FROM:
Dannielle Mauk, Director of Community Services
SUBJECT:
title
May Financial Report on Recreation Fund
end
RECOMMENDATION
recommendation
That the Council approve the Recreation Fund Revenue and Expenditure Report for the period ending May 31, 2022.
body
BACKGROUND
The Recreation Department offers a wide variety of fee-based programs throughout the fiscal year including sports programs and leagues, youth and adult classes, childcare and camps. Additional revenue is generated through facility rentals and administrative fees.
DISCUSSION
As of May 31, 2022, 92% of the fiscal year has elapsed and the Recreation Fund is listed at 159% of projected revenues and 98% of projected expenditures.
Enrollment for recreation programs is much higher than expected for FY 2021-22. As a result, the expenditures will also be higher. The budget was drafted with numbers based on County Public Health orders for COVID 19. As the orders have changed, the department has been able to serve more members of the community.
It is also important to note that the current budget has a $158,744 deficit which is reflected in the difference between the revenue budgeted at $1,348,625 and the budget expenditures of $1,507,369.
All the revenue that is collected for summer programs occurring after July 1, 2022, will be deferred to FY 2022-23. Summer registration began in March.
The State and County Public Health Orders for COVID-19 are designed to ensure and protect the health of our residents. The orders change the Recreation Department's ability to offer services, programs, and rentals. The Department continues to follow all guidance.
For historical comparison purposes, staff has developed the following table.
FY
Revenue
Expenditures
Rev Over/(Under) Exp
Budget
Actual
%
Budget
Actual
%
$$
%
2021-22
1,348,625
2,142,104
159%
1,507,369
1,482,755
98%
659.349
49%
2020-21
1,408,125
1,317,950
94%
1,550,947
1,091,942
70%
226,007
16%
2019-20
1,627,269
1,454,793
...
Click here for full text