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HomeMy WebLinkAboutCity Council Committees - Operations - 11/01/2011 (3) • KEN T WASH NOTON Operations Committee Agenda Councilmembers: Les Thomas * Jamie Perry * Debbie Raplee, Chair November 1, 2011 4:30 p.m. ItemDescription Action Speaker Time Page 1. Approval of Minutes YES 1 Dated October 4, 2011 2. Approval of Vouchers dated YES Bob Nachlinger September 30, 2011 and October 15, 2011 3. 2011 Expenditures by Department NO Bob Nachlinger 3 YTD thru September 2011 with Revenue Sources — INFO ONLY 4. Summary Financial Report as of NO Bob Nachlinger 11 September 30, 2011 — INFO ONLY Unless otherwise noted, the Operations Committee meets at 4:30 p.m. on the I" and 3r' Tuesdays of each month. Council Chambers East, Kent City Hall, 220 4th Avenue South, Kent, 98032-5895. Dates and times are subject to change. For information please contact Nancy Clary at 253) 856-5705 or Pam Clark at (253) 856-5723. Any person requiring a disability accommodation should contact the City Clerk's Office at (253) 856-5725 in advance. For TDD relay service call the Washington Telecommunications Relay Service at 1-800-833-6388. This page intentionally left blank. 1 ,WA. ,AIN{ll I'a OPERATIONS COMMITTEE MINUTES October 4, 2011 "aRNlartaat. , w rNl r _ "; r%d : :larnie Perry, tes Thomas and Debbie Raplabe, Chair. The meeting was called to tmrdem° by D lRa;pllee ait 4;08 la,ro~N. 1, APPROVAL OF MINUTES DATED SEPTEMBENR fir, 2011. L. Thomas mowed to approve the Operations Committee minutes dated September 6, 2011 J. Perry seconded the motion, which passed 3-0. APPROVAL OF VOUCHERS DATED AUGUST 1, 2011 AND SEPTEMBER 15, 2011. J. Perry moved to approve th,e, wouchers dated August 31 2011 and September 15, 2011. L, Thomas seconded the motion, which passed 3-0. 3� RECOMMEND COUNCIL CONFIRM THE MAYOR'S APPOINTMENT OF CASS P RIPNDL AND LEW SELLERS TO THE KEfrNT" EVENTS CENTER PUBLIC FACILITIES N1I TRI T FOR NV ADDITIONAL FOUR-YEAR TERMS, AND RATIFY ALL AcTs CONSISTENT WITH THIS MOTION. N. Economic and Community [Development Director, Ben NNo tern presented the Mayor's reappcsrntments to the Public Facilities District that oversees the public finances of the SivoWare. Center. Iwlorninations are to reappoint Cass Prindle and Lew Sellers, in accordance with City of Kent Ordinance No. 1852 and Public Focilities District Resolution No,, 1769, each director was appointed to a different term in order to stagger the term end dates These legislative documents and RCW 35.57.010(3) (a) require that after the iraitr,ai appointment, each director's terra Is, to be for a period of'Four years. Woiters advised both had served well and they were looking forward to having Rhona Contirrue to serve on the board. t.. Thomas ques'lioned City Attorney Torsi Drubaker as to whether or not: could approve bath nondinaftirs under one rrrot'ion. 'T. Erutaaker responded ye+_,, 4L, Thomas moved Rem recommend council confirm the Mayor's appointment of Cass PvrNrmdle and Lew Sellers to time Kent Events Center Public Faci hoes Distinct for an additional four- year term, and ratify all acts conMstent with this rrnrmtNaara, J. Perry seconded the motion,, which passed 3.0, n MOVE TO RECOMMEND COUNCIL APPROVE THE CONSOLIDATING BUDGET ADJUSTMENT ORDINANCE FOR ADJUSTMENTS MADE BETWEEN JfAhNUA RY 1, 2011 AND JUNE 30o, 011 REFLECTING AN OVERALL BUDGET REDUCTION OF , s 1,709. Finance Director, Bob I`Jachlinger stated that this is the item lie was asked tea Taring back from the last meeting with iaacra QlanficaWn. Askurmg for Council's approvtai only or) Lhe change, in the expenditure budget. per budget ordinances, you don't adopt the revenue budget, you only adapt the, rrmaxlrnunw amount that may be spent wNthrm a 'fumnd. Nternis previously approved totaled an increase in overall all funds budget of 5426k, asking approval of $2.778 million of reductions in averad expendltum lawodgal. all funds For a net charge of 7 recuctlan of $2. S million. NachIinger referred to Page 12 in the packet which shows a summary by fund, F, P.aplee asked if the $2.3 r7i iorr change In expenditures was horn rraueh revenue that we did not have to expend. fdachllinger responded generally, yeas. d Per°ry questoonecl the $1 million adjustment general fund transfer to the street fund, was that what was previously approved on the budget adjustment ordinance:' Nachlinger replied yes, D. Pzolee questioned if the $1 million that head been held In the general fund for Flccd Fight had been transferred tr thestreet fund. Nachlir,ger replivd yes it had been back in June, 2011­ L. Thomas advised that he could not 2"" a motion,, he wants additional time to discuss iterns with hdachiinmer, z Ooerad ns Connm• t.ewe Minutes Siz°ptember 6, 2011 Page 2 1, Perry moved to reconaaraend CouanciY approve the consolidating budget adjustment ordinance for adjustments made between January 1., 2011. and June 30, 201.1 reflecting an overall budget reduction of $2,351,709, Ta, Ttapalese seconded the ranaatieaaa, which passed 2-1, L. Thomas opposed The item will go under Other Business at the October 1,6, 2011, CRy CouncH meeting. tt. SUMMARY FINANCIAL REPORT AS OF AUGUST 31, 2DI1. (INFORMATIONONLY) Finance Director, Bob IVachlirnger presented a brler overview of the Aurpust 31, 2011. Summary Financial IReport., Nachii'inger sttated that revenues are stiVl anticipated to corne in under budget but our expenses are trending to came in even further under budget than the reveni.Les. General Fund Summary Based on inforrnaation available 'Chraa.gh August, Geancral rune: revenues are estimated to end about $2,164,122 or 3.6111c under budget, while expaenditures, are projected to end the year alrOut $2,777,769 or 4.5% below the budget. This results in a projected ending Gurad balr",nCe of $2,199,554 or 4.2%, of the expenditure budget, Revenues While sales tax revenues continue to show an, rrrnpmverment over past years, overall rewenr.es are ostirriated to end about $2,1,64,1.22 or 3.6% under budget. Revenue h4ghligtrl's Vrdudc: Sales Tax revenarec,, are expected to exceerd larojectlo ns by $369,082 cr 2.20,lb over budl tantinuing the upward trend observed over the past few months. Utility Tax revenues are trendpng to carte in aipproximately 3.81E/t below budget, Building Permits and Plan Check Fees continue tru be nr:gaatwely irnpacted by the deterioration in the building IndusUyr. Both are trending to wend the year near 7.01.0 actuals, 3r about 9.1.0/6 below budget. 'hoe cnntnrue to work MUh Economic and Community Development to strategia;e Yang term solutions. Recreation Fees are continuing to show an mprovernent, 't7ending to end the year about y40,000 under budget, Miscellaneous revenues are running approxlatrate.ly $900,000 under budget, largely due to continuing low Interest rates and the available cash to invest. Funnel Igaal«arace Ending fund balance is estlrsrated to be $2,1.99,554, which equates to 4.2% of tare expenditure budget. 6,, CHANGE THE START TIME OF THE OPERATIONS COMMITTEE MEETING FtlW3M 4:00 PM TO 4:30 PM BEGINNING PITH THE OCTO ER 1E, 2011 HEE"TING� i•"eVI cornrnittee members were in agreement of changing the start drone to 4 :30 p ,m, The anneeting was adjourned at 4 2,6 pl.rn. by D� Ftapke. rn , Nancy clalry Operations Crarrinitteiue Secretary 3 2011 Expenditures by Department YTD thru September 2011 with Revenue Sources Operations Committee November 1, 2011 Table of Contents 2011 Expenditures by Dept - Revenues as Percentage 1 2011 Expenditures by Dept - Revenues as Dollars 3 4 00 o o 0 o o 0 000000 o o o o 0 oo00000 o0 0 00 000 000 000000 00000 0000000 00 0 3 y 00 000 000 000000 00000 0000000 00 0 00 m c 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 o o 0 0 0 0 0 0 0 0 0 0 0 O 00 000 000 000000 00000 0000000 00 0 y .> 00 000 000 000000 00000 0000000 00 0 a c V W c $ c 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 cu 11 000 000 000000 0 o ti 0 0 0000000 00 0 00 000 000 000000 O O ^ 0 0 0000000 00 O m U � N 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 an d t c 00 000 000 000000 00000 0000000 00 0 Y 00 000 000 000000 00000 0000000 00 O « O 0 F 'o c c v v a a 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 KW c x 00 000 000 000000 00000 0000000 00 O W � mid 00 000 000 000000 00000 0000000 00 0 O F. m V J L y 01 a 'I 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 �0 0 y � y LL y 00 000 000 000000 00000 0000000 00 O a L (p Vl LL i 00 000 000 000000 00000 0000000 00 0 p N i W G m W u Nas+ JN Y Gl o 0 o o 0 o o 0 0 0 o o o 0 o o 0 o 0 o o o o o o 0 o 0 0 00 000 000 000000 00000 0000000 00 0 WCa � yd OO 000 000 000000 00000 0000000 OO 0 Wm o i « O m W N aa � u x 00 oo0 oo0 000000 00000 0000000 o0 0 W , d m m M " , m . 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O p _ y 0 O a 0Lu E E o i ' 0 . 0a m EO O 0Uu U c mc a rn n K m C O E i E u E c E a E 3 v m E m 3 '� v w ¢ c O uiJ cuQ n Y >a '- � � w ¢ ¢ W ¢ J u u c 0 >..`. v E � a v u Z - •` E ?_. - .� c o - � ¢ c a � N - 3 .>_ 0 " - c m $ � � m " - � � - u " E O E ._ « ^ca « C « n� v v ._ « oy n c c oy OF « o 0 1p v Y U p p ¢ U p O E n 0 w W J K K O J U 6 U p C LL ¢ LL U LL U p .. p Q n U F K U U f Q f f f W f J f LL f f 6 11/12011 Page 4 8 v 0 t0 m c O O Q M M W W M M > h h T T C M M M M W •i N M N N ry Q N N N h W c u V 1 o o W [ V N C m` a a \ c t c O �l a� a C O O y O O n c x x 'm n rvi rvi O W Q f N N C W v J C a L ei N ei N h h y VI 0 a � a N N D w C « « A N Y OI N N 0 01 vl N ho C C d �y j0 W T h T O N M vl y C W N VI 6 U M M fl M W M N Vl V N h Q M h Ul N O V M O I/f � M vl .i .i N Q M O O N m Q M m O N V aN V N M h M V N V W h N N W Vl W N i N c VOM 06 W 1cl� CNO V 0 0 T 0 m L � y Y d H W M N V M m y m m W m m 0 v O V M m V N m N M N m 0 N W 0 m V N p V W W C m Vn V W - Vn W a W rl - OZ m a C C W W rl W W C V� O C C C m n M m 0 0 � n N Lr�v V a W M W m Lr�v m 0 kc�0 m M a � o V 0v GI - c V M O W N m V M M m N V O N V1 W M Ol N V V W W M v O O N N N W V a C V1 O N V M M W vl .i O W Vl vl V N W h Ol N h T vl Ol M N m C y V1 q M N V C M V M N C M W m V W N m V M W M C N N 7 vl N O 1 N N N O M O h O O V Vl N Y N C y M V M M V V M 1 W m V W N O N N h IO a N m W V V N C O N Lr C V N C O M Lr L J I:J vl N m M M M .i m N M I N m O h O GI U m M N O N N h Vl M M I N V Q N LL •i H Q M V M O V N N W M h o � m m h m m W M h N W v N W Ol W N M W W M 0MGM 1 0 O 6 m O M W M h M O - N O - V1 W T T W - V C V N C C - W a - - - W h O N U O O Ul M M N M h V N M v V V V N l W O rl,m M O O M o M V M VI V M V o O N , h M M N W N V O V1 Ol V M - I V I m I I O v O V m V Ol N M v'I O fl N O Vl V N N .i N M N O W N N N .+ h N M M h h N N W N m O N N Lr W N Cl V fl W Ol V V M N V N M M 'i Vl M Cl V h W W Ul N Ul N Vl O N N 'i N 'i 'i M 'i 'i 'i N V1 V a C M W O O V m v N N T m N O V O O O h W O O N h h N m V w W N N N T h V l O QJ y Vl M Vl W r, C V W N N M h N O C O C N N O - h h - - V Ol W W C N W M O V a N W W x m N W N W M . . V N W N N h O O O W N N 1 h o M V m M O W V V W m v h N m W �"� O N m m h N O W N m O N O O W M O m M W ov W N N N V OM M ^ V Ol Ol M W Ol N N Ol W O h Nm N O m 'i V M h Ol 'i W m M N m V M V C N h h O W N N W M N N M M M M V fl V fl fl M N 'i N 'i N 'i N M h V1 Q 7 N v G rn rn y N y V i W a rn C T c N w u c LL v v Y G 0 m w O u' q E q.M -Mc M 0�c'�vv°' Y E w oo ^ aanaz G L o f o W '� UDgWc ° 3p ° 0 " >z o U v U w .6 UM c " E cm z w % U u E cEonrn- . c v Ern 0 m ° v iL rn ow mE ¢ o O Q W .rn u °o U WJ > 0 LL UQ Q Q6 U Q f n f LL f W f 6 f 11/12011 Page 5 9 v N N N tO M M M H C � O > n C � W a ry 2 N C U O N W A O 9 L C n n n C a a a i v O f W W W N O 7 h h h N a1 9 C O y O K 0 M M O W O ~ C W v J C a L ei N ei N h y LL a � L N O N D w C « « N � ply c to c u 7 E v Cp` 0 Yduo Oo m` WW O L L C W N N O 0 N n N O as � � d U N m N O v1 N M O W N mN W M V N V V .i vl M Ol Ol U N_ C v1 V T N W vl O W a+ o a N h Q L U y Y d H m N V N v1 W W O N O O T w l V v1 W O 'O -J 11 Ol O N N h N vl O O M M W Ol N N M C O N 10 V N 01 V1 h N h v O 01 h 01 N h h V1 0 GI N 01 o l O . l V v1 V v1 M v1 .-i h O 01 h O O. O. C C h O .i N h 01 h N 01 M h o 01 v1 V W � Q 'i M 01 �'V1 h V1 O M N W � N LL (7 rvi n rvNi C 3 N a 7 h m M N h W N N v1 W 01 W Y v N N O V .i h N M .i N N W 10 V O fl 01 M y a v h m M h N Q O •i 01 Q n M O v1 N N N h O m v1 h M M v1 01l W 1D 1D N ) O W 01 1 01 01 N O 01 N N Q Q h h M N h M VI v1 v1 O 1D N h V .i v v1 01 W V .i N O 01 O O N 0 ei M N M 01 M 1D 01 v1 W 01 01 N h W h h O 1D O 0 m M N .i 01 M M O N 9 C v1 O W 01 M N h v1 O O W W 01 01 01 V O h N v1 1D N y kc�v O - N ND N O M V N O 'Di M D i W C VW V N W v1 kc�N v1 W V kc�kc�C 01 1 h N x whvvVWNhI0DO0wwO . WD MW W Q Q m MIMNW h Q ON V V1 1D V1 Q N N c > U v N > 0 N m v v E V > U N O 0 0 E O v v oU E m E E a00 " ¢0 O �n O 0 v v v y U 6 2 m e 11 11 v c LL' �u E o g Q > E n` a n` a v K v v v O c v « yaU - - - E '^ 1�i v F j U UI UI v ._ F Y O y ¢ — a m 0 E U ¢ V g E Y q a c E v LL F ui y a 0 c E E E o n ¢ n U U ¢ U K ¢ Y Y ¢ U UI x x UI n UI G 11/12011 Page 6 10 This page intentionally left blank 11 City of Kent, Washington Summary Financial Report 40 Oe �0 KENT WASH IN G T O N As of September 30, 2011 12 City of Kent MONTHLY FINANCIAL REPORT Table of Contents EXECUTIVE SUMMARY AND GRAPHIC ANALYSIS Executive Summary . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 3 General Fund Revenues . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 4 General Fund Expenditures . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 5 PropertyTax . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 6 SalesTax . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 7 UtilityTax . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 8 Building Permits . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 9 Plan Check Fees . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 10 Recreation Fees . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 11 Fines And Forfeitures . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 12 Water Operating Revenues . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 13 Sewer&Drainage Operating Revenues . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 14 Golf Operating Revenues . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 15 CURRENT BUDGET ANALYSIS General Fund Analysis . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 16 Annexation Budget Analysis . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 17 Street Operating Fund . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 18 Lodging Tax Operating Fund . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 19 Youth/Teen Programs Operating Fund . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 20 Capital Improvement Operating Fund . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 21 Criminal Justice Operating Fund . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 23 Golf Operating Fund . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 24 INTERNAL SERVICE FUNDS PROFIT AND LOSS Fleet Services Fund . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 25 Central Services Fund . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 26 Information Technology Fund . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 27 Facilities Operating Fund . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 28 Unemployment Fund . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 29 Workers Compensation Fund . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 30 Health and Employee Wellness Fund . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 31 LEOFF 1 Retirees Benefits Fund . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 32 Liability Insurance Fund . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 33 Property Insurance Fund . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 34 REVENUE AND EXPENSE SUMMARIES Monthly Comparison 2008,2009,2010 and 2011 . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 35 System Reports General Fund . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 39 Special Revenue Operating Funds . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 43 Debt Service Funds . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 45 Water Utility Operations . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 46 Sewerage Utility Operations . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 47 Golf Course Operations . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 48 Internal Services-excluding Insurance . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 49 Insurance Fund . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 50 Street Capital Projects . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 51 Parks Capital Projects . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 53 Other Capital Projects . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 55 Technology Capital Projects . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 56 Facilities Capital Projects . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 57 Water Capital Projects . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 58 Sewerage Capital Projects . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 60 2 13 City Of Kent Monthly Financial Summary for September 2011 General Fund Summary Based on information available through September, General Fund revenues are estimated to end about $2,301,403 or 3.8% under budget, while expenditures are projected to end the year about $2,984,130 or 4.9% below the budget. This results in a projected ending fund balance of $2,267,014 or 4.3% of the expenditure budget. Revenues While sales tax revenues continue to show an improvement over past years, overall revenues are estimated to end about $2,301,403 or 3.8% under budget. Revenue highlights include: • Sales Tax revenues are expected to exceed projections by $220,199 or 1.3% over budget, continuing the slight upward trend observed over the past few months. • Utility Tax revenues are trending to come in approximately 10.8% below budget. Telephone utility tax revenues are coming in about 19% below budget due to an increase in the amount allocated to the annexation area, as well as the exclusion of cell phone data plans from utility tax. Electric and gas are higher than this time last year due to a colder spring, but are still trending to end the year 16% below budget. Garbage is trending about 17.6% below budget, due to the lagging construction industry and the impact of the new garbage contract that went into effect on April 1st. • Building Permits and Plan Check Fees continue to be negatively impacted by the deterioration in the building industry. Both are trending to end the year near 2010 actuals, or about 6.4% below budget. We continue to work with Economic and Community Development to strategize long term solutions. • Recreation Fees continue to show an improvement, trending to end the year near budget. • Miscellaneous revenues are running approximate $855,000 under budget, largely due to continuing low interest rates and the available cash to invest. Exoenditures Current projections, based on individual like item expenditure trends, end the year about $2,984,130 or 4.9% below the budget. Expenditure Highlights include: • A lag in hiring is expected to result in Salaries & Benefits savings of nearly 3.3% below budget. • Department staff has identified savings areas in Supplies and Services & Charges, which is expected to result in a 4.9% savings. Fund Balance Ending fund balance is estimated to be $2,267,014, which equates to 4.3% of the expenditure budget. 3 14 General Fund Revenues (excluding Annexation) 16,000,000 14,000,000 12,000,000 10,000,000 8,000,000 11 T----- 6,000,000 4,000,000 2,000,000 0 Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec 11 Bud Monthly Budget vs Adjusted Actual it 10 Act 11 Act ]an Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec 10 Pct 3,587,120 3,243,029 4,755,947 13,988,783 6,922,868 4,436,040 3,141,567 2,787,886 4,622,405 13,310,466 4,764,646 6,140,123 11 Bud 3,122,056 3,041,750 3,712,123 11,458,667 5,197,866 4,629,238 3,205,651 2,730,059 4,222,020 9,513,229 3,833,887 4,963,083 11 Pct 3,289,156 3,214,732 4,791,631 9,749,613 3,973,008 4,571,406 3,174,325 2,683,261 4,065,667 +/- 167,101 172,982 1,079,508 (1,709,054) (1,224,858) (57,832) (31,326) (46,798) (156,353) Put+/- 5.4% 5.7% 29.1% -14.9% -23.6% -1.2% -1.0% -1J% -3J% General Fund Revenues (excluding Annexation) 80,000,000 60,000,000 50,000,000 40,000,000 I"cul 30,000,000 20,000,000 ' ,i 10,000,000 0 Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec 11 Bud Cumulative Budget vs Actual t,.. 10 Act t 11 Act ]an Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec 10 Aut 3,587,120 6,830,149 11,586,096 25,574,879 32,49],]48 36,933,788 40,075,354 42,863,240 47,485,645 60,796,111 65,560,757 71,700,880 11 Bud 3,122,056 6,163,806 9,875,929 21,334,596 26,532,462 31,161,700 34,367,351 37,097,410 41,319,430 50,832,659 54,666,546 59,629,628 11 Act 3,289,156 6,503,888 11,295,520 21,045,133 25,018,141 29,589,547 32,763,872 35,447,133 39,512,801 +/- 167,101 340,083 1,419,591 (289,463) (1,514,321) (1,572,153) (1,603,479) (1,650,276) (1,806,629) Put+/- 5.4% 5.5% 14.4% -1.4% -5J% -5.0% -4J% -4.4% -4.4% 4 15 General Fund Expenditures (excluding Annexation) 8,000,000 7,000,0006,000,000 5,000,000 �/, 4,000,000 "` � 3,000,000 2,000,000 1,000,000 p Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec 11 Bud Monthly Budget vs Adjusted Actual 10 Act 11 Act ]an Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec 10 Pct 6,605,167 6,047,518 6,591,018 6,641,349 7,081,510 5,861,624 6,246,678 4,734,827 6,165,766 5,435,099 6,334,346 4,858,074 11 Bud 4,687,023 4,514,687 4,741,880 4,783,388 5,152,679 4,563,279 4,815,876 4,015,671 4,425,997 4,142,159 4,719,863 4,225,767 11 Pct 4,004,555 4,278,233 4,703,037 4,008,910 4,394,052 4,164,634 5,111,082 3,976,956 4,404,857 +/- (682,467) (236,453) (38,843) (774,478) (758,627) (398,646) 295,206 (38,715) (21,140) Put+/- -14.6% -5.2% -0.8% -16.2% -14J% -8J% 6.1% -1.0% -0.5% General Fund Expenditures (excluding Annexation) 80,000,000 70,000,000 A, q „ 50,000,000 m. 40,000,000 30,000,000 20,000,000 10,000,000 „n 0 Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec 11 Bud Cumulative Budget vs Actual """10AG .11Ac[ ]an Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec 10 Pct 6,605,167 12,652,685 19,243,702 25,885,051 32,966,561 38,828,186 45,074,863 49,809,690 55,975,457 61,410,556 67,744,902 72,602,97 11 Bud 4,687,023 9,201,709 13,943,589 18,726,97 23,879,657 28,442,936 33,258,813 37,274,483 41,700,480 45,842,640 50,562,503 54,788,270 11 Pct 4,004,555 8,282,789 12,985,826 16,994,736 21,388,789 25,553,423 30,664,505 34,641,461 39,046,318 +/- (682,467) (918,921) (957,764) (1,732,241) (2,490,868) (2,889,514) (2,594,308) (2,633,023) (2,654,162) Put+/- -14.6% -10.0% -6.9% -9.2% -10.4% -10.2% -7.8% -7.1% -6.4% 5 16 Property Tax (excluding Annexation) 12,000,000 10,000,000 8,000,000 6,000,000 I, h ? 110 4 04 4,000,000 k, o-o t `lo 2,000,000 ��, t 0 Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec 11 Bud Monthly Budget vs Adjusted Actual of 10Act �11Act ]an Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec 10 Pct (50,842) 231,583 643,048 10,736,688 2,461,441 83,953 82,133 117,275 467,132 10,220,955 2,172,266 251,689 11 Bud 33 117,468 392,680 6,215,058 1,542,163 59,436 45,460 55,007 267,782 6,001,499 1,297,220 147,343 11 Pct 0 180,243 523,653 6,751,005 1,184,844 40,525 4,748 87,368 337,694 +/- (33) 62,774 130,973 535,947 (357,319) (18,911) (40,712) 32,361 69,911 Put+/- -100.0% 53.4% 33.4% 8.6% -23.2% -31.8% -89.6% 58.8% 26.1% Property Tax (excluding Annexation) 30,000,000 25,000,000 .E 20,000,000 15,000,000 ,,,,, 10,000,000 5,000,000 0 Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec 11 Bud Cumulative Budget vs Actual ""'10Act t11Act ]an Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec 10 Pct (50,842) 180,741 823,790 11,560,477 14,021,918 14,105,872 14,188,005 14,305,280 14,772,412 24,993,367 27,165,633 27,417,322 11 Bud 33 117,502 510,182 6,725,239 8,267,402 8,326,838 8,372,298 8,427,305 8,695,087 14,696,586 15,993,806 16,141,149 11 Pct 0 180,243 703,896 7,454,901 8,639,745 8,680,270 8,685,018 8,772,386 9,110,080 +/- (33) 62,741 193,714 729,662 372,342 353,432 312,720 345,081 414,993 Put+/- -100.0% 53.4% 38.0% 10.8% 4.5% 4.2% 3.7% 4.1% 4.8% 6 17 Sales Tax (excluding Annexation) 2,500,000 2,000,000 r 1s00,000 1,000,000 100, 500,000 0 Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec 11 Bud Monthly Budget vs Adjusted Actual 9 10 Act t 11 Act ]an Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec 10 Pct 828,130 1,118,802 1,987,428 850,088 1,043,025 2,089,476 799,564 958,461 2,162,531 919,779 1,018,423 2,314,865 11 Bud 877,224 1,178,059 2,053,011 881,749 1,087,129 2,167,809 869,605 1,054,104 2,190,375 983,476 1,161,894 2,295,565 11 Pct 880,130 1,258,493 2,090,512 788,947 1,008,194 2,291,698 966,265 1,017,202 2,146,124 +/- 2,906 80,434 37,501 (92,802) (78,935) 123,889 96,660 (36,902) (44,251) Put+/- 0.3% 6.8% 1.8% -10.5% -7.3% 5.7% 11.1% -3.5% -2.0% Sales Tax (excluding Annexation) 18,000,000 16,000,000 14,000,000 12,000,000 11, 10,000,000 8,000,000 6,000,000 4,000,000 „€" u� 2,000,000 0 Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec t 11 Bud Cumulative Budget vs Actual ""'10Act t11Act ]an Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec 10 Pct 828,130 1,946,932 3,934,359 4,784,448 5,827,473 7,916,949 8,716,513 9,674,974 11,837,505 12,]57,284 13,775,707 16,090,572 11 Bud 877,224 2,055,283 4,108,294 4,990,043 6,077,171 8,244,980 9,114,586 10,168,690 12,359,065 13,342,541 14,504,435 16,800,000 11 Pct 880,130 2,138,623 4,229,135 5,018,082 6,026,276 8,317,974 9,284,239 10,301,441 12,447,565 +/- 2,906 83,340 120,841 28,039 (50,895) 72,994 169,653 132,751 88,500 Put+/- 0.3% 4.1% 2.9% 0.6% -0.8% 0.9% 1.9% 1.3% OJ% 18 Utility Tax (excluding Annexation) 1,800,000 1,600,000 1,400,000 1,200,000 '��, -�I, «min 1,000,000 %%,, 800,000 600,000 400,000 200,000 0 Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec 11 Bud Monthly Budget vs Adjusted Actual it 10Ac[ .11Act ]an Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec 10 Pct 1,482,955 1,142,296 1,076,973 1,354,165 1,085,643 1,019,431 1,219,550 1,018,619 1,072,301 1,250,328 1,020,556 876,802 11 Bud 1,589,369 1,246,574 1,223,940 1,450,505 1,145,586 1,083,395 1,328,473 1,076,222 1,104,184 1,292,675 1,100,766 1,063,437 11 Pct 1,477,066 1,079,613 1,190,380 1,272,756 979,284 1,103,687 1,222,489 763,421 677,848 +/- (112,303) (166,961) (33,560) (177,749) (166,302) 20,292 (105,984) (312,801) (426,336) Put+/- -7.1% -13.4% -2J% -12.3% -14.5% 1.9% -8.0% -29.1% -38.6% Utility Tax (excluding Annexation) 16,000,000 14,000,000 12,000,000 10,000,000 8,000,000 6,000,000 4,000,000 2,000,000 0 Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec 11 Bud Cumulative Budget vs Actual 11A,t ]an Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec 10 Pct 1,482,955 2,625,250 3,702,223 5,056,389 6,142,031 7,161,462 8,381,012 9,399,631 10,471,932 11,722,260 12,742,816 13,619,618 11 Bud 1,589,369 2,835,943 4,059,883 5,510,388 6,655,974 7,739,369 9,067,842 10,144,064 11,248,247 12,540,923 13,641,689 14,705,126 11 Pct 1,477,066 2,556,679 3,747,059 5,019,815 5,999,099 7,102,786 8,325,276 9,088,696 9,766,544 +/- (112,303) (279,264) (312,824) (490,573) (656,875) (636,583) (742,566) (1,055,368) (1,481,704) Put+/- -7.1% -9.8% -]J% -8.9% -9.9% -8.2% -8.2% -10.4% -13.2% 8 19 Building Permits (excluding Annexation) 250,000 200,000 150,000 /1 m �, ¢ W ° 100,000 50,000 0 Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec 11 Bud Monthly Budget vs Adjusted Actual ,10 Alt t 11 Act ]an Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec 10 Pct 61,517 118,182 135,697 139,854 121,426 154,935 149,747 70,923 119,807 108,605 127,504 90,707 11 Bud 85,117 116,918 137,131 167,957 123,115 162,492 173,175 103,446 128,395 114,541 97,441 114,277 11 Pct 58,256 69,498 143,089 194,314 96,717 165,124 112,325 152,484 126,708 +/- (26,861) (47,420) 5,958 26,357 (26,398) 2,631 (60,850) 49,038 (1,687) Put+/- -31.6% -40.6% 4.3% 15.7% -21.4% 1.6% -35.1% 47.4% -1.3% Building Permits (excluding Annexation) 1,800,000 1,600,000 1,400,000 1,200,000 1,000,000 800,000 600,000 400,000 r 200,000 Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec t 11 Bud Cumulative Budget vs Actual H-..-10Act t11AR ]an Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec 10 Pct 61,517 179,699 315,396 455,250 576,676 731,611 881,358 952,281 1,072,088 1,180,693 1,308,197 1,398,904 11 Bud 85,117 202,035 339,166 507,123 630,238 792,731 965,906 1,069,352 1,197,747 1,312,288 1,409,729 1,524,006 11 Pct 58,256 127,754 270,843 465,157 561,874 726,998 839,323 991,807 1,118,515 +/- (26,861) (74,281) (68,323) (41,966) (68,364) (65,733) (126,583) (77,545) (79,232) Put+/- -31.6% -36.8% -20.1% -8.3% -10.8% -8.3% -13.1% -7.3% -6.6% 9 20 Plan Check Fees (excluding Annexation) 180,000 160,000 /p 140,000 120,000 100,000 80,000 � 60,000 R, 40,000 20,000 0 Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec 11 Bud Monthly Budget vs Adjusted Actual ,10 Act t11Act ]an Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec 10 Pct 159,626 71,975 72,741 79,012 79,823 150,706 151,221 58,575 83,725 58,605 51,392 123,145 11 Bud 107,992 94,787 82,302 111,532 87,585 150,694 129,557 109,328 80,916 79,127 52,217 89,650 11 Pct 52,177 69,976 90,348 114,538 99,915 156,022 78,574 114,226 86,540 +/- (55,815) (24,811) 8,046 3,006 12,330 5,328 (50,982) 4,899 5,624 Put+/- -51J% -26.2% 9.8% 2.7% 14.1% 3.5% -39.4% 4.5% 6.9% Plan Check Fees (excluding Annexation) 1,400,000 1,200,000 1,000,000 800,000600,000 o„ 400,000 200,000 0 Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec t 11 Bud Cumulative Budget vs Actual ""'10Act . 11 Act ]an Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec 10 Pct 159,626 231,601 304,342 383,355 463,178 613,884 765,105 823,680 907,405 966,010 1,017,402 1,140,547 11 Bud 107,992 202,778 285,080 396,612 484,197 634,891 764,448 873,775 954,692 1,033,818 1,086,035 1,175,685 11 Pct 52,177 122,153 212,501 327,039 426,954 582,976 661,550 775,777 862,317 +/- (55,815) (80,625) (72,580) (69,573) (57,243) (51,915) (102,897) (97,998) (92,375) Put+/- -51J% -39.8% -25.5% -17.5% -11.8% -8.2% -13.5% -11.2% -9J% 10 21 Recreation Fees (excluding Annexation) 200,000 180,000 ..mA 160,000 140,000 100,000 80,00060,000 - /` 40,000 Jo 20,000 p Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec 11 Bud Monthly Budget vs Adjusted Actual -10 Act 11 Act ]an Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec 10 Pct 170,597 155,012 180,518 ]6,5]8 48,371 85,197 91,972 59,152 120,899 47,694 19,858 98,297 11 Bud 162,085 148,656 55,712 55,712 83,568 128,138 142,623 121,452 85,363 41,847 37,948 51,138 11 Pct 130,420 130,299 40,706 12,396 130,494 157,371 87,204 103,175 147,392 +/- (31,665) (18,357) (15,006) (43,316) 46,926 29,233 (55,419) (18,278) 62,029 Put+/- -19.5% -12.3% -26.9% J7.8% 56.2% 22.8% -38.9% -15.0% 72J% Recreation Fees (excluding Annexation) 1,400,000 1,200,000 1,000,000 800,000 600,000 400,000 r, 200,000 0 Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec 11 Bud Cumulative Budget vs Actual �m....,10Act 11 Act ]an Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec 10 Pct 170,597 325,609 506,127 582,705 631,076 716,273 808,245 867,398 988,297 1,035,990 1,055,848 1,154,145 11 Bud 162,085 310,741 366,453 422,166 505,734 633,872 ]]6,495 897,947 983,310 1,025,157 1,063,104 1,114,242 11 Pct 130,420 260,719 301,425 313,821 444,315 601,686 688,890 792,065 939,456 +/- (31,665) (50,022) (65,028) (108,345) (61,418) (32,186) (87,604) (105,882) (43,853) Pct+/- -19.5A -16.1% -17.7% -25Jh -12.1A -5.1h -11.3h -11.8h -4.5A 11 22 Fines & Forfeitures (excluding Annexation) 200,000 180,000 160,000r „ NOD �ru, r////i/r yo.�, 140,000 uu"'"' 120,000 +piai 80,000 60,000 40,000 20,000 p Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec 11 Bud Monthly Budget vs Adjusted Actual -."Art t 11 Act ]an Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec 10 Pct 129,187 153,542 163,881 150,259 121,697 153,806 120,584 140,920 126,209 115,289 101,329 105,737 11 Bud 141,810 156,054 173,223 154,182 147,479 159,226 142,216 166,583 136,983 137,240 127,360 129,104 11 Pct 120,297 138,193 159,857 132,864 126,771 124,272 125,723 149,747 124,193 +/- (21,513) (17,862) (13,367) (21,318) (20,708) (34,954) (16,493) (16,836) (12,790) Put+/- -15.2% -11.4% JJ% -13.8% -14.0% -22.0% -11.6% -10.1% -9.3% Fines & Forfeitures (excluding Annexation) 2,000,000 1,800,000 1,600,000 1,400,000 1,200,000 1,000,000 800,000 600,000 400,000 200,000 0 Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec t 11 Bud 10Act Cumulative Budget vs Actual tnAct ]an Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec 129,187 282,729 446,609 596,868 718,565 872,372 992,956 1,133,876 1,260,085 1,375,374 1,476,703 1,582,440 11 Bud 141,810 297,865 471,088 625,269 772,748 931,975 1,074,190 1,240,774 1,377,756 1,514,996 1,642,356 1,771,460 11 Pct 120,297 258,489 418,346 551,210 677,981 802,253 927,976 1,077,722 1,201,915 +/- (21,513) (39,375) (52,742) (74,059) (94,768) (129,722) (146,215) (163,051) (175,841) Put+/- -15.2% -13.2% -11.2% -11.8% -12.3% -13.9% -13.6% -13.1% -12.8% 12 23 Water Operating Revenues (excluding Annexation) 2,500,000 2,000,000 wAJ»" „ 1,500,000 dw 1,000,000 500,000 p Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec 11 Bud Monthly Budget vs Adjusted Actual ,10 Act t 11 Act ]an Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec 10 Pct 1,301,550 969,186 960,311 1,020,299 1,280,268 1,339,237 1,490,661 1,745,949 1,969,472 1,094,730 1,084,158 1,168,192 11 Bud 1,081,398 887,113 895,286 928,010 1,195,899 1,335,378 1,539,289 1,608,948 1,835,531 1,050,456 1,033,718 990,948 11 Pct 1,287,443 992,936 1,079,243 1,033,639 1,260,273 1,314,426 1,710,389 1,564,575 1,982,268 +/- 206,045 105,823 183,957 105,630 64,374 (20,952) 171,100 (44,374) 146,738 Put+/- 19.1% 11.9% 20.5% 11.4% 5.4% -1.6% 11.1% -2.8% 8.0% Water Operating Revenues (excluding Annexation) 18,000,000 16,000,000 14,000,000 12,000,000 10,000,000 n„ 8,000,000 6,000,000 '' 4,000,000 s 2,000,000 - 0 Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec t 11 Bud Cumulative Budget vs Actual "'.. 10 Act 11 Act ]an Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec 10 Pct 1,301,550 2,270,736 3,231,047 4,251,346 5,531,614 6,870,851 8,361,512 10,107,461 12,076,933 13,171,663 14,255,821 15,424,013 11 Bud 1,081,398 1,968,511 2,863,796 3,791,806 4,987,705 6,323,084 7,862,373 9,471,321 11,306,851 12,357,307 13,391,025 14,381,973 11 Pct 1,287,443 2,280,379 3,359,622 4,393,261 5,653,534 6,967,960 8,678,349 10,242,924 11,825,192 +/- 206,045 311,868 495,825 601,455 665,829 644,876 815,977 771,603 518,341 Put+/- 19.1% 15.8% 17.3% 15.9% 13.3% 10.2% 10.4% 8.1% 4.6% 13 24 Sewer and Drainage Operating Revenues (excluding Annexation) 4,000,000 3,500,000 3,000,000 /1pi'°'ti �" ,i /@, nrwr... ,�,lliv n poi l........ 2,500,000 2,000,000 1,500,000 1,000,000 500,000 p ...I I... ..p, ... p ....I Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec 11 Bud Monthly Budget vs Adjusted Actual it 10Ac[ III Act ]an Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec 10 Pct 3,164,868 2,649,026 2,811,804 2,944,436 2,910,594 2,861,408 3,120,068 2,898,334 3,008,261 2,918,771 2,886,810 3,276,796 11 Bud 3,062,593 2,483,818 2,608,230 2,658,827 2,720,834 2,623,124 2,893,990 2,684,666 2,808,851 2,660,426 2,718,157 2,773,836 11 Pct 3,439,530 2,901,019 3,181,459 3,290,332 3,121,048 3,022,877 3,674,916 3,031,060 3,512,992 +/- 376,938 417,201 573,229 631,505 400,214 399,753 780,926 346,394 704,141 Put+/- 12.3% 16.8% 22.0% 23.8% 14.7% 15.2% 27.0% 12.9% 25.1% Sewer and Drainage Operating Revenues (excluding Annexation) 40,000,000 35,000,000 30,000,000 25,000,000 20,000,000 ���,,, 15,000,000 10,000,000 5,000,000 0 Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec 11 Bud Cumulative Budget vs Actual H...-10Act �11Act ]an Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec 10 Pct 3,164,868 5,813,894 8,625,698 11,570,134 14,480,728 17,342,136 20,462,204 23,360,538 26,368,799 29,287,570 32,174,380 35,451,176 11 Bud 3,062,593 5,546,411 8,154,641 10,813,468 13,534,301 16,157,425 19,051,415 21,736,081 24,544,932 27,205,358 29,923,516 32,697,352 11 Pct 3,439,530 6,340,550 9,522,009 12,812,341 15,933,389 18,956,266 22,631,182 25,662,242 29,075,234 +/- 376,938 794,139 1,367,368 1,998,873 2,399,088 2,798,841 3,579,767 3,926,161 4,530,302 Put+/- 12.3% 14.3% 16.8% 18.5% 17J% 17.3% 18.8% 18.1% 18.5% 14 25 Golf Operating Revenues 500,000 450,000 400,000 350,000 300,000 250,000 yi 9 200,000 i„'0 . 150,000 "!!� 100,000 A/A,o)n,� p ✓/�Lrprrry % 50,000 0 Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec 11 Bud Monthly Budget vs Adjusted Actual " 10AG �11Act ]an Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec 10 Pct 92,393 106,482 140,101 191,842 229,555 303,679 375,007 358,155 215,490 152,329 86,433 96,513 11 Bud 112,618 153,911 208,109 279,313 334,574 417,933 474,440 463,387 286,971 188,852 124,009 110,226 11 Pct 63,971 102,256 142,969 225,930 233,397 317,321 368,596 367,101 238,734 +/- (48,647) (51,655) (65,140) (53,383) (101,177) (100,612) (105,844) (96,286) (48,237) Put+/- -43.2% -33.6% -31.3% -19.1% -30.2% -24.1% -22.3% -20.8% -16.8% Golf Operating Revenues 3,500,000 3,000,000 2,500,000 2,000,000 1,500,000 1,000,000 500,000 Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec 11 Bud ✓" IOAR Cumulative Budget vs Actual I11AR ]an Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec 10 Aut 92,393 198,875 338,976 530,818 760,373 1,064,052 1,439,059 1,79,214 2,012,704 2,165,033 2,251,466 2,347,979 11 Bud 112,618 266,529 474,637 753,950 1,088,525 1,506,458 1,980,898 2,444,285 2,731,257 2,920,109 3,044,118 3,154,344 11 Act 63,971 166,227 309,196 535,126 768,523 1,085,844 1,454,440 1,821,541 2,060,275 +/- (48,647) (100,302) (165,442) (218,824) (320,002) (420,614) (526,458) (622,744) (670,982) Put+/- -43.2% -37.6% -34.9% -29.0% -29.4% -27.9% -26.6% -25.5% -24.6% 15 26 GENERALFUND (without Annexation) As of September 30, 2011 2010 2011 2011 2011 2012 Actual Budget VTD Est Actual Prelim Beginning Fund Balance 2,060,234 2,182,698 2,182,698 2,182,698 2,199,554 Revenues Taxes: Property 27,417,322 16,141,149 9,110,080 16,737,132 16,957,316 Sales Tax 16,090,572 16,800,000 12,447,565 17,020,199 A 16,502,781 Utility 13,619,617 14,705,126 9,766,544 13,111,424 B 13,655,831 Other 747,006 950,000 463,209 807,109 786,518 Licenses and Permits 2,091,190 2,279,461 1,803,804 2,217,124 2,479,461 Intergovernmental Revenue 5,929,740 1,498,746 1,045,576 1,334,464 1,265,506 Charges for Services 3,024,097 3,394,545 2,699,931 3,349,840 c 3,981,645 Fines and Forfeitures 1,587,208 1,771,460 1,175,561 1,566,814 1,498,960 Miscellaneous Revenue 1,201,867 2,089,141 974,177 1,234,119 D 1,166,905 Transfers In 1,634,436 1,102,377 300,000 1,052,377 950,000 TOTAL REVENUES 73,343,055 60,732,005 39,786,447 58,430,602 59,244,923 Expenditures Salaries & Benefits 50,291,125 41,791,628 30,527,587 40,425,698 E 42,515,584 Supplies 1,908,325 2,119,041 1,311,109 1,798,403 F 2,166,627 Services &Charges 29,990,327 21,326,804 14,856,574 20,500,738 F 22,856,354 Capital Outlay 42,800 12,091 42,800 55,000 Cost Allocations (9,586,800) (10,492,003) (7,661,043) (10,630,184) (10,635,510) Transfers Out 617,614 6,542,146 108,400 6,208,831 2,285,049 TOTAL EXPENDITURES 73,220,591 61,330,416 39,154,718 58,346,286 59,243,104 Net Revenues less Expenditures 122,464 (598,411) 631,729 84,316 1,819 Ending Fund Balance 2,182,698 1,584,287 2,814,427 2,267,014 2,201,373 Target for Contingency 7,260,298 5,478,827 3,904,632 5,213,746 5,695,806 Difference (5,077,600) (3,894,540) (1,090,205) (2,946,732) (3,494,433) 3.0% 2.9% 4.3% 3.9% Maior Drivers: A-Sales Tax revenues are trending to exceed budget by approximately 1.3% B - Utility Tax revenues are trending to come in approximately 10.8% below budget. -Telephone utility taxes are coming in nearly 19% below budget due to an increase in the amount allocated to the annexation area, as well as the exclusion of data plans from utility tax. - Electric and gas are higher than this time last year due to a colder spring, but are still trending to end the year about 16% below budget. - Garbage is trending about 17.6% below budget, due to lagging construction industry and the impact of the new garbage contract that went into effect April 1st. C - Building Permits and Plan Check Fees continue to be negatively impacted by deterioration in the building industry. Both are trending to end the year near 2010 actual. C - Recreation Fees continue to show an improvement, trending about$9,000 under budget. D - Miscellaneous revenues are running approximately$855,000 under budget, largely due to continuing low interest rates and the availability of cash to invest. E -A lag in hiring is expected to result in Salaries and Benefits savings of nearly 3.3% below budget. F- Department staff have identified savings areas in Supplies and Services&Charges, which is expected to result in a 4.9%savings. 16 27 ANNEXATION As of September 30, 2011 2010 2011 2011 2011 2012 Actual Budget YTD Est Actual Prelim Beginning Fund Balance (1,356,589) (1,356,589) (1,356,589) (988,677) Revenues Taxes: Property 1,790,251 3,245,724 1,523,254 2,803,804 2,824,923 Sales Tax 2,077,897 6,048,189 3,073,144 4,105,142 A 4,212,630 Utility 705,105 2,405,320 1,960,608 2,606,219 2,765,743 Other 238,251 420,000 169,882 345,963 385,400 Licenses and Permits 11,431 11,431 Intergovernmental Revenue 292,348 573,384 697,237 933,413 929,407 Charges for Services 4,126 5,042 5,042 TOTAL REVENUES 5,107,978 12,692,617 7,440,598 10,811,014 11,118,103 Expenditures Salaries & Benefits 3,696,201 6,808,092 4,321,119 5,842,584 B 5,379,640 Supplies 341,314 1,020,682 360,164 585,164 c 903,215 Services &Charges 2,340,064 4,998,717 2,774,114 3,889,103 c 4,689,800 Capital Outlay 148,230 93,500 102,935 102,935 Cost Allocations (61,242) (51,349) (51,349) TOTAL EXPENDITURES 6,464,567 12,920,991 7,506,983 10,368,437 10,972,655 Net Revenues less Expenditures (1,356,589) (228,374) (66,385) 442,577 145,448 Ending Fund Balance (1,356,589) (1,584,963) (1,422,974) (914,012) (843,229) Maior Drivers: A-Overall revenue budgets were based on information provided by King County and have proven to be nearly 15% higher than actual revenues. Sales Tax shows the largest discrepancy, with actuals trending to end the year about 32.1% less than budget. B -A lag in hiring is expected to result in Salaries and Benefits coming in about 14.2% below budget. C- Department staff have identified savings areas in Supplies and Services&Charges, which is expected to result in significant savings of 25.6%. 17 28 STREET OPERATING FUND As of September 30, 2011 2010 2011 2011 2011 2012 Actual Budget YTD Est Actual Prelim Beginning Fund Balance (1,641,299) (1,402,940) (1,402,940) (1,402,940) 142,184 Revenues Fuel Tax - Unrestricted 1,972,545 2,164,231 1,399,487 1,964,483 1,934,060 Water Utility Tax 152,511 162,381 126,031 159,662 167,121 Sewer Utility Tax 205,410 213,283 174,017 230,059 220,586 Drainage Utility Tax 147,839 153,139 118,243 151,243 151,422 Electric Utility Tax 976,547 1,069,317 837,343 1,086,201 977,087 Gas Utility Tax 278,967 342,714 309,140 354,140 331,741 Garbage Utility Tax 208,511 216,248 148,947 203,447 181,164 Telephone Utility Tax 646,532 601,342 514,499 604,499 558,165 Transfers In 41,096 1,750,000 Total Revenues 4,629,958 4,922,655 3,627,707 6,503,734 4,521,346 Total Resources 2,988,658 3,519,715 2,224,767 5,100,794 4,663,530 Expenditures &Transfers Debt Service PW Trust Fund Loan 799,460 915,639 800,835 800,835 797,201 LTGO Bonds 2000 203,281 202,899 32,482 202,899 203,679 LTGO Bonds 2002 645,445 647,205 113,553 647,205 650,056 GO Refund (96) 2004 129,603 151,806 25,546 151,806 136,393 GO Refund 2005 (93,95,00,96TF) 37,855 38,016 16,199 38,016 37,789 LTGO Bonds 2008 358,824 449,880 179,412 449,880 487,066 LTGO Bonds 2009 168,574 207,797 28,318 207,797 207,213 Total Debt Service 2,343,042 2,613,242 1,196,344 2,498,438 2,519,397 Operating Costs Street Utility Operations 2,324,366 1,717,080 1,488,320 1,964,364 1,444,248 Street Tree Maintenance Program 229,953 238,712 181,252 234,332 245,533 Engineering Services Allocation 249,384 259,359 194,519 259,359 264546 Total Operating Costs 2,803,702 2,215,151 1,864,090 2,458,055 1,954,327 Arterials 256th (Kent Kangley-116th) (4,179) Total Arterials (4,179) Intersection Improvements LID 361 - 272nd Extension (21,723) Kent Station (814,243) Total Intersection Improvements (835,966) Other Improvements Neighborhood Traffic Control 50,000 Mero Transit Services 35,000 35,000 35,000 155,000 Total Other Improvements 85,000 35,000 35,000 155,000 Total Effective Transportation System 2,048,556 2,250,151 1,864,090 2,493,055 2,109,327 Total Expense &Transportation 4,391,599 4,863,393 3,060,435 4,991,493 4,628,724 Change In Fund Balance 238,359 59,262 567,273 1,512,241 (107,378) Ending Fund Balance (1,402,940) (1,343,678) (835,668) 109,301 34,806 Maior Drivers: Revenues are not sufficient to sustain current operating costs charged to fund. Staff is looking at options to reduce operating costs charged to fund. 18 29 LODGING TAX OPERATING FUND As of September 30, 2011 2010 2011 2011 2011 2012 Actual Budget YTD Est Actual Prelim BEGINNING FUND BALANCE 240,949 48,624 48,624 48,624 66,302 REVENUES Lodging Tax 162,706 160,000 126,926 176,000 163,200 Miscellaneous Income 590 1,100 20 30 300 Total Revenues 163,296 161,100 126,946 176,030 163,500 Total Resources 404,245 209,724 175,571 224,654 229,802 EXPENDITURES Seattle Southside Visitor Services 120,000 120,000 90,000 120,000 120,000 Tourism Unallocated 5,000 20,000 5,000 5,000 20,000 Tourism Chamber 18,500 18,500 13,875 18,500 18,500 Total Expenditures 143,500 158,500 108,875 143,500 158,500 Transfers Out - ShoWare Marquee Project 212,121 TOTAL EXPEDITURES AND TRANSFERS 355,621 158,500 108,875 143,500 158,500 Change in Fund Balance (192,324) 2,600 18,071 32,530 5,000 ENDING FUND BALANCE 48,624 51,224 66,696 81,154 71,302 19 30 YOUTH/TEEN PROGRAMS OPERATING FUND As of September 30, 2011 2010 2011 2011 2011 2012 Actual Budget YTD Est Actual Prelim. BEGINNING FUND BALANCE 25,954 (57,001) (57,001) (57,001) 22,436 REVENUES Utility Taxes: Water 45,753 49,714 37,809 50,412 56,550 Sewer 61,623 63,985 52,205 67,179 67,020 Drainage 44,352 46,942 35,473 48,534 52,222 Electric 292,964 320,795 251,203 338,275 295,159 Gas 83,690 101,814 92,742 113,818 77,784 Garbage 62,553 63,948 44,684 61,538 61,777 Telephone 193,960 180,403 154,350 199,423 181,715 Miscellaneous Revenues 677 6,474 183 308 474 TOTAL REVENUES 785,572 834,075 668,649 879,487 792,701 TOTAL RESOURCES 811,526 777,074 611,648 822,486 815,137 EXPENDITURES Valued Government Services Transfer Out - General Fund Teen Prgrms 826,527 802,377 300,000 752,377 750,000 Transfer Out - Parks Capital Projects Teen Golf Program 42,000 42,000 42,000 42,000 Transfer Out - GF Aquatics TOTAL EXPENDITURES (TRANSFERS) 868,527 844,377 300,000 794,377 792,000 Change In Fund Balance (82,955) (10,302) 368,649 85,110 701 ENDING FUND BALANCE (57,001) (67,303) 311,648 28,109 23,137 20 31 CAPITAL IMPROVEMENT OPERATING FUND As of September 30 2011 2010 2011 2011 2011 2012 Actuals Budget YTD Est Actual Prelim Total Beginning Fund Balance (4,455,573) (8,209,839) (8,209,839) (8,209,839) (12,015,713) Revenues &Other Fin Sources Sales Tax 3,625,315 3,866,667 2,839,395 3,917,348 4,855,698 Real Estate Excise Tax 837,013 1,025,272 726,897 901,193 925,272 Real Estate Excise Tax-2nd Qtr 837,013 1,025,272 726,897 901,193 925,272 Real Estate Excise Tax-St Percent 131,846 133,385 133,385 Miscellaneous Revenues 311 9,518 2,500 3,000 3,518 Transfer In 3,000,000 260,000 Sale of Property 4,350,000 100,000 Proposed Revenues 2,613,661 Total Rev/Other Fin Sources 5,431,497 13,276,730 4,429,075 5,956,119 9,583,421 Total Resources 975,925 5,066,891 (3,780,763) (2,253,720) (2,432,292) Expenditures (Transfers) Debt Service Non-Voted Debt Service 10,736 7,143 7,143 LTGO Bonds 2000 540,963 539,945 86,440 539,945 542,021 Valley Communications 239,386 250,680 250,680 250,030 LTGO Bonds 2002 508,805 508,244 89,172 508,244 510,393 LTGO/ Taxable Bonds 2003 666,385 666,260 56,130 666,260 667,275 GO Refund (96) 2004 1,375,747 1,611,435 271,168 1,611,435 1,447,830 GO Refund 2005 (93,95,00,96TF) 63,220 63,492 27,055 63,492 63,112 LTGO Bonds 2006 794,000 782,000 241,000 782,000 770,000 Golf Debt Service 260,000 LTGO Bonds 2008 1,751,626 1,418,970 400,013 1,418,970 1,412,334 GO Refund 2009 (Part 1999) 587,072 723,670 98,620 723,670 721,641 ShoWare Debt Service 2,829,437 1,358,615 2,900,000 2,500,000 Subtotal Debt Service 9,627,377 6,564,696 2,635,355 9,471,839 8,884,636 Safe Community Public Safety MDC Replacements 195,000 Closed &Other Safe Comm Prjcts (697,535) Subtotal Safe Community (697,535) 195,000 Valued Government Services Kent Parks Foundation 6,000 25,000 25,000 Closed and Other Parks Projects (324,882) Park Development - REET Unallocated Parks Projects 260,000 Adopt-a-Park Program 35,000 Rental Houses Demolition 25,000 Urban Forestry (11,013) 5,000 15,000 Eagle Scout Projects 12,000 25,000 Lifecycle Parks System 2011 250,000 Park Master Plans 2011 25,000 Event Center Lifecycle 300,000 300,000 300,000 300,000 Community Sports Field 100,000 Community Parks Reinv. Program 100,000 Closed &Other Park Dev-REET (237,929) General Government Projects 21 32 CAPITAL IMPROVEMENT OPERATING FUND As of September 30 2011 2010 2011 2011 2011 2012 Actuals Budget YTD Est Actual Prelim Kent Meridian Pool Repairs/Mtc 249,839 25,000 25,000 HVAC Lifecycle Replacements 300,000 75,000 Public Building Major Maintenance 50,000 Security Camera Software Upgrade 40,000 Parks Maintenance Shop Renovation 35,000 Neighborhood Matching Grants 25,000 Sealcoat Parking Lots 35,000 Software Business Sys Replacmnt 500,000 Hardware Lifecycle Replacmnts 639,000 Unallocated Tech Projects 260,000 Emergency Flood Preparedness (450,000) Closed &Other General Gov't Proj 261,908 Subtotal Valued Gov't Svcs 255,922 2,379,000 325,000 645,000 Total Expenditures (Transfers) 9,185,764 9,138,696 2,635,355 9,796,839 9,529,636 Change in Fund Balance (3,754,266) 4,138,034 1,793,721 (3,840,720) 53,785 Total Ending Fund Balance (8,209,839) (4,071,805) (6,416,118) (12,050,558) (11,961,928) Major Drivers: - REET revenues continues to be significantly reduced which seriously impacts our ability to fund capital projects - The city is responsible for paying any debt service on ShoWare that the ShoWare PFD cannot pay. These monies come out of the CIP fund. 22 33 CRIMINAL JUSTICE OPERATING FUND As of September 30, 2011 2010 2011 2011 2011 2012 Actual Budget YTD Est Actual Prelim BEGINNING FUND BALANCE 12,737 (737,912) (737,912) (737,912) 345,281 Revenues Sales Tax - Local Option (1) 1,699,025 2,075,673 1,373,602 1,775,481 1,792,028 MVET - Basic Crime 92,197 53,120 70,629 94,171 92,080 MVET - High Crime 53,076 48,319 96,639 185,500 MVET - Special Programs 74,790 81,724 56,983 75,977 74,453 Miscellaneous Revenues 3,865 287 865 Total Revenues 1,919,088 2,214,382 1,549,533 2,042,555 2,144,926 Transfers In 1,250,000 Total Resources 1,931,825 1,476,470 811,621 2,554,643 2,490,207 Expenditures Law Salaries & Benefits 596,605 652,197 447,053 627,103 634,028 Supplies 7,872 27,790 8,652 11,536 30,194 Services & Charges 7,649 22,812 9,317 11,763 22,956 Domestic Violence Salaries & Benefits 236,226 235,954 188,609 244,304 239,959 Services & Charges 8,044 7,562 6,557 8,342 8,037 KYFS- Youth Violence Prevention Services & Charges 25,000 26,203 25,000 25,000 Police Salaries & Benefits 1,702,378 1,975,311 782,614 1,225,796 1,126,977 Supplies 34,251 49,114 27,331 34,557 49,298 Services & Charges 35,212 89,057 27,565 35,182 89,755 Total Expenditures 2,653,237 3,086,000 1,497,698 2,223,583 2,226,204 Transfers Out 16,500 16,500 16,500 16,500 Total Expenditures and Transfers 2,669,737 3,102,500 1,497,698 2,240,083 2,242,704 Increase (Decrease) In Fund Balance (750,649) (888,118) 51,835 1,052,472 (97,778) ENDING FUND BALANCE (737,912) (1,626,030) (686,077) 314,560 247,503 Major Drivers: • MVET Criminal Justice High Crime funding ended in April 2010 and resumed in July 2011. •Criminal Justice divisions are lagging hiring and underspending discretionary expenditures. (1) Council resolution allocated 11%of Criminal Justice sales tax to Domestic Violence. 23 34 GOLF OPERATING FUND As of Sept 30, 2011 2010 2011 2011 2011 2012 Actuals Budget YTD Est Actual Budget Beginning Working Capital (1,699,417) (1,780,721) (1,780,721) (1,780,721) (1,973,862) Revenues IS Hole Course Green Fees 1,001,500 1,438,000 845,817 1,048,462 1,438,000 Cart &Club Rentals 143,346 204,000 125,156 150,513 204,000 Restaurant Lease 29,221 60,000 33,863 45,151 60,000 Par 3 Course Green Fees 248,629 285,000 202,827 261,060 285,000 Cart &Club Rentals 13,351 14,000 11,222 14,019 14,000 Food & Beverage Sales 10,583 20,000 10,116 11,112 20,000 Driving Range Driving Range Fees 396,103 415,000 357,496 416,538 415,000 Mini Putt Fees 28,368 60,000 22,636 29,786 60,000 Lesson Fees 75,205 120,000 76,907 78,965 120,000 Cart &Club Rentals (924) 677 903 Food & Beverage Sales 33,755 35,000 25,533 29,033 35,000 Merchandising Merchandise Sales 397,808 563,344 381,813 596,981 563,344 Other Miscellaneous Revenues 2,006 196 196 Driving Range Cell Tower Lease 125,442 15,036 20,048 Total Revenues 2,504,393 3,214,344 2,109,293 2,702,766 3,214,344 Total Resources 804,976 1,433,623 328,572 922,045 Expenditures (Transfers) 18 Hole Course 1,639,104 1,470,925 1,346,865 1,685,743 1,688,111 Par Course 310,954 269,477 247,731 287,704 326,787 Driving Range 411,419 500,791 344,384 428,231 452,695 Merchandising 428,598 565,045 378,132 502,261 549,388 Other Expenses (508,802) (2,314) (2,314) Transfers Out 304,425 Total Expenditures (Transfers) 2,585,697 2,806,238 2,314,799 2,901,625 3,016,981 Net Change in Working Capital (81,304) 408,106 (205,506) (198,859) 197,363 Total Working Capital (1,780,721) (1,372,615) (1,986,227) (1,979,581) (1,776,499) 24 35 FLEET SERVICES FUND As of September 30, 2011 2010 2011 2011 2011 2012 Actual Budget YTD Est Actual Prelim Beginning Working Capital 2,316,094 2,483,059 2,483,059 2,483,059 1,767,036 Operating Revenue Fleet Operations 2,691,321 2,885,893 2,249,371 2,996,300 2,959,595 Fleet Replacement 367,151 381,747 275,566 367,151 372,616 Fire Equipment Replacement 164,867 Miscellaneous Revenues 8,165 148,835 14,232 14,232 13,835 Total Operating Revenue 3,231,504 3,416,475 2,539,169 3,377,683 3,346,046 Total Resources 5,547,598 5,899,534 5,022,228 5,860,741 5,113,082 Expenditures Fleet Operations Salaries & Benefits 785,577 850,181 588,826 829,287 962,925 Supplies 1,129,941 1,536,209 1,030,870 1,270,316 1,413,345 Services 646,991 595,653 530,319 774,145 759,072 Capital Outlay 259,838 803,552 249,789 803,552 1,131,811 Fire Equipment Supplies 3,774 Services 1,866 Total Expenditures 2,827,988 3,785,595 2,399,803 3,677,300 4,267,153 Transfers Out 236,550 214,422 214,422 Total Expenses and Transfers 3,064,539 3,785,595 2,614,225 3,891,722 4,267,153 Net Change In Working Capital 166,966 (369,120) (75,056) (514,039) (921,107) Total Working Capital 2,483,059 2,113,939 2,408,003 1,969,019 845,929 25 36 CENTRAL SERVICES FUND As of September 30, 2011 2010 2011 2011 2011 2012 Actual Budget YTD Est Actual Budget Beginning Working Capital (26,003) (66,659) (66,659) (66,659) (94,255) REVENUE Central Stores 135,019 198,813 92,583 143,578 236,376 Postage 185,859 296,053 152,907 211,493 355,264 Total Revenue 320,879 494,866 245,490 355,071 591,640 Total Resources 294,876 428,207 178,831 288,412 497,385 EXPENSE Central Stores 133,133 199,398 81,916 142,890 203,386 Postage 211,443 267,742 188,428 220,854 273,096 Central Services 16,959 18,923 14,192 18,923 19,301 Total Expense 361,534 486,063 284,536 382,667 495,783 Net Operating Income (40,656) 8,803 (39,046) (27,596) 95,857 Ending Working Capital (66,659) (57,856) (105,705) (94,255) 1,602 26 37 INFORMATION TECHNOLOGY FUND As of September 30, 2011 2010 2011 2011 2011 2012 Actual Budget YTD Est Actual Prelim Beginning Working Capital 128,417 (203) (203) (203) 117,646 REVENUE Contributions & Other 3,897,548 4,206,047 3,079,091 4,105,455 4,670,110 Intergovernmental - RFA 209,947 394,414 296,125 394,414 410,839 Total Revenue 4,107,495 4,600,461 3,375,216 4,499,869 5,080,949 Total Resources 4,235,913 4,600,258 3,375,013 4,499,666 5,198,595 EXPENSE Computer Systems &Tech Svcs Salaries & Benefits 1,668,352 1,843,170 1,257,542 1,711,236 2,233,411 Supplies 64,258 40,619 76,673 102,231 41,923 Services &Charges 1,299,599 1,173,269 886,233 1,175,332 1,218,620 Subtotal 3,032,208 3,057,058 2,220,448 2,988,798 3,493,954 Telecommunications Salaries & Benefits 148,970 141,389 112,215 147,489 149,320 Supplies 28,219 14,379 2,284 3,046 14,496 Services &Charges 292,070 395,368 250,838 329,613 396,575 Subtotal 469,259 551,136 365,337 480,148 560,391 Printing/Graphics/Cable TV Salaries & Benefits 582,113 594,302 450,065 600,086 561,478 Supplies 51,968 73,835 32,311 43,081 74,389 Services &Charges 100,568 318,966 199,027 265,369 319,156 Subtotal 734,648 987,103 681,403 908,537 955,023 Total Operating Expense 4,236,115 4,595,297 3,267,188 4,377,483 5,009,368 Transfers Out Total Exp &Transfers 4,236,115 4,595,297 3,267,188 4,377,483 5,009,368 Net Income (128,620) 5,164 108,028 122,386 71,581 Ending Working Capital (203) 4,961 107,825 122,183 189,227 27 38 FACILITIES OPERATING FUND As of September 30, 2011 2010 2011 2011 2011 2012 Actual Budget VTD Est Actual Budget Beginning Working Capital 213,968 1,526 1,526 1,526 157,253 Operating Revenue Intergovernmental -RFA 406,613 852,227 609,920 813,227 852,227 Rental Fees - Internal 4,190,196 3,869,088 2,901,816 3,869,088 4,302,212 Leases 108,000 15,754 21,005 Miscellaneous Revenue 21,218 102,378 9,145 22,193 77,378 Total Revenue 4,726,028 4,823,693 3,536,634 4,725,513 5,231,817 Total Resources 4,939,996 4,825,219 3,538,161 4,727,039 5,389,070 Operating Expense Salaries and benefits 2,188,417 2,279,393 1,705,669 2,255,612 2,563,306 Supplies 294,430 338,849 223,964 276,446 341,596 Services and charges 4,361,265 4,926,820 3,103,808 4,378,494 4,836,361 Capital outlay - - - - - Cost allocation (2,458,544) (3,128,631) (1,900,651) (2,534,201) (2,901,349) Total Operating Expense 4,385,567 4,416,431 3,132,790 4,376,350 4,839,914 Other Financial Uses Transfers Out - Projects 400,000 260,000 Transfers Out - Debt 152,903 152,903 76,452 152,903 152,903 Total Non Operating Rev (Exp) 552,903 152,903 76,452 152,903 412,903 Total Expenses and Uses 4,938,470 4,569,334 3,209,242 4,529,253 5,252,817 Net Change In Working Capital (212,442) 254,359 327,393 196,259 (21,000) Ending Working Capital 1,526 255,885 328,919 197,786 136,253 28 39 UNEMPLOYMENT FUND As of September 30, 2011 2010 2011 2011 2011 2012 Actual Budget YTD Est Actual Budget Beginning Working Capital (11,145) 42,250 42,250 42,250 110,134 REVENUE Contributions 457,398 513,887 301,820 402,427 402,324 Miscellaneous Revenue 18 3,927 145 193 100 Total Revenue 457,416 517,814 301,965 402,620 402,424 Total Resources 446,271 560,064 344,215 444,870 512,558 EXPENSE Salaries & Benefits 23,748 23,689 20,293 27,058 24,691 Supplies 4,095 2,048 4,095 Claims Paid 1st Quarter 76,312 100,000 43,309 43,309 100,000 2nd Quarter 154,942 100,000 59,290 59,289 100,000 3rd Quarter 106,766 100,000 37,379 100,000 100,000 4th Quarter 39,553 100,000 100,000 100,000 Other Services & Charges 2,700 4,987 2,330 3,107 4,987 Total Expense 404,021 432,771 162,601 334,810 433,773 Net Income 53,394 85,043 139,364 67,810 (31,349) Ending Working Capital 42,250 127,293 181,613 110,060 78,785 29 40 WORKERS COMPENSATION FUND As of September 30, 2011 2010 2011 2011 2011 2012 Actual Budget VTD Est Actual Budget Beginning Working Capital 264,371 (128,109) (128,109) (128,109) (264,781) REVENUE Contributions 1,410,859 1,281,263 1,059,841 1,373,123 1,816,362 Miscellaneous Revenue 5,102 85,062 2,496 3,328 5,000 Total Revenue 1,415,961 1,366,325 1,062,337 1,376,451 1,821,362 Transfers In Total Resources 1,680,332 1,238,216 934,228 1,248,342 1,556,581 EXPENSE Salaries & Benefits 104,925 105,046 81,172 106,609 109,090 Judgements & Damages 1,140,597 800,000 790,219 1,095,841 992,168 Ultimate Loss Adjustment 176,333 Liability Insurance 81,923 75,000 60,636 75,000 76,700 Intergovernmental Services 224,531 200,000 109,910 176,546 204,000 Administrative Expenses 51,250 51,689 46,341 61,788 52,723 Debt & Financial services 9,722 9,722 9,916 Other Expenses 9,804 15,983 18,547 12,857 16,302 Safety Program 19,079 86,364 17,488 23,318 88,492 Total Expense 1,808,442 1,343,804 1,124,312 1,561,681 1,549,391 Net Income (392,481) 22,521 (61,975) (185,230) 271,971 Ending Working Capital (128,109) (105,588) (190,084) (313,339) 7,190 30 41 HEALTH AND EMPLOYEE WELLNESS FUND As of September 30, 2011 2010 2011 2011 2011 2012 Actual Budget YTD Est Actual Budget Beginning Working Capital 3,441,935 3,219,631 3,219,631 3,219,631 2,331,601 REVENUE Contributions Blue Cross 8,261,920 8,713,457 6,733,187 8,923,753 9,149,130 Group Health 403,894 449,242 312,296 438,591 471,704 Employee Share Blue Cross 851,276 946,094 684,197 954,137 993,399 Group Health 52,227 58,705 40,504 61,374 61,640 RFA Contributions 1,473,995 3,609,124 2,632,347 3,509,796 3,789,581 COBRA 87,078 74,703 103,293 118,293 82,173 Miscellaneous 131,075 215,421 134,998 179,997 141,017 Total Revenue 11,261,464 14,066,746 10,640,822 14,185,942 14,688,644 Total Resources 14,703,399 17,286,377 13,860,453 17,405,573 17,020,245 EXPENSE Salaries &Benefits 330,790 371,643 242,646 366,985 350,041 Blue Cross Claims 8,486,482 10,266,982 8,193,078 10,924,104 10,467,322 Blue Cross Admin Fees 629,085 559,008 548,200 647,860 570,188 Blue Cross Audit Fees 57,028 28,514 58,169 Delta Dental Claims 970,213 991,170 732,122 991,170 1,010,993 Delta Dental Admin Fees 49,076 48,880 39,952 50,769 49,858 Vision Service Plan Claims 121,235 142,105 91,479 123,020 144,947 Vision Service Plan Admin Fees 25,305 21,840 20,239 23,675 22,277 Stop Loss Fees 423,779 460,390 298,773 440,730 469,598 Stop Loss Reimbursements (97,661) (342,934) (360,036) (480,048) (349,793) Group Health Premiums 456,121 452,915 352,800 471,541 461,973 IBNR Adjustment 109,700 198,600 198,600 202,572 Wellness 13,858 51,167 4,175 14,413 57,172 Other Professional Services (34,215) 51,148 10,728 32,726 52,254 Total Expense 11,483,768 13,329,942 10,174,155 13,834,058 13,567,571 Change in Working Capital (222,304) 736,804 466,667 351,884 1,121,073 Ending Working Capital 3,219,631 3,956,435 3,686,298 3,571,515 3,452,674 IBNR 1,036,700 1,036,700 1,036,700 Target Fund Bal @ 2 X IBNR 2,073,400 2,073,400 2,073,400 Ending Working Capital Less IBNR 1,146,231 1,883,035 3,686,298 1,498,115 3,452,674 31 42 LEOFF 1 RETIREES BENEFITS FUND As of September 30, 2011 2010 2011 2011 2011 2012 Actual Budget YTD Est Actual Budget Beginning Working Capital 734,159 647,099 647,099 647,099 517,801 REVENUE Contributions 611,585 772,577 563,104 750,805 879,367 Miscellaneous Revenue 1,806 12,500 869 1,159 2,500 Total Revenue 613,391 785,077 563,973 751,964 881,867 Operating Transfers In 250,000 250,000 250,000 250,000 Total Resources 1,597,550 1,682,176 1,211,073 1,649,064 1,649,668 EXPENSE Blue Cross Claims 689,453 624,122 615,276 738,746 714,122 Blue Cross Ad min Fees 56,116 54,600 48,135 55,073 60,600 Delta Dental Claims 40,665 35,880 33,829 42,291 45,880 Delta Dental Admin Fees 4,096 4,680 3,323 4,431 4,680 Vision Service Plan Claims 4,991 5,512 4,948 5,949 5,512 Vision Service Plan Admin Fees 1,702 1,768 1,287 1,717 1,768 Stop Loss Reimbursements (25,000) (6,249) (25,000) Stop Loss Fees 37,112 50,425 25,817 38,597 50,425 IBNR Adjustment 4,800 4,992 4,992 4,992 Medical Reimbursements 96,132 197,327 81,238 147,327 197,327 Other Professional Services 15,385 15,863 3,934 15,863 15,863 Total Expense 950,451 970,169 817,787 1,048,736 1,076,169 Change in Fund Balance (87,059) 64,908 (253,814) (46,772) 55,698 Ending Working Capital 647,099 712,007 393,286 600,327 573,499 IBNR 47,600 47,600 47,600 Target Fund Bal @ 2 X IBNR 95,200 95,200 95,200 Ending Working Capital Less IBNR 551,899 616,807 393,286 505,127 573,499 32 43 LIABILITY INSURANCE FUND As of September 30, 2011 2010 2011 2011 2011 2012 Actual Budget YTD Est Actual Budget Beginning Working Capital 294,835 163,462 163,462 163,462 494,362 REVENUE Contributions 2,233,932 2,244,552 1,721,334 2,295,112 2,341,016 Miscellaneous Revenue 4,221 11,989 3,205 4,273 4,000 Total Revenue 2,238,153 2,256,541 1,724,539 2,299,385 2,345,016 EXPENSE Salaries & Benefits 94,989 94,701 81,171 120,356 98,748 Claims & Judgements 966,798 1,226,600 308,047 976,600 1,291,936 Insurance Premiums 1,181,178 864,000 626,829 664,000 860,476 Other Expenses 126,561 193,627 110,966 207,627 196,900 Total Expense 2,369,526 2,378,928 1,127,013 1,968,583 2,448,060 Transfers Out Total Expenses &Transfers 2,369,526 2,378,928 1,127,013 1,968,583 2,448,060 Net Income (131,373) (122,387) 597,526 330,802 (103,044) Ending Working Capital 163,462 41,075 760,988 494,264 391,318 33 44 PROPERTY INSURANCE FUND As of September 30, 2011 2010 2011 2011 2011 2012 Actual Budget YTD Est Actual Budget Beginning Working Capital 36,297 70,267 70,267 70,267 85,107 REVENUE Contributions 427,594 427,594 333,523 444,697 453,593 Miscellaneous Revenue 7 310 7 7 100 Total Revenue 427,601 427,904 333,529 444,704 453,693 Total Resources 463,898 498,171 403,796 514,971 538,800 EXPENSE Brokerage Fees 14,000 Insurance Premiums 373,319 378,560 353,392 388,252 386,131 Property Claims/Deductibles (17,436) 24,200 18,150 24,684 Other Expenses 23,748 23,689 20,294 23,462 24,691 Total Expense 393,631 426,449 373,686 429,863 435,506 Net Income 33,970 1,455 (40,157) 14,840 18,187 Working Capital 70,267 71,722 30,110 85,107 103,294 34 45 \ / \ \ 35 k / } - \ } } 3K \ f } ( \ } \ \ k \ \ 0 \ { 0 \ \ 5 ( \ � \ \ \ } { { { { \ \ } { \ \ \ \ \ \ \ \ } ( - ) ) ) | ) ! ) } Z 47 j \ \ j \ ® \ \ / \ \ \ | ( KK \ ! § § K ( t \ \ \ \ \ fr ) r , , ; ! ! ! ! ! ! ) ! k \ \ ) } ( } { ( } § } } ) ( 99 ) \ ) ( 9 » / \ § / ( § | § ( \ \ \ § \ ( \ § \ \ \ § ) k ) ) ) | ) ) ) 49 a � N C C G1 O O N N (D M M T N N N N N N O O O T M M T M T N V M N N T 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E N Q a s m m > :o w w a o l ¢ w 50 w 61 R55JCO21 City of Kent 1 0/1 4/2 01 11 5:35:03 Fiscal Year: 11 Period: 9 Street Capital Projects Fund Page - 1 Budget Prior Years Fiscal YTD Prj to Date Variance % Beginning Fund Balance 87,009- 84,261.60- 84,261.60- 2,747.40- 96.84 Fund Balance Adjustments 2,747 2,747.00 Licenses&Permits 9,260- 9,260.00- 9,260.00- 100.00 Intergovernmental 45,666,991- 41,557,542.84- 869,848.07- 42,427,390.91- 3,239,600.09- 92.91 Charges for Services 73,444- 93,741.44- 45.66- 93,787.10- 20,343.10 127.70 Miscellaneous Revenues 22,765,795- 18,725,230.02- 698,276.55- 19,423,506.57- 3,342,288.43- 85.32 Non Revenues 16,703,117- 20,576,850.73- 18,962.10- 20,595,812.83- 3,892,695.83 123.31 Other Financing Sources 31,822,352- 27,914,334.30- 27,914,334.30- 3,908,017.70- 87.72 Operating Transfers In 13,096,297- 11,654,310.99- 6,017.00 11,648,293.99- 1,448,003.01- 88.94 Total Available Resources 130,221,518- 120,615,531.92- 1,581,115.38- 122,196,647.30- 8,024,870.70- 93.84 Unallocated Street Projects 15,783 41,096.00 41,096.00 25,313.00- 260.38 Street Mitigation Receipts 438,923 438,923.00 Street Light Wiring Upgrade 120,000 42,325.81 1,811.46 44,137.27 75,862.73 36.78 Misc Intersection Signals 200,000 124,788.87 124,788.87 75,211.13 62.39 Pedestrian Walkways 338,773 415,509.73 419.75 415,929.48 77,156.48- 122.78 Traf Signal Control Cabinets 202,338 202,383.89 202,383.89 45.89- 100.02 Signal Battery Backup 380,737 380,736.69 380,736.69 .31 100.00 Railroad Quiet Zone 52,807 2,151.36 655.16 2,806.52 50,000.48 5.31 Asphalt Overlays 2009 943,099 141,634.32 282,099.50 423,733.82 519,365.18 44.93 Sidewalk Renovations2008 2,210,739 1,495,169.21 467.41 1,495,636.62 715,102.38 67.65 Kent Station 4,327,772 3,979,854.97 7,245.57 3,987,100.54 340,671.46 92.13 Downtown ITS Improvements 3,850,489 4,733,395.14 100,359.95 4,833,755.09 983,266.09- 125.54 84th Avenue Rehabilitation 4,956,160 7,379,826.39 390,613.89- 6,989,212.50 2,033,052.50- 141.02 Lincoln Ave/Smith St Improv 167,232 65,711.00 117,621.02 183,332.02 16,100.02- 109.63 256th Street- 116th to 132nd 58,000 58,000.00 BNSF Grade Separation 23,759,544 20,261,688.64 152,031.00 20,413,719.64 3,345,824.36 85.92 Military/Reith Intersection 164,125 30,031.01 30,031.01 134,093.99 18.30 272nd Extension (KKto 256th) 6,974,266 6,653,304.87 1,263.32 6,654,568.19 319,697.81 95.42 2nd Avenue Pedestrian Imp 422,072 421,287.44 421,287.44 784.56 99.81 4th Ave Impr(James to Cloudy) 2,499,126 2,499,447.90 2,499,447.90 321.90- 100.01 Willis St UPRR/BNRR Grade Sepr 881,627 219,776.69 11,501.63 231,278.32 650,348.68 26.23 James Ave Impr (4th to UPRR) 2,869,097 2,490,876.76 390,255.29 2,881,132.05 12,035.05- 100.42 256thlmps(KentKangley-116th) 2,100,000 199,946.62 7,425.69 207,372.31 1,892,627.69 9.87 Aerial Flight 34,893 34,892.70 34,892.70 .30 100.00 212th UPRR/BN Grade Separation 116,972 16,923.57 47.98 16,971.55 100,000.45 14.51 LID 341-196th Corridor Mid 34,836,448 33,928,339.14 91,682.77 34,020,021.91 816,426.09 97.66 LID 353 224th-228th Corridor 30,911,440 31,883,324.80 89,646.20 31,972,971.00 1,061,531.00- 103.43 224th-228th Corridor East Leg 2,019,351 1,358,960.16 57,890.31 1,416,850.47 602,500.53 70.16 Russell Road Maint. Facility 313,462 1,193,370.96 879,473.00- 313,897.96 435.96- 100.14 196th Street-East-Mitigation 437,411 318.47 318.47 437,092.53 .07 East Hill Operations Center 3,542,369 3,465,519.81 1,988,541.82- 1,476,977.99 2,065,391.01 41.69 Pacific Highway HOV 76,463 63,990.39 11,359.81 75,350.20 1,112.80 98.54 51 62 R55JCO21 City of Kent 1 0/1 4/2 01 11 5:35:03 Fiscal Year: 11 Period: 9 Street Capital Projects Fund Page - 2 Budget Prior Years Fiscal YTD Prj to Date Variance % Total Expenditures 130,221,518 123,726,264.84 1,934,526.42- 121,791,738.42 8,429,779.58 93.53 Ending Balance 3 11 7732.92 3 515 641.80- 404 908.88- 52 63 R55JCO21 City of Kent 1 0/1 4/2 01 11 5:36:22 Fiscal Year: 11 Period: 9 Parks Capital Projects Fund Page - 1 Budget Prior Years Fiscal YTD Prj to Date Variance % Beginning Fund Balance 1,145,480- 1,149,387.38- 1,149,387.38- 3,907.38 100.34 Intergovernmental 5,555,717- 4,447,568.83- 210,909.63- 4,658,478.46- 897,238.54- 83.85 Charges for Services 1,103- 1,102.94- 1,102.94- .06- 99.99 Miscellaneous Revenues 980,306- 1,029,511.46- 169,425.82- 1,198,937.28- 218,631.28 122.30 Other Financing Sources 300,359- 300,358.38- 300,358.38- .62- 100.00 Operating Transfers In 22,619,810- 22,028,981.58- 22,028,981.58- 590,828.42- 97.39 Total Available Resources 30,602,775- 28,956,910.57- 380,335.45- 29,337,246.02- 1,265,528.98- 95.86 ARRA-Comm Putting Prev.to Wk 180,000 8,000.03 53,974.97 61,975.00 118,025.00 34.43 Regional Trails/KC Levy 507,937 366,546.50 7,074.00 373,620.50 134,316.50 73.56 Boat Launch Fees 16,945 373.38 1,622.03 1,995.41 14,949.59 11.78 Lake Fenwick 106,614 106,614.19 5,246.50 111,860.69 5,246.69- 104.92 Paths and Trails 112,243 67,639.98 1,342.51 68,982.49 43,260.51 61.46 Adopt-a-Park Program 468,599 384,661.36 27,691.61 412,352.97 56,246.03 88.00 Clark Lake Mgmt Plan/Develop 255,470 239,076.72 20,476.67 259,553.39 4,083.39- 101.60 Turnkey Neighborhood Park 304,375 342,488.75 4,063.78 346,552.53 42,177.53- 113.86 Street Tree Replacements 102,703 97,255.77 97,255.77 5,447.23 94.70 Rental Houses Demolition 140,000 99,846.47 9,817.75 109,664.22 30,335.78 78.33 Park Land Acquisition 5,730,845 5,824,135.34 536,408.66 6,360,544.00 629,699.00- 110.99 Botanical Garden 4,500 4,500.00 4,500.00 100.00 Town Square Park 6,455,966 6,463,896.08 10,120.31 6,474,016.39 18,050.39- 100.28 Big Blue Mobile Computer Lab 45,000 8,676.83 8,676.83 36,323.17 19.28 Kent Parks Foundation 106,000 80,127.41 12,000.00 92,127.41 13,872.59 86.91 132nd Street Park 176,446 176,446.11 176,446.11 .11- 100.00 Light Pole Replacement 541,825 395,463.28 6,766.70 402,229.98 139,595.02 74.24 Wilson Playfields 5,577,721 5,577,739.51 5,577,739.51 18.51- 100.00 Wilson Playfields Acq & Dev 523,990 502,997.14 9,957.54 512,954.68 11,035.32 97.89 Aquatics Land Acquisition 6,887,270 6,930,041.46 5,532.24 6,935,573.70 48,303.70- 100.70 Eagle Scout Projects 149,866 121,884.55 24,320.73 146,205.28 3,660.72 97.56 Multi-use Ballfields/KSD 20,000 22,946.46 22,946.46 2,946.46- 114.73 Earthworks Stairs 70,493 8,833.61 30,470.75 39,304.36 31,188.64 55.76 Local Off-Leash Parks 52,514 43,273.35 1,334.43 44,607.78 7,906.22 84.94 Grant Matching Funds/Land Acq. 107,721 2,750.00 2,750.00 104,971.00 2.55 Parks Grant Matching 77,980 78,526.54 546.60- 77,979.94 .06 100.00 Park Lifecycle Mtc 211,798 211,777.40 211,777.40 20.60 99.99 Park Master Plans 85,250 52,352.71 14,422.77 66,775.48 18,474.52 78.33 Park Lifecycle Program 535,615 60,160.48 88,016.97 148,177.45 387,437.55 27.66 Lake Meridian Play Equipment 382,167 11,287.27 390,283.08 401,570.35 19,403.35- 105.08 West Hill Park Development 35,000 24,272.39 10,577.82 34,850.21 149.79 99.57 Urban Forestry Plan 191,667 117,363.13 39,581.82 156,944.95 34,722.05 81.88 Community Sports Field 100,000 100,000.00 Community Parks Reinv. Program 157,225 157,225.00 Parks Land Acquisition 181,030 181,030.00 53 64 R55JCO21 City of Kent 1 0/1 4/2 01 11 5:36:22 Fiscal Year: 11 Period: 9 Parks Capital Projects Fund Page - 2 Budget Prior Years Fiscal YTD Prj to Date Variance % Total Expenditures 30,602,775 28,431,954.20 1,310,557.04 29,742,511.24 860,263.76 97.19 Ending Balance 524 956.37- 93 2221.59 405 265.22 54 65 R55JCO21 City of Kent 1 0/1 4/2 01 11 5:37:09 Fiscal Year: 11 Period: 9 Other Capital Projects Fund Page - 1 Budget Prior Years Fiscal YTD Prj to Date Variance % Intergovernmental 78,600,000- 63,575,208.71- 63,575,208.71- 15,024,791.29- 80.88 Miscellaneous Revenues 131,929- 324,516.97- 12,874.42- 337,391.39- 205,462.39 255.74 Non Revenues 347,076- 343,641.11- 343,641.11- 3,434.89- 99.01 Other Financing Sources 35,764,500- 34,764,500.00- 34,764,500.00- 1,000,000.00- 97.20 Operating Transfers In 7,620,463- 7,353,067.46- 7,353,067.46- 267,395.54- 96.49 Total Available Resources 122,463,968- 106,360,934.25- 12,874.42- 106,373,808.67- 16,090,159.33- 86.86 ShoWare Center Marquee 225,000 190,908.37 22,400.11 213,308.48 11,691.52 94.80 Kent Station 1,300,000 1,300,000.00 Event Center 85,695,463 80,455,791.38 482.50- 80,455,308.88 5,240,154.12 93.89 LTGO Bonds 2002 9,486,429 9,485,126.12 9,485,126.12 1,302.88 99.99 GO Refunding 2009 8,757,076 8,753,175.73 8,753,175.73 3,900.27 99.96 Kent City Center Garage 20,612.21 29,033.28 49,645.49 49,645.49- LTGO Bonds 2008 17,000,000 8,497,789.70 1,208,616.92 9,706,406.62 7,293,593.38 57.10 Total Expenditures 122,463,968 107,403,403.51 1,259,567.81 108,662,971.32 13,800,996.68 88.73 Ending Balance 1 042 469.26 1 246 693.39 228916265 55 66 R55JCO21 City of Kent 1 0/21/2 01 11 1:18:52 Fiscal Year: 11 Period: 9 Technology Capital Projects Page - 1 Budget Prior Years Fiscal YTD Prj to Date Variance % Miscellaneous Revenues 1,283.42- 1,283.42- 1,283.42 Operating Transfers In 7,930,445- 4,619,555.51- 1,099,597.09- 5,719,152.60- 2,211,292.40- 72.12 Total Available Resources 7,930,445- 4,620,838.93- 1,099,597.09- 5,720,436.02- 2,210,008.98- 72.13 Software Business Sys Replace 821,605 321,605.07 321,605.07 499,999.93 39.14 Hardware Lifecycle Replacemnts 2,366,690 1,126,629.68 258,797.38 1,385,427.06 981,262.94 58.54 IT Administration 48,849 87,499.36 28,626.21 116,125.57 67,276.57- 237.72 IT Systems 2,564,345 1,365,511.37 436,790.23 1,802,301.60 762,043.40 70.28 IT Tech Services 1,771,956 1,165,400.06 1,046,431.94 2,211,832.00 439,876.00- 124.82 IT Multi Media 162,000 29,153.64 29,153.64 132,846.36 18.00 Public Safety MDC Replacements 195,000 195,000.00 Total Expenditures 7,930,445 4,095,799.18 1,770,645.76 5,866,444.94 2,064,000.06 73.97 Ending Balance 525 039.75- 671 048.67 146 008.92 56 67 R55JCO21 City of Kent 1 0/1 4/2 01 11 5:53:38 Fiscal Year: 11 Period: 9 Facilities Capital Projects Page - 1 Budget Prior Years Fiscal YTD Prj to Date Variance % Intergovernmental 1,167,658- 1,167,658.01- 1,167,658.01- .01 100.00 Charges for Services 45.91- 45.91- 45.91 Operating Transfers In 7,992,510- 1,484,403.57- 109,019.83- 1,593,423.40- 6,399,086.60- 19.94 Total Available Resources 9,160,168- 2,652,107.49- 109,019.83- 2,761,127.32- 6,399,040.68- 30.14 Fire Security Fences 89,776 89,822.23 89,822.23 46.23- 100.05 East Hill Shops Artwork 50,000 23,035.26 23,035.26 26,964.74 46.07 CKCF Improvements 1,167,658 85,473.43 85,473.43 1,082,184.57 7.32 Kent Commons Upgrades 240,405 237,578.81 237,578.81 2,826.19 98.82 Golf Course Improvements 22,329 22,328.60 22,328.60 .40 100.00 Aukeen Court Expansion 7,590,000 1,081,972.48 108,940.83 1,190,913.31 6,399,086.69 15.69 Total Expenditures 9,160,168 1,540,210.81 108,940.83 1,649,151.64 7,511,016.36 18.00 Ending Balance 1 111 896.68- 79.00- 1 111 975.68- 57 68 R55JCO21 City of Kent 1 0/1 4/2 01 11 5:54:20 Fiscal Year: 11 Period: 9 Water Fund Page - 1 Projects Only Budget Prior Years Fiscal YTD Prj to Date Variance % Beginning Fund Balance 193,927- 193,926.30- 193,926.30- .70- 100.00 Intergovernmental 581,522- 591,020.75- 591,020.75- 9,498.75 101.63 Charges for Services 1,764- 4,377.40- 182.65- 4,560.05- 2,796.05 258.51 Miscellaneous Revenues 771,649- 2,819,273.57- 26,792.47- 2,846,066.04- 2,074,417.40 368.83 Non Revenues 44,211,574- 44,211,573.33- 44,211,573.33- .20- 100.00 Other Financing Sources 1,000,000- 2,500,903.04- 2,500,903.04- 1,500,903.04 250.09 Operating Transfers In 37,016,053- 32,557,581.85- 313,255.06- 32,870,836.91- 4,145,216.09- 88.80 Total Available Resources 83,776,488- 82,878,656.24- 340,230.18- 83,218,886.42- 557,601.75- 99.33 Seismic Vulnerability Assess 730,941 669,342.75 83,100.15 752,442.90 21,501.90- 102.94 Water Comp Plan Update 2007 693,311 649,163.51 18,930.48 668,093.99 25,217.01 96.36 2009 Revenue Bonds 1,007,727 97,591.78 97,591.78 910,135.22 9.68 Water Conservation Plan 475,193 459,937.77 17,043.43 476,981.20 1,788.20- 100.38 Rock Creek Mitigation Projects 735,000 9,872.50 22,420.00 32,292.50 702,707.50 4.39 Guiberson Reservoir Repair 3,545,000 77,307.21 436,941.61 514,248.82 3,030,751.18 14.51 Clark Springs HCP 1,324,580 1,324,580.10 1,324,580.10 .10- 100.00 Tacoma Intertie 44,485,507 39,272,530.52 192,266.85 39,464,797.37 5,020,709.27 88.71 Clark Springs Tran Main Repair 500,000 1,327.25 1,327.25 498,672.75 .27 Clark Springs Well#2VFD Repl. 9,748.38 9,748.38 9,748.38- Seismic System Controls 200,000 200,000.00 Corrosion Control 3,464,470 1,619,978.31 97,696.69 1,717,675.00 1,746,795.00 49.58 Pump Station#3 Replacement 1,308,534 108,751.41 108,751.41 1,199,782.59 8.31 Kent Springs Source Upgrade 827,779 319,284.46 319,284.46 508,494.07 38.57 Pump Station#5 Add Pump 113,392 113,714.30 113,714.30 322.30- 100.28 Kent Springs Trans Main Repair 750,000 8,222.29 379.20 8,601.49 741,398.51 1.15 Misc Water Improvements 3,692,940 1,643,053.39 334,213.10 1,977,266.49 1,715,673.51 53.54 Additional Water Source Dev 2,054,824 1,054,768.31 1,253.79 1,056,022.10 998,801.90 51.39 Well Head Protection 431,384 180,316.08 180,316.08 251,067.92 41.80 Security Improvement per VA 70,000 12,609.14 12,609.14 57,390.86 18.01 East Hill Pressure Zone 660,000 58,158.11 4,626.63 62,784.74 597,215.26 9.51 Impoundment Reservoir 2,226,286 2,126,305.90 19.73 2,126,325.63 99,960.37 95.51 SE 248th Watermain 1,800,000 50,792.68 314,624.40 365,417.08 1,434,582.92 20.30 West Hill Reservoir 750,000 750,000.00 East Hill Reservoir 4,744,304 1,996,104.78 2,565,582.91 4,561,687.69 182,616.31 96.15 East Hill Well Generator 545,000 1,685.21 1,685.21 543,314.79 .31 Clark Springs Sourcelmprvmnts 587,000 3,709.13 333.95 4,043.08 582,956.92 .69 Landsburg Mine 200,000 20,871.48 34,836.09 55,707.57 144,292.43 27.85 Clark Springs HCP 200,000 108,236.73 65,105.74 173,342.47 26,657.53 86.67 Hydrant Replacement 2005 115,043 11,210.35 16,062.44 27,272.79 87,770.21 23.71 Hydrant Replacement 2008 60,000 60,000.00 Large Meter/Vault Replace 2008 240,341 85,911.55 7,680.91 93,592.46 146,748.54 38.94 Kent Station -Water 109,198 109,197.68 109,197.68 .32 100.00 Downtown ITS Improvements 233,131 233,131.16 233,131.16 .16- 100.00 58 69 R55JCO21 City of Kent 1 0/1 4/2 01 11 5:54:20 Fiscal Year: 11 Period: 9 Water Fund Page - 2 Projects Only Budget Prior Years Fiscal YTD Prj to Date Variance % 84th Avenue Rehabilitation 298,660 298,659.62 298,659.62 .38 100.00 Remote Telemetry Upgrade 448,368 459,852.84 3,268.28 463,121.12 14,753.12- 103.29 BNSF Grade Separation 1,205,000 1,205,000.00 272nd Extension (KKto 116th) 303,759 303,759.61 303,759.61 .61- 100.00 Scenic Hill -Water 340,000 479,219.31 479,219.31 139,219.31- 140.95 Aerial Flight 34,688 34,687.50 34,687.50 .50 100.00 LID 341-196th Corridor Mid 194,003 194,002.60 194,002.60 .40 100.00 LID 353 224th-228th Corridor 155,901 155,900.56 155,900.56 .44 100.00 Russell Road Maint. Facility 2,639.64 2,639.64- East Hill Operations Center 1,465,225 2,268,695.76 802,852.30- 1,465,843.46 618.46- 100.04 Lower East Hill Improvements 450,000 475,510.59 475,510.59 25,510.59- 105.67 Total Expenditures 83,776,488 56,810,355.38 3,710,881.31 60,521,236.69 23,255,251.48 72.24 Ending Balance 26 068 300.86- 3 370 651.13 22 697 649.73- 59 70 R55JCO21 City of Kent 1 0/1 4/2 01 11 5:55:03 Fiscal Year: 11 Period: 9 Sewerage Fund Page - 1 Projects Only Budget Prior Years Fiscal YTD Prj to Date Variance % Beginning Fund Balance 4,230,137- 4,230,137.04- 4,230,137.04- .04 100.00 Intergovernmental 17,462,657- 7,456,802.84- 3,428,982.37- 10,885,785.21- 6,576,871.79- 62.34 Charges for Services 4,000- 294,736.69- 821.91- 295,558.60- 291,558.60 ******** Miscellaneous Revenues 292,973- 982,158.99- 18,483.07- 1,000,642.06- 707,669.06 341.55 Non Revenues 12,786,845- 12,786,844.80- 12,786,844.80- .20- 100.00 Other Financing Sources 1,500,000- 1,500,000.00- 1,500,000.00- 100.00 Operating Transfers In 33,672,504- 25,667,688.85- 3,878,286.42- 29,545,975.27- 4,126,528.73- 87.75 Total Available Resources 69,949,116- 52,918,369.21- 7,326,573.77- 60,244,942.98- 9,704,173.02- 86.13 NPDES Permit 3,082,335 2,392,088.16 72,768.34 2,464,856.50 617,478.50 79.97 Drainage Master Plan 1,290,000 1,332,770.33 92,260.12 1,425,030.45 135,030.45- 110.47 2009 Revenue Bonds 86,845 97,592.43 97,592.43 10,747.43- 112.38 Green River Flood Protection 3,718,123 3,643,958.94 78,554.60 3,722,513.54 4,390.54- 100.12 Misc Environmental Projects 435,562 348,119.88 52,052.17 400,172.05 35,389.95 91.87 Meridian Valley Creek 450,000 81,207.19 38,083.98 119,291.17 330,708.83 26.51 Hawley Road Levee 250,000 205,585.43 97,090.52 302,675.95 52,675.95- 121.07 Citywide Stm Pipe/Culvert Mtc 4,000,000 1,664,157.30 462,545.02 2,126,702.32 1,873,297.68 53.17 S. 228th Drainage Bypass 2,400,000 39,430.94 3,183,514.63 3,222,945.57 822,945.57- 134.29 Mill Ck/James St. Pump Station 3,200,000 148,735.92 123,290.04 272,025.96 2,927,974.04 8.50 Upper Mill Creek Dam 500,000 12,645.10 28,392.54 41,037.64 458,962.36 8.21 Outfall Treatment Facilities 240,000 240,000.00 Seven Oaks Pond Imps 10,000 2,934.60 2,934.60 7,065.40 29.35 Valley Detention Basin 3,786,273 3,784,062.32 3,784,062.32 2,210.68 99.94 Lower Garrison Creek 1,175,171 1,158,424.15 549.14 1,158,973.29 16,197.71 98.62 Johnson Creek 135,574.63 384,519.09 520,093.72 520,093.72- Earthworks Overlays 1,196,621 1,159,586.87 13,369.74 1,172,956.61 23,664.39 98.02 Lake Fenwick Restoration 2009 20,895 7,774.63 1,027.73 8,802.36 12,092.64 42.13 256th Flume 510,000 439,796.93 439,796.93 70,203.07 86.23 Lake Meridian Outlet 2,718,065 2,676,692.96 23,069.58 2,699,762.54 18,302.46 99.33 Upper Meridian Crk 234th/236th 335,084 335,083.59 335,083.59 .41 100.00 Upper Meridian Valley Creek 90,000 79,482.62 79,482.62 10,517.38 88.31 E Fork Soosette Crk/144th Clvt 110,000 97,525.60 97,525.60 12,474.40 88.66 Meridian Valley Crk Revegetate 800.00 800.00 800.00- Big Soos Creek/SE 256th Bridge 10,000 224.91 224.91 9,775.09 2.25 W Side Soosette Crk Revegetate 10,000 10,000.00 81stAv So Storm Drainage Impr 150,000 129,958.12 129,958.12 20,041.88 86.64 Surface Water Manual 100,000 84,780.83 3,173.84 87,954.67 12,045.33 87.95 Mill Creek@ James-Fld Protect 600,000 458,730.97 1,175.72 459,906.69 140,093.31 76.65 Riverview Park 2,990,000 339,885.07 1,701,178.61 2,041,063.68 948,936.32 68.26 Downey Farmstead 250,000 241,284.63 8,177.61 249,462.24 537.76 99.78 Bauer Property 310,000 84,205.90 18,554.32 102,760.22 207,239.78 33.15 Mill Crk@ 76th Av-Fld Protect 800,000 25,109.93 2,205.10 27,315.03 772,684.97 3.41 Horseshoe Bend Levee Impr. 10,629,417 1,954,822.62 3,532,862.51 5,487,685.13 5,141,731.87 51.63 60 71 R55JCO21 City of Kent 1 0/1 4/2 01 11 5:55:03 Fiscal Year: 11 Period: 9 Sewerage Fund Page - 2 Projects Only Budget Prior Years Fiscal YTD Prj to Date Variance % Upper Russell Road Levee Impr. 2,100,000 228,543.22 464,618.92 693,162.14 1,406,837.86 33.01 Lower Russell Rd Levee-S231st 300,000 32,342.46 221,692.77 254,035.23 45,964.77 84.68 Lowest Russell Rd-Van Dorens 290,000 27,687.77 143,070.33 170,758.10 119,241.90 58.88 Boeing Levee Improvements 290,000 47,910.23 328,828.97 376,739.20 86,739.20- 129.91 Briscoe Levee Improvements 290,000 37,441.57 174,172.08 211,613.65 78,386.35 72.97 Desimone Levee Improvements 300,000 38,142.44 168,128.63 206,271.07 93,728.93 68.76 Misc Drainage 2008 2,372,292 840,509.03 364,129.33 1,204,638.36 1,167,653.64 50.78 Drainage Imp. w/Rd Imp.Unalloc 1,475,423 1,475,423.00 Drainage Infractructure Improv 473,379 463,248.62 463,248.62 10,130.38 97.86 Kent Station - Drainage 142,758 142,758.17 142,758.17 .17- 100.00 Downtown ITS Improvements 107,315 158,406.09 158,406.09 51,091.09- 147.61 84th Avenue Rehabilitation 19,644 19,644.39 19,644.39 .39- 100.00 Lincoln Ave/Smith St Improv 60,000 60,000.00 Remote Telemetry Upgrade 149,456 110,120.18 1,785.52 111,905.70 37,550.30 74.88 BNSF Grade Separation 993,000 993,000.00 272nd Extension (KK to 116th) 538,373 538,373.48 538,373.48 .48- 100.00 256thlmps(KentKangley-116th) 6,988.93 6,988.93 6,988.93- Aerial Flight 34,687 34,687.50 34,687.50 .50- 100.00 LID 341-196th Corridor Mid 1,165,295 1,167,076.54 1,167,076.54 1,781.54- 100.15 224th-228th Corridor 2,004,580 1,499,692.87 5,969.72 1,505,662.59 498,917.41 75.11 Russell Road Maint. Facility 313,901 59,582.68 254,316.00 313,898.68 2.32 100.00 East Hill Operations Center 1,465,385 124,360.07 1,341,025.00 1,465,385.07 .07- 100.00 Lower East Hill Improvements 50,000 32,298.20 1,102.34 33,400.54 16,599.46 66.80 Sanitary Sewer Master Plan 1,000,000 237,945.15 9,970.36 247,915.51 752,084.49 24.79 Unallocated Sewer Projects 200,000 188,931.33 77,684.22- 111,247.11 88,752.89 55.62 Kentview Sewer Interceptor 600,000 15,043.56 15,043.56 584,956.44 2.51 LID 360-SE 227th Sewer 216,000 304,656.40 304,656.40 88,656.40- 141.04 Misc Sewer 2007 3,572,799 2,415,564.87 826,476.64 3,242,041.51 330,757.49 90.74 Kent Station - Sewer 93,935 93,935.42 93,935.42 .42- 100.00 Downtown ITS Improvements 12,968 12,967.74 12,967.74 .26 100.00 84th Avenue Rehabilitation 233,740 233,740.40 233,740.40 .40- 100.00 Remote Telemetry Upgrade 149,456 118,843.60 1,779.50 120,623.10 28,832.90 80.71 272nd Extension (KK to 116th) 526,229 526,228.68 526,228.68 .32 100.00 Scenic Hill -Sewer 210,000 210,000.00 Aerial Flight 34,687 34,687.50 34,687.50 .50- 100.00 LID 341-196th Corridor Mid 8,738 8,737.87 8,737.87 .13 100.00 224th-228th Corridor 136,400 136,400.07 136,400.07 .07- 100.00 Russell Road Maint. Facility 313,899 313,898.00 313,898.00 1.00 100.00 East Hill Operations Center 1,465,386 1,465,385.00 1,465,385.00 1.00 100.00 Lower East Hill Improvements 785,000 1,090,521.21 26,062.09 1,116,583.30 331,583.30- 142.24 Total Expenditures 69,949,116 33,930,678.02 16,213,515.65 50,144,193.67 19,804,922.33 71.69 Ending Balance 18 987 691.19- 8 886 941.88 10 100 749.31- 61