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12-21-2020
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12/23/2020 3:57:01 PM
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12/21/2020
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Information <br /> Memorandum <br /> <br />To: Mayor and City Council <br />From: Lori Stich, Assistant Finance Director <br />Date: December 21, 2020 <br />Subject: November 2020 Monthly Financial Report <br /> <br />This report is designed to provide summary information regarding the overall level of revenues and <br />expenditures in the General Fund, the Multipurpose Facility Special Revenue Fund, and the <br />Enterprise Funds. These funds provide an important picture of the city’s financial health. <br /> <br />For the month of November, actual revenues (excluding property taxes and transfers in) and <br />expenditures should run about 92% of the annual budget. It is natural for some of the items to vary <br />from month to month, such as exceeding budget for Supplies but being below budget for Services. <br />This is not considered serious as long as the total expenditure budget amount is not overspent. <br />Significant variances from budget are highlighted below accompanied with a general discussion for <br />the variance. <br /> <br />GENERAL FUND <br /> <br /> Revenues: <br /> License & permit collections are about 80% of budget estimate. November collections <br />consist mainly of building-related permits. <br /> Charges for services are about 81% of budget due to the cancellation of recreation programs <br />this year. November collections consisting mainly of planning-related fees. <br /> Fines and forfeits, which lag a month for collections, are running 56% of budget. <br /> Transfers in are comprised of ERMU’s 4% October electric revenues. <br /> <br />Expenditures: <br /> Total departmental expenditures are about 81% of budget and most departments are within <br />or below budget estimates. <br /> <br /> <br />
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