The Town of Lantana, Florida AWS

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MEMORANDUM Finance Department 2. Total operating and administrative expenses not including capital or debt are 1.6% or $44,821 less than the same period last year; when including capital and debt, expenditures are down 14.9%, or $689,679 primarily due to less capital purchases in the current fiscal year.

3. Net income for the period is $901,451, compared to a net income of $375,435 last year. However, depreciation expense has not been calculated at this time which may drastically alter net income for the fund.

TRANSPORTATION FUND 1. Total gas tax revenue for the period is down $2,314 compared to the same period last year. When factoring all revenues (except transfers in) are considered, total revenue decreased by $54,103 which is due to the grant for N. Broadway that was approved in FY 10. 2. Operating expenditures have decreased by $78,021 or 36%. This is primarily due to fewer repairs to roads and sidewalks in the current year. Additionally, in FY10, the Florida East Coast (FEC) railroad performed major renovations to two street crossovers which the Town was responsible for reimbursing FEC. When including capital and debt, the total expenditures decreased by $231,729, or 31.8%. 3. Expenditures exceeded revenues for the period by $43,448 compared to a loss of $204,464 last year.

INVESTMENT REPORT Income from investments continues to remain at all-time lows with the Federal Reserve eluding to continued low rates. At September 30th, the Town’s funds were in Florida Prime and SunTrust, with the majority in SunTrust. Florida Prime is the investment pool previously known as the State Board of Administration’s Local Governmental Investment Pool. As of the date of this memorandum, SunTrust continues to participate in the Qualified Pubic Depository (QPD) program where Town funds are guaranteed 100% above the $250k insured by the FDIC. Additionally, SunTrust continues to possess a three-star rating from BauerFinancial which indicates the bank is adequately funded.

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MEMORANDUM Finance Department Most of the liquid funds from the Florida Prime (Pool A) have been withdrawn from the fund. Pool B funds, which remain illiquid, cannot be withdrawn.

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

STATE BOARD OF ADMINISTRATION LOCAL GOVERNMENT INVESTMENT POOL (LGIP) As stated earlier, the majority of Pool A has been withdrawn, and by the end of the quarter, we had $175,886 in the pool which is liquid and available for withdrawal. In Pool B, the Town’s balance was $239,611 which is not liquid and is not available for withdrawal. While the total unrealized loss is $58,264 for all accounts, nothing has been realized (sold for a loss). This loss has actually decreased by $30,117 from the last quarter of FY10. However, we have since noticed that beginning in May, the unrealized loss is beginning to increase. We will continue to monitor this unfavorable trend. Unfortunately, since the funds are frozen, the Town has no options at this time. I hope you will find this report helpful, and as always, if you have any questions please do not hesitate to contact me.

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BUDGET-IN-BRIEF as of September 30, 2011 (100% of year elapsed) YTD-Townwide Expense Allocation

Debt Capital 1,211,795  1,749,524  9% 13%

Wages 4,769,799  34%

Other Town Funds

Interfund  Transfers 304,171  2%

Utility Fund Revenues Appropriations & Carryover Total Revenues Total Expenses

Budget 4,947,000 648,110 5,595,110 5,595,110

Year-to-Date 4,777,225 4,777,225 3,937,972

% 96.6% 0.0% 85.4% 70.4%

Transportation Fund Revenues Appropriations & Carryover Total Revenues Total Expenses

Budget 499,800 758,803 1,258,603 1,258,603

Year-to-Date 454,180 454,180 497,627

% 90.9% 0.0% 36.1% 39.5%

Recreation Fund Revenues Appropriations & Carryover Total Revenues Total Expenses

Budget 65,372 65,372 65,372

Year-to-Date 65,371

% N/A 0.0% 0.0% 100.0%

Police Education Fund Revenues Appropriations & Carryover Total Revenues Total Expenses

Budget 4,000 500 4,500 4,500

Year-to-Date 4,511 4,511 3,881

% 112.8% 0.0% 100.2% 86.2%

% 97.0% 96.7% 91.0% 95.2% 33.5% 97.2%

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

Year-to-Date 8,135 3,875

% 100% 100%

Grants Fund Revenues Appropriations & Carryover Total Revenues

Budget 2,245,554 2,245,554

Year-to-Date 349,966 349,966

% 15.6% N/A 15.6%

Total Expenses

2,245,554

410,266

18.3%

Insurance Fund Revenues Appropriations & Carryover Total Revenues Total Expenses

Budget 412,109 412,109 412,109

Year-to-Date 412,109 412,109 344,911

% 100.0% N/A 100.0% 83.7%

Benefits 2,565,544  18% Operating  & Maint. 3,332,533  24% General Fund Revenues Revenues Budget Year-to-Date Taxes 4,301,525 4,001,545 Licenses & Permits 375,070 416,119 Intergovernmental Revenue 1,056,664 958,342 Charges for Services 1,557,267 1,516,166 Fines & Forfeitures 77,000 181,135 Misc. Revenue 431,663 486,829 Interfund Transfers 65,355 65,371 Debt Proceeds Appropriations & Carryover 1,421,975 Total Revenues $ 9,286,519 $ 7,625,507

Expenditures Town Council Town Manager Finance Town Attorney Non-Departmental Police

General Fund Expenditures Budget Year-to-Date 88,230 85,555 186,285 180,156 337,642 307,099 152,438 145,086 84,048 28,198 3,736,115 3,631,264

Development Services

% 93.0% 110.9% 90.7% 97.4% 235.2% 112.8% 100.0% 0.0% 0.0% 82.1%

611,396

596,325

97.5%

2,066,087 151,815 3,000 1,501,013 122,150 238,800 7,500 9,286,519

1,999,698 139,879 2,871 1,192,575 121,957 238,800 $ 8,669,463

96.8% 92.1% 95.7% 79.5% 99.8% 100.0% 0.0% 93.4%

YTD-Total Townwide Budget Expenditures Budget Year-to-Date Total Townwide Budget 18,867,767 13,929,491

% 73.8%

Operations Department Library Holiday Events Capital Outlay Debt Service Interfund Transfers Out General Contingency Total Expenditures

$

(not including Police Forfeiture Fund)

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TOWN OF LANTANA, FLORIDA General Fund Balance Sheet (unaudited) September 30, 2011 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

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$

8,972,015 254,190 45,874 10,553 3,128 9,285,760

Prior Year

$

$

9,732,741 139,158 33,434 11,327 1,401 15,642 9,933,703

79,056 8,506

81,597 37,473

139,952 169,137 396,651

137,004 206,730 462,804

5,224 -

19,926 -

8,883,885 8,889,109 9,285,760

9,450,973 9,470,899 9,933,703

$

TOWN OF LANTANA, FLORIDA General Fund Statement of Revenues, Expenditures and Changes in Fund Balance – Budget and Actual (unaudited) Period Ended September 30, 2011

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

$ 4,301,525 375,070 1,056,664 1,557,267 77,000 425,663 288,690 8,081,879

$ 4,001,546 416,119 958,341 1,516,166 181,135 483,239 7,556,546

848,643 3,736,115 611,396 893,746 1,327,156 1,501,013

746,093 3,631,265 596,325 868,127 1,274,321 1,192,575

102,550 104,850 15,071 25,619 52,835 308,438

706,618 3,705,891 605,957 860,751 1,385,909 396,941

122,150 7,500 9,047,719

121,957 8,430,663

193 7,500 617,056

121,957 7,784,024

91,723

67,459

(965,840)

(874,117)

6,000 65,355 (238,800) 1,133,285 965,840

3,590 65,371 (238,800) (169,839)

-

Fund balance, beginning of year

(1,043,956) 9,933,065 $ 8,889,109

FUND BALANCE, END OF PERIOD

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$

(299,979) 41,049 (98,323) (41,101) 104,135 57,576 (236,643)

(2,410) 16 (1,133,285) (1,135,679)

$ 4,504,894 391,559 969,248 1,488,039 97,517 400,226 7,851,483

7,400 60,000 (255,410) (188,010) (120,551) 9,591,450 $ 9,470,899

TOWN OF LANTANA, FLORIDA General Fund Schedule of Revenues and Other Financing Sources – Budget and Actual (unaudited) Period Ended September 30, 2011

Budget

Actual

$ 2,242,525 703,000 963,000 393,000 4,301,525

$ 2,264,607 543,388 901,241 292,310 4,001,546

252,350 122,720 375,070

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) 22,082 (159,612) (61,759) (100,690) (299,979)

$ 2,714,901 557,965 905,590 326,438 4,504,894

248,058 168,061 416,119

(4,292) 45,341 41,049

251,002 140,557 391,559

110,000 287,664 20,000 10,000 617,000 12,000 1,056,664

81,401 290,375 22,662 11,020 526,622 26,261 958,341

(28,599) 2,711 2,662 1,020 (90,378) 14,261 (98,323)

85,950 288,906 21,782 10,065 509,623 52,922 969,248

756,000 104,000 650,037 47,230 1,557,267

721,233 98,417 648,119 48,397 1,516,166

(34,767) (5,583) (1,918) 1,167 41,101

735,640 100,346 604,823 47,230 1,488,039

77,000

181,135

104,135

97,517

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

35,000 219,000 4,659 136,050 14,954 16,000 425,663

37,409 238,470 4,659 141,098 14,954 46,649 483,239

2,409 19,470 5,048 30,649 57,576

75,064 205,505 5,300 75,946 14,954 23,457 400,226

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

6,000 65,355 1,133,285 288,690 1,493,330 $ 9,286,519

3,590 65,371 68,961 $ 7,625,507

Licenses and permits: Business services taxes Building and other permits Total licenses and permits

Fines and forfeitures

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$

Prior Year Actual

(2,410) 16 (1,133,285) (288,690) (1,424,369) $ (1,661,012)

7,400 60,000 67,400 $ 7,918,883

TOWN OF LANTANA, FLORIDA General Fund Schedule of Expenditures and Other Financing Uses – Budget and Actual (unaudited) Period Ended September 30, 2011

Budget General government: Legislative: Personal services Operating Total Legislative

$

Actual

80,630 7,600 88,230

$

79,136 6,418 85,554

Variance Favorable (Unfavorable)

$

1,494 1,182 2,676

Prior Year Actual

$

77,962 4,718 82,680

Executive: Personal services Operating Capital Total Executive

105,340 18,235 2,811 126,386

103,733 15,054 2,775 121,562

1,607 3,181 36 4,824

108,229 14,251 61,012 183,492

Town Clerk: Personal services Operating Capital Total Town Clerk

45,480 17,230 2,000 64,710

45,471 15,898 1,887 63,256

9 1,332 113 1,454

45,451 12,364 57,815

Financial Administration: Personal services Operating Capital Total Financial Administration

231,310 106,332 22,000 359,642

223,798 83,301 4,286 311,385

7,512 23,031 17,714 48,257

220,108 77,014 14,826 311,948

Legal Counsel: Personal services Operating Total Legal Counsel

13,080 139,358 152,438

13,078 132,008 145,086

2 7,350 7,352

12,202 123,204 135,406

84,048 84,048 875,454

28,198 28,198 755,041

55,850 55,850 120,413

11,115 11,115 782,456

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 September 30, 2011

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

Actual

Variance Favorable (Unfavorable)

248,820 69,457 318,277

261,457 63,043 324,500

2,259,580 178,828 195,887 2,634,295

2,175,299 175,345 74,684 2,425,328

84,281 3,483 121,203 208,967

2,180,571 154,731 32,328 2,367,630

Services: Personal services Operating Capital Total Police Services

465,610 145,786 611,396

436,398 137,532 573,930

29,212 8,254 37,466

578,835 113,825 692,660

Uniformed Patrol (Hypoluxo): Personal services Operating Capital Total Police Services

349,130 18,904 368,034

360,365 21,826 382,191

(11,235) (2,922) (14,157)

329,219 16,073 345,292

3,932,002

3,705,949

Uniformed Patrol: Personal services Operating Capital Total Uniformed Patrol

Total Public Safety

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(12,637) 6,414 (6,223)

Prior Year Actual

226,053

264,932 67,705 332,637

3,738,219

TOWN OF LANTANA, FLORIDA General Fund Schedule of Expenditures and Other Financing Uses – Budget and Actual (unaudited) Period Ended September 30, 2011

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

Actual

Variance Favorable (Unfavorable)

Prior Year Actual

168,520 13,218 257,336 439,074

169,010 11,375 255,998 436,383

(490) 1,843 1,338 2,691

172,471 11,916 20,473 204,860

118,750 134,781 1,000 254,531

117,254 128,218 911 246,383

1,496 6,563 89 8,148

116,703 129,051 245,754

157,520 18,607 176,127

153,560 16,908 170,468

3,960 1,699 5,659

157,330 18,486 175,816

Total Development Services

869,732

853,234

16,498

626,430

Physical Environment: Operations Administration Personal services Operating Capital Total Public Works Administration

120,310 15,048 135,358

121,638 13,886 135,524

(1,328) 1,162 (166)

118,413 11,866 130,279

71,500 12,802 6,500 90,802

69,250 15,486 5,925 90,661

2,250 (2,684) 575 141

69,262 15,497 84,759

Building Inspections: Personal services Operating Capital Total Building Inspections Code Enforcement: Personal services Operating Capital Total Code Enforcement

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 September 30, 2011

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

Actual

Variance Favorable (Unfavorable)

Prior Year Actual

209,680 79,496 200,000 489,176

215,732 67,452 198,959 482,143

(6,052) 12,044 1,041 7,033

213,078 60,152 273,230

227,170 84,996 312,166

225,486 69,721 295,207

1,684 15,275 16,959

228,258 73,797 302,055

55,260 17,484 180,000 252,744

56,561 12,915 176,838 246,314

(1,301) 4,569 3,162 6,430

55,169 15,259 70,428

1,280,246

1,249,849

30,397

860,751

18,148 122,150 140,298

10,272 121,957 132,229

7,876 193 8,069

21,228 66,387 121,957 209,572

Library: Personal services Operating Capital Total library Services

102,820 48,995 20,023 171,838

102,534 37,345 19,360 159,239

286 11,650 663 12,599

105,466 42,783 18,425 166,674

Marine Services: Personal services Operating Capital Total Marine Services

292,550 15,380 307,930

310,753 14,830 325,583

(18,203) 550 (17,653)

300,458 13,186 313,644

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

309,100 211,080 455,336 975,516

313,307 163,630 417,304 894,241

(4,207) 47,450 38,032 81,275

308,117 175,323 220,606 704,046

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

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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, 2011

Budget Building Maintenance: Personal services Operating Capital Total Building Maintenance

Actual

Variance Favorable (Unfavorable)

Prior Year Actual

167,080 159,003 158,120 484,203

173,389 145,389 33,648 352,426

Miscellaneous: Holiday events Total Miscellaneous Total Culture and Recreation

3,000 3,000 2,082,785

2,872 2,872 1,866,590

128 128 216,195

32,571 32,571 1,776,168

Debt Service Transfers Out General Contingency TOTAL EXPENDITURES

238,800 7,500 9,286,519

238,800 $ 8,669,463

7,500 617,056

255,410 8,039,434

$

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(6,309) 13,614 124,472 131,777

$

186,285 134,105 29,271 349,661

$

TOWN OF LANTANA, FLORIDA Utility Fund Balance Sheet (unaudited) September 30, 2011 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 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

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$

4,300 509,892 20,053,649 798,208 19,142 403,929 21,789,120 (11,046,072) 10,743,048

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

7,901,998 342,584 167,737 410,930 8,823,249

Prior Year

1,432,229 20,998,526

7,224,310 136,238 95,341 410,090 7,865,979 4,300 942,809 19,212,312 983,219 356,392 21,499,032 (10,872,395) 10,626,637

$

1,599,203 20,091,819

819,379 2,170,701 542,511

717,962 2,433,277 531,270

171,791 195,558 5,675,000 9,574,940

164,062 172,932 6,060,000 10,079,503

2,445,897 1,639,328 7,338,361 11,423,586

2,445,897 2,145,675 5,420,744 10,012,316

20,998,526

$

20,091,819

TOWN OF LANTANA, FLORIDA Utility Fund Statement of Revenues, Expenses and Changes in Retained Earnings – Budget and Actual (unaudited) Period Ended September 30, 2011

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

$

Actual

2,395,000 2,400,000 134,000 4,929,000

$

2,311,626 2,300,824 135,756 4,748,206

Variance Favorable (Unfavorable) $

(83,374) (99,176) 1,756 (180,794)

$

2,293,508 2,308,595 336,292 4,938,395

781,970 1,723,824 2,505,794

767,571 1,313,236 2,080,807

846,955

770,795

76,160

732,336

Debt Services Capital outlay

1,047,200 1,157,361 2,204,561

782,260 304,110 1,086,370

264,940 853,251 1,118,191

790,249 940,979 1,731,228

Total operating expenses

5,557,310

3,937,972

1,619,338

4,627,651

Administrative expenses

Operating income/(loss)

14,399 410,588 424,987

Prior YTD Actual

770,629 1,393,458 2,164,087

(628,310)

810,234

(1,800,132)

310,744

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

18,000 (37,800) 648,110

91,217 -

73,217 37,800 (648,110)

64,691 -

Total non-operating revenues (expenses)

628,310

91,217

(537,093)

64,691

-

901,451

901,451

375,435

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

10,522,135 $ 11,423,586

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9,636,881 $ 10,012,316

TOWN OF LANTANA, FLORIDA Utility Fund Statement of Expenditures – Budget and Actual (unaudited) Period Ended September 30, 2011

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

$

Actual

53,770 4,800 58,570

$

52,777 4,347 57,124

Variance Favorable (Unfavorable)

$

993 453 1,446

Prior Year Actual

$

51,988 3,149 55,137

100,540 18,235 118,775

102,134 14,965 117,099

(1,594) 3,270 1,676

108,225 14,285 122,510

Town Clerk: Personal services Operating

30,330 11,655

30,312 10,648

18 1,007

30,306 8,380

Total Town Clerk

41,985

40,960

1,025

38,686

399,830 138,602 3,000 541,432

372,826 110,670 1,716 485,212

27,004 27,932 1,284 56,220

366,095 113,296 479,391

3,280 69,013 72,293

3,272 63,677 66,949

8 5,336 5,344

3,115 29,518 32,633

5,000 8,900 13,900

3,451 3,451

5,000 5,449 10,449

3,979 3,979

846,955

770,795

76,160

732,336

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 September 30, 2011

Budget Operations/Utilities Utilities Administration Personal services Operating Capital

Actual

Variance Favorable (Unfavorable)

124,220 16,748 140,968

124,801 16,418 141,219

71,500 12,802 84,302

69,063 10,281 79,344

396,430 524,736 842,361 1,763,527

406,813 482,131 160,694 1,049,638

(10,383) 42,605 681,667 713,889

392,359 476,639 780,082 1,649,080

189,820 1,169,538 315,000 1,674,358

166,894 804,406 143,416 1,114,716

22,926 365,132 171,584 559,642

187,348 894,312 157,547 1,239,207

Total operations/utilities

3,663,155

2,384,917

1,278,238

3,105,066

Debt Services Contingency

1,047,200 37,800

782,260 -

264,940 37,800

790,249 -

$ 5,595,110

$ 3,937,972

1,657,138

$ 4,627,651

Total Public Works Administration Vehicle Maintenance Personal services Operating Capital Total Vehicle Maintenance Water/waterplant operations Personal services Operating Capital Total Water plant operations Wastewater operations Personal services Operating Capital Total Wastewater operations

TOTAL EXPENDITURES

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(581) 330 (251)

Prior Year Actual

2,437 2,521 4,958

$

121,865 12,030 3,350 137,245 69,057 10,477 79,534

TOWN OF LANTANA, FLORIDA Transportation Fund Balance Sheet (unaudited) September 30, 2011 Current Year Assets and Other Debits: Assets: Cash and cash equivalents SBA Investment Accounts Receivable Total assets and other debits

$

785,920 24,074 809,994

Prior Year

$

800,207 13,177 813,384

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

9,295 9,295

92,307 92,307

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

800,699 800,699

721,077 721,077

Total Liabilities and Equity

$

- 17 -

809,994

$

813,384

TOWN OF LANTANA, FLORIDA Transportation Fund Statement of Revenues, Expenditures and Changes in Fund Balance - Budget and Actual (unaudited) Period Ended September 30, 2011

Budget

Variance Favorable (Unfavorable)

Actual

Prior Year Actual

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

$

260,000 1,000 389,000 369,803 238,800

$

212,854 2,525 238,800

$

(47,146) 1,525 -

$

215,168 48,639 5,675 255,410

1,258,603

454,179

(45,621)

524,892

121,000 4,000 1,750 300 46,883 2,050 1,000 176,983

97,607 1,057 310 36,353 2,570 465 138,362

23,393 4,000 693 (10) 10,530 (520) 535 38,621

90,273 973 240 122,113 1,828 956 216,383

773,120 308,500 1,081,620

51,687 307,578 359,265

721,433 922 722,355

205,395 307,578 512,973

-

-

-

-

1,258,603

497,627

799,597

729,356

(43,448)

(43,448)

(204,464)

Expenditures: 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

844,147

FUND BALANCE, END OF PERIOD

844,147 $

- 18 -

800,699

925,541 $

721,077

TOWN OF LANTANA, FLORIDA General, Utility, & Transportation Fund Investment Earnings Quarter Closing September 30, 2011 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

0.30%

0.30%

0.27%

0.26%

0.26%

0.27%

0.27%

0.24%

0.23%

0.21%

0.23%

0.24%

0.27%

176,797

176,809

176,822

176,835

176,849

176,862

13

13

13

14

13

15

176,809

176,822

176,835

176,849

176,862

183,415

183,428

183,441

183,454

13

13

13

183,428

183,441

6,815 -

176,877 -

176,891 -

176,905 -

176,918 -

176,930 -

176,945 -

176,797

14

14

13

13

14

15

163

176,877

176,891

176,905

176,918

176,930

176,945

176,959

176,959

183,469

183,482

183,498

183,512

183,527

183,540

183,554

183,568

183,415

14

14

15

183,454

183,469

183,482

6,815

6,816

6,816

-

-

-

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

-

-

-

-

-

-

15

14

14

13

15

15

169

183,498

183,512

183,527

183,540

183,554

183,568

183,583

183,583

6,817

6,817

6,818

6,818

6,819

6,819

6,820

6,820

6,815

-

-

-

-

-

-

-

-

-

*

Impact Fee Reserve Beginning Bal.

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

1

0

1

1

1

1

1

1

1

0

1

1

6

6,815

6,816

6,816

6,817

6,817

6,818

6,818

6,819

6,819

6,820

6,820

6,821

6,821

27,339

27,341

27,343

27,345

27,347

27,349

27,351

27,353

27,356

27,358

27,359

27,362

27,339

-

-

-

-

-

-

-

-

-

-

-

-

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

2

2

2

2

2

2

2

2

2

2

2

2

25

27,341

27,343

27,345

27,347

27,349

27,351

27,353

27,356

27,358

27,359

27,362

27,364

27,364

4,008

4,008

4,008

4,009

4,009

4,009

4,010

4,010

4,010

4,011

4,011

4,011

4,008

-

-

-

-

-

-

-

-

-

-

-

-

-

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

0

0

0

0

0

0

0

0

0

0

0

0

4

4,008

4,008

4,009

4,009

4,009

4,010

4,010

4,010

4,011

4,011

4,011

4,012

4,012

- 19 -

October

November

December

January

February

March

April

May

June

July

August

September

Total

Bond Fund Beginning Bal.

16,743

16,744

16,745

16,746

16,748

16,749

16,750

16,752

16,753

16,754

16,755

16,757

-

-

-

-

-

-

-

-

-

-

-

-

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

16,743

1

1

1

1

1

1

1

1

1

1

1

1

15

16,744

16,745

16,746

16,748

16,749

16,750

16,752

16,753

16,754

16,755

16,757

16,758

16,758

30 30

30 30

30 30

33 33

31 31

35 35

33 33

33 33

30.81 31

29.70 30

33.29 33

34.26 34

382 382

13 16 1 30

13 16 1 30

13 16 1 30

14 17 1 33

13 16 1 31

15 19 1 35

14 18 1 33

14 17 1 33

13 16 1 31

13 16 1 30

14 18 1 33

15 18 1 34

163 204 15 382

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

-

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

SUNTRUST BANK ACCOUNTS Checking Account Earnings Investment Credit Per SunTrust General Fund Utility Fund Transportation Fund Recreation Fund Forfeiture Fund Bank Charges (net of interest credit)

0.220% 1,641 1,295 141 12 (397)

0.220% 1,546 1,218 129 11 (169)

0.180% 1,336 1,115 107 9 (142)

0.180% 1,492 1,102 101 9 (157)

0.200% 1,331 1,013 89 9 (524)

0.180% 1,410 1,145 131 10 (708)

0.180% 1,349 1,101 124 10 766

0.170% 1,255 1,090 116 9 (117)

0.150% 1,053 990 102

2,692

2,734

2,425

2,548

1,918

1,989

3,349

2,353

Operating Water Plant Reserve

18,009,952 372,008

18,011,773 372,070

19,006,212 372,149

19,329,230 372,228

19,228,340 372,299

19,373,184 372,384

19,188,576 372,445

Ending Balances

18,381,961

18,383,843

19,378,361

19,701,457

19,600,639

19,745,568

19,561,021

1,653 1,311 142 0 12 3,119

1,558 1,234 130 0 11 2,933

1,349 1,131 108 0 9 2,597

1,506 1,120 103 0 9 2,737

Investment Earnings

0.150% 1,077 1,032 101 0 8 (304)

0.120% 865 837 78 0 7 (102)

0.120% 851 799 75 0 6 (237)

0.19% 15,204 12,737 1,295

1,991

1,914

1,684

1,495

27,094

19,172,979 372,508

19,230,930 372,570

18,872,063 372,633

19,180,767 372,688

18,940,196 372,734

19,545,487

19,603,499

19,244,696

19,553,455

19,312,930

1,269 1,107 117.48 0 9 2,503

1,066.56 1,006.24 103.20 0 8 2,184

1,089.21 1,047.72 102.31 0 8 2,248

879.07 854.48 79.70 0 7 1,820

865.75 817.68 76.03 0 6 1,766

8 (162)

110 (2,252)

Checking Account Ending Balances per Statement

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

$

$

$

$

1,344 1,029 91 0 9 2,473

$

- 20 -

1,425 1,164 132 0 10 2,731

$

1,363 1,119 125.69 0 10 2,617

$

$

$

$

$

$

15,367 12,941 1,311 0 110 29,728

Investment Income $0 Oct Dec Feb Apr Jun Aug

$500

$1,000

1,653  1,558  1,349  1,506  1,344  1,425  1,363  1,269  1,067  1 067 1,089  879  866  General Fund

$1,500

$2,000

$2,500

$3,000

1,311  142  1,234  130  1,131  108  1,120  103  1,029  91  1,164  132  1,119  126  1,107  117  1,006  103  1 006 103 1,048  102  854  80  818  76  Utility Fund

- 21 -

Transportation Fund

$3,500