 $9.00 $10.00 Millions Non-Departmental Other City Services Budget Actual Last Year $- $5 $10 $15 $20 $25 Millions Debt Service Budget Actual Last Year Page 36 of 38 City of Renton Monthly Enterprise Fund Financial Report - 2016 Budget Year Utilities Budget Revenue Expense Jan 3,836,257 6,349,407 3,113,758 Feb 10,582,930 12,660,071 7,764,200 Mar 15,407,394 18,605,731 12,419,394 Apr 19,338,399 May 26,173,189 Jun 34,435,671 Jul 39,234,580 Aug 44,829,532 Sep 50,505,333 Oct 55,843,333 Nov 61,211,329 Dec 71,240,411 Percent of budget expended 12.96% Note: Operations and Capital Airport Budget Revenue Expense Jan 57,837 379,338 102,054 Feb 158,639 746,998 246,569 Mar 863,412 1,127,792 409,998 Apr 1,091,003 May 1,622,328 Jun 1,794,836 Jul 1,995,695 Aug 2,260,872 Sep 2,485,384 Oct 2,654,587 Nov 2,941,602 Dec 3,240,185 Percent of budget expended 12.65% Note: Operations and Capital $0 $10 $20 $30 $40 $50 $60 $70 $80 $90 Millions Utilities Budget Revenue Expense $- $0.50 $1.00 $1.50 $2.00 $2.50 $3.00 $3.50 Millions Airport Budget Revenue Expense Page 37 of 38 City of Renton Monthly Enterprise Fund Financial Report - 2016 Budget Year Golf Course Budget Revenue Expense Jan 116,799 72,468 118,352 Feb 267,877 183,666 290,598 Mar 419,420 302,635 438,062 Apr 591,478 May 813,532 Jun 971,265 Jul 1,139,818 Aug 1,312,726 Sep 1,486,659 Oct 1,684,773 Nov 1,811,460 Dec 2,303,479 Percent of budget expended 19.02% Note: Operations and Capital $- $0.30 $0.60 $0.90 $1.20 $1.50 $1.80 $2.10 $2.40 Millions Golf Course Budget Revenue Expense Page 38 of 38