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<br /> <br /> <br /> <br /> <br /> <br /> <br /> City of Paris <br /> April 2011 Financial Report Comments <br /> <br /> Net to Date Comparison of Revenues: <br /> <br /> 1. Property tax and related collections are 4.35% less than this time last year. Collections for the <br /> current year equal 95.72% of the tax roll compared to 95.48% last year. <br /> 2. Sales taxes are up 5.36% over last year. <br /> 3. Hotel occupancy taxes are down 1.25% from last year. As of 5-12-2011, Ramada Inn is <br /> delinquent for the quarter ending 9-30-2010, the quarter ending 12-31-2010, and the quarter <br /> ending 3-30-2011 although they did make a partial payment on the third quarter 2010 <br /> delinquency. It is my understanding that there is a sale pending on the hotel. If the hotel sells, <br /> we should be able to collect our taxes out of the proceeds. La Quinta is delinquent for the Vt <br /> quarter of 2011. It is unknown at this time how the City will be treated in the bankruptcy <br /> proceeding filed by La Quinta. <br /> 4. Franchise fees are up 2.19% compared to last year. <br /> 5. Permit fees are up $12,711 or 27.91%. <br /> <br /> 6. Municipal Court fines are up 7.48%. <br /> 7. Interest & lease payments are down $16,093. It is normal for the flow of interest revenue to <br /> vary from year to year. <br /> 8. Sanitation fees are up 13.27%. This reflects the rate change approved by the Council last July. <br /> 9. EMS fees are up 3.40%. <br /> 10. General Fund miscellaneous fees/revenues are unpredictable in nature and amount but do <br /> occur each year. Variances from one year to the next are not unusual. The primary difference to <br /> date is caused by a slightly smaller return of equity payment from the TML insurance pool this <br /> year and last year's reimbursement by TOOT of some airport maintenance costs. <br /> <br /> 11. Total General Fund revenues are .50% above last year. General Fund revenues to date are <br /> 69.23% of the budget while the City is 58.33% through the budget year. <br /> 12. Total General Fund expenditures are down 0.04% compared to last year after seven months. <br /> General Fund expenditures to date equal 54.54% of budget with the City being 58.33% through <br /> the budget year. <br /> 13. Sewer revenue is down 6.60% compared to last year due in part to reduced flow and load from <br /> Sara Lee. Water revenue is up 5.98% year to date as the City had a dry summer in 2010 which <br /> caused the watering season to extend into the Fall months. Miscellaneous water and sewer <br /> revenues are up due to the $149,484 refund received from the US Corps of Engineers on Pat <br /> Mayse Lake. Total Water & Sewer revenues are 2.90% above last year and equal 57.10% of <br /> <br /> budget which is below the 58.33% budget to date percentage. Total Water & Sewer expenses <br /> are 2.16% above last year at this point in time and represent 36.57% of the total budget (50.84% <br /> adjusted for debt payments) while the City is 58.33% through the budget year. <br /> <br /> <br /> <br /> <br /> <br /> <br /> 22 <br />