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FY 2010 -11 Mid -year review and budget adjustments February 22, 2011 <br /> other issues such as retirement rates with Council in March/April during the upcoming FY 2011- <br /> 12 budget Work Sessions. <br /> DISCUSSION <br /> At the mid -point of the current fiscal year (FY 2010-11), we are providing Council with a <br /> summary of revenues and expenses through December 31, 2010 - with modified year -end <br /> projections. We are also including recommendations for a number of mid -year budget <br /> adjustments due to actions that have occurred during the year which require budget recognition <br /> and necessitate modifications to the annual adopted budget (e.g., new grants, capital improvement <br /> project appropriations, etc.). <br /> Second Quarter Budget Review <br /> Now that we have a full six months of actual revenue and expenditure data, we are better able to <br /> analyze year -to -date trends and year -end projections. Below is an analysis of revenues and <br /> expenditures for the City's General Fund and other key revenue funds. <br /> General Fund Revenue <br /> As previously reported to the Finance Committee and to City Council, staff is recommending <br /> some positive net revenue adjustments based on year -to -date actual receipts. In total, mid -year <br /> projections indicate a net increase of General Fund revenues over the Adopted Budget <br /> projections of about $1.4 million - largely attributed to a correction in sales tax revenues as <br /> discussed below. While this is a positive adjustment to the Adopted Budget projections, the <br /> overall revenues are significantly lower than prior years, and staff will continue to closely <br /> monitor revenue trends. <br /> FY2011 FY2011 $ o/, <br /> (in thousands) Adopted Adjusted Variance Variance <br /> Taxes: <br /> Property Taxes 15,300 15,400 100 0.7% <br /> Sales Tax 17,850 19,516 1,666 9.3% <br /> Utility Users Tax 9,635 9,798 163 1.7% <br /> Document Property Transfer Tax 2,444 2.444 - 0.0% <br /> Business Licenses 3,940 3,940 - 0.0% <br /> 911 Tax 2,500 2,600 100 4.0% <br /> Other Taxes 4,199 4,264 65 1.5% <br /> Subtotal Taxes 55,868 57,962 2,094 3.7% <br /> Other Revenues: <br /> Licenses & Permits 1,726 1,726 - 0.0% <br /> Use of Money & Property 1,219 1,058 (161) - 13.2% <br /> Revenue From Other Agencies 1,146 1,050 (96) -8.4% <br /> Ser ice Charges 2,252 2,301 49 2.2% <br /> Other Re%,enue 4,320 3,863 (457) -10.6% <br /> Subtotal Other Revenue 10,663 9,998 (665) -6.2% <br /> Subtotal Operating Revenue 66,531 67,960 1,429 2.1% <br /> Operating Transfers 500 500 - 0.0% <br /> Total General Fund Revenue 67,031 68,460 1,429 2.1% <br /> 2 <br />