HomeMy WebLinkAboutCity Council Committees - Operations and Public Safety Committee - 03/01/2022 Approved
Operations and Public Safety
KENT Committee
WA9H... CC Ops and PS Regular Meeting
Minutes
March 1, 2022
Date: March 1, 2022
Time: 4:00 p.m.
Place: Chambers
Members: Bill Boyce, Chair
Brenda Fincher, Councilmember
Satwinder Kaur, Councilmember
Marli Larimer, Councilmember
Zandria Michaud, Councilmember
Les Thomas, Councilmember
Toni Troutner Councilmember
Agenda:
1. Call to Order 4:00 p.m.
Council President Boyce called the meeting to order.
2. Roll Call
Attendee Name I Title Status Arrived
Bill Boyce Chair Present
Brenda Fincher Councilmember Present
Satwinder Kaur Councilmember Remote
Marli Larimer Councilmember Present
Zandria Michaud Councilmember Present
Les Thomas Councilmember Present
Toni Troutner Councilmember Present
3. Agenda Approval
Chief Administrative Officer, Derek Matheson removed item E. Equity
Strategic Plan Update from the agenda.
1. I move to approve the agenda as amended.
RESULT: MOTION PASSES [UNANIMOUS]
MOVER: Les Thomas, Councilmember
SECONDER: Toni Troutner, Councilmember
AYES: Boyce, Fincher, Kaur, Larimer, Michaud, Thomas, Troutner
4. Business
A. Approval of Minutes
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Page 1 of 3
Operations and Public Safety Committee CC Ops March 1, 2022
and PS Regular Meeting Kent, Washington
Minutes
................................................................................................................................................................................................................................................................................................-............................................................................................................................................................................................................
i. Approval of Minutes dated February 15, 2022
MOTION: Move to approve the Minutes dated February 15, 2022
SER ULT: APPROVED [UNANIMOUS]
MOVER: Les Thomas, Councilmember
SECONDER: Toni Troutner, Councilmember
AYES: Boyce, Fincher, Kaur, Larimer, Michaud, Thomas, Troutner
B. Payment of Bills - Authorize
MOTION: I move to authorize the payment of bills received through
2/15/22 and paid on 2/15/22 and approve the checks issued for
payroll 2/1/22-2/15/22 and paid on 2/18/22 and approve the
checks issued for payroll off-cycle retro run and paid on 2/11/22 all
audited by the Operations and Public Safety Committee on 3/1/22.
RESULT: MOTION PASSES [UNANIMOUS] Next: 3/15/2022 7:00 PM
MOVER: Les Thomas, Councilmember
SECONDER: Toni Troutner, Councilmember
AYES: Boyce, Fincher, Kaur, Larimer, Michaud, Thomas, Troutner
C. Authorize the Transfer of $285,000 to the Lodging Tax Fund for
Estimated Revenue Losses Incurred between 2020 and 2021
Finance Director, Paula Painter presented details on the request to transfer
$285,000 to the Lodging Tax Fund for estimated revenue losses incurred
between 2020 and 2021.
Council President Boyce explained the Lodging Tax Advisory Committee grant
process.
MOTION: I move to authorize the transfer of $285,000 to the Lodging
Tax Fund to recognize estimated revenue losses incurred between
2020 and 2021.
RESULT: MOTION PASSES [UNANIMOUS] Next: 3/15/2022 7:00 PM
MOVER: Les Thomas, Councilmember
SECONDER: Toni Troutner, Councilmember
AYES: Boyce, Fincher, Kaur, Larimer, Michaud, Thomas, Troutner
D. INFO ONLY: Fourth Quarter 2021 Investment Report
Cash and Investment Officer, Joe Bartlemay presented the Fourth Quarter
2021 Investment Report.
Bartlemay reviewed the balances for the City's cash, short term (WA State
LGIP) and long term (pfm managed portfolio) funds and explained the
difference between the Market Value and Investment Totals.
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Page 2 of 3
Operations and Public Safety Committee CC Ops March 1, 2022
and PS Regular Meeting Kent, Washington
Minutes
The cash and investments by type quarter ending balances for the 4t" quarter
2020 and quarters 1-4 for 2021 were reviewed. The cash and investments
monthly ending balances for 2019, 2020 and 2021 were compared.
Bartlemay indicated in June of 2021, the City received one-time funds of
$14.1M of ARPA grant funding. Additionally, the City received $3.6M of
streamline sales tax mitigation for the period of July 1, 2020 - June 30,
2021.
The Quarterly Interest Earnings for the 4t" quarter of 2020 - 2021 for the
general fund and all other funds were reviewed.
The preliminary total cash and investment by fund through December 31,
2021 were reviewed and the pfm asset management portfolio summary and
statistics were reviewed.
Bartlemay closed by advising the City is in compliance with its portfolio
allocation of sector limits.
S. Adjournment 4:20 p.m.
Council President Boyce adjourned the meeting.
Kt*t��ley Kcmoto-
Committee Secretary
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Page 3 of 3
I
City of Kent
Investment Portfolio
Q4 - 2021
'
CITY OF(CENT
INVESTMENT PORTFOLIO
Deciamber 31, 2021
Purchase Market Value Investment
Date Investment Description Yield Maturity 12 31 2021 Total
12/31/21 Cash - US Bank 0.700% Overnight 15,845,535 15,845,535
12/31/21 WA State LGIP 0.091% Overnight 80,006,166 80,006,166
12/31/21 PFM Manacied Portfolio 0.900% 931 Days 202,909,803 203,748,284
298,761,504 299,599,905
Kent Portfolio
-Cash
Stake LGIP
U.S. Treasuries
■Supra National Bonds
■Municipal Bands
■Gov't. Agencies
■Corporate Notes /
■Commercial Paper
Bank Notes
CITY OF KENT
CASH AND INVESTMENTS BY TYRE
QUARTER ENDING BALANCES
2020 Q4AND 2021 Ql44
300,000,000
250,000,000
200,000,000
T*tal C&I
—Other Investments
150,000,000 LGIP
�^Gash
'100,000,000
50,000,000
4th Quarter 2020 1st Quarter (12" 2nd Quarter 2021 vrd u.iai-er 2C21 4th Quarter 2021
CASH AND INVESTMENTS
MONTH ENDING BALANCES
2019!2020 12021
2021
2020
---r---2019
150,000,000
I
100.000.000
50.000.000
JA`J ==3 MAR A':� MAY JUN JLL AUG EEF UuT N-Vr DEC
*In June 2021, the City received one-time funds of $14.1M of ARPA grant funding. In addition,
the City received $3.6M of SST Mitigation for the period of July 1, 2020 - June 30,2021.
Quarterly Interest Earnings
4r 2020 - 1- 4r 2021
800,000
715 =01
700,000 —
5
600,000 89,576
500,000 93,057 483,883
400,000 388,025
300,000
200,000 167, 9 _
119,612 p �y
OO+O'y�'S
100,000 43,028
Q4 2020 Q1 2021 Q2 202-1 Q3 2021 Q4 2021
0 General Fund —Other Funds
Total Cash and Investments By Fund
December 31, 2021
Preliminary
1000 General Fund 51,440,660
1100 Street Fund 6,995,578
1200 PS Retiree Healthcare. Fund 1,345,807
1300 Lodging Tax Fund 118,017
1400Youth/Teen Fund 1,100,926
1500 Capital Resources Fund 20,231,092
1600 Criminal Justice Fund 10,816,795
1800 Housing & Comm Dev Fund 2,873,314
1900 Other Operating Projects Fund 14,698,46
1950 }Cent Events Center Operating Fund 5,548,183
00 Non-Voted Debt Service Fund 1,981,565
500 Spec Assess Debt Service Fund 1,1 3,880
3100 Street Capital Projects Fund 21,289,351
3200 Parks Capital Projects Fund 19,936, 69
33,00 Other Capital Projects Fund 1,193,930
3400 Technology Capital Projects Fund 8,694,084
3500 Facilities Capital Projects Fund 3,936,030
4100 Water Fund 44, 65,145
4300 Sewer Fund 13,227,641
4400 Drainage Fund 32,392,562
4700 Solid Waste Fund 348,194
4800 Golf Fund 1,512,252
5100 Fleet Service Fund 4,257,312
5 00 Central Services Fund ,560,648
5400 Facilities Management Fund 6,933,657
5600 Insurance Fund 16,333,154
5900 Deferred Compensation Fund 126,712
6200 Firefighters Pension Fund 2,140,713
6400 Deferred Comp Fund (5 )
6500 Payroll Clearing Fund 33.4,146
6600 Subsystem Clearing Fund -
6700 Utility Clearing Fund 9,434
6800 Agency Clearing Fund 1,799,329
7100 Special Events Center-PFD 35,227
Total: 299,699,984
pf m) asset
management
Portfolio Summary and Statistics For dw Month Erdnglll)�n bar 33, 2021
CITY OF KENT-48820000
DesQSptian Par Value Market Value Percent
122,320 U-5-Treaairy+Bond I Nobs ,000-00 122 9GG44.Si f0-32, �Note
17-7494
Supra-National Agency BondJNote 1201S5,000-00 12p58,S&3-9S 5-95 Fed►gyBrndI
Muniopal Bond/We 4,400,0LID_00 4r4S7r497_IG 2.20 Nate
Federal Agm-cV Bond f Note 280225,0110-00 27r99Gr41930 13-79 13 79%
Corporate WE 3Sr430,000-00 35,996r9S717 17-74
Managed Aceount Sub-Total 202,53G,000.00 2G2,9G9,802.53 100.00%
Accrued Incerest 501,77434
Total Partfoliu 202,53G,000.GG 203,4g1,r576.87
Muni Bond I Note
Unsettled Trades G.GO 0.00 2.2p4a
Supra-Nauval
rp:y mind i Note
US 1ST Brnd 1 Now 5.954a
fi0.32%
DistributionMciturity
]].l1'•s retl bS Matunty at com 0-90%
Yield to Mahrity at Marir.-L 0-91%
23-LM Weighted Average Days to Maturity 1331
r4.Gl?'a
1d.1N6a
$AON.
O.QQ?r O�lyh
o-6 rl=fte d-12 marts I-2 Ygn 2 3 mars I-+mars I 5 mars Owr 5 Ym
PFM Asset Management LLC Acmunt 488ZMOO Page 2
For the Quarter Ended December 31,2021
CJTY OF KENT account summary
Sector Allocation Analytics
U.S. Treasury-$122,396,045 41.0%
Federal Agency-$27.990,419 01
E.4%
Supranational-$12,068,884 F-0=%
Municipal-$4,457,497 11.5%
Corporate-$35,996,958 W=1 /,,
Local Government Investment Pool-$84,446,166 ONES=26,89A
Bank Deposits-$15,845,535 ff57.3%
0-0% 20 0% 44.4'1/b 64.4°k 80.0% 100.0%
PortfolioAllocalion 0 Sector Limit for Analysis* /
For ontyand fs not provided for corr{v rze assurance.
-Saew Lirnif forAnaoysis u as derived from ourupterprelwion of yourmost recent invesimert Polieyas provided.
o prM Asset Management LLC pfrnam.com
For the Quarter Ended December 31,2021
CITY OF KENT Ponfohil Characteristics
Sector Allocation Review - CITY OF KENT
TotalSecurity Type Mar-21 %of %of Total • %of Total Dec-21 %of Total Treasury $67.3 472% $97.7 55.59E $124.7 60.9% $122.4 60.39E
Federal Agency $38_d 26.9% $38.4 21.89E $31.0 15.1% $28.0 13.8%
Supranational $7.4 52% $8.4 4.89E $122 5.0% $12.1 6.0%
Municipal $4.5 3.2% $4.5 2.69E $4.5 2.2% $4.5 2.2%
Corporate $25.0 17.5% $26.9 15.39E $32.6 15.9% $36.0 17.7%
Total $142.7 100.0% $179.0 100.09E $206.1 100.0% $202.9 190.99E
MU-5-Treasury =FederalAgency =Supranational Municipal Corporate
$214
$16B
c $126
0
$42
$0
March 2021 June 2021 September 2021 December 2021
Markel vahiss_ercludrPg accneed versst Only Includes ovesiments held within the separarelymanaged accaura(s).DeW may noraddm[oral drys to minding. I
O PFM Asset Management LLC pfmam.cord