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File #: CM 20-336   
Type: Committee Memo Status: Presented
File created: 11/19/2020 In control: Committee of the Whole - Finance, Administration, and Communications
On agenda: 11/24/2020 Final action: 11/24/2020
Title: Monthly Financial Report through October 2020
Attachments: 1. Agenda Memo, 2. Attachment A: October 2020 Monthly Financial Report, 3. Attachment B: COVID-19 Emergency Operations Costing

TO: Committee of the Whole - Finance, Administration, and Communications

FROM: Mayor Angela Birney

DEPARTMENT DIRECTOR CONTACT(S):

Finance

Malisa Files

425-556-2166

 

 

TITLE:

title

Monthly Financial Report through October 2020

OVERVIEW STATEMENT:

recommendation

Review the Monthly Financial Report from January 1, 2019 through October 31, 2020 and the COVID Expense Tracking report.  The October Financial Report continues to show the impacts of the pandemic mainly in ongoing revenue. However, one-time revenue from construction projects remains steady.

 

body

  Additional Background Information/Description of Proposal Attached

 

 

REQUESTED ACTION:

 

  Receive Information                                            Provide Direction                                            Approve

 

 

REQUEST RATIONALE:

 

                     Relevant Plans/Policies:

Review of the City’s finances between January 1, 2019 and October 31, 2020.

                     Required:

N/A

                     Council Request:

N/A

                     Other Key Facts:

N/A

 

 

OUTCOMES:

Each month the Finance Department reviews the previous month’s financial performance. Some highlights from the October Monthly Report, include:

General Fund

                     Revenue collections are over targets by approximately 8% or $13 million.

                     One-time sales tax on construction continues to be the revenue driver. Sales tax has exceeded targets by approximately 42% or $17.4 million.

                     Property taxes are on target for the year. Property taxes are collected twice per year. The City expects the next collection in November.

                     Utility taxes are below budgeted projections, consistent with past months, due to the purchase of wholesale electricity by a large customer and the vacancy of commercial buildings because of COVID 19.

                     Miscellaneous revenue is showing increased collections due to the sale of investments.

                     Expenditures are below budget by approximately 10.4% or $20 million due to the curtailment of non-critical expenditures and the hiring freeze

Other Funds

                     The Recreation Activity Fund has been drawn down to zero due to the lack of allowed recreational activity.

                     The utility funds remain on target.

                     Expenditures in the CIP remain low at 45%.

COVID Expenses

                     As of October 25, 2020, direct COVID expenses totaled $490,769 (see Attachment A). A total of 75% of these costs will be reimbursable by FEMA.

 

 

COMMUNITY/STAKEHOLDER OUTREACH AND INVOLVEMENT:

 

                     Timeline (previous or planned):

N/A

                     Outreach Methods and Results:

N/A

                     Feedback Summary:

N/A

 

 

BUDGET IMPACT:

 

Total Cost:

N/A

 

Approved in current biennial budget:                                            Yes                                            No                                            N/A

 

Budget Offer Number:

N/A

 

Budget Priority:

Responsible Government

 

Other budget impacts or additional costs:                       Yes                                            No                                            N/A

If yes, explain:

N/A

 

Funding source(s):

N/A

 

Budget/Funding Constraints:

N/A

 

  Additional budget details attached

 

 

ANTICIPATED RESULT IF NOT APPROVED:

N/A

 

 

ATTACHMENTS:

Attachment A: Monthly Financial Report Ending September 30, 2020

Attachment B: COVID Expense Tracking Report