logo
Alert: This page is no longer current.
Please click
HERE to access the new Town of San Anselmo Meetings and Agendas webpage.
File #: 22-223   
Type: Report Status: Agenda Ready
File created: 5/18/2022 In control: Town Council
On agenda: 5/24/2022 Final action:
Title: April Financial Report on Recreation Fund
Attachments: 1. Staff Report, 2. April 2022-Attachment
Date Action ByActionResultAction DetailsMeeting DetailsVideo
No records to display.

FROM:                                           

Dannielle Mauk, Director of Community Services                     

                     

SUBJECT:

title

April Financial Report on Recreation Fund

end

 

RECOMMENDATION

 

recommendation

That the Council approve the Recreation Fund Revenue and Expenditure Report for the period ending April 30, 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 April 30, 2022, 83% of the fiscal year has elapsed and the Recreation Fund is listed at 151% of projected revenues and 90% 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.

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

2,008,546

151%

 

1,507,369

1,353,330

90%

 

655,215

49%

2020-21

 

1,408,125

1,167,971

83%

 

1,550,947

971,927

63%

 

196,044

14%

2019-20

 

1,627,269

1,532,430

94%

 

1,676,763

1,331,058

79%

 

201,372

12%

2018-19

 

1,510,604

1,705,548

113%

 

1,591,144

1.197,255

75%

 

508,293

33.6%

2017-18

 

1,514,000

1,525,943

101%

 

1,644,385

1,165,219

71%

 

360,724

23.8%

2016-17

 

1,384,325

1,511,848

109%

 

1,500,570

1,150,885

77%

 

360,963

26.1%

2015-16

 

1,246,689

1,396,884

113%

 

1,356.689

1,180,348

87%

 

216,536

17.5%