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07 - JUNE FINANCIAL REPORTItem No. 7 memorandum TO: City Council John Godwin, City Manager FROM: Gene Anderson, Finance Director SUBJECT: JUNE 2016 FINANCIAL REPORT DATE: July 11, 2016 BACKGROUND: Section 69 (3) of the Paris City Charter requires the Finance Director to submit to the City Council through the City Manager a monthly statement of all receipts and disbursements. The attached report satisfies that requirement. STATUS OF ISSUE: This report updates the City Council on the City's financial activities through the month stated in the subject line. BUDGET: Not affected by this report. RECOMMENDATION: Motion to receive the monthly financial report. City of Paris June 2016 Financial Report Comments Net to Date Comparison of Revenues: 1. The operations and maintenance property tax and related collections are 8.15% more than this time last year. Current taxes are 96.51% collected vs. 95.79% last year. Delinquent tax collections are also strong this year. 2. Sales taxes are down 12.13% from last year. This is due to the onetime state audit adjustment payment received last year in the amount of $872,390. Adjusting for this payment, sales taxes to date are up 2.34 %. 3. Hotel occupancy taxes are down 2.79% from last year. All hotels are current on their taxes. 4. Franchise fees are down 1.07% compared to last year at this point. 5. Permit fees are down 13.96 %. 6. Municipal Court fines are 2.75% above last year's collections. 7. Other revenue includes leases, interest, copy fees, birth & death certificates, library fees, mixed beverage tax, and other minor revenues. This revenue is down 41.55% primarily due to a reimbursement by the State of ice storm related expenses. 8. Sanitation fees are down because all residential related fees were moved to the new Land Fill Fund. In total the fees are comparable to last year. 9. EMS fees are up 3.73% compared to last year. 10. Transfers from the Water & Sewer Fund are up 2.74% in accordance to 2015 -16 Budget. This year's transfers are distorted by the $1,800,000 transfer out to the Capital Projects Fund for drainage repairs. 11. Total General Fund revenues are 6.56% below last year. This decrease is primarily due to the sales tax windfall received last year as discussed above. The total revenue number for the current year is distorted by the $1,800,000 transfer out to the Capital Projects. General Fund revenues equal 84.67% of the budget (adjusted for the transfer to Capital Projects) with the City being only 75.00% through the budget year. 12. Total General Fund expenditures are up 0.71% compared to last year. General Fund expenditures to date equal 77.82% of budget with the City being 75.00% through the budget year. 13. Sewer revenue is up 3.06% compared to last year. 14. Water revenue is up 0.64% compared to last year. 15. Total Water & Sewer revenues, ignoring transfers, are 1.74% above last year and equals 73.55% of the budget which is just below the 75.00% budget to date percentage. Transfers are ignored for this calculation. 16. Total Water & Sewer expenses are 8.09% above last year at this point in time and represent 54.04% of the total budget (77.64% adjusted for debt payments) while the City is 75.00% through the budget year. Departmental Expenditure Summary: At this point the City is nine months or 75.00% through the budget year. It is important to remember that expenditures do not occur equally throughout the year. For example, capital expenditures and association memberships are one time expenditures that if made early in the fiscal year can produce a distorted expenditure percentage. Within the General and Water & Sewer Funds there are eleven departments whose expenditures are over 75.00% at this time. 1. City Council- 431.61 %. The overage amounts to $263,642. The bulk of this overage is due to payment for the new roofs for city hall, west annex, and north annex. The council authorized the roof project to be paid for out of general fund reserves. A budget amendment will be done in September to adjust for this project. The remaining overage amount of $20,255 is due to the annual insurance payment, electricity, communications, and public notices have exceeded expectations. 2. City Manager - 75.45 %. The overage amounts to $1,670 and is due to building maintenance, electronic data processing, and the annual liability insurance payment. 3. Police- 78.37 %. The overage amounts to $204,731 and is due to overtime, office supplies, uniforms, the annual insurance payment, minor apparatus, travel expenses, emergency notification service, lease & maintenance of equipment, and the purchase of equipment. 4. Fire - 79.61 %. The overage amounts to $202,325 and is due to overtime, minor apparatus, annual insurance payment, postage, training, building maintenance, and the annual payment on a fire truck. 5. Public Works - 79.60 %. The overage amounts to $9,456 and is due to the annual insurance payment, office supplies, car allowance, and EDP expenses. 6. EMS - 83.45 %. The overage amounts to $197,131 and is due to overtime, liability insurance, travel, training, building maintenance, equipment maintenance, and purchase of equipment /vehicle. 7. Cox Field Airport - 86.26 %. The overage amounts to $11,642 and is due to building & grounds maintenance, consultants, and the annual insurance payment. 8. General Expenses - 86.00 %. The overage amounts to $175,924 and is due to the annual insurance payment, minor apparatus, equipment maintenance, phone expense, employee recognition banquet, and the annual payments to the non - profit agencies. 9. Water Billing- 76.20 %. The overage amount to $27,398 and is due to the purchase of radio read meters for replacement of old meters, annual insurance payment, and equipment maintenance. 10. Water Distribution - 76.71 %. The overage amounts to $27,442 and is due to the annual insurance payment, railroad ROW crossings, restroom at spray park, and equipment purchases. 11. Lift Stations - 84.89 %. The overage amounts to $44,363 and is due to the annual insurance payment, electricity, travel, equipment maintenance, and the purchase of a vehicle. General comments to the City Council: Over 99% of all of the City operational activity takes place in the General Fund, the Water & Sewer Fund, or the Sanitation Fund. The other funds are special purpose funds with limited activity and usually with legal restrictions on what their money can be spent on. For that reason, I normally only comment on the activity of the General Fund, Water & Sewer Fund, and the Sanitation Fund. However, if circumstances merited it, I would make comment on activity in one of the other funds. I try to anticipate questions you might have about the report and comment on those points. After you receive your packet and review the monthly report, if you have questions about the report, please let the Manager know (or me if you can't reach the Manager) before the Council meeting if possible in case I have to research the answer to your question. That does not prevent you from asking the question at the meeting if you wish to make a point, but it does help prevent questions coming up that I can't answer on the spot and possibly delaying the Council in making a decision. The activity of the Paris Economic Development Corporation is reflected in the monthly report. This is a result of the City performing the bookkeeping functions for this agency. PEDC has its own managing board. 7 1 . City of Paris Fund Recap, for month ending -June 2016 General Fund: Current Prior Net Report Sort Sequence Report Group Description Year Year To Date 70 Taxes Collected 6,551,341.64 6,057,364.47 493,977.17 71 Sales Tax 5,202,814.90 5,921,525.89 - 718,710.99 72 Hotel /Motel Tax 414,059.20 425,985.92 - 11,926.72 73 Franchise Fees 2,507,449.99 2,534,655.42 - 27,205.43 74 Permits 88,945.70 103,380.48 - 14,434.78 75 Court Fines 256,275.74 249,404.64 6,871.10 77 Other Revenue 495,793.29 848,379.64 - 352,586.35 78 Sanitation 311,060.38 1,095,618.44 - 784,558.06 79 Ems Fees 1,890,877.28 1,822,742.63 68,134.65 84 Water and Sewer Transfers - 1,125,750.06 625,972.80 - 1,751,722.86 0 Miscellaneous Revenue 0.00 0.00 0.00 Total Revenue: Total Expenditures: Net To Date: and 113ms Fees Sanitation Other Revenue Court Fines Permits Franchise Fees Hotel /Motel Tax Sales Tax $ 16,592,868.06 $ 19,685,030.33 $ (3,092,162.27) $ 16,867,265.12 $ 16,746,743.81 $ 120,521.31 $ (274,397.06) $ 2,938,286.52 $ (3,212,683.58) 2,000,000.00 0.00 2, 000, 000. 00000 ,000.OQ000,000.00000,000.00 • Prior Year • Current Year Expenditures Pond Numb, Department Number Total 1 General Fund Department Current Name Month Actual 0 Non - Departmental 0.00 11 City Council 6,524.34 12 City Manager 29,024.57 13 City Attorney 20,034.15 14 Municipal Court 17,494.13 15 City Clerk 10,260.63 21 Accounting & Auditing 26,752.40 31 Police 494,213.41 32 Fire 293,623.67 40 Community Developm 22,747.31 41 Engineering 34,770.26 42 Public Works 16,694.92 43 Parks,Recreation,& RC 75,533.86 44 Sanitation - 10,552.82 46 Streets & Highways 64,473.79 48 Traffic & Public Lightir 39,716.96 49 Garage 28,987.05 51 Paris -Lamar Co Health 0.00 54 Emergency Medical Se 189,306.81 61 Cox Field Airport 14,475.00 62 Paris Band 600.00 64 Library 45,398.94 89 General Expenses 54,623.64 90 Debt 0.00 91 Contingency 0.00 General Fund $1,474,703.02 Prior Month Actual 0.00 3,185.56 27,939.02 31,629.07 16,483.22 9,521.57 28,160.24 417,103.89 344,206.79 26,499.70 38,324.65 14,329.41 103,235.45 89,947.55 78,769.93 49,875.81 24,397.00 0.00 172,925.63 8,097.31 110.65 50,081.44 61,679.05 0.00 0.00 $1,596,502.94 Current Year To Date 0.00 319,089.43 278,842.95 321,642.66 166,101.85 101,859.83 311,612.55 4,759,928.85 3,488,131.74 227,271.76 295,934.27 163,559.33 790,427.79 1.86 1,094,940.26 392,073.64 235,919.11 0.00 1,946,768.76 89,154.69 693.71 508,390.86 1,375,069.22 - 150.00 0.00 $16,867,265.12 Prior Year To Date 0.00 60,757.04 274,534.93 249,910.47 165,302.69 100,881.34 320,154.22 4,419,915.86 3,407,945.56 247,829.74 376,076.87 148,865.07 747,808.04 755,111.88 1,104,072.32 403,713.35 237,506.38 0.00 1,893,183.18 87,471.04 197.16 509,084.59 1,236,422.08 0.00 0.00 $16,746,743.81 Current Year Budget 0.00 73,930.00 369,563.00 438,910.00 229,092.00 140,958.00 420,501.00 6,073,596.00 4,381,076.00 463,692.00 513,374.00 205,471.00 1,140,560.00 0.00 1,488,440.00 593,119.00 341,450.00 0.00 2,332,850.00 103,350.00 23,050.00 691,853.00 1,598,860.00 0.00 50,000.00 $21,673,695.00 Prior Year Budget 0.00 74,830.00 363,439.00 428,698.00 225,404.00 139,844.00 443,901.00 5,640,069.00 4,312,551.00 463,545.00 516,920.00 163,974.00 1,273,541.00 1,016,152.00 1,513,735.00 557,226.00 343,266.00 0.00 2,257,240.00 114,700.00 23,050.00 676,499.00 1,566,897.00 0.00 50,000.00 $22,165,481.00 Water Sewer Fund: Water Sewer Transfers Other Revenue Group Total Revenue: Total Expenditures: Net To Date: IA Current Prior Net Year Year To Date 5,756,367.47 5,719,746.22 36,621.25 4,264,442.69 4,137,802.02 126,640.67 - 1,245,000.00 0.00 - 1,245,000.00 375,259.06 359,988.40 15,270.66 $ 9,151,069.22 $ 10,217,536.64 $ (1,066,467.42) $ 7,651,305.87 $ 7,078,276.84 $ 573,029.03 $ 1,499,763.35 $ 3,139,259.80 $ (1,639,496.45) - 2,000,000.00 0.00 Fund Number 2,000,000.00 4,000,000.00 6,000,000.00 ■ Prior Year ■ Current Year Expenditures Water/ Sewer Fund Fund Number 10 Water & Sewer Fund Department Department Current Year Prior Year Current Year Number Name Month Month To Date 80 Warehouse 7,948.81 7,797.04 78,446.63 81 W & S Billing and Collecting 174,451.83 192,053.77 1,731,026.55 82 Water Production 229,661.49 183,155.88 1,973,093.66 83 Water Distribution 90,725.06 155,353.78 1,229,174.17 85 Sewer Maintenance 63,319.61 81,772.23 636,918.83 86 Waste Water Treatment 224,179.86 155,088.13 1,621,963.48 87 Lift Stations 47,816.08 31,785.24 380,682.55 Total Water & Sewer Fund $838,102.74 $807,006.07 $7,651,305.87 Prior Year To Date 77,725.74 1,585,503.32 1,901,235.56 1,028,199.88 635,023.03 1,533,812.44 316,776.87 $7,078,276.84 Current Year Budget 99,479.00 2,037,150.00 2,644,850.00 1,492,331.00 703,378.00 1,951,462.00 353,193.00 $9,281,843.00 Prior Year Budget 98,593.00 2,050,125.00 1,589,865.00 1,229,875.00 903,829.00 1,634,504.00 203,767.00 $7,710,558.00 2 Economic Development Fund Current Year Prior Year Net To Date Revenue $ 779,981.06 $ 1,215,410.35 $ (435,429.29) Expenditure $ 235,839.91 $ 181,840.26 $ 53,999.65 Subtotal Net To Date: $ 544,141.15 $ 1,033,570.09 $ (489,428.94) Fund Number 11 Capital Projects Fund Current Year Prior Year Net To Date Revenue $ 1,804,081.48 $ 1,321.13 $ 1,802,760.35 Expenditure $ 187,433.60 $ 128,160.72 $ 59,272.88 Subtotal Net To Date: $ 1,616,647.88 $ (126,839.59) $ 1,743,487.47 Fund Number 12 WW &SS Rev Bond 2000 Const Fund Current Year Prior Year Net To Date Revenue $ $ $ Expenditure $ $ $ Subtotal Net To Date: $ $ $ Fund Number 13 Equipment Replacement Fund Current Year Prior Year Net To Date Revenue $ (111.06) $ (70.32) $ (40.74) Expenditure $ - $ 154,009.37 $ (154,009.37) Subtotal Net To Date: $ (111.06) $ (154,079.69) $ 153,968.63 Fund Number 14 CO 2010 Construction Fund Current Year Prior Year Net To Date Revenue $ 5,435.61 $ 3,329.25 $ 2,106.36 Expenditure $ 43,419.02 $ 2,949.03 $ 40,469.99 Subtotal Net To Date: $ (37,983.41) $ 380.22 $ (38,363.63) Fund Number 16 TWDB Loan Fund Current Year Prior Year Net To Date Revenue $ 371,616.40 $ 242,083.18 $ 129,533.22 Expenditure $ 370,789.95 $ 213,935.58 $ 156,854.37 Subtotal Net To Date: $ 826.45 $ 28,147.60 $ (27,321.15) Fund Number 17 Library Construction Fund Current Year Prior Year Net To Date Revenue $ - $ $ Expenditure $ $ $ Subtotal Net To Date: $ $ $ Fund Number Fund Number i8 W &S Series '97 Const Fund Current Year Prior Year Net To Date Revenue $ $ $ Expenditure $ $ $ Subtotal Net To Date: ; $ $ Fund Number 19 Water Revenue Const Fund Current Year Prior Year Net To Date Revenue $ $ $ Expenditure $ $ $ Subtotal Net To Date: $ $ $ Fund Number 20 Special Revenue Fund Current Year Prior Year Net To Date Revenue $ $ $ Expenditure $ $ $ Subtotal Net To Date: $ $ $ Fund Number 21 Child Safety Fund Current Year Prior Year Net To Date Revenue $ 7,038.27 $ 2,079.08 $ 4,959.19 Expenditure $ 28,298.84 $ 4,110.96 $ 24,187.88 Subtotal Net To Date: $ (21,260.57) $ (2,031.88) $ (19,228.69) Fund Number 22 Health Department Fund Current Year Prior Year Net To Date Revenue $ $ 15.66 $ (15.66) Expenditure $ $ - $ - Subtotal Net To Date: $ $ 15.66 $ (15.66) Fund Number Fund Number 23 PEG Channel Fund Current Year Prior Year Net To Date Revenue $ 40,782.67 $ 74,627.75 $ (33,845.08) Expenditure $ $ - $ - Subtotal Net To Date: $ 40,782.67 $ 74,627.75 $ (33,845.08) Fund Number 24 Lake Crook Restoration Fund Current Year Prior Year Net To Date Revenue $ 5,605.72 $ 367.54 $ 5,238.18 Expenditure $ 15,579.86 $ $ 15,579.86 Subtotal Net To Date: $ (9,974.14) $ 367.54 $ (10,341.68) Fund Number 25 Grant Fund Current Year Prior Year Net To Date Revenue $ 312,183.50 $ 656,176.47 $ (343,992.97) Expenditure $ 753,188.91 $ 547,525.81 $ 205,663.10 Subtotal Net To Date: $ (441,005.41) $ 108,650.66 $ (549,656.07) Fund Number 26 Criminal Justice Div Grant Fd Current Year Prior Year Net To Date Revenue $ $ - $ - Expenditure $ $ $ - Subtotal Net To Date: $ $ $ Fund Number 27 Water Contract Fund Current Year Prior Year Net To Date Revenue $ 13,350.69 $ 8,131.66 $ 5,219.03 Subtotal Net To Date: $ 13,350.69 $ 8,131.66 $ 5,219.03 Fund Number 30 Community Dvl Block Grant Fund Current Year Prior Year Net To Date Revenue $ 2,517.87 $ 28,028.64 $ (25,510.77) Expenditure $ 56,257.65 $ 162,408.32 $ (106,150.67) Subtotal Net To Date: $ (53,739.78) $ (134,379.68) $ 80,639.90 Fund Number 31 Home Buyers Asst 2009 Current Year Prior Year Net To Date Revenue $ $ $ Expenditure $ $ $ Subtotal Net To Date: $ $ $ Fund Number 32 Owner Occ Rehab #1001053 Revenue Expenditure Subtotal Net To Date: Fund Number 33 Municipal Court Tech Fee Revenue Expenditure Subtotal Net To Date: Fund Number 34 Municipal Court Security Fee Revenue Expenditure Subtotal Net To Date: Fund Number 35 Municipal Court Child Safe Fee Revenue Expenditure Subtotal Net To Date: Fund Number 36 Municipal Court Time Pay Fee Revenue Expenditure Subtotal Net To Date: Fund Number 37 Police Conf Fds- Gambling Revenue Expenditure Subtotal Net To Date: Fund Number 38 Police Judicial Forfeitures Revenue Expenditure Subtotal Net To Date: Fund Number Current Year Prior Year Net To Date $ 333,416.70 $ 387,202.77 $ (53,786.07) $ 347,640.81 $ 393,484.04 $ (45,843.23) (14,224.11) ; (6,281.27) ; (7,942.84) Current Year Prior Year Net To Date $ 8,630.07 $ 8,718.05 $ (87.98) $ 491.63 $ 1,580.46 $ (1,088.83) 8,138.44 ; 7,137.59 ; 1,000.85 Current Year Prior Year Net To Date $ 6,628.76 $ 6,652.27 $ (23.51) $ 4,551.52 $ 4,762.02 $ (210.50) ; 2,077.24 ; 1,890.25 ; 186.99 Current Year Prior Year Net To Date $ 1,056.38 $ 1,064.43 $ (8.05) $ - $ 2,029.00 $ (2,029.00) ; 1,056.38 ; (964.57) ; 2,020.95 Current Year Prior Year Net To Date $ 1,614.83 $ 1,604.42 $ 10.41 $ 1,044.20 $ 71.00 $ 973.20 570.63 ; 1,533.42 ; (962.79) Current Year Prior Year Net To Date $ 28.82 $ 17.13 $ 11.69 28.82 ; 17.13 ; 11.69 Current Year Prior Year Net To Date $ (4,005.85) $ 19,131.39 $ (23,137.24) $ 8,639.00 $ 13,805.22 $ (5,166.22) (12,644.85) ; 5,326.17 ; (17,971.02) Fund Number 39 Equitable Sharing Forfeitures Current Year Prior Year Net To Date Revenue $ 6,862.52 $ 18.91 $ 6,843.61 Expenditure $ 19,889.33 $ (10,701.10) $ 30,590.43 Subtotal Net To Date: ; (13,026.81) $ 10,720.01 ; (23,746.82) Fund Number 40 City of Paris CO'93 Const Fund Current Year Prior Year Net To Date Revenue $ - $ $ Expenditure $ $ $ Subtotal Net To Date: Fund Number 41 Tax & Rev CO 2000 Const Fund Current Year Prior Year Net To Date Revenue $ 0.28 $ 0.16 $ 0.12 Expenditure $ - $ - $ - Subtotal Net To Date: $ 0.28 $ 0.16 ; 0.12 Fund Number 42 CO Series 2002 Construction Fd Current Year Prior Year Net To Date Revenue $ $ $ - Expenditure $ $ $ Subtotal Net To Date: $ $ $ Fund Number 43 GO Bonds 2013 Construction Fd Current Year Prior Year Net To Date Revenue $ 74,515.14 $ (1,274,048.61) $ 1,348,563.75 Expenditure $ 5,716,879.80 $ 2,799,528.51 $ 2,917,351.29 Subtotal Net To Date: $ (5,642,364.66) $ (4,073,577.12) $ (1,568,787.54) Fund Number 45 Land Fill Current Year Prior Year Net To Date Revenue $ 783,342.83 $ $ 783,342.83 Expenditure $ 732,034.61 $ - $ 732,034.61 Subtotal Net To Date: $ 51,308.22 $ $ 51,308.22 Fund Number 50 Revenue Bonds Sinking Funds Current Year Prior Year Net To Date Revenue $ 256,977.59 $ 319,877.45 $ (62,899.86) Expenditure $ - $ - $ Subtotal Net To Date: $ 256,977.59 $ 319,877.45 $ (62,899.86) Fund Number 51 Tx &RevCOs 2013 (TWDB) I &S Fund Current Year Prior Year Net To Date Revenue $ 166,059.69 $ 30,336.37 $ 135,723.32 Expenditure $ 169,546.50 $ 171,546.50 $ (2,000.00) Subtotal Net To Date: # (3,486.81) ; (141,210.13) # 137,723.32 Fund Number 52 2012 GO Refunding Bond I &S Current Year Prior Year Net To Date Revenue $ $ $ Expenditure $ $ $ Subtotal Net To Date: Fund Number 53 Tax & Rev CO 2010 I &S Fund Current Year Prior Year Net To Date Revenue $ 214,515.15 $ 210,124.32 $ 4,390.83 Expenditure $ 216,685.01 $ 211,185.01 $ 5,500.00 Subtotal Net To Date: ; (2,169.86) ; (1,060.69) ; (1,109.17) Fund Number 54 City of Paris CO '93 I &S Fund Current Year Prior Year Net To Date Revenue $ $ $ Expenditure $ $ $ Subtotal Net To Date: # ; ; Fund Number 55 Tax & Rev CO 2000 I &S Fund Current Year Prior Year Net To Date Revenue $ - $ $ Expenditure $ - $ $ Subtotal Net To Date: # ; # Fund Number 56 Tax & Rev CO 2002 I &S Fund Current Year Prior Year Net To Date Revenue $ Expenditure $ Subtotal Net To Date: ; ; ; Fund Number 57 Contractual Oblig I &S Fund Current Year Prior Year Net To Date Expenditure $ - $ - $ - Subtotal Net To Date: $ $ $ Fund Number 58 2003 GO Refunding Bonds Current Year Prior Year Net To Date Revenue $ $ Revenue $ Expenditure $ $ $ $ Subtotal Net To Date: ; ; ; ; Fund Number 70 Employees Insurance Fund 59 2010 GO /W &S Refunding Bonds Current Year Net To Date Prior Year Net To Date Revenue $ 1,330,796.47 $ 1,125,023.46 $ 205,773.01 Expenditure $ 1,624,487.50 $ 1,629,906.26 $ (5,418.76) Subtotal Net To Date: ; (293,691.03) ; (504,882.80) ; 211,191.77 Fund Number 60 Refunding Bonds 2012 Revenue Expenditure Subtotal Net To Date: Fund Number Current Year Prior Year Net To Date $ 404,583.68 $ 648,828.87 $ (244,245.19) $ 405,750.00 $ 801,600.00 $ (395,850.00) ; (1,166.32) ; (152,771.13) ; 151,604.81 61 Interlocal Coop Agreement I &S Current Year Prior Year Net To Date Revenue $ 99,683.93 $ 102,640.82 $ (2,956.89) Expenditure $ 100,826.95 $ 100,826.95 $ Subtotal Net To Date: ; (1,143.02) ; 1,813.87 ; (2,956.89) Fund Number 62 G O Bonds 2013 I &S Fund Revenue Expenditure Subtotal Net To Date: Current Year Prior Year Net To Date $ 216,004.74 $ 2,506,515.54 $ (2,290,510.80) $ 1,996,575.00 $ 2,319,550.00 $ (322,975.00) ; (1,780,570.26) ; 186,965.54 ; (1,967,535.80) Fund Number 63 CO Bonds - 2015 Current Year Prior Year Net To Date Revenue $ - $ $ - Expenditure $ $ $ Subtotal Net To Date: ; ; ; Fund Number 70 Employees Insurance Fund Current Year Prior Year Net To Date Revenue $ $ $ - Expenditure $ - $ $ Subtotal Net To Date: ; ; ; Fund Number Fund Number 71 Insurance Claims Fund Current Year Prior Year Net To Date Revenue $ $ $ Expenditure $ $ $ Subtotal Net To Date: ; ; # Fund Number 72 Library Memorial Fund Current Year Prior Year Net To Date Revenue $ 1,826.74 $ 3,261.32 $ (1,434.58) Expenditure $ 4,156.89 $ 2,542.87 $ 1,614.02 Subtotal Net To Date: ; (2,330.15) ; 718.45 ; (3,048.60) Fund Number 73 J A Love Trust Fund Current Year Prior Year Net To Date Revenue $ $ $ Expenditure $ $ $ Subtotal Net To Date: # # ; Fund Number 74 J P Poteet Trust Fund Current Year Prior Year Net To Date Revenue $ $ $ Expenditure $ $ $ Subtotal Net To Date: Fund Number 75 Wilbor Deshong Trust Fund Current Year Prior Year Net To Date Revenue $ - $ $ Expenditure $ - $ $ Subtotal Net To Date: ; ; ; Fund Number 76 Gibbs Library Fund Current Year Prior Year Net To Date Revenue $ $ $ Expenditure $ $ $ Subtotal Net To Date: Fund Number 77 W B & Kathryn Vaughan Memorial Current Year Prior Year Net To Date Revenue $ $ $ Expenditure $ $ $ Subtotal Net To Date: ; ; ; - Fund Number 78 Malone H Love Memorial Fund Current Year Prior Year Net To Date Revenue $ $ $ Expenditure $ $ $ Subtotal Net To Date: $ $ $ Fund Number 79 Library Expendable Fund Current Year Prior Year Net To Date Revenue $ 522.38 $ 311.53 $ 210.85 Expenditure $ - $ 800.00 $ (800.00) Subtotal Net To Date: $ 522.38 $ (488.47) $ 1,010.85 Fund Number 80 Library Permanent Fund Current Year Prior Year Net To Date Revenue $ 3.32 $ 227.08 $ (223.76) Expenditure $ - $ - $ Subtotal Net To Date: $ 3.32 $ 227.08 $ (223.76)