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File #: ID 2020-087    Version: 1 Name:
Type: Update/Presentation Item Status: Filed
File created: 1/6/2020 In control: Town Council
On agenda: 9/1/2020 Final action: 9/1/2020
Title: Update of the Second Quarter Financial Review, Period Ending June 30, 2020
Attachments: 1. Staff Report, 2. Attachment A: 2020 Second Quarter Financial Reports, 3. Attachment B: Sales Tax Collections, 4. Attachment C: Investment Summary, 5. Presentation

To:                     Honorable Mayor and Members of Town Council

 

From:                     Trish Muller, CPA, Finance Director

 

Title

Update of the Second Quarter Financial Review, Period Ending June 30, 2020

Body

________________________________________________________________________________

 

Executive Summary

 

The following discussion and financial information reflects the positive financial condition of the Town and highlights the continued focus on strategic priorities established by Town Council. Financial reporting for the Town takes a team effort between Finance, Department Heads, and staff. Reporting helps to keep departments apprised of potential revenue shortages that could trigger budget adjustments such as spending reductions and deferrals.

 

As demonstrated by the following information, departments continue effective and responsible management of the Town’s finances while working towards accomplishing community priorities. This year, 2020, has presented unique challenges, and Town departments continue to be mindful of the current economic environment and future uncertainty surrounding the COVID-19 pandemic. Due to conservative financial planning and proactive measures taken by Town staff, the overall financial position of the Town remains positive halfway through 2020. 

 

Year-end estimates are planned to be refined during the third quarter of 2020 and will be provided in the third quarter financial review. Staff plans to present the review to Town Council on November 3, 2020.

 

Some highlights contained in this report include:

 

                     General Fund revenue was 4 percent over budget through June 30, 2020

                     General Fund expenditures were 11 percent under budget through the second quarter largely due to vacancies and COVID-19 related reductions and deferrals

                     Capital expenditures make up 45 percent, or $137.2 million, of the amended 2020 budget for the Town; of this, $34 million has been expended so far in 2020

                     Development activity remains strong in Castle Rock including permitting for 456 single family and 116 multi-family units as well as 26 commercial projects through June 30

 

The financial information in this report includes:

 

                     Highlights of year-to-date revenue and expenditures including financial summaries by major category for each Town fund

                     Status updates related to community priorities

                     Discussion and financial summaries by major category for each fund included in the Town’s financial information

                     The 2020 year-to-date budget information has been adjusted to more accurately reflect seasonal variability

                     Incorporation of the first and second amendment to the 2020 budget as approved by Town Council

                     Discussion of COVID-19 related impacts and budget adjustments

 

Proposed Motion

 

This memo is intended for discussion purposes only.

 

Attachments

 

Attachment A: 2020 Second Quarter Financial Reports

                     Schedule A - General Fund

                     Schedule B - Development Services Fund

                     Schedule C - Water Fund

                     Schedule D - Water Resources Fund

                     Schedule E - Stormwater Fund

                     Schedule F - Wastewater Fund

                     Schedule G - Transportation Fund

                     Schedule H - Transportation Capital Projects Fund

                     Schedule I - Fleet Services Fund

                     Schedule J - Fire Capital Fund

                     Schedule K - Police Capital Fund

                     Schedule L - Police Forfeiture Fund

                     Schedule M - Parks and Recreation Capital Fund

                     Schedule N - Conservation Trust Fund

                     Schedule O - Community Center Fund

                     Schedule P - Golf Course Fund

                     Schedule Q - Economic Development Fund

                     Schedule R - Downtown Development TIF Fund

                     Schedule S - Philip S. Miller Trust Fund

                     Schedule T - Public Art Fund

                     Schedule U - Municipal Facilities Capital Fund

                     Schedule V - General Long Term Planning Fund

                     Schedule W - Employee Benefits Fund

                     Schedule X - Townwide Summary

 

Attachment B:  Sales Tax Collections by Category and Geographical Area

 

Attachment C:  Investment Summary