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CC - Receipt and Filing of the Interim Financial Report Through May 31, 2020
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Meeting Date: July 13, 2020
Contact Person/Dept: Onyx Jones/Finance Department
Phone Number: (310) 253-5865
Fiscal Impact: Yes [] No [X] General Fund: Yes [X] No []
Public Hearing: [] Action Item: [] Attachments: Yes [X] No[]
Public Notification: (Email) Meetings and Agendas - City Council (07/08/2020);
Department Approval: Onyx Jones, Chief Financial Officer (07/13/2020)
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RECOMMENDATION
Staff recommends the City Council receive and file the Interim Financial Report through May 31, 2020 (Attachment 1).
BACKGROUND/DISCUSSION
Interim Financial Report through May 31, 2020
The attached Interim Financial Report presents the City Council with a snapshot of General Fund expenditures and revenues through May 31, 2020. The report will compare actual receipts and expenses to the FY 2019/2020 Revised Budget and Forecast.
FISCAL ANALYSIS
General Fund operating revenues through May 31, 2020 are $108.3M or 98.8% of the Forecast amount, and 83.0% of the FY 2019/2020 Revised Budget. General Fund expenditures through May 31, 2020 are $108.9M or 93% of the Forecast amount, and 76% of the FY 2019/2020 Revised Budget. There is also $7.3M in encumbrances.
There is a net loss of ($579,336) as of May 31, 2020. However, a portion of the $7.3M in encumbrances will still be paid out before the end of the fiscal year and there are also year-end audit entries that will be posted in the June. Both of these factors will impact how the General Fund ends the fiscal year.
It should also be noted, that the FY 2019/2020 Revised Budget of $144M included much needed capital projects and operational cost that were budgeted to address the growing needs of the City. Although, the City is positioned well to maintain operations during this pandemic, it cannot continue to operate eff...
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