My WebLink
|
Help
|
About
|
Sign Out
Home
Browse
Search
Item 22 - Investment Manager and Portfolio Services
Clerk
>
Agenda Packets / Staff Reports
>
City Council (2004 - Present)
>
2024
>
05/07/2024
>
Item 22 - Investment Manager and Portfolio Services
Metadata
Thumbnails
Annotations
Entry Properties
Last modified
5/13/2024 12:40:59 PM
Creation date
5/2/2024 5:45:31 PM
Metadata
Fields
Template:
City Clerk
Doc Type
Agenda Packet
Agency
Finance & Management Services
Item #
22
Date
5/7/2024
There are no annotations on this page.
Document management portal powered by Laserfiche WebLink 9 © 1998-2015
Laserfiche.
All rights reserved.
/
24
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).
View images
View plain text
Services Provided <br />CASH FLOW REVIEW/RIGHT-SIZING PORTFOLIO <br />Meeder's investment approach looks at the entire financial picture of the entity. We determine how to invest the <br />portfolio together with how much should be invested, how long, and whether the entity's bank/LGIP rates are <br />competitive. Meeder right -sizes a client's core investment portfolio to: <br />>> Prudently structure a consistent maturity schedule <br />Monitor seasonal cash trends and investment balances, along with daily cash inflows and outflows <br />Efficiently manage cash and attain proper positions for ongoing, long-term benefit <br />Minimize idle and low -yielding funds due to uncertainty around revenues and expenses <br />Our investment management approach is to conduct a cash flow analysis to determine how much should be invested <br />vs. remaining liquid. We call this process right sizing your core portfolio. This strategy focuses on maximizing income <br />over the long term. <br />It is common to see excess cash sitting idle due to the uncertainty surrounding revenues and expenses. Our process <br />minimizes idle and low yielding funds. With proper cash flow analysis and planning, along with prudently structuring <br />a consistent maturity schedule, we are able to help our clients efficiently manage cash and attain proper positions for <br />ongoing, long-term benefit. <br />Our cash flow modeling and forecasting tool will break down historical low points on cash and help to determine a <br />baseline cash policy for the City. Below is an example of the annual cash balances from data provided in the City's <br />annual comprehensive financial reports. <br />CASH FLOW ANALYSIS <br />HISTORICAL DATA <br />600,000,000 <br />500,000,000 <br />400,000,000 <br />300,000,000 <br />200,000,000 <br />100,000,000 <br />2019 2020 2021 <br />2022 <br />■ Business -Type Activities ■ Governmental Activities <br />2023 <br />Z��_ <br />M E E D E R <br />PUBLIC FUNDS <br />
The URL can be used to link to this page
Your browser does not support the video tag.