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HomeMy WebLinkAboutFinancial Report 12-31-20201-26-2021 07:37 PM CITY OF PLAINVIEW PAGE: 1 COUNCIL REPORT (UNAUDITED) AS OF: DECEMBER 31ST, 2020 001-GENERAL FUND FINANCIAL SUMMARY REVENUE SUMMARY TAXES PERMITS & LICENSES INTERGOVERNMENTAL CHARGES FOR SERVICES FINES & FEES MISCELLANEOUS INTEREST INTERFUND TRANSFERS TOTAL REVENUES EXPENDITURE SUMMARY O1 CITY COUNCIL 02 CITY MANAGER 03 NON -DEPARTMENTAL 04 MUNICIPAL COURT 05 LEGAL 06 FINANCE 07 POLICE 08 FIRE/EMS 10 PUBLIC WORKS 11 STREET CLEANING 12 STREET DEPARTMENT 19 HUMAN RESOURCES 20 TRAFFIC CONTROL 22 EMERGENCY OPERATION CE 23 STREET LIGHTING 24 ANIMAL CONTROL 32 COMMUNITY DEVELOPMENT 35 BUILDING OPERATIONS 36 MAIN STREET 40 PARKS 41 CUSTODIAL SERVICES 42 SWIMMING POOL 47 INFO TECHNOLOGY 48 AIRPORT 49 PROP APPRAISAL/TAX COL 50 LIBRARY 52 CITY -COUNTY HEALTH DEP 53 HEALTH TDH-ORAS 56 HEALTH TDH-IMM TOTAL EXPENDITURES CURRENT CURRENT BUDGET PERIOD 25.00o OF FISCAL YEAR YEAR TO DATE o OF BUDGET ACTUAL BUDGET YTD BALANCE 11,154,570.00 726,612.05 3,531,003.26 31.66 7,623,566.74 78,350.00 3,357.00 11,906.04 15.20 66,443.96 323,785.00 37,139.37 96,634.52 29.85 227,150.48 632,880.00 23,212.95 119,729.38 18.92 513,150.62 332,160.00 10,019.27 31,545.97 9.50 300,614.03 904,050.00 73,673.47 246,531.64 27.27 657,518.36 110,000.00 5,864.60 22,537.51 20.49 87,462.49 ( 33,210.00)( 3,333.33)( 3,210.03) 9.67 ( 29,999.97) 13,502,585.00 876,545.38 4,056,678.29 30.04 9,445,906.71 67,345.00 2,570.25 11,791.05 17.51 55,553.95 488,955.00 36,997.14 127,161.40 26.01 361,793.60 487,210.00 126,840.66 167,794.45 34.44 319,415.55 167,970.00 11,851.55 40,513.91 24.12 127,456.09 165,970.00 7,272.30 31,005.50 18.68 134,964.50 79,990.00 4,531.24 16,302.08 20.38 63,687.92 3,888,630.00 259,376.17 1,035,944.93 26.64 2,852,685.07 3,819,870.00 282,868.62 1,005,295.45 26.32 2,814,574.55 170,605.00 19,712.59 44,096.80 25.85 126,508.20 180,020.00 12,703.10 38,645.22 21.47 141,374.78 787,170.00 33,155.78 116,568.93 14.81 670,601.07 194,255.00 21,934.81 42,376.09 21.81 151,878.91 230f635.00 18,049.98 62,581.60 27.13 168f053.40 36,450.00 1,272.23 11,330.47 31.08 25,119.53 223,935.00 19,226.46 57,699.96 25.77 166,235.04 160,255.00 10,892.38 38,171.06 23.82 122,083.94 391,150.00 17,651.78 55,113.07 14.09 336,036.93 103,260.00 7,185.78 17,487.77 16.94 85,772.23 131,870.00 14,289.55 38,089.16 28.88 93,780.84 808,695.00 30,294.17 168,838.11 20.88 639,856.89 0.00 393.42 364.43 0.00 ( 364.43) 52,500.00 0.00 0.00 0.00 52,500.00 211,115.00 15,188.82 49,417.59 23.41 161,697.41 5,000.00 0.00 0.00 0.00 5,000.00 153,625.00 77.06 36,817.12 23.97 116f807.88 458,535.00 33,262.21 106,535.56 23.23 351,999.44 128,110.00 8,356.03 24,547.71 19.16 103,562.29 90f685.00 5,881.74 19,604.24 21.62 71,080.76 203,455.00 17,275.20 51,795.47 25.46 151,659.53 13,887,265.00 1,019,111.02 3,415,889.13 24.60 10,471,375.87 REVENUES OVER/(UNDER) EXPENDITURES ( 384,680.00)( 142,565.64) 640f789.16 ( 1,025,469.16) 1-26-2021 07:37 PM CITY OF PLAINVIEW PAGE: 1 COUNCIL REPORT (UNAUDITED) AS OF: DECEMBER 31ST, 2020 012-SOLID WASTE MANAGEMENT FINANCIAL SUMMARY REVENUE SUMMARY CHARGES FOR SERVICES MISCELLANEOUS INTEREST INTERFUND TRANSFERS TOTAL REVENUES EXPENDITURE SUMMARY 03 NON -DEPARTMENTAL 13 S/WASTE COLLECTION - R 14 LANDFILL 17 RECYCLING CENTER 18 S/WASTE COLLECTION - C 21 VECTOR SPRAYING 39 VECTOR CONTROL MOWING 55 SUB -REGIONAL RECYCLING TOTAL EXPENDITURES REVENUES OVER/(UNDER) EXPENDITURES 25.00o OF FISCAL YEAR CURRENT CURRENT YEAR TO DATE o OF BUDGET BUDGET PERIOD ACTUAL BUDGET YTD BALANCE 3,065,000.00 277,745.32 817,281.30 26.66 2,247,718.70 33,750.00 2,543.14 5,330.81 15.79 28,419.19 28,000.00 3,972.75 15,485.35 55.30 12,514.65 ( 408,215.00)( 34.017.91)( 102,053.81) 25.00 ( 306,161.19) 2,718,535.00 250f243.30 736,043.65 27.08 1,982,491.35 496,050.00 43,758.70 120,805.31 24.35 375,244.69 639,985.00 45,405.18 113,423.68 17.72 526,561.32 797,605.00 95,759.93 213,775.07 26.80 583,829.93 120,100.00 8,024.35 29,863.89 24.87 90,236.11 364,315.00 25,416.58 86,233.49 23.67 278,081.51 136,580.00 5,257.26 16,443.20 12.04 120,136.80 70f400.00 3,675.10 13,167.70 18.70 57,232.30 93,500.00 83.58 2,479.19 2.65 91,020.81 2,718,535.00 227,380.68 596,191.53 21.93 2,122,343.47 0.00 22,862.62 139,852.12 ( 139,852.12) 1-26-2021 07:37 PM CITY OF PLAINVIEW PAGE: 1 COUNCIL REPORT (UNAUDITED) AS OF: DECEMBER 31ST, 2020 019-UTILITY FUND FINANCIAL SUMMARY REVENUE SUMMARY CHARGES FOR SERVICES MISCELLANEOUS INTEREST INTERFUND TRANSFERS TOTAL REVENUES EXPENDITURE SUMMARY 03 NON -DEPARTMENTAL 26 ACCOUNTING AND COLLECT 27 WATER METER SERVICE 28 WATER PRODUCTION 29 WASTE WATER TREATMENT 30 WATER DISTRIBUTION 31 WASTE WATER COLLECTION 35 121 W 7TH BLDG OPERATI TOTAL EXPENDITURES REVENUES OVER/(UNDER) EXPENDITURES 25.00o OF FISCAL YEAR CURRENT CURRENT YEAR TO DATE o OF BUDGET BUDGET PERIOD ACTUAL BUDGET YTD BALANCE 7,747,000.00 648,257.74 2,046,013.90 26.41 5,700f986.10 35,600.00 3,661.99 9,481.29 26.63 26,118.71 42,000.00 3,502.71 13,636.84 32.47 28,363.16 ( 1,399,325.00)( 112,358.33)( 388,100.03) 27.73 ( 1,011,224.97) 6,425,275.00 543,064.11 1,681,032.00 26.16 4,744,243.00 1,860,020.00 216,127.56 515,986.93 27.74 1,344,033.07 633,970.00 46,068.49 144,504.99 22.79 489,465.01 191,470.00 11,874.69 41,195.83 21.52 150,274.17 1,709,290.00 129,204.84 333,670.24 19.52 1,375,619.76 960,03O.00 70,171.04 205,677.96 21.42 754,352.04 650f260.00 79,913.77 224,540.90 34.53 425,719.10 388,135.00 25,243.21 100,330.86 25.85 287,804.14 32,100.00 1,797.74 5,324.37 16.59 26,775.63 6,425,275.00 580,401.34 1,571,232.08 24.45 4,854,042.92 0.00 ( 37,337.23) 109,799.92 ( 109,799.92)