My WebLink
|
Help
|
About
|
Sign Out
Home
Browse
Search
07 - JULY 2015 FINANCIAL REPORT
City-of-Paris
>
City Council
>
Agenda Packets
>
2011-2020
>
2015
>
08 AUGUST
>
08/24/2015
>
07 - JULY 2015 FINANCIAL REPORT
Metadata
Thumbnails
Annotations
Entry Properties
Last modified
10/20/2015 8:54:10 AM
Creation date
8/20/2015 2:19:38 PM
Metadata
Fields
Template:
AGENDA
There are no annotations on this page.
Document management portal powered by Laserfiche WebLink 9 © 1998-2015
Laserfiche.
All rights reserved.
/
15
PDF
Print
Pages to print
Enter page numbers and/or page ranges separated by commas. For example, 1,3,5-12.
After downloading, print the document using a PDF reader (e.g. Adobe Reader).
View images
View plain text
City of Paris <br />July 2015 Financial Report Comments <br />Net to Date Comparison of Revenues: <br />1. The operations and maintenance property tax and related collections are 3.76% more than this <br />time last year. The current tax roll is 96.13% collected vs. 97.25% last year. <br />2. Sales taxes are up 22.22% over last year due to a one time state audit adjustment. The <br />adjustment added an extra $872,390 to the General Fund and $174,478 to PEDC. Without the <br />audit adjustment, sales taxes for the year would be up compared to last year by 5.70 %. <br />3. Hotel occupancy taxes are up 8.38% from last year. All hotels are current on their taxes. <br />4. Franchise fees are down 0.35% which is only $9,547. <br />5. Permit fees are up 117.64% compared to last year with the issuance of permits for Paris Lakes. <br />6. Municipal Court fines are 11.62% below last year's collections. <br />7. Leases & Interest cash flows vary from year to year primarily due to investment maturity dates <br />making it difficult to compare the current and previous year. <br />8. The Streets & Highways increase was a bookkeeping entry to add some old street assessments <br />to the general ledger. <br />9. EMS fees are up 12.74 %. <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 bulk of this year's <br />increase comes from reimbursement of ice storm expenses. <br />11. Recreation fees are down 5.37 %. <br />12. Total General Fund revenues are 10.97% above last year. This increase is primarily due to <br />increases in sales tax (including the state audit adjustment discussed above), current taxes, ice <br />storm reimbursements, and EMS fees. Year to date receipts are 95.47% of the budget with the <br />City being 83.33% through the budget year. <br />13. Total General Fund expenditures are down 1.05% compared to last year. General Fund <br />expenditures to date equal 83.16% of budget with the City being 83.33% through the budget <br />year. <br />14. Sewer revenue is up 2.84% compared to last year. <br />15. Water revenue is down 1.66% compared to last year. <br />16. Total Water & Sewer revenues are 0.51% above last year and equal s 80.55% of budget which is <br />below the 83.33% budget to date percentage. <br />17. Total Water & Sewer expenses are 1.74% below last year at this point in time and represent <br />54.81% of the total budget (67.80% adjusted for debt) while the City is 83.33% through the <br />budget year. <br />
The URL can be used to link to this page
Your browser does not support the video tag.