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Item 3B2Reference Page 3 Page 3 Page 4 Page 4 Page 5 MONTHLY FINANCIAL REPORT August 2021 = Negative Variance of > 4% compared to seasonal trends. Positive Negative PERFORMANCE AT A GLANCE Year to Date 3 year Trend Positive PERFORMANCE INDICATORS Positive Warning Permit Revenues Positive Positive Departmental Expenditures Summary Positive = Negative variance of 1-4% compared to seasonal trends = Positive variance or negative variance <1% compared to seasonal trends. GENERAL FUND PositiveGeneral Fund Exp. Vs. Rev. Sales Tax Revenue (2 months prior activity) Property Tax Revenue Positive Positive Positive Positive City of Southlake Monthly Financial Report 1 9/15/2021 National GDP: Housing Starts: Housing starts in July 2021 were at a seasonally adjusted rate of 1,111,000, which is 4.5% below the revised previous month figure of 1,163,000. -4.3% UNEMPLOYMENT RATES 5.2% The Dallas/Fort Worth/Arlington Metropolitan Area unemployment rate for July 2021 (preliminary) decreased to 5.3% when compared to 6.0% in June 2021. 5.3% State-wide:6.2% The Texas Unemployment rate for July 2021 (preliminary) decreased slightly to 6.2% from 6.5% in June 2021. DFW Area: ECONOMIC INDICATORS NATIONAL ECONOMY FINANCIAL ACTIVITY6.6% GDP is defined as the output of goods and services produced by labor and property located in the United States, The Bureau of Labor and Economic Analysis reported that the "second" estimated GDP for the 2nd quarter of 2021 increased at a rate of 6.6%. In the 1st quarter of 2021, GDP increased at a rate of 6.3%. The National Unemployment rate for August 2021 decreased to 5.2% when compared to 5.4% in July 2021. National: 5 YEAR TREND OF NEW CONSTRUCTION PERMIT VALUES $- $20,000,000 $40,000,000 $60,000,000 $80,000,000 $100,000,000 $120,000,000 $140,000,000 $160,000,000 $180,000,000 2017*2018*2019*2020*2021* New Construction permit values*October-August City of Southlake Monthly Financial Report 2 9/15/2021 GENERAL FUND FY 2021 REVENUE FY 2021 EXPENDITURE VARIANCE Oct 1,141,203$ 2,174,348$ (1,033,145)$ Nov 1,850,321$ 2,812,519$ (962,198)$ Dec 7,709,670$ 4,221,574$ 3,488,096$ Jan 14,791,267$ 2,764,227$ 12,027,040$ Feb 7,203,499$ 3,290,949$ 3,912,550$ Mar 2,085,482$ 3,281,698$ (1,196,216)$ Apr 1,690,587$ 3,115,923$ (1,425,336)$ May 2,943,568$ 2,965,278$ (21,710)$ Jun 2,169,753$ 3,649,083$ (1,479,330)$ Jul 529,282$ 3,760,196$ (3,230,914)$ Aug 3,516,576$ 3,197,273$ 319,303$ Sep -$ Tot 45,631,208$ 35,233,068$ 10,398,140$ POSITIVE FY 2021 FY 2020 FY 2019 Oct 1,299,576$ 1,278,635$ 1,253,417$ Nov 1,084,677$ 1,309,584$ 1,140,440$ Dec 1,926,407$ 1,993,686$ 1,613,337$ Jan 1,256,119$ 1,360,873$ 1,030,047$ Feb 978,395$ 1,011,429$ 1,094,354$ Mar 1,727,925$ 1,162,936$ 1,321,691$ Apr 1,470,896$ 1,038,287$ 1,294,023$ May 1,262,973$ 1,153,263$ 1,295,321$ Jun 2,586,036$ 1,375,636$ 1,274,338$ Jul 1,449,136$ 1,190,064$ 1,179,145$ Aug 1,233,673$ 1,344,868$ Sep 1,416,226$ 1,354,327$ Tot 15,042,140$ 15,524,291$ 15,195,307$ GENERAL FUND REVENUE VS EXPENDITURES 2021 OVERALL FUND PERFORMANCE: REVENUE ANALYSIS GENERAL FUND SALES TAX 2021-2019 COMPARISON CHART OUTLOOK: CHART OUTLOOK: The outlook for the year is positive as overall revenues are trending above budget and expenditures are on target with budget.The revenues exceed expenditures by $10.4M.A significant portion of the variance is due to sales tax collections are exceeding budget, sales tax is the second largest revenue source for the general fund. Year to date sales tax collections are trending above FY 2020 (16.8%)and FY 2019 (20.4%)collections.June sales were 88%and 103%above June collections for FY 2020 and FY 2019,respectively.June collections included a significant audit adjustment which represented 38%of collections for the month.Year to date collections are trending above budget for the year therefore the outlook is considered positive.Staff will continue to closely monitor collections. POSITIVE $- $500,000 $1,000,000 $1,500,000 $2,000,000 $2,500,000 $3,000,000 FY 2021 FY 2020 FY 2019 $- $2,000,000 $4,000,000 $6,000,000 $8,000,000 $10,000,000 $12,000,000 $14,000,000 $16,000,000 Oct Nov Dec Jan Feb Mar Apr May Jun Jul Aug Sep FY 2021 REVENUE FY 2021 EXPENDITURE 2020 EXPEND. City of Southlake Monthly Financial Report 3 9/15/2021 GENERAL FUND FY 2021 FY 2020 FY 2019 Oct 778,578$ 790,236$ 1,151,812$ Nov 1,582,957$ 1,426,054$ 1,552,708$ Dec 6,036,699$ 9,161,119$ 10,397,278$ Jan 13,167,125$ 10,088,389$ 9,985,201$ Feb 4,445,041$ 4,237,797$ 3,385,436$ Mar 411,151$ 420,930$ 395,710$ Apr 259,058$ 55,958$ 156,647$ May 152,945$ 105,567$ -$ Jun 389,839$ 448,670$ 312,620$ Jul *(1,365,991)$ (1,457,677)$ (1,295,201)$ Aug 52,655$ 52,000$ 59,318$ Sep -$ 28,446$ 46,464$ Tot 25,910,057$ 25,357,489$ 26,147,993$ POSITIVE FY 2021 FY 2020 FY 2019 Oct 50,043$ 134,067$ 85,534$ Nov 69,734$ 238,528$ 75,588$ Dec 102,515$ 135,168$ 160,859$ Jan 88,737$ 204,931$ 121,526$ Feb 76,270$ 212,195$ 121,533$ Mar 150,142$ 126,842$ 186,152$ Apr 124,870$ 188,968$ 111,970$ May 136,364$ 128,791$ 601,621$ Jun 158,786$ 148,103$ 111,503$ Jul 170,985$ 152,920$ 163,760$ Aug 217,599$ 69,101$ 155,328$ Sep 246,547$ 474,884$ Tot 1,346,045$ 1,986,161$ 2,370,258$ PERMIT REVENUE 2021-2019 COMPARISON CHART OUTLOOK: REVENUE ANALYSIS (continued) PROPERTY TAX 3 YEAR TREND CHART OUTLOOK: 2021 YTD property tax collections ($25,910,057)are approximately 2.3%higher than 2020 YTD ($25,329,043)and 0.7%less and 2019 YTD ($26,101,529)as of August.As indicated on the chart,the majority of the property tax revenue is collected in the first few months of the fiscal year. YTD collections are trending slightly above budget. * Net transfer of TIF revenues to TIF fund The value of new construction permits ($118.6M+)issued for FY 2021 YTD is approximately 1.3%higher and 32.4%lower when compared to FY 2020 and FY 2019 respectively.FY 2021 collections are 22.6%and 29.0% below FY 2020 and 2019, respectively. The permit revenue year to date is trending above budget therefore the outlook is considered positive. POSITIVE $(4,000,000) $(2,000,000) $- $2,000,000 $4,000,000 $6,000,000 $8,000,000 $10,000,000 $12,000,000 $14,000,000 Oct Nov Dec Jan Feb Mar Apr May Jun Jul *Aug FY 2021 FY 2020 FY 2019 $- $100,000 $200,000 $300,000 $400,000 $500,000 $600,000 $700,000 Oct Nov Dec Jan Feb Mar Apr May Jun Jul Aug Sep FY 2021 FY 2020 FY 2019 City of Southlake Monthly Financial Report 4 9/15/2021 FY 2021 ACTUAL YTD (AUGUST) FY 2020 ACTUAL YTD (AUGUST) FY 2021 BUDGET YTD (AUGUST)FY 2021 % SPENT 797,416$ 877,076$ 982,454$ 81.17% 421,433$ 386,160$ 463,996$ 90.83% 4,675,837$ 4,615,763$ 5,709,681$ 81.89% 471,347$ 418,340$ 508,019$ 92.78% 16,061,346$ 15,092,629$ 17,345,963$ 92.59% 135,818$ 117,547$ 236,496$ 57.43% 2,100,641$ 1,976,986$ 2,281,330$ 92.08% 707,078$ 675,000$ 788,008$ 89.73% 2,481,768$ 2,291,309$ 2,782,209$ 89.20% 1,956,330$ 1,886,449$ 2,139,432$ 91.44% 3,876,346$ 3,857,261$ 4,336,852$ 89.38% 1,634,366$ 1,470,540$ 1,620,901$ 100.83% 35,319,726$ 33,665,060$ 39,195,341$ 90.11% EXPENDITURE ANALYSIS POSITIVE (190,459)$ 36,672$ 1,284,617$ 100,678$ 180,689$ 80,930$ 300,441$ CSO DPS ED FIN HR IT DEPARTMENTAL EXPENDITURES SUMMARY (35,273)$ 42,563$ COMM BUDGET VARIANCE 185,038$ 1,033,844$ (69,881)$ (19,085)$ (163,826)$ (1,654,666)$ As indicated above,2021 expenditures are above 2020 expenditures for the same period with a increase of 4.92%primarily due to DPS expenditures eligible for CARES/grant funding in FY 2020.The outlook is positive expenditures are on pace to be below budgeted expenditures for the fiscal year. FY 2020/2021 YTD VARIANCE 79,660$ (60,074)$ (53,007)$ (968,717)$ (18,271)$ (123,655)$ SS Totals PW CMO CS 3,875,615$ CHART OUTLOOK: (13,465)$ 460,506$ (32,078)$ 183,102$ PDS $- $2,000,000 $4,000,000 $6,000,000 $8,000,000 $10,000,000 $12,000,000 $14,000,000 $16,000,000 $18,000,000 CMO COMM CS CSO DPS ED FIN HR IT PDS PW SS FY 2021 ACTUAL YTD (AUGUST)FY 2020 ACTUAL YTD (AUGUST)FY 2021 BUDGET YTD (AUGUST) City of Southlake Monthly Financial Report 5 9/15/2021