CUTPL Financial Summary (Jun 2012)bit.ly/MGw84u

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Bank Summary. Bank Number. Ending. Balance. First Farmers Bank & Trust. 5. 15,189. $. First National Bank of Montere
CUTPL Financial Summary (Jun 2012) Bank Summary First Farmers Bank & Trust First National Bank of Monterey First Farmers Bank & Trust First Farmers Bank & Trust First Farmers Bank & Trust

5 7 8 9 10

TOTAL ALL BANKS 2012 Appropriation

Funds Operating Fund LIRF Debt Services Rainy Day Gift and Grant Funds2 Misc3

Ending Balance

Bank Number

$ $ $ $ $

15,189 766,833 2,122 3,602 10,104

$

797,849 YTD

$

$

7,772

$

$ 100,500

$

$

$

-

4,524

$

$

2,407

$

331,546

596,168

$

223,725

$

8,162

$

390

$

201,000

$

100,500

$

35,000

$

-

$

Operating Fund

Receipts1

$ 372,443

$

TOTAL ALL FUNDS

YTD

Unexpended Balance

Disbursemnts1

Jun Projection

Jun

35,000

265,331

Ending Balance 9.9 $ 361,661

Target 6 months operation

#

$

12,768

$100,000+

#

$ 127,744

$100,500+

#

$ 142,329

$100,000+

963

#

$ 147,409

$100,000+

$

7,081

#

$

$

385,175

111,800

YTD

Difference

5,938

zero+

$ 797,849

%

YTD Projection

%

Difference

RECEIPTS Tax Receipts Other Receipts

TOTAL RECEIPTS

$ $ $

16,684 $ 1,080 $ 17,764 $

$ $ $ $ $

23,937 774 9,044 2,653 36,407

167,552 $ 1,320 $ 168,872 $

19,308 $ (240) $ 19,068 $

258,530 6,801 265,331

97.4% 2.6% 100.0%

$ 216,447 $ 7,918 $ 224,365

96.5% 3.5% 100.0%

$ $ $

42,083 (1,118) 40,965

$ $ $ $ $

(1,712) (844) 3,719 (1,340) (177)

EXPENDITURES Personal Services Supplies Other Services and Charges Capital Outlays

TOTAL EXPENDITURES

$ $ $ $ $

22,486 746 6,869 2,600 32,701

$ $ $ $ $

Adjustments (see Notes page) Total Disbursements ENDING BALANCE

1,451 28 2,175 53 3,706

$ $ $ $ $

145,330 3,631 55,702 14,662 219,324

$

4,401

$ 223,725 $ 361,661

66.3% 1.7% 25.4% 6.7% 100.0%

$ 147,042 $ 4,475 $ 51,983 $ 16,002 $ 219,501

67.0% 2.0% 23.7% 7.3% 100.0%

$ 324,919

$ 36,742

Financial Targets Operating Fund (number of months balance is sufficient to cover)

6 mos. operation Jan & Jul 1st

9.9

Materials Expenditures (YTD as percent of Operating Expenditures)4

7.5% minimum

7.3%

Personal Services (YTD as percent of Operating Expenditures)4

65% maximum

66.3%

Notes Transfers YTD between Operating Fund bank accounts

$ 320,000.00

Notes: 1

Does not include transfers within funds

2

Includes all Gift & Grant Funds (500-599 in Chart of Accounts)

3

Includes Levy Excess (010), Payroll (200) and PLAC (800)

4

Transfers to LIRF are excluded in calculation

7/14/2012 8:51 AM

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CUTPL 2012 Operating Fund: Working Budget 2012 Operating Fund

Jun

Jun Projection

Difference

YTD

◄ ?

%

YTD Projection

%

Difference

◄ ?

see Notes

RECEIPTS General Property Taxes Financial Institution Tax CAGIT Certified Shares CAGIT PTRC Auto and Aircraft Excise Tax CVET Photocopy Fees Fines & Fees Interest Earned Refunds / Reimbursements Miscellaneous

$ 170,146 $ 157,728 $ 30 $ 45 $ 9,049 $ 7,830 $ 1,949 $ 1,949 $ 5,686 $ $ $ $ 284 $ 250 $ 579 $ 583 $ 217 $ 483 $ $ $ $ 3 TOTAL RECEIPTS $ 187,940 $ 168,872

2012 Operating Fund

Jun

Jun Projection

$ $ $ $ $ $ $ $ $ $ $ $

12,418 (15) 1,219 0 5,686 34 (4) (267) (3) 19,068

Difference

◄ ◄ ◄



$ 170,146 $ 30 $ 65,855 $ 16,068 $ 5,686 $ 745 $ 1,218 $ 3,584 $ 1,666 $ 332 $ $ 265,331

YTD

◄ ?

64.1% 0.0% 24.8% 6.1% 2.1% 0.3% 0.5% 1.4% 0.6% 0.1% 0.0% 100.0%

%

$ 157,728 $ 45 $ 46,980 $ 11,695 $ $ $ 1,500 $ 3,500 $ 2,900 $ $ 18 $ 224,365 YTD Projection

70.3% 0.0% 20.9% 5.2% 0.0% 0.0% 0.7% 1.6% 1.3% 0.0% 0.0% 100.0%

%

$ $ $ $ $ $ $ $ $ $ $ $

12,418 (15) 18,876 4,373 5,686 745 (282) 84 (1,234) 332 (18) 40,965

Difference



B

◄ ◄ ◄

5 5 C A

◄ ◄ ?

see Notes

EXPENDITURES 100 PERSONAL SERVICES Salary of Librarian Salary of Assistants Employee Benefits

$ $ $ FICA (Employer's Share) $ PERF (Employer's Share) $ Group Insurance (Employer's Share) $ Unemployment Compensation $ TOTAL PERSONAL SERVICES $

200 SUPPLIES Office Supplies Operating Supplies

$ $ Cleaning and Sanitation Supplies $ Misc Operating Supplies $ Repair and Maintenance Supplies $ Other Supplies $ TOTAL SUPPLIES $

0 (368) 1,819 ◄ (30) 1,891 ◄ (42) 1,451 ◄

$ 20,808 $ 97,343 $ 27,179 $ 9,026 $ 5,672 $ 12,481 $ $ 145,330

9.5%

3,201 15,190 5,546 1,405 4,141 23,937

$ $ $ $ $ $ $ $

3,201 15,558 3,727 1,435 2,250 42 22,486

$ $ $ $ $ $ $ $

374 240 240 160 774

$ $ $ $ $ $ $

333 221 83 138 192 746

$ $ $ $ $ $ $

41 20 (83) 103 (32) 28

$ $ $ $ $ $ $

1,855 1,098 374 724 678 3,631

0.8%

382 201 9 172 2,398 1,435 963 2,803 2,409 233 161

$ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $

381 83 206 33 58 17 17 1,400 1,400 2,544 2,185 217 142

$ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $

0 (83) (5) (24) 113 (17) (17) 998 ◄ 35 963 ◄ 259 224 17 19

$ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $

6,825 1,479 230 1,770 2,976 143 227 59 59 7,493 1,435 5,095 963 20,903 18,605 1,362 936

3.1%

44.4% 12.4% 4.1% 2.6% 5.7% 0.0% 66.3%

0.5% 0.2% 0.3% 0.0% 0.3% 1.7%

$ 20,808 $ 97,725 $ 28,509 $ 9,068 $ 5,691 $ 13,500 $ 250 $ 147,042

9.5% 44.5% 13.0% 4.1% 2.6% 6.2% 0.1% 67.0%

$ $ $ $ $ $ $

2,000 1,325 500 825 1,150 4,475

0.9%

$ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $

5,720 500 1,464 230 2,976 200 350 100 100 6,400 1,400 5,000 19,447 17,297 1,300 850

2.6%

0.6% 0.2% 0.4% 0.0% 0.5% 2.0%

$ $ $ $ $ $ $ $

0 (382) (1,330) (42) (19) (1,019) (250) (1,712)

$ $ $ $ $ $ $

(145) (227) (126) (101) (472) (844)

D

300 OTHER SERVICES AND CHGS Professional Services Legal Payroll E-Rate Filing Computer Support Computer DB &Software (Materials) Computer DB &Software (Other) Debt Collection Misc Professional Services

Printing and Advertising Advertising and Publication of Notices Other Printing

Insurance Official Bonds Property-Liability Worker's Compensation

Utilities Gas & Electricity Water Waste Disposal Services

7/14/2012 8:51 AM

$ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $

0.0% 0.7% 0.1% 0.0% 0.8% 1.4% 0.1% 0.1% 0.0% 0.0% 0.0% 3.4% 0.7% 2.3% 0.4% 9.5% 8.5% 0.6% 0.4%

0.2% 0.7% 0.1% 0.0% 0.0% 1.4% 0.1% 0.2% 0.0% 0.0% 0.0% 2.9% 0.6% 2.3% 0.0% 8.9% 7.9% 0.6% 0.4%

$ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $

1,105 (500) 15 1,770 3 (57) (123) (42) (42) 1,093 35 95 963 E 1,456 1,309 62 86 Page 2 of 4

CUTPL 2012 Operating Fund: Working Budget 2012 Operating Fund

Jun

Repairs and Maintenance

$ Cleaning Service (Interior) $ Cleaning Service Misc $ Elevator (Service Contract) $ Elevator Misc $ Fire Monitoring $ HVAC (Service Contract) $ HVAC Misc $ Pest Control $ Snow Removal $ Misc R&M Building $ Misc R&M Equipment $ Rentals $ Dues $ Communication and Transportation $ Telephone $ Postage $ Travel Expense $ Professional Meetings $ Education Reimbursement $ Internet Access $ Misc Comm and Trans $ Transfer to LIRF $ TOTAL OTHER SVCS AND CHGS $ 400 CAPITAL OUTLAYS Furniture & Equipment Books Periodicals

$ $ $ EBSCO $ Newspapers $ Misc Periodicals $ Nonprinted Materials $ CDs/DVDs $ Audio Books $ Misc Nonprinted Materials $ TOTAL CAPITAL OUTLAYS $

Jun Projection

Difference

2,689 969 50 1,649 21 772 225 384 163 9,044

$ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $

1,608 1,021 83 83 50 333 38 919 300 33 208 208 83 82 4 6,869

$ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $

132 1,466 248 208 40 806 806 2,653

$ $ $ $ $ $ $ $ $ $ $

125 1,667 17 17 792 625 167 2,600

$ $ $ $ $ $ $ $ $ $ $

TOTAL EXPENDITURES $ 36,407 $ 32,701 $ BALANCE Beginning Balance plus Receipts minus Expenditures Adjustments (see Summary Page) ENDING BALANCE

Flag Criteria ◄ favorable ◄ unfavorable

7/14/2012 8:51 AM

$ $ $ $ $

Jun

Jun Projection

210,128 187,940 36,407 361,661

$ $ $ $ $

188,748 168,872 32,701 324,919

1,081 ◄ (52) (83) (83) 1,316 ◄ (17) (147) (75) (33) 176 (208) (83) 82 (4) 2,175 ◄ 7 (200) 231 208 23 14 181 (167) 53 3,706 ◄

Difference

YTD

◄ ?

◄ ?

$ $ $

21,380 ◄ 19,068 ◄ 3,706 ◄

$

36,742 ◄

$ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $

14,493 6,069 416 450 1,886 1,077 300 1,407 2,762 126 20 295 5,615 1,426 198 986 1,629 1,375 55,702

$ $ $ $ $ $ $ $ $ $ $

440 9,413 465 357 108 4,343 4,321 23 14,662

% 6.6% 2.8% 0.0% 0.2% 0.0% 0.2% 0.9% 0.5% 0.1% 0.6% 1.3% 0.1% 0.0% 0.1% 2.6% 0.7% 0.1% 0.4% 0.7% 0.0% 0.6% 0.0% 0.0% 25.4%

0.2% 4.3% 0.2% 0.0% 0.2% 0.0% 2.0% 2.0% 0.0% 0.0% 6.7%

YTD Projection

$

Percent Amount

$

6.6%

$ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $

14,502 6,375 425 416 500 1,886 500 300 1,875 2,000 225 300 5,514 1,800 200 1,250 1,250 500 489 25 51,983

$ $ $ $ $ $ $ $ $ $ $

750 10,000 502 402 100 4,750 3,750 1,000 16,002

0.3%

2.9% 0.2% 0.2% 0.2% 0.0% 0.9% 0.2% 0.1% 0.9% 0.9% 0.1% 0.0% 0.1% 2.5% 0.8% 0.1% 0.6% 0.6% 0.2% 0.2% 0.0% 0.0% 23.7%

4.6% 0.2% 0.0% 0.2% 0.0% 2.2% 1.7% 0.5% 0.0% 7.3%

$ 219,324

100.0%

$ 219,501

100.0%

YTD

%

YTD Projection

%

$ 265,331 $ 219,324 $ (4,401)

$ 224,365 $ 219,501 $ -

Current Month Minimum

%

◄ ?

Difference

$ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $

(9) (306) (425) (500) 450 (1) 577 (468) 762 (99) 20 (5) 101 (374) (2) (264) 379 (500) 886 (25) 3,719 ◄

$ $ $ $ $ $ $ $ $ $ $

(310) (587) (37) (45) 8 (407) 571 (977) (1,340)

$

(177)

see Notes

4

1

6

2

◄ ?

Difference

$ $ $ $

40,965 (177) (4,401)

$

2,000 15% 3,000

see Notes

YTD 500 10% 750

Minimum

see Notes

Percent Amount

$

* *

Page 3 of 4

Notes for CUTPL 2012 Working Budget * Difference is at least $500 ($2000 YTD) AND greater than 10% (15%) from the Projection, OR difference is at least $750 ($3000 YTD) regardless of % * Tech Grant (eRate reimbursement) has been removed from Operating Fund Receipts and set up as a separate fund as required by state * Internet Access expenditure has been reduced by amount in Tech Grant Fund 01/03/12: Transfer $20,000 from Money Market Plus savings account to checking account ($20,000 YTD) 01/17/12: Transfer $20,000 from Money Market Plus savings account to checking account ($40,000 YTD) 1

01/28/12: $1077 to McGrath for HVAC repair 02/07/12: Transfer $20,000 from Money Market Plus savings account to checking account ($60,000 YTD)

2

02/07/12: $886 to Education Networks of America for Oct & Nov 2011 internet service 02/28/12: Transfer $20,000 from Money Market Plus savings account to checking account ($80,000 YTD)

3

03/05/12: $1770 to Chester Inc for 20 MS Office Professional and 25 Windows Professional licenses 03/14/12: Transfer $20,000 from Money Market Plus savings account to checking account ($100,000 YTD)

4

03/20/12: $450 to Schmitt Communications for fire alarm testing and inspection 03/28/12: Transfer $20,000 from Money Market Plus savings account to checking account ($120,000 YTD) 04/09/12: Transfer $20,000 from Money Market Plus savings account to checking account ($140,000 YTD) 05/01/12: Transfer $20,000 from Money Market Plus savings account to checking account ($160,000 YTD)

5

05/09/12: $20,500 Undistributed Jan 2011 to Apr 2012 CAGIT & PTRC shortage received; May-Dec 2012 will include $1522 additional per month 05/21/12: $27.36 Adjustment, lost paycheck entered as a Receipt in Operating Fund 05/22/12: Transfer $20,000 from Money Market Plus savings account to checking account ($180,000 YTD)

6

05/22/12: Prof Meetings of $1337 paid for Andrew & Teresa's Evergreen Conference and Jim's Computrain summit

A

05/24/12: $745 CVET distribution received, not expected until August 05/25/12: $4373.16 Adjustment, PTRC monies transferred from Operating Fund to Levy Excess Fund

B

June: Spring Distribution of Property Taxes $12,418 greater than expected

C

June: $5686 Auto and Aircraft Excise Tax distribution received, not expected until August

D

June: June and July payments made to Anthem for Group Insurance

E

June: Annual Worker's Comp paid in June was projected for July

7

06/05/12: $1542.50 to Korellis Roofing for roof repairs 06/05/12: Transfer $20,000 from Money Market Plus savings account to checking account ($200,000 YTD) 06/19/12: Transfer $120,000 from Money Market Plus savings account to checking account ($320,000 YTD)

7/14/2012 8:51 AM

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