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Tom Thanas, City Manager Rachel Mayer, Director of Finance City of Joliet Mid-Year Budget Review August 2013
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2013 Budget update Provide General Fund year-end projections Identify variances from budget Provide 2014 Budget Schedule
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General Fund
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General Fund Budget Summary Year-end Projections will be further refined as we begin to develop the 2014 Budget. 2013 BudgetJune YTD 2013 Projected Year End $ Variance from Budget Maintenance & Operating Revenues$ 158.3 m$ 83.1 m$ 161.7 m$ 3.4 m Expenses$ 158.3 m$ 79.6 m$ 158.0 m$ 0.3 m Surplus / (Deficit)$ -- m$ 3.5 m$ 3.7 m
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General Fund Maintenance & Operating Revenues 2013 Budget2013 June YTD 2013 Year-End Projection Property Taxes$ 33.0 m$ 16.6 m$ 33.0 m Gaming Revenue$ 20.9$ 10.2$ 20.3 State Sales Tax$ 18.6$ 9.7$ 19.0 Home Rule Sales Tax$ 21.2$ 11.3$ 22.0 Municipal Waste$ 12.3$ 6.1$ 12.3 Utility Taxes$ 9.2$ 4.7$ 9.0 Income Tax$ 12.7$ 7.6$ 14.0 Other Taxes$ 11.0$ 5.8$ 11.5 Licenses, Permits, Fees$ 19.4$ 11.0$ 20.6 TOTAL$ 158.3 m$ 83.0 m$ 161.7 m
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General Fund Budget Overview Revenue Highlights… State Income tax receipts above budget Received 7 payments thru June State catching up on payments - only 2 months behind Year-end projection assumes 12 payments received Local and State Sales tax receipts above budget Local Sales up 1.8% (2 month average) State Sales up over 5.5% (6 month average) Ambulance Billing revenues performing slightly above budget Licenses, Permits, & Fees up slightly Gaming Revenues tracking below budget
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General Fund Maintenance & Operating Expenses 2013 Budget2013 June YTD 2013 Year-End Projection Variance Payroll & Overtime $ 74.1 m$ 37.9 m$ 74.8 m$ (0.7)m Pensions, FICA, Medicare $ 30.4$ 15.6$ 30.4$ -- Insurance $ 23.5$ 11.5$ 23.5$ -- Municipal Waste $ 11.4$ 5.7$ 11.4$ -- Utilities, Chemicals, Fuel $ 5.9$ 2.7$ 5.3$ 0.6 Professional Services $ 5.2$ 2.2$ 4.8$ 0.4 Supplies $ 1.7$ 0.8$ 1.6$ 0.1 Other Expenses $ 5.6$ 3.0$ 5.7$ (0.1) Legal Claims $ 0.5$ 0.2$ 0.4$ 0.1 TOTAL $ 158.3$ 79.6$ 157.9$ 0.4
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General Fund Budget Overview Expense Highlights… Overtime costs exceeding budget Fire Department Police Department Fleet Services Division Increased costs in the Electrical Division of Public Works Costs of Crossing Guard operations exceeding budget Rebate Programs exceeding budget
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Water & Sewer Funds
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2012 Actual 2012 June YTD 2013 Budget 2013 June YTD Maintenance & Operating Revenues$ 43.7 m$20.6 m$ 40.9 m$ 20.6 m Less: Expenses$ 33.0$ 13.9$ 34.8$ 12.9 Surplus / (Deficit)$ 11.5$ 8.6$ 5.8$ 6.7 Plus: Loan Proceeds$ 8.2$ 6.3$ -0-$ 1.3 Less: Capital Expenditures $ 16.7$ 10.8$ 15.2$ 6.9
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Water & Sewer Funds Surplus of $2.2 million at mid-year Debt service payment of $6.6 million paid at year end Overall revenues and expenses are in line with budget Capital projects continue on aging system – Black Road Lift Station ($1.2 million spent thru June) – Meter Replacement Program (nearly $600k spent…) – $2.7 million spent on system infrastructure improvements – $1.3 million spent on equipment improvements
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Parking Fund
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2012 Total 2012 June YTD 2013 Budget 2013 June YTD Revenues$ 1.48 m$ 0.73 m$ 1.44 m$ 0.74 m Expenses: Personal Services$ 0.66$ 0.34$ 0.68$ 0.32 Pension, FICA, Medicare$ 0.17$ 0.09$ 0.18$ 0.09 Transfers Out$ 0.32$ 0.16$ 0.32$ 0.16 All Other$ 0.23$ 0.11$ 0.25$ 0.11 Subtotal$ 1.38$ 0.70$ 1.45$ 0.71 Surplus / (Deficit)$ 0.1$ 0.03$ --$ 0.06
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Parking Fund Positive operating variance after 6 months Local Debt Recovery Program revenue = $137,000 thru June – Total 2012 revenue from parking fines = $141,000 Total revenue from parking permits, street parking, lots, and decks in line with 2013 budget – Collected 51% thru June Operating expenses are flat when compared to 2012 $734,000 versus $742,000 Capital improvements needed on system assets
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Capital & Special Revenue Funds
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Capital Improvement Fund $1.1 million in Vehicles on order – Fire, Police, and Public Works Final payment for Starcom21 (new public safety radio system) Equipment on order for Roadways – Forestry – Stump Grinder & Chipper – GPS Vehicle Tracking System $200k in New desktop computers being deployed
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Special Revenue Funds $1.0 million spent of $3.5 million Evergreen Terrace Reserve Motor Fuel tax receipts total $1.8 million down slightly from 2012 June total of $2.0 million – $2.1 million spent on roadway improvements thru June $1.2 million spent from Property Improvement Fund on outstanding developer improvements $245,000 expended on Downtown TIF District projects Grants & Special Revenue Fund – $1.3 million received for the Statesville Shooting Range project – $2.7 million received for the Laraway Road project – $1.3 million of State and Federal Grant funding received
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2014 Budget Schedule Preliminary Oct 29 th Special Meeting – First Budget Review Nov 4 th Pre-Council Meeting – Budget Review Nov 18 th Pre-Council Meeting – Budget Review Dec 2 nd Pre-Council Meeting – Final Review Dec 3 rd Council Meeting – Final vote on 2014 Budget
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Tom Thanas, City Manager Rachel Mayer, Director of Finance Thank You & Questions
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