File #: 17-095    Version: 1 Name: FY 2016-17 2nd Quarter Financial Report
Type: Staff Report Status: Filed
In control: City Council
Meeting Date: 3/6/2017 Final action: 3/6/2017
Enactment date: Enactment #:
Title: Staff Report for the 2nd Quarter Financial Report as of December 31, 2016 (Information Only)
Sponsors: David Baum Finance Director
Attachments: 1. 2016 Q2 2016-17 Financials Report (Draft 02-21-17).pdf
Title
Staff Report for the 2nd Quarter Financial Report as of December 31, 2016 (Information Only)

Staffreport
SUMMARY AND RECOMMENDATIONS

Staff recommends that the City Council review and accept the 2nd Quarter Financial Report as of December 31, 2016.

BACKGROUND

The Adopted Fiscal Year (FY) 2016-17 General Fund, Special Revenue Funds, and Enterprise Funds Budget guides and ensures implementation of City Council policies and priorities. The budget implements the vision and direction for the broad range of services that meet the needs of the community in accordance with City Council policy. This financial review as of December 31, 2016 provides the mid-year budget update to the City Council for the current fiscal year. Analysis of the revenues collected and all expenditures through December 31, 2016 measures operational adherence to the established budgetary allocation plan.

DISCUSSION

The adopted budget incorporates the estimated revenues and planned expenditures for all funds. The attached 2016-17 Mid-Year Financial Report as of December 31, 2016 provides revenue and expenditure summaries for the General Fund, Special Revenue Funds, Enterprise Funds, and Internal Service Funds. The following discussion focuses on variances from the revenue and expenditure plans and allocations contemplated in the budgetary allocation plan and also offers comparison to the prior year.

General Fund

The General Fund finances the operations of the City that have no special or dedicated revenue sources and pays for basic municipal services. Projected 2016-17 General Fund expenditures, which are shown as the Adjusted Budget after Council approved amendments, total $101.9 million. Expected revenues of $100.7 million, including $1.2 million contributed from fund balance, finance the anticipated expenditures.

Total mid-year revenue in 2016-17 amounts to $37.3 million or 39% of the total Adopted Budget (compared to 37% in 2015-16). Expenditures at mid-year amount to...

Click here for full text