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07-MONTHLY STATEMENT OF ALL RECEIPTS AND DISBURSEMENTS FROM FINANCE DIRECTOR
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01 January
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01.23.12
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07-MONTHLY STATEMENT OF ALL RECEIPTS AND DISBURSEMENTS FROM FINANCE DIRECTOR
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CITY CLERK
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Departmental Expenditure Summary: <br />At this point the City is three months or 25% 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 />distorted expenditure percentage. Within the General and Water & Sewer Funds there are twelve <br />departments whose expenditures are over 25.00% at this time. <br />1. Municipal Court-26.75%. The overage amounts to $4,096 and is due to the annual payment of <br />stability pay plus December had 3 pay periods. <br />2. Police-26.94%. The overage amounts to $104,626 and is due to the annual payment of stability <br />pay plus December had 3 pay periods, and overtime. <br />3. Engineering-25.03%. The overage amounts to $123 and is not significant. <br />4. Public Works-27.46%. The overage amounts to $5,902 and is due to the annual payment of <br />stability pay plus December had 3 pay periods, and unemployment claims. <br />5. Traffic & Public Lighting-25.26%. The overage amounts to $1,369 and is due to electrical costs. <br />6. Garage-26.85%. The overage amounts to $5,452 and is due to the annual payment of stability <br />pay plus December had 3 pay periods. <br />7. EMS-25.74%. The overage amounts to $16,623 and is due to the annual payment of stability pay <br />plus December had 3 pay periods. <br />8. Cox Field-$44.98%. The overage amounts to $34,236 and is due to the grant match payment to <br />TxDot. <br />9. Library-26.16%. The overage amounts to $7,417 and is due to the annual payment of stability <br />pay plus December had 3 pay periods, and electrical costs. <br />10. General Expenses-31.82%. The overage amounts to $97,558 and is mainly due to the City's <br />contribution to various non-profit agencies, the Health Department, and IT purchases for various <br />departments. <br />11. Warehouse-30.91%. The overage amounts to $6,461 and is due to an erroneous posting. This <br />will be corrected in January. <br />12. Wastewater Treatment-26.57%. The overage amounts to $32,880 and is due to chemical costs, <br />TCEQ license fees, the annual payment of stability pay, plus December had 3 pay periods. <br />General comments to the City Council: <br />1. Over 99% of all of the City operational activity takes place in the General Fund or the Water and <br />Sewer Fund. The other funds are special purpose funds with limited activity and usually with <br />legal restrictions on what their money can be spent on. For that reason, I normally only <br />comment on the activity of the General Fund and Water & Sewer Fund. However, if it were <br />needed, I would make comment on activity in one of the other funds. <br />2. I try to anticipate questions you might have about the report and comment on those points. <br />After you receive your packet and review the monthly report, if you have questions about the <br />report, please let the Manager know (or me if you can't reach the Manager) before the Council <br />meeting if possible in case I have to research the answer to your question. That does not <br />prevent you from asking the question at the meeting if you wish to make a point, but it does <br />help prevent questions coming up that I can't answer on the spot and possibly delaying the <br />Council in making a decision. <br />3. The activity of the Health Department and'Paris Economic Development Corporation is reflected <br />in the monthly report. This is a result of the City performing the bookkeeping functions for both <br />of these groups. Both groups have their own managing board. <br />412) <br />
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