Sept FY08 fs-GF AWS

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MEMORANDUM Finance Department approximately one month of accrued revenue to be applied back to FY08 estimated at $242,000. 2. Total operating expenditures not including capital or debt are 2% or $82,500 lower than the same period last year. No one area is directly related for the reduction, rather all departments have slowed spending to offset the revenue reduction.

TRANSPORTATION FUND 1. Total operating revenues for the period are down $31,000 compared to the same period last year. This is due to the reduction in gas tax revenue. Taxes are assessed by the gallon, not the percentage of the purchase. As demand for fuel is reduced during the current economic situation, gas tax revenue reduces in line with demand. 2. Operating expenditures have increased by $3,211 or 2%. Streets and sidewalk maintenance was reduced, while professional services increase by a similar amount.

INVESTMENT REPORT Income from investments continues to decrease as the market mirrors the Fed’s action of reducing interest rates. As you can see in this report, we removed all funds from the Florida League of Cities’ municipal trust accounts due to the volatility of the market. We may decide as the market calms to reinvest in their product. 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 program whereby our funds are guaranteed 100% above the $100k insured by the FDIC.

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.

Page 2 of 21

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 September, we had $465,037.74 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 $463,042.18 which is not liquid and is not available for withdrawal. Unfortunately, this pool reported an unrealized loss of $95,135 at the end of the fiscal year.

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

Page 3 of 21

TOWN OF LANTANA, FLORIDA General Fund Balance Sheet (unaudited using cash basis) September 30, 2008 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

$

Page 4 of 21

6,614,895 4,300,783 36,887 11,561 2,182 64,368 11,030,676

Prior Year

$

$

(403,415) 10,575,612 42,112 11,621 9,409 227 10,235,566

141,986 26,561

98,288 11,409

118,883 246,775 534,205

87,570 279,226 476,493

-

-

10,496,471 10,496,471 11,030,676

9,759,073 9,759,073 10,235,566

$

TOWN OF LANTANA, FLORIDA General Fund Statement of Revenues, Expenditures and Changes in Fund Balance Budget and Actual (unaudited using cash basis) Period Ended September 30, 2008

Actual

Budget 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

$ 8,625,550 394,000 1,278,460 1,392,490 227,300 725,598 21,630 12,665,028

$

8,420,526 397,414 1,098,559 1,359,863 218,358 813,695 12,308,415

(334,983)

$ 8,772,497 414,228 1,093,414 1,304,688 121,868 1,029,362 12,736,057

248,102 157,865 4,175 62,452 248,859 791,970

613,365 6,882,707 702,722 1,178,980 1,681,119 592,264

206,950 13,077,243

206,324 11,563,194

626 1,514,049

206,324 11,857,481

1,157,436

878,576

745,221

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

31,325 7,018 (566,528) 940,400 412,215

31,325 7,018 (566,528) (528,185)

FUND BALANCE, END OF PERIOD

(205,024) 3,414 (179,901) (32,627) (8,942) 88,097

630,285 7,127,345 794,465 953,418 1,604,531 246,826

(412,215)

Fund balance, beginning of year

$

Prior Year Actual

878,387 7,285,210 798,640 1,015,870 1,853,390 1,038,796

Deficiency of revenues under expenditures

Deficiency of revenues and other financing sources under expenditures

Variance Favorable (Unfavorable)

-

(940,400) (940,400)

30,626 (325,000) (294,374)

217,036

584,202

10,279,435 $ 10,496,471

9,174,871 $ 9,759,073

Page 5 of 21

TOWN OF LANTANA, FLORIDA General Fund Schedule of Revenues and Other Financing Sources Budget and Actual (unaudited using cash basis) Period Ended September 30, 2008

Budget

Actual

$ 6,496,550 689,000 940,000 500,000 8,625,550

$ 6,575,097 641,119 857,512 346,798 8,420,526

213,500 180,500 394,000

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) 78,547 (47,881) (82,488) (153,202) (205,024)

$ 6,851,101 643,869 864,100 413,427 8,772,497

230,932 166,482 397,414

17,432 (14,018) 3,414

224,872 189,356 414,228

109,960 365,000 25,000 12,000 745,000 21,500 1,278,460

109,961 323,426 26,072 9,067 592,462 37,571 1,098,559

1 (41,574) 1,072 (2,933) (152,538) 16,071 (179,901)

100,230 348,052 25,450 13,288 654,760 (48,366) 1,093,414

730,000 98,000 518,890 45,600 1,392,490

688,754 92,838 532,295 45,976 1,359,863

(41,246) (5,162) 13,405 376 32,627

699,287 92,777 467,872 44,752 1,304,688

Fines and forfeitures

227,300

218,358

(8,942)

121,868

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

375,000 155,000 34,028 127,620 14,950 19,000 725,598

418,700 192,823 36,019 129,878 14,954 21,321 813,695

43,700 37,823 1,991 2,258 4 2,321 88,097

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

31,325 7,018 940,400 21,630 1,000,373 $ 13,643,771

31,325 7,018 38,343 $ 12,346,758

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

Page 6 of 21

$

Prior Year Actual

(940,400) (21,630) (962,030) $ (1,297,013)

568,776 225,754 33,270 126,895 14,954 59,713 1,029,362 30,626 30,626 $ 12,766,683

TOWN OF LANTANA, FLORIDA General Fund Schedule of Expenditures and Other Financing Uses – Budget and Actual (unaudited using cash basis) Period Ended September 30, 2008

Budget General government: Legislative: Personal services Operating Total Legislative

$

71,820 12,700 84,520

Actual

$

72,392 6,241 78,633

Variance Favorable (Unfavorable)

$

(572) 6,459 5,887

Prior Year Actual

$

57,579 7,607 65,186

Executive: Personal services Operating Capital Total Executive

89,630 22,540 95,660 207,830

85,946 19,231 8,253 113,430

3,684 3,309 87,407 94,400

77,136 20,270 28,633 126,039

Town Clerk: Personal services Operating Capital Total Town Clerk

51,640 15,337 9,993 76,970

51,597 16,658 9,993 78,248

43 (1,321) (1,278)

49,414 12,915 384 62,713

Financial Administration: Personal services Operating Capital Total Financial Administration

208,740 90,820 33,910 333,470

198,717 69,827 10,673 279,217

10,023 20,993 23,237 54,253

188,131 78,623 21,026 287,780

Legal Counsel: Personal services Operating Total Legal Counsel

10,620 90,000 100,620

11,857 79,599 91,456

(1,237) 10,401 9,164

9,129 70,767 79,896

2,250 212,290 67,980 282,520 1,085,930

18,220 14,305 32,525 673,509

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

Page 7 of 21

2,250 194,070 53,675 249,995 412,421

3,375 38,419 74,854 116,648 738,262

TOWN OF LANTANA, FLORIDA General Fund Schedule of Expenditures and Other Financing Uses – Budget and Actual (unaudited using cash basis) Period Ended September 30, 2008

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

Variance Favorable (Unfavorable)

Actual

Prior Year Actual

317,430 73,000 390,430

314,065 68,288 382,353

3,365 4,712 8,077

410,176 62,749 472,925

2,520,440 189,320 116,278 2,826,038

2,462,492 198,776 97,014 2,758,282

57,948 (9,456) 19,264 67,756

2,164,540 195,463 88,433 2,448,436

-

-

-

221,284 33,719 255,003

613,410 146,620 507,765 1,267,795

554,709 140,736 18,150 713,595

58,701 5,884 489,615 554,200

370,999 113,738 7,750 492,487

335,790 19,800 355,590

316,023 20,164 336,187

3,069,400

3,052,092

17,308

3,000,563

7,909,253

7,242,509

666,744

6,978,890

Page 8 of 21

19,767 (364) 19,403

295,641 13,835 309,476

TOWN OF LANTANA, FLORIDA General Fund Schedule of Expenditures and Other Financing Uses – Budget and Actual (unaudited using cash basis) Period Ended September 30, 2008

Budget Development Services: Administration : Personal services Operating Capital Total Administration Building Inspections: Personal services Operating Capital Total Building Inspections Code Enforcement: Personal services Operating Capital Total Code Enforcement Total Development Services Physical Environment: Public Works Administration Personal services Operating Capital Total Public Works Administration Vehicle Maintenance: Personal services Operating Capital Total Vehicle Maintenance

Actual

Variance Favorable (Unfavorable)

Prior Year Actual

159,340 91,580 250,920

159,289 95,417 254,706

51 (3,837) (3,786)

152,618 70,086 1,183 223,887

257,210 92,660 8,200 358,070

227,858 110,562 7,315 345,735

29,352 (17,902) 885 12,335

208,976 86,472 295,448

181,720 16,130 197,850

181,842 19,497 201,339

(122) (3,367) (3,489)

170,162 14,408 184,570

806,840

801,780

5,060

703,905

79,480 17,370 96,850

77,786 13,887 91,673

1,694 3,483 5,177

27,857 11,599 98,749 138,205

72,850 16,570 89,420

71,992 9,997 81,989

858 6,573 7,431

68,091 9,905 26,603 104,599

Page 9 of 21

TOWN OF LANTANA, FLORIDA General Fund Schedule of Expenditures and Other Financing Uses – Budget and Actual (unaudited using cash basis) Period Ended September 30, 2008

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

Actual

Variance Favorable (Unfavorable)

Prior Year Actual

265,470 104,250 369,720

253,300 72,845 326,145

12,170 31,405 43,575

246,397 80,339 153,352 480,088

265,260 98,680 363,940

267,625 85,555 353,180

(2,365) 13,125 10,760

298,274 83,921 105,867 488,062

81,020 14,920 95,940

77,924 22,507 100,431

3,096 (7,587) (4,491)

77,632 15,746 93,378

1,015,870

953,418

62,452

1,304,332

175,900 112,720 9,000 122,500 420,120

170,299 75,143 121,957 367,399

5,601 37,577 9,000 543 52,721

254,799 102,286 974 121,957 480,016

Library: Personal services Operating Capital Total library Services

126,740 43,530 27,700 197,970

128,843 43,549 22,376 194,768

(2,103) (19) 5,324 3,202

123,231 44,163 40,198 207,592

Marine Services: Personal services Operating Capital Total Marine Services

352,650 23,210 375,860

375,432 20,190 395,622

(22,782) 3,020 (19,762)

331,058 23,611 18,387 373,056

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

209,450 410,040 104,580 724,070

187,161 246,845 58,152 492,158

22,289 163,195 46,428 231,912

190,847 234,878 128,407 554,132

Trash Collection: Personal services Operating Capital Total Trash Collection Recycling Collection: Personal services Operating Capital Total Recycling Collection Total Physical Environment Cultural and Recreation: Sports complex: Personal services Operating Capital Debt service Total Sports Complex Services

Page 10 of 21

TOWN OF LANTANA, FLORIDA General Fund Schedule of Expenditures and Other Financing Uses – Budget and Actual (unaudited using cash basis) Period Ended September 30, 2008

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

Actual

Variance Favorable (Unfavorable)

Prior Year Actual

180,210 131,940 57,730 369,880

167,258 117,377 595 285,230

12,952 14,563 57,135 84,650

175,938 129,145 56,683 361,766

87,000 87,000 2,174,900

72,434 72,434 1,807,611

14,566 14,566 367,289

71,163 71,163 2,047,725

84,450 566,528 $ 13,643,771

84,367 566,528 $ 12,129,722

83 1,514,049

84,367 325,000 $ 12,182,481

Page 11 of 21

$

TOWN OF LANTANA, FLORIDA Utility Fund Balance Sheet (unaudited using cash basis) September 30, 2008 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

6,087,831 410,048 137,724 453,951 7,089,554

Prior Year

$

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

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: Reserved for encumbrances Contributed capital Reserved Unreserved Total net assets Total liabilities, equity and other credits

$

Page 12 of 21

1,933,150 20,619,481

112,534 4,611,768 156,975 1,322,098 343 6,203,718 4,300 942,809 19,270,967 1,064,932 21,283,008 (9,008,785) 12,274,223

$

1,429,970 19,907,911

445,815 2,927,389 517,493

317,188 3,168,654 -

154,301 150,689 6,785,000 10,980,687

196,285 147,827 7,125,000 10,954,954

2,445,897 1,614,406 5,578,491 9,638,794

2,445,897 1,614,405 4,892,655 8,952,957

20,619,481

$

19,907,911

TOWN OF LANTANA, FLORIDA Utility Fund Statement of Revenues, Expenses and Changes in Retained Earnings Budget and Actual (unaudited using cash basis) Period Ended September 30, 2008

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

$

Actual

2,320,000 2,300,000 123,300 4,743,300

$

2,067,603 2,181,363 123,361 4,372,327

Variance Favorable (Unfavorable) $

(252,397) (118,637) 61 (370,973)

Prior YTD Actual $

871,260 1,716,130 2,587,390

907,136 1,490,189 2,397,325

920,750

824,854

95,896

842,276

Debt Services Capital outlay

1,047,500 805,257 1,852,757

812,465 268,719 1,081,184

235,035 536,538 771,573

821,734 183,491 1,005,225

Total operating expenses

5,360,897

4,303,363

1,057,534

4,309,882

Administrative expenses

Operating income

-35,876 225,941 190,065

2,274,733 2,259,329 158,922 4,692,984

923,690 1,538,691 2,462,381

(617,597)

68,964

(1,428,507)

383,102

Non-operating revenues (expenses) Investment income Sale of assets Contingency Retained Earnings-capital carryforward

250,000 (10,140) 377,737

160,700 27,375 -

(89,300) 27,375 10,140 (377,737)

290,881 800 -

Total non-operating revenues (expenses)

617,597

188,075

(429,522)

291,681

-

257,039

257,039

674,783

Net Income Net assets, beginning Net assets, ending

$

Page 13 of 21

9,381,755 9,638,794

$

8,278,174 8,952,957

TOWN OF LANTANA, FLORIDA Utility Fund Statement of Expenditures – Budget and Actual (unaudited using cash basis) Period Ended September 30, 2008

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

$

47,850 9,300 57,150

Actual

$

48,265 3,945 52,210

Variance Favorable (Unfavorable)

$

(415) 5,355 4,940

$

38,383 5,106 43,489

133,550 28,380 161,930

126,102 23,459 149,561

Town Clerk: Personal services Operating

34,460 10,130

34,393 10,321

67 (191)

32,937 8,598

Total Town Clerk

44,590

44,714

(124)

41,535

433,520 159,610 21,480 614,610

417,959 127,014 1,519 546,492

2,720 25,000 27,720

3,029 18,567 21,596

(309) 6,433 6,124

2,332 18,571 20,903

2,250 12,500 14,750

10,281 10,281

2,250 2,219 4,469

3,375 57,871 61,246

920,750

824,854

95,896

842,276

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

Page 14 of 21

7,448 4,921 -

Prior Year Actual

12,369

15,561 32,596 19,961 68,118

115,095 24,616 3,400 143,111

375,379 141,728 14,885 531,992

TOWN OF LANTANA, FLORIDA Utility Fund Statement of Expenditures – Budget and Actual (unaudited using cash basis) Period Ended September 30, 2008

Budget Operations Public Works Administration Personal services Operating Capital

Actual

Variance Favorable (Unfavorable)

Prior Year Actual

79,480 17,370 96,850

77,788 13,605 91,393

1,692 3,765 5,457

118,863 23,041 141,904

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

89,780 60,430 150,210

80,229 53,159 133,388

9,551 7,271 16,822

81,801 55,505 137,306

Building Maintenance Personal services Operating Total Building Maintenance

77,220 56,500 133,720

71,704 49,198 120,902

5,516 7,302 12,818

75,406 50,065 125,471

Vehicle Maintenance Personal services Operating Capital Total Vehicle Maintenance

72,850 16,570 8,000 97,420

72,000 10,947 7,565 90,512

850 5,623 435 6,908

68,089 10,238 78,327

345,300 475,600 479,807 1,300,707

402,335 461,959 35,336 899,630

206,630 1,089,660 317,450 1,613,740

203,080 901,321 225,818 1,330,219

3,550 188,339 91,632 283,521

208,625 891,034 79,852 1,179,511

Total operations

3,392,647

2,666,044

726,603

2,645,872

Debt Services Contingency

1,047,500 10,140

812,465 -

235,035 10,140

821,734 -

$ 5,371,037

$ 4,303,363

1,067,674

$ 4,309,882

Total Public Works Administration

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

TOTAL EXPENDITURES

Page 15 of 21

(57,035) 13,641 444,471 401,077

$

370,906 508,808 103,639 983,353

TOWN OF LANTANA, FLORIDA Transportation Fund Balance Sheet (unaudited using cash basis) September 30, 2008 Current Year Assets and Other Debits: Assets: Cash and cash equivalents SBA Investment Total assets and other debits

$

815,357 37,439 852,796

Prior Year

$

123,296 421,135 544,431

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

14,004 14,004

10,100 10,100

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

838,792 838,792

534,331 534,331

Total Liabilities and Equity

$

Page 16 of 21

852,796

$

544,431

TOWN OF LANTANA, FLORIDA Transportation Fund Statement of Revenues, Expenditures and Changes in Fund Balance Budget and Actual (unaudited using cash basis) Period Ended September 30, 2008

Budget

Variance Favorable (Unfavorable)

Actual

Prior Year Actual

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

$

280,000 8,000 32,100 566,528

$

228,723 12,405 566,528

$

(51,277) 4,405 -

$

259,797 14,324 325,000

886,628

807,656

(46,872)

599,121

34,300 115,000 5,600 2,350 250 22,570 1,500 550 182,120

27,953 109,175 3,548 1,115 180 16,989 2,744 260 161,964

6,347 5,825 2,052 1,235 70 5,581 (1,244) 290 20,156

105,049 3,548 8,073 259 39,644 2,022 158 158,753

85,580 308,500 394,080

75,494 307,578 383,072

10,086 922 11,008

77,890 307,578 385,468

310,428

-

310,428

-

886,628

545,036

355,401

544,221

-

262,620

262,620

54,900

Expenditures: Other 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 FUND BALANCE, END OF PERIOD

576,172 $

Page 17 of 21

838,792

479,431 $

534,331

TOWN OF LANTANA, FLORIDA General, Utility, & Transportation Fund Investment Earnings Quarter Closing September 30, 2008 FLORIDA STATE BOARD OF ADMINISTRATION (SBA) *EACH ACCOUNT COMBINES POOL A AND POOL B

SBA Rate General Fund Beginning Bal. Transfers In (Out) Admin. Charges Investment Earnings Ending Bal.

October

November

December

January

February

March

April

May

June

July

August

September

Total

5.62%

0.00%

4.81%

4.62%

3.68%

3.07%

2.74%

2.49%

2.43%

2.44%

2.47%

2.43%

3.27%

5,590,279

5,266,586

4,466,586

2,475,694

(2,000,000)

(1,849,191)

(350,000) (70) 26,377

(800,000) -

630,444 -

630,823

393,810

(237,262)

-

393,842 -

9,108

3,941

379

249

(1) 34

393,914

394,082

394,467

394,866

-

-

-

-

(1) 71

(1) 169

(1) 387

(1) 400

(1) 387

5,590,279 (5,236,453) (76) 41,501

5,266,586

4,466,586

2,475,694

630,444

630,823

393,810

393,842

393,913

394,082

394,467

394,866

395,252

395,251

4,611,768

4,633,782

4,633,782

2,644,805

654,207

654,601

408,551

408,585

408,659

408,833

409,234

409,647

4,611,768

(2,000,000) 11,023

(1,994,851) 4,252

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

(59) 22,072

-

394

(246,308) 258

-

-

-

-

-

(1) 35

(1) 75

(1) 175

(1) 402

(1) 414

(1) 402

(4,241,158) (65) 39,502

4,633,782

4,633,782

2,644,805

654,207

654,601

408,551

408,585

408,659

408,833

409,234

409,647

410,048

410,048

171,516

172,335

172,335

24,997

24,173

24,187

15,194

15,195

15,196

15,202

15,216

15,230

171,516

-

(9,003) 9

-

-

-

-

-

-

(157,372) (8) 1,108

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

(2) 821

-

(147,546) 208

(824) 0

14

(1) 1

(1) 3

(1) 7

(1) 15

(1) 15

(1) 15

172,335

172,335

24,997

24,173

24,187

15,194

15,195

15,196

15,202

15,216

15,230

15,244

15,244

687,557

690,839

690,839

100,204

96,902

96,959

60,909

60,913

60,923

60,948

61,007

61,068

687,557

(36,087) 38

-

-

-

-

-

-

(630,858) (15) 4,442

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

(9) 3,291

-

(591,466) 832

(3,304) 2

57

(1) 5

(1) 11

(1) 26

(1) 60

(1) 62

(1) 59

690,839

690,839

100,204

96,902

96,959

60,909

60,913

60,923

60,948

61,007

61,068

61,126

61,126

100,943

101,425

101,425

14,711

14,227

14,235

8,942

8,942

8,943

8,946

8,953

8,961

100,943

-

(5,298)

-

-

-

-

-

-

(92,619) (7) 652

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

(1) 483 101,425

101,425

(86,836) 122 14,711

(485) 0 14,227

8

6

14,235

8,942

Page 18 of 21

(1) 1 8,942

(1) 2 8,943

(1) 4 8,946

(1) 9 8,953

(1) 9 8,961

(1) 9 8,969

8,969

October

November

December

January

February

March

April

May

June

July

August

September

Total

Bond Fund Beginning Bal.

421,135

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

(5) 2,016 423,145

423,145

423,145

61,376

59,353

59,388

37,307

37,309

37,315

37,330

37,366

37,403

421,135

(362,278) 509

(2,024) 1

-

(22,104) 23

-

-

-

-

-

-

(386,406) (11) 2,720

61,376

59,353

59,388

37,307

37,309

-

21,802 21,802

8,197 8,197

887 887

583 583

79 (6) 73

169 (6) 163

-

9,108 12,185 509 21,802

3,941 4,255 1 8,197

379 473 35 887

249 311 23 583

33 38 2 73

70 87 6 163

423,145

35

(1) 3

(1) 7 37,315

(1) 16

(1) 37

(1) 38

(1) 36

37,330

37,366

37,403

37,438

37,438

396.38 (6) 390

908.06 (6) 902

938.09 (6) 932

907.77 (6) 902

89,927 (182) 89,745

SBA TOTALS Total Investment Earnings Total Admin. Charges Net Investment Earnings

55,059 (146) 54,913

Investment Earnings Net of Admin. Charges General Fund 26,307 Utility Fund 26,596 Transportation Fund 2,010 54,913

168 208 15 390

386 481 36 902

399 496 37 932

386 481 35 902

41,425 45,610 2,709 89,745

FLORIDA LEAGUE OF CITIES, INC. - FLORIDA MUNICIPAL INVESTMENT TRUST FMIT Short-Term (General Fund) Investment Rate (formula) Beginning Bal.

5.60% 823,751

Transfers In (Out) Investment Earnings Ending Bal.

12.72% 827,598

5.84% 836,368

11.74% 840,438

0.00% 95,663

(753,000) 8,225

(95,663)

-

3,847

8,771

4,069

827,598

836,368

840,438

95,663

22.87% 403,295

4.80% 410,981

25.98% 412,623

N/A

N/A

-

N/A

-

N/A

-

N/A

-

N/A

N/A

-

-

-

823,751

-

-

-

(848,663) 24,912

-

-

-

(0)

FMIT Intermediate-Term (General Fund) Investment Rate (formula) Beginning Bal. Transfers In (Out) Investment Earnings Ending Bal. General Fund Investment Earning

8.35% 400,509

0.00% 421,557

N/A

N/A

N/A

N/A

N/A

(421,557)

N/A

N/A

-

-

-

400,509

-

-

-

(421,557) 21,048

2,786

7,686

1,643

8,934

403,295

410,981

412,623

421,557

-

-

-

-

-

-

-

-

-

6,633

16,457

5,711.96

17,159

-

-

-

-

-

-

-

-

45,960

STERLING BANK MMDA Investment Rate Beginning Bal. Transfers In (Out) Investment Earnings Ending Bal. General Fund Investment Earning

4.52% 3,761,074

4.52% 3,776,481

4.27% 3,790,542

4.07% 3,804,919

3.82% 3,818,558

3.32% 3,830,243

3.32% 3,841,953

3.32% 3,852,450

3.31% 3,862,962

3.25% 3,873,669

3.25% 3,884,375

3.25% 3,894,418

3.83% 3,761,074

15,407

14,061

14,377

13,639

11,685

11,710

10,498

10,511

10,707

10,707

10,043

11,112

144,456

3,776,481

3,790,542

3,804,919

3,818,558

3,830,243

3,841,953

3,852,450

3,862,962

3,873,669

3,884,375

3,894,418

3,905,530

3,905,530

15,407

14,061

14,377

13,639

11,685

11,710

10,498

10,511

10,707

10,707

10,043

11,112

144,456

Page 19 of 21

October

November

December

January

February

March

April

May

June

July

August

September

Total

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

4.610% 0 1,458 434 1,086 (1,002)

2.930% 1,532 1,386 109 71 (992)

2.930% 14,997 10,500 759 512 (883)

3.940% 23,919 15,211 1,083 765 (1,095)

3.080% 20,883 13,595 1,024 681 (1,452)

2.710% 19,121 14,393 1,056 714 (1,103)

2.010% 13,544 10,354 515 477 (785)

1.790% 12,395 9,459 505 430 (975)

1.750% 11,670 9,100 440 396 (906)

1.790% 10,826 10,434 1,326 446 (944)

1.770% 9,985 10,284 1,298 460 (1,003)

1.620% 9,310 8,913 1,148 415 (929)

2.86% 148,183 115,088 9,695 6,454 (12,069)

1,976

2,105

25,886

39,882

34,732

34,180

24,106

21,815

20,700

22,089

21,024

18,857

267,351

Checking Account Ending Balances per Statement Operating Water Plant Reserve

523,639 362,706

1,194,927 364,397

10,536,711 365,010

14,769,235 365,611

14,937,975 366,054

15,527,129 366,484

15,032,071 366,857

15,050,372 367,212

15,092,612 367,556

14,726,844.24 367,910.71

14,657,553.41 368,266.12

14,404,391.89 368,610.39

146,453,460 4,396,674

Ending Balances

886,345

1,559,324

10,901,722

15,134,846

15,304,028

15,893,613

15,398,928

15,417,584

15,460,167

15,094,754.95

15,025,819.53

14,773,002.28

150,850,134

48,347 28,054 2,444 1,086 79,931

32,050 1,386 109 71 33,616

44,194 22,685 1,269 512 68,660

58,658 19,467 1,084 765 79,973

22,544.62 9,307.50 455.04 396 $ 32,703

11,211.72 10,915.27 1,361.76 446 23,935

10,384.03 10,780.59 1,334.56 460 22,959

9,696.03 9,394.03 1,182.28 415 20,687

348,163 160,698 12,404 6,454 527,720

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

$

$

$

$

32,948 14,069 1,059 681 48,756

$

31,079 14,704 1,079 714 47,576

$

Page 20 of 21

24,074 10,392 517.41 477 35,461

$

22,977 9,546 510.66 430 33,464

$

$

$

$

INVESTMENT EARNINGS $80,000

$70,000

$60,000

$50,000

$40,000

$30,000

$20,000

$10,000

$0 Oct

Nov

Dec

Jan

Feb

Mar

General Fund Transportation Fund

Page 21 of 21

Apr

May

Utility Fund Other Funds

Jun

Jul

Aug

Sep