File #: WRAG 18-240    Name: FY 18-19 1st Quarter Financial Status Report
Type: WR General Agenda Status: Consent Agenda
File created: 11/9/2018 In control: Board of Supervisors of the Monterey County Water Resources Agency
On agenda: 12/4/2018 Final action:
Title: Receive the Monterey County Water Resources Agency FY 2018-19 First Quarter Financial Status Report through September 30, 2018.
Attachments: 1. Board Report, 2. 1st Quarter Financial Status Summary, 3. 5. WRAG Board Order & Resolution
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Title

Receive the Monterey County Water Resources Agency FY 2018-19 First Quarter Financial Status Report through September 30, 2018.

Report

RECOMMENDATION:

It is recommended that the Monterey County Water Resources Agency Board of Supervisors:

 

Receive the Monterey County Water Resources Agency FY 2018-19 First Quarter Financial Status Report through September 30, 2018.

 

SUMMARY/DISCUSSION:

Year-to-date revenues for most of the Agency’s funds are at 3% of budget. The Agency receives most of its revenues from special assessments in December and April. Hydro-electric revenue is at 0.35% of budget from receiving the month of April’s revenue. Hydro electric revenue is usually three to four months behind. The Agency expenditures are at 42% of budget partially for staff and consultant costs to complete the Federal Energy Regulatory Commission (FERC) and the California Department of Water Resources - Division of Safety of Dams (DSOD) compliance requirement and spillway repair work plan  for Nacimiento and San Antonio Dams.  The Agency continues to monitor expenditures as the spillway repair work costs could result in the need for additional appropriations this fiscal year after the initial evaluations are reviewed by DSOD.

 

On a consolidated basis, the Agency financials as of September 30, 2018 are projected as follows:

 

FY 2018-19 Estimated Beginning Fund Balance                          $18,476,791  

FY 2018-19 Projected Revenues                                                   $25,911,792  

Total FY 2018-19 Estimated Available Funds                              $44,388,583 

Less 2018-19 Projected Expenditures                                          ($26,945,332)

FY 2018-19 Estimated Ending Fund Balance                           $17,443,251  

 

OTHER AGENCY INVOLVEMENT:

None

 

FINANCING:

There is no financial impact in receiving this report.

 

 

Prepared by:                      Erica Leal, Accountant III, (831) 755-4860

 

 

Approved by:                     _______________________________________________

                                           David E. Chardavoyne, General Manager, (831) 755-4860

 

Attachments:

1st Quarter Financial Status Report Summary