02-NOVEMBER 2012 FINANCIAL STATEMENT
NOVEMBER 2012
Financial Report
C I T Y OF S C H E R T Z
Prepared By:
The Finance Department
February 19, 2013
C I T Y O F S C H E R T Z
REVENUE AND EXPENSE REPORT (UNAUDITED)
AS OF: NOVEMBER 30th, 2012
*************************************************** 2 0 1 2 - 2 0 1 3 ****************************************************
101 GENERAL FUNDCURRENTCURRENTPRIOR YEAR
FINANCIAL SUMMARYBUDGETPERIODY-T-D ACTUAL
REVENUE SUMMARY
Taxes 13,247,165 1,075,657.882,544,183.19
Franchises1,665,763115,795.81241,406.11
Permits1,051,84076,235.00141,968.00
Licenses70,2004,647.505,125.00
Fees2,997,169200,931.17344,146.31
Fines25,0001,921.243,860.03
Inter-Jurisdictional640,16738,932.1784,028.81
Fund Transfers1,950,742208,760.82217,501.18
Miscellaneous455,54734,568.89113,449.75
TOTAL REVENUES22,103,5931,757,450.483,695,668.38
EXPENDITURE SUMMARY
GENERAL GOVERNMENT
CITY COUNCIL
Personnel Services22,6061,065.031,481.26
Supplies40057.30-
City Support Services31,50048.00269.98
Operations Support500--
Staff Support20,8502,573.002,800.01
Operating Equipment700--
TOTAL CITY COUNCIL76,5563,743.334,551.25
CITY MANAGER
Personnel Services924,28052,212.5845,733.92
Supplies4,100-147.88
Operations Support100--
Staff Support39,5504,587.621,098.75
Operating Equipment---
TOTAL CITY MANAGER968,03056,800.2046,980.55
C I T Y O F S C H E R T Z
REVENUE AND EXPENSE REPORT (UNAUDITED)
AS OF: NOVEMBER 30th, 2012
*************************************************** 2 0 1 2 - 2 0 1 3 ****************************************************
101 GENERAL FUNDCURRENTCURRENTPRIOR YEAR
FINANCIAL SUMMARYBUDGETPERIODY-T-D ACTUAL
MUNICIPAL COURT
Personnel Services281,30014,884.2415,391.29
Supplies3,000415.45164.83
City Support Services1,000--
Operations Support3,500--
Staff Support7,100-385.20
Court Support800--
Professional Services65,2504,405.254,882.50
Maintenance Services2,800--
Operating Equipment800--
TOTAL MUNICIPAL COURT365,55019,704.9420,823.82
CUSTOMER RELATIONS-311
Personnel Services107,8535,780.155,089.28
Supplies200--
Staff Support1,750--
Operating Equipment500--
TOTAL CUSTOMER RELATIONS-311110,3035,780.155,089.28
PLANNING & ZONING
Personnel Services140,9737,887.198,169.56
Supplies2,850-161.45
Operations Support750--
Staff Support16,160(23.83)300.00
Professional Services25,150--
Operating Equipment---
TOTAL PLANNING & ZONING185,8837,863.368,631.01
LEGAL SERVICES
Operations Support12,000--
Professional Services348,000--
TOTAL LEGAL SERVICES360,000--
C I T Y O F S C H E R T Z
REVENUE AND EXPENSE REPORT (UNAUDITED)
AS OF: NOVEMBER 30th, 2012
*************************************************** 2 0 1 2 - 2 0 1 3 ****************************************************
101 GENERAL FUNDCURRENTCURRENTPRIOR YEAR
FINANCIAL SUMMARYBUDGETPERIODY-T-D ACTUAL
FACILITIES MAINTENANCE
Personnel Services563,70342,169.7531,290.44
Supplies65,8972,795.251,574.19
Utility Services106,448-1,707.16
Staff Support12,09924.00108.24
Maintenance Services64,4126,194.15673.05
Operating Equipment4,950--
Capital Outlay---
TOTAL FACILITIES MAINTENANCE817,50951,183.1535,353.08
BUILDING 6-8 MAINTENANCE
Supplies28,400--
Utility Services91,7004.47-
Maintenance Services67,700350.00-
Operating Equipment9,600--
TOTAL FACILITIES MAINTENANCE197,400354.47-
CITY SECRETARY
Personnel Services168,5069,428.379,811.60
Supplies1,25023.8057.30
City Support Services7,500--
Staff Support7,85018.00-
TOTAL CITY SECRETARY185,1069,470.179,868.90
NON-DEPARTMENTAL
Supplies---
City Support Services450,000132,598.265,325.00
Operations Support154,5006,432.327,965.91
City Assistance699,43398,957.4296,046.91
Professional Services165,22022,269.882,410.57
Fund Chrgs/Transfrs-Spec Events Fnd55,000--
Capital Outlay---
TOTAL NON-DEPARTMENTAL1,524,153260,257.88111,748.39
C I T Y O F S C H E R T Z
REVENUE AND EXPENSE REPORT (UNAUDITED)
AS OF: NOVEMBER 30th, 2012
*************************************************** 2 0 1 2 - 2 0 1 3 ****************************************************
101 GENERAL FUNDCURRENTCURRENTPRIOR YEAR
FINANCIAL SUMMARYBUDGETPERIODY-T-D ACTUAL
PUBLIC AFFAIRS
Personnel Services286,25316,349.2612,939.87
Supplies3,500-57.81
Operations Support27,1001,868.79-
Staff Support5,9009.24196.44
TOTAL PUBLIC AFFAIRS322,75318,227.2913,194.12
RECORDS MANAGEMENT
Personnel Services48,1442,725.542,858.77
Supplies400--
Staff Support1,560--
Professional Services12,000191.00-
TOTAL RECORDS MANAGEMENT62,1042,916.542,858.77
SCHERTZ TALES MAGAZINE
Personnel Services130,5607,686.108,077.96
Supplies200--
Opperations Support200--
Staff Support2,005--
Professional Services300,700115,425.0012,569.94
Fund Charges/Transfers10,000--
TOTAL SCHERTZ TALES MAGAZINE443,665123,111.1020,647.90
ENGINEERING
Personnel Services258,7096,967.186,031.69
Supplies1,100-28.65
Utility Services1,440--
Staff Support6,741--
Professional Services43,000-1,425.00
Maintenance Services---
Operating Equipment5,216--
Capital Outlay---
TOTAL ENGINEERING316,2066,967.187,485.34
C I T Y O F S C H E R T Z
REVENUE AND EXPENSE REPORT (UNAUDITED)
AS OF: NOVEMBER 30th, 2012
*************************************************** 2 0 1 2 - 2 0 1 3 ****************************************************
101 GENERAL FUNDCURRENTCURRENTPRIOR YEAR
FINANCIAL SUMMARYBUDGETPERIODY-T-D ACTUAL
GIS
Personnel Services128,3567,456.497,299.12
Supplies2,800--
Staff Support2,725--
Professional Services1,500--
TOTAL GIS135,3817,456.497,299.12
TOTAL GENERAL GOVERNMENT6,070,599573,836.25294,531.53
PUBLIC SAFETY
POLICE
Personnel Services4,677,560240,057.91266,138.82
Supplies41,59319.951,661.01
City Support Services25,80020,657.01-
Utility Services133,735--
Operations Support1,750-90.00
Staff Support57,2011,054.502,515.60
City Assistance9,765--
Professional Services28,337200.00-
Maintenance Services48,740690.00-
Operating Equipment139,100-14,410.65
Capital Outlay147,831--
TOTAL POLICE 5,311,412262,679.37284,816.08
FIRE RESCUE
Personnel Services2,593,286204,507.17149,147.62
Supplies16,200155.329,276.23
Utility Services51,500-7.64
Operations Support1,200--
Staff Support113,80011,644.7722,703.10
City Assistance16,200-2,758.50
Professional Services17,000--
Maintenance Services49,900169.753,565.81
Operating Equipment59,100-1,987.29
Capital Outlay---
TOTAL FIRE 2,918,186216,477.01189,446.19
C I T Y O F S C H E R T Z
REVENUE AND EXPENSE REPORT (UNAUDITED)
AS OF: NOVEMBER 30th, 2012
*************************************************** 2 0 1 2 - 2 0 1 3 ****************************************************
101 GENERAL FUNDCURRENTCURRENTPRIOR YEAR
FINANCIAL SUMMARYBUDGETPERIODY-T-D ACTUAL
INSPECTIONS
Personnel Services428,70024,512.6224,657.57
Supplies2,63891.54142.32
Utility Services6,500--
Operations Support1,500--
Staff Support6,600360.43551.76
Professional Services8,890--
Operating Equipment500--
TOTAL INSPECTIONS 455,32824,964.5925,351.65
MARSHAL SERVICE
Personnel Services545,21932,944.0831,639.64
Supplies4,30033.69285.10
Utility Services16,000--
Operations Support4,000--
Staff Support11,60065.872,257.08
Maintenance Services16,500505.00-
Operating Equipment21,000-4,602.17
Capital Outlay---
TOTAL MARSHAL SERVICE618,61933,548.6438,783.99
TOTAL PUBLIC SAFETY9,303,545537,669.61538,397.91
C I T Y O F S C H E R T Z
REVENUE AND EXPENSE REPORT (UNAUDITED)
AS OF: NOVEMBER 30th, 2012
*************************************************** 2 0 1 2 - 2 0 1 3 ****************************************************
101 GENERAL FUNDCURRENTCURRENTPRIOR YEAR
FINANCIAL SUMMARYBUDGETPERIODY-T-D ACTUAL
PUBLIC ENVIRONMENT
STREETS
Personnel Services688,83452,709.6240,461.97
Supplies7,100118.3221.04
Utility Services121,900476.804,414.30
Staff Support10,265528.25172.17
Maintenance Services180,4002,091.98930.75
Rental/Lease200--
Operating Equipment3,500--
TOTAL STREETS 1,012,19955,924.9746,000.23
TOTAL PUBLIC ENVIRONMENT1,012,19955,924.9746,000.23
PARKS & RECREATION
PARKS DEPARTMENT
Personnel Services503,32732,306.0528,794.84
Supplies41,905878.25755.91
Utility Services143,800892.507,427.19
Operations Support350--
Staff Support8,823395.2360.93
Professional Services45,610-5,496.50
Maintenance Services19,500-44.99
Rental/Leasing44,000--
Operating Equipment3,000--
TOTAL PARKS DEPARTMENT810,31534,472.0342,580.36
SWIM POOL
Supplies20,700194.50-
Utility Services29,000101.802,289.15
Staff Support925-750.00
Maintenance Services203,3782,200.004,000.00
Rental/Lease500--
TOTAL SWIM POOL254,5032,496.307,039.15
C I T Y O F S C H E R T Z
REVENUE AND EXPENSE REPORT (UNAUDITED)
AS OF: NOVEMBER 30th, 2012
*************************************************** 2 0 1 2 - 2 0 1 3 ****************************************************
101 GENERAL FUNDCURRENTCURRENTPRIOR YEAR
FINANCIAL SUMMARYBUDGETPERIODY-T-D ACTUAL
EVENT FACILITIES
Personnel Services56,5352,948.283,027.36
Supplies27,00010.921,127.61
Utility Services48,200-359.61
Operations Support27,332--
Staff Support2,727-439.45
Professional Services1,600-150.00
Operating Equipment---
TOTAL COMMUNITY/CIVIC CNTR163,3942,959.205,104.03
TOTAL PARKS & RECREATION1,228,21239,927.5354,723.54
CULTURAL
LIBRARY
Personnel Services704,94036,194.3442,882.17
Supplies12,000828.71136.54
Utility Services51,000-1,342.36
Operations Support3,500-174.00
Staff Support4,040-104.32
Professional Services2,225--
Maintenance Services2,400-400.00
Operating Equipment75,00098.96188.08
TOTAL LIBRARY855,10537,122.0145,227.47
TOTAL CULTURAL855,10537,122.0145,227.47
C I T Y O F S C H E R T Z
REVENUE AND EXPENSE REPORT (UNAUDITED)
AS OF: NOVEMBER 30th, 2012
*************************************************** 2 0 1 2 - 2 0 1 3 ****************************************************
101 GENERAL FUNDCURRENTCURRENTPRIOR YEAR
FINANCIAL SUMMARYBUDGETPERIODY-T-D ACTUAL
HEALTH
ANIMAL SERVICES
Personnel Services300,10816,128.3517,749.57
Supplies23,5002,087.50350.89
Utility Services11,200100.8587.26
Operations Support500--
Staff Support12,760-655.48
City Assistance13,500--
Professional Services13,500--
Maintenance Services7,280-2,340.00
Operating Equipment9,000-723.93
TOTAL ANIMAL SERVICES391,34818,316.7021,907.13
TOTAL HEALTH391,34818,316.7021,907.13
INTERNAL SERVICE
INFORMATION TECHNOLOGY
Personnel Services274,64016,310.7816,557.52
Supplies3,000--
City Support Services395,7626,840.00450.00
Utility Services167,866-3,866.12
Staff Support18,250254.311,957.64
Professional Services2,500--
Maintenance Services8,000--
Operating Equipment106,500-3,207.62
Capital Outlay---
TOTAL INFORMATION TECHNOLOGY976,51823,405.0926,038.90
C I T Y O F S C H E R T Z
REVENUE AND EXPENSE REPORT (UNAUDITED)
AS OF: NOVEMBER 30th, 2012
*************************************************** 2 0 1 2 - 2 0 1 3 ****************************************************
101 GENERAL FUNDCURRENTCURRENTPRIOR YEAR
FINANCIAL SUMMARYBUDGETPERIODY-T-D ACTUAL
HUMAN RESOURCES
Personnel Services311,71015,460.0212,923.08
Supplies1,329-122.30
Human Services55,1561,267.00654.00
Operations Support16,596-532.56
Staff Support14,897-550.72
City Assistance9,860--
Operating Equipment--390.03
TOTAL HUMAN RESOURCES409,54816,727.0215,172.69
FINANCE
Personnel Services443,30624,990.3227,357.38
Supplies3,5004.1011.71
Operations Support300--
Staff Support16,06080.00-
Rental/Leasing2,230--
Operating Equipment--266.47
TOTAL FINANCE465,39625,074.4227,635.56
PURCHASING & ASSET MGT
Personnel Services247,93613,933.4614,494.09
Supplies95035.19-
Utility Services600--
Operations Support100--
Staff Support7,875-65.00
Operating Equipment250--
TOTAL PURCHASING & ASSET MGT257,71113,968.6514,559.09
C I T Y O F S C H E R T Z
REVENUE AND EXPENSE REPORT (UNAUDITED)
AS OF: NOVEMBER 30th, 2012
*************************************************** 2 0 1 2 - 2 0 1 3 ****************************************************
101 GENERAL FUNDCURRENTCURRENTPRIOR YEAR
FINANCIAL SUMMARYBUDGETPERIODY-T-D ACTUAL
FLEET SERVICE
Personnel Services218,52811,120.4110,651.34
Supplies143,65018,773.532,972.15
City Support Services2,400--
Utility Services7,200--
Operations Support400--
Staff Support4,500-637.81
Maintenance Services65,7505,681.541,583.76
Rental/Lease200--
Operating Equipment5,000--
TOTAL FLEET SERVICE447,62835,575.4815,845.06
BUILDING MAINTENANCE
Personnel Services75,142--
Supplies43--
Utility Services2,952--
Staff Support356--
Maintenance Services49,888--
Rental/Leasing1,400--
Capital Outlay60,000--
TOTAL PURCHASING & ASSET MGT189,781--
TOTAL INTERNAL SERVICE2,746,582114,750.6699,251.30
MISC & PROJECTS
CITY ASSISTANCE
Patient Assistance5,000--
Children's Advocacy Assistance5,000--
Senior Citizen's Hot Meals42,00010,500.00-
TOTAL CITY ASSISTANCE52,00010,500.00-
COURT - RESTRICTED FUNDS
Operating Equipment51,053--
TOTAL CITY ASSISTANCE51,053--
C I T Y O F S C H E R T Z
REVENUE AND EXPENSE REPORT (UNAUDITED)
AS OF: NOVEMBER 30th, 2012
*************************************************** 2 0 1 2 - 2 0 1 3 ****************************************************
101 GENERAL FUNDCURRENTCURRENTPRIOR YEAR
FINANCIAL SUMMARYBUDGETPERIODY-T-D ACTUAL
TOTAL MISC & PROJECTS103,05310,500-
TOTAL EXPENDITURES 21,710,643 1,388,047.731,100,039.11
REVENUE OVER(UNDER) EXPEND.392,950
C I T Y O F S C H E R T Z
REVENUE REPORT (UNAUDITED)
AS OF: NOVEMBER 30th, 2012
************************************************ 2 0 1 2 - 2 0 1 3 ****************************************************
101 GENERAL FUNDCURRENTCURRENTPRIOR YEAR
REVENUESBUDGETPERIODY-T-D ACTUAL
Taxes
000-411100Advalorem Tax - Current7,481,207636,963.581,771,884.95
000-411200Advalorem Tax - Delinquent50,0007,212.2516,174.53
000-411300Advalorem Tax - P&I50,0002,365.745,018.59
000-411500Sales Tax Revenue-Gen Fund5,637,958429,116.31744,075.05
000-411700Mixed Beverage Tax28,000.00-7,030.07
TOTAL Taxes 13,247,165 1,075,657.882,544,183.19
Franchises
000-421200Center Point/Entex Energy58,7635,276.328,841.12
000-421220City Public Service375,00026,770.6750,512.61
000-421240Guadalupe Valley Elec Co-op430,00032,977.4561,065.76
000-421250New Braunfels Utilities50,0003,273.347,211.86
000-421300Time Warner-State Franchise350,00027,685.5257,765.66
000-421460AT&T Franchise Fee190,00011,489.0129,856.96
000-421480Other Telecom Franchise110,0003.6311,928.88
000-421500Solid Waste Franchise Fee102,0008,319.8714,223.26
TOTAL Franchises1,665,763115,795.81241,406.11
Permits
000-431100Home Occupation Permit490-35.00
000-431205Building Permit - Residential408,61835,199.0067,614.00
000-431210Building Permit - Commercial203,149--
000-431215Building Permit - General118,71415,430.0017,813.00
000-431300Mobile Home Permit325--
000-431400Signs Permit1,700252.00195.00
000-431500Food Establishmnt Permit33,0004,725.009,425.00
000-431600Garage Sale Permit8,1601,115.002,280.00
000-431700Plumbing Permit117,3247,069.0020,471.00
000-431750Electrical Permit45,0203,800.006,740.00
000-431800Mechanical Permit48,4403,160.008,600.00
000-431900Solicitor/Peddler Permit1,000250.00130.00
000-431950Animal/Pet Permit2,000-580.00
C I T Y O F S C H E R T Z
REVENUE REPORT (UNAUDITED)
AS OF: NOVEMBER 30th, 2012
************************************************ 2 0 1 2 - 2 0 1 3 ****************************************************
101 GENERAL FUNDCURRENTCURRENTPRIOR YEAR
REVENUESBUDGETPERIODY-T-D ACTUAL
000-432000Cert. of Occupancy Prmt10,900300.00600.00
000-432100Security Alarm Permit45,0003,810.006,360.00
000-435000Fire Permit8,0001,125.001,125.00
TOTAL Permits1,051,84076,235.00141,968.00
Licenses
000-441000Alcohol Beverage License6,000912.50660.00
000-441300Mobile Home License20040.00-
000-442000Contractors License60,0003,425.003,875.00
000-444000Pet License4,000270.00590.00
TOTAL Licenses70,2004,647.505,125.00
Fees
000-451000Municipal Court Fines1,610,000111,724.10153,415.38
000-451100Arrest Fee52,7345,360.897,487.33
000-451110Expunction Fee120--
000-451200Warrant Fees138,50010,692.5518,255.10
000-451210Court - Claims & Judgements--1,842.23
000-451320Civil Justice Fee-Court828.5511.87
000-451321Civil Justice Fee-State73777.10106.71
000-451340Judicial Fee - City7,022707.60981.94
000-451400Traffic Fine Costs TTL27,0112,745.683,898.01
000-451500Teen Court Admin Fee50060.00160.00
000-451510Juvenile Case Mgmt Fee58,5825,917.038,192.77
000-451600Technology Fund Fee47,1224,730.506,694.14
000-451700Security Fee34,3403,547.885,020.66
000-451800Time Payment Fee - City5,598477.05927.02
000-451850State Fines 10% Service Fee61,204-13,466.72
000-451900DPS Payment - Local10,956829.271,542.79
000-452000Child Safety Fee23,0002,241.835,790.34
000-452050Indigent Defense Fee22,5242,338.273,143.80
000-452100Platting Fees77,0003,500.005,000.00
000-452200Site Plan Fee30,0001,500.004,500.00
000-452300Plan Check Fee289,40124,232.5040,912.50
000-452310Miscellaneous Review Fee10,800--
000-452320Tree Mitigation Admin Fee10,500--
000-452400BOA/Zoning Fees6,500-1,500.00
000-452500Food Handler Class3,0001,240.00990.00
C I T Y O F S C H E R T Z
REVENUE REPORT (UNAUDITED)
AS OF: NOVEMBER 30th, 2012
************************************************ 2 0 1 2 - 2 0 1 3 ****************************************************
101 GENERAL FUNDCURRENTCURRENTPRIOR YEAR
REVENUESBUDGETPERIODY-T-D ACTUAL
000-452520Fire Training Classes1,000--
000-452600Specific Use/Zone Chng Fee47,700-12,350.00
000-452710Zoning Ltr & Dev Rights2,100150.00300.00
000-453100Reinspection Fees39,5001,425.006,500.00
000-453110Swim Pool Inspection Fee1,000--
000-453200Lot Abatement5,000190.00315.00
000-453211Admin Fee-Inspections7,480200.00400.00
000-453310Misc Inspection Fee250-19.49
000-453710Foster Care75050.00200.00
000-454100Swim Pool Reservation Fee--55.00
000-454200Pool Gate Admission Fee20,000--
000-454300Seasonal Pool Pass Fee7,500--
000-456500Haz Mat Fees1,500--
000-456600Fire Re-inspection Fee75050.00200.00
000-458100Sale of Merchandise---
000-458300Sale of Property/Auction25,000213.871,390.39
000-458400Civic Center Rental Fees132,20010,168.0015,294.00
000-458401Capital Recovery Fee-Civic Cntr4,80075.00675.00
000-458450North Center Rental Fees23,0001,125.004,503.00
000-458500Community Center Rental Fees26,0002,136.002,691.80
000-458550Pavilion Rental Fees18,000445.002,017.00
000-458560Chamber of Comm rent11,700--
000-458570Non-Resident SYSA League19,000-1,880.00
000-458650NonResident User Fee-BVYA17,000-2,670.00
000-458660BVYA Utility Reimbursement5,000-3,195.72
000-458670SYSA Utility Reimbursement7,500--
000-458675Lions Futbol Utility Reimbursement---
000-458680Tournament Fees-Soccer3,000--
000-458700Vehicle Impoundment5,779--
000-459200NSF Check Fee250--
000-459300Notary Fee2506.0036.00
000-459400Maps, Copies, UDC, & Misc F250-3.10
000-459600Animal Adoption Fee14,0001,295.002,220.50
000-459700Pet Impoundment Fee14,000939.002,485.00
000-459800Police Reports Fee8,677532.50906.00
TOTAL Fees2,997,169200,931.17344,146.31
C I T Y O F S C H E R T Z
REVENUE REPORT (UNAUDITED)
AS OF: NOVEMBER 30th, 2012
************************************************ 2 0 1 2 - 2 0 1 3 ****************************************************
101 GENERAL FUNDCURRENTCURRENTPRIOR YEAR
REVENUESBUDGETPERIODY-T-D ACTUAL
Fines
000-463000Library Fines25,0001,921.243,860.03
TOTAL Fines25,0001,921.243,860.03
Inter-Jurisdictional
000-473100Bexar Co - Fire21,072-1,756.48
000-473200City of Seguin - Fire Contract31,4523,355.266,710.52
000-473300Guad Co - Library208,34317,361.9131,802.66
000-473400Randolph AFB-Animal Cntrl 1,000--
000-474200Library Services - Cibolo20,000--
000-474210Library Services-Selma18,393--
000-474400Dispatch Service - Cibolo133,305-33,326.25
000-474600School Crossing Guard-Bexar27,0002,879.545,224.08
000-474610School Cross Guard-Guadalupe24,6022,835.465,208.82
000-474700School Officer Funding155,00012,500.00-
TOTAL Inter-Jurisdictional640,16738,932.1784,028.81
Fund Transfers
000-480000Indirect Costs - EMS87,8407,320.0014,640.00
000-480100Indirect Costs - Hotel/Motel157,51713,126.4223,771.00
000-481000Transfer From Reserves---
000-485000Interfund Charge-Drainage49,7084,142.336,972.50
000-486000Interfund Chrges-Admin W&S1,060,96388,413.58146,870.34
000-486000Transfer In-W&S80,000--
000-486322Transfer-In - Library Grants---
000-487000Interfund Charges-Fleet112,7619,396.7516,414.00
000-488000Interfund Charges-4B243,35020,279.178,833.34
000-489000Transfer In158,60366,082.57-
000-490020Transfer In-SEDC---
TOTAL Fund Transfers1,950,742208,760.82217,501.18
C I T Y O F S C H E R T Z
REVENUE REPORT (UNAUDITED)
AS OF: NOVEMBER 30th, 2012
************************************************ 2 0 1 2 - 2 0 1 3 ****************************************************
101 GENERAL FUNDCURRENTCURRENTPRIOR YEAR
REVENUESBUDGETPERIODY-T-D ACTUAL
Miscellaneous
000-491000Interest Earned350-25.54
000-491200Investment Income45,0003,377.856,445.69
000-491800Gain/Loss--(19.83)
000-491900Unrealized Gain/Loss(26,000)(2,159.80)(4,343.15)
000-492100Proceeds-Sale of Land--57,867.85
000-493120Donations-Public Library-7,500.00-
000-493130Donations-Writing the Next Chap.2,00050.00503.00
000-493400Donation - Animal Control4,0001.25297.02
000-493401Donations-A/C Microchip2,000175.00375.00
000-493402Donations-Spay&Neuter12,000974.502,341.00
000-493503Donations - Fire Rescue---
000-494481LawEnforcemtOfficersStnd&Ed---
000-494482Grants - Police2,997--
000-495040Friends of N. Schertz Park-200.003,074.00
000-495100Mobile Stage Rental Fees2,000--
000-497000Misc Income-Gen Fund50,0001,743.09(37,381.61)
000-497005Schertztales Advertising220,00017,091.0035,757.00
000-497100Misc Income-Police20,000340.00768.90
000-497150Misc Income-Fire Department---
000-497200Misc Income-Library4,000286.50769.44
000-497210Misc Income-Library Copier12,0001,229.002,630.76
000-497300Misc Income-Animal Control2005.00105.00
000-497400Misc Income-Streets Dept.15,0002,187.915,046.88
000-497500Misc Income-TML Insurance2,000--
000-497550Misc Income-TML Reimbursemt15,000354.20837.00
000-497600Misc Income-Vending Mach.2,000155.15445.75
000-498000Reimbursmnt-Gen Fund50,000-8,608.49
000-498100Reimbursmnt Fire - Training1,000--
000-498105Reimburmnt Police - DEA-1,058.24-
000-498110Reimbursmnt Fire - Emg. Acti-O20,000-29,296.02
TOTAL Miscellaneous455,54734,568.89113,449.75
TOTAL REVENUES 22,103,593 1,757,450.483,695,668.38
GENERAL FUND
CASH IN BANK AND INVESTMENTS
AS OF: NOVEMBER 30th, 2012
Cash in Bank
Claim on Operating Cash Pool-Checking$ 802,102.69
Cash in Investments
LOGIC Investment-General Fund662,848.95
LOGIC Investment-Equip Replacement73,493.41
LOGIC Investment-Veh Replacement102,528.83
LOGIC Investment-Air Condi Replacment146,735.71
CAPITAL ONE Investment-General Fund1,342,107.06
Total Cash in Bank & Investments$ 3,276,398.49
ADVALOREM TAX
OCTNOVDECJANFEBMARAPRMAYJUNJUL
2012-13
292,988636,964
2011-12
1,540,041228,9242,439,1231,871,054635,71964,19027,87829,91918,03926,509
2010-11
1,406,160244,2552,331,4871,725,242735,329174,68737,34143,10815,12026,143
2009-10
1,277,0061,642,355702,8741,730,904562,689(32,792)59,54534,76219,83629,955
2008-09
703,3501,823,090757,6021,345,602699,462114,53710,51445,08736,65925,468
Sales Tax -General Fund
$700,000
24%
$600,000
$500,000
2%
$400,000
$300,000
$200,000
$100,000
$-
OCTNOVDECJANFEBMARAPRMAYJUNJUL
2012-13
439,433575,041
2011-12428,995463,636339,192415,822461,400365,083347,395535,930398,080408,851
2010-11
339,709332,264347,605353,229470,399324,575283,300425,848408,664342,513
2009-10
300,384338,514281,259288,350477,063293,178273,874366,704350,314324,169
2008-09
332,597414,845371,763300,829434,646298,499282,410394,233317,296310,159
2007-08
336,749350,854312,547327,798421,873330,131287,316355,054336,094328,147
CITY PUBLIC SERVICE
üïîðôððð
üïððôððð
üèðôððð
üêðôððð
üìðôððð
üîðôððð
üó
ÑÝÌÒÑÊÜÛÝÖßÒÚÛÞÓßÎßÐÎÓßÇÖËÒÖËÔ
îðïîóïí
ïðïôììð
îðïïóïî
çêôíçîéêôìïìééôíçè
îðïðóïï
èíôìííêîôêçîêéôëêï
îððçóïð
ééôíëìêïôìêèêíôîéê
îððèóðç
ééôíðèëíôðéïëéôëðê
C I T Y O F S C H E R T Z
REVENUE AND EXPENSE REPORT (UNAUDITED)
AS OF: NOVEMBER 30th, 2012
************************************************** 2 0 1 2 - 2 0 1 3 **************************************************
106-SPECIAL EVENTS FUNDCURRENTCURRENTPRIOR
FINANCIAL SUMMARYBUDGETPERIODY-T-D ACTUAL
REVENUE SUMMARY
Fund Transfers75,150.00--
Wilenchik Walk for Life31,000.00--
Hal Balwin Scholarship24,000.00--
Miscellaneous1,150.007.3115.73
TOTAL REVENUES131,300.007.3115.73
EXPENDITURE SUMMARY
GENERAL GOVERNMENT
Non Departmental5,150.00--
TOTAL GENERAL GOVERNMENT5,150.00--
CULTURAL
Other Events4,265.00485.00-
Festival of Angels14,750.0095.97500.00
Employee Appreciation Event6,485.004,500.00-
National Night Out150.00--
Wilenchik Walk for Life31,000.00--
Schertz Sweetheart37,500.00242.691,382.32
Jazzfest20,000.00--
Hal Baldwin Scholarship12,000.001,676.87-
TOTAL CULTURAL 126,150.007,000.531,882.32
TOTAL EXPENDITURES131,300.007,000.531,882.32
REVENUE OVER(UNDER) EXPEND-
SPECIAL EVENTS FUND
CASH IN BANK AND INVESTMENTS
AS OF: NOVEMBER 30th, 2012
Cash in Bank
Claim on Operating Cash Pool-Checking$ 49,711.90
Cash in Investments
MBIA Special Events46,707.81
Total Cash in Bank & Investments$ 96,419.71
C I T Y O F S C H E R T Z
REVENUE AND EXPENSE REPORT (UNAUDITED)
AS OF: NOVEMBER 30th, 2012
************************************************** 2 0 1 2 - 2 0 1 3 **************************************************
110-PEG FUNDCURRENTCURRENTPRIOR
FINANCIAL SUMMARYBUDGETPERIODY-T-D ACTUAL
REVENUE SUMMARY
Franchises98,000.0014,960.8023,287.45
Fund Transfers33,000.00--
Miscellaneous--19.34
TOTAL REVENUES131,000.0014,960.8023,306.79
EXPENDITURE SUMMARY
GENERAL GOVERNMENT
Non Departmental131,000.0010,670.49123.19
TOTAL GENERAL GOVERNMENT131,000.0010,670.49123.19
TOTAL EXPENDITURES131,000.0010,670.49123.19
REVENUE OVER(UNDER) EXPEND-
C I T Y O F S C H E R T Z
REVENUE REPORT (UNAUDITED)
AS OF: NOVEMBER 30th, 2012
************************************************** 2 0 1 2 - 2 0 1 3 **************************************************
110-PEG FUNDCURRENTCURRENTPRIOR YEAR
REVENUESBUDGETPERIODY-T-D ACTUAL
Franchises
000-421350Time Warner - PEG Fee65,00014,960.8016,039.50
000-421465AT&T PEG Fee33,000-7,247.95
TOTAL Franchises98,00014,96123,287.45
Fund Transfers
000-481000Transfer In - Reserves33,000--
TOTAL Fund Transfers33,000--
Miscellaneous
000-491000Interest Earned--19.34
TOTAL Miscellaneous--19.34
TOTAL REVENUES131,00014,96123,306.79
PEG FUND
CASH IN BANK AND INVESTMENTS
AS OF: NOVEMBER 30th, 2012
Cash in Bank
Cash Balance$ 390,872.53
Total Cash in Bank & Investments$ 390,872.53
C I T Y O F S C H E R T Z
REVENUE AND EXPENSE REPORT (UNAUDITED)
AS OF: NOVEMBER 30th, 2012
******************************************************* 2 0 1 2 - 2 0 1 3 ******************************************************
202-WATER & SEWERCURRENTCURRENTPRIOR YEAR
FINANCIAL SUMMARYBUDGETPERIODY-T-D ACTUAL
REVENUE SUMMARY
Franchises187,920-31,014.33
Fees 14,655,376 1,204,680.362,763,719.42
Fund Transfers1,419,2989,941.5014,112.34
Miscellaneous430,148135,805.70169,238.42
TOTAL REVENUES16,692,7421,350,427.562,978,084.51
EXPENDITURE SUMMARY
BUSINESS OFFICE
Personnel Services436,69437,370.6758,789.46
Supplies4,600130.48572.58
Human Services100-
City Support Services1,000-
Operations Support110,00012,333.6813,631.10
Staff Support7,15017.18169.63
Professional Services23,0002,181.344,357.43
Fund Charges/Transfers20,000-
Maintenance Services11,0004,840.00840.00
Operating Equipment2,300-500.00
TOTAL BUSINESS OFFICE615,84456,873.3578,860.20
W & S ADMINISTRATION
Personnel Services1,184,01394,147.42186,180.00
Supplies199,05019,047.086,308.39
Human Services1,000-
City Support Services77,500114.3728,610.66
Utility Services2,727,31328,834.85532,431.68
Operations Support9,250-255.98
Staff Support31,5001,290.871,039.50
City Assistance1,912-15.00
Professional Services212,4001,295.4063,372.66
Fund Charges/Transfers3,137,04792,709.25579,993.89
Maintenance Services5,586,250393,960.06671,397.21
Other Costs40,00029,541.851,250.00
C I T Y O F S C H E R T Z
REVENUE AND EXPENSE REPORT (UNAUDITED)
AS OF: NOVEMBER 30th, 2012
******************************************************* 2 0 1 2 - 2 0 1 3 ******************************************************
202-WATER & SEWERCURRENTCURRENTPRIOR YEAR
FINANCIAL SUMMARYBUDGETPERIODY-T-D ACTUAL
Debt Service1,353,891-
Rental-Leasing6,070442.18
Operating Equipment6,000520.00
Capital Outlay188,00010,000.0070,000.00
TOTAL PUBLIC WORKS 14,761,195671,903.332,140,854.97
MISC & PROJECTS
PROJECTS
City Support Services--
Operations Support--
Professional Services-3,378.00
Maintenance Services902,000-
TOTAL PROJECTS902,0003,378.00
AVIATION HEIGHTS WTR IMPROVEMNTS
City Support Services17,000-
Operations Support500-
Professional Services48,000-
Maintenance Services334,500-
TOTAL AVIATION HEIGHTS WTR IMP400,000-
TOTAL MISC & PROJECTS1,302,0003,378.00
TOTAL EXPENDITURES16,679,039732,1552,219,715
** REVENUE OVER(UNDER)EXPENSES **13,703
C I T Y O F S C H E R T Z
REVENUE REPORT (UNAUDITED)
AS OF: NOVEMBER 30th, 2012
******************************************************* 2 0 1 2 - 2 0 1 3 ******************************************************
202-WATER & SEWERCURRENTCURRENTPRIOR YEAR
REVENUESBUDGETPERIODY-T-D ACTUAL
Franchises
000-421490Tower Leasing187,920-31,014.33
TOTAL Franchises187,920-31,014.33
Fees
000-455200Garbage Collection Fee3,600,000293,241.58609,640.99
000-455600Fire Line Fees20,000-19,690.00
000-455700Recycle Fee Revenue250,00020,833.9743,307.91
000-455800W&S Line Constructn Reimbursemnt30,0001,443.005,310.08
000-457100Sale of Water7,279,626606,647.001,469,047.66
000-457110Edwards Water Lease166,250-13,235.00
000-457120Water Transfer Charge-Selma20,000-1,376.83
000-457130Water Transfer Charge-U. C. 2,000-2,199.97
000-457140Water Transfer Charge-Converse15,000-
000-457200Sale of Meters90,0004,126.9010,755.58
000-457400Sewer Charges3,000,000261,824.90555,936.78
000-457500Water Penalties180,00016,283.0132,608.62
000-459200NSF Check Fee-Water&Sewer2,500280.00610.00
TOTAL Fees 14,655,376 1,204,680.362,763,719.42
Fund Transfers
000-481000Transfer In- Reserve1,300,000-
000-486100Transfer In--
000-486204Interfnd Chrg-Drainage Bill119,2989,941.5014,112.34
TOTAL Fund Transfers1,419,2989,941.5014,112.34
Miscellaneous
000-490000Misc Charges200460.00
000-491000Interest Earned1,600117.63357.12
000-491200Investment Income12,000534.341,009.83
000-493400Donations-Christmas Activities--
000-496050SSLG - SAWS Reservation269,000134,500.00134,500.00
000-497000Misc Income-W&S40,000193.737,647.17
000-498100Reimbursement-EMS Loan--
000-498110Reimbursement-SSLGC107,348-25,699.30
TOTAL Miscellaneous430,148135,805.70169,238.42
TOTAL REVENUES 16,692,742 1,350,427.562,978,084.51
WATER & SEWER
CASH IN BANK AND INVESTMENTS
AS OF: NOVEMBER 30th, 2012
Cash in Bank
Claim on Operating Cash Pool-Checking$ 735,700.28
Cash in Investments
Lone Star Investment-Water&Sewer2,068,322.61
Lone Star Investment-W&S Customer Deposits294,457.70
Lone Star Investment-W&S Equip Replacement374,075.46
Lone Star Investment-W&S Veh Replacement545,446.75
Lone Star Investment-Water/SSLGC SAWS539,064.24
Schertz Bank & Trust-Certificate of Deposit1,055,908.62
$ 4,877,275.38
Total Cash in Bank & Investments$5,612,975.66
C I T Y O F S C H E R T Z
REVENUE AND EXPENSE REPORT (UNAUDITED)
AS OF: NOVEMBER 30th, 2012
*************************************************** 2 0 1 2 - 2 0 1 3 ***************************************************
203-EMSCURRENTCURRENTPRIOR YEAR
FINANCIAL SUMMARYBUDGETPERIODY-T-D ACTUAL
REVENUE SUMMARY
Fees398,396.35519,758.86
4,149,402
Inter-Jurisdictional47,688.08328,846.74
1,486,723
Miscellaneous236,5006,327.355,710.11
TOTAL REVENUES452,411.78854,315.71
5,872,625
EXPENDITURE SUMMARY
PUBLIC SAFETY
SCHERTZ EMS
Personnel Services246,120.14432,055.16
2,815,722
Supplies345,08918,464.3558,965.81
Human Services800--
City Support Services32,500-10,277.40
Utility Services107,60011,603.698,250.00
Operations Support45,1523,270.2722,416.47
Staff Support60,9005,263.797,080.53
City Assistance9,200-250.00
Professional Services166,9368,320.9123,416.23
Fund Charges/Transfers66,660.40234,604.79
1,980,055
Maintenance Services53,70012,210.00450.00
Debt Service110,545--
Rental-Leasing12,000--
Operating Equipment117,0006,730.5831,695.46
Capital Outlay---
TOTAL PUBLIC SAFETY378,644.13829,461.85
5,857,199
TOTAL EXPENDITURES378,644.13829,461.85
5,857,199
** REVENUE OVER(UNDER) EXPENSES **15,426
C I T Y O F S C H E R T Z
REVENUE REPORT (UNAUDITED)
AS OF: NOVEMBER 30th, 2012
*************************************************** 2 0 1 2 - 2 0 1 3 ***************************************************
203-EMSCURRENTCURRENTPRIOR YEAR
REVENUESBUDGETPERIODY-T-D ACTUAL
Fees
000-456100Ambulance/Mileage Transprt3,908,602 393,986.35496,287.86
000-456110Subscription Program Fees40,000250.008,405.00
000-456120EMT Class - Fees100,8004,160.0013,600.00
000-459200Paramedic Class Fees100,000--
000-456130Immunization Fees--1,466.00
000-459200NSF Check Fee---
TOTAL Fees4,149,402 398,396.35519,758.86
Inter-Jurisdictional
000-473500Seguin/Guadalupe Co Support286,12647,688.0847,688.08
000-474300Cibolo Support228,830-55,524.98
000-475100Comal Co ESD #685,418-13,817.65
000-475200Live Oak Support165,188-40,082.38
000-475300Universal City Support233,107-56,562.83
000-475400Selma Support69,693-16,910.85
000-475500Schertz Support395,830-96,046.91
000-475600Santa Clara Support9,121-2,213.06
000-475800Marion Support13,410--
TOTAL Inter-Jurisdictional1,486,72347,688.08328,846.74
Miscellaneous
000-491200Investment Income50047.4070.69
000-493203Donations-EMS4,00020.00200.00
000-493204Donations-Dilworth Fund2,000--
000-493205Donations- Golf Tournament---
000-497000Misc Income130,0005,066.145,439.42
000-497100Recovery of Bad Debt100,0001,193.81-
TOTAL Miscellaneous236,5006,327.355,710.11
TOTAL REVENUES5,872,625 452,411.78854,315.71 1,114,869.44
SCHERTZ EMS
CASH IN BANK AND INVESTMENTS
AS OF: NOVEMBER 30th, 2012
Cash in Bank
$ (298,414.16)
Claim on Operating Cash Pool-Checking
Cash in Investments
MBIA Investment-EMS Note 2010301,516.53
Total Cash in Bank & Investments$ 3,102.37
C I T Y O F S C H E R T Z
REVENUE AND EXPENSE REPORT (UNAUDITED)
AS OF: NOVEMBER 30th, 2012
**************************************************** 2 0 1 2 - 2 0 1 3 ****************************************************
204-DRAINAGECURRENTCURRENTPRIOR YEARCURRENT
FINANCIAL SUMMARYBUDGETPERIODY-T-D ACTUALY-T-D ACTUAL
REVENUE SUMMARY
Fees998,15785,081.63130,886.55
Miscellaneous800147.55136.31
TOTAL REVENUES998,95785,229.18131,022.86
EXPENDITURE SUMMARY
PUBLIC WORKS
DRAINAGE
Personnel Services447,40638,560.7059,966.36
Supplies8,300926.84364.62
Human Services325--
City Support Services28,855-1,508.72
Utility Services28,8882,131.901,977.51
Operations Support2,460--
Staff Support7,875119.09389.18
City Assistance840-57.00
Professional Services65,8002,100.00-
Fund Charges/Transfers189,13615,694.6623,571.84
Maintenance Services22,000240.78-
Other costs200--
Debt Service18,091--
Rental/Leasing50016,724.80-
Capital Outlay139,900--
TOTAL DRAINAGE960,57676,498.7787,835.23
TOTAL EXPENDITURES960,57676,498.7787,835.23
** REVENUE OVER(UNDER) EXPEND38,381
C I T Y O F S C H E R T Z
REVENUE REPORT (UNAUDITED)
AS OF: NOVEMBER 30th, 2012
*********************************************** 2 0 1 2 - 2 0 1 3 *************************************************
204-DRAINAGECURRENTCURRENTPRIOR YEARY-T-D
REVENUESBUDGETPERIODY-T-D ACTUALACTUAL
Fees
000-457500Drainage Penalties4,000566.47812.351,029.95
000-457600Drainage Fee994,157130,074.20167,842.93
84,515.16
TOTAL Fees998,157130,886.55 168,872.88
85,081.63
Miscellaneous
000-491000Interest Earned100-11.27
000-491200Investment Interest60082.93113.49
000-497000Misc Income-Drainage10064.6211.55
TOTAL Miscellaneous 800147.55136.31
TOTAL REVENUES998,957131,022.86 169,114.63
85,229.18
DRAINAGE
CASH IN BANK AND INVESTMENTS
AS OF: NOVEMBER 30th, 2012
Cash in Bank
Claim on Operating Cash Pool-Checking 101,818.55
Cash in Investments
Lone Star Investment-Drainage Maint Fund484,056.77
Total Cash in Bank & Investments$ 585,875.32
C I T Y O F S C H E R T Z
REVENUE AND EXPENSE REPORT (UNAUDITED)
AS OF: NOVEMBER 30th, 2012
**************************************************** 2 0 1 2 - 2 0 1 3 ****************************************************
314-HOTEL TAXCURRENTCURRENTPRIOR YEARCURRENT
FINANCIAL SUMMARYBUDGETPERIODY-T-D ACTUALY-T-D ACTUAL
REVENUE SUMMARY
Taxes492,41727,518.872,318.32
Fund Transfers---
Miscellaneous30043.1734.64
TOTAL REVENUES492,71727,562.042,352.96
EXPENDITURE SUMMARY
NONDEPARTMENTAL
Supplies2,000-231.08
City Support Services68,378395.9920,407.00
Operations Support99,1751,600.007,087.29
Professional Services5,6255,025.00-
Fund Charges/Transfers248,76713,126.4223,771.00
Operating Equipment50,000193.897,043.88
Capital Outlay8,000--
TOTAL NONDEPARTMENTAL481,94520,341.3058,540.25
TOTAL EXPENDITURES481,94520,341.3058,540.25
REVENUE OVER(UNDER) EXPENDITURE10,772
C I T Y O F S C H E R T Z
REVENUE REPORT (UNAUDITED)
AS OF: NOVEMBER 30th, 2012
*************************************************** 2 0 1 2 - 2 0 1 3 ***************************************************
314-HOTEL TAXCURRENTCURRENTPRIOR YEARCURRENT
REVENUESBUDGETPERIODY-T-D ACTUALY-T-D ACTUAL
Taxes
000-411800Hotel Occupancy Tax492,41727,518.872,318.3227,518.87
TOTAL Taxes492,41727,518.872,318.3227,518.87
Miscellaneous
000-491000Interest Earned150-19.66
000-491200Investment Interest15043.1714.98
TOTAL Miscellaneous30043.1734.64
TOTAL REVENUES492,71727,562.042,352.9627,614.60
HOTEL OCCUPANCY TAX FUND
CASH IN BANK AND INVESTMENTS
AS OF: NOVEMBER 30th, 2012
Cash in Bank
Claim on Operating Cash Pool-Checking$ 77,259.41
Cash in Investments
MBIA - Hotel Tax220,263.68
Federated Investment-Hotel/Motel78,284.17
Total Cash in Bank & Investments$ 375,807.26
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üîðôððð
üïðôððð
üó
ÑÝÌÒÑÊÜÛÝÖßÒÚÛÞÓßÎßÐÎÓßÇÖËÒ
îðïîóïí
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îððçóïð
îíôêîëîîôðîêîðôéêèïçôçîìîíôïêçííôêíèîêôëíïíîôíêèíêôêéêìêôðêç
îððèóðç
ïéôëìçîðôïíìïèôìêïïéôîëëïëôïíèïçôîçéïçôëìèîìôéêçîçôêçëíîôííê
C I T Y O F S C H E R T Z
REVENUE AND EXPENSE REPORT (UNAUDITED)
AS OF: NOVEMBER 30th, 2012
*************************************************** 2 0 1 2 - 2 0 1 3 ***************************************************
317-PARKCURRENTCURRENTPRIOR YEARCURRENT
FINANCIAL SUMMARYBUDGETPERIODY-T-D ACTUALY-T-D ACTUAL
REVENUE SUMMARY
Parkland Dedication Fees150,00098,000.0046,575.00
Miscellaneous30018.2687.98
TOTAL REVENUES150,30098,018.2646,662.98
EXPENDITURE SUMMARY
PARKLAND DEDICATION
Professional Services-545.00-
Fund Charges/Transfers---
Maintenance Services-Landscape---
Operating Equipment---
Capital Outlay107,600--
TOTAL PARKLAND DEDICATION107,600545.00-
TOTAL EXPENDITURES107,600545.00-
REVENUE OVER(UNDER) EXPEND42,700
C I T Y O F S C H E R T Z
REVENUE REPORT (UNAUDITED)
AS OF: NOVEMBER 30th, 2012
******************************************************* 2 0 1 2 - 2 0 1 3 *******************************************************
317-PARKCURRENTCURRENTPRIOR YEARCURRENT
REVENUESBUDGETPERIODY-T-D ACTUALY-T-D ACTUAL
Fees
000-458800Parkland Dedication150,00098,000.0046,575.0098,000.00
TOTAL Fees150,00098,000.0046,575.0098,000.00
Miscellaneous
000-491000Interest Earned--6.03
000-491200Investment Interest30018.2681.95
TOTAL Miscellaneous30018.2687.98
TOTAL REVENUES150,30098,018.2646,662.9898,041.55
PARK FUND
CASH IN BANK AND INVESTMENTS
AS OF: NOVEMBER 30th, 2012
Cash in Bank
Claim on Operating Cash Pool-Checking$149,232.26
Cash in Investments
Federated Investment-Park Fund167,450.12
Total in Investment Pool167,450.12
Total Cash in Bank & Investments$316,682.38
C I T Y O F S C H E R T Z
REVENUE AND EXPENSE REPORT (UNAUDITED)
AS OF: NOVEMBER 30th, 2012
*************************************************** 2 0 1 2 - 2 0 1 3 ***************************************************
317-PARKCURRENTCURRENTPRIOR YEARCURRENT
FINANCIAL SUMMARYBUDGETPERIODY-T-D ACTUALY-T-D ACTUAL
REVENUE SUMMARY
Tree Mitigation Fees35,000--
Miscellaneous61,72516.43-
TOTAL REVENUES96,72516.43-
EXPENDITURE SUMMARY
TREE MITIGATION
Fund Charges/Transfers---
Maintenance Services-Trees73,29923,325.00390.00
Operating Equipment---
Capital Outlay23,226-19,900.00
TOTAL TREE MITIGATION96,52523,325.0020,290.00
TOTAL EXPENDITURES96,52523,325.0020,290.00
REVENUE OVER(UNDER) EXPEND200
C I T Y O F S C H E R T Z
REVENUE REPORT (UNAUDITED)
AS OF: NOVEMBER 30th, 2012
******************************************************* 2 0 1 2 - 2 0 1 3 *******************************************************
317-PARKCURRENTCURRENTPRIOR YEARCURRENT
REVENUESBUDGETPERIODY-T-D ACTUALY-T-D ACTUAL
Fees
000-458900Tree Mitigation35,000--
TOTAL Fees35,000--
Miscellaneous
000-491200Investment Interest20016.43-
000-499000Transfer In Reserves61,525--
TOTAL Miscellaneous61,72516.43-
TOTAL REVENUES96,72516.43-
PARK FUND
CASH IN BANK AND INVESTMENTS
AS OF: NOVEMBER 30th, 2012
Cash in Bank
Claim on Operating Cash Pool-Checking$675.00
Cash in Investments
Federated Investment-Tree Mitigation128,156.47
Total in Investment Pool128,156.47
Total Cash in Bank & Investments$128,831.47
C I T Y O F S C H E R T Z
REVENUE AND EXPENSE REPORT (UNAUDITED)
AS OF: NOVEMBER 30th, 2012
******************************************************* 2 0 1 2 - 2 0 1 3 *******************************************************
411-CAPITAL RECOVERYCURRENTCURRENTPRIOR YEARCURRENT
FINANCIAL SUMMARYBUDGETPERIODY-T-D ACTUALY-T-D ACTUAL
REVENUE SUMMARY
Fees1,924,200106,233.00227,040.00
Fund Transfers1,542,674--
Miscellaneous298,7502,164.342,067.79
TOTAL REVENUES3,765,624108,397.34229,107.79
EXPENDITURE SUMMARY
GENERAL GOVERNMENT
NONDEPARTMENTAL
Supplies5,000-
Operations Support109--
Professional Services450,0004,449.95707.07
Fund Charges/Transfers---
Maintenance Services10,000--
Debt Service206,515--
TOTAL NON DEPARTMENTAL671,6244,449.95707.07
MISC & PROJECTS
Water Projects1,680,0002,495.0010,488.42
Sewer Projects1,414,00023,630.00-
TOTAL MISC & PROJECTS3,094,00026,125.0010,488.42
TOTAL EXPENDITURES3,765,62430,574.9511,195.49
REVENUE OVER(UNDER) EXPENDITURES-
C I T Y O F S C H E R T Z
REVENUE AND EXPENSE REPORT (UNAUDITED)
AS OF: NOVEMBER 30th, 2012
****************************************************** 2 0 1 2 - 2 0 1 3 ****************************************************
505-TAX I&SCURRENTCURRENTPRIOR YEAR
FINANCIAL SUMMARYBUDGETPERIODY-T-D ACTUAL
REVENUE SUMMARY
Taxes5,032,646431,700.901,105,823.61
Fund Transfers55,000--
Miscellaneous381,6252,665.15(4,660.45)
TOTAL REVENUES5,469,271434,366.051,101,163.16
EXPENDITURE SUMMARY
GENERAL GOVERNMENT
NONDEPARTMENTAL
Professional Services42,350--
Debt Service5,159,586--
Other Financing Sources---
TOTAL GENERAL GOVERNMENT5,201,936--
TOTAL EXPENDITURES5,201,936--
** REVENUE OVER(UNDER) EXPEND267,336
C I T Y O F S C H E R T Z
REVENUE REPORT (UNAUDITED)
AS OF: NOVEMBER 30th, 2012
***************************************************** 2 0 1 2 - 2 0 1 3 *****************************************************
505-TAX I & SCURRENTCURRENTPRIOR YEAR
REVENUESBUDGETPERIODY-T-D ACTUAL
Taxes
000-411900Property Tax Revenue5,032,646431,700.901,105,823.61
TOTAL Taxes5,032,646431,700.901,105,823.61
Fund Transfers
000-486401Transfer In Fund 40155,000--
TOTAL Fund Transfers55,000--
Miscellaneous
000-491000Interest Earned50-8.32
000-491200Investment Earnings12,5002,665.153,447.28
000-495015Contribution from SED369,075--
000-497000Misc Income--(8,116.05)
TOTAL Miscellaneous381,6252,665.15(4,660.45)
TOTAL REVENUES5,469,271434,366.051,101,163.16
C I T Y O F S C H E R T Z
REVENUE AND EXPENSE REPORT (UNAUDITED)
AS OF: NOVEMBER 30th, 2012
***************************************************** 2 0 1 2 - 2 0 1 3 *****************************************************
505-TAX I & S
GENERAL GOVERNMENTCURRENTCURRENTPRIOR YEAR
NON DEPARTMENTALBUDGETPERIODY-T-D ACTUAL
Professional Services
101-541500Paying Agent2,350--
101-541502Cost of Bond Issuance40,000--
TOTAL Professional Services42,350--
Debt Service
101-555612Bond-GO Refunding 2010-Principal250,000--
101-555612.1Bond-GO Refunding 2010 Interest77,125--
101-555622Schertz C O SR2003-Principal210,000--
101-555622.1Schertz C O SR2003-Interest3,833--
101-555624Comm Proj Bond-SR04-Principal325,000--
101-555624.1Comm Proj Bond SR04-Interest6,910--
101-555626LS&D SR2006-Principal200,000--
101-555626.1LS&D SR2006-Interest642,982--
101-555628CO Bond 2007-Principal109,534--
101-555628.1CO Bond 2007-Interest18,499--
101-555629GO Bond 2007-Principal235,000--
101-555629.1GO Bond 2007-Interest189,561--
101-555630GO Bond SR2008 Principal385,000--
101-555630.1GO Bond SR2008 Interest349,089--
101-555631GO Bond SR2009 Principal510,000--
101-555631.1BO Bond SR2009 Interest327,950--
101-555633GO SR2011 Principal200,000--
101-555633.1GO SR2011 Interest367,238--
101-555634GO SR2011A Refund Principal70,000--
101-555634.1GO SR2011A Refund Interest153,081--
101-555635GO SR2012 Principal295,000--
101-555635.1GO SR2012 Interest233,784--
TOTAL Debt Service5,159,586--
Other Financing Sources
101-556300Payment to Refund Debt---
TOTAL Other Financing Sources---
TOTAL EXPENDITURES5,201,936--
TAX I&S
CASH IN BANK AND INVESTMENTS
AS OF: NOVEMBER 30th, 2012
Cash in Bank
Claim on Operating Cash Pool-Checking$ 431,703.61
Cash in Investments
MBIA Investment- Tax I&S333,168.21
Federated Investment-Tax I&S
Total Cash in Bank & Investments$ 764,928.75
C I T Y O F S C H E R T Z
REVENUE AND EXPENSE REPORT (UNAUDITED)
AS OF: NOVEMBER 30th, 2012
***************************************************** 2 0 1 2 - 2 0 1 3 *****************************************************
620-SED CORPORATIONCURRENTCURRENTPRIOR YEARPRIOR YEAR
FINANCIAL SUMMARYBUDGETPERIODEXPENSEY-T-D ACTUAL
REVENUE SUMMARY
Taxes2,820,260287,520.36-372,037.54
Fund Transfers----
Miscellaneous17,450444.38-(3,373.78)
TOTAL REVENUES2,837,710287,964.74-368,663.76
EXPENDITURE SUMMARY
GENERAL GOVERNMENT
NONDEPARTMENTAL
Supplies---2,602.80
Utility Service---7,633.02
Maintenance Services---9,412.96
TOTAL NONDEPARTMENTAL---19,648.78
ECONOMIC DEVELOPMENT
Personnel Services294,59321,416.64-37,841.66
Supplies2,200--124.41
Human Services200---
City Support Services16,50046.65-4,683.79
Utility Services5,95093.14-139.63
Operations Support166,1001,047.90-54,834.35
Staff Support20,2502,778.15-4,723.57
City Assistance1,025,000--10,000.00
Professional Services97,500--30,935.60
Fund Charges/Transfers615,64720,547.67-9,330.84
Debt Service428,504---
Operating Equipment2,000---
TOTAL ECONO DEVELOPMENT2,674,44445,930.15-152,613.85
TOTAL EXPENDITURES2,674,44445,930.15-172,262.63
** REVENUE OVER(UNDER) EXPEND163,266
C I T Y O F S C H E R T Z
REVENUE REPORT (UNAUDITED)
AS OF: NOVEMBER 30th, 2012
*************************************************** 2 0 1 2 - 2 0 1 3 ***************************************************
620-SED CORPORATIONCURRENTCURRENTPRIOR YEARPRIOR YEAR
REVENUESBUDGETPERIODEXPENSEY-T-D ACTUAL
Taxes
000-411500Sales Tax Revenue (4B)2,820,260287,520.36-372,037.54
TOTAL Taxes2,820,260 287,520.36-372,037.54
Miscellaneous
000-491000Interest Earned200--
000-491200Investment Earnings12,250444.38-274.37
000-497000Misc Income5,000--(3,691.26)
TOTAL Miscellaneous17,450444.38-(3,373.78)
TOTAL REVENUES2,837,710 287,964.74-368,663.76
SED CORPORATION
CASH IN BANK AND INVESTMENTS
AS OF: NOVEMBER 30th, 2012
Cash in Bank
Claim on Operating Cash Pool-Checking$ 380,833.91
Cash in Investments
MBIA Investment-Economic Development Corp2,828,036.10
Schertz Bank & Trust-Certificate of Deposit1,037,007.40
Total Cash in Bank & Investments$ 4,245,877.41
4B SALES TAX
$350,000
24%
$300,000
$250,000
2%
$200,000
$150,000
$100,000
$50,000
$-
OCTNOVDECJANFEBMARAPRMAYJUNJUL
2012-13
219,717287,520
2011-12
214,497231,818169,596207,911230,700182,541173,698267,965199,040204,426
2010-11
171,042166,132173,802177,864235,199163,627141,650212,924204,332171,256
2009-10
150,192169,257140,629144,175238,531146,589136,939184,582175,160163,328
2008-09
166,298207,422185,879150,414217,323149,249141,205197,117158,648155,080
C I T Y O F S C H E R T Z
INVESTMENT REPORT
FOR MONTH ENDING NOVEMBER 30th, 2012
INVESTMENT POOLSPareginningeposits/ndingndingMaturity
BDEE
ValueBook ValueYieldPurchasesWithdrawalsBook ValueMkt Value
OPERATIONS-BANK CASH
Schertz Bank & Trust - Pooled Cash4,376,187.503,017,878.570.05005,677,450.004,319,141.074,376,187.50 N/A4,376,187.50
86,582.22.05004,960.800,670.4990,872.5390,872.53
Schertz Bank & Trust - PEG Fund390,872.53
301133
TOTAL OPERATIONS4,767,060.03,404,460.79,692,410.80,329,811.56,767,060.03,767,060.03
35444
LOGIC
General Fund662,848.95662,750.650.1804 -98.30662,848.95 N/A662,848.95
G/F-Equipment Replacement73,493.413,482.52.1804 -0.893,493.41 N/A3,493.41
70177
G/F-Vehicle Replacement102,528.83102,513.610.1804 -15.22102,528.83 N/A102,528.83
G/F-Air Conditioner Replacement146,735.7146,713.97.1804 -1.7446,735.71 N/A46,735.71
10211
SR2009 Bond-Street Projects(II)1,691,618.75,691,367.91.180450.84-,691,618.75,691,618.75
10211
TOTAL LOGIC2,677,225.652,676,828.66 -396.992,677,225.652,677,225.65
LONESTAR
Capital Recovery - Sewer866,618.9366,470.47.2100 -48.4666,618.93 N/A66,618.93
80188
Capital Recovery - Water2,111,339.182,110,977.480.2100 -361.702,111,339.18 N/A2,111,339.18
Drainage Fund484,056.7783,973.84.2100 -2.9384,056.77 N/A84,056.77
40844
GO SR2011 Animal Shelter2,064,425.242,066,491.590.2100353.722,420.072,064,425.24 N/A2,064,425.24
GO SR2011 Athletic Fields2,984,634.39,984,123.08.2100 -11.31,984,634.39 N/A,984,634.39
20522
GO SR2011 Soccer Fields2,759,593.272,785,204.880.2100473.3826,084.992,759,593.27 N/A2,759,593.27
GO SR2011 Swimming Pool6,433,881.65,497,594.67.2100,103.764,816.78,433,881.65 N/A,433,881.65
601666
GO SR2012 Downtown Improvements1,000,478.581,000,307.190.2100 -171.391,000,478.58 N/A1,000,478.58
Water & Sewer Corp72.3136,539.39.21002.3136,539.392.31 N/A2.31
407477
W/S-Customer Deposits294,457.70294,407.260.2100 -50.44294,457.70 N/A294,457.70
W/S-Equipment Repl/Cap.Imp374,075.4674,011.38.2100 -4.0874,075.46 N/A74,075.46
30633
Water&Sewer2,068,250.30924,545.970.21001,143,704.33-2,068,250.30 N/A2,068,250.30
W/S-Vehicle Replacement545,446.75
545,353.310.2100 -93.44545,446.75 N/A545,446.75
Water/SSLG - SAWS539,064.2404,475.11.210034,589.13-39,064.2439,064.24
40155
TOTAL LONESTAR22,526,394.7721,774,475.621,281,780.38529,861.2322,526,394.7722,526,394.77
MBIA
Tax I&S333,168.2192,674.27.1900 -40,493.9433,168.21 N/A33,168.21
10133
Police Forfeiture338,233.44338,180.290.1900 -53.15338,233.44 N/A338,233.44
Economic Development Corporation2,828,036.10,827,591.72.1900 -44.38,828,036.10 N/A,828,036.10
20422
Hotel Tax220,263.68220,229.050.1900 -34.63220,263.68 N/A220,263.68
Special Events Fund46,707.816,700.50.1900 -.316,707.81 N/A6,707.81
40744
EMS Tax Notes 2010301,516.5301,469.13.19007.40-01,516.5301,516.53
30433
TOTAL MBIA4,067,925.773,926,844.96 -141,080.814,067,925.774,067,925.77
FEDERATED
SR2007a Bond-City Wide Projects869,474.3669,379.55.1300 -4.8169,474.36 N/A69,474.36
80988
Hotel Occupancy Tax78,284.1778,275.630.1300 -8.5478,284.17 N/A78,284.17
Park Fund (Developers Fee)167,450.1267,431.86.1300 -8.2667,450.12 N/A67,450.12
10111
Park Fund (Tree Mitigation)128,156.47152,140.040.130016.4324,000.00128,156.47 N/A128,156.47
Tax I&S56.936.92.1300 -.016.93 N/A6.93
50055
Library Board Fund44,771.044,766.16.1300.88-4,771.044,771.04
40444
TOTAL FEDERATED1,288,193.091,312,050.16142.9324,000.001,288,193.091,288,193.09
INVESTMENT MANAGED ACCOUNT
Capital One General Fund1,278,765.43,342,168.80.8900 277.15,743.86,347,635.51 N/A,342,107.06
12511
Capital One Capital Recovery Sewer1,629,740.93,747,554.38.8600,356.50354.95,755,555.93,720,200.19
12811
TOTAL CAPITAL ONE2,908,506.363,089,723.18 632.1014,100.363,103,191.443,062,307.25
City Portfolio By Investment Type
TOTAL CAPITAL ONE
TOTAL C.D.s
7%
5%
TOTAL OPERATIONS
12%
TOTAL FEDERATED
3%
TOTAL LOGIC
7%
TOTAL MBIA
10%
TOTAL LONESTAR
56%
City Portfolio By Use
Designated Funds,
$1,929,733.24
Operations,
Special Revenue
$9,896,247.27
Funds,
$9,979,646.45
Debt Service Fund,
$333,225.14
Projects,
$18,343,170.48
MONTHLY YIELDS
3.50
3.00
2.50
2.00
1.50
1.00
0.50
0.00
OCT-12NOV-12DEC-12JAN-13FEB-13MAR-13APR-13MAY-13JUN-13JUL-13AUG-13SEP-13
0.09000.1100
1 Month T-Bill
0.11000.0800
3 Month T-Bill
0.16000.1300
6 Month T-Bill
0.43000.3954
Schertz Portfolio
0.05000.0500
Schertz Bank&Trust
0.40000.4000
CD 365 Days
0.30000.3000
CD 180 Days
0.19710.1804
LOGIC
0.23000.2100
LoneStar
0.21000.1900
MBIA
0.15000.1300
Federated
2.88002.8700
Capital One
C I T Y O F S C H E R T Z
Investment Report
Capital One Assets
Date:11/30/2012
d
General Fun
Assets
P
Cash & EquivalentsDueMaturitySharesCostMrk Value
Fidelity Inst Prime Mmkt Cl III #69118,765.4318,765.4318,765.43
Total Cash & Equivalent8,765.418,765.48,765.4
s13313
Fixed Income
Federal Home Loan Bks Cons Bds8/13/2014621.00125,000.00141,987.30136,212.506,875.00
Federal Home Loan Bks Cons Bds6/21/2013203.0080,000.0082,004.4080,753.601,500.00
Federal Farm Cr Bks Cons Systemwide Bds12/16/20151111.00100,000.00116,185.00114,032.004,875.00
Federal Home Ln Mtg Corp Deb11/15/2013350.00170,000.00191,084.25177,656.808,287.00
Federal Natl Mtg Assn Meduim term Nts9/24/2013298.00250,000.00250,000.00258,457.5010,937.00
Federal Home Ln Mtg Corp Reference Nts11/25/2014725.00200,000.00200,609.40201,818.001,500.00
Federal Natl Mtg Assn 7/28/2015970.00125,000.00132,828.63131,686.252,968.00
US Treasury Note11/30/20151095.0060,000.0061,936.7261,847.40825.00
US Treasury Note5/31/20161278.0050,000.0052,476.5652,355.50875.00
US Treasury Note2/28/2014455.00100,000.0099,757.82100,047.00
Total Fixed Income1,260,000.001,328,870.081,314,866.553
Total Assets615.781,278,765.431,347,635.511,333,631.983
Cap Recovery Fund
Assets
P
Cash & EquivalentsDueMaturitySharesCostMrk Value
Fidelity Inst Prime Mmkt CL III #69139,740.9339,740.9339,740.933.000.01
Total Cash & Equivalent9,740.939,740.99,740.9
s33333
Fixed Income
Federal Home Loan Bks Cons Bds8/13/2014621.00165,000.00187,423.24179,800.509,075.00
Federal Home Loan Bks Cons Bds6/21/2013203.00100,000.00102,505.50100,942.001,875.00
Federal Farm Cr Bks Cons Systemwide Bds12/16/20151111.00200,000.00230,779.00228,064.009,750.00
Federal Home Ln Mtg Corp Deb11/15/2013350.00250,000.00281,006.25261,260.0012,187.00
Federal Natl Mtg Assn Nts10/15/2013319.00200,000.00223,001.60207,704.009,250.00
Federal Home Ln Mtg Corp Reference Nts11/25/2014725.00220,000.00220,078.68221,999.801,650.00
Federal Natl Mtg Assn7/28/2015970.00135,000.00143,454.91142,221.153,206.00
US Treasury Note11/30/20151095.0050,000.0051,609.5751,539.50687.00
US Treasury Note5/31/20161278.00125,000.00131,191.41130,888.752,187.00
/28/201455.0045,000.00144,764.8445,068.15
US Treasury Not
e2411
Total Fixed Incom,590,000.01,715,815.0,669,487.8
e100155
Total Assets656.111,629,740.931,755,555.931,709,228.785