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HomeMy WebLinkAboutE-08 Staff Report - City Treasurers Report 11-2018CONSENT ITEM E-8 TO: HONORABLE MAYOR AND MEMBERS OF THE CITY COUNCIL FROM: ART VASQUEZ, CITY TREASURER DATE: JANUARY 22, 2019 SUBJECT: CITY TREASURER’S STATEMENT OF CASH AND INVESTMENT BALANCES FOR THE MONTH OF NOVEMBER 2018 BACKGROUND: Transmitted herewith is the City Treasurer’s Statement of Cash Balances for the City of Azusa for the month of November 2018. City investments are made in accordance with the City’s Investment Policy adopted and approved with Resolution No. 13-C8 dated, February 4, 2013, and Government Code Section 53607 and 53600.5 et seq. RECOMMENDATION: Staff recommends that the City Council take the following action: 1) Receive, review, and file the City Treasurer’s Report for the month of November 2018. ANALYSIS: The balances of cash, investments, and projected revenues for the next six months are expected to be sufficient to meet cash disbursement requirements of the City for at least the next six months. The change in total cash in bank and investments (at cost) from October 31, 2018 to November 30, 2018 is a net increase of $2,613,250.35 The change in total cash in bank and investments (at market) from October 31, 2018 to November 30, 2018 is a net increase of $2,753,321.77. Prepared by: Art Vasquez, City Treasurer APPROVED CITY COUNCIL 1/22/2019 Received and Filed CITY OF AZUSA TREASURER'S REPORT Prepared by: Art Vasquez, Treasurer Treasury Checking Accounts and Certificates of Deposit November 30, 2018 Held in Wells Fargo Bank Face Amount Maturity Date Interest or Coupon Rate Description Account Number or CUSIP Balance or Market Value Checking Accounts General Checking Account XXX-XXX1244 149,835.00 Stagecoach Sweep Account DDA XXX-XXX1244 3,975,922.89 Worker's Compensation Checking (ZBA account)XXXX-XX3279 0.00 Payroll Checking (ZBA account)XXXX-XX1393 0.00 Police Detective Petty Cash Fund XXX-XXX2231 1,609.06 Section 108 0.090% Choice IV-Public Fund Account XXX-XXX2239 29,886.99 Covington Endowment WFB Advantage Heritage Money Market Fund (rated AAAm/Aaa)WFB XXXX7554 3,172.32 100,000 05/31/18 1.250%Certificate of Deposit Discover Bank Matures 6/1/20 CUSIP 254573PW0 99,726.80 Sewer Bond Fund WFB Advantage Heritage Money Market Fund (rated AAAm/Aaa)WFB XXXX1829 25,254.24 250,000 03/28/17 0.950%Certificate of Deposit Compass Bank Matures 12/07/18 20451PTN6 249,975.75 City of Azusa Settlement Trust WFB Public Institutional Bank Money Market WFB XXXX6615 15,032.07 Philleo TR FBO Azusa WFB Money Market Fund WFB XXXX8700 5,692.23 Investments In Fixed Income. Equities, Real Asset Funds & Other 154,832.23 TOTALS WELLS FARGO BANK ACCOUNTS 4,710,939.58 Page 1 CITY OF AZUSA TREASURER'S REPORT Prepared by: Art Vasquez, Treasurer November 30, 2018 Broker Face Amount Description Coupon Rate Maturity Date Acct/Cusip No.Settlement Date Principal** Market Price (Changes Monthly) Market Value*** Interest Received Fiscal Year to Date* City of Azusa Investments - Certificates of Deposit - FDIC Insured CERTIFICATES OF DEPOSIT SOLD OR MATURED DURING FISCAL YEAR 0.00 Multi Bank Securities 245,000.00 Allegiance Bnk Texas 2.200%11/03/22 01748DAY2 11/03/17 245,000.00 95.467 233,894.15 2,259.36 Multi Bank Securities 245,000.00 American Expr Bank 2.350%05/03/22 02587CEM8 05/03/17 245,000.00 96.209 235,712.05 2,902.41 Multi Bank Securities 245,000.00 American Expr Centurion 2.300%09/23/20 02587DB64 09/23/15 245,000.00 98.408 241,099.60 2,840.66 Multi Bank Securities 205,000.00 BMW Bank 2.150%12/10/19 05580AAZ7 12/10/14 205,000.00 99.437 203,845.85 Multi Bank Securities 245,000.00 Barclays Bank 2.300%10/18/22 06740KLD7 10/31/17 245,000.00 95.927 235,021.15 2,825.22 Multi Bank Securities 245,000.00 Capital One Bank 2.300%03/01/22 140420Y53 03/01/17 245,000.00 96.911 237,431.95 2,840.66 Multi Bank Securities 247,000.00 Capital One NA 2.350%08/15/22 14042RHM6 08/23/17 247,000.00 96.346 237,974.62 2,878.40 Multi Bank Securities 245,000.00 CIT Bank SLC 2.150%11/19/19 17284C3Q5 11/19/14 245,000.00 99.445 243,640.25 2,655.40 Multi Bank Securities 245,000.00 Citibank 3.300%09/21/23 17312QT33 09/21/18 245,000.00 98.896 242,295.20 Multi Bank Securities 245,000.00 Comenity Cap Bank 2.300%10/12/22 20033AXM3 10/12/17 245,000.00 95.932 235,033.40 2,362.07 Multi Bank Securities 245,000.00 First Bank of Highland Park 2.000%11/05/19 319141CY1 11/050/14 245,000.00 99.360 243,432.00 2,470.14 Multi Bank Securities 248,000.00 Firstbank 1.850%02/12/21 33767AVK4 02/12/16 248,000.00 97.256 241,194.88 1923.21 Multi Bank Securities 247,000.00 Goldman Sachs Group, Inc.2.300%03/08/22 38148PGX9 03/08/17 247,000.00 96.882 239,298.54 2,863.85 Multi Bank Securities 245,000.00 HSBC BK USA 2.450%03/21/22 40434YGK7 03/21/17 245,000.00 97.301 238,387.45 3,025.92 Multi Bank Securities 245,000.00 Investors Savings Bank 2.000%08/25/20 46176PEJ0 08/28/15 245,000.00 98.784 242,020.80 2,429.86 Multi Bank Securities 245,000.00 JP Morgan Chase Bank 1.650%08/16/21 48126XAH8 08/16/16 245,000.00 95.458 233,872.10 2,037.86 Multi Bank Securities 245,000.00 Knoxville TVA Employees CR UN 2.410%12/29/22 499724AB8 12/29/17 245,000.00 95.972 235,131.40 2,464.78 Multi Bank Securities 245,000.00 Live Oak Banking Com 2.250%04/07/22 538036CM4 04/07/17 245,000.00 96.585 236,633.25 2,310.73 Multi Bank Securities 247,000.00 Medallion Bank 2.250%07/27/20 58403BY67 07/27/15 247,000.00 98.742 243,892.74 2,755.91 Multi Bank Securities 245,000.00 Mercantil Commerceba 2.050%12/09/21 58733ADN6 12/09/16 245,000.00 96.522 236,478.90 Multi Bank Securities 245,000.00 Morgan Stanley 2.650%01/11/23 61747MF63 01/04/18 245,000.00 96.898 237,400.10 3,219.57 Multi Bank Securities 245,000.00 Mountain Amer Fed Cr 2.300%10/12/22 62384RAB2 10/12/17 245,000.00 95.932 235,033.40 2,362.07 Multi Bank Securities 245,000.00 Numerica Credit Union 2.300%06/21/22 67054NAK9 06/21/17 245,000.00 96.428 236,248.60 2,362.07 Multi Bank Securities 245,000.00 Private Bank and Trust 2.200%03/30/22 74267GVT1 03/30/17 245,000.00 96.474 236,361.30 2,717.15 Multi Bank Securities 245,000.00 Sallie Mae Bank 2.350%06/21/22 795450A70 06/21/17 245,000.00 96.617 236,711.65 Multi Bank Securities 245,000.00 State Bank of India 1.700%05/28/19 856283YJ9 05/28/15 245,000.00 99.616 244,059.20 2,099.62 Gillford/Stern Agee 248,000.00 Third Federal Sav&Loan 2.000%11/25/19 88413QAW8 11/24/14 248,000.00 99.363 246,420.24 2,500.38 Multi Bank Securities 245,000.00 TIAA FSB 2.200%08/16/22 87270LAJ2 08/31/17 245,000.00 95.856 234,847.20 2,672.85 Multi Bank Securities 200,000.00 Worlds Foremost Bank 2.400%07/16/20 981571BP6 07/07/15 200,000.00 98.763 197,526.00 2,012.05 TOTALS 7,032,000.00 7,032,000.00 6,840,897.97 63,792.20 Page 2 CITY OF AZUSA TREASURER'S REPORT Prepared by: Art Vasquez, Treasurer November 30, 2018 Broker Face Amount Description Coupon Rate Maturity Date Acct/Cusip No.Settlement Date Principal** Market Price (Changes Monthly) Market Value*** Interest Received Fiscal Year to Date* City of Azusa Investments - AAA Rated Federal Agency Bonds BONDS CALLED OR MATURED DURING FISCAL YEAR 0.00 Gilford/Sterne Agee 1,000,000 FFCB 1.400 3/16/20 1.400%03/16/20 3133EGFY6 06/16/16 1,000,000.00 98.236 982,360.00 7,000.00 Gilford/Sterne Agee 1,000,000 FFCB 1.850 3/23/21 1.850%03/23/21 3133EFR82 03/16/16 1,000,000.00 97.682 976,820.00 9,250.00 Gilford/Sterne Agee 1,000,000 FFCB 1.250 1/21/20 1.250%01/21/20 3133EGNE1 07/21/16 1,000,000.00 98.286 982,860.00 6,250.00 Gilford/Sterne Agee 1,000,000 FFCB 1.560 7/26/21 1.560%07/26/21 3133EGNM3 07/26/16 1,000,000.00 96.524 965,240.00 7,800.00 Gilford/Sterne Agee 1,000,000 FHLB 1.650 1/22/21 1.650%01/22/21 3130A7RA5 04/22/16 1,000,000.00 97.451 974,510.00 8,250.00 Gilford/Sterne Agee 1,395,000 FHLMC 1.150 6/28/19 1.150%06/28/19 3134GANG5 10/20/16 1,395,000.00 99.169 1,383,407.55 Gilford/Sterne Agee 1,000,000 FFCB 1.68 3/21/21 1.680%03/01/21 3133EGCQ6 06/06/16 999,750.00 97.399 973,990.00 8,400.00 Gilford/Sterne Agee 1,000,000 FFCB 1.150 3/6/19 1.150%03/06/19 3133EGTS4 09/06/16 1,000,000.00 99.667 996,670.00 5,750.00 Gilford/Sterne Agee 1,000,000 FHLB 1.600 9/27/21 1.600%09/27/21 3130A9JZ5 09/27/16 1,000,000.00 96.549 965,490.00 8,000.00 Multi-Bank Sec 1,000,000 FHLB 1.625 9/30/21 1.625%09/30/21 3130A9F89 09/30/16 1,000,000.00 96.605 966,050.00 8,125.00 Gilford/Sterne Agee 1,000,000 FNMA 1.250 9/30/19 1.250%09/30/19 3136G4AA1 09/30/16 1,000,000.00 98.794 987,940.00 6,250.00 National Financial Se 1,000,000 FFCB 3.000 5/2/22 3.000%05/02/22 3133EJMW6 05/03/18 1,000,000.00 99.766 997,660.00 15,000.00 National Financial Se 1,000,000 FHLB 2.000 12/11/20 2.000%12/11/20 3130ACU36 12/11/17 999,750.00 98.053 980,530.00 Multi-Bank Sec 1,000,000 VR FHLB 1.00 9/30/21 1.000%09/30/21 3130A9JA0 09/30/16 1,000,000.00 98.854 988,540.00 6,875.00 Gilford/Sterne Agee 1,000,000 VR FHLM 1.250 9/29/21 1.250%09/29/21 3134GAKL7 09/29/16 1,000,000.00 97.907 979,070.00 6,875.00 National Financial Se 1,000,000 FFCB 3.440 5/8/23 3.440%05/08/23 3133EJR27 11/08/18 1,000,000.00 99.797 997,970.00 Multi-Bank Sec 1,000,000 FHLMC 1.650 8/25/21 1.650%08/25/21 3134GAAM6 08/25/16 1,000,000.00 96.744 967,440.00 8,250.00 National Financial Se 1,000,000 FHLB 3.550 11/21/23 3.550%11/21/23 3130AFD61 11/21/18 1,000,000.00 100.089 1,000,890.00 Multi-Bank Sec 1,000,000 FHLMC 1.700 10/27/21 1.700%10/27/21 3134GAPL2 10/27/16 1,000,000.00 96.674 966,740.00 8,500.00 National Financial Se 1,000,000 FHLMC 1.500 12/30/19 1.500%12/30/19 3134GAYY4 12/30/16 998,250.00 98.628 986,280.00 7,500.00 National Financial Se 1,000,000 FHLMC 1.750 12/14/20 1.750%12/14/20 3134GAZJ6 12/14/16 1,000,000.00 97.743 977,430.00 Multi-Bank Sec 1,000,000 FHLMC 2.050 12/30/21 2.050%12/30/21 3134GAZR8 12/30/16 1,000,000.00 97.069 970,690.00 10,250.00 National Financial Se 1,000,000 FNMA 1.250 1/07/20 1.250%01/07/20 3136G4BQ5 10/26/16 1,000,000.00 98.357 983,570.00 6,250.00 Gilford/Sterne Agee 1,000,000 FNMA 1.300 3/30/20 1.300%03/30/20 3135G0Q63 10/17/16 999,600.00 98.066 980,660.00 6,500.00 Gilford/Sterne Agee 1,000,000 FNMA 1.550 8/17/21 1.550%08/17/21 3136G3W35 08/17/16 999,500.00 96.184 961,840.00 7,750.00 National Financial Se 1,000,000 FHLMC 2.400 11/28/22 2.400%11/28/22 3134GBY63 11/28/17 1,000,000.00 97.010 970,100.00 12,000.00 National Financial Se 1,000,000 FFCB 1.490 5/3/21 1.490%05/03/21 3133EGC78 11/03/16 999,250.00 96.693 966,930.00 7,450.00 Multi-Bank Sec 1,000,000 FHLMC 2.400 12/29/22 2.400%12/29/22 3134GB4U3 12/29/17 1,000,000.00 97.075 970,750.00 National Financial Se 1,000,000 FFCB 1.950 11/23/21 1.950%11/23/21 3133EGL37 11/23/16 1,000,000.00 97.198 971,980.00 9,750.00 National Financial Se 1,000,000 FFCB 2.000 9/12/22 2.000%09/12/22 3133EHXZ1 09/08/17 1,000,000.00 96.723 967,230.00 10,000.00 National Financial Se 1,000,000 FHLMC 3.100 3/29/23 3.100%03/29/23 3134GSFY6 03/29/18 1,000,000.00 99.688 996,880.00 15,500.00 National Financial Se 1,000,000 FFCB 1.77 11/23/20 1.770%11/23/20 3133EHKF9 08/07/17 999,850.00 97.916 979,160.00 8,850.00 National Financial Se 1,000,000 FFCB 2.000 11/01/21 2.000%11/01/21 3133EHTE3 08/25/17 1,000,000.00 97.395 973,950.00 10,000.00 National Financial Se 1,000,000 FFCB 1.950 10/05/21 1.950%10/05/21 3133EHQM8 07/05/17 1,000,000.00 97.326 973,260.00 9,750.00 National Financial Se 1,110,000 FFCB 2.230 6/28/21 2.230%06/28/21 3133EH4S9 01/03/18 1,110,000.00 98.124 1,089,176.40 National Financial Se 1,000,000 FHLMC 2.550 1/30/23 2.550%01/30/23 3134GSBY0 01/30/18 998,500.00 98.260 982,600.00 12,750.00 Multi-Bank Sec 1,000,000 FHLMC 3.100 5/17/23 3.100%05/17/23 3134GSKE4 05/17/18 998,000.00 99.461 994,610.00 15,500.00 National Financial Se 1,000,000 FHLMC 3.000 4/23/21 3.000%04/23/21 3134GSYR0 10/04/18 999,500.00 99.785 997,850.00 National Financial Se 1,000,000 FHLMC 3.000 11/16/21 3.000%11/16/21 3134GSTC9 08/16/18 1,000,000.00 99.783 997,830.00 7,500.00 National Financial Se 1,000,000 FNMA 3.300 09/27/23 3.300%09/27/23 3136G4TP8 09/27/18 999,500.00 100.078 1,000,780.00 Multi-Bank Sec 1,000,000 FHLMC 1.700 11/10/21 1.700%11/10/21 3134GATC8 11/10/16 1,000,000.00 96.627 966,270.00 8,500.00 TOTALS 41,505,000 41,496,450.00 40,694,003.95 286,375.00 WFB - CITY THIRD PARTY CUSTODIAL TRUST ACCT 0.850%N/A N/A N/A 450,563.34 100.000 450,563.34 2,610.00 LAIF - CITY LOCAL AGENCY INVESTMENT FUND 2.208%N/A N/A N/A 32,413,821.65 100.000 32,413,821.65 CITY OF AZUSA TREASURER'S REPORT Prepared by: Art Vasquez, Treasurer November 30, 2018 Broker Face Amount Description Coupon Rate Maturity Date Acct/Cusip No.Settlement Date Principal** Market Price (Changes Monthly) Market Value*** Interest Received Fiscal Year to Date* City of Azusa Investments - AAA Rated Corporate Bonds BONDS CALLED OR MATURED DURING FISCAL YEAR 0.00 Multi Bank Securities 245,000.00 Synchrony Bank 2.350%10/13/22 87165FRW6 10/13/17 245,000.00 96.129 235,516.05 2,886.64 TOTALS 245,000 245,000.00 235,516.05 2,886.64 Page 3 CITY OF AZUSA TREASURER'S REPORT Prepared by: Art Vasquez, Treasurer November 30, 2018 Broker Face Amount Description Coupon Rate Maturity Date Acct/Cusip No.Settlement Date Principal** Market Price (Changes Monthly) Market Value*** Interest Received Fiscal Year to Date* Light & Water Fund Investments - Certificates of Deposit - FDIC Insured CERTIFICATES OF DEPOSIT SOLD OR MATURED DURING FISCAL YEAR 0.00 Higgins/RBC 245,000.00 Bank Baroda New York 1.850%11/23/21 06062QXG4 11/23/16 245,000.00 96.025 235,261.25 2,284.88 Multi National Bank 245,000.00 Discover Bank 1.900%05/06/20 254672NC8 05/06/15 245,000.00 98.587 241,538.15 2,346.63 Multi National Bank 245,000.00 Orrstown Bank 2.000%12/28/20 687377DU2 12/28/15 245,000.00 98.161 240,494.45 2,053.96 Multi National Bank 248,000.00 First Tech Fed 1.750%06/30/21 33715LAD2 06/30/16 248,000.00 96.073 238,261.04 2,164.05 Multi National Bank 249,000.00 Wells fargo Bank 1.750%06/17/21 9497485W3 06/17/16 249,000.00 96.114 239,323.86 1,826.57 TOTALS 987,000.00 1,232,000.00 1,194,878.75 10,676.09 Page 4 CITY OF AZUSA TREASURER'S REPORT Prepared by: Art Vasquez, Treasurer November 30, 2018 Broker Face Amount Description Coupon Rate Maturity Date Acct/Cusip No.Settlement Date Principal** Market Price (Changes Monthly) Market Value*** Interest Received Fiscal Year to Date* Light & Water Fund Investments - AAA Rated Federal Agency Bonds BONDS CALLED OR MATURED DURING FISCAL YEAR 0.00 Gilford Sec 1,000,000.00 FFCB 1.180 10/18/19 1.180%10/18/19 3133EGLD5 07/18/16 999,500.00 98.658 986,580.00 5,900.00 Gilford Sec 1,000,000.00 FFCB 1.200 1/06/20 1.200%01/06/20 3133EGJV8 07/06/16 1,000,000.00 98.297 982,970.00 6,000.00 Multi-Bank Sec 1,000,000.00 VR FHLB 1.000 9/30/21 1.000%09/30/21 3130A9JA0 09/30/16 1,000,000.00 98.854 988,540.00 6,875.00 Multi-Bank Sec 1,000,000.00 FFCB 1.580 10/25/21 1.580%10/25/21 3133EGZP3 10/25/16 999,881.00 96.253 962,530.00 7,900.00 National Financial Ser 1,000,000.00 FFCB 1.480 9/6/19 1.480%09/06/19 3133EGN84 12/06/16 1,000,000.00 99.097 990,970.00 7,400.00 National Financial Ser 1,000,000.00 FHLMC 1.750 9/29/20 1.750%09/29/20 3134GBTR3 06/29/17 1,000,000.00 97.901 979,010.00 8,750.00 Multi-Bank Sec 1,000,000.00 FHLMC 2.000 12/30/21 2.000%12/30/21 3134GAYV0 12/30/16 1,000,000.00 97.342 973,420.00 10,000.00 National Financial Ser 1,105,000.00 FHLMC 2.700 3/29/21 2.700%03/29/21 3134GSGX7 04/09/18 1,104,668.50 99.323 1,097,519.15 14,917.50 National Financial Ser 1,000,000.00 FNMA 2.200 10/27/22 2.200%10/27/22 3136G4PU1 10/27/17 1,000,000.00 96.822 968,220.00 11,000.00 TOTALS 9,105,000.00 9,104,049.50 8,929,759.15 78,742.50 WFB - L&W THIRD PARTY CUSTODIAL TRUST ACCT 0.850%N/A N/A N/A 200,328.21 100.000 200,328.21 420.74 CITY OF AZUSA and LIGHT & WATER RATE STABLIZATION Principal** Market Price (Changes Monthly) Market Value*** Interest Received Fiscal Year to Date* TOTAL INVESTMENTS IN FEDERAL AGENCIES, Corp Bonds, CD's, WFB INSTITUTIONAL TRUSTS, and LAIF 92,174,212.70 90,959,769.07 445,503.17 *The Interest reflects earnings received from July 1, 2014. **The "Principal" column reflects the balance on the last day of the month or the "historical cost" spent to purchase a security. ***The "Market Value" is the current price at which a security can be traded or sold. Page 5 Cost Market NOV Inv 92,174,212.70$ NOV Inv 90,959,769.07$ OCT Inv 88,057,555.97$ OCT Inv 86,703,040.92$ NOV Bank 4,710,939.58$ NOV Bank 4,710,939.58$ OCT Bank 6,214,345.96$ OCT Bank 6,214,345.96$ Change 2,613,250.35$ Change 2,753,321.77$