File #: ID#21-379    Version: 1 Name:
Type: Presentation Status: Individual Consideration
File created: 4/29/2021 In control: City Council
On agenda: 6/1/2021 Final action:
Title: Receive a Staff presentation of the Quarter End March 31, 2021 Investment Report, and provide direction to City Manager.
Attachments: 1. Quarterly Financial Report 2021Q2 FINAL, 2. FY21 Q2 Investments Report Mar 2021 report

AGENDA CAPTION:

Title

Receive a Staff presentation of the Quarter End March 31, 2021 Investment Report, and provide direction to City Manager.

Body

Meeting date:  June 1, 2021

 

Department:  Finance-Marie Kalka, Finance Director

 

Amount & Source of Funding
Funds Required:
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Account Number:  Click or tap here to enter text.

Funds Available:  Click or tap here to enter text.

Account Name:  Click or tap here to enter text.

 

Fiscal Note:
Prior Council Action: Received by the Finance and Audit Committee on May 20, 2021

City Council Strategic Initiative:  [Please select from the dropdown menu below]

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Comprehensive Plan Element (s): [Please select the Plan element(s) and Goal # from dropdown menu below]
Economic Development - Choose an item.
Environment & Resource Protection - Choose an item.
Land Use - Choose an item.
Neighborhoods & Housing - Choose an item.
Parks, Public Spaces & Facilities - Choose an item.
Transportation - Choose an item.

Not Applicable

Master Plan
: [Please select the corresponding Master Plan from the dropdown menu below (if applicable)]
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Background Information:

The Texas Public Fund Investment Act (PFIA) requires the City's Quarterly Investment Report be received by City Council. The reports cover the 2nd quarter of fiscal year 2020-2021 reflecting investment activity and balances as of March 31, 2021.

 

These funds are invested in various investment types including:

 

Bank Deposits                     $   13,868,204

Money Market Mutual Funds                     $ 134,038,843

Local Government Pools                     $ 123,069,992

Municipal Coupon Securities                     $     ----------

Federal Agencies                     $   19,951,561

Total                     $ 290,928,600

 

The Investment Report for quarter 2 ended March 31, 2021 was reviewed by the Finance and Audit Committee on May 20, 2021.

 

 

 

Council Committee, Board/Commission Action:
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Alternatives:

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Recommendation: 

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