March 31, 2014

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MEMORANDUM Finance Department INVESTMENT REPORT On March 31st, the Town’s funds were in the Florida Local Government Surplus Trust Funds Investment Pool (Florida Prime and Fund B), TD Bank, and SunTrust, with the majority at SunTrust. During December 2013 and January 2014, significant funds were reallocated to increase yield potential while maintaining safety of principal. 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 superior financial condition. OTHER FUNDS This report does not incorporate some of the Town’s smaller special revenue and internal service funds. These funds include the Police Education, Police Forfeiture, Grants, and Insurance. If you would like a review of these funds, please contact me at (561) 540-5035.

STATE BOARD OF ADMINISTRATION LOCAL GOVERNMENT SURPLUS TRUST FUNDS INVESTMENT POOL As of March 31st, $3,854,191 was in the Florida Prime account which is liquid and available for withdrawal. In Fund B, the balance was $63,881 which is not liquid nor is it available for withdrawal. The total fiscal year-to-date unrealized gain is $17,161 for all Fund B accounts. If you have any questions, please do not hesitate to contact me.

BUDGET-IN-BRIEF as of March 31, 2014 (50% of year elapsed) YTD-Townwide Expense Allocation

Capital,   420,669 ,  7%

Other Town Funds

Debt,   242,476 ,  4% Wages,   2,165,179 ,  35%

Operating  & Maint.,   2,233,095 ,  36%

Benefits,   1,112,897 ,  18%

General Fund Revenues Revenues Budget Year-to-Date Taxes 4,673,687 3,090,785 Licenses & Permits 1,086,092 959,344 Intergovernmental Revenue 1,202,503 460,527 Charges for Services 785,612 676,477 Fines & Forfeitures 105,040 121,568 Misc. Revenue 578,864 662,626 Appropriations & Carryover 964,307 Total Revenues $ 9,396,105 $ 5,971,327

% 66.1% 88.3% 38.3% 86.1% 115.7% 114.5% 0.0% 63.6%

General Fund Expenditures Expenditures Budget Year-to-Date Town Council 114,843 57,055 Town Manager 191,226 82,550 Finance 346,945 161,978 Town Attorney 183,075 49,433 Non-Departmental 120,232 84,672 Police 4,163,611 1,958,567 Development Services 635,112 256,678 Public Works 2,033,260 972,380

% 49.7% 43.2% 46.7% 27.0% 70.4% 47.0% 40.4% 47.8%

Library

158,635

68,967

43.5%

Holiday Events Capital Outlay

78,042 940,424

20,934 153,338

26.8% 16.3%

Debt Service Total Expenditures

430,700 $

9,396,105

$

Utility Fund Revenues Appropriations & Carryover Total Revenues Total Expenses

Budget 4,972,876 2,488,888 7,461,764 7,461,764

Year-to-Date 2,286,566 2,286,566 1,834,068

% 46.0% 0.0% 30.6% 24.6%

Police Education Fund Revenues Appropriations & Carryover Total Revenues Total Expenses

Budget 3,851 3,851 -

Year-to-Date 2,096 2,096 85

% 54.4% N/A 54.4% N/A

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

Year-to-Date 2,509 1,404

% 0.0% 0.0%

Grants Fund Revenues Appropriations & Carryover Total Revenues Total Expenses

Budget 315,810 315,810 315,810

Year-to-Date 136,653 136,653 16,125

% 43.3% N/A 43.3% 5.1%

Insurance Fund Revenues Appropriations & Carryover Total Revenues Total Expenses

Budget 397,320 397,320 397,320

Year-to-Date 159,935 159,935 241,314

% 40.3% N/A 40.3% 60.7%

Expenditures

YTD-Total Townwide Budget Budget Year-to-Date

214,768

49.9%

Total Townwide Budget

4,081,320

43.4%

(not including Police Forfeiture Fund)

17,574,850

6,172,912

% 35.1%

TOWN OF LANTANA, FLORIDA General Fund Balance Sheet (unaudited) March 31, 2014 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 Deferred revenue Total liabilities Fund balances: Assigned for Encumbrances Unassigned, assigned, committed Total equity and other credits Total liabilities, equity and other credits

$

8,084,008 2,232,533 15,040 12,307 242,934 10,586,822

Prior Year

$

$

9,392,526 280,366 42,963 11,733 266,537 9,994,125

198,704 10,289 100,862 309,855

564,889 5,057 198,589 768,535

457,550 9,819,417 10,276,967 10,586,822

483,355 8,742,235 9,225,590 9,994,125

$

TOWN OF LANTANA, FLORIDA General Fund Statement of Revenues, Expenditures and Changes in Fund Balance – Budget and Actual (unaudited) Period Ended March 31, 2014

Revenues: Taxes Licenses, permits & fees Intergovernmental Charges for services Fines and forfeitures Miscellaneous 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 Use of Fund Balance-adopted Total other financing sources Deficiency of revenues and other financing sources under expenditures Fund balance, beginning of year FUND BALANCE, END OF PERIOD

Budget

Actual

Variance Favorable (Unfavorable)

$ 4,673,687 1,086,092 1,202,503 785,612 105,040 428,864 8,281,798

$ 3,090,785 959,343 460,526 676,477 121,568 450,536 5,759,235

$ (1,582,902) (126,749) (741,977) (109,135) 16,528 21,672 (2,522,563)

956,321 4,163,611 635,112 1,311,249 965,816 933,296

435,691 1,958,566 256,677 640,850 421,432 153,338

520,630 2,205,045 378,435 670,399 544,384 779,958

491,510 1,866,598 278,553 444,998 419,330 528,751

430,700 9,396,105

214,768 4,081,322

215,932 5,314,783

214,768 4,244,508

(1,114,307)

1,677,913

2,792,220

870,358

62,090 (671,019) (293,288) (902,217)

Prior Year Actual $ 2,648,201 352,246 427,723 1,015,126 86,738 584,832 5,114,866

150,000 671,019 293,288 1,114,307

212,090 212,090

7,181 7,181

-

1,890,003

877,538

8,386,963 $ 10,276,967

8,348,051 $ 9,225,590

TOWN OF LANTANA, FLORIDA General Fund Schedule of Revenues and Other Financing Sources – Budget and Actual (unaudited) Period Ended March 31, 2014

Budget

Actual

$ 2,133,000 979,596 1,008,768 293,000 259,323 4,673,687

$ 1,896,308 547,059 469,656 90,045 87,717 3,090,785

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

264,386 232,423 589,283 1,086,092

Intergovernmental revenues: 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) $

Prior Year Actual

(236,692) (432,537) (539,112) (202,955) (171,606) (1,582,902)

$ 1,830,547 195,606 415,998 120,580 85,470 2,648,201

221,312 236,824 501,207 959,343

(43,074) 4,401 (88,076) (126,749)

218,769 133,477 352,246

312,000 22,603 11,100 725,000 131,800 1,202,503

153,928 18,107 514 266,858 21,119 460,526

(158,072) (4,496) (10,586) (458,142) (110,681) (741,977)

148,705 16,399 24 248,162 14,433 427,723

Charges for services: Sanitation and waste removal Recycling fees Public Safety Nature Preserve Maintenance Total charges for services

734,179 51,433 785,612

650,954 25,523 676,477

(83,225) (25,910) 109,135

342,814 46,525 600,542 25,245 1,015,126

Fines and forfeitures

105,040

121,568

16,528

86,738

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

11,445 132,500 20,000 207,633 57,286 428,864

11,176 110,518 20,000 198,299 110,543 450,536

(269) (21,982) (9,334) 53,257 21,672

12,102 78,187 456,123 38,420 584,832

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

150,000 671,019 293,288 1,114,307 $ 9,396,105

212,090 212,090 $ 5,971,325

62,090 (671,019) (293,288) (902,217) $ (3,424,780)

7,181 7,181 $ 5,122,047

TOWN OF LANTANA, FLORIDA General Fund Schedule of Expenditures and Other Financing Uses – Budget and Actual (unaudited) Period Ended March 31, 2014

Budget General government: Legislative: Personal services Operating Total Legislative

$

64,490 50,353 114,843

Actual

$

34,974 22,083 57,057

Variance Favorable (Unfavorable)

$

29,516 28,270 57,786

Prior Year Actual

$

27,048 7,714 34,762

Executive: Personal services Operating Capital Total Executive

110,900 11,208 122,108

51,322 3,643 54,965

59,578 7,565 67,143

48,676 4,204 3,851 56,731

Town Clerk: Personal services Operating Capital Total Town Clerk

45,905 23,213 69,118

21,393 6,193 27,586

24,512 17,020 41,532

21,724 13,362 35,086

Finance: Personal services Operating Capital Total Finance

244,700 102,245 55,860 402,805

105,865 56,113 52,207 214,185

138,835 46,132 3,653 188,620

105,511 52,826 1,851 160,188

Legal Counsel: Personal services Operating Total Legal Counsel

12,740 170,335 183,075

7,254 42,179 49,433

5,486 128,156 133,642

6,761 60,747 67,508

119,232 45,552 1,000 165,784 1,057,733

84,172 500 84,672 487,898

35,060 45,552 500 81,112 569,835

142,937 142,937 497,212

394,050 70,267 4,700 469,017

185,395 49,485 234,880

208,655 20,782 4,700 234,137

183,675 49,857 4,303 237,835

Non-Departmental Personal services Operating Capital Other Expenses Total Non-Departmental Total General Government Public Safety: Administration: Personal services Operating Capital Total Administration

TOWN OF LANTANA, FLORIDA General Fund Schedule of Expenditures and Other Financing Uses – Budget and Actual (unaudited) Period Ended March 31, 2014

Budget Uniform Patrol: Personal services Operating Capital Total Uniform Patrol

Actual

Variance Favorable (Unfavorable)

2,174,640 165,337 6,757 2,346,734

1,002,951 67,481 18,396 1,088,828

Detectives: Personal services Operating Capital Total Detectives

235,240 26,552 76,750 338,542

109,425 8,455 1,677 119,557

125,815 18,097 75,073 218,985

-

Services: Personal services Operating Capital Total Police Services

239,580 146,259 385,839

119,603 82,123 201,726

119,977 64,136 184,113

206,900 66,091 6,555 279,546

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

398,340 22,990 2,950 424,280

190,094 7,881 197,975

208,246 15,109 2,950 226,305

175,523 6,523 182,046

Marine Safety: Personal services Operating Capital Total Marine Safety

272,420 17,936 23,115 313,471

130,486 5,187 135,673

141,934 12,749 23,115 177,798

131,782 5,185 13,284 150,251

4,277,883

1,978,639

2,299,244

1,943,923

172,950 12,190 185,140

63,685 7,221 70,906

109,265 4,969 114,234

81,891 5,386 1,173 88,450

139,957 109,070 12,000 261,027

29,476 69,156 4,332 102,964

110,481 39,914 7,668 158,063

55,954 58,836 114,790

Total Public Safety Development Services: Administration : Personal services Operating Capital Total Administration Building Inspections: Personal services Operating Capital Total Building Inspections

1,171,689 97,856 (11,639) 1,257,906

Prior Year Actual 970,048 71,014 53,183 1,094,245

TOWN OF LANTANA, FLORIDA General Fund Schedule of Expenditures and Other Financing Uses – Budget and Actual (unaudited) Period Ended March 31, 2014

Budget Code Enforcement: Personal services Operating Capital Total Code Enforcement

Variance Favorable (Unfavorable)

Actual

Prior Year Actual

181,115 19,830 200,945

80,100 7,039 87,139

101,015 12,791 113,806

70,315 6,171 76,486

Total Development Services

647,112

261,009

386,103

279,726

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

171,540 26,818 198,358

80,071 12,051 92,122

91,469 14,767 106,236

60,462 5,974 66,436

61,793 10,896 1,299 73,988

29,129 31,154 1,447 61,730

32,664 (20,258) (148) 12,258

36,340 1,138 3,461 40,939

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

-

-

-

77,410 29,804 107,214

Trash Collection: Personal services Operating Capital Total Trash Collection

-

-

-

104,155 41,840 145,995

Recycling Collection: Personal services Operating Capital Total Recycling Collection

-

-

-

22,326 5,294 27,620

Streets & Sanitation: Personal services Operating Capital Total Streets & Sanitation

160,749 879,453 221,726 1,261,928

78,461 409,984 12,666 501,111

82,288 469,469 209,060 760,817

60,255 384,669 444,924

Total Physical Environment

1,534,274

654,963

879,311

833,128

Vehicle Maintenance: Personal services Operating Capital Total Vehicle Maintenance

TOWN OF LANTANA, FLORIDA General Fund Schedule of Expenditures and Other Financing Uses – Budget and Actual (unaudited) Period Ended March 31, 2014

Budget Cultural and Recreation: Sports Complex: Operating Debt service Total Sports Complex Services

Actual

Variance Favorable (Unfavorable)

Prior Year Actual

9,260 122,200 131,460

3,273 60,979 64,252

5,987 61,221 67,208

2,844 60,979 63,823

Library: Personal services Operating Capital Total Library services

108,530 50,105 34,677 193,312

48,701 20,265 17,253 86,219

59,829 29,840 17,424 107,093

48,831 16,854 8,408 74,093

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

219,436 216,081 336,014 771,531

101,666 89,843 39,168 230,677

117,770 126,238 296,846 540,854

146,720 61,912 37,713 246,345

Facilities Maintenance: Personal services Operating Capital Total Building Maintenance

156,299 128,063 111,896 396,258

70,961 65,789 6,192 142,942

85,338 62,274 105,704 253,316

75,836 63,345 10,300 149,481

Miscellaneous: Holiday events Total Miscellaneous Total Culture and Recreation

78,042 78,042 1,570,603

20,934 20,934 545,024

57,108 57,108 1,025,579

2,988 2,988 536,730

Debt Service Transfers Out General Contingency TOTAL EXPENDITURES

308,500 9,396,105

153,789 4,081,322

154,711 5,314,783

153,789 4,244,508

$

$

$

$

TOWN OF LANTANA, FLORIDA Utility Fund Balance Sheet (unaudited) March 31, 2014 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

$

4,300 509,892 20,737,967 791,817 5,146 18,445 22,067,567 (13,143,593) 8,923,974

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

6,918,009 1,760,011 142,963 379,869 9,200,852

Prior Year

$

1,066,495 19,191,321

7,981,385 282,713 167,982 411,718 8,843,798 4,300 509,892 20,486,913 810,847 19,142 193,821 22,024,915 (12,513,800) 9,511,115

$

1,261,785 19,616,698

61,935 5,156,349

1,415,784 5,879,270

158,362 231,367 27,760 5,635,773

140,007 216,677 26,805 7,678,543

2,445,897 1,715,691 9,393,960 13,555,548

2,445,897 2,074,710 7,417,548 11,938,155

19,191,321

$

19,616,698

TOWN OF LANTANA, FLORIDA Utility Fund Statement of Revenues, Expenses and Changes in Retained Earnings – Budget and Actual (unaudited) Period Ended March 31, 2014

Budget Revenues: Water sales Wastewater sales Miscellaneous Total operating revenues

Actual

$ (1,325,814) (1,301,048) (64,539) (2,691,401)

829,446 1,610,874 2,440,320

394,701 770,962 1,165,663

434,745 839,912 1,274,657

902,095

376,186

525,909

374,462

Debt Services Capital outlay

860,450 3,258,899 4,119,349

27,708 264,511 292,219

832,742 2,994,388 3,827,130

88,464 328,741 417,205

Total operating expenses

7,461,764

1,834,068

5,627,696

1,950,049

Administrative expenses

Operating income/(loss)

2,457,136 2,359,779 148,656 4,965,571

(2,496,193)

$

Prior YTD Actual

1,131,322 1,058,731 84,117 2,274,170

Expenditures: Operating expenses Water/Sewer plant operations Personnel Current expenses Total

$

Variance Favorable (Unfavorable)

440,102

(8,319,097)

$

1,067,512 1,046,588 79,864 2,193,964

363,704 794,678 1,158,382

243,915

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

7,305 -

12,396

2,488,888

-

(2,488,888)

12,980 1,033 -

Total non-operating revenues (expenses)

2,496,193

12,396

(2,483,797)

14,013

-

452,498

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

13,103,050 $ 13,555,548

5,091 -

452,498

257,928 11,680,229 $ 11,938,155

TOWN OF LANTANA, FLORIDA Utility Fund Statement of Expenditures – Budget and Actual (unaudited) Period Ended March 31, 2014

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

$

42,805 32,854 75,659

Actual

$

23,330 14,688 38,018

Variance Favorable (Unfavorable)

$

19,475 18,166 37,641

$

18,032 5,142 23,174

110,900 11,938 122,838

51,320 3,619 54,939

67,899

48,674 4,219 52,893

Town Clerk: Personal services Operating

30,875 15,532

14,275 4,128

16,600 11,404

14,480 9,009

Total Town Clerk

46,407

18,403

28,004

23,489

Finance Personal services Operating Capital Total Finance

399,510 167,974 30,000 597,484

161,598 80,033 2,820 244,451

237,912 87,941 27,180 353,033

164,697 70,601 3,457 238,755

3,250 39,570 42,820

1,813 11,553 13,366

1,437 28,017 29,454

1,701 28,708 30,409

16,887 16,887

7,009 7,009

9,878 9,878

5,742 5,742

902,095

376,186

525,909

374,462

Total executive

Legal: Personal services Operating Total Legal Non Departmental: Personal services Operating Capital Total Non Departmental Total Administrative

59,580 8,319 -

Prior Year Actual

TOWN OF LANTANA, FLORIDA Utility Fund Statement of Expenditures – Budget and Actual (unaudited) Period Ended March 31, 2014

Budget Public Works/Utilities Utilities Administration Personal services Operating Capital Total Utilities Administration Vehicle Maintenance Personal services Operating Capital Total Vehicle Maintenance Water/water plant operations Personal services Operating Capital Total Water/water plant operations Wastewater operations Personal services Operating Capital Total Wastewater operations Total operations/utilities Debt Services Transfers Out Contingency TOTAL EXPENDITURES

Actual

Variance Favorable (Unfavorable)

Prior Year Actual

140,728 94,989 235,717

67,210 46,187 113,397

73,518 48,802 122,320

60,804 31,228 92,032

61,793 12,195 73,988

28,574 2,904 31,478

33,219 9,291 42,510

36,337 4,671 41,008

449,795 555,921 926,865 1,932,581

217,966 234,371 93,274 545,611

231,829 321,550 833,591 1,386,970

190,879 260,568 94,629 546,076

177,130 947,769 2,332,034 3,456,933

80,951 487,500 171,237 739,688

96,179 460,269 2,160,797 2,717,245

75,684 498,211 234,112 808,007

5,699,219

1,430,174

4,269,045

1,487,123

860,450 -

27,708 -

832,742 -

88,464 -

$ 7,461,764

$ 1,834,068

5,627,696

$ 1,950,049

$

TOWN OF LANTANA, FLORIDA Investment Earnings Quarter Closing March 31, 2014 FLORIDA STATE BOARD OF ADMINISTRATION (SBA) *EACH ACCOUNT COMBINES FLORIDA PRIME AND FUND B October SBA Rate General Fund Beginning Bal. Transfers In (Out) Admin. Charges Investment Earnings Ending Bal.

November

0.18%

December

0.17%

0.16%

January

February

March

0.15%

0.16%

0.15%

Total 0.16%

177,465

177,486

177,506

177,526

2,177,672

2,177,935

177,465

21

20

19

2,000,000 147

262

14,155 285

2,014,155 754

177,486

177,506

177,526

2,177,672

2,177,935

2,192,374

2,192,374

184,108

184,130

184,151

184,171

1,684,287

1,684,489

184,108

22

21

20

1,500,000 116

202

32,263 222

1,532,263 602

184,130

184,151

184,171

1,684,287

1,684,489

1,716,973

1,716,973

6,840

6,841

6,842

6,843

6,844

6,844

6,840

-

-

-

-

-

(5,761) 0

(5,761) 4

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

1

1

1

1

1

6,841

6,842

6,843

6,844

6,844

1,083

1,083

27,442

27,445

27,448

27,451

27,454

27,457

27,442

-

-

-

-

-

(23,114) 0

(23,114) 16

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

3

3

3

3

3

27,445

27,448

27,451

27,454

27,457

4,343

4,343

4,023

4,024

4,024

4,024

4,025

4,025

4,023

-

-

-

-

-

(3,388) 0

(3,388) 2

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

1

0

0

0

0

4,024

4,024

4,024

4,025

4,025

638

638

16,806

16,808

16,810

16,812

16,814

16,815

16,806

-

-

-

-

-

(14,155) 0

(14,155) 10

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

2

2

2

2

2

16,808

16,810

16,812

16,814

16,815

2,660

2,660

50 50

47 47

46 46

268 268

470 470

507 507

1,388 1,388

23 27 50

22 25 47

21 24 46

148 120 268

264 206 470

285 222 507

764 624 1,388

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

October

November

December

January

February

March

Total

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)

0.40% 0.07% 433 451 3 (564)

0.40% 0.07% 412 459 3 (732)

0.40% 0.07% 443 308 3 (368)

0.40% 0.07% 337 226 3 0

0.20% 0.07% 241 171 2 (640)

0.20% 0.07% 235 173 2 (630)

323

143

385

565

(226)

(219)

Operating Demand Deposit Water Plant Reserve

15,122,983 2,000,000 373,703

13,480,513 4,000,000 373,733

10,948,425 4,000,000 373,762

7,358,198 4,000,000 373,785

7,643,775 4,000,000 373,805

5,479,559 6,000,000 373,827

Ending Balances

17,496,685

17,854,246

15,322,188

11,731,983

12,017,579

11,853,386

0.20% 22

0.20% 26

0.20% 481 340 821

0.20% 428 307 736

0.20% 487 339 826

4,832,150

4,791,690

4,876,320

812 806 2 1,620

859 882 2 1,743

Investment Earnings

0.33% 0.07% 2,102 1,788 15 (2,934) 970

Ending Account Balances per Statement

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

22

26

0.20% 261 182 443

Ending Balance

129,447

213,278

4,872,525

General Fund Utility Fund Forfeiture Fund

457 499 3 959

0.20% 1,706 1,168

TOTAL INVESTMENT EARNINGS BY FUND

$

$

434 511 3 948

$

646 594 3 1,243

$

825 826 3 1,654

$

$

$

4,034 4,118 15 8,167