File #: ID#18-638    Version: 1 Name:
Type: Presentation Status: Individual Consideration
File created: 9/12/2018 In control: City Council
On agenda: 10/16/2018 Final action:
Title: Receive a Staff presentation of the Quarterly Investment and Financial Reports, and provide direction to City Manager.
Attachments: 1. Financial and Investment Update presentation Q3, 2. FY2018 Q3 Investment Report, 3. FY18 Q3 Financial Report
AGENDA CAPTION:
Title
Receive a Staff presentation of the Quarterly Investment and Financial Reports, and provide direction to City Manager.
Body
Meeting date: October 16, 2018

Department: Finance-Heather Hurlbert, Finance Director

Amount & Source of Funding
Funds Required: Click or tap here to enter text.
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 March 15, 2018

City Council Strategic Initiative: [Please select from the dropdown menu below]
Choose an item.
Choose an item.
Choose an item.
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)]
Choose an item.


Background Information:
The Texas Public Fund Investment Act requires the City's Quarterly Investment Report be received by City Council. The reports cover the 3rd quarter of fiscal year 2017-2018 reflecting investment activity and balances as of June 30, 2018.

The City's total portfolio summary as of June 30, 2018 reflects a total market value of $270,664,631 made up of funds from:

Pooled Cash $ 91,406,752
Pooled Cash Reserves $ 10,940,481
Enterprise Cash $153,847,019
Enterprise Cash Reserves $ 14,470,379

These funds are invested in various investment types including:

Bank Deposits $ 17,853,046
Money Market Mutual Funds $ 2,500,688
Certificates of Deposit $ 982,000
Local Government Pools $ 119,690,177
Municipal Coupon Securities $ 32,036,036
Corporate Commercial Pa...

Click here for full text