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HomeMy WebLinkAboutPOWERPOINT - 19C FY 2018-19 First Quarter Update Exhibit 1EXHIBIT 1 v AGENDA Adopted FY 2018-19 General Fund Budget • Summary FY 2018-19 General Fund First Quarter Revenue • FY 2018-19 General Fund First Quarter • Expenditures Next Steps • 2 FY 2018-19 General Fund Budget Summary ADOPTED FY 2018-19 GENERAL FUND BUDGET $290.0 $10.2M BudgetGap Millions (balanced w/the use of Unassigned $264.6M Fund Balance) $270.0 $254.4M $250.0 $230.0 $210.0 $190.0 $170.0 $150.0 ADOPTED GF REVENUEADOPTED GF EXPENDITURES FY 2018-19 Budget was approved by Council on 06/19/2018 3 FY 2018-19 FIRST QUARTER TOP SIX GF REVENUES FY 18-19 FY 18-19 Revenue Source July -Sept% Received Adopted Budget Actuals Sales Tax $47,904,702 $3,943,4228.2% Property Tax 36,176,616673,7611.9% Property Tax In-Lieu of VLF* 32,643,08500.0% UUT 25,400,0004,611,71418.2% Business License 12,000,000797,9366.7% Hotel Visitors Tax 8,500,0001,806,58121.3% Total Top Six GF Revenues 162,624,40311,833,4147.3% *Property Tax in-Lieu of VLF revenue is received in January & May of the fiscal year (3 rd& 4 th Quarter) 14 4 FY 2018-19 First Quarter Total GF Revenues Revenue Trends FY 18-19 FY 18-19 Cumulative Revenue SourceJuly -Sept% Received Adopted Budget Actuals Jail Revenue $16,048,750$2,271,83914.2% Quarter 1 CommercialCannabis* 7,800,00000.0% 10% Adult-Use Retail Cannabis 5,500,000712,03312.9% Quarter 2 MedicalMarijuana Tax 2,260,000355,17615.7%32% Plan Checks** 3,116,950588,50518.9% Quarter 3 BuildingPermits 2,184,295533,58024.4% 63% Electrical Permits 900,070310,97734.6% Heating Permits 572,805207,29336.2% Subtotal Other NotableRevenues 38,382,8704,979,40313.0% Quarter 4 100% Other General Fund Revenues 63,553,8118,691,41413.7% Top Six GF Revenues 162,624,40311,833,4147.3% Total Revenues $264,561,084$25,504,2319.6% *Includes Cultivation ($4.6M), Manufacturing ($2.4M), Distribution ($700K) & Testing ($80K) 5 **Includes Building (2.5M), Electrical (256K), Plumbing (119.5K), & Mechanical (207K) GF FIRST QUARTER EXPENDITURE FY 18-19% FY 18-19 Departmental ExpendituresJuly-SeptExpended AdoptedBudget Actuals 22.3% City Manager $2,703,450$603,476 Exp. 25.0% Non-Dept. (PrimarilyIT Charges) 3,338,654836,136 Trends 21.4% Transfers to Projects 12,306,5842,628,021 Cumulative 15.4% Clerk of the Council 1,648,822253,567 Quarter 1 20.2% City Attorney's Office 3,469,913700,650 24% 23.2% Human Resources 1,766,698 410,544 Quarter 2 22.9% Finance & Management Services Agency 6,022,314 1,376,647 50% 24.8% Bowers Museum 1,476,130365,408 Quarter 3 22.8% Parks and Recreation Services Agency 21,173,1784,824,096 73% 23.2% Police Department 131,751,331 30,612,987 16,212,397 31.1% Fire Department 52,129,291 (includes 1 mo.Advanced pmt.) Quarter 4 22.3% Planning & Building Agency 12,428,0732,771,120 100% 15.7% Public Works Agency 8,166,5381,285,431 35.2% Community Development Agency 980,107345,079* 0.0% Youth Programs/CannabisEnforcement 5,200,0000 23.9% TOTAL GENERAL FUND$ 264,561,084$ 63,225,558 6 *Includes expenditures associated with the encumbrance of FY 17-18 funds for Greater Santa Ana Vitality NEXT STEPS Mid-Year & Other Updates December 18, 2018 -Fiscal Year 2018-19 Carry Over Requests -2019-20 Budget Calendar: City Council Meeting February 5,2019 -City Council/EDIBT: Mid-Year Budget Update 7 17