ITEM:
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CONSENT
CALENDAR
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4.
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RECEIVE AND FILE THIRD QUARTER
FINANCIAL ACTIVITY REPORT FOR FISCAL YEAR 2021-2022
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Meeting
Date:
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May 16, 2022
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Budgeted:
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N/A
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From:
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David J.
Stoldt,
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Program/
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N/A
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General
Manager
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Line Item No.:
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Prepared
By:
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Suresh
Prasad
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Cost
Estimate:
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N/A
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General Counsel Review: N/A
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Committee Recommendation: The Administrative Committee reviewed this
item on May 9, 2022 and recommended approval.
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CEQA Compliance: This action does not constitute a project
as defined by the California Environmental Quality Act Guidelines Section
15378.
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SUMMARY: The third quarter of Fiscal Year (FY) 2021-2022
concluded on March 31, 2022. Table
comparing budgeted and actual year-to-date revenues and expenditures for the
period are included as Exhibit 4-A. Exhibits
4-B and 4-C presents the same information in bar graph
format. The following comments
summarize District staff's observations:
REVENUES
The revenue table
compares amounts received through the third quarter of FY 2021-2022 to the
amounts budgeted for that same time-period.
Total revenues collected were $16,639,682, or 81.3% of the budgeted
amount of $20,473,350. Variances within
the individual revenue categories are described below:
- Water Supply Charge revenues were $2,031,182, or 79.7%
of the budget for the period. The
first installment of this revenue was received in December 2021. The
second installment will be received in April 2022.
- Property tax revenues were $1,297,364, or 75.2% of
the budget for the period. The
first installment of this revenue was received in December 2021. The
second installment will be received in April 2022.
- User fee revenues were $3,886,916, or about 97.8% of
the amount budgeted. This is slightly
lower than the budgeted amount as collections for March was received after
close of fiscal quarter.
- Pure Water Monterey Water Sales revenue was $7,257,651,
or 98.5% of the budget for the period.
This is water sales revenue for water purchased from Monterey One
Water and sold to California American Water and is a pass-through to the
District.
- Connection Charge revenues were $391,550, or 130.5%
of the budget for the period. Actual
collection was higher than anticipated budgeted figure as the forecasted
figures are based on estimated number of customers pulling permits. There were more connections received
than budgeted for the current quarter.
- Permit Fees revenues were $180,880, or 121.8% of the
budget for the period. Actual
collection was higher than anticipated budgeted figure as the forecasted
figures are based on estimated number of customers pulling permits. There were more permits received than
budgeted for the current quarter.
- Interest revenues were $18,048, or 18.5% of the
budget for the period. Most of the
interest income revenue is realized in fourth quarter of the fiscal year. Additionally, current quarter interest
rates have been down compared to rates from previous years.
- Reimbursements of $1,203,012 or 87.7% of the
budget. This is based on actual
spending and collection of reimbursement project funds. This is due to
projects being deferred and continued to next quarter.
- Grant revenue of $353,735, or 43.0% of the
budget. This is due to grant funded
projects being deferred and continued to next quarter.
- The Other revenue category totaled $19,344 or about 171.9%
of the budgeted amount. This
category includes insurance refunds, miscellaneous reimbursements, and
other miscellaneous services. Actual collections were higher than
anticipated.
- The Reserves category totaled $0 or about 0.00% of
the budgeted amount. This category
includes potential use of reserves and the water supply carry forward
balance during the fiscal year for which adjustments will be made at the
conclusion of the fiscal year.
EXPENDITURES
Expenditure
activity as depicted on the expenditure table is similar to patterns seen in
past fiscal years. Total expenditures of
$15,486,642 were about 75.6% of the budgeted amount of $20,473,350 for the period. Variances within the individual expenditure
categories are described below:
- Personnel costs of $2,999,602 were about 99.1% of the
budget. This was in line with the budgeted number.
- Expenditures for supplies and services were $1,058,589,
or about 85.6% of the budgeted amount. This was lower than the anticipated
budget due to legal and consulting services being lower than anticipated
for the current quarter.
- Fixed assets purchases of $94,011 represented around 27.9%
of the budgeted amount. This was due to some of the fixed asset purchases
deferred to next quarter.
- Funds spent for project expenditures were $11,282,053,
or approximately 79.9% of the amount budgeted for the period. This is lower than budgeted due to some
of the project spending being deferred to next quarter. This line also
includes water purchased from Monterey One Water.
- Debt Service included costs of $52,387, or 9.6% of
the budget for the period. Debt
service is paid semi-annually, in December and June.
- Contingencies/Other expenditures $0, or 0% of the
budgeted amount. This was due to
the contingency budget not spent during this quarter.
- Reserve expenditures of $0, or 0% of the budgeted
amount. This was due to the adjustments
made at the conclusion of the fiscal year.
EXHIBITS
4-A Revenue
and Expenditure Table
4-B Revenue
Graph
4-C Expenditure Graph
U:\staff\Boardpacket\2022\20220516\Consent
Calendar\04\Item-4.docx