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ADMINISTRATIVE SERVICES
M E M O R A N D U M
DATE: September 24, 2019
TO: Don Persson, Council President
Members of Renton City Council
CC: Denis Law, Mayor
Bob Harrison, Chief Administrative Officer
FROM: Jan Hawn, ASD Administrator
STAFF CONTACT: Hai Nguyen, Sr. Finance Analyst
SUBJECT: May 2019 Financial Status Report
At the end of May, general governmental revenues show $5.7M or 12.3% over budget.
Revenue source(s) that are higher than expected are: property tax ($157K); sales tax
($216K); state shared revenues ($236K); gambling taxes ($313K); business & occupation
taxes ($2.7M); interest & other earnings ($289K); fines and penalties ($586K); real estate
excise tax ($1.5M); business licensing ($416K); and other miscellaneous ($205K). On the
down side, the revenue source(s) that are underperforming the year to date budget are:
utility taxes ($246K); building permits/development service fees ($399K); and interfund
services ($251K).
General government expenditures showed a favorable variance of $1.4M or 3.4%. See
page 11 of report for further expenditure over‐spent/savings 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.
Don Persson, Council President
Members of Renton City Council
Page 2 of 2
September 24, 2019
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General Governmental Funds
$%
Beginning Fund Balance 26,563,785$ 26,563,785$ 33,284,838$ 33,284,838$ 42,803,217$ 42,803,217$ 46,198,341$ 3,395,124 7.9%
OPERATING REVENUES
Property Tax 24,356,562 12,678,534 19,463,461 10,087,649 20,885,254 10,850,691 11,008,022 157,331 1.4%
Sales Tax 26,331,634 10,765,139 28,428,635 11,672,299 27,684,069 11,277,444 11,493,492 216,049 1.9%
Sales Tax ‐ Annexation Credit/LRF 3,123,230 1,275,481 1,619,553 1,382,487 ‐ ‐ ‐ ‐ 0.0%
Criminal Justice Sales Tax 2,808,564 1,134,254 3,091,020 1,225,590 2,886,744 1,154,703 1,297,009 142,306 12.3%
Natural Gas Use Tax 180,456 93,242 141,408 79,362 180,000 101,021 125,920 24,899 24.6%
Admission Tax 223,157 123,373 225,466 114,654 250,000 132,643 88,107 (44,536) ‐33.6%
Franchise Fees 1,562,100 773,584 1,508,915 781,892 1,526,500 773,176 746,746 (26,430) ‐3.4%
Electricity Tax 5,721,366 2,609,011 5,592,795 2,705,413 5,559,113 2,611,195 2,461,052 (150,143) ‐5.7%
Natural Gas Utility Tax 1,630,375 1,011,722 1,446,693 909,213 1,400,000 873,984 812,227 (61,757) ‐7.1%
Garbage/Solid Waste 627,254 230,528 743,003 294,052 680,000 260,327 324,800 64,474 24.8%
TV Cable 1,651,405 661,829 1,525,625 620,278 1,678,736 677,463 586,882 (90,581) ‐13.4%
Telephone 866,519 404,260 830,975 350,776 692,674 308,097 424,536 116,438 37.8%
Cellular Phone 1,481,298 641,414 1,159,489 543,162 1,551,630 696,014 279,936 (416,078) ‐59.8%
City Utilities 4,840,530 1,866,739 4,925,046 1,968,585 4,500,000 1,767,326 2,033,762 266,436 15.1%
Utility Tax Audit ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ 0.0%
Leasehold Excise Tax 173,396 42,568 189,427 43,340 179,000 42,383 41,693 (689) ‐1.6%
Gambling Excise Tax 2,695,368 1,070,091 2,831,045 1,209,832 2,000,000 825,101 1,137,890 312,789 37.9%
Real Estate Excise Tax 3,595,952 2,845,952 5,905,674 2,510,550 4,000,000 675,855 2,126,379 1,450,523 214.6%
Less: CIP REET (2,845,952) (2,845,952) (2,510,550) (2,510,550) (1,373,000) (675,855) (739,889) (64,034) 9.5%
EMS Levy ‐ ‐ ‐ ‐ ‐ ‐ ‐ ‐ 0.0%
B&O Taxes 9,633,034 6,183,312 10,689,216 8,006,272 8,000,000 5,444,028 7,198,261 1,754,233 32.2%
Less: CIP B&O Taxes (2,473,974) (2,473,974) (1,379,314) ‐ (2,000,000) (950,000) ‐ 950,000 ‐100.0%
Business License Fees 1,480,730 723,975 1,037,650 893,697 695,455 423,119 839,482 416,362 98.4%
Less: CIP Business License Fees (614,796) (333,537) (356,629) (342,957) ‐ ‐ ‐ ‐ 0.0%
Animal Licenses and Spec Events Permits 140,391 45,949 119,901 55,794 94,174 41,648 57,814 16,166 38.8%
Building Permits & Development Svc Fees 4,907,983 2,004,656 4,650,227 2,024,732 5,223,637 2,202,113 1,803,020 (399,093) ‐18.1%
Intergovt'l (Grants, State Shared, etc) 4,285,806 1,424,679 4,232,288 1,556,393 4,485,900 1,569,232 1,618,228 48,996 3.1%
Fire District 25 and 40 Contracts 341,939 170,969 357,660 178,830 372,059 186,030 186,030 ‐ 0.0%
Public Safety 837,728 407,050 1,208,422 504,415 840,835 374,553 453,916 79,363 21.2%
Culture and Recreation 1,722,323 415,410 1,509,375 398,516 1,829,714 460,826 414,716 (46,110) ‐10.0%
Interfund/Interdept‐Services 3,916,334 1,692,540 3,900,407 1,726,273 4,794,617 1,997,757 1,746,423 (251,334) ‐12.6%
Fines and Penalties 822,450 274,674 810,152 282,433 976,345 323,561 280,215 (43,347) ‐13.4%
Photo Enforcement 2,124,399 762,218 3,463,040 764,813 3,431,405 937,793 1,566,988 629,195 67.1%
Seizure Funds ‐ Federal/State/Local 176,503 149,552 349,134 244,066 ‐ ‐ 20,280 20,280 100.0%
Interests and Other Earnings 1,155,371 335,699 1,189,995 423,774 830,000 268,769 558,034 289,265 107.6%
Rents, Leases, and Concessions 634,897 275,104 673,666 287,189 572,695 246,088 318,645 72,557 29.5%
Contributions and Donations 177,919 71,218 197,221 59,465 147,970 51,546 109,295 57,748 112.0%
Other Miscellaneous 954,680 391,438 708,728 319,249 748,987 322,188 527,348 205,160 63.7%
Other Financing Sources (Transfer ‐In, etc) 283,213 94,231 (139,213) 13,000 1,356,692 99,637 99,637 ‐ 0.0%
Total Operating Revenues 109,530,146 47,996,932 110,339,607 51,384,537 106,681,205 46,350,455 52,046,897 5,696,441 12.3%
OPERATING EXPENDITURES
Council 362,101 157,670 377,512 162,362 414,410 179,316 157,226 22,090 12.3%
Executive 1,954,748 793,626 2,073,371 846,929 2,353,009 958,324 959,127 (803) ‐0.1%
Emergency Management 569,333 219,758 590,655 241,268 703,487 279,595 231,332 48,263 17.3%
City Attorney 2,088,718 866,583 2,216,692 912,104 2,393,230 988,711 962,847 25,864 2.6%
Court Services 2,174,217 888,624 2,222,633 936,015 2,646,159 1,098,123 982,073 116,050 10.6%
Community and Eco Dvlpmnt Admin 1,351,830 549,841 1,347,568 561,505 1,507,929 620,817 596,343 24,475 3.9%
Development Services 3,023,728 1,282,903 3,032,130 1,182,919 3,485,932 1,419,401 1,284,429 134,972 9.5%
Economic Development 949,467 342,370 833,055 288,153 1,822,045 644,503 348,128 296,375 46.0%
Planning 2,815,148 1,134,729 3,022,122 1,217,342 3,463,993 1,395,782 1,246,660 149,123 10.7%
Finance 3,132,609 1,073,519 3,427,262 1,172,940 3,606,382 1,235,023 1,205,740 29,283 2.4%
City Clerk 1,119,376 533,887 1,274,941 682,037 1,341,087 681,055 646,769 34,285 5.0%
Human Resources 1,221,841 492,849 1,268,733 520,504 1,544,649 628,480 577,225 51,255 8.2%
Police 30,987,047 12,448,091 33,764,563 13,413,647 36,861,840 14,723,355 14,669,787 53,568 0.4%
Jail Services 4,807,443 2,002,529 5,970,673 2,486,858 6,239,267 2,402,527 2,402,527 ‐ 0.0%
Community Services Admin 554,951 214,954 510,454 217,983 568,806 231,139 224,052 7,088 3.1%
Parks & Trails 4,926,587 1,782,615 5,026,203 1,838,804 5,480,077 1,999,175 1,971,130 28,045 1.4%
Parks Planning & Natural Resources 1,059,058 369,879 1,114,153 379,727 2,495,194 860,668 496,003 364,665 42.4%
Recreation & Neighborhoods 6,152,644 2,195,359 6,280,121 2,201,755 6,433,402 2,276,352 2,338,770 (62,418) ‐2.7%
Human Services 1,634,387 513,338 1,421,280 560,102 1,382,752 485,754 524,045 (38,291) ‐7.9%
Museum 235,712 97,324 245,590 102,003 252,298 104,487 106,346 (1,860) ‐1.8%
Public Works Admin 406,781 169,665 417,786 175,219 425,954 178,160 177,428 732 0.4%
Street Maintenance 5,603,141 2,408,369 5,676,989 2,245,930 5,894,373 2,432,079 2,378,544 53,535 2.2%
Transportation 5,368,887 2,065,482 5,550,779 2,259,514 6,194,559 2,453,504 2,422,814 30,690 1.3%
Debt Service 6,063,576 293,691 5,696,184 290,010 6,793,668 284,932 284,932 ‐ 0.0%
Non‐Departmental and Other 14,245,763 1,356,243 4,064,656 1,306,632 6,053,738 1,337,900 1,337,900 ‐ 0.0%
Total Operating Expenditures 102,809,093 34,253,900 97,426,104 36,202,262 110,358,241 39,899,162 38,532,176 1,366,986 3.4%
Total Ending Fund Balance 33,284,838$ 40,306,817$ 46,198,341$ 48,467,114$ 39,126,181$ 49,254,511$ 59,713,062$ 10,458,551$ 21.2%
Summary of Sources and Uses Annual Actual YTD Actual Favorable (Unfavorable)
2017 2018 2019 Variance
Annual Actual YTD Actual Annual Budget YTD Budget YTD Actual
Monthly Financial Report May 2019
City of Renton, Washington
Page 1 of 15
Monthly Financial Report May 2019
OVERVIEW
This financial overview reflects the City’s overall financial position for the fiscal year through May 31, 2019. 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, real estate excise, and business & occupation
taxes represents 77% of all resources supporting general governmental activities. The following section provides detail
information on property, sales, utility, and other taxes.
Property Tax
Current Month Actual: $2.9M
YTD Actual: $11M
Budgeted YTD: $10.9M
Prior Year Same Month: $2.4M
Prior Year YTD: $10.1M
Year‐to‐Year Variance: $920K,
9%
Actual‐to‐Budget YTD Variance:
$157K, 1%
Sales Tax
Current Month Actual: $2.5M
YTD Actual: $11.5M
Budgeted YTD: $11.3M
Prior Year Same Month: $2.5M
Prior Year YTD: $11.7M
Year‐to‐Year Monthly Variance:
‐$45K, ‐2%
Year‐to‐Year YTD Variance:
‐$179K, ‐2%
Actual‐to‐Budget Monthly
Variance: $32K, 1%
Actual‐to‐Budget YTD Variance:
$216K, 2%
New Construction and Service
are the sectors generating and collecting more than anticipated. The City is projecting sales tax revenues to be $27.9M by
the end of the year. 2019’s monthly budgets are generally based on 2014 through 2018 collections.
2018 2019 2019
Actual Budget Actual $ % $ %
Jan (12,745)$ 20,344$ 39,879$ 52,624$ ‐413% 19,535$ 96%
Feb 106,364 143,793 192,217 85,853 81% 48,425 34%
Mar 665,471 747,539 764,729 99,258 15% 17,190 2%
Apr 6,908,633 6,645,895 7,158,264 249,631 4% 512,369 8%
May 2,419,925 3,293,120 2,852,933 433,008 18% (440,187) ‐13%
Jun 108,842 113,280
Jul 90,072 76,102
Aug 84,185 88,428
Sep 196,536 304,667
Oct 7,077,878 5,307,469
Nov 1,742,104 4,039,744
Dec 76,196 104,875
YTD Total 10,087,649$ 10,850,691$ 11,008,022$ 920,373$ 9%157,331$ 1%
Annual Total 19,463,461$ 20,885,254$
Property Tax Revenues
Year to Date through May
2019 vs. 2018 2019 vs. Budget
Month
2018 2019 2019
Actual Budget Actual $ % $ %
Jan 2,217,949$ 2,172,405$ 2,260,685$ 42,736$ 2% 88,280$ 4%
Feb 2,839,044 2,602,634 2,758,295 (80,749) ‐3% 155,661 6%
Mar 2,099,180 2,064,301 2,066,530 (32,650) ‐2% 2,229 0%
Apr 2,009,648 2,008,608 1,946,020 (63,628) ‐3% (62,588) ‐3%
May 2,506,478 2,429,497 2,461,963 (44,515) ‐2% 32,466 1%
Jun 1,997,751 2,105,242 ‐
Jul 2,385,665 2,245,590 ‐
Aug 2,573,863 2,475,019 ‐
Sep 2,671,784 2,358,468 ‐
Oct 2,438,390 2,413,738 ‐
Nov 2,385,700 2,491,359 ‐
Dec 2,303,183 2,317,209 ‐
YTD Total 11,672,299$ 11,277,444$ 11,493,492$ (178,806)$ ‐2% 216,049$ 2%
Annual Total 28,428,635$ 27,684,069$
2019 vs. Budget2019 vs. 2018
Month
Year to Date through May
Local Retail Sales Tax Revenues
City of Renton, Washington
Page 2 of 15
Monthly Financial Report May 2019
The following table breaks out the City’s base sales tax (excluding Criminal Justice and Annexation Credit) by major business
sectors:
Sales Tax by Sector 2018 2019 Bgt YTD Act Change 2019/2018 2019 Act vs Bgt
New Construction 1,897,845$ 1,571,947$ 1,630,126$ (267,719)$ ‐14%$ 58,179 4%
Auto Sales 2,084,522 2,077,139 2,086,091 1,568 0% 8,952 0%
General Retail 3,252,163 3,310,215 3,279,351 27,187 1% (30,864)‐1%
Manufacturing 778,761 865,745 886,389 107,629 14% 20,645 2%
Wholesale 558,755 555,409 560,189 1,434 0% 4,780 1%
Service 2,815,920 2,605,336 2,784,954 (30,966) ‐1% 179,617 7%
Other 284,333 291,653 266,393 (17,939) ‐6% (25,260)‐9%
YTD Total 11,672,299$ 11,277,444$ 11,493,492$ (178,806)$ ‐2%216,049$ 2%
Note: Excludes Annexation Credit and Criminal Justice Sales Tax revenue.
Utility tax
Current Month Actual: $1.3M
YTD Actual: $7M
Budgeted YTD: $7.3M
Prior Year Same Month: $1.4M
Prior Year YTD: $7.5M
Year‐to‐Year Monthly Variance:
‐$96K, ‐7%
Year‐to‐Year YTD Variance:
‐$422K, ‐6%
Actual‐to‐Budget Monthly
Variance: ‐$86K, ‐6%
Actual‐to‐Budget YTD Variance:
‐$246K, ‐3%
The large variance with budget
and prior year is mainly due to lower taxable reported activity for Cellular. The timing of when Electrical and Natural Gas
receipts were recorded (April instead of March) is why there is such a large variance for March/April. The City is projecting
utility tax revenues to be about $15.7M by the end of the year. The monthly budgets are based on 2017/2018 activity. The
table below breaks out Utility Tax by source.
Utility Tax by Type 2018 2019 Bgt YTD Act Change 2019/2018 2019 Act vs Bgt
Electrical 2,705,413$ 2,611,195$ 2,461,052$ (244,361)$ ‐9%$ (150,143)‐6%
Natural Gas 988,574 975,005 938,147 (50,427) ‐5% (36,858)‐4%
Cell 543,162 696,014 279,936 (263,226) ‐48% (416,078)‐60%
Phone 350,776 308,097 424,536 73,759 21% 116,438 38%
Cable 620,278 677,463 586,882 (33,396) ‐5% (90,581)‐13%
Garbage/Solid Waste 294,052 260,327 324,800 30,748 10% 64,474 25%
City Utilities 1,968,585 1,767,326 2,033,762 65,177 3% 266,436 15%
Utility Tax Audit ‐ ‐ ‐ ‐ N/A ‐ N/A
YTD Total 7,470,841$ 7,295,427$ 7,049,115$ (421,726)$ ‐6%(246,312)$ ‐3%
Annual Total 16,365,034$ 16,242,153$
YTD as % of 46% 45%
2018 2019 2019
Actual Budget Actual $ % $ %
Jan 1,395,386$ 1,514,363$ 1,256,646$ (138,740)$ ‐10% (257,717)$ ‐17%
Feb 1,617,972 1,429,503 1,372,784 (245,188) ‐15% (56,719) ‐4%
Mar 1,579,191 1,362,194 786,486 (792,705) ‐50% (575,709) ‐42%
Apr 1,463,336 1,583,918 2,313,810 850,474 58% 729,892 46%
May 1,414,956 1,405,448 1,319,389 (95,567) ‐7% (86,059) ‐6%
Jun 1,269,602 1,282,448
Jul 1,398,960 1,415,513
Aug 1,203,168 1,166,791
Sep 1,197,617 1,195,903
Oct 1,292,218 1,336,595
Nov 1,083,283 1,141,066
Dec 1,449,344 1,408,409
YTD Total 7,470,841$ 7,295,427$ 7,049,115$ (421,726)$ ‐6% (246,312)$ ‐3%
Annual Total 16,365,034$ 16,242,153$
2019 vs. Budget2019 vs. 2018
Year to Date through May
Utility Tax Revenues
Month
City of Renton, Washington
Page 3 of 15
Monthly Financial Report May 2019
Other Taxes
Real Estate Excise Tax
Current Month Actual: $456K
YTD Actual: $2.1M
Budgeted YTD: $676K
Prior Year Same Month: $607K
Prior Year YTD: $2.5M
Year‐to‐Year Monthly Variance:
‐$151K, ‐25%
Year‐to‐Year YTD Variance:
‐$384K, ‐15%
Actual‐to‐Budget Monthly
Variance: $331K, 264%
Actual‐to‐Budget YTD Variance:
$1.5M, 215%
REET collections year‐to‐date
are behind 2018 figures but
much higher than budgeted expectations. The City is projecting REET to be about $4.4M at the end of the year.
Gambling Tax
Current Month Actual: $267K
YTD Actual: $1.1M
Budgeted YTD: $825K
Prior Year Same Month: $223K
Prior Year YTD: $1.2M
Year‐to‐Year Monthly Variance:
$45K, 20%
Year‐to‐Year YTD Variance:
‐$72K, ‐6%
Actual‐to‐Budget Monthly
Variance: $97K, 57%
Actual‐to‐Budget YTD Variance:
$313K, 38%
Gambling tax revenue is behind
2018 but is above budget. The City is projecting gambling tax revenues to be about $2.5M at the end of the year.
2018 2019 2019
Actual Budget Actual $ % $ %
Jan 840,316$ 235,792$ 748,462$ (91,854)$ ‐11% 512,671$ 217%
Feb 366,011 88,705 219,686 (146,325) ‐40% 130,981 148%
Mar 291,045 126,164 272,006 (19,039) ‐7% 145,842 116%
Apr 405,746 99,837 430,070 24,323 6% 330,232 331%
May 607,431 125,357 456,154 (151,277) ‐25% 330,797 264%
Jun 496,917 157,020
Jul 846,631 181,410
Aug 406,944 136,185
Sep 451,349 285,331
Oct 1,716,905 1,133,509
Nov 976,580 716,731
Dec 409,249 713,958
YTD Total 2,510,550$ 675,855$ 2,126,379$ (384,171)$ ‐15% 1,450,523$ 215%
Annual Total 7,815,124$ 4,000,000$
*Total REET (GF & CIP)
Real Estate Excise Tax (REET) Revenues*
Year to Date through May
Month
2019 vs. Budget2019 vs. 2018
2018 2019 2019
Actual Budget Actual $ % $ %
Jan 210,929$ 156,146$ 83,278$ (127,651)$ ‐61% (72,869)$ ‐47%
Feb 255,285 164,992 244,652 (10,633) ‐4% 79,660 48%
Mar 245,283 154,213 283,007 37,724 15% 128,795 84%
Apr 275,795 179,219 259,539 (16,256) ‐6% 80,321 45%
May 222,540 170,531 267,414 44,874 20% 96,883 57%
Jun 252,663 175,721 ‐
Jul 255,351 175,771 ‐
Aug 226,388 160,458 ‐
Sep 75,748 101,653 ‐
Oct 222,034 158,206 ‐
Nov 228,862 176,826 ‐
Dec 360,166 226,264 ‐
YTD Total 1,209,832$ 825,101$ 1,137,890$ (71,942)$ ‐6% 312,789$ 38%
Annual Total 2,831,045$ 2,000,000$
Gambling Tax Revenue
Month
Year to Date through May
2019 vs. Budget2019 vs. 2018
City of Renton, Washington
Page 4 of 15
Monthly Financial Report May 2019
Franchise Fees
Current Month Actual: $20K
YTD Actual: $747K
Budgeted YTD: $773K
Prior Year Same Month: $341K
Prior Year YTD: $782K
Year‐to‐Year Monthly
Variance: ‐$320K, ‐94%
Year‐to‐Year YTD Variance:
‐$35K, ‐4%
Actual‐to‐Budget Monthly
Variance: ‐$153K, ‐88%
Actual‐to‐Budget YTD
Variance: ‐$26K, ‐3%
The timing of when 2018 4th and 2019 1st quarters activity were receipted (usually January and April, respectively) is why the
4 months are skewed. The City is projecting franchise fees to be a about $1.5M at the end of the year.
Admission Tax
Current Month Actual: $1K
YTD Actual: $88K
Budgeted YTD: $133K
Prior Year Same Month: $2K
Prior Year YTD: $115K
Year‐to‐Year YTD Variance:
‐$26K, ‐23%
Actual‐to‐Budget YTD
Variance: ‐$44K, ‐34%
The City is projecting
admissions tax revenues to be
around $180K by the end of
the year.
Business & Occupation Tax
Current Month Actual: $4.3M
YTD Actual: $7.2M
Budgeted YTD: $5.4M
Prior Year Same Month: $213K
Prior Year YTD: $8M
Year‐to‐Year Monthly
Variance: $4.1M, 1908%
Year‐to‐Year YTD Variance:
‐$808K, ‐10%
Actual‐to‐Budget Monthly
Variance: $4.1M, 2422%
Actual‐to‐Budget YTD
Variance: $1.8M, 32%
2018 2019 2019
Actual Budget Actual $ % $ %
Jan 371,458$ 373,958$ 36,388$ (335,070)$ ‐90% (337,569)$ ‐90%
Feb 16,600 11,383 342,814 326,214 1965% 331,431 2912%
Mar 15,792 12,373 26,075 10,283 65% 13,702 111%
Apr 37,420 202,329 321,069 283,649 758% 118,739 59%
May 340,622 173,133 20,400 (320,222) ‐94% (152,733) ‐88%
Jun 1,050 11,122 ‐
Jul 344,386 341,360 ‐
Aug 15,193 11,379 ‐
Sep ‐ 4,349 ‐
Oct 346,194 358,545 ‐
Nov 11,200 10,786 ‐
Dec 9,000 15,782 ‐
YTD Total 781,892$ 773,176$ 746,746$ (35,146)$ ‐4% (26,430)$ ‐3%
Annual Total 1,508,915$ 1,526,500$
Month
2019 vs. 2018 2019 vs. Budget
Franchise Fees Revenue
Year to Date through May
2018 2019 2019
Actual Budget Actual $ % $ %
Jan 56,598$ 65,388$ 8$ (56,590)$ ‐100% (65,380)$ ‐100%
Feb 1,473 2,374 48,782 47,309 3212% 46,407 1954%
Mar 112 62 ‐
Apr 54,560 63,040 37,923 (16,637) ‐30% (25,118) ‐40%
May 1,911 1,778 1,395 (516) ‐27% (383) ‐22%
Jun ‐ 438 ‐
Jul ‐ 28,454 ‐
Aug 62,959 35,964 ‐
Sep ‐ ‐ ‐
Oct 46,297 26,750 ‐
Nov 1,556 867 ‐
Dec ‐ 24,884 ‐
YTD Total 114,654$ 132,643$ 88,107$ (26,434)$ ‐23% (44,473)$ ‐34%
Annual Total 225,466$ 250,000$
2019 vs. Budget
Admission Tax Revenue
Year to Date through May
Month
2019 vs. 2018
2018 2019 2019
Actual Budget Actual $ % $ %
Jan 1,301,574$ 1,130,591$ 919,391$ (382,183)$ ‐29% (211,200)$ ‐19%
Feb 1,013,630 618,964 1,317,771 304,141 30% 698,807 113%
Mar 48,278 77,099 105,983 57,705 120% 28,884 37%
Apr 5,430,049 3,447,959 583,109 (4,846,940) ‐89% (2,864,850) ‐83%
May 212,741 169,415 4,272,007 4,059,266 1908% 4,102,593 2422%
Jun 172,687 146,931 ‐
Jul 840,839 871,974 ‐
Aug 451,217 303,274 ‐
Sep 12,193 56,844 ‐
Oct 572,637 721,429 ‐
Nov 632,346 404,944 ‐
Dec 1,026 50,576 ‐
YTD Total 8,006,272$ 5,444,028$ 7,198,261$ (808,011)$ ‐10% 1,754,233$ 32%
Annual Total 10,689,216$ 8,000,000$
*Total Business & Occupation Taxes (GF & CIP)
Business & Occupation Taxes (B&O)*
Year to Date through May
Month
2019 vs. 2018 2019 vs. Budget
City of Renton, Washington
Page 5 of 15
Monthly Financial Report May 2019
April/May variance is due to the timing of when a large receipt was recorded (normally recorded in April but was recorded
in May). The City is projecting B&O taxes to be around $9.5M by the end of the year.
Licenses and Permits
Business Licenses
Current Month Actual: $34K
YTD Actual: $839K
Budgeted YTD: $423K
Prior Year Same Month: $34K
Prior Year YTD: $894K
Year‐to‐Year Monthly Variance:
$637, 2%
Year‐to‐Year YTD Variance:
‐$54K, ‐6%
Actual‐to‐Budget Monthly
Variance: ‐$17K, ‐33%
Actual‐to‐Budget YTD Variance:
$416K, 98%
The variance with the prior year
is mostly due to late filings and
payments associated with the business renewal process. The City is projecting business license fees to be very close to
$1M by the end of the year.
Building Permits and
Development Service Fees
Current Month Actual: $401K
YTD Actual: $1.8M
Budgeted YTD: $2.2M
Prior Year Same Month: $437K
Prior Year YTD: $2M
Year‐to‐Year Monthly Variance:
‐$36K, ‐8%
Year‐to‐Year YTD Variance:
‐$222K, ‐11%
Actual‐to‐Budget Monthly
Variance: ‐$144K, ‐26%
Actual‐to‐Budget YTD Variance:
‐$399K, ‐18%
The City is projecting building permits and development services fees to be $4.1M by the end of the year.
2018 2019 2019
Actual Budget Actual $ % $ %
Jan 574,453$ 189,046 281,106$ (293,347)$ ‐51% 92,060$ 49%
Feb 208,947 92,184 348,391 139,444 67% 256,207 278%
Mar 41,777 27,476 115,148 73,371 176% 87,672 319%
Apr 34,897 62,914 60,577 25,679 74% (2,337) ‐4%
May 33,623 51,500 34,260 637 2% (17,240) ‐33%
Jun 30,721 20,877 ‐
Jul 16,354 64,859 ‐
Aug 15,778 38,094 ‐
Sep 8,889 20,772 ‐
Oct 10,260 57,560 ‐
Nov 7,950 29,374 ‐
Dec 54,000 40,800 ‐
YTD Total 893,697$ 423,119$ 839,482$ (54,215)$ ‐6% 416,362$ 98%
Annual Total 1,037,650$ 695,455$
*Total Business License (GF & CIP)
2019 vs. 2018
Year to Date through May
2019 vs. Budget
Business Licenses*
Month
2018 2019 2019
Actual Budget Actual $ % $ %
Jan 314,626$ 388,426$ 317,466$ 2,839$ 1% (70,960)$ ‐18%
Feb 280,745 304,673 397,742 116,997 42% 93,069 31%
Mar 588,527 598,844 338,320 (250,207) ‐43% (260,524) ‐44%
Apr 403,892 365,844 348,901 (54,991) ‐14% (16,943) ‐5%
May 436,943 544,326 400,592 (36,351) ‐8% (143,734) ‐26%
Jun 363,521 532,521
Jul 484,920 410,225
Aug 411,236 463,122
Sep 342,301 431,287
Oct 453,317 430,456
Nov 297,467 423,510
Dec 272,733 330,035
YTD Total 2,024,732$ 2,202,113$ 1,803,020$ (221,713)$ ‐11% (399,093)$ ‐18%
Annual Total 4,650,227$ 5,223,637$
Year to Date through May
2019 vs. Budget2019 vs. 2018
Month
Building Permits and Development Service Fees
City of Renton, Washington
Page 6 of 15
Monthly Financial Report May 2019
Intergovernmental
These revenue
sources include
federal (direct and
indirect) grants, state
grants, state shared
revenues, local
grants, and
entitlements. State
shared revenues 91%
of the total revenues
in this category. The year‐to‐date total Intergovernmental revenue is $3.1M or 40% of the budget.
State Shared
Revenues
YTD Total: $2.6M
Year‐to‐Year YTD
Variance: $136K, 5%
Actual‐to‐Budget YTD
Variance: $236K, 10%
The higher than
expected collection is
due to collecting
more than
anticipated Criminal
Justice’s Sales Tax,
Marijuana Distribution, and Liquor Excise Tax. The City is projecting state shared revenues to be $6.7M at the end of the
year.
Charges for Services
These revenue sources consist of general government, public safety, plan review and inspection, culture and recreation, and
interfund/interdepartmental sales and services. Recreation and interfund/interdepartmental sales and services constitute
59% of the total revenue in this category. The year‐to‐date total charges for services are $3.7M or 39% of the budget. The
following sections provide detail information for Public Safety, Recreation, and Interfund Services.
Public Safety Services
YTD Total: $454K
Year‐to‐Year YTD Variance:
‐$50K, ‐10%
Actual‐to‐Budget YTD Variance:
$79K, 21%
The city is projecting public
safety service revenues to be
close to $1M by the end of the
year.
Intergovernmental 2018 2019 Bgt YTD Act Change 2019/2018 2019 Act vs Bgt
Fire District #25 ‐$ ‐$ ‐$ ‐$ N/A $ ‐ N/A
Fire District #40 178,830 186,030 186,030 7,200 4%‐ 0%
State Shared Revenue 2,504,803 2,404,623 2,640,965 136,162 5% 236,341 10%
Federal Grants 56,404 83,510 38,314 (18,090) ‐32% (45,196) ‐54%
State Grants 16,651 21,596 21,596 4,945 30%‐ 0%
Other Grants/Intgovt 93,330 214,205 214,362 121,032 130%156 0%
ARRA Grants ‐ ‐ ‐ ‐ N/A ‐ N/A
Total Rev YTD 2,850,018$ 2,909,964$ 3,101,266$ 251,248$ 9%191,301$ 7%
Total Rev Annual 7,680,968$ 7,744,703$
YTD %37% 38% 40%
Note: Includes CJ Sales Tax and FD25 & FD40 contracts
2018 2019 2019
Actual Budget Actual $ % $ %
Crim Just Sales Tax 1,225,590$ 1,154,703$ 1,297,009$ 71,418$ 6% 142,306$ 12%
Judicial Contribution 5,517 2,815 10,830 5,313 96% 8,015 285%
Crim Just ‐ High Crime 136,534 134,686 147,980 11,447 8% 13,294 10%
Crim Just ‐ Pop 14,555 12,090 15,185 630 4% 3,095 26%
Crim Just ‐ Spec Prog 52,729 54,012 54,774 2,045 4% 763 1%
State DUI 7,592 8,917 7,571 (21) 0% (1,346) ‐15%
Marijuana Distribution ‐ ‐ 52,766 52,766 100% 52,766 100%
Liquor Profits 212,768 212,547 212,201 (567) 0% (346) 0%
Liquor Excise Tax 259,876 246,897 285,257 25,381 10% 38,360 16%
Fuel Tax 589,642 577,957 557,391 (32,251) ‐5% (20,565) ‐4%
YTD Total 2,504,803$ 2,404,623$ 2,640,965$ 136,162$ 5% 236,341$ 10%
Annual Total 6,710,599$ 6,182,479$
State Shared Revenues
2019 vs. 2018
Revenue
Year to Date through May
2019 vs. Budget
2018 2019 2019
Actual Budget Actual $ % $ %
Jan 224,932$ 118,906$ 68,958$ (155,975)$ ‐69% (49,949)$ ‐42%
Feb 60,888 53,255 132,287 71,398 117% 79,032 148%
Mar 82,789 95,130 82,273 (515) ‐1% (12,856) ‐14%
Apr 58,572 49,301 106,334 47,762 82% 57,034 116%
May 77,233 57,962 64,065 (13,169) ‐17% 6,103 11%
Jun 84,800 52,671 ‐
Jul 92,695 62,686 ‐
Aug 50,236 44,525 ‐
Sep 78,189 54,283 ‐
Oct 187,194 98,316 ‐
Nov 68,008 59,896 ‐
Dec 142,886 93,904 ‐
YTD Total 504,415$ 374,553$ 453,916$ (50,499)$ ‐10% 79,363$ 21%
Annual Total 1,208,422$ 840,835$
2019 vs. Budget
Month
2019 vs. 2018
Year to Date through May
Public Safety Services
City of Renton, Washington
Page 7 of 15
Monthly Financial Report May 2019
Recreation
Current Month Actual: $97K
YTD Total: $415K
Budgeted YTD: $461K
Prior Year Same Month: $83K
Prior Year YTD Total: $399K
Year‐to‐Year Monthly Variance:
$14K, 17%
Year‐to‐Year YTD Variance:
$16K, 4%
Actual‐to‐Budget Monthly
Variance: $2K, 3%
Actual‐to‐Budget YTD Variance:
‐$46K, ‐10%
The new recreation software,
PerfectMind, follows GAAP revenue recognition principles where revenue is not recognized until the service is performed,
whereas the previous software recognized all revenue at the date of the transaction. As a result, actual revenue for 2019
will likely lag behind 2018 amounts as revenue for course programming will not fully be recognized until each session of the
program occurs. The City is projecting recreation revenues to be under budget by the end of the year.
Interfund Services
YTD Total: $1.7M
Year‐to‐Year YTD Variance:
$20K, 1%
Actual‐to‐Budget YTD Variance:
‐$251K, ‐13%
2019’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. The City is projecting interfund
service revenues to be $4.2M at year‐end.
2018 2019 2019
Actual Budget Actual $ % $ %
Jan 138,388$ 164,609$ 63,819$ (74,569)$ ‐54% (100,790)$ ‐61%
Feb 51,694 51,039 81,045 29,351 57% 30,006 59%
Mar 55,300 68,349 97,206 41,907 76% 28,858 42%
Apr 70,321 82,168 75,539 5,219 7% (6,628) ‐8%
May 82,814 94,662 97,107 14,293 17% 2,445 3%
Jun 191,108 194,998 ‐
Jul 419,790 510,833 ‐
Aug 313,627 394,016 ‐
Sep 76,421 119,972 ‐
Oct 72,092 68,624 ‐
Nov 37,924 54,491 ‐
Dec (104) 25,954 ‐
YTD Total 398,516$ 460,826$ 414,716$ 16,200$ 4% (46,110)$ ‐10%
Annual Total 1,509,375$ 1,829,714$
2019 vs. Budget2019 vs. 2018
Month
Recreation
Year to Date through May
2018 2019 2019
Actual Budget Actual $ % $ %
Jan 341,804$ 399,551$ 355,266$ 13,461$ 4% (44,286)$ ‐11%
Feb 344,339 399,551 340,799 (3,540) ‐1% (58,752) ‐15%
Mar 378,470 399,551 341,533 (36,937) ‐10% (58,018) ‐15%
Apr 332,894 399,551 365,875 32,981 10% (33,677) ‐8%
May 328,765 399,551 342,950 14,185 4% (56,601) ‐14%
Jun 320,735 399,551 ‐
Jul 236,427 399,551 ‐
Aug 313,949 399,551 ‐
Sep 314,193 399,551 ‐
Oct 330,901 399,551 ‐
Nov 332,981 399,551 ‐
Dec 324,948 399,551 ‐
YTD Total 1,726,273$ 1,997,757$ 1,746,423$ 20,150$ 1% (251,334)$ ‐13%
Annual Total 3,900,407$ 4,794,617$
2019 vs. Budget
Month
Interfund Services
Year to Date through May
2019 vs. 2018
City of Renton, Washington
Page 8 of 15
Monthly Financial Report May 2019
Fines and Penalties
YTD Total: $1.8M
Year‐to‐Year YTD Variance:
$800K, 76%
Actual‐to‐Budget YTD Variance:
$586K, 46%
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 City is projecting
fines and penalties to be close
to $5M by the end of the year.
Year to Date through May
2018 2019 2019
Actual Budget Actual $ % $ %
Civil Penalties 532$ 797$ 486$ (46)$ ‐9% (311)$ ‐39%
Civil Infraction Penalties 120,460 118,727 101,133 (19,327) ‐16% (17,594) ‐15%
Civil Parking Infraction Penalties 59,926 97,269 57,619 (2,308) ‐4% (39,650) ‐41%
Photo Enforcement Program 764,813 937,793 1,566,988 802,175 105% 629,195 67%
Criminal Traffic Misdemeanor Fines 26,617 27,730 23,405 (3,212) ‐12% (4,325) ‐16%
Criminal Non‐Traffic Fines 31,352 10,506 47,367 16,015 51% 36,861 351%
Criminal Costs 33,170 8,883 36,590 3,420 10% 27,707 312%
Non‐Court Fines, Forfeitures and Penalties 10,376 59,649 13,615 3,239 31% (46,034) ‐77%
YTD Total 1,047,246$ 1,261,354$ 1,847,203$ 799,956$ 76% 585,848$ 46%
Annual Total 4,273,192$ 4,407,750$
Revenue
2019 vs. Budget
Fines and Penalties by Type
2019 vs. 2018
Included in the Fines and Penalties annual
revenue budget is $3.4M 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 $1.6M.
The associated costs includes the equipment
provided by American Traffic Solutions, Inc.
(ATS), dedicated 2 FTE in the Court Services
Department to process the increased
caseload. This staff time, along with a 50%
pro tem budget and interpreter costs
amounts to $334K for personnel costs. The
total costs for the program equates to
$1.5M, which is represented in the table.
2018 2019 2019
Actual Budget Actual $ % $ %
Jan 141,625$ 178,864$ 218,190$ 76,565$ 54% 39,326$ 22%
Feb 224,814 265,241 341,345 116,531 52% 76,104 29%
Mar 312,111 309,356 555,275 243,163 78% 245,919 79%
Apr 137,934 229,161 445,418 307,484 223% 216,257 94%
May 230,762 278,733 286,975 56,213 24% 8,242 3%
Jun 235,311 325,296
Jul 451,443 428,149
Aug 624,200 550,932
Sep 461,645 419,044
Oct 582,058 530,312
Nov 465,852 432,399
Dec 405,436 460,264
YTD Total 1,047,246$ 1,261,354$ 1,847,203$ 799,956$ 76%585,848$ 46%
Annual Total 4,273,192$ 4,407,750$
Month
2019 vs. Budget2019 vs. 2018
Year to Date through May
Fines and Penalties by Month
Favorable
19 Budget 19 Actual 19 Budget 19 Actual (Unfavorable)
1
Jan 162,639$ 214,193$ 125,844$ 28,745$ 185,448$
Feb 187,840 285,643 125,844 128,014 157,629
Mar 199,988 399,499 125,844 128,001 271,498
Apr 174,391 387,303 125,844 128,011 259,292
May 212,936 280,350 125,844 128,010 152,340
Jun 231,485 ‐ 125,844 ‐ ‐
Jul 349,711 ‐ 125,844 ‐ ‐
Aug 442,497 ‐ 125,844 ‐ ‐
Sep 341,229 ‐ 125,844 ‐ ‐
Oct 439,665 ‐ 125,844 ‐ ‐
Nov 354,895 ‐ 125,844 ‐ ‐
Dec 334,129 ‐ 125,844 ‐ ‐
YTD Total 937,793$ 1,566,988$ 629,218$ 540,781$ 1,026,207$
Annual Total 3,431,405$ 1,510,123$
1Actuals of Revenues and Expenses
Photo Enforcement Program
Year to Date through May
Month
Revenues Expenses
City of Renton, Washington
Page 9 of 15
Monthly Financial Report May 2019
Miscellaneous
YTD Total: $1.1M
Year‐to‐Year YTD Variance:
$19K, 2%
Actual‐to‐Budget YTD Variance:
$455K, 65%
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 table below
shows the primary drivers of
the positive variances for each
month.
2018 2019 2019
Actual Budget Actual $ % $ %
Interests and Other Earnings 423,774$ 268,769$ 558,034$ 134,260$ 32% 289,265$ 108%
Rents, Leases, and Concessions 287,189 246,088 318,645 31,456 11% 72,557 29%
Contributions/Donations from Private Sources 59,465 51,546 109,295 49,830 84% 57,748 112%
Other 116,389 128,753 143,526 27,137 23% 14,773 11%
Seizure Funds ‐ Federal/State/Local 244,066 ‐ 20,280 (223,785) ‐92% 20,280 100%
YTD Total 1,130,883$ 695,157$ 1,149,781$ 18,898$ 2% 454,624$ 65%
Annual Total 2,666,594$ 1,805,787$
2019 vs. Budget
Miscellaneous Revenues by Type
Year to Date through May
Revenue
2019 vs. 2018
2018 2019 2019
Actual Budget Actual $ % $ %
Jan 262,690$ 224,737$ 299,507$ 36,817$ 14% 74,770$ 33%
Feb 150,608 105,310 254,172 103,564 69% 148,862 141%
Mar 178,170 126,975 195,180 17,010 10% 68,206 54%
Apr 152,700 122,387 193,402 40,702 27% 71,015 58%
May 386,715 115,748 207,520 (179,195) ‐46% 91,772 79%
Jun 193,674 146,379
Jul 221,279 169,055
Aug 275,725 179,979
Sep 164,873 124,092
Oct 200,817 125,836
Nov 174,068 112,093
Dec 305,276 253,195
YTD Total 1,130,883$ 695,157$ 1,149,781$ 18,898$ 2%454,624$ 65%
Annual Total 2,666,594$ 1,805,787$
Year to Date through May
Month
2019 vs. Budget2019 vs. 2018
Miscellaneous Revenues by Month
City of Renton, Washington
Page 10 of 15
Monthly Financial Report May 2019
EXPENSES
Overall, the City has expended 34.9% of its budgeted general governmental expenditures at the end of May. This is $1.4M
or 3.4% below year‐to‐date budgeted expenditures. The City did not have any general governmental departments over
budget but we did see some divisions within those departments over budget. Please refer to the General Governmental
Funds Summary of Sources and Uses table on page 1 for details.
City of Renton, Washington
Page 11 of 15
Monthly Financial Report May 2019
ENTERPRISE FUNDS
The table below gives an analysis of all City Enterprise funds. Displayed are the year‐to‐date revenues and expenditures for
each enterprise. Included in each funds are the capital revenues and expenditures. The negative fund balance for Golf Course
will be positive during the summer months.
Airport Golf Course Solid Waste
Utility Water Utility Wastewater
Utility
Surface Water
Utility Metro
REVENUES:
Licenses and permits ‐ ‐ ‐ ‐ 46,325 17,100 ‐
Grants / intergovernmental 49,750 ‐ 167,153 ‐ ‐ 693,724 ‐
Charges for services 128,497 654,156 7,476,897 6,238,752 4,503,083 4,977,732 7,135,437
Interdepartmental services ‐ ‐ ‐ ‐ ‐ ‐ ‐
Fines and penalties 617 ‐ ‐ ‐ 481 ‐ ‐
Rents, leases, and misc fees 1,099,989 136,293 ‐ 77,485 ‐ ‐ ‐
Interest and other misc 32,108 3,976 17,055 435,411 293,978 174,732 38,698
TOTAL REVENUES 1,310,961 794,425 7,661,105 6,751,648 4,843,867 5,863,288 7,174,135
EXPENSES:
Utility billing ‐ ‐ 17,658 61,892 50,940 75,387 ‐
Utility systems ‐ ‐ 8,172,064 1,751,521 1,595,291 1,454,263 ‐
Utility maintenance ‐ ‐ 161,615 2,389,146 865,420 1,302,243 7,025,508
Transportation 771,956 ‐ ‐ ‐ ‐ ‐ ‐
Golf ‐ 943,333 ‐ ‐ ‐ ‐ ‐
TOTAL EXPENSES 771,956 943,333 8,351,337 4,202,559 2,511,651 2,831,893 7,025,508
AMOUNT AVAILABLE FOR DEBT
SERVICE 539,005 (148,908) (690,232) 2,549,089 2,332,216 3,031,395 148,627
DEBT SERVICE:
Principal ‐ ‐ ‐ ‐ ‐ ‐ ‐
Interest ‐ ‐ ‐ ‐ ‐ 216,669 ‐
TOTAL DEBT SERVICE ‐ ‐ ‐ ‐ ‐ 216,669 ‐
CAPITAL PROJECTS 68,923 14,140 ‐ 1,361,907 1,421,276 1,063,999 ‐
TRANSFERS IN/(OUT)‐ ‐ ‐ ‐ 27,588 6,378 ‐
CHANGE IN FUND BALANCE 470,082 (163,048) (690,232) 1,187,182 938,528 1,757,105 148,627
BEGINNING FUND BALANCE, Jan 1 4,985,377 110,812 2,276,333 38,002,973 18,879,201 16,356,030 5,512,418
ENDING FUND BALANCE, May 31 5,455,459 (52,236) 1,586,101 39,190,155 19,817,729 18,113,135 5,661,045
City of Renton, Washington
Page 12 of 15
Monthly Financial Report May 2019
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 ‐ 132,912 ‐ ‐ ‐ ‐ ‐
Grants / intergovernmental ‐ ‐ ‐ ‐ ‐ ‐ 35,898
Charges for services
Equipment rental m&o 1,012,172 2,068,517 ‐ ‐ ‐ ‐ ‐
Print and mail ‐ ‐ ‐ 186,201 ‐ ‐ ‐
Communications ‐ 1,462 ‐ 274,111 ‐ ‐ ‐
Facilities ‐ ‐ 1,801,717 ‐ ‐ ‐ ‐
Data cards and cell phones ‐ ‐ ‐ ‐ ‐ ‐ ‐
IT service contracts ‐ ‐ ‐ ‐ ‐ ‐ ‐
Interest and other misc 39,897 23,871 8,349 4,107 111,519 27,820 85,784
Internal service fund misc:
Vehicle / equipment capital recovery 1,238,156 ‐ ‐ ‐ ‐ ‐ ‐
Insurance premiums ‐ ‐ ‐ ‐ 703,604 ‐ ‐
Worker's comp/unemployment ‐ ‐ ‐ ‐ 578,313 ‐ ‐
Benefit premiums ‐ ‐ ‐ ‐ ‐ 4,203,751 1,093,616
Other misc 4,332 650 61,773 ‐ ‐ 424,382 ‐
Interfund Loan ‐ ‐ ‐ ‐ ‐ ‐ ‐
Capital contributions ‐ ‐ ‐ ‐ ‐ ‐ ‐
Disposal of capital assets 4,186 ‐ ‐ ‐ ‐ ‐ ‐
Insurance recoveries ‐ ‐ ‐ ‐ 94,086 ‐ ‐
TOTAL REVENUES 2,298,743 2,227,412 1,871,840 464,419 1,487,522 4,655,953 1,215,298
EXPENSES:
Communications 246,825
Equipment rental 1,202,897
Facilities 2,062,207
Healthcare 4,134,561
Information technology 2,224,436
Print and mail 196,281
Retiree healthcare 316,261
Risk management:
Risk management 643,168
Unemployment 22,347
Worker's compensation 363,608
TOTAL EXPENSES 1,202,897 2,224,436 2,062,207 443,106 1,029,123 4,134,561 316,261
AMOUNT AVAILABLE FOR CAPITAL 1,095,846 2,976 (190,368) 21,313 458,399 521,392 899,037
CAPITAL PROJECTS 652,439 44,934 10,901 ‐ ‐ ‐ ‐
TRANSFERS IN ‐ 37,806 12,389 ‐ ‐ ‐ ‐
TRANSFERS (OUT)‐ ‐ (5,220) ‐ ‐ ‐ ‐
CHANGE IN FUND BALANCE 443,407 (4,152) (194,100) 21,313 458,399 521,392 899,037
BEGINNING FUND BALANCE, Jan 1 6,493,018 3,934,408 1,376,859 685,593 18,522,154 4,259,511 13,876,628
ENDING FUND BALANCE, May 31 6,936,425 3,930,256 1,182,759 706,906 18,980,553 4,780,903 14,775,665
City of Renton, Washington
Page 13 of 15
Monthly Financial Report May 2019
FUND BALANCE
Page 15 shows the ending fund balance as of May 2019. 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 May, the City has $59.7M reported in the combined general governmental fund balance of the current year’s
operating budget, which is approximately 54.1% of budgeted operating expenditures. This is an increase of $13.5M from the
year’s beginning balance. May’s ending fund balance is over the anticipated General Governmental Fund Balance of $49.3M
by $10.5M or 21.2%. Although the ending fund balance is above projections, it is consistent with the prior years’ trends and
consistent with the forecast (Long Range Plan) that was presented as part of the 2019/2020 Adopted Budget.
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 kroller@rentonwa.gov.
City of Renton, Washington
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Monthly Financial Report May 2019
City of Renton
All Funds ‐ Revenue, Expenditures and Fund Balances
Cash Basis through May 31, 2019
Funds
Balance
01/01/2019
Budgeted
Revenue
Revenue
05/31/19
Total Funds
Available
Budgeted
Expenditure
Expenditure
05/31/19 Ending Balance
GENERAL FUND: 46,198,341 106,681,205 52,046,897 98,245,238 110,358,241 38,532,176 59,713,062
SPECIAL REVENUE FUNDS: 2,527,377 1,880,224 950,299 3,477,676 2,287,870 429,408 3,048,268
102 Arterial Street 163,671 700,000 263,920 427,591 700,000 ‐ 427,591
108 Leased City Properties 651,819 842,550 414,980 1,066,799 1,007,970 266,868 799,931
110 Hotel Motel 722,387 225,000 182,407 904,794 406,547 92,103 812,691
125 1% For Art 119,446 15,000 662 120,108 67,679 50,683 69,425
127 Cable Communication 529,159 97,674 86,276 615,435 105,674 19,754 595,681
135 Springbrook Wetlands Bank 340,895 ‐ 2,054 342,949 ‐ ‐ 342,949
CAPITAL PROJECT FUNDS (CIP):40,766,600 41,665,286 26,022,357 66,788,957 68,558,358 6,874,814 59,914,143
303 Community Services Mitigation 2,578,256 86,500 158,286 2,736,542 1,629,000 ‐ 2,736,542
304 Fire Mitigation 1,455,669 99,000 56,425 1,512,094 128,576 ‐ 1,512,094
305 Transportation Mitigation 3,332,524 1,020,000 339,408 3,671,932 1,950,000 ‐ 3,671,932
316 Municipal Facilities CIP 20,675,238 5,682,500 16,026,386 36,701,624 26,314,513 4,998,747 31,702,877
317 Transportation CIP 5,492,313 34,777,286 9,360,811 14,853,124 38,488,869 1,724,646 13,128,478
326 Housing Opportunity 2,582,203 ‐ 15,557 2,597,760 47,400 23,131 2,574,629
336 New Library Development 456,591 ‐ 2,736 459,327 ‐ ‐ 459,327
346 New Family First Center Dvlpmnt 4,193,806 ‐ 62,748 4,256,554 ‐ 128,290 4,128,264
ENTERPRISE FUNDS:86,123,144 93,422,362 34,464,166 120,587,310 146,260,193 30,815,920 89,771,390
4X2 Airport Operating & CIP 4,985,377 3,573,435 1,310,962 6,296,339 7,638,469 840,880 5,455,459
403 Solid Waste Utility 2,276,333 19,505,719 7,661,105 9,937,438 19,341,752 8,351,336 1,586,102
4X4 Golf Operating & CIP 110,812 2,445,053 824,424 935,236 2,346,727 987,473 (52,237)
4X5 Water Operating & CIP 38,002,973 18,841,192 6,751,649 44,754,622 48,759,844 5,564,467 39,190,155
4X6 Waste Water Operating & CIP 18,879,201 11,582,615 4,872,223 23,751,424 24,716,488 3,933,695 19,817,729
416 King County Metro 5,512,418 16,922,613 7,174,136 12,686,554 16,922,613 7,025,508 5,661,046
4X7 Surface Water Operating & CIP 16,356,030 20,551,735 5,869,667 22,225,697 26,534,300 4,112,561 18,113,136
INTERNAL SERVICE FUNDS: 49,148,171 35,746,176 14,271,381 63,419,552 40,081,327 12,126,085 51,293,467
501 Equipment Repair/Replacement 6,493,018 7,689,395 2,298,742 8,791,760 9,024,476 1,855,336 6,936,424
502 Insurance 18,522,154 3,343,143 1,487,523 20,009,677 4,214,868 1,029,123 18,980,554
503 Information Services 3,934,408 6,044,888 2,265,218 6,199,626 7,545,964 2,269,370 3,930,256
504 Facilities 1,376,859 5,293,899 1,884,228 3,261,087 5,562,085 2,078,328 1,182,759
505 Communications 685,593 1,105,816 464,419 1,150,012 1,100,667 443,106 706,906
512 Insurance, Healthcare 4,259,511 11,027,762 4,655,953 8,915,464 11,655,086 4,134,561 4,780,903
522 Insurance, Leoff1 Retirees HC 13,876,628 1,241,273 1,215,298 15,091,926 978,181 316,261 14,775,665
FIDUCIARY FUNDS:7,146,983 468,000 191,997 7,338,980 210,475 82,747 7,256,233
611 Firemen's Pension 7,146,983 468,000 191,997 7,338,980 210,475 82,747 7,256,233
TOTAL FUNDS 231,910,616 279,863,253 127,947,097 359,857,713 367,756,464 88,861,150 270,996,563
City of Renton, Washington
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