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Item # 18.
         
Council Meeting 2023
Meeting Date: 11/08/2022  
Department: Finance  
Pillars: Gold Standard in Financial Health
Milestones: Continuously improve processes and policies to include the voice of the customer and ensure the policies are easily accessible

AGENDA CAPTION:
Present and Discuss the Finance Department Quarterly Financial Report of the Town of Addison for the Fiscal Year 2022 Fourth Quarter Ended September 30, 2022.
BACKGROUND:
The Town of Addison's financial policies require the publication of a financial report 60 days subsequent to the end of each fiscal quarter.  This report covers the financial performance through the fourth quarter for Fiscal Year 2022 (July 1, 2022 - September 30, 2022).  Enclosed in the report is an executive dashboard that provides a high-level look at some of the key financial indicators along with more detailed exhibits that demonstrate the current financial positions for the various funds.  The report includes information for the following funds: General, Hotel, Economic Development, Airport, Utility, and Stormwater funds. 

Key highlights for the fourth quarter include: 
  • General Fund revenue totaled $43.98 million, which is 105.3 percent of the fiscal year budget.
  • General Fund expenditures totaled $40.26 million, which is 96.4 percent of the fiscal year budget.
  • Sales tax collections totaled $16.00 million, which is 108.7 percent of the fiscal year budget.
  • The Hotel Fund had revenue of $7.25 million, an increase of $2.97 million from this time a year ago, and expenditures of $5.49 million.
  • Performing Arts expenditures are at 100% percent due to the full payment of the WaterTower Theatre grant.
  • Special Events revenues totaled 71.3 percent, and expenses totaled 82.4 percent of the fiscal year budget. 
  • Airport Fund operating revenue totaled $7.54 million or 106.7 percent, and operating expenditures totaled $4.84 million, or 93.0%.
  • Utility Fund operating revenue totaled $15.68 million or 105.6 percent, and operating expenditures totaled $14.19 million, or 94.1%.
  • Stormwater Fund revenue and expenditures are in line with historical averages. 
The Quarterly Investment Report for Quarter 4 of Fiscal Year 2022 is also being provided for informational purposes. This report has been prepared in accordance with state law and the Town's Financial Policies.
RECOMMENDATION:
Information only, no action required.
Attachments
Presentation - Quarterly Financial Report Fiscal Year 2022 Fourth Quarter
Quarterly Financial Report - Fiscal Year 2022 Fourth Quarter
Quarterly Investment Report - Fiscal Year 2022 Fourth Quarter

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