HomeMy WebLinkAboutE-6 Staff Report - Treasurers Report of Receipts, Disbursements and Fund Balances January 2020 through March 2020CONSENT ITEM
E-6
TO: HONORABLE MAYOR AND MEMBERS OF THE CITY COUNCIL
VIA: SERGIO GONZALEZ, CITY MANAGER
FROM: ART VASQUEZ, CITY TREASURER
TALIKA M. JOHNSON, DIRECTOR OF ADMINISTRATIVE SERVICES
DATE: JUNE 15, 2020
SUBJECT: CITY TREASURER’S ACCOUNTING OF ALL RECEIPTS, DISBURSEMENTS AND
FUND BALANCES FOR THE MONTHS OF JANUARY THROUGH MARCH 2020
BACKGROUND:
California Government Code Section 41004 requires the City Treasurer to submit to the City Clerk and
the City’s legislative body a written report and accounting of all receipts, disbursements and fund
balances monthly. The recommended action requests the City Council receive and file the attached
reports for the months of January 2020 through March 2020.
RECOMMENDATION:
Staff recommends the City Council take the following actions:
1)Receive, review, and file the City Treasurer’s Reports of Receipts, Disbursements and Fund
Balances for the months of January 2020 through March 2020.
ANALYSIS:
The City Treasurer and Finance Department currently reports to the City Council statements of citywide
cash and investments and summaries of disbursements made via the accounts payable process on a
monthly basis. While these reports will continue to be presented to the Council, California Government
Code Section 41004 requires at least once each month, the City Treasurer submit to the City Clerk a
written report and accounting of all receipts, disbursements, and fund balances and that the City
Treasurer file a copy with the legislative body.
APPROVED
CITY COUNCIL
6/15/2020
Received and Filed
Accounting of Receipts, Disbursements, and Fund Balances
June 15, 2020
Page 2
In order to comply with the requirements of Government Code Section 41004, Finance Staff has
prepared the January 2020 through March 2020 monthly statements containing cash balance details and
summaries along with fund balance summaries. The attached statements provide a snapshot of the
General Ledger cash and fund balances at the end of January 2020 through March 2020. Due to the
timing of inflows and outflows of revenues and disbursements, cash and fund balances may vary
dramatically from month-to-month. Thus, the reported balances at each month end may not reflect the
audited financial status of each Fund at year-end closing.
FISCAL IMPACT:
There is no fiscal impact associated with the recommended action.
Prepared by: Reviewed and Approved:
Henry A. Quintero Talika M. Johnson
Senior Accountant Director of Administrative Services
Reviewed and Approved:
Sergio Gonzalez
City Manager
Attachments:
1. City Treasurer’s Report of Receipts, Disbursements and Fund Balances – January 2020
2. City Treasurer’s Report of Receipts, Disbursements and Fund Balances – February 2020
3. City Treasurer’s Report of Receipts, Disbursements and Fund Balances – March 2020
Attachment 1
Attachment 2
Attachment 3