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SUBJECT: <br />2018 YEAR -IN -REVIEW <br />DATE: <br />JULY 16, 2019 <br />PAGE2OF7 <br />The first column (Projection) summarizes the General Fund revenue and expenditure <br />projections that were developed in the Fall of 2018. The second column (Actual) <br />summarizes the final actual audited amounts for fiscal year 2018. The final column <br />calculates a positive or negative variance between the actual amounts and the original <br />projections. <br />For the General Fund, the 2018 ending fund balance of $10,528,139 is $2,775,832 <br />greater than the projection. This is mostly due to a 9.7% "turnback" amount. The term <br />"turnback" has been used in the past to refer to a positive actual -to -budget variance for <br />fund expenditures. The positive actual -to -projection variance for fund expenditures for <br />the General Fund is 10.8%. <br />Determining the budget carry forward amendments is the second step in developing the <br />2020 Budget, the new 2019-2024 Capital Improvements Plan, and the new 2019-2024 <br />Long -Term Financial Plan. Since part of the positive ending fund balance variance for <br />2018 is due to unfinished projects that will be completed in 2019, it is appropriate to <br />reduce the variance by the carry forward budget amendment that was approved by <br />Council on June 4. This is not a significant factor when analyzing the General Fund, but <br />may be very significant when analyzing funds that contain large amounts of capital outlay. <br />The remaining Net Variance amount shown in the preceding table ($2,629,112) can be <br />thought of as the unanticipated amount of additional fund balance at the beginning of <br />2019. <br />The following tables present the same actual -versus -projection analysis for the City's <br />other main operating funds: <br />• Open Space & Parks; <br />• Historic Preservation; <br />• Capital Projects; <br />• Water Utility; <br />• Wastewater Utility; <br />• Storm Water Utility; <br />• Consolidated Utility; and <br />• Golf Course Fund. <br />At the meeting, staff will present a PowerPoint presentation containing these tables and <br />will lead the discussion on reserve levels, total turnback, and operational turnback. <br />CITY COUNCIL COMMUNICATION <br />