My WebLink
|
Help
|
About
|
Sign Out
Home
Browse
Search
City Council Agenda and Packet 2019 07 16 Budget Retreat
PORTAL
>
CITY COUNCIL RECORDS
>
AGENDAS & PACKETS (45.010)
>
2010-2019 City Council Agendas and Packets
>
2019 City Council Agendas and Packets
>
City Council Agenda and Packet 2019 07 16 Budget Retreat
Metadata
Thumbnails
Annotations
Entry Properties
Last modified
11/14/2025 1:29:10 PM
Creation date
7/12/2019 11:24:41 AM
Metadata
Fields
Template:
City Council Records
Doc Type
City Council Packet
Original Hardcopy Storage
Paper copy disposed of on November 12 2025
There are no annotations on this page.
Document management portal powered by Laserfiche WebLink 9 © 1998-2015
Laserfiche.
All rights reserved.
/
96
PDF
Print
Pages to print
Enter page numbers and/or page ranges separated by commas. For example, 1,3,5-12.
After downloading, print the document using a PDF reader (e.g. Adobe Reader).
Show annotations
View images
View plain text
LCity,/ <br />Louisville <br />COLORADO • SINCE 1878 <br />CITY COUNCIL COMMUNICATION <br />AGENDA ITEM 2A <br />SUBJECT: <br />DATE: <br />2018 YEAR -IN -REVIEW <br />JULY 16, 2019 <br />PRESENTED BY: HEATHER BALSER, CITY MANAGER <br />KEVIN WATSON, FINANCE DIRECTOR <br />SUMMARY <br />When developing the 2019-2020 biennial budget, staff made various revenue and <br />expenditure projections for 2018 in order to estimate the 2018 ending fund balance, which <br />is the beginning fund balance for the 2019-2020 biennium. <br />It was necessary to make these 2018 projections well in advance of the 2018 fiscal year- <br />end. Therefore, as the first step in developing the 2020 Budget, the new 2019-2024 <br />Capital Improvements Plan, and the new 2019-2024 Long -Term Financial Plan, staff has <br />updated all financial calculations by replacing the 2018 projections with the actual audited <br />amounts for 2018. <br />The purpose of this agenda item is to briefly review the differences between the 2018 <br />projections and the final audited 2018 actuals for the City's main operating funds. The <br />table below summarizes and compares these amounts for the General Fund. <br />General Fund <br />2018 Projections & 2018 Audited Actuals <br />2018 <br />Projection Actual Variance <br />Beginning Fund Balance 1,191,331 7,797,337 <br />Plus: Revenue <br />Less: Expenditures <br />Less: Transfers -Out <br />23.491.460 23.980.822 489.362 <br />(21.052_390) (18.778.361) 2.274.029 [1] <br />(2_484.100) (2.471.660) 12.440 <br />Ending Fund Balance 7,752,307 10,528,139 2,775,832 <br />Adjustment for Carry Forward Amendment (146.720) <br />Net Variance 2,629,112 <br />[1] Equates to a 9.7% "Tumback" (i.e.. 9.7% positive actual -to -budget variance) <br />Equates to a 10.8% positive actual -to -projection variance <br />CITY COUNCIL COMMUNICATION <br />
The URL can be used to link to this page
Your browser does not support the video tag.