September 30, 2015

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MEMORANDUM Finance Department 3. Net income for the fourth quarter was $904,454. Depreciation expense was not included in the financial reports and will alter net income for the fund. INVESTMENT REPORT On September 30th, the Town’s funds were in the Florida Local Government Surplus Trust Funds Investment Pool (Florida Prime), TD Bank, and SunTrust, with the majority at SunTrust. As of the date of this memorandum, SunTrust and TD Bank continue to participate in the Qualified Public Depository (QPD) program where Town funds are guaranteed 100% above the $250k insured by the FDIC. Additionally, both SunTrust and TD Bank possess a four-star rating from BauerFinancial which indicates the banks are in excellent financial condition. OTHER FUNDS The following pages include smaller funds not included in the Executive Summary. These include the Police Education, Police Forfeiture, Grants, and Insurance funds.

Please contact me with any questions you may have.

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BUDGET-IN-BRIEF as of September 30, 2015 (100% of year elapsed) YTD-Townwide Expense Allocation

Other Town Funds

Debt,   530,760 ,  3% Benefits,   2,279,098 ,  14% Operating  & Maint.,   3,915,552 ,  25%

Wages,   4,893,583 ,  31%

Capital,   4,300,368 ,  27%

General Fund Revenues Revenues Budget Year-to-Date Taxes 4,961,175 4,798,485 Licenses & Permits 580,440 629,217 Assessments 675,206 678,324 Intergovernmental Revenue 2,411,158 1,256,549 Charges for Services 795,909 787,415 Fines & Forfeitures 154,897 320,564 Misc. Revenue 2,051,174 1,471,208 Appropriations & Carryover 1,738,439 Total Revenues $ 13,368,398 $ 9,941,762

% 96.7% 108.4% 100.5% 52.1% 98.9% 207.0% 71.7% 0.0% 74.4%

General Fund Expenditures Expenditures Budget Year-to-Date Town Council 119,443 108,721 Town Manager 191,122 181,178 Finance 339,246 308,519 Town Attorney 186,670 102,975 Non-Departmental 43,560 39,438 Police 4,479,065 4,319,747 Development Services 640,885 591,574

% 91.0% 94.8% 90.9% 55.2% 90.5% 96.4% 92.3%

Public Works Library Holiday Events Capital Outlay Debt Service Contingency Total Expenditures

Utility Fund Revenues Appropriations & Carryover Total Revenues Total Expenses

Budget 5,219,344 2,129,474 7,348,818 7,348,818

Year-to-Date 5,397,982 5,397,982 4,493,530

% 103.4% 0.0% 73.5% 61.1%

Police Education Fund Revenues Appropriations & Carryover Total Revenues Total Expenses

Budget 5,560 5,560 5,560

Year-to-Date 3,784 3,784 4,282

% 68.1% N/A 68.1% 77.0%

Police Forfeiture Fund* Budget Total Revenues Total Expenses *Per Florida Statute fund is not budgeted

Year-to-Date 131,054 6,009

% 0.0% 0.0%

Grants Fund Revenues Appropriations & Carryover Total Revenues Total Expenses

Budget 167,084 (51,674) 115,410 115,410

Year-to-Date 36,365 36,365 36,579

% 21.8% 0.0% 31.5% 31.7%

Insurance Fund Revenues Appropriations & Carryover Total Revenues Total Expenses

Budget 385,910 385,910 385,910

Year-to-Date 347,913 347,913 347,177

% 90.2% N/A 90.2% 90.0%

2,283,350

1,897,643

83.1%

153,600 42,170

141,098 38,428

91.9% 91.1%

4,346,887

2,872,928

66.1%

Total Townwide Budget

492,400

429,535

87.2%

(not including Police Forfeiture Fund)

50,000

-

0.0%

$ 13,368,398

$ 11,031,784

82.5%

Expenditures

-3-

YTD-Total Townwide Budget Budget Year-to-Date 21,224,096

15,913,352

% 75.0%

TOWN OF LANTANA, FLORIDA General Fund Balance Sheet (unaudited) September 30, 2015 Current Year Assets and Other Debits: Assets: Cash and cash equivalents Investments Accounts receivable 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 Deferred revenue Total liabilities Fund balances: Assigned for Encumbrances Unassigned, assigned, committed Total equity and other credits Total liabilities, equity and other credits

$

-4-

8,092,460 2,210,994 17,570 14,126 550,027 416 10,885,593

Prior Year

$

$

7,632,840 2,196,785 3,642 11,564 1,542 9,846,373

1,159,850 109,068

165,749 4,618

227,908 816,741 2,313,567

188,178 272,401 630,946

8,572,026 8,572,026 10,885,593

9,215,427 9,215,427 9,846,373

$

TOWN OF LANTANA, FLORIDA General Fund Statement of Revenues, Expenditures and Changes in Fund Balance – Budget and Actual (unaudited) Period Ended September 30, 2015

Revenues: Taxes Licenses, permits & fees Intergovernmental Charges for services Fines and forfeitures Miscellaneous Total revenues

Budget

Actual

$ 4,961,175 1,255,646 2,411,158 795,909 154,897 1,989,689 11,568,474

$ 4,798,485 1,307,540 1,256,550 787,415 320,564 1,402,488 9,873,042

Variance Favorable (Unfavorable) $

(162,690) 51,894 (1,154,608) (8,494) 165,667 (587,201) (1,695,432)

Prior Year Actual $ 4,608,441 1,214,006 1,058,727 797,231 278,974 1,659,544 9,616,923

Expenditures: Current: General government Public safety Development services Physical environment Culture and recreation Capital outlay Debt service: Principal & Interest Total expenditures

881,628 4,456,636 640,885 282,046 2,197,074 4,367,729

740,833 4,319,747 591,573 230,045 1,847,125 2,872,930

140,795 136,889 49,312 52,001 349,949 1,494,799

1,365,786 4,073,146 556,026 1,280,917 857,653 437,483

492,400 13,368,398

429,535 11,031,788

62,865 2,336,610

429,535 9,000,546

Deficiency of revenues under expenditures

(1,799,924)

(1,158,746)

641,178

616,377

Other financing sources: Sale of general fixed assets Use of Fund Balance-capital carryfwd Use of Fund Balance-adopted Total other financing sources

61,485 706,530 1,031,909 1,799,924

Deficiency of revenues and other financing sources under expenditures

-

68,720 68,720 (1,090,026) 9,662,047 $ 8,572,026

Fund balance, beginning of year FUND BALANCE, END OF PERIOD

-5-

7,235 (706,530) (1,031,909) (1,731,204)

212,090 212,090 828,466 8,386,963 $ 9,215,427

TOWN OF LANTANA, FLORIDA General Fund Schedule of Revenues and Other Financing Sources – Budget and Actual (unaudited) Period Ended September 30, 2015

Budget

Actual

$ 2,245,434 1,106,624 1,082,096 252,644 274,377 4,961,175

$ 2,266,736 975,825 1,079,267 233,858 242,799 4,798,485

Licenses, permits & fees: Business tax receipts Building and other permits Solid waste assessment Gas line assessment Total licenses, permits & fees

262,292 318,148 593,245 81,961 1,255,646

Intergovernmental revenues: Insurance premium tax State revenue sharing Mobile home licenses Alcoholic beverage licenses Local government ½ cent sales tax Government grants Total intergovernmental revenues

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

Variance Favorable (Unfavorable) 21,302 (130,799) (2,829) (18,786) (31,578) (162,690)

$ 2,153,179 967,832 1,042,874 218,187 226,369 4,608,441

257,840 371,377 599,646 78,677 1,307,540

(4,452) 53,229 6,401 (3,284) 55,178

256,635 373,227 584,144 1,214,006

101,885 320,952 23,885 11,100 775,000 1,178,336 2,411,158

101,886 349,398 25,027 14,057 696,796 69,386 1,256,550

1 28,446 1,142 2,957 (78,204) (1,108,950) (1,154,608)

327,538 23,110 11,215 655,778 41,086 1,058,727

Charges for services: Public Safety Nature Preserve Maintenance Total charges for services

743,658 52,251 795,909

735,348 52,067 787,415

(8,310) (184) 8,494

745,845 51,386 797,231

Fines and forfeitures

154,897

320,564

Miscellaneous revenues: Interest Parking Contributions Leases Other Total miscellaneous revenues

8,770 190,975 1,534,519 174,683 80,742 1,989,689

23,425 288,770 784,668 205,922 99,703 1,402,488

14,655 97,795 (749,851) 31,239 18,961 (587,201)

13,498 202,245 1,023,500 241,579 178,722 1,659,544

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

61,485 706,530 1,031,909 1,799,924 $ 13,368,398

68,720 68,720 $ 9,941,762

7,235 (706,530) (1,031,909) (1,731,204) $ (3,426,636)

212,090

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$

Prior Year Actual

165,667

278,974

212,090 $ 9,829,013

TOWN OF LANTANA, FLORIDA General Fund Schedule of Expenditures and Other Financing Uses – Budget and Actual (unaudited) Period Ended September 30, 2015

Budget General government: Legislative: Personal services Operating Total Legislative

$

Actual

66,814 52,629 119,443

$

64,335 44,387 108,722

Variance Favorable (Unfavorable)

$

2,479 8,242 10,721

Prior Year Actual

$

62,276 42,129 104,405

Executive: Personal services Operating Total Executive

159,660 31,462 191,122

159,942 21,236 181,178

(282) 10,226 9,944

154,261 24,220 178,481

Finance: Personal services Operating Capital Total Finance

250,610 90,223 7,621 348,454

233,327 75,193 9,282 317,802

17,283 15,030 (1,661) 30,652

232,293 78,488 61,852 372,633

Legal Counsel: Personal services Operating Total Legal Counsel

186,670 186,670

102,975 102,975

83,695 83,695

10,411 109,614 120,025

42,560 45,552 1,000 89,112 934,801

38,938 500 39,438 750,115

3,622 45,552 500 49,674 184,686

651,594 500 652,094 1,427,638

Public Safety: Administration: Personal services Operating Capital Total Administration

408,660 69,828 32,716 511,204

410,145 61,202 32,819 504,166

Uniform Patrol: Personal services Operating Capital Total Uniform Patrol

2,345,650 193,798 42,180 2,581,628

2,246,410 177,902 40,647 2,464,959

Non-Departmental Operating Capital Other Expenses Total Non-Departmental Total General Government

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(1,485) 8,626 (103) 7,038 99,240 15,896 1,533 116,669

395,934 63,342 2,205 461,481 2,080,115 193,408 19,189 2,292,712

TOWN OF LANTANA, FLORIDA General Fund Schedule of Expenditures and Other Financing Uses – Budget and Actual (unaudited) Period Ended September 30, 2015

Budget

Actual

Variance Favorable (Unfavorable)

Prior Year Actual

Detectives: Personal services Operating Capital Total Detectives

240,755 24,887 6,325 271,967

248,944 16,969 6,325 272,238

(8,189) 7,918 (271)

232,559 22,325 68,428 323,312

Services: Personal services Operating Total Police Services

287,930 151,435 439,365

284,891 131,108 415,999

3,039 20,327 23,366

251,541 130,774 382,315

Uniform Patrol (Hypoluxo): Personal services Operating Total Uniform Patrol (Hypoluxo)

423,320 22,960 446,280

451,599 11,431 463,030

(28,279) 11,529 (16,750)

406,018 17,451 423,469

Marine Safety: Personal services Operating Capital Total Marine Safety

271,010 16,403 23,115 310,528

267,770 11,376 20,738 299,884

3,240 5,027 2,377 10,644

266,418 13,261 279,679

4,560,972

4,420,276

140,696

4,162,968

174,970 12,730 3,125 190,825

170,557 15,936 3,124 189,617

4,413 (3,206) 1 1,208

147,883 17,735 3,231 168,849

Total Public Safety 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

120,620 129,430 1,500 251,550

92,806 123,516 216,322

27,814 5,914 1,500 35,228

77,567 130,008 207,575

186,210 16,925 203,135

172,006 16,752 188,758

14,204 173 14,377

166,478 16,355 5,357 188,190

Total Development Services

645,510

594,697

50,813

564,614

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TOWN OF LANTANA, FLORIDA General Fund Schedule of Expenditures and Other Financing Uses – Budget and Actual (unaudited) Period Ended September 30, 2015

Budget Physical Environment: Public Works Administration Personal services Operating Total Public Works Administration

Variance Favorable (Unfavorable)

Actual

Prior Year Actual

181,320 20,637 201,957

143,453 17,236 160,689

37,867 3,401 41,268

156,392 34,222 190,614

66,413 13,676 1,300 81,389

58,057 11,299 201 69,557

8,356 2,377 1,099 11,832

58,289 8,054 1,299 67,642

-

-

-

164,752 859,208 106,789 1,130,749

283,346

230,246

53,100

1,389,005

3,000 3,000

2,619 2,619

381 381

7,069 7,069

107,410 46,190 20,006 173,606

107,597 33,501 17,853 158,951

Streets & Grounds Maintenance: Personal services Operating Capital Total Streets & Grounds Maintenance

349,330 1,188,456 414,994 1,952,780

348,614 994,712 323,861 1,667,187

716 193,744 91,133 285,593

201,974 156,419 95,550 453,943

Facilities Maintenance: Personal services Operating Capital Total Facilities Maintenance

203,620 256,898 3,769,295 4,229,813

189,584 132,070 2,418,080 2,739,734

14,036 124,828 1,351,215 1,490,079

158,006 130,299 47,237 335,542

Miscellaneous: Holiday events Total Miscellaneous Total Culture and Recreation

42,170 42,170 6,401,369

38,428 38,428 4,606,919

3,742 3,742 1,794,450

54,759 54,759 1,026,786

492,400 50,000 $ 13,368,398

429,535 $ 11,031,788

62,865 50,000 2,336,610

429,535 9,000,546

Vehicle Maintenance: Personal services Operating Capital Total Vehicle Maintenance Streets & Sanitation: Personal services Operating Capital Total Streets & Sanitation Total Physical Environment Cultural and Recreation: Sports Complex: Operating Total Sports Complex Services Library: Personal services Operating Capital Total Library services

Debt Service General Contingency TOTAL EXPENDITURES

-9-

(187) 12,689 2,153 14,655

$

106,018 43,109 26,346 175,473

$

TOWN OF LANTANA, FLORIDA Utility Fund Balance Sheet (unaudited) September 30, 2015 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 Intangibles Construction in progress

$

Liabilities, Equity and Other Credits: Liabilities: Accounts payable Notes Payable 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

$

-10-

$

4,300 509,892 20,970,815 871,362 5,146 92,326 22,453,841 (13,368,310) 9,085,531

Less accumulated depreciation & amortization Net fixed assets Unamortized bond costs Total assets and other debits

7,106,016 1,672,143 157,164 440,844 278 9,376,445

Prior Year

903,234 19,365,210

6,536,997 1,718,340 140,252 380,026 262 8,775,877 4,300 509,892 20,737,967 791,817 5,146 18,445 22,067,567 (13,143,593) 8,923,974

$

1,066,495 18,766,346

414,412 3,880,709

265,181 4,637,990

235,904 203,565 28,670 4,763,260

210,641 235,708 27,760 5,377,280

2,445,897 12,156,053 14,601,950

2,445,897 10,943,169 13,389,066

19,365,210

$

18,766,346

TOWN OF LANTANA, FLORIDA Utility Fund Statement of Revenues, Expenses and Changes in Retained Earnings – Budget and Actual (unaudited) Period Ended September 30, 2015

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

$

Actual

2,601,694 2,406,249 202,562 5,210,505

$

2,701,125 2,430,401 241,763 5,373,289

Variance Favorable (Unfavorable) $

99,431 24,152 39,201 162,784

$

2,486,083 2,304,131 158,553 4,948,767

901,377 2,352,306 3,253,683

832,123 1,360,989 2,193,112

845,784

775,929

69,855

765,267

Debt Services Capital outlay

862,800 2,386,551 3,249,351

101,225 1,423,262 1,524,487

761,575 963,289 1,724,864

120,094 1,459,063 1,579,157

Total operating expenses

7,348,818

4,493,528

2,855,290

4,671,879

Administrative expenses

Operating income/(loss)

69,254 991,317 1,060,571

Prior YTD Actual

808,137 1,519,318 2,327,455

(2,138,313)

879,761

(2,692,506)

276,888

Non-operating revenues (expenses) Investment income Sale of assets Use of reserves-capital carry forward

8,839 2,129,474

21,582 3,111 -

12,743 3,111 (2,129,474)

9,127 -

Total non-operating revenues (expenses)

2,138,313

24,693

(2,113,620)

9,127

-

904,454

Net income/(loss) Net assets, beginning Net assets, ending

13,697,498 $ 14,601,950

-11-

904,454

286,015 13,103,050 $ 13,389,066

TOWN OF LANTANA, FLORIDA Utility Fund Statement of Expenditures – Budget and Actual (unaudited) Period Ended September 30, 2015

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

$

Actual

44,536 35,086 79,622

$

42,906 29,591 72,497

Variance Favorable (Unfavorable)

$

1,630 5,495 7,125

Prior Year Actual

$

41,545 28,052 69,597

145,904 15,690 161,594

366 8,889

Total Executive

146,270 24,579 170,849

9,255

139,592 18,883 158,475

Finance Personal services Operating Capital Total Finance

408,780 128,983 537,763

371,963 124,269 496,232

36,817 4,714 41,531

354,927 127,017 7,235 489,179

Total Legal

39,485 39,485

35,428 35,428

4,057 4,057

2,603 34,442 37,045

Non Departmental: Personal services Operating

18,065

10,178

7,887

10,971

Total Administrative

845,784

775,929

69,855

765,267

184,700 91,844 18,000 294,544

148,871 28,920 8,783 186,574

35,829 62,924 9,217 107,970

135,854 130,701 266,555

Legal: Personal services Operating

Public Works/Utilities Utilities Administration Personal services Operating Capital Total Utilities Administration

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TOWN OF LANTANA, FLORIDA Utility Fund Statement of Expenditures – Budget and Actual (unaudited) Period Ended September 30, 2015

Budget Vehicle Maintenance Personal services Operating Total Vehicle Maintenance

Actual

Variance Favorable (Unfavorable)

Prior Year Actual

66,463 11,726 78,189

58,044 9,837 67,881

8,419 1,889 10,308

57,508 9,037 66,545

464,399 914,666 576,500 1,955,565

450,241 557,311 254,351 1,261,903

14,158 357,355 322,149 693,662

443,378 544,821 276,835 1,265,034

Total Wastewater operations

185,815 1,334,070 1,792,051 3,311,936

174,967 764,921 1,160,128 2,100,016

10,848 569,149 631,923 1,211,920

171,397 834,759 1,182,228 2,188,384

Total Public Works/Utilities

5,640,234

3,616,374

2,023,860

3,786,518

862,800

101,225

761,575

120,094

$ 7,348,818

$ 4,493,528

2,855,290

$ 4,671,879

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

Debt Services TOTAL EXPENDITURES

-13-

$

TOWN OF LANTANA, FLORIDA Investment Earnings Quarter Closing September 30, 2015 FLORIDA STATE BOARD OF ADMINISTRATION (SBA) October SBA Rate General Fund Beginning Bal. Transfers In (Out) Admin. Charges Investment Earnings Ending Bal.

November

0.16% 2,194,123

December

0.16%

0.16%

2,197,082

2,197,368

297

286

2,197,082

1,718,340

January

February

March

April

May

June

July

August

September

0.17%

0.19%

0.19%

0.19%

0.20%

0.22%

0.23%

0.25%

0.25%

Total 0.18%

2,197,676

2,198,002

2,198,321

2,198,664

2,199,011

2,199,389

2,199,787

2,210,075

2,210,543

2,194,123

307

326

319

344

347

378

399

10,288

468

451

2,662 14,209

2,197,368

2,197,676

2,198,002

2,198,321

2,198,664

2,199,011

2,199,389

2,199,787

2,210,075

2,210,543

2,210,994

2,210,994

1,724,641

1,724,865

1,725,108

1,725,363

1,722,102

1,677,172

1,677,436

1,677,724

1,660,473

1,671,448

1,671,802

1,718,340

2,662

0

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

6,068

1

(3,511)

(45,196)

(17,555)

(60,194) 13,996

233

225

241

256

250

265

265

288

303

10,976

354

341

1,724,641

1,724,865

1,725,108

1,725,363

1,722,102

1,677,172

1,677,436

1,677,724

1,660,473

1,671,448

1,671,802

1,672,143

1,672,143

1,084

0

0

-

3,511

48,712

48,719

48,728

66,292

66,643

66,657

1,084

3,511

45,196

-

0

4

8

8

9

351

14

14

65,178 409

-

3,511

48,712

48,719

48,728

66,292

66,643

66,657

66,671

66,671

-

-

-

-

-

-

-

-

-

-

-

-

-

-

0

-

-

-

-

-

-

-

0

-

-

-

-

-

-

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

(1,084)

-

(0)

0 0

0

4,346

1

-

17,555

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

1

(4,346) 1

(1) -

1

1

638

0

0

4,346

-

(4,346) 1 0

-

0

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

0

(638) 0

(0) -

0

0

2,662

0

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

0

638

(0)

(638) 0

-

(0)

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

0

(2,662) 0

(0) -

0

0

531 531

511 511

0

-

-

-

-

-

-

-

-

0

-

-

-

-

-

-

-

0

0

549 549

581 581

570 570

613 613

619 619

674 674

711 711

21,615 21,615

835 835

0

2,662

(0)

(2,662) 0

-

(0)

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

-14-

806 806

28,615 28,615

October Investment Earnings Net of Admin. Charges General Fund Utility Fund

November

297 234 531

December

286 225 511

January

307 241 549

February

326 256 581

March

319 251 570

April

344 270 613

May

June

July

347 272 619

378 296 674

399 313 711

0.20% 0.04% 126 101 6 (229)

0.20% 0.04% 120 98 6 (172)

August

10,288 11,327 21,615

September

Total

468 368 835

451 355 806

14,209 14,406 28,615

0.20% 0.04% 127 102 7 (224)

0.20% 0.04% 109 88 7 (144)

0.20% 0.06% 2,102 1,500 77 (2,650)

SUNTRUST BANK ACCOUNTS Checking Account Earnings Demand Deposit (earnings credit) Checking account APY General Fund Utility Fund Forfeiture Fund Bank Charges (net of interest credit) Investment Earnings

0.20% 0.07% 146 118 1 (316)

0.20% 0.07% 145 116 3 (293)

(50)

(30)

0.20% 0.07% 229 135 5 (105)

0.20% 0.07% 259 157 6 (244)

0.20% 0.07% 225 144 10 (137)

0.20% 0.07% 249 166 11 (211)

0.20% 0.07% 233 170 10 (222)

263

178

241

214

191

5

51

0.20% 0.04% 133 105 6 (352) (107)

12

60

1,029

Ending Account Balances per Statement Operating Demand Deposit Water Plant Reserve Payment Card Receipts Forfeiture Fund Ending Balances

4,135,423 6,000,000 373,980 10,561

4,522,445 6,000,000 374,002 15,980 77,339

6,315,432 6,000,000 374,024 27,341 77,342

6,647,554 6,000,000 374,046 37,545 212,580

6,709,088 6,000,000 374,067 51,375 210,548

6,897,574 6,000,000 374,089 70,860 210,557

6,710,569 6,000,000 374,110 84,009 148,678

6,305,957 6,000,000 374,123 97,020 148,683

6,342,923 6,000,000 374,135 111,481 148,688

6,726,927 6,000,000 374,148 25,115 148,693

6,279,512 6,000,000 374,161 33,989 148,698

5,360,686 6,000,000 374,173 44,190 148,703

10,519,964

10,989,766

12,794,140

13,271,726

13,345,077

13,553,080

13,317,366

12,925,782

12,977,227

13,274,883

12,836,360

11,927,752

TD BANK ACCOUNT TD Bank Rate Investment Earnings (Utility Fund) Investment Earnings (General Fund) Investment Earnings

0.20% 482 340 823

0.20% 460 329 790

0.20% 481 334 814

Ending Balance

4,843,613

4,803,207

4,887,826

General Fund Utility Fund Forfeiture Fund

784 834 1 1,619

761 801 3 1,564

870 857 5 1,732

0.20% 483 340 823

0.20% 430 308 738

4,847,454

0.20% 487 338 826

4,806,996

0.20% 468 330 797

4,891,626

0.20% 476 341 817

4,851,227

0.20% 472 328 800

0.20% 484 341 825

0.20% 477 341 818

0.20% 475 330 805

4,810,849

4,895,453

4,855,082

4,814,704

4,899,313

845 874 6 1,725

846 883 6 1,735

10,762 11,916 6 22,684

936 947 7 1,890

889 918 7 1,815

0.20% 5,676 3,999 9,675

TOTAL INVESTMENT EARNINGS BY FUND

$

$

$

$

926 895 6 1,827

$

852 824 10 1,686

$

-15-

931 923 11 1,864

$

910 910 10 1,829

$

$

$

$

$

$

20,310 21,582 77 41,970