HomeMy WebLinkAboutCity Council Meeting - Council Workshop - Regular Minutes - 05/18/2021
Approved
City Council Workshop
Workshop Regular Meeting
Minutes
May 18, 2021
Date: May 18, 2021
Time: 5:02 p.m.
Place: THIS IS A REMOTE MEETING
I. CALL TO ORDER
Council President Troutner called the meeting to order.
Attendee Name Title Status Arrived
Toni Troutner Council President Present
Bill Boyce Councilmember Present
Brenda Fincher Councilmember Present
Satwinder Kaur Councilmember Present
Marli Larimer Councilmember Present
Zandria Michaud Councilmember Present
Les Thomas Councilmember Excused
Dana Ralph Mayor Present
II. PRESENTATIONS
1 2022 South King Housing and Homeless Merina Hanson 45 MIN.
Partners Work Plan and Budget Update Angela San
Filippo
Angela San Filippo, Executive Manager of South King Housing and
Homelessness Partners (SKHHP) provided the Council with an update to
-2021 and 2022 workplans.
South King County jurisdictions
working together and sharing resources to create a coordinated and
comprehensive approach to increasing housing stability and producing and
preserving quality affordable housing in South King County," and objectives:
· Share technical information and resources to promote sound housing policy
· Coordinate public resources to attract greater private and public investment
into affordable housing in South King County
· Provide a unified voice to advocate for South King County needs at the local
and regional level.
San Filippo provided an overview of reoccurring SKHHP annual work plan
items broken into subareas: 1) governance and administration; 2) policy and
planning; and 3) outreach and education - all will be incorporated into the
2022 SKHHP work plan. SKHHP is currently in the outreach stage. During the
st
May 21 SKHHP Executive Board meeting, partner jurisdiction feedback will
be incorporated. The work plan and budget will require approval by each
City Council Workshop Workshop Regular May 18, 2021
Meeting Kent, Washington
Minutes
partner Council.
San Filippo advised key budget priorities include:
· Balanced budget that includes full time Executive Manager and Program
Coordinator
· Look into compensation structure for SKHHP Advisory Board
Workplan priorities include:
· Continue the ongoing action items and build upon current work plan
· Develop strategies to preserve existing affordable housing in South King
County
· Partner with organizations and area experts to provide educational
and homelessness services, outreach, and best practices
· Monthly Executive Board educational opportunities strategically tied to
SKHHP work plan
· Engage in strategic planning to set 3-5-year goals and objectives.
San Filippo provided information on how the board will be structured, with an
overarching goal to have representation of all South King County and are
planning on 50% being BIPOC members.
San Filippo detailed funding resources that includes funding from the state
and private partnerships.
The SKHHP executive board is developing the work plan and budget and will
return to the Council between July and September with the full work plan and
budget.
2 Finance 2020 Year End Report Paula Painter 45 MIN.
Finance Director, Paula Painter provided the 2020 Year-End Financial Report
and budget update that included details on:
· Citywide cash and investments (compared 2017-2020)
· Debt service by debt type (2021 - 2040) and outstanding debt by fund
· Other Funds is made up of Golf Fund, General Fund (ShoWare - SMG Capital
Loan) and mostly Event Center Fund for the Series B (Refunding PFD Sales
Tax) Bonds
Painter provided details on the General Fund that included:
· Property Taxes: $917k favorable variance due to $280k in delinquent taxes
and 2020 being slightly underbudgeted
· Sales & Use Tax: $2.78m favorable balance due to a $1.25m increase in
retail sales
· Utility Taxes: $307k unfavorable variance mainly due to telephone utility tax
Page 2 of 5
City Council Workshop Workshop Regular May 18, 2021
Meeting Kent, Washington
Minutes
· Business & Occupation Tax: $115k unfavorable variance due to ($117k in
prior year refunds)
Other Revenues:
· Licenses & Permits: $267k unfavorable variance due to decreased revenues
in Permits, Franchise Fees - offset by a $329k increase in business licenses
· Charges for Services: $2.61m unfavorable variance due to decreased
revenues in Court, Fire, ECD and Parks
· Fines and Forfeitures: $369k unfavorable variance due to decreased
revenues in Court, B&O Penalties, Utility Penalties, Criminal Fines/Debt
Write-offs
· Intergovernmental: $223k favorable due to $152k decrease in fuel tax, offset
by $216k increase in liquor excise taxes
· Miscellaneous Revenues: $629k unfavorable variance due to Utility Tax
Interest, Police and Parks
· Sales Tax Share by Industry saw an increase in retailing and a decrease in
food services and drinking places due to COVID-19. Construction has been
steadily increasing.
Utility Tax Share by Type:
· Telephone utility tax
· Garbage tax - average over 7% increase year-over-year for last 3 years -
over $500k per year, $824k increase from 2019 to 2020
· Cable tax - declining over 2% year-over-year for last 3 years - about $40k
per year
· City Utilities that include water, sewer, drainage, garbage, electric, gas,
telephone and cable.
Permits & Plan Review revenues in 2020 were $3.17m lower than in 2019,
but still higher than any year prior to 2017.
General Fund Revenue Comparison:
· Tax down due to loss of 6 months of annexation revenue
· Licenses & Permits down due $390k reduction in Street, Curb & Other
Permits
· Intergovernmental down due to reduced Streamlined Sales Tax (SST) and
the annexation fuel tax moved back to Street fund in July
· Charges for Services due to decreased revenues in Court, Fire, ECD and
Parks
· Fines and Forfeitures: $513k unfavorable variance due to decreased
revenues in Court, B&O Penalties, Utility Penalties and Criminal Fines/Debt
Write-offs
· Interest & Misc.: due to Utility Tax Interest, Police and Parks
General Fund Spending by Classification
Page 3 of 5
City Council Workshop Workshop Regular May 18, 2021
Meeting Kent, Washington
Minutes
· All Department were within budget, except for the Public Works annexation
allocation
· S&B: $1.35m under budget due in part to savings in Court, Finance and
Parks
· Supplies: $285k under budget due in part to savings in Law, Finance, Police
and ECD
· Services: $2.19m under budget due in part to savings in Admin, HR, Law,
Finance, Fire, ECD and Parks
· Transfers Out: $541k under budget due to reduced transfers out to Public
Works Administration, Kent's Event Center - Admissions Taxes and Capital
Resources Fund - Utility Tax transfer
· Services & Allocations: New Central Cost allocation plan implemented in 2020
- additional $2.45m allocated out. Other professional services decreased,
Food/Travel/Training/Dues decreased, Utility payments decreased and credit
card merchant fees decreased
General Fund Ending Funds Balance is just under $40 million, which
translates to 36.40% in reserves. Policy requires 18% reserves.
All other fund revenue variances include:
· Taxes: $4.685m favorable variance due to increased REET revenues, Sales
and Use Taxes and Utility Taxes
· Licenses & Permits: $122k unfavorable variance due to decreased Street Use
Permits and Sewer Permits
· Intergovernmental: $2.178m unfavorable variance due to decreased SST
revenues and decrease in Fuel Tax
· Fines & Forfeitures: $957k unfavorable variance due to decrease School Zone
Camera revenues, offset by $325k in increase seized proceeds
All other fund revenue
2019-2020 Changes >8%:
· Taxes: Down 8.81% due to record high REET in 2019
· Licenses and Permits were down 19.5% due a $117k decrease in Street Use
Permits
· Fines & Forfeitures were up 35.98% due to increased Red Light Camera Fines
and seized assets, but offset by a reduction in School Zone Camera Fines
Details were provided on the 2018-2019 Changes for taxes,
intergovernmental, fines and forfeitures and interest and miscellaneous.
Painter provided an overview of capital spending by classification and
compared 2018-2021.
Painter advised the Liability Fund included a 2020 adjustment in liability
claims reserves, a budget $4.4m transfer from the General Fund to the
Page 4 of 5
City Council Workshop Workshop Regular May 18, 2021
Meeting Kent, Washington
Minutes
Liability Insurance fund in 2021 and the City is anticipating a 40-50%
increase in premiums in 2022.
Overall, 2020 tax revenue came in better than anticipated, the City
recognized more significant revenue losses in other areas, the City took swift
action to address anticipated revenue shortfalls, preserving General Fund
Financial Planning Manager, Michelle Ferguson provided the March 2021
Monthly Financial Report that included:
· General Fund revenues for property tax, sales tax and utility tax. Ferguson
provided details on the variances for 2019-2021.
·
compensation revenues, Ferguson provided details on the variances from
2019-2021.
Painter presented an update on the 2022 budget and advised the 2022 mid-
biennium known adjustments will include:
· HB 1590 revenues and expenditures
· Sales tax revenue
· Salary and benefit adjustments
· Frozen positions
· Equity Expenses
· Central cost allocation
· Liability insurance allocation
· Property insurance allocation
Painter provided a broad overview of the mid biennium budget timeline that
will include:
· Developing the operating budget (May-July)
· 2022-2027 Capital Improvement Plan (June - July)
· Revenue and Balance Budget to the Executive Leadership Team in August
· Proposed Mid-
update to Council (August - September)
· Public Hearings (September and October)
· Council Actions (October and November)
Meeting ended at 6:33 p.m.
Kimberley A. Komoto
City Clerk
Page 5 of 5
N
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I
M
P
H
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K
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South King County jurisdictions working together and sharing resources to create a coordinated and comprehensive approach to increasing housing stability and producing and preserving
quality affordable housing in South King County.
S
E
V
I
T
C
E
J
B
O
P
H
H
K
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Share technical information and resources to promote sound housing policyCoordinate public resources to attract greater private and public investment into affordable housing in South
King CountyProvide a unified voice to advocate for South King County needs at a local and regional level
•••
Partner
S
S
September:
E
-
jurisdiction adoption of
C
July
2022 work plan and budget
O
R
P
T
E
G
D
Executive Board
U
June:
–
B
work plan and budget
development and adoption
May
D
N
A
N
A
L
P
Outreach and
K
May:
-
R
April
update to partner Councils
O
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P
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Staff workgroup
kickoff discussion
Financial Report and Budget Update
Council WorkshopMay 18, 2021City of Kent, WA
-
2020 YearEnd Financial Status Report
Comparison
March 2021 Monthly Financial Report
2022 Budget Update
March 2021 Monthly Financial Report
City of Kent, Washington
General Fund Overview
20212021
Adj BudgetYTD
106,690,98018,275,859
Revenues
107,768,49019,227,558
Expenditures
(1,077,510)(951,699)
Net Revenues Less Expenditures
40,302,69940,302,699
Beginning Fund Balance
39,225,18939,351,000
Ending Fund Balance
Required Ending Fund Balance Calculation
Estimated Expenditures for 2021 (from above)107,768,490
18.0%
18% GF Ending Fund Balance19,398,328
General Fund Ending Fund Balance 10-year History (excluding
Annexation)
45.00
40.30
40.00
32.57
35.00
30.00
25.00
21.67
20.65
18.92
20.00
11.91
15.00
9.46
7.65
10.00
4.13
5.00
0.64
0.00
2011201220132014201520162017201820192020
Prelim
March 2021 Monthly Financial Report
City of Kent, Washington
General Fund Overview - Revenues
20212021
Revenue Categories
Adj BudgetYTD
Taxes:
Property31,684,6001,655,004
Sales & Use19,132,6605,852,796
Utility17,624,9904,939,249
Business & Occupation17,000,000115,976
Other866,26012,791
Licenses and Permits6,786,9801,530,345
Intergovernmental Revenue2,733,560614,853
Charges for Services5,695,140873,102
Fines and Forfeitures1,158,500226,792
Miscellaneous Revenue2,630,590378,191
Transfers In1,377,7002,076,762
Total Revenues106,690,98018,275,859
B&O Taxes
16%
Other Taxes
0.8%
Utility Taxes
16%
Licenses and
PermitsIntergovernmental
6%3%
Charges for Services
5%
Other
13%
Fines and Forfeitures1%
Misc & Transfers In
Sales Taxes
4%
18%
Property Taxes
30%
March 2021 Monthly Financial Report
City of Kent, Washington
General Fund Revenues ($ in Thousands)
All Revenues Sources
Prior Year Budgeted Actual
RevenuesRevenuesRevenues
January6,8776,1015,898
February5,7365,3934,174
March6,7747,7568,204
April16,92517,4190
May8,5887,9200
June7,6916,4570
July6,3767,3700
August4,9955,5520
September5,3286,4880
October19,96318,4250
November8,2117,4940
December11,26710,3160
Total108,732106,69118,276
Property Tax
Prior Year Budgeted Actual
RevenuesRevenuesRevenues
January0120
February247248217
March1,4611,0341,438
April9,32812,3590
May3,1992,3980
June2,2426180
July1961460
August1521170
September5386240
October10,67311,8140
November3,1092,0730
December2322420
Total31,37531,6851,655
Sales Tax
Prior Year Budgeted Actual
RevenuesRevenuesRevenues
January2,1581,5001,802
February2,4251,8032,264
March2,1431,4931,786
April1,9291,3880
May1,9591,6200
June2,1271,4360
July6391,3600
August1,9061,7030
September1,9091,5740
October1,8291,6260
November2,0531,7370
December2,5521,8930
Total23,63019,1335,853
March 2021 Monthly Financial Report
City of Kent, Washington
General Fund Revenues ($ in Thousands)
Utility Tax
Prior Year Budgeted Actual
RevenuesRevenuesRevenues
January2,0331,7762,141
February1,7791,6041,215
March1,6271,5331,583
April1,8451,6080
May1,5811,4350
June1,4941,3340
July1,3301,4340
August1,4731,3500
September1,5191,5670
October1,5611,3130
November1,5071,4160
December1,2221,2570
Total18,97117,6254,939
Other Taxes
Prior Year Budgeted Actual
RevenuesRevenuesRevenues
January23283
February132
March33230(156)
April2,7652,6490
May8981,2210
June1172050
July2,9373,3370
August7728150
September921440
October2,9793,6470
November9247400
December3,6834,8720
Total15,20317,866129
Other Revenues
(Intergovernmental, Licenses & Permits, Charges for Service, Fines & Forfeits, and Misc Revenues)
Prior Year Budgeted Actual
RevenuesRevenuesRevenues
January2,6841,8741,672
February1,284851475
March1,5082,1423,553
April1,0591,4570
May9511,2300
June1,7112,1120
July1,2751,4730
August6921,1210
September1,2721,9580
October2,9211,8050
November6181,2750
December3,5793,0840
Total19,55420,3825,700
March 2021 Monthly Financial Report
City of Kent, Washington
General Fund Overview - Expenditures
20212021
Department
Adj BudgetYTD
City Council279,96071,561
Administration2,786,270446,358
Economic & Community Dev8,228,3801,792,490
Finance2,781,780662,585
Fire Contracted Services3,795,900(30,078)
Human Resources1,613,730378,520
Information Technology
Law1,503,350344,870
Municipal Court3,793,420805,440
Parks, Recreation & Comm Svcs19,302,9203,580,455
Police45,548,79011,040,491
Public Works
Non-Departmental18,133,990134,866
Total Expenditures107,768,49019,227,558
City Council0.3%
Mayor/Clerk
3%
Police
51%
Finance
Other
3%
10.0%
H.R.2%
ECD
Law2%
9%
Fire Contracts Svcs
Parks, Recreation &
4%
Comm Svcs
Municipal Court
22%
4%
March 2021 Monthly Financial Report
City of Kent, Washington
General Fund
20182019202020212021
ActualActualPrelimAdj BudgetYTD
Beginning Fund Balance19,987,82823,750,46134,399,77540,302,69940,302,699
Revenues
Taxes:
Property29,971,15530,731,78631,374,82731,684,600 1,655,004
Sales & Use24,699,30127,121,40023,629,97219,132,660 5,852,796
Utility19,289,16219,600,34718,970,71517,624,990 4,939,249
Business & Occupation9,422,04812,999,56414,784,79517,000,000 115,976
Other1,074,356963,837418,235866,260 12,791
Licenses and Permits7,557,6587,483,6437,223,4206,786,980 1,530,345
Intergovernmental Revenue7,919,8606,645,9623,196,7012,733,560 614,853
Charges for Services6,602,6817,996,8463,658,2325,695,140 873,102
Fines and Forfeitures1,360,9761,289,334776,9481,158,500 226,792
Miscellaneous Revenue2,642,5113,586,9791,954,9372,630,590 378,191
Transfers In950,000984,4112,743,5811,377,700 2,076,762
Total Revenues111,489,706119,404,108108,732,365106,690,98018,275,859
Expenditures
City Council344,160392,115384,062279,96071,561
Administration2,759,9742,768,2731,774,8082,786,270446,358
Economic & Community Dev6,681,6717,044,2176,711,4898,228,3801,792,490
Finance3,061,4723,236,9602,323,6362,781,780662,585
Fire Contracted Services3,619,3853,927,0883,674,4013,795,900(30,078)
Human Resources2,075,5532,047,1021,405,2191,613,730378,520
Information Technology506,265513,448172,932
Law1,673,4381,801,5071,452,0881,503,350344,870
Municipal Court3,442,1073,646,2753,402,3143,793,420805,440
Parks, Recreation & Comm Svcs17,992,17118,396,67816,631,89919,302,9203,580,455
Police39,315,95843,849,28943,464,67945,548,79011,040,491
Public Works1,155,5621,208,835629,087
Non-Departmental26,706,70220,332,20420,802,82618,133,990134,866
109,163,991102,829,440107,768,490
Total Expenditures109,334,41919,227,558
Net Revenues less Expenditures2,155,28810,240,1175,902,925(1,077,510)(951,699)
Ending Fund Balance22,143,11633,990,57840,302,69939,225,18939,351,000
Ending Fund Balance Detail:
General Fund Reserves21,202,35632,309,35838,885,46938,963,399
based on same year actuals/budget19.4%29.6%37.8%36.2%
Restricted for Annexation940,7601,681,2201,417,230261,791
March 2021 Monthly Financial Report
City of Kent, Washington
General Fund
Year-to-Year Month Comparison
201920202021% of2021-20
thru Marchthru Marchthru MarchBudgetVariance
Revenues
Taxes:
Property1,127,616 1,707,775 1,655,004 (52,771) -3.1%5.2%
Sales & Use6,603,329 6,726,852 5,852,796 (874,056) -13.0%30.6%
Utility5, 5,438,850149,955 4,939,249 (499,600) -9.2%28.0%
Business & Occupation43,982 30,660 115,976 85,315 278.3%0.7%
Other7,297 5,278 12,791 7,513 142.3%1.5%
Licenses and Permits1,968,448 1,956,509 1,530,345 (426,164) -21.8%22.5%
Intergovernmental Revenue1,760,368 751,001 614,853 (136,147) -18.1%22.5%
Charges for Services2,190,595 1,654,252 873,102 (781,151) -47.2%15.3%
Fines and Forfeitures309,443 499,911 226,792 (273,119) -54.6%19.6%
Miscellaneous Revenue524,119 165,323 378,191 212,868 128.8%14.4%
Transfers In- 450,000 2,076,762 1,626,762 361.5%150.7%
Total Revenues19,685,15219,386,41118,275,859(1,110,551)-5.7%17.1%
Expenditures
103,031102,205(31,470)-30.5%25.6%
City Council71,561
443,252803,290
Administration3,1060.7%16.0%
446,358
1,666,0941,685,484 126,3967.6%21.8%
Economic & Community Dev1,792,490
578,489892,110
Finance84,09614.5%23.8%
662,585
676,985762,123(707,063)-104.4%-0.8%
Fire Contracted Services(30,078)
422,363576,089
Human Resources(43,843)-10.4%23.5%
378,520
124,699126,998(124,699)-100.0%#DIV/0!
Information Technology-
386,905438,352
Law(42,035)-10.9%22.9%
344,870
887,494876,344(82,054)-9.2%21.2%
Municipal Court805,440
4,158,2004,110,804
Parks, Recreation & Comm Svcs(577,746)-13.9%18.5%
3,580,455
11,183,48810,752,286(142,997)-1.3%24.2%
Police11,040,491
337,080302,984
Public Works(337,080)-100.0%#DIV/0!
-
2,332,896553,489(2,198,031)-94.2%0.7%
Non-Departmental134,866
Total Expenditures21,982,55823,300,97919,227,558(4,073,421)-17.5%17.8%
GF Revenues thru MarchGF Expenditures thru March
8,000,000
12,000,000
7,000,000
10,000,000
6,000,000
8,000,000
5,000,000
2019
2019
4,000,000
6,000,000
2020
2020
3,000,000
2021
2021
4,000,000
2,000,000
2,000,000
1,000,000
0
0
PropertySales &UtilityOther
PoliceParks*GeneralECDNon-Dept &
TaxesUse TaxesTaxesRevenues
Govt.Other
*General Govt. includes City Council, Mayor/Clerk, HR, IT, & Finance
March 2021 Monthly Financial Report
City of Kent, Washington
Fund Balances
20212021
Estimated20212021Estimated
BeginningEstimatedEstimatedEnding Fund
Fund BalanceRevenuesExpendituresBalance
Operating revenues and expenditures only; capital and non-capital projects are excluded.
General Fund
General Fund40,302,695106,690,980107,768,49039,225,185
Special Revenue Funds
Street Fund3,989,03317,518,85017,399,8804,108,003
LEOFF 1 Retiree Benefits1,579,3841,272,4301,541,9801,309,834
Lodging Tax89,665239,110184,900143,875
Youth/Teen Programs75,355924,390924,39075,355
Capital Resources14,369,67416,449,06018,046,28012,772,454
Criminal Justice8,550,9038,193,6208,686,8508,057,673
ShoWare Operating2,984,8881,150,0001,646,0502,488,838
Other Operating568,456109,320109,220568,556
Debt Service Funds
Councilmanic Debt Service2,380,7026,997,8407,204,6602,173,882
Special Assessments Debt Service126,555728,560858,320(3,205)
Enterprise Funds
Water Utility15,906,53229,573,29029,850,57015,629,252
Sewer Utility5,573,95333,234,64033,049,9005,758,693
Drainage Utility20,733,89023,688,63023,296,30021,126,220
Solid Waste Utility607,388675,220859,760422,848
Golf Complex1,602,2072,761,6604,653,490(289,623)
Internal Service Funds
Fleet Services1,965,7425,516,1006,202,8201,279,022
Central Services78,444309,530404,190(16,216)
Information Technology1,632,52110,718,73010,784,9901,566,261
Facilities4,771,8996,785,3406,854,4704,702,769
Unemployment1,366,498148,630238,1401,276,988
Workers Compensation2,847,6231,159,6801,545,2402,462,063
Employee Health & Wellness7,399,18916,205,06015,771,0307,833,219
Liability Insurance1,968,2412,740,7102,331,5402,377,411
Property Insurance658,089588,620583,920662,789
March 2021 Monthly Financial Report
City of Kent, Washington
Other Funds Overview (Revenues and Expenditures)
2019202020212021
ActualPrelimAdj BudgetYTD
Operating revenues and expenditures only; capital and non-capital projects are excluded.
In instances where expenditures exceed revenues, fund balance is being utilized.
Special Revenue Funds
Street Fund
Revenues17,415,00019,350,92817,518,8503,465,254
Expenditures18,858,48619,205,26617,399,8802,360,680
Net Revenues Less Expenditures(1,443,485)145,662118,9701,104,574
LEOFF 1 Retiree Benefits
Revenues1,401,7861,232,5751,272,430210,751
penditures1,352,6241,571,5851,541,980365,610
Ex
Net Revenues Less Expenditures49,162(339,010)(269,550)(154,858)
Lodging Tax
Revenues314,588158,384239,11031,623
Expenditures465,527270,532229,19042,304
Net Revenues Less Expenditures(150,940)(112,148)9,920(10,681)
Youth/Teen Programs
Revenues941,240897,527924,390264,975
Expenditures957,730691,260924,3901,950
Net Revenues Less Expenditures(16,490)206,267263,025
Capital Resources
Revenues22,567,13022,885,70716,449,0703,617,325
Expenditures19,339,04627,520,42618,046,2801,175,876
Net Revenues Less Expenditures3,228,084(4,634,719)(1,597,210)2,441,449
Criminal Justice
Revenues7,054,2228,673,7948,193,6302,095,031
Expenditures6,432,3778,504,6728,686,8501,518,401
Net Revenues Less Expenditures621,845169,122(493,220)576,629
ShoWare Operating
Revenues1,456,3111,512,5891,150,000855
Expenditures1,089,7631,451,7521,646,050513,399
Net Revenues Less Expenditures366,54860,837(496,050)(512,544)
Other Operating
Revenues185,821105,155109,320
Expenditures178,558106,003109,3203,378
Net Revenues Less Expenditures7,263(848)(3,378)
Debt Service Funds
Councilmanic Debt Service
Revenues10,266,9239,144,5876,997,840
Expenditures9,802,0978,679,7617,204,6606,493
Net Revenues Less Expenditures464,826464,826(206,820)(6,493)
Special Assessment Debt Service
Revenues1,339,332784,469728,560130,440
Expenditures1,119,3931,386,712858,4201,528
Net Revenues Less Expenditures219,939(602,243)(129,860)128,912
March 2021 Monthly Financial Report
City of Kent, Washington
Other Funds Overview (Revenues and Expenditures)
2019202020212021
ActualPrelimAdj BudgetYTD
Operating revenues and expenditures only; capital and non-capital projects are excluded.
In instances where expenditures exceed revenues, fund balance is being utilized.
Enterprise Funds
Water Utility
Revenues28,578,90329,573,42429,573,2906,823,530
Expenditures30,237,15626,464,13329,850,5703,800,782
Net Revenues Less Expenditures(1,658,253)3,109,291(277,280)3,022,748
Sewer Utility
Revenues33,063,79833,513,29433,234,6508,634,529
Expenditures31,664,33932,252,70633,049,9007,450,575
Net Revenues Less Expenditures1,399,4581,260,588184,7501,183,954
Note: Sewer Utility was combined with Drainage Utility in 2018.
Drainage Utility
Revenues26,947,64424,537,48323,688,6305,836,215
Expenditures25,690,58721,804,80223,296,3004,369,041
Net Revenues Less Expenditures1,257,0572,732,681392,3301,467,174
Solid Waste Utility
Revenues874,164837,309675,230112,690
Expenditures809,006876,871859,760221,284
Net Revenues Less Expenditures65,158(39,562)(184,530)(108,594)
Golf Complex
Revenues2,698,6095,938,1832,761,660312,546
Expenditures2,636,1103,070,8994,653,4902,326,718
Net Revenues Less Expenditures62,4992,867,283(1,891,830)(2,014,172)
Internal Service Funds
Fleet Services
Revenues8,514,1595,478,5895,516,1001,403,565
Expenditures6,413,5006,559,5396,202,8201,166,339
Net Revenues Less Expenditures2,100,659(1,080,950)(686,720)237,226
Central Services
Revenues367,717309,535428,03084,131
Expenditures326,927277,640404,19054,827
Net Revenues Less Expenditures40,79031,89523,84029,304
Information Technology
Revenues9,063,6039,062,09910,600,2302,618,738
Expenditures8,702,49010,531,89210,784,9902,808,165
Net Revenues Less Expenditures361,113(1,469,793)(184,760)(189,426)
Facilities
Revenues5,417,6086,327,1406,785,3401,373,304
Expenditures5,035,5055,125,0266,854,5701,046,071
Net Revenues Less Expenditures382,1031,202,114(69,230)327,233
Unemployment
Revenues178,465166,229148,63039,567
Expenditures220,850151,350238,14063,393
Net Revenues Less Expenditures(42,384)14,879(89,510)(23,825)
March 2021 Monthly Financial Report
City of Kent, Washington
Other Funds Overview (Revenues and Expenditures)
2019202020212021
ActualPrelimAdj BudgetYTD
Operating revenues and expenditures only; capital and non-capital projects are excluded.
In instances where expenditures exceed revenues, fund balance is being utilized.
Workers Compensation
Revenues1,289,3641,551,5221,159,680178,517
Expenditures1,928,1012,106,6161,545,240345,040
Net Revenues Less Expenditures(638,737)(555,093)(385,560)(166,523)
Employee Health & Wellness
Revenues15,629,64915,929,22416,205,0604,027,290
Expenditures13,786,30814,097,29815,771,0303,264,889
Net Revenues Less Expenditures1,843,3421,831,926434,030762,401
Liability Insurance
Revenues2,798,49338,1042,740,710805,745
Expenditures1,753,5452,852,6652,331,5401,634,883
Net Revenues Less Expenditures1,044,947(2,814,561)409,170(829,138)
Property Insurance
Revenues1,328,717578,755588,620153,832
Expenditures1,213,255587,011583,920305,368
Net Revenues Less Expenditures115,462(8,257)4,700(151,536)
Other Fund Revenues
Other Fund Expenditures
70,000,000
70,000,000
Special
Special
60,000,000
60,000,000
Revenue
Revenue
50,000,000
50,000,000
Funds
Funds
40,000,000
40,000,000
Enterprise
Enterprise
Funds
Funds
30,000,000
30,000,000
20,000,00020,000,000
Internal
Internal
10,000,000
10,000,000
Service Funds
Service
Funds
00
201920202021201920202021
ActualsPrelimBudget
ActualsPrelimBudget
March 2021 Monthly Financial Report
City of Kent, Washington
Other Funds Overview (Revenues and Expenditures)
Year-to-Year Month Comparison
2019202020212021-2020
thru Marchthru Marchthru MarchVariance
Operating revenues and expenditures only; capital and non-capital projects are excluded.
Special Revenue Funds
Street Fund
Revenues3,362,0633,196,8913,465,254268,3638.4%
Expenditures4,248,2661,836,7522,360,680523,92828.5%
Net Revenues Less Expenditures(886,203)1,360,1381,104,574
LEOFF 1 Retiree Benefits
Revenues76,209144,390210,75166,36146.0%
Expenditures375,390390,904365,610(25,294)-6.5%
penditures(299,181)(246,514)(154,858)
Net Revenues Less Ex
Lodging Tax
Revenues55,36255,51831,623(23,896)-43.0%
Expenditures2,24786,75742,304(44,453)-51.2%
Net Revenues Less Expenditures53,114(31,238)(10,681)
Youth/Teen Programs
Revenues252,442263,395264,9751,5800.6%
penditures1,7731,95017810.0%
Ex
penditures252,442261,623263,025
Net Revenues Less Ex
Capital Resources
Revenues3,286,0185,795,3723,617,325(2,178,048)-37.6%
Expenditures1,913,997223,1871,175,876952,689426.9%
Net Revenues Less Expenditures1,372,0215,572,1862,441,449
Criminal Justice
Revenues1,301,2472,500,2382,095,031(405,207)-16.2%
Expenditures1,585,2401,393,4531,518,401124,9499.0%
penditures(283,993)1,106,785576,629
Net Revenues Less Ex
ShoWare Operating
Revenues23,196855(22,341)-96.3%
Expenditures70,109(86,640)513,399600,039-692.6%
Net Revenues Less Expenditures(70,109)109,836(512,544)
Admissions Tax revenues received quarterly(April, July, September, January)
Other Operating
Revenues
Expenditures10,75061,5203,378(58,142)-94.5%
Net Revenues Less Expenditures(10,750)(61,520)(3,378)
Combines several small programs, including City Art Program and Neighborhood Matching Grants
March 2021 Monthly Financial Report
City of Kent, Washington
Other Funds Overview (Revenues and Expenditures)
Year-to-Year Month Comparison
2019202020212021-2020
thru Marchthru Marchthru MarchVariance
Operating revenues and expenditures only; capital and non-capital projects are excluded.
Debt Service Funds
Councilmanic Debt Service
Revenues
Expenditures12,67931,4246,493(24,931)-79.3%
Net Revenues Less Expenditures(12,679)(31,424)(6,493)
Debt service payments are generally due in June and December.
Special Assessments Debt Service
Revenues18,82786,012130,44044,42851.7%
penditures180,072325,7971,528(324,270)-99.5%
Ex
penditures(161,245)(239,786)128,912
Net Revenues Less Ex
Enterprise Funds
Water Utility
Revenues6,398,0746,688,1536,823,530135,3772.0%
Expenditures3,615,6843,785,5043,800,78215,2780.4%
Net Revenues Less Expenditures2,782,3892,902,6503,022,748
Sewer Utility
Revenues8,184,8798,578,4508,634,52956,0800.7%
penditures7,140,2617,195,2857,450,575255,2903.5%
Ex
penditures1,044,6181,383,1651,183,954
Net Revenues Less Ex
Note: Sewer Utility was combined with Drainage Utility in 2018.
Drainage Utility
Revenues5,881,5735,658,9525,836,215177,2633.1%
penditures3,278,7753,263,0394,369,0411,106,00233.9%
Ex
penditures2,602,7982,395,9131,467,174
Net Revenues Less Ex
Note: Sewer Utility was combined with Drainage Utility in 2018.
Solid Waste Utility
(55,737)-33.1%
Revenues159,855168,427112,690
penditures148,171285,879221,284(64,594)-22.6%
Ex
penditures11,684(117,451)(108,594)
Net Revenues Less Ex
Golf Complex
Revenues319,680164,779312,546147,76789.7%
penditures565,380573,3722,326,7181,753,345305.8%
Ex
penditures(245,700)(408,594)(2,014,172)
Net Revenues Less Ex
Internal Service Funds
Fleet Services
Revenues3,073,9041,342,9981,403,56560,5674.5%
Expenditures1,968,4391,189,5571,166,339(23,217)-2.0%
Net Revenues Less Expenditures1,105,465153,441237,226
Central Services
(4,022)-4.6%
Revenues89,41688,15384,131
penditures66,470100,36054,827(45,533)-45.4%
Ex
penditures22,946(12,207)29,304
Net Revenues Less Ex
March 2021 Monthly Financial Report
City of Kent, Washington
Other Funds Overview (Revenues and Expenditures)
Year-to-Year Month Comparison
2019202020212021-2020
thru Marchthru Marchthru MarchVariance
Operating revenues and expenditures only; capital and non-capital projects are excluded.
Information Technology
Revenues2,692,2682,241,0932,618,738377,64516.9%
Expenditures1,885,6012,713,4102,808,16594,7553.5%
Net Revenues Less Expenditures806,668(472,317)(189,426)
Facilities
Revenues1,293,5541,298,1241,373,30475,1805.8%
Expenditures1,012,8721,109,0871,046,071(63,016)-5.7%
Net Revenues Less Expenditures280,682189,037327,233
Unemployment
Revenues40,61535,17839,5674,38912.5%
penditures79,43855,87163,3937,52113.5%
Ex
penditures(38,823)(20,694)(23,825)
Net Revenues Less Ex
Workers Compensation
Revenues307,900282,663178,517(104,145)-36.8%
Expenditures306,857384,940345,040(39,901)-10.4%
Net Revenues Less Expenditures1,043(102,278)(166,523)
Employee Health & Wellness
Revenues3,720,7533,208,3594,027,290818,93125.5%
penditures3,261,0843,431,9193,264,889(167,029)-4.9%
Ex
penditures459,669(223,560)762,401
Net Revenues Less Ex
Liability Insurance
Revenues638,702748,796805,74556,9497.6%
Expenditures817,1021,012,5201,634,883622,36361.5%
Net Revenues Less Expenditures(178,401)(263,724)(829,138)
Property Insurance
Revenues884,520144,918153,8328,9146.2%
penditures309,347250,531305,36854,83721.9%
Ex
penditures575,173(105,613)(151,536)
Net Revenues Less Ex
Other Fund Revenues thru March
Other Fund Expenditures thru March
20,000,000
25,000,000
18,000,000
20,000,00016,000,000
14,000,000
15,000,000
12,000,000
2019
2019
10,000,000
2020
2020
10,000,000
8,000,000
2021
2021
6,000,000
5,000,000
4,000,000
2,000,000
0
0
SpecialEnterpriseInternal
SpecialEnterpriseInternal
RevenueFundsService Funds
Revenue FundsFundsService Funds
Funds