Loading...
HomeMy WebLinkAbout05. Receive Financial Overview through November 2021 Page 1 of 3 Item 5. CENTRALSAN Jdf A- hom CENTRAL CONTRA COSTA SANITARY DISTRICT January 13, 2022 TO: HONORABLE BOARD OF DIRECTORS FROM: CHRISTOPHER THOMAS, ACCOUNTING SUPERVISOR KEVIN MIZUNO, FINANCE MANAGER REVIEWED BY: PHILIP LEIBER, DIRECTOR OF FINANCE AND ADMINISTRATION ROGER S. BAILEY, GENERAL MANAGER SUBJECT: RECEIVE THE FINANCIAL OVERVIEW THROUGH THE MONTH OF NOVEMBER 2021 Attached are the Fiscal Year(FY) 2021-22 Financial Overviews for the Operations and Maintenance (O&M) and Sewer Construction funds through the month of November 2021. These monthly overview reports illustrate year-to-date spending compared to the estimated year-to-date budget at the fund level in order to provide a high-level overview of Central San's fiscal performance. While these monthly Financial Overview reports provide a summary-level snapshot of Central San's fiscal performance, a more robust report is provided to the Board on a quarterly basis which summarizes financial results in more detail. While staff considers the monthly Financial Overview reports to be materially accurate, it is emphasized that these are un-audited and may be subject to change following the completion of quarterly and year-end "hard close" procedures, as well as adjustments arising from the year-end independent audit. Strategic Plan Tie-In GOAL THREE: Fiscal Responsibility Strategy 1—Maintain financial stability and sustainability, Strategy 2—Ensure integrity and transparency in financial management ATTACHMENTS: 1. Monthly Financial Overview through November 2021 January 13, 2022 Special Board Meeting Agenda Packet- Page 33 of 260 Attachment 1 1 of 2 0&M Fund Total FY 21-22 YTD Expenses by Month $80,000,000 $79.SM A $72.4M $70,000,000 $66.1 $60,000,000 $58.2 $50,000,000 $51.8 $45.5 $40,000,000 $39.2 $32.5 $30,000,000 0.6M $26.3M 23.7M $20,000,000 $18.6 $16.6M $12.4M $10,000,000 10.4M $6.3M ® 5.2M Jul-21 Aug-21 Sep-21 Oct-21 Nov-21 Dec-21 Jan-22 Feb-22 Mar-22 Apr-22 May-22 Jun-22 Budget --W-Actual January 13, 2022 Special Board Meeting Agenda Packet- Page 34 of 260 2of2 Sewer Construction Fund Total FY 21-22 YTD Expenses by Month $150,000,000 $145.9M $140,000,000 $130,000,000 $120,000,000 $110,000,000 $100,000,000 $113.3M $90,000,000 $80,000,000 $70,000,000 $60,000,000 $54.9 M $50,000,000 $40,000,000 $42.6M $27.8M $30,000,000 $20,000,000 $10,000,000 $- Jul-21 Aug-21 Sep-21 Oct-21 Nov-21 Dec-21 Jan-22 Feb-22 Mar-22 Apr-22 May-22 Jun-22 tBudget* #Target** —0 Actual *Includes unspent rollover appropriations from PY budget. **90%of budget(with rollover)further adjusted for estimated reduction in spending on solids handling project in FY 21-22($20M overall) January 13, 2022 Special Board Meeting Agenda Packet- Page 35 of 260