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<br />t~.ver <br />MEMORANDUM <br />TO: Mayor and City Council <br />FROM: Tim Simon, Finance Director <br />DATE: May 17, 2010 <br />SUBJECT: April 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 April, actual revenues (except for property taxes and state aids) and <br />expenditures should run slightly over 33% of the annual budget. It is natural for some of the <br />items to vary from month to month, such as exceeding budget for Supplies but being <br />significantly below for Services. This is not considered serious as long as the total <br />expenditure budget amount is not overspent. Significant variances from budget are <br />highlighted below accompanied with a general discussion for the variance. <br />General Fund <br />Kevenues: <br />• Excluding transfers in, revenue collections axe about 4.4% of budget. Property taxes, <br />our largest revenue source, will be received in July and December. <br />• Licenses and permits are slightly below budget estimates at 29.8%. <br />• Charges for services include the annual fire contracts which are lower than budget <br />estimates due to a decrease in the percentage of fire calls for Otsego in 2009. <br />• The negative interest income is related to the reversal of the prior year's interest <br />receivable. <br />• The transfers in will be recorded mid-year. <br />E.>cpenditures: <br />• Excluding transfers out, the total departmental expenditures are at about 28% and <br />most departments axe well within or below budget. <br />• The transfers out to the Ice Arena and Pinewood Golf are made at the end of the <br />year. <br />