| | | | | | | |  | BOARD OF HEALTH STAFF REPORT (SR 22-046) June 14, 2022 Written Reports |
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| | | | | | | | | Finance Manager's report for March 2022 (SR 22-046; S. Centanni) |
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| | | | | | | | | Division: | | Administration / Sara Centanni, CPA, Finance Manager |
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| | | | | | | | | Prior Board Review: | | Administration Committee, 5/25/22 |
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| | | | | | | | | Background | Cash and Investments at March 31, 2022
Cash $ 2,402,568
Investments $14,230,701
Comprised of:
- $11.7 million - State of Washington Local Government Investment Pool
- $2.5 million - Snohomish County Investment Pool
Calendar Year Operations through March 31, 2022
Revenues – Actual revenues District-wide are 6.8% above projections at 31.8% with 25.0% of the year elapsed. Revenues are typically above projections earlier in the year due to Food and other annual EH permits being billed for the year in January. We also received $1.75M for Foundational Public Health Services.
Expenditures – Actual expenditures District-wide are 4.5% above projections at 29.5% with 25.0% of the year elapsed. This is generally in line with our expectations.
Fund Balance
The District’s General Fund Balance is comprised of the following amounts as of March 31, 2022.
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Fund Balance
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Non-Spendable
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$0
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Board-Approved Reserves:
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Working Capital
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5,255,666
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Compensated Absences
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2,238,000
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Capital Improvements
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70,000
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Emergency
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500,000
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Rucker Building - Reserve from 2015 Water Damage
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134,822
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Estimated Programmatic Restricted Funds
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0
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Unreserved
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12,762,920
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Total Fund Balance
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$20,961,408
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| | | | | | | | | Board Authority | Consistent with Resolution 19-20 and the revised Division of Responsibilities (10/8/19), the Board of Health has authority over the Health District budget. |
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