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,~ "3z.e' i ~ A ' ~ fit" , e 1 ",.., s <br />fiver <br />MEMORANDUM <br />TO: Mayor and City Council <br />FROM: Tim Simon, Finance Director <br />DATE: July 19, 2010 <br />SUBJECT: June 2010 Monthly Financial Report <br />This report is designed to provide summary information regarding the overall level of <br />revenues and expenditures in the General Fund and Pinewood Golf and Ice Arena special <br />revenue funds. These funds are the primary concern in analyzing the City's financial health. <br />For the month of June, actual revenues (except for property taxes and state aids) and <br />expenditures should run 50% of the annual budget. It is natural for some of the items to <br />vary from month to month, such as exceeding budget fox Supplies but being significantly <br />below for Services. This is not considered serious as long as the total expenditure budget <br />amount is not overspent. Significant variances from budget axe highlighted below <br />accompanied with a general discussion fox the variance. <br />General Fund <br />Kevenuec: <br />• Excluding transfers in, revenue collections are about 35% of budget. 70% of the <br />first half property taxes were received in June and the remainder of the first half will <br />be collected in July. <br />• Collection of the cable franchise tax from Sherburne-Wright Cable Commission was <br />also received in June. <br />• Licenses and permits are over the budget benchmark due to the annual renewals of <br />business licenses. <br />• Charges for services exceed budget estimates due mainly from the collection of <br />recreation-related fees and the annual fire contract. <br />• The negative interest income is related to the reversal of the prior year's interest <br />receivable. <br />• Transfers in will be reflected in the July report. <br />