HomeMy WebLinkAbout2013-08-26 - Finance-Accounting Committee Meeting Agenda PacketYorba Linda
Water District
AGENDA
YORBA LINDA WATER DISTRICT
FINANCE - ACCOUNTING COMMITTEE MEETING
Monday, August 26, 2013, 12:00 PM
1717 E Miraloma Ave, Placentia CA 92870
1. CALL TO ORDER
2. ROLL CALL
COMMITTEE
Director Phil Hawkins, Chair
Director Gary T. Melton
STAFF
Steve Conklin, Acting General Manager
Delia Lugo, Acting Finance Manager
3. PUBLIC COMMENTS
Any individual wishing to address the committee is requested to identify themselves and state the matter on
which they wish to comment. If the matter is on this agenda, the committee Chair will recognize the individual for
their comment when the item is considered. No action will be taken on matters not listed on this agenda.
Comments are limited to matters of public interest and matters within the jurisdiction of the Water District.
Comments are limited to five minutes.
4. ACTION CALENDAR
This portion of the agenda is for items where staff presentations and committee discussions are needed prior to
formal committee action.
4.1. Unaudited Financial Statements for Period Ending June 30, 2013
Recommendation. That the Committee recommend the Board of Directors receive
and file the Unaudited Financial Statements for the Period Ending June 30, 2013.
5. DISCUSSION ITEMS
This portion of the agenda is for matters such as technical presentations, drafts of proposed policies, or similar
items for which staff is seeking the advice and counsel of the Committee members. This portion of the agenda
may also include items for information only.
5.1. Investment Report for the Period Ending July 31, 2013
5.2. Budget -to- Actual Reports for July 31, 2013
5.3. Future Agenda Items and Staff Tasks
6. ADJOURNMENT
6.1. The next Finance - Accounting Committee meeting is scheduled to be held Monday,
September 23, 2013 at 12:00 p.m.
Items Distributed to the Committee Less Than 72 Hours Prior to the Meeting
Pursuant to Government Code section 54957.5, non - exempt public records that relate to open session agenda items
and are distributed to a majority of the Committee less than seventy -two (72) hours prior to the meeting will be available
for public inspection in the lobby of the District's business office located at 1717 E. Miraloma Avenue, Placentia, CA
92870, during regular business hours. When practical, these public records will also be made available on the District's
internet website accessible at http: / /www.ylwd.com /.
Accommodations for the Disabled
Any person may make a request for a disability - related modification or accommodation needed for that person to be
able to participate in the public meeting by telephoning the Executive Secretary at 714 - 701 -3020, or writing to Yorba
Linda Water District, P.O. Box 309, Yorba Linda, CA 92885 -0309. Requests must specify the nature of the disability and
the type of accommodation requested. A telephone number or other contact information should be included so the
District staff may discuss appropriate arrangements. Persons requesting a disability - related accommodation should
make the request with adequate time before the meeting for the District to provide the requested accommodation.
AGENDA REPORT
Meeting Date:
August 26, 2013
To:
Finance - Accounting Committee
From:
Steve Conklin, Acting General
Manager
Presented By:
Delia Lugo, Acting Finance
Manager
Prepared By:
Delia Lugo, Acting Finance
Manager
Dept:
ITEM NO. 4.1
Finance
Subject: Unaudited Financial Statements for Period Ending June 30, 2013
SUMMARY:
Presented are the Unaudited Financial Statements for the Period Ending June 30, 2013 for the
District.
STAFF RECOMMENDATION:
That the Committee recommend the Board of Directors receive and file the Unaudited Financial
Statements for the Period Ending June 30, 2013.
DISCUSSION:
For the period ending June 30, 2013, staff is presenting unaudited statements in the CAFR format.
We have included the traditional budget to actual statements for the District as a whole, as well as
the individual water and sewer funds.
Water Operating Revenue, as presented, is 105.6% of annual budget, which is 5.6% higher when
compared to the historical trend for this point of the year. Other Operating Revenue is 113.96 of
annual budget. Sewer Other Operating Revenue, as presented, is 100.46% of annual budget.
Variable Water Costs are 106.73% of budget, due to higher than budgeted water consumptions as
well as purchasing more expensive import water prior to the January 1St rate increase. Salary
Related Expenses are 101.46% of budget at the end of this fiscal year.
To confirm the covenant is upheld, a calculation is made quarterly and presented to the Finance -
accounting Committee and received and filed by the Board of Directors. Accordingly, the unaudited
debt service ratio through June 2013 is shown in the calculation as 172 %. This shows strong
financial health for the District as it pertains to the debt service ratio.
STRATEGIC PLAN:
FR 1 -F: Continue to Record and Report the Fairly Stated Financial Activities of the District in a
Timely and Transparent Manner to the Board of Directors and Member Agencies
ATTACHMENTS:
Description: Type:
FY 2013 4th Qtr Consolidated Balance Sheet.xlsx
2013 4th Qtr Consolidated Stmt.xlsx
2013 Qtr 4 Water Stmt.xlsx
2013 Qtr 4 Sewer Stmt.xlsx
2013 Qtr 4 Debt Service Calc.xlsx
FY 2013 4th Consolidated Balance Sheet
FY 2013 4th Qtr Consolidted Statement
FY 2013 4th Qtr Water Statement
FY 2013 4th Qtr Sewer Statement
FY 2013 4th Qtr Debt Servcie Calculation
Backup Material
Backup Material
Backup Material
Backup Material
Backup Material
YORBA LINDA WATER DISTRICT
UNAUDITED COMBINING SCHEDULE OF NET ASSETS
June 30, 2013
(With June 30, 2012 for comparison only)
ASSETS
CURRENT ASSETS:
Cash and cash equivalents
Investment
Accounts receivable - water and sewer services
Accounts receivable - property taxes
Accrued interest receivable
Prepaid expenses & other deposits
Inventory
TOTAL CURRENT ASSETS
NONCURRENT ASSETS:
Bond issuance costs
Other post - employment benefit (OPEB) asset
Capital assets:
Non - depreciable
Depreciable, net of accumulated depreciation
TOTAL NONCURRENT ASSETS
TOTAL ASSETS
LIABILITIES
CURRENT LIABILITIES:
Accounts payable
Accrued expenses
Accrued interest payable
Certificates of Participation - current portion
Refunding Revenue Bond - current portion
Compensated absences
Customer and construction deposits
Deferred revenue
TOTAL CURRENT LIABILITIES
LONG -TERM LIABILITIES (LESS CURRENT PORTION)
June 2013 June 2012
$ 17,438,231 $
20,152,582
2,137,144
2,157,786
3,983,015
3,813,696
16,885
128,479
9,312
18,981
932,486
243,771
221,477
288,204
24,738,550
26,803,499
1,410,061 725,802
176,295 32,630
6,099,294
10,959,085
195,242,684
190,090,770
202,928,334
201,808,287
227,666,884 228,611,786
6,396,061
4,894,637
452,963
152,907
441,081
474,418
705,000
925,000
260,000
-
241,597
266,861
300,833
230,597
414,694
413,531
9,212,229 7,357,951
Deferred annexation revenue
13,823,421 14,064,550
Compensated absences
765,057 800,582
Refunding Revenue Bond
8,070,000 -
Certificate of Participation
32,996,188 41,353,128
TOTAL LONG TERM LIABILITIES (LESS
CURRENT PORTION)
TOTAL LIABILITIES
NET ASSETS:
55,654,666 56,218,260
64,866,895 63,576,211
$ 162,799,989 $ 165,035,575
YORBA LINDA WATER DISTRICT
UNAUDITED COMBINING SCHEDULE OF REVENUES, EXPENSES
AND CHANGES IN NET ASSETS
For the period ended June 30, 2013
(With fiscal year ended June 2013 for comparison only)
June 2013
June 2012
OPERATING REVENUES:
Water sales
$ 26,369,939
$ 24,998,675
Sewer revenues
1,762,038
1,785,805
Other operating revenues
725,818
854,155
TOTAL OPERATING REVENUES
28,857,795
27,638,635
OPERATING EXPENSES
Variable water costs
13,825,205
12,275,854
Personnel services
7,387,278
6,981,798
Supplies and services
4,210,130
3,811,296
Depreciation and amortization
6,863,066
6,595,723
TOTAL OPERATING EXPENSES
32,285,679
29,664,671
OPERATING INCOME /(LOSS)
(3,427,884)
(2,026,036)
NONOPERATING REVENUES (EXPENSES):
Property taxes
1,340,915
1,273,856
Investment income
137,603
277,137
Interest expense
(1,780,123)
(1,626,191)
Other nonoperating revenues
568,135
795,982
Other nonoperating expenses
(39,807)
(108,988)
TOTAL NONOPERATING REVENUES /EXPENSES
226,723
611,796
NET INCOME /(LOSS) BEFORE CAPITAL
CONTRIBUTIONS & EXTRAORDINARY ITEM(S)
(3,201,161)
(1,414,240)
EXTRAORDINARY ITEM(S)
(5,000,000)
CAPITAL CONTRIBUTIONS
958,926
17,214,140
CHANGES IN NET ASSETS
(2,242,235)
10,799,900
NET ASSETS - BEGINNING OF YEAR
165,042,224
154,235,675
NET ASSETS - FOR PERIOD END MARCH 31, 2013
$ 162,799,989
$ 165,035,575
Yorba Linda Water District
Summary Financial Report
Water & Sewer Funds
For The Period Ending June 30, 2013
Revenue (Operating):
Water Revenue (Residential)
Water Revenue (Commercial & Fire Det.)
Water Revenue (Landscape /Irrigation)
Water Revenue (Service Charge)
Sewer Charge Revenue
Locke Ranch Assessments
Other Operating Revenue
Total Operating Revenue:
Revenue (Non- Operating)
Original
YTD
YTD
YTD
Budget
Actual
Under(Over)
% of
FY 2013
FY 2013
Budget
Budget
$15,405,197 $16,596,681 (1,191,484) 107.73%
1,822,665
1,890,271
(67,606)
103.71%
4,035,121
4,161,528
(126,407)
103.13%
3,755,191
3,721,459
33,732
99.10%
1,548,682
1,561,849
(13,167)
100.85%
198,433
200,189
(1,756)
100.88%
643,737
725,818
(82,081)
112.75%
27,409,026 28,857,795 (1,448,769) 105.29%
Interest
170,000
137,603
32,397
80.94%
Property Tax
1,244,320
1,340,915
(96,595)
107.76%
Other Non - Operating Revenue
494,437
568,135
(73,698)
114.91%
Total Non - Operating Revenue:
1,908,757
2,046,653
(137,896)
107.22%
Total Revenue
29,317,783
958,926
0.00%
2,684,083
30,904,448
(1,586,665)
105.41%
6,602,339
6,863,066
(260,727)
Expenses (Operating):
($3,918,256)
($2,242,235)
($1,676,021)
57.23%
Variable Water Costs (G.W., Import & Power)
12,953,024
13,825,205
(872,181)
106.73%
Salary Related Expenses
7,648,891
7,387,278
261,613
96.58%
Supplies & Services
3,896,180
4,210,130
(313,950)
108.06%
Total Operating Expenses
24,498,095
25,422,613
(924,518)
103.77%
Expenses (Non- Operating):
Interest on Long Term Debt
Other Expense
Total Non - Operating Expenses:
Total Expenses
Net Income (Loss) Before Capital Contributions
Capital Contributions
Net Income (Loss) Before Depreciation
Depreciation & Amortization
Total Net Income (Loss)
2,011,395
124,210
1,780,123
39,807
231,272
84,403
88.50%
32.05%
2,135,605
1,819,930
315,675
85.22%
26,633,700
27,242,543
(608,843)
102.29%
2,684,083
3,661,905
(977,822)
136.43%
-
958,926
958,926
0.00%
2,684,083
4,620,831
(18,896)
172.16%
6,602,339
6,863,066
(260,727)
103.95%
($3,918,256)
($2,242,235)
($1,676,021)
57.23%
Yorba Linda Water District
Water Fund
For The Period Ending June 30, 2013
YTD YTD YTD
Budget Actual Under(Over) % of
FY 2013 FY 2013 Budget Budget
Revenue (Operating)
Water Revenue (Residential)
$15,405,197
$16,596,681
(1,191,484)
107.73%
Water Revenue (Commercial & Fire Det.)
1,822,665
1,890,271
(67,606)
103.71%
Water Revenue (Landscape /Irrigation)
4,035,121
4,161,528
(126,407)
103.13%
Water Revenue (Service Charge)
3,755,191
3,721,459
33,732
99.10%
Other Operating Revenue
585,929
667,743
(81,814)
113.96%
Total Operating Revenue:
25,604,103
27,037,682
(1,433,579)
105.60%
Revenue (Non- Operating):
0.00%
259,656
242,339
17,317
Interest
150,000
121,239
28,761
80.83%
Property Tax
1,244,320
1,340,915
(96,595)
107.76%
Other Non - Operating Revenue
490,262
573,119
(82,857)
116.90%
Total Non - Operating Revenue:
1,884,582
2,035,273
(150,691)
108.00%
Total Revenue
Expenses (Operating):
Variable Water Costs (G.W., Import & Power)
Salary Related Expenses
Supplies & Services:
Communications
Contractual Services
Data Processing
Dues & Memberships
Fees & Permits
Board Election
Insurance
Materials
District Activities, Emp Recognition
Maintenance
Non - Capital Equipment
Office Expense
Professional Services
Training
Travel & Conferences
Uncollectible Accounts
Utilities
Vehicle Equipment
Supplies & Services Sub -Total
Total Operating Expenses
Expenses (Non- Operating):
Interest on Long Term Debt
Other Expense
Total Non - Operating Expenses:
Total Expenses
27,488,685 29,072,955 (1,584,270) 105.76%
12,953,024
13,825,205
(872,181)
106.73%
6,741,403
6,562,271
179,132
101.46%
280,232
186,569
93,663
66.58%
455,041
440,656
14,385
96.84%
125,866
124,249
1,617
98.72%
57,609
53,264
4,345
92.46%
139,165
173,118
(33,953)
124.40%
47,988
-
47,988
0.00%
259,656
242,339
17,317
93.33%
451,506
733,933
(282,427)
162.55%
17,298
20,054
(2,756)
115.93%
350,383
352,227
(1,844)
100.53%
109,782
163,054
(53,273)
148.53%
37,702
39,440
(1,738)
104.61%
740,578
873,105
(132,527)
117.90%
41,353
19,742
21,611
47.74%
40,833
23,882
16,951
58.49%
36,270
32,089
4,181
88.47%
79,050
73,909
5,141
93.50%
282,400
327,849
(45,449)
116.09%
3,552,711
3,879,479
(326,768)
109.20%
23,247,138 24,266,955 (1,019,817) 104.39%
2,009,777 1,780,123 229,654 88.57%
118,210 39,807 78,403 33.67%
2,127,987 1,819,930 308,057 85.52%
25,375,125 26,086,885 (711,760) 102.80%
Net Income (Loss) Before Capital Contributions 2,113,560
2,986,070
(872,510)
141.28%
Capital Contributions -
543,073
543,073
0.00%
Net Income (Loss) Before Depreciation 2,113,560
3,529,143
(329,437)
166.98%
Depreciation &Amortization 5,332,175 5,562,388 (230,213) 104.32%
Total Net Income (Loss) ($3,218,615) ($2,033,245) ($1,185,370) 63.17%
Yorba Linda Water District
$1,548,682 $1,561,849
Sewer Fund
100.85%
For The Period Ending June 30, 2013
198,433
200,189
YTD
YTD YTD
Other Operating Revenue
Budget Actual
Under(Over) % of
(267)
FY 2013 FY 2013
Budget Budget
Revenue (Operating)
Sewer Charge Revenue
$1,548,682 $1,561,849
(13,167)
100.85%
Locke Ranch Assessments
198,433
200,189
(1,756)
100.88%
Other Operating Revenue
57,808
58,075
(267)
100.46%
Total Operating Revenue:
1,804,923
1,820,113
(15,190)
100.84%
Revenue (Non- Operating):
Interest
20,000
16,364
3,636
81.82%
Other Non - Operating Revenue
4,175
(4,984)
9,159
- 119.38%
Total Non - Operating Revenue:
24,175
11,380
12,795
47.07%
Total Revenue
1,829,098
1,831,493
(2,395)
100.13%
Expenses (Operating):
Salary Related Expenses
907,488
825,007
82,481
91.58%
Supplies & Services:
Communications
23,018
12,578
10,440
54.64%
Contractual Services
34,280
33,400
880
97.43%
Data Processing
9,474
9,177
297
96.87%
Dues & Memberships
4,583
4,140
443
90.33%
Fees & Permits
12,155
15,303
(3,148)
125.90%
Board Election
3,612
-
3,612
0.00%
Insurance
19,544
14,935
4,609
76.42%
Materials
34,519
18,063
16,456
52.33%
District Activities, Emp Recognition
1,302
1,367
(65)
104.99%
Maintenance
74,665
103,272
(28,607)
138.31%
Non - Capital Equipment
18,269
18,415
(147)
100.80%
Office Expense
2,823
2,903
(80)
102.83%
Professional Services
36,882
30,274
6,608
82.08%
Training
4,747
5,365
(618)
113.02%
Travel & Conferences
3,418
1,577
1,841
46.14%
Uncollectible Accounts
2,730
4,293
(1,563)
157.25%
Utilities
5,950
6,317
(367)
106.17%
Vehicle Equipment
51,499
49,272
2,227
95.68%
Supplies & Services Sub -Total
343,469
330,651
12,818
96.27%
Total Operating Expenses
1,250,957
1,155,658
95,299
92.38%
Expenses (Non- Operating):
Interest Expense
1,618
-
1,618
0.00%
Other Expense
6,000
6,000
0.00%
Total Non - Operating Expenses:
7,618
-
7,618
0.00%
Total Expenses
1,258,575
1,155,658
102,917
91.82%
Net Income (Loss) Before Capital Contributions
570,523
675,835
(105,312)
118.46%
Capital Contributions
-
415,853
415,853
0.00%
Net Income (Loss) Before Depreciation
570,523
1,091,688
310,541
191.35%
Depreciation &Amortization
1,270,164
1,300,678
(30,514)
102.40%
Total Net Income (Loss)
($699,641)
($208,990)
($490,651)
29.87%
Yorba Linda Water District
Water Fund
For The Period Ending June 30, 2013
YTD
Included in
Actual
Debt Service
FY 2013
Calculation
OPERATING REVENUES:
Water sales $ 26,369,939 $ 26,369,939
Other operating revenues 667,743 667,743
TOTAL OPERATING REVENUES 27,037,682 27,037,682
OPERATIANG EXPENSES:
Variable water costs
13,825,205
13,825,205
Payroll and Related Expenses
6,562,271
6,562,271
Supplies and services
3,879,479
3,879,479
Depreciation and amortization
5,562,388
TOTAL OPERATING EXPENSES
29,829,343
24,266,955
OPERATING INCOME(LOSS)
(2,791,661)
2,770,727
NONOPERATING REVENUES (EXPENSES):
Property taxes
1,340,915
1,340,915
Investment income
121,239
121,239
Interest expense
(1,780,123)
Other nonoperating revenues
573,119
573,119
Other nonoperating expenses
(39,807)
(39,807)
TOTAL NONOPERATING REVENUES /EXPENSES
215,343
1,995,466
NET INCOME(LOSS) BEFORE CAPITAL
(2,576,318)
4,766,193
CONTRIBUTIONS
CAPTIAL CONTRIBUTIONS 543,073
CHANGES IN NET ASSETS
(2,033,245)
DEBT SERVICE RATIO CALCULATION
Net Revenues 4,766,193
Debt Service 2,766,871
% 172%
4,766,193
AGENDA REPORT
Meeting Date: August 26, 2013
To: Finance - Accounting Committee
From: Steve Conklin, Acting General
Manager
Presented By: Delia Lugo, Acting Finance Dept:
Manager
Prepared By: Delia Lugo, Acting Finance
Manager
Subject: Investment Report for the Period Ending July 31, 2013
SUMMARY:
ITEM NO. 5.1
Finance
Staff is submitting the July 2013 Monthly Investment Reports for the Committee's review.
DISCUSSION:
The Investment Portfolio Report presents the market value and percent yield for all District
investments by institution. The Investment Report Summary includes budget and actual interest and
average term portfolio information as well as market value broken out by reserve categories.
The total yield for the month ending July 310, 2013 is 0.69 %.
The overall decrease in the investment balance from the previous month is approximately $914,000.
A couple of the larger balance changes include a decrease in the Water Operating fund of
approximately $2,500,000 and an increase in the Reserve for Debt Service of $1,420,000.
With the Board of Directors approval of Resolution No. 13 -07 Adopting the Financial Reserves
Policy for Fiscal Year 2013 -14 in July 2013, current reserve balances reflect the noted "Target
Level" from the Reserve Policy. The notable changes are that the Debt Service Reserve balance
has been met at $2,723,509 and the Employee Liabilities Reserve has been established at
$100,000.
STRATEGIC PLAN:
FR 1 -F: Continue to Record and Report the Fairly Stated Financial Activities of the District in a
Timely and Transparent Manner to the Board of Directors and Member Agencies
ATTACHMENTS:
Nam(: Description: Type:
Invst Rpt 7- 13.xlsx Investment Report for Period Ending July 31, 2013 Backup Material
Invst Agenda Backup -July 2013.x1s2i Agenda Backup Backup Material
Yorba Linda Water District
Investment Portfolio Report
July 31, 2013
Market % Date of Percent
Value Par of Total Institution Maturity Yield
Checking Account:
$ 505,857 $ 505,857 Wells Fargo Bank
3,716 3,716 Pershing
$ 509,573 $ 509,573 2.73% Total 0.00%
Money Market Accounts
$ 54,957
$ 54,957
Wells Fargo Money Market
0.05%
23,246
23,246
US Bank (Revenue Bonds)
0.04%
5,474,305
5,474,305
Bank of the West
0.34%
$ 5,552,508
$ 5,552,508 29.77%
Total
0.34%
Federal Agency Securities
$ 491,195
$ 500,000
Fannie Mae
05/25/18
1.14%
487,525
500,000
Federal Home Loan Bank
06/12/18
1.02%
489,720
500,000
Fannie Mae
06/12/18
0.81%
488,695
500,000
Federal Home Loan Bank
06/13/13
1.12%
488,990
500,000
Federal Home Loan Bank
06/20/13
1.15%
2,136,192
2,144,397
Federal Home Loan Bank
05/28/14
1.36%
$ 4,582,317
$ 4,644,397 24.57%
Total
05/14/18
1.19%
Certificates of Deposits
$ 240,153
$ 248,000
CIT Bank, Salt Lake
05/22/18
1.23%
240,153
248,000
Discover
05/22/18
1.23%
240,153
248,000
Goldman Sachs Bank
05/22/18
1.23%
240,210
248,000
Beal Bank
05/23/18
1.03%
241,636
248,000
Wells Fargo
04/27/18
0.92%
237,720
247,000
Barclays Bank
05/14/18
0.72%
241,041
248,000
State Bank of India
05/14/18
1.18%
242,113
249,000
Webster Bank
05/03/18
0.91%
240,128
248,000
American Express Centurion Bank
05/28/18
1.23%
240,007
248,000
GE Capital Bank
05/24/18
1.13%
244,867
249,000
Merrick Bank
05/24/17
0.76%
243,903
248,000
BMW Bank
05/24/17
0.91%
246,694
249,000
Firstbank Puerto Rico
05/24/16
0.75%
241,074
249,000
Oriental Bank & Trust
05/29/18
1.08%
241,164
249,000
Silvergate Bank
05/30/18
1.03%
241,049
249,000
Enterprise Bank & TR Co Lowell
05/30/18
1.03%
241,047
249,000
Safra National Bank
05/31/18
1.03%
240,094
248,000
Townebank Portsmouth
05/31/18
1.03%
241,067
249,000
Mascona Savings Bank
05/29/18
1.03%
$ 4,584,275
$ 4,719,000 24.58%
Total
0.81%
Pooled Investment Accounts:
$ 351,100
$ 351,100
Local Agency Investment Fund
0.27%
3,071,282
3,081,142
Ca1TRUST Medium Term
0.58%
$ 3,422,382
$ 3,432,242 18.35%
0.55%
$ 18,651,055
$ 18,857,720 100%
Total Investments
0.69%
Per Government Code requirements, the Investment Report is in compliance with the Yorba
Linda Water District's Investment Policy, and there are adequate funds available to meet
budgeted and actual expenditures for the next six months.
Delia Lugo, Senior Accountant
7/31/13
Investment Summary Report
Below is a chart summarizing the yields as well as terms and maturities for the month of July 2013:
Avg. Portfolio
Avg. Portfolio
# of
Month Yield Without
Yield With
Days to
of 2013 CalTRUST
CalTRUST
Maturity
July 0.72%
0.69%
703
Below is are charts comparing operating fund interest for current and prior fiscal years.
Actual Interest
Monthly - July
Year -to -Date
7/31/2012
7/31/2013
$ 2,021 $ 9,288
$ 2,021 $ 9,288
Budget 2012/2013 2013/2014
Interest Budget, July YTD $ 12,500 $ 7,250
Interest Budget, Annual $ 150,000 $ 87,000
Interest earned on investments is recorded in the fund that owns the investment.
Investment Summary Comparison Between Current and Previous Month
The distribution of investments in the portfolio both in dollars and as a percentage of the total portfolio by funds
is as follows:
June 2013
% Alloc
July 2013
% Alloc
Fund Description
Balance
6/30/2013
Balance
7/31/2013
Water Operating Reserve
$ 5,015,576
25.56%
$ 2,023,304
11.16%
Water Emergency Reserve
990,234
5.04%
989,315
5.45%
Water Capital Project Reserve
7,774,174
39.60%
7,760,478
42.76%
Water Reserve for Debt Service
1,304,228
6.64%
2,723,509
15.01%
Maintenance Reserve
200,715
1.02%
200,894
1.11%
Employee Liability Reserve
-
-
100,000
0.55%
COP Revenue Bond 2008 - Reserve
2,160,389
11.01%
2,159,438
11.90%
Sewer Operating
16,174
0.08%
16,207
0.09%
Sewer Emergency Reserve
1,001,806
5.10%
1,001,916
5.52%
Sewer Capital Project Reserve
1,167,222
5.95%
1,170,136
6.45%
$ 19,630,518
100.00%
$ 18,145,197
100.00%
Wells Fargo Bank Checking
Water Operating
(296,566)
194,513
Sewer Operating
230,719
311,345
(65, 847)
505,858
Totals
$ 19,564,671
$ 18,651,055
AGENDA REPORT
Meeting Date: August 26, 2013
To: Finance - Accounting Committee
From: Steve Conklin, Acting General
Manager
Presented By: Delia Lugo, Acting Finance Dept:
Manager
Prepared By: Delia Lugo, Acting Finance
Manager
Subject: Budget -to- Actual Reports for July 31, 2013
DISCUSSION:
ITEM NO. 5.2
Engineering
Attached are the District's budget -to- actual summary results for the Water Fund, Sewer Fund and a
combined statement for both funds pertaining to the reporting month of July 2013.
For the month of July 2013, the District's water revenue is 9.2% of annual budget, which is 2.6%
lower than the historical trend for this point in the year.
The majority of the Water Fund's individual Supplies and Services expenses are below budget, with
the exceptions of Dues and Memberships and Materials. In the month of July, Dues and
Membership is presented at 35.07% of annual budget due to the payment of $24,268 to LAFCO for
annual dues. Materials is presented at 11.38% of annual budget due to purchases pertaining to
replacement meters, water service repair parts and hydrant repair parts.
Overall, Sewer Supplies and Services expenses are trending below budget, with the same
exceptions noted in the Water Fund.
STRATEGIC PLAN:
FR 1 -F: Continue to Record and Report the Fairly Stated Financial Activities of the District in a
Timely and Transparent Manner to the Board of Directors and Member Agencies
ATTACHMENTS:
Description: Type:
July 2013 consolidated stmt.xlsx July 2013 Consolidated Statement Backup Material
July 2013 Water Stmt.xlsx July 2013 Water Statement Backup Material
July 2013 Sewer Stmt.xlsx July 2013 Sewer Statement Backup Material
Revenue (Operating):
Water Revenue (Residential)
Water Revenue (Commercial & Fire Det.)
Water Revenue (Landscape /Irrigation)
Water Revenue (Service Charge)
Sewer Charge Revenue
Locke Ranch Assessments
Other Operating Revenue
Total Operating Revenue:
Revenue (Non- Operating):
Interest
Property Tax
Other Non - Operating Revenue
Total Non - Operating Revenue:
Yorba Linda Water District
Summary Financial Report
Water & Sewer Funds
For One Month Ending July 31, 2013
Annual YTD July YTD YTD YTD
Budget Budget Actual Actual Under(Over) % of
FY 2014 FY 2014 FY 2014 FY 2014 Budget Budget
$16,217,590 $1,351,466 $1,565,886 $1,565,886 14,651,704 9.66%
2,020,223
168,352
171,316
171,316
1,848,907
8.48%
4,794,156
399,513
436,322
436,322
4,357,834
9.10%
4,468,716
372,393
313,194
313,194
4,155,522
7.01%
1,550,530
129,211
132,452
132,452
1,418,078
8.54%
200,797
16,733
-
-
200,797
0.00%
717,749
59,812
124,828
124,828
592,921
17.39%
29,969,761 2,497,480 2,743,998 2,743,998 27,225,763 9.16%
87,000
7,250
9,288 9,288 77,712 10.68%
1,264,672
105,389
- - 1,264,672 0.00%
509,150
42,429
34,252 34,252 474,898 6.73%
1,860,822
155,069
43,540 43,540 1,817,282 2.34%
Total Revenue 31,830,683 2,662,649 2,787,638 2,787,638 29,043,046 8.76%
Expenses (Operating)
Variable Water Costs (G.W., Import & Power)
13,767,658
1,147,305
686,813
686,813
13,080,845
4.99%
Salary Related Expenses
7,904,873
658,739
495,763
495,763
7,409,110
6.27%
Supplies & Services
4,225,654
352,138
146,534
146,534
4,079,120
3.47%
Total Operating Expenses
25,898,185
2,158,182
1,329,110
1,329,110
24,569,075
5.13%
Expenses (Non- Operating):
Interest on Long Term Debt
1,815,317
151,276
142,044
142,044
1,673,273
7.82%
Other Expense
77,400
6,450
2,238
2,238
75,162
2.89%
Total Non - Operating Expenses:
1,892,717
157,726
144,282
144,282
1,748,435
7.62%
Total Expenses 27,790,902 293169909 194739392 194739392 2693179610 6.30%
Net Income (Loss) Before Capital Contributions 4,039,681 3369640 193149146 193149146 297269636 32.63%
Capital Contributions
83,371 83,371 83,371 0.00%
Net Income (Loss) Before Depreciation 4,039,681 336,640 1,397,617 1,397,617 2,808,906 34.69%
Depreciation & Amortization 6,897,941 574,828 588,495 588,495 6,309,446 8.53%
Total Net Income (Loss) ($2,868,260) ($238,188) $809,022 $809,022 ($3,667,282) - 28.30%
Yorba Linda Water District
Water Fund
For One Month Ending July 31, 2013
Annual YTD JUL YTD YTD YTD
Budget Budget Actual Actual Under(Over) % of Annual
FY 2014 FY 2014 FY 2014 FY 2014 FY Budget Budget
Revenue (Operating)
Water Revenue (Residential)
$16,217,590
$1,351,466
$1,565,886
$1,565,886
14,651,704
9.66%
Water Revenue (Commercial & Fire Det.)
2,020,223
168,352
171,316
171,316
1,848,907
8.48%
Water Revenue (Landscape /Irrigation)
4,794,156
399,513
436,322
436,322
4,357,834
9.10%
Water Revenue (Service Charge)
4,468,716
372,393
313,194
313,194
4,155,522
7.01%
Other Operating Revenue
681,074
56,756
102,782
102,782
578,292
15.09%
Total Operating Revenue:
28,181,759
2,348,480
2,589,500
2,589,500
25,592,259
9.19%
Revenue (Non- Operating):
23,191
-
-
278,293
0.00%
568,676
Interest
75,000
6,250
9,281
9,281
65,719
12.37%
Property Tax
1,264,672
105,389
-
-
1,264,672
0.00%
Other Non - Operating Revenue
501,200
41,767
36,890
36,890
464,310
7.36%
Total Non - Operating Revenue:
1,840,872
153,406
46,171
46,171
1,794,701
2.51%
Total Revenue
30,022,631
2,501,886
2,635,671
2,635,671
27,386,960
8.78%
Expenses (Operating):
Variable Water Costs (G.W., Import & Power)
Salary Related Expenses
Supplies & Services:
Communications
Contractual Services
Data Processing
Dues & Memberships
Fees & Permits
Insurance
Materials
District Activities, Emp Recognition
Maintenance
Non - Capital Equipment
Office Expense
Professional Services
Training
Travel & Conferences
Uncollectible Accounts
Utilities
Vehicle Equipment
Supplies & Services Sub -Total
Total Operating Expenses
Expenses (Non- Operating):
Interest on Long Term Debt
Other Expense
Total Non - Operating Expenses:
Total Expenses
Net Income (Loss) Before Capital Contributions
Capital Contributions
Net Income (Loss) Before Depreciation
Depreciation & Amortization
Total Net Income (Loss)
13,767,658
1,147,305
686,813
686,813
13,080,845
4.99%
6,987,204
582,267
434,979
434,979
6,552,225
6.59%
283,371
23,614
8,352
8,352
275,019
2.95%
504,089
42,007
13,268
13,268
490,821
2.63%
158,779
13,232
129
129
158,650
0.08%
67,021
5,585
23,507
23,507
43,514
35.07%
152,224
12,685
(1,121)
(1,121)
153,345
-0.74%
278,293
23,191
-
-
278,293
0.00%
568,676
47,390
64,725
64,725
503,951
11.38%
23,390
1,949
-
-
23,390
0.00%
357,243
29,770
5,547
5,547
351,696
1.55%
121,534
10,128
3,102
3,102
118,432
2.55%
42,920
3,577
3,081
3,081
39,839
7.18%
747,785
62,315
(498)
(498)
748,283
-0.07%
64,403
5,367
(79)
(79)
64,482
-0.12%
48,389
4,032
1,011
1,011
47,378
2.09%
23,250
1,938
(30)
(30)
23,280
-0.13%
83,700
6,975
-
-
83,700
0.00%
321,250
26,771
9,539
9,539
311,711
2.97%
3,846,317
320,526
130,533
130,533
3,715,784
3.39%
24,601,179
2,050,098
1,252,325
1,252,325
23,348,854
5.09%
1,815,317
71,400
142,044
2,238
142,044
2,238
1,673,273
69,162
7.82%
3.13%
1,886,717
144,282
144,282
1,742,435
7.65%
26,487,896
2,050,098 1,396,607
1,396,607
25,091,289
5.27%
3,534,735
451,788 1,239,064
1,239,064
2,295,671
35.05%
-
- 81,704
81,704
81,704
0.00%
3,534,735
451,788 1,320,768
1,320,768
2,377,375
37.37%
5,598,638 466,553 478,735 478,735 5,119,903 8.55%
($2,063,903) ($14,766) $842,033 $842,033 ($2,905,936) -40.80%
Revenue (Operating):
Sewer Charge Revenue
Locke Ranch Assessments
Other Operating Revenue
Total Operating Revenue:
Revenue (Non- Operating):
Interest
Other Non - Operating Revenue
Total Non - Operating Revenue:
Total Revenue
Expenses (Operating):
Salary Related Expenses
Supplies & Services:
Communications
Contractual Services
Data Processing
Dues & Memberships
Fees & Permits
Insurance
Materials
District Activities, Emp Recognition
Maintenance
Non - Capital Equipment
Office Expense
Professional Services
Training
Travel & Conferences
Uncollectible Accounts
Utilities
Vehicle Equipment
Supplies & Services Sub -Total
Total Operating Expenses
Expenses (Non- Operating):
Interest Expense
Other Expense
Total Non - Operating Expenses:
Total Expenses
Yorba Linda Water District
Sewer Fund
For One Month Ending July 31, 2013
Annual YTD JUL YTD YTD YTD
Budget Budget Actual Actual Under(Over) % of
FY 2014 FY 2014 FY 2014 FY 2014 Budget Budget
$1,550,530
$129,211
$132,452
$132,452
1,418,078
8.54%
200,797
16,733
-
-
200,797
0.00%
36,675
3,056
22,046
22,046
14,629
60.11%
1,788,002
149,000
154,498
154,498
1,633,504
8.64%
12,000
1,000
7
7
11,993
0.06%
7,950
663
(2,638)
(2,638)
10,588
- 33.18%
19,950
1,663
(2,631)
(2,631)
22,581
- 13.19%
1,807,952 150,663 151,867 151,867 1,656,085 8.40%
917,669
76,472
60,784
60,784
856,885
6.63%
21,829
1,819
629
629
21,200
2.88%
38,751
3,229
966
966
37,785
2.49%
11,951
996
10
10
11,941
0.08%
5,314
443
1,769
1,769
3,545
33.29%
15,141
1,262
1,543
1,543
13,598
10.19%
20,947
1,746
-
-
20,947
0.00%
19,099
1,592
6,215
6,215
12,884
32.54%
1,761
147
-
-
1,761
0.00%
121,908
10,159
418
418
121,490
0.34%
16,417
1,368
379
379
16,038
2.31%
3,231
269
232
232
2,999
7.18%
37,425
3,119
1,073
1,073
36,352
2.87%
6,757
563
649
649
6,108
9.60%
4,062
339
76
76
3,986
1.87%
1,750
146
(9)
(9)
1,759
-0.51%
7,100
592
-
-
7,100
0.00%
45,899
3,825
2,051
2,051
43,848
4.47%
379,342
31,612
16,001
16,001
363,341
4.22%
1,297,011 108,084 76,785 76,785 1,220,226 5.92%
- - - 0.00%
6,000 500 6,000 0.00%
6,000 500 6,000 0.00%
1,303,011 108,584 76,785 76,785 1,226,226 5.89%
Net Income (Loss) Before Capital Contributions 504,941 42,078 75,082 75,082 429,859 14.87%
Capital Contributions
1,667 1,667 1,667 0.00%
Net Income (Loss) Before Depreciation
504,941 42,078 76,749
76,749 431,526
15.20%
Depreciation & Amortization
1,299,298 108,275 109760
109,760 1,189,538
8.45%
Total Net Income (Loss)
($794,357) ($66,196) ($33,011)
($33,011) ($761,346)
4.16%
Capital - Direct Labor
(53)
(53)