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Published byOttaviana Pizzi Modified over 5 years ago
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Comprehensive Monthly Financial Report (Unaudited)
As of March, 2019(50% through FY)
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General Fund As of March 31, 2019:
YTD General Fund Revenues: $14,876,979 or 61% of expected collections YTD General Fund Expenditures: $12,644,398 or 49% of budgeted expectations
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Sales Tax YTD 2019 through March, sales tax collections are down $(67,965) or -1.71% compared to March 2018 YTD. $7,376,935 Sales Tax Target $3,585,731 YTD Actual Sales Tax 18-19 $3,791,204 Remaining Sales Tax to Collect to meet 1% increase
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Sales Tax Current period collections of $599,195 were remitted for March 2019, an increase of 3.3% compared to March These taxes were collected by businesses in January reported in February to the State, and received in March by the City of Greenville.
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Sales Tax
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History of March Sales Tax
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Water and Sewer In total, Water and Sewer Fund revenues, through March, are $6,621,625 or 46% of budgeted expectations.
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Hotel Motel Occupancy Tax
Hotel/Motel Occupancy Tax through March 2019 decreased ($16,039) or -6% from prior year.
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