March 31, 2009

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MEMORANDUM Finance Department 2. Total operating expenditures not including capital or debt are 6% or $70,000 higher than the same period last year. The Wastewater operations division has seen significant increase in expenditures relating to the cost of transmitting wastewater to the City of Lake Worth. The cost per thousand gallons in FY 08 was $1.39. In FY 09, that cost increased to $2.26. 3. Net income for the period is $6,000, compared to a net income of $300,000 last year.

TRANSPORTATION FUND 1. Total revenues for the period are down $14,000 compared to the same period last year. This is partly due to the reduction in gas tax revenue and unrealized loss on investments. 2. Operating expenditures have increased by $3,254 or 6%. The increase was for the engineering report on drainage along Hypoluxo Island. 3. Net loss for the period is $129,000 compared to a net loss of $114,500 last year. However, the budgeted transfer of $350k from the General Fund will be prepared in May.

INVESTMENT REPORT Income from investments continues to decrease as the market mirrors the Fed’s action of reducing interest rates to almost zero. Currently, the Town’s funds are in LGIP, Sterling Bank, and SunTrust, with the majority in SunTrust. Both SunTrust and Sterling banks are participants in the Qualified Pubic Depository (QPD) program whereby our funds are guaranteed 100% above the $250k insured by the FDIC. Additionally, a new SunTrust account was opened due to a program they were offering where the Town is able to recognize increased investment yield while having 100% safety in the QPD program.

OTHER FUNDS This report does not incorporate some of the Town’s smaller special revenue and internal service funds. These funds include the following funds: Recreation, Police Education, Police Forfeiture, Grants, and Insurance. If you would like a review of these funds, please contact me (561) 540-5035.

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MEMORANDUM Finance Department STATE BOARD OF ADMINISTRATION LOCAL GOVERNMENT INVESTMENT POOL (LGIP) We are currently monitoring the daily activity of the LGIP. At the end of March, we had $505,178 in the pool which is liquid and available for withdrawal. It is recommended to leave these funds in this investment as a part of geographical diversification. In Pool B, the Town’s balance was $425,728 which is not liquid and is not available for withdrawal. Unfortunately, the unrealized loss fiscal yearto-date is $172,346 – Q1 FY-T-D was $147,410.

I hope this will be helpful to you, and as always, if you have any questions please do not hesitate to contact me.

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TOWN OF LANTANA, FLORIDA General Fund Balance Sheet (unaudited) March 31, 2009 Current Year Assets and Other Debits: Assets: Cash and cash equivalents Investments Accounts Inventory Due from other funds Accrued revenues Other Total assets and other debits

$

$

Liabilities, Equity and Other Credits: Liabilities: Accounts payable Other liabilities Payable from restricted assets: Accrued wages payable Revenue refunding bonds Deferred revenue Total liabilities Fund balances: Reserved for Encumbrances Designated for subsequent year's expenditures Undesignated Total equity and other credits Total liabilities, equity and other credits

-4-

$

6,167,381 4,451,755 (32,157) 12,364 309,384 64,368 10,973,095

Prior Year

$

$

8,549,487 4,223,805 33,568 11,795 287,497 75,049 13,181,201

195,419 8,161

48,991 9,725

82,894 286,474

106,575 165,291

387,465 -

266,741 -

10,299,156 10,686,621 10,973,095

12,749,169 13,015,910 13,181,201

$

TOWN OF LANTANA, FLORIDA General Fund Statement of Revenues, Expenditures and Changes in Fund Balance – Budget and Actual (unaudited) Period Ended March 31, 2009

Revenues: Taxes Licenses and permits Intergovernmental Charges for services Fines and forfeitures Miscellaneous Use of Fund Balance Total revenues Expenditures: Current: General government Public safety Development services Physical environment Culture and recreation Capital outlay Debt service: Principal & Interest General contingency Total expenditures Deficiency of revenues under expenditures Other financing sources: Sale of general fixed assets Operating transfers in Operating transfers out Use of Fund Balance-capital carryfwd Capital lease/Loan Proceeds Total other financing sources Deficiency of revenues and other financing sources under expenditures

Variance Favorable (Unfavorable)

Prior Year Actual

Budget

Actual

$ 5,245,000 390,750 1,151,000 1,361,830 248,000 680,570 1,803,099 10,880,249

$ 3,528,983 258,076 386,753 876,060 198,411 197,625 5,445,908

1,022,347 4,064,080 657,451 925,281 1,863,994 2,881,744

390,341 1,926,099 295,862 378,274 751,013 1,837,630

632,006 2,137,981 361,589 547,007 1,112,981 1,044,114

334,205 3,422,674 397,541 457,163 755,143 186,421

122,500 100,000 11,637,397

60,979 5,640,198

61,521 100,000 5,997,199

145,346 5,698,493

562,858

2,729,457

(757,148)

(194,290)

(350,000) 1,107,148 757,148

11,000 11,000

-

Fund balance, beginning of year

(183,290) 10,869,911 $ 10,686,621

FUND BALANCE, END OF PERIOD

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$ (1,716,017) (132,674) (764,247) (485,770) (49,589) (482,945) (3,631,242)

11,000 350,000 (1,107,148) (746,148)

$ 6,184,463 306,100 475,829 869,678 124,272 467,608 8,427,950

7,018 7,018 2,736,475 10,279,435 $ 13,015,910

TOWN OF LANTANA, FLORIDA General Fund Schedule of Revenues and Other Financing Sources – Budget and Actual (unaudited) Period Ended March 31, 2009

Budget

Actual

$ 3,130,000 760,000 940,000 415,000 5,245,000

$ 2,704,908 256,177 388,316 179,582 3,528,983

219,000 171,750 390,750

Intergovernmental revenues: Insurance Premium Tax-Police State revenue sharing Mobile home licenses Alcoholic beverage licenses Local government ½ cent sales tax Government grants Total intergovernmental revenues Charges for services: Sanitation and waste removal Recycling fees Public Safety Nature Preserve Maintenance Total charges for services

Taxes: Ad Valorem taxes Franchise taxes Utility service taxes Local Communications Services Tax Total taxes

Variance Favorable (Unfavorable) (425,092) (503,823) (551,684) (235,418) (1,716,017)

$ 5,431,145 216,515 399,294 137,509 6,184,463

199,870 58,206 258,076

(19,130) (113,544) (132,674)

203,370 102,730 306,100

110,000 300,000 10,000 9,000 700,000 22,000 1,151,000

145,709 21,301 215,706 4,037 386,753

(110,000) (154,291) 11,301 (9,000) (484,294) (17,963) (764,247)

162,620 23,773 251,021 38,415 475,829

718,000 97,000 500,330 46,500 1,361,830

314,877 42,657 495,083 23,443 876,060

(403,123) (54,343) (5,247) (23,057) 485,770

336,231 44,848 465,839 22,760 869,678

Fines and forfeitures

248,000

198,411

(49,589)

124,272

Miscellaneous revenues: Interest Beach parking Contributions Leases Chancellor Academy Other Total miscellaneous revenues

390,000 187,200 4,500 73,920 14,950 10,000 680,570

24,209 79,756 4,500 54,897 14,954 19,309 197,625

(365,791) (107,444) (19,023) 4 9,309 (482,945)

224,314 88,283 19,883 110,774 14,954 9,400 467,608

Other financing sources: Sale of general fixed assets Interfund Transfers Capital Carryover Use of Fund Balance Loan Proceeds Total other financing sources TOTAL REVENUES

1,107,148 1,803,099 2,910,247 $ 11,987,397

11,000 11,000 $ 5,456,908

11,000 (1,107,148) (1,803,099) (2,899,247) $ (6,530,489)

7,018 7,018 $ 8,434,968

Licenses and permits: Professional and occupational licenses Building and other permits Total licenses and permits

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$

Prior Year Actual

TOWN OF LANTANA, FLORIDA General Fund Schedule of Expenditures and Other Financing Uses – Budget and Actual (unaudited) Period Ended March 31, 2009

Actual

Budget General government: Legislative: Personal services Operating Total Legislative

$

76,830 11,700 88,530

$

41,686 4,668 46,354

Variance Favorable (Unfavorable)

$

35,144 7,032 42,176

Prior Year Actual

$

34,355 5,047 39,402

Executive: Personal services Operating Capital Total Executive

109,620 26,490 89,205 225,315

56,421 11,276 1,721 69,418

53,199 15,214 87,484 155,897

42,045 8,602 3,192 53,839

Town Clerk: Personal services Operating Capital Total Town Clerk

51,340 19,430 70,770

25,141 4,677 29,818

26,199 14,753 40,952

24,933 10,723 35,656

Financial Administration: Personal services Operating Capital Total Financial Administration

244,302 123,625 25,535 393,462

116,160 58,634 12,799 187,593

128,142 64,991 12,736 205,869

96,332 52,978 149,310

Legal Counsel: Personal services Operating Total Legal Counsel

13,720 120,395 134,115

6,972 46,441 53,413

6,748 73,954 80,702

6,168 43,659 49,827

224,895 54,980 279,875 1,192,067

18,265 18,265 404,861

206,630 54,980 261,610 787,206

9,363 9,363 337,397

Non-Departmental Personal services Operating Capital Total Non-Departmental Total General Government

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TOWN OF LANTANA, FLORIDA General Fund Schedule of Expenditures and Other Financing Uses – Budget and Actual (unaudited) Period Ended March 31, 2009

Actual

Budget Public Safety: Administration: Personal services Operating Capital Total Administration

Variance Favorable (Unfavorable)

Prior Year Actual

332,182 74,380 406,562

161,790 49,692 211,482

170,392 24,688 195,080

146,545 52,371 198,916

Uniformed Patrol: Personal services Operating Capital Total Uniformed Patrol

2,358,022 218,390 346,509 2,922,921

1,115,967 77,084 263,949 1,457,000

1,242,055 141,306 82,560 1,465,921

1,103,727 88,896 97,014 1,289,637

Services: Personal services Operating Capital Total Police Services

576,340 140,900 500,115 1,217,355

288,373 62,807 9,281 360,461

287,967 78,093 490,834 856,894

279,601 67,818 10,500 357,919

343,896 19,970 31,660 395,526

162,412 7,974 31,605 201,991

181,484 11,996 55 193,535

144,275 4,751 149,026

-

-

-

1,534,690

4,942,364

2,230,934

2,711,430

3,530,188

Uniformed Patrol (Hypoluxo): Personal services Operating Capital Total Police Services Fire Control: Operating Total Public Safety

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TOWN OF LANTANA, FLORIDA General Fund Schedule of Expenditures and Other Financing Uses – Budget and Actual (unaudited) Period Ended March 31, 2009

Actual

Budget Development Services: Administration : Personal services Operating Capital Total Administration

Variance Favorable (Unfavorable)

Prior Year Actual

160,366 14,860 175,226

77,811 5,671 83,482

82,555 9,189 91,744

76,189 73,823 150,012

Building Inspections: Personal services Operating Capital Total Building Inspections

119,211 158,890 278,101

57,576 63,166 120,742

61,635 95,724 157,359

107,531 45,872 6,661 160,064

Code Enforcement: Personal services Operating Capital Total Code Enforcement

184,424 19,700 204,124

84,051 7,587 91,638

100,373 12,113 112,486

86,669 7,457 94,126

Total Development Services

657,451

295,862

361,589

404,202

31,417 18,920 50,337

14,653 4,740 19,393

16,764 14,180 30,944

37,080 4,814 41,894

73,947 16,800 6,200 96,947

33,624 5,576 3,570 42,770

40,323 11,224 2,630 54,177

34,551 4,960 39,511

Physical Environment: Utilities Administration Personal services Operating Capital Total Public Works Administration Vehicle Maintenance: Personal services Operating Capital Total Vehicle Maintenance

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TOWN OF LANTANA, FLORIDA General Fund Schedule of Expenditures and Other Financing Uses – Budget and Actual (unaudited) Period Ended March 31, 2009

Actual

Budget

Variance Favorable (Unfavorable)

Prior Year Actual

Solid waste control services: Personal services Operating Capital Total Solid Waste Control Services

232,908 121,300 354,208

97,088 36,713 133,801

135,820 84,587 220,407

123,221 35,547 158,768

Trash Collection: Personal services Operating Capital Total Trash Collection

231,568 122,550 354,118

120,301 33,375 153,676

111,267 89,175 200,442

131,337 39,062 170,399

Recycling Collection: Personal services Operating Capital Total Recycling Collection

56,011 19,860 75,871

24,433 7,771 32,204

31,578 12,089 43,667

38,641 7,950 46,591

Total Physical Environment

931,481

381,844

549,637

457,163

Cultural and Recreation: Sports complex: Personal services Operating Capital Debt service Total Sports Complex Services

42,610 63,401 122,500 228,511

21,092 21,614 60,979 103,685

21,518 41,787 61,521 124,826

84,094 35,853 60,979 180,926

Library: Personal services Operating Capital Total library Services

112,669 48,133 25,200 186,002

51,999 21,251 11,527 84,777

60,670 26,882 13,673 101,225

61,665 22,042 10,902 94,609

Marine Services: Personal services Operating Capital Total Marine Services

301,452 23,062 6,500 331,014

144,683 7,698 152,381

156,769 15,364 6,500 178,633

166,984 8,639 175,623

385,943 366,639 1,675,030 2,427,612

193,913 83,261 1,480,704 1,757,878

192,030 283,378 194,326 669,734

95,633 113,958 58,152 267,743

Public Grounds & Forestry: Personal services Operating Capital Total Public Grounds & Forestry

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TOWN OF LANTANA, FLORIDA General Fund Schedule of Expenditures and Other Financing Uses – Budget and Actual (unaudited) Period Ended March 31, 2009

Actual

Budget Building Maintenance: Personal services Operating Capital Total Building Maintenance Miscellaneous: Holiday events Total Miscellaneous Total Culture and Recreation Debt Service Transfers Out General Contingency TOTAL EXPENDITURES

Variance Favorable (Unfavorable)

Prior Year Actual

254,176 185,909 120,810 560,895

124,707 68,339 22,474 215,520

129,469 117,570 98,336 345,375

83,107 57,434 140,541

80,000 80,000 3,814,034

12,456 12,456 2,326,697

67,544 67,544 1,487,337

25,734 25,734 885,176

350,000 100,000 $ 11,987,397

$ 5,640,198

350,000 100,000 6,347,199

84,367 5,698,493

- 11 -

$

$

TOWN OF LANTANA, FLORIDA Utility Fund Balance Sheet (unaudited) March 31, 2009 Current Year Assets and Other Debits: Assets: Cash and cash equivalents Investments Accounts receivable Restricted Assets Other Total current assets

$

Fixed assets Land Buildings Improvements Machinery and equipment Construction in progress Less accumulated depreciation Net fixed assets Unamortized bond costs Total assets and other debits

$

Liabilities, Equity and Other Credits: Liabilities: Accounts payable Notes Payable Other liabilities Payable from restricted assets: Accrued wages payable Deposits Revenue refunding bonds Deferred revenue Total liabilities Net Assets: Contributed capital Reserved Unreserved Total net assets Total liabilities, equity and other credits

$

- 12 -

5,904,126 500,454 107,008 455,521 6,967,109

Prior Year

$

5,646,593 408,293 110,682 451,046 6,616,614

4,300 942,809 19,329,291 981,272 21,257,672 (10,316,121) 10,941,551

4,300 942,809 19,307,556 1,051,680 21,306,345 (9,709,568) 11,596,777

1,766,177 19,674,837

1,933,150 20,146,541

$

359,105 2,927,389 339,596

70,476 3,159,744 177,534

141,303 160,181 6,430,000 10,357,574

120,790 151,138 6,785,000 10,464,682

2,445,897 1,997,772 4,873,594 9,317,263

2,445,897 2,195,235 5,040,727 9,681,859

19,674,837

$

20,146,541

TOWN OF LANTANA, FLORIDA Utility Fund Statement of Revenues, Expenses and Changes in Retained Earnings – Budget and Actual (unaudited) Period Ended March 31, 2009

Actual

Variance Favorable (Unfavorable)

1,033,759 1,061,865 68,545 2,164,169

$ (1,123,341) (1,323,135) (413,705) (2,860,181)

799,209 1,584,810 2,384,019

397,671 729,509 1,127,180

401,538 855,301 1,256,839

875,529

409,741

465,788

424,944

Debt Services Capital outlay

1,047,500 1,725,587 2,773,087

494,725 97,888 592,613

552,775 1,627,699 2,180,474

340,560 31,065 371,625

Total operating expenses

6,032,635

2,129,534

3,903,101

1,853,032

Budget Revenues: Water sales Wastewater sales Miscellaneous Total operating revenues Expenditures: Operating expenses Water/Sewer plant operations Personnel Current expenses Total Administrative expenses

Operating income/(loss) Non-operating revenues (expenses) Investment income Sale of assets Contingency Retained Earnings-capital carryforward Total non-operating revenues (expenses) Net income/(loss)

$

2,157,100 2,385,000 482,250 5,024,350

$

(1,008,285)

34,635

Prior YTD Actual $

965,360 1,034,421 67,694 2,067,475

439,694 616,769 1,056,463

(6,763,282)

214,443

125,000 883,285

(28,581) -

(153,581) (883,285)

85,661 -

1,008,285

(28,581)

(1,036,866)

85,661

-

Net assets, beginning Net assets, ending

6,054

$

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9,311,209 9,317,263

6,054

300,104

$

9,381,755 9,681,859

TOWN OF LANTANA, FLORIDA Utility Fund Statement of Expenditures – Budget and Actual (unaudited) Period Ended March 31, 2009

Budget Administrative Legislative: Personal services Operating Total legislative Executive: Personal services Operating Capital

$

Actual

51,205 9,300 60,505

$

27,798 4,068 31,866

Variance Favorable (Unfavorable)

$

23,407 5,232 28,639

Prior Year Actual

$

22,905 3,221 26,126

109,620 26,490 136,110

56,744 10,561 67,305

52,876 15,929 68,805

60,822 10,887 71,709

Town Clerk: Personal services Operating

33,580 14,530

16,761 3,362

16,819 11,168

16,619 6,263

Total Town Clerk

48,110

20,123

27,987

22,882

408,294 158,105 19,855 586,254

191,241 81,511 1,174 273,926

217,053 76,594 18,681 312,328

202,342 83,070 894 286,306

3,220 28,930 32,150

1,775 8,971 10,746

1,445 19,959 21,404

1,575 9,856 11,431

12,400 12,400

5,775 5,775

6,625 6,625

6,490 6,490

875,529

409,741

465,788

424,944

Total executive

Financial administration: Personal services Operating Capital Total Financial Administration Legal: Personal services Operating Total Legal Non Departmental: Personal services Operating Capital Total Non Departmental Total Administrative

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TOWN OF LANTANA, FLORIDA Utility Fund Statement of Expenditures – Budget and Actual (unaudited) Period Ended March 31, 2009

Budget Operations Utilities Administration Personal services Operating Capital

Variance Favorable (Unfavorable)

Actual

Prior Year Actual

131,211 18,920 150,131

64,061 4,688 68,749

67,150 14,232 81,382

37,085 4,945 42,030

Public Grounds & Forestry Personal services Operating Total Public Grounds & Forestry

-

-

-

40,987 25,492 66,479

Building Maintenance Personal services Operating Total Building Maintenance

-

-

-

35,628 23,673 59,301

74,017 16,730 90,747

33,623 6,566 40,189

40,394 10,164 50,558

34,542 4,511 7,565 46,618

388,522 502,300 1,182,462 2,073,284

197,209 212,769 87,685 497,663

191,313 289,531 1,094,777 1,575,621

193,422 217,797 13,159 424,378

205,459 1,046,860 543,125 1,795,444

102,778 505,486 10,203 618,467

102,681 541,374 532,922 1,176,977

98,030 340,351 10,341 448,722

Total operations

4,109,606

1,225,068

2,884,538

1,087,528

Debt Services Contingency

1,047,500 -

494,725 -

552,775 -

340,560 -

$ 6,032,635

$ 2,129,534

3,903,101

$ 1,853,032

Total Public Works Administration

Vehicle Maintenance Personal services Operating Capital Total Vehicle Maintenance Water plant operations Personal services Operating Capital Total Water plant operations Wastewater operations Personal services Operating Capital Total Wastewater operations

TOTAL EXPENDITURES

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$

TOWN OF LANTANA, FLORIDA Transportation Fund Balance Sheet (unaudited) March 31, 2009 Current Year Assets and Other Debits: Assets: Cash and cash equivalents SBA Investment Total assets and other debits

$

701,349 47,757 749,106

Prior Year

$

424,457 37,284 461,741

Liabilities, Equity and Other Credits: Liabilities: Accounts Payable Total Liabilities

984 984

-

Fund balances: Unreserved: Designated for capital improvements Undesignated Total Equity

748,122 748,122

461,741 461,741

Total Liabilities and Equity

$

- 16 -

749,106

$

461,741

TOWN OF LANTANA, FLORIDA Transportation Fund Statement of Revenues, Expenditures and Changes in Fund Balance - Budget and Actual (unaudited) Period Ended March 31, 2009

Budget

Variance Favorable (Unfavorable)

Actual

Prior Year Actual

Revenues: Intergovernmental Gasoline Tax Miscellaneous Revenue & Interest Use of Fund Balance Capital Carryover Transfers In Total Revenues

$

247,000 9,000 391,550 5,155 350,000

$

85,287 (1,695) -

$

(161,713) (10,695) -

$

92,009 5,964 -

1,002,705

83,592

(172,408)

97,973

5,155 132,000 5,600 2,300 300 60,000 2,700 600 208,655

4,735 47,571 1,975 255 120 3,352 960 321 59,289

420 84,429 3,625 2,045 180 56,648 1,740 279 149,366

46,142 1,975 1,024 120 5,624 930 220 56,035

485,550 308,500 794,050

153,789 153,789

485,550 154,711 640,261

2,580 153,789 156,369

-

-

-

-

1,002,705

213,078

938,573

212,404

(129,486)

(129,486)

(114,431)

Expenditures: Professional Services Utility Services Rentals & Leases R & M Vehicles R & M Other Equipment & Tools R & M Streets/Sidewalks Gas, Oil, Lube Vehicles Small Tools & Equipment Capital: Capital Outlay Debt Service

Designated for future use Total Expenditures Excess (deficiency) of revenues over (under) expenditures Fund balance, beginning of year

877,608

FUND BALANCE, END OF PERIOD

877,608 $

- 17 -

748,122

576,172 $

461,741

TOWN OF LANTANA, FLORIDA General, Utility, & Transportation Fund Investment Earnings Quarter Closing March 31, 2009 FLORIDA STATE BOARD OF ADMINISTRATION (SBA) *EACH ACCOUNT COMBINES POOL A AND POOL B

SBA Rate General Fund Beginning Bal.

October

November

December

January

February

March

Total

2.01%

1.42%

1.02%

0.85%

0.94%

0.86%

1.18%

395,253

Transfers In (Out) Admin. Charges Investment Earnings Ending Bal.

395,590

395,824

396,004

396,155

396,309

-

-

-

-

-

-

(1) 338

(1) 235

(1) 181

(1) 152

(1) 155

(1) 158

395,253 (6) 1,219

395,590

395,824

396,004

396,155

396,309

396,466

396,466

410,048

410,398

410,641

410,828

410,985

411,144

410,048

Utility Fund Beginning Bal. Transfers In (Out) Admin. Charges Investment Earnings Ending Bal.

-

-

-

-

-

-

(1) 351

(1) 244

(1) 188

(1) 158

(1) 161

(1) 164

(6) 1,265

410,398

410,641

410,828

410,985

411,144

411,307

411,307

15,244

15,256

15,264

15,270

15,275

15,280

15,244

-

-

-

-

-

-

-

*

Impact Fee Reserve Beginning Bal.

Transfers In (Out) Admin. Charges Investment Earnings Ending Bal.

(1) 13

(1) 9

(1) 7

(1) 6

(1) 6

(1) 6

(6) 47

15,256

15,264

15,270

15,275

15,280

15,285

15,285

61,127

61,178

61,214

61,241

61,263

61,286

61,127

-

-

-

-

-

-

-

1998 Reserve Beginning Bal. Transfers In (Out) Admin. Charges Investment Earnings Ending Bal.

(1) 52

(1) 36

(1) 28

(1) 24

(1) 24

(1) 24

(6) 189

61,178

61,214

61,241

61,263

61,286

61,310

61,310

8,969

8,976

8,980

8,983

8,986

8,988

8,969

-

-

-

-

-

-

-

RR&I Beginning Bal. Transfers In (Out) Admin. Charges Investment Earnings Ending Bal.

(1) 8 8,976

(1) 5 8,980

(1) 4 8,983

- 18 -

(1) 3 8,986

(1) 4 8,988

(1) 4 8,991

(6) 28 8,991

October

November

December

January

February

March

Total

Bond Fund Beginning Bal. Transfers In (Out) Admin. Charges Investment Earnings

37,439

37,470

37,491

37,507

37,520

37,534

37,439

-

-

-

-

-

-

-

(1) 32

Ending Bal.

(1) 22

37,470

(1) 17

37,491

(1) 14

37,507

(1) 15

37,520

(1) 15

37,534

(6) 115

37,548

37,548

SBA TOTALS Total Investment Earnings Total Admin. Charges Net Investment Earnings Investment Earnings Net of Admin. Charges General Fund Utility Fund Transportation Fund

794 (6) 788

553 (6) 547

424 (6) 418

358 (6) 351

364 (6) 358

371 (6) 365

2,863 (37) 2,826

337 420 31 788

234 291 21 547

180 222 16 418

151 187 13 351

154 190 14 358

157 194 14 365

1,213 1,504 109 2,826

Sterling Bank MMDA Investment Rate Beginning Bal.

2.90% 3,905,530

Transfers In (Out) Investment Earnings Ending Bal. General Fund Investment Earnings

2.79% 3,915,037

2.79% 3,923,305

2.79% 3,933,071

1.86% 3,941,971

1.65% 3,947,537

2.46% 3,905,530

9,508

8,268

9,766

8,900

5,566

5,652

47,659

3,915,037

3,923,305

3,933,071

3,941,971

3,947,537

3,953,189

3,953,189

9,508

8,268

9,766

8,900

5,566

5,652

47,659

SUNTRUST BANK ACCOUNTS Checking Account Earnings Investment Credit Per SunTrust General Fund Utility Fund Transportation Fund Other Funds Bank Charges

0.830% 4,823 4,421 592 219 (1,093)

0.210% 1,144 1,296 138 52 (822)

0.160% 1,074 1,038 100 38 (727)

0.360% 2,434 487 252 99 (849)

0.400% 2,335 2,296 243 99 (859)

0.400% 2,303 2,412 259 109 (833)

0.39% 14,111 11,951 1,584 616 (5,183)

8,962

1,807

1,523

2,423

4,113

4,250

23,078

Operating Water Plant Reserve

13,779,824 368,935

13,776,919 369,238

15,941,131 369,518

15,802,060 369,753

15,159,779 369,966

14,300,141 370,172

Ending Balances

14,148,759

14,146,157

16,310,649

16,171,814

15,529,745

14,670,313

8,054 2,486 256 10,797

8,112 2,606 273 10,991

Investment Earnings Checking Account Ending Balances per Statement

TOTAL INVESTMENT EARNINGS BY FUND General Fund Utility Fund Transportation Fund $

14,667 4,840 623 20,131

$

9,645 1,587 159 11,391

$

- 19 -

11,020 1,260 116 12,396

$

11,485 674 265 12,424

$

$

$

62,983 13,454 1,693 78,131

INVESTMENT EARNINGS

$20,000

$15,000

$10,000

$5,000

$0 Oct

Nov

Dec

Jan

General Fund

Utility Fund

- 20 -

Feb

Transportation Fund

Mar