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HomeMy WebLinkAbout101-Treasurer�s Report for the Month Ended January 31, 2010 .pdf SARATOGA CITY COUNCIL MEETING DATE: March 3, 2010 AGENDA ITEM: DEPARTMENT: Finance & Administrative Services CITY MANAGER: Dave Anderson PREPARED BY: Ann Xu, Accountant DEPT HEAD: Mary Furey SUBJECT: Treasurer’s Report for the Month Ended January 31, 2010 RECOMMENDED ACTION Review and accept the Treasurer’s Report for the month ended January 31, 2010. REPORT SUMMARY California government code section 41004 requires that the City Treasurer (the Municipal Code of the City of Saratoga, Article 2-20, Section 2-20.035, designates the City Manager as the City Treasurer) submit to the City Clerk and the legislative body a written report and accounting of all receipts, disbursements, and fund balances. Section 41004. Regularly, at least once each month, the City Treasurer shall submit to the City Clerk a written report and accounting of all receipts, disbursements, and fund balances. He shall file a copy with the legislative body. The following attachments provide various financial transaction data for the City of Saratoga’s Funds collectively as well as specifically for the City’s General (Operating) Fund, including an attachment from the State Treasurer’s Office of Quarterly LAIF rates from the 1st Quarter of 1977 to present. FISCAL IMPACT Cash and Investments Balance by Fund As of January 31, 2010, the City had $125,362 in cash deposit at Comerica bank, and $13,544,314 on deposit with LAIF. Council Policy on operating reserve funds, adopted on April 20, 1994, states that: for cash flow purposes, to avoid occurrence of dry period financing, pooled cash from all funds should not be allowed to fall below $2,000,000. The total pooled cash balance as of January 31, 2010 is $13,669,676 and exceeds the minimum limit required. Unrestricted Cash Comerica Bank125,362$ Deposit with LAIF13,544,314$ Total Unrestricted Cash13,669,676$ Cash Summary The Fund Balance schedule presented on the following page represents actual funding available for all funds at the end of the monthly period. This amount differs from the above Cash Summary schedule as assets and liabilities are components of the fund balance. As illustrated in the summary below, Total Unrestricted Cash is adjusted by the addition of Total Assets less the amount of Total Liabilities to arrive at the Ending Fund Balance – which represents the actual amount of funds available. Total Unrestricted Cash13,669,676$ Plus: Assets209,892 Less: Liabilities (1,269,059) Ending Fund Balance12,610,509$ Adjusting Cash to Ending Fund Balance CONSEQUENCES OF NOT FOLLOWING RECOMMENDED ACTION The City would not be in compliance with Government Code Section 41004. ALTERNATIVE ACTION N/A FOLLOW UP ACTION N/A ADVERTISING, NOTICING AND PUBLIC CONTACT N/A ATTACHMENTS A – Change in Total Fund Balances by Fund B – Change in Total Fund Balances by CIP Project C – Local Agency Investment Fund (LAIF) Quarterly Apportionment Rates ATTACHMENT A CHANGES IN TOTAL FUND BALANCE Fund Description Fund Balance 7/1/09 Increase/ (Decrease) Jul-Dec Current Revenue Current Expenditure Transfers Fund Balance 1/31/10 General Undesignated Unreserved Balance857,524 (1,322,890) 2,388,620 1,662,158 - 261,097 Reserved Fund Balance: Petty Cash Reserve1,300 - - - - 1,300 Designated Fund Balances:- - Designated for Operations 2,870,140 - - - - 2,870,140 Designated Economic Uncertainty 1,500,000 - - - - 1,500,000 Designated for Development 707,380 - - - (75,000) 632,380 Designated for Environmental 613,182 - - - (50,000) 563,182 Designated for Uncollected Deposits182,159 - - - - 182,159 Designated for Mid Pen Open Space 250,000 - - - (250,000) - Designated for Hillside Reserve300,000 - - - - 300,000 Designated for CIP Matching Grant600,000 - - - - 600,000 Designated for CIP Transfer 300,000 - - - (300,000) - Designated for Economic Stability25,000 - - - (25,000) - Designated for Carryforward22,000 - - - (22,000) - Special Revenue Landscape/Lighting Districts359,917 (97,939) 168,724 57,762 - 372,941 CDBG Federal Grants- (42,859) - - - (42,859) SHARP Loan209,175 479 - - - 209,655 Capital Project Street Projects1,926,230 (124,004) 19,292 86,403 - 1,735,116 Park and Trail Projects542,045 96,567 - 1,120 - 637,492 Facility Improvement Projects953,833 (377,069) 5,660 108,441 - 473,984 Administrative Projects163,910 17,280 - 1,597 - 179,593 Tree Fine Fund62,943 (27,197) - 2,545 - 33,200 CIP Grant Fund(200,477) (108,104) 39,928 258,412 - (527,065) Gas Tax Fund62,495 66,129 - 174,666 - (46,042) Debt Service Library Bond 931,361 (660,026) 511,059 336,828 445,566 Internal Service Fund Liability/Risk Management202,872 (89,216) 64,660 6,522 - 171,793 Workers Compensation123,034 68,634 62,500 2,172 - 251,997 Office Stores Fund39,633 6,137 10,000 3,104 - 52,666 Information Technology Services 174,838 17,736 100,000 35,858 - 256,716 Equipment Maintenance56,654 17,092 56,250 23,944 - 106,052 Building Maintenance208,842 41,043 187,500 61,498 - 375,888 Equipment Replacement 153,214 87,655 50,000 7,824 - 283,044 Technology Replacement 315,290 (21,683) 14,502 318 - 307,791 Trust/Agency Library Fund354,394 (2,556) - - - 351,838 KSAR - Community Access TV84,603 (17,607) 14,559 10,669 - 70,886 Total City14,953,491 (2,472,397) 3,693,254 2,841,841 (722,000) 12,610,509 ATTACHMENT B FUND BALANCES BY CIP PROJECT CIP Funds/Projects Fund Balance 7/1/09 Increase/ (Decrease) Jul-Dec Current Revenue Current Expenditure Transfers Fund Balance 1/31/10 Street Projects Traffic Safety90,472 (15,934) - - 74,538 Highway 9 Safety Project45,129 - 8,200 - 53,329 Annual Street Resurfacing Project233,602 112,780 11,092 83,880 273,595 Sidewalks Annual Project18,935 (7,184) - - 11,751 Saratoga Sunnyvale Road Resurfacing64,972 (1,093) - - 63,879 Traffic Signal @ Verde Vista Lane90,000 - - - 90,000 Fourth Street Bridge100,000 - - - 100,000 Quito Road Bridge Replacement Design9,730 - - - 9,730 Quito Road Bridge Construction115,726 - - - 115,726 Village Newsrack Enclosure23,307 (10,723) - - 12,584 Village Façade Program18,815 (2,837) - - 15,978 Solar Power Radar Feedback Signs24,158 - - - 24,158 El Quito Area Curb Replacement37,553 - - - 37,553 Sobey Road Culvert Repair150,000 - - - 150,000 Annual Storm Drain Upgrade246 (45,413) - - (45,167) Village Trees & Lights at Sidestreets25,336 - - - 25,336 Village Pedestrian Enhancement9,128 (146) - - 8,982 Prospect Road Median151,036 (96,850) - 2,523 51,663 City Entrance Sign/Monument23,788 - - - 23,788 Village-Streetscape Impv 517,188 - - - 517,188 Saratoga-Sunnyvale/Gateway Sidewalk4,107 (585) - - 3,522 Comer Drive Retaining Wall173,003 (56,020) - - 116,983 Total Street Projects1,926,230 (124,004) 19,292 86,403 - 1,735,116 Parks & Trails Hakone Garden Koi Pond49,150 (23) - - 49,127 EL Quito Park Improvements43,905 - - - 43,905 Wildwood Park - Water Feature/Seating275 - - - 275 Historical Park Landscape33,890 (446) - 2,488 30,956 Hakone Garden Retaining Wall & D/W142,829 - - - 142,829 Hakone Garden Upper Moon House 125,000 - - - 125,000 Kevin Moran Improvements69,083 (93,380) - (2,488) (21,809) West Valley Soccer Field(29,176) - - - (29,176) Park/Trail Repairs7,748 (4,878) - - 2,870 Trail Segment #3 Repair68,606 (7,912) - - 60,694 Teerlink Ranch Trail14,850 (14,850) - - - Tank Trail Repair60,695 (31,945) - 1,120 27,630 Mid Pen O/S Land Purchase- 250,000 - - 250,000 CIP Allocation Fund15,885 - - - 15,885 Total Parks & Trails602,741 96,567 - 1,120 - 698,188 Facility Improvements Warner Hutton House Improvements813 - - - 813 Facility Projects108,643 (73,236) - - 35,407 Civic Center Improvement4,294 (340) - - 3,954 Theater Improvement68,518 (10,293) 5,660 16,329 47,556 Corp Yard - Men's Restroom1,829 20,781 - 23,075 (464) Fire Alarm at McWilliams & Museum11,371 - - - 11,371 North Campus Improvements43,960 (38,433) - - 5,528 North Campus - Bldg Removal73,250 (72,866) - 171 213 HVAC System Upgrade- 125,000 - - 125,000 Multi-Purpose Room Fund250,000 (250,000) - - - Corp Yard Solar Project93,250 125,000 - - 218,250 Library HVAC Upgrade276,143 (207,681) - 68,867 (405) Library - EXT Improvement10,000 5,000 - - 15,000 McWilliams House Improvement10,000 - - - 10,000 Historical Park Fire Alarm System1,762 - - - 1,762 Total Facility Improvements953,833 (377,069) 5,660 108,441 - 473,984 Administrative Projects Financial System Upgrade3,534 - - - 3,534 Document Imaging Project86,780 - - 1,597 85,183 CDD Document Imaging Project36,635 (4,646) - - 31,989 Website Development Project30,959 (28,074) - - 2,885 IT Emergency Power Back- 10,000 - - 10,000 IT Server Room A/C- 40,000 - - 40,000 KSAR Equip Upgrades6,002 - - - 6,002 Total Administrative Projects163,910 17,280 - 1,597 - 179,593 Tree Fine Fund Tree Fine Fund62,943 (27,197) - 2,545 33,200 CIP Fund CIP Grant Fund(200,477) (108,104) 39,928 258,412 (527,065) Gax Fund Gas Tax Fund62,495 66,129 - 174,666 (46,042) Total CIP Funds3,510,979 (456,398) 64,880 633,184 - 2,546,973 ATTACHMENT C