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07 - July 2022 Financial Report
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07 - July 2022 Financial Report
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City of Paris <br />July 2022 Financial Report Comments <br />Net to Date Comparison of Revenues: <br />1. The operations and maintenance property tax and related collections reported are 3.35% more <br />than what was reported in 2021. Current tax collections this year are 97.67% of the tax levy vs. <br />97.01% last year. <br />2. Sales taxes are up 1.10% from last year ($84,483). <br />3. Hotel occupancy taxes are up 2.34% compared to last year ($19,782). <br />4. Franchise fees are up 7.13% compared to last year ($186,752). <br />5. Permit fees are up 115.35% from last year ($137,561). Both new residential and new <br />commercial permits are up significantly. <br />6. Municipal Court fines and related fees are down 2.42% compared to last year ($4,856). <br />7. Other revenue includes leases, interest, copy fees, birth & death certificates, library fees, mixed <br />beverage tax, and other minor revenues. This revenue is down 8.33% ($66,229). <br />8. Sanitation fees are flat when compared to 2021 collections being down only $854. <br />9. EMS fees are up 3.05% compared to last year ($84,192). <br />10. W&S Administration fees are up 24.48% over last year ($196,714). This is in accordance with the <br />2021-22 Budget. <br />11. Total General Fund revenues are 3.77% more than last year ($904,177). This mainly due to <br />property tax collections and franchise revenue. General Fund revenues equal 97.08% of the <br />budget with the City being 83.33% through the budget year. <br />12. Total General Fund expenditures look like they are up 20.29% ($3,904,773) compared to last <br />year. However, this expenditure number includes the $2,500,000 loan that the City gave to <br />PEDC. If the loan is backed out of the expenditure totals, the increase would be 7.30% <br />($1,404,773). General Fund expenditures to date equal 89.32% of budget (79.67% when <br />adjusted for the PEDC loan.) The City is 83.33% through the budget year. <br />13. Sewer revenue is up 18.69% ($1,109,450). This reflects the gradually increasing rates that the <br />City Council has approved to fund the new wastewater plant. <br />14. Water revenue is up 5.16% ($352,204). <br />15. Other revenue sources are down 14.07% ($80,793). <br />16. Total Water & Sewer revenues, ignoring transfers and adjustments, are 10.36% above last year <br />and represents 88.60% of the total budget. <br />17. Total Water & Sewer expenses are 0.97% below last year at this point and represent 49.90% of <br />the total budget (76.68% adjusted for debt payments to date.) while the City is 83.33 % through <br />the budget year. <br />Departmental Expenditure Summary: <br />At this point the City is ten months or 83.33% through the budget year. It is important to remember that <br />expenditures do not occur equally throughout the year. For example, capital expenditures and <br />association memberships are one time expenditures that if made early in the fiscal year can produce a <br />
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