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File #: ID 2021-046    Version: 1 Name:
Type: Update/Presentation Item Status: Filed
File created: 1/13/2021 In control: Town Council
On agenda: 5/4/2021 Final action: 5/4/2021
Title: Preliminary 2020 Unaudited Yearend Financial Review
Attachments: 1. Staff Report, 2. Attachment A: 2020 Yearend Financial Reports, 3. Attachment B: Sales Tax Report, 4. Attachment C: Investment Summary, 5. Presentation

To:                     Honorable Mayor and Members of Town Council

 

From:                     David L. Corliss, Town Manager

 

Title

Preliminary 2020 Unaudited Yearend Financial Review

Body

________________________________________________________________________________

 

Executive Summary

 

The following discussion and financial information reflect the positive financial condition of the Town and highlight the continued focus on strategic priorities established by Town Council. Financial reporting helps to keep departments apprised of financial conditions that could trigger short or long-term budget adjustments and is completed through a team effort between Finance, Department Heads and staff.

 

As demonstrated by the following information, departments continue effective and responsible management of the Town’s finances while working towards accomplishing community priorities. 2020 presented unique challenges, and Town departments were responsive to economic uncertainty surrounding the COVID-19 pandemic. Due to conservative financial planning, proactive measures taken by Town staff, better than anticipated sales tax activity, and CARES Act funding, the overall financial position of the Town remains positive through December 31, 2020. Please note that 2020 actuals are considered preliminary and subject to change until the 2020 annual audit is completed by Accounting. After the audit is completed, the 2020 Comprehensive Annual Financial Report will be presented to Council in June of 2021. 

 

Some highlights contained in this report include:

                     Town Sales tax revenue collections were up 7.6 percent compared to 2019

                     General Fund expenditures are 10 percent under budget largely due to position vacancies and COVID-related reductions and deferrals

                     Capital expenditures make up 42 percent or $139 million of the amended 2020 budget for the Town; of this, $64 million was spent in 2020

                     The budget carryforward of $49,824,231 into 2021, for ongoing capital projects, occurred in March. View ongoing projects and capital carryforward amounts at:

<https://castlerock-co.legistar.com/LegislationDetail.aspx?ID=4851777&GUID=B56C8E85-0E2D-44F5-BD42-310EF4F33FE7>

                     About $3.5 million in CARES Act funding was received by the Town and used for small business grants, Water residential and business assistance, personal protective equipment, and other COVID-19 costs to promote safety

                     Operating expenses in many areas reflect reduced 2020 spending as a result of COVID-19 budget reductions, economic uncertainty, and changes to levels of service

                     In 2020, permits for 1,086 single family and 293 multi-family units as well as 59 commercial projects were issued

 

The financial information in this report includes:

                     Highlights of 2020 preliminary 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

                     Incorporation of the first, second, and third amendments to the 2020 budget as approved by Town Council

                     Discussion of COVID related impacts and budget adjustments

 

Proposed Motion

 

This memo is for discussion purposes only.

 

Attachments

 

Attachment A:  2020 Yearend 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 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 - Parking Fund

                     Schedule Y - Townwide Summary

 

Attachment B:  Sales Tax Collections by Category and Geographical Area

 

Attachment C:  Investment Summary