AGENDA CAPTION:
Title
Receive a Staff presentation of the Quarter End September 30, 2021 Financial Report, and provide direction to City Manager.
Body
Meeting date: December 15, 2021
Department: Finance-Marie Kalka, Finance Director
Amount & Source of Funding
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Fiscal Note:
Prior Council Action: Received by the Finance and Audit Committee on December 2, 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]
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? Environment & Resource Protection - Choose an item.
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? Neighborhoods & Housing - Choose an item.
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? Not Applicable
Master Plan: [Please select the corresponding Master Plan from the dropdown menu below (if applicable)]
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Background Information:
The City's unaudited financial performance through September 30, 2021 is summarized in the enclosed Financial Summary Report. The report includes revenues and expenditures for the City's major operating funds including the General Fund, Hotel Tax Fund, Water Wastewater Fund, Storm Water Management Fund, Electric Fund, Resource Recovery Fund and Airport Fund. Included in the report are trending analysis year-to-date for current and prior year with related variances.
The Financial Summary Report for quarter ended September 30, 2021 was reviewed by the Finance and Audit Committee on December 2, 2021.
Council Committee, Board/Commission Action:
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Alternatives:
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Recommendation:
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