HomeMy WebLinkAbout04-2013 Controller’s Cash ReportTab Page
Overview
Controller Cash
Cash
Distribution
Period Ending:
Issued By:
April 2013
Controller
City of South Bend
Controller's Cash Report
Contents
Overview of Controller's Cash Report
Controller's Cash Report
Bank Account Cash Balances
Mayor
Chief of Staff
Deputy Chief of Staff
City Controller
Deputy City Controller
City Finance Director
South Bend City Council Members
Department Heads
City Fiscal Officers
Pete Buttigieg
Michael Schmuhl
Kathryn Roos
Mark Neal
J Murphy
R Johnson
2013 April. controllers cash report.xls Page 1 of 6
CONTROLLER'S CASH REPORT
OVERVIEW:
The Controller's Cash Report is a monthly summary of cash and investment transactions within the current
period by Fund. It summarizes the cash received, interest earned, cash disbursed and cash transferred
between Funds within the City of South Bend as well as any loans among/between Funds. The report
provides a month -end view of the City's cash balance in the reporting period.
The City's management team is responsible for establishing and maintaining an internal control structure
designed to ensure that the assets of the City are protected from loss, theft or misuse and to ensure that
adequate accounting data is compiled to allow for the preparation of financial statements in conformity
with generally accepted accounting principles.
April 2013 HIGHLIGHTS:
Total City Funds (pg. 4): April 2013 beginning cash balance of $190,649,235 and ending cash balance of
$184,003,671 represents a decrease in cash of —$6.6 million. Compared to April 2012, beginning cash
balance of $164,109,518 and ending cash balance of $162,423,990 represents an increase in cash of
approximately $1.7 million. Difference results in — $4.9 million net decrease y -o -y (year over year).
Increased expenditures are a result of the City paying to close out the 1998 and 2004 bonds to the Bank of
New York.
Total Redevelopment Commission Funds (pg.4): April 2013 beginning cash balance of $41,430,811 and
ending cash balance of $42,438,980 represents an increase in cash of $1,008,169. Compared to April 2012,
beginning cash balance of $40,875,506 and ending cash balance of $39,972,678 represents a decrease in
cash of ^'$903,000. This $1.9 million y -o -y increase in cash is due to a payment received from Bosch in the
amount of $2,073,155 for the termination lease agreement. The money was receipted into fund 324 (TIF
Revenue — Airport).
Fund 101 (General Fund): April 2013 actual receipts were $1,003,323 vs. prior year actual receipts of
$1,615,082. The largest receipt in April '13 was from St. Joseph County for the EMS allocation in the
amount of $132,402.
Fund 201 (Parks & Recreation): April 2013 actual receipts were $353,488 vs. prior year actual receipts
of $395,500. Revenue was higher at the golf courses last year due to unusually warmer weather.
Fund 313 (Hall of Fame): Negative cash balance reflects a debt service payment of $633,500
in January '13. Revenue will increase when property taxes are received in late May or early June thus
providing sufficient cash for the next debt service payment in July.
Fund 407 (Cumulative Capital Improvement): Century Center debt service bond payment of $184,875
was made in January, which caused negative cash balance. Revenue will increase when Cigarette and
Hotel / Motel Tax money is received in late May or early June.
Fund 701 (Firefighters Pension): This fund has a negative balance as a result of monthly pension
payments made to firefighters hired prior to May 1, 1977. Revenue will increase once the mandatory state
pension relief distribution is received in June 2013.
For April 2013, cash interest received was $46,045 compared to $68,709 in April 2012. The decrease in
2013 is attributable primarily to the timing of interest payments of assets invested with I It Source Bank.
Please Contact City Controller Mark Neal at (574) 235 -7500 with any questions.
City of South Bend
Controller's Cash Report
Month of: April 2013
City Controlled Funds
General Fund
101 GENERAL FUND 18,104,929.81 $1,003,323.50 $4,822,544.06 $3,892.15 1 $2,275,439.25 $0.00 16,565,040.65 0.00 16,565,040.65 706,656.03
Special Revenue Funds
Opening
Interest
Transfers
Transfers
Ending
Total Cash &
Interfund Loans
Fund
Fund Name
Cash Balance
Receipts
Disbursements
Earned
In
Out
Cash Balance
Investments
Investments
(Borrowing)
City Controlled Funds
General Fund
101 GENERAL FUND 18,104,929.81 $1,003,323.50 $4,822,544.06 $3,892.15 1 $2,275,439.25 $0.00 16,565,040.65 0.00 16,565,040.65 706,656.03
Special Revenue Funds
102 RAINY DAY FUND
8,599,452.31
0.00
0.00
1,629.38
0.00
0.00
8,601,081.69
0.00
8,601,081.69
0.00
201 PARKS & RECREATION
2,452,711.31
353,488.09
954,190.86
551.52
0.00
0.00
1,852,560.06
0.00
1,852,560.06
0.00
202 MOTOR VEHICLE HIGHWAY
1,639,903.66
608,548.22
464,086.68
329.18
2,276,882.00
0.00
4,061,576.38
0.00
4,061,576.38
0.00
203 RECREATION - NONREVERTING
817,357.15
76,740.16
48,548.64
151.87
0.00
0.00
845,700.54
0.00
845,700.54
0.00
209 STUDEBAKER/OLIVER REVERTING GRANTS
1,081,092.38
0.00
0.00
204.74
0.00
0.00
1,081,297.12
0.00
1,081,297.12
500,000.00
210 DEPT COMMUNITY INVESTMENT STATE GRANTS
1,009,346.48
0.00
0.00
201.05
0.00
0.00
1,009,547.53
0.00
1,009,547.53
0.00
211 DCI OPERATING FUND
632,091.83
5,662.67
177,239.13
119.59
429,379.75
0.00
890,014.71
0.00
890,014.71
0.00
212 DEPARTMENT OF COMMUNITY INVESTMENT
482,244.96
211,563.52
342,764.17
330.66
0.00
0.00
351,374.97
0.00
351,374.97
0.00
213 POLICE FEDERAL GRANTS
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
216 POLICE STATE SEIZURES
149,739.23
0.00
10,000.00
28.41
0.00
0.00
139,767.64
0.00
139,767.64
0.00
217 GIFT, DONATION, BEQUEST
64,510.46
265.00
0.00
12.22
0.00
0.00
64,787.68
0.00
64,787.68
0.00
218 POLICE CURFEW VIOLATIONS
10,986.50
25.00
0.00
2.08
0.00
0.00
11,013.58
0.00
11,013.58
0.00
220 LAW ENFORCEMENT CONTINUING EDUCATION
1,000,553.24
24,243.91
30,860.10
189.36
0.00
0.00
994,126.41
0.00
994,126.41
0.00
227 LOSS RECOVERY FUND
4,332,654.79
0.00
6,000.00
820.59
0.00
0.00
4,327,475.38
0.00
4,327,475.38
0.00
249 PUBLIC SAFETY L.O.I.T.
2,894,230.79
491,032.15
0.00
469.06
0.00
1,775,439.25
1,610,292.75
0.00
1,610,292.75
0.00
251 LOCAL ROADS & STREETS
1,956,325.18
91,791.02
271,678.00
367.73
0.00
0.00
1,776,805.93
0.00
1,776,805.93
0.00
252 EXCESS WELFARE DISTRIBUTION
1,147.38
0.00
0.00
0.22
0.00
0.00
1,147.60
0.00
1,147.60
0.00
258 HUMAN RIGHTS - FEDERAL GRANT
460,462.53
3,515.00
17,603.57
87.00
0.00
0.00
446,460.96
0.00
446,460.96
0.00
271 EASTRACE WATERWAY
14,341.84
0.00
0.00
2.71
0.00
0.00
14,344.55
0.00
14,344.55
0.00
273 MORRIS PAC /PALAIS ROYALE MARKETING
26,908.80
260.00
0.00
5.23
0.00
0.00
27,174.03
0.00
27,174.03
0.00
280 POLICE BLOCK GRANTS
3,809.11
0.00
0.00
0.72
0.00
0.00
3,809.83
0.00
3,809.83
0.00
281 DEPT. COMMUNITY INVESTMENT - REV BONDS
27,070.27
0.00
0.00
5.13
0.00
0.00
27,075.40
0.00
27,075.40
0.00
289 HAZMAT
19,303.83
0.00
0.00
2.97
0.00
0.00
19,306.80
0.00
19,306.80
0.00
291 INDIANA RIVER RESCUE
110,819.16
17,500.00
13,193.67
19.86
0.00
0.00
115,145.35
0.00
115,145.35
0.00
292 POLICE GRANTS
98,125.00
0.00
0.00
0.00
0.00
0.00
98,125.00
0.00
98,125.00
0.00
294 REGIONAL POLICE ACADEMY
78,881.92
3,400.00
548.67
15.44
0.00
0.00
81,748.69
0.00
81,748.69
0.00
295 COPS MORE GRANT
105,846.03
930.00
979.80
20.10
0.00
0.00
105,816.33
0.00
105,816.33
0.00
299 POLICE FEDERAL DRUG ENFORCEMENT
276,102.27
27,926.16
3,390.00
75.92
0.00
0.00
300,714.35
0.00
300,714.35
0.00
404 COUNTY OPTION INCOME TAX
14,942,331.02
697,005.59
1,021,204.24
2,813.69
0.00
676,882.00
13,944,064.06
0.00
13,944,064.06
2,027,973.00
408 ECONOMIC DEVELOPMENT INCOME TAX
10,372,765.28
1,064,509.28
175,938.14
1,910.89
0.00
1,779,379.75
9,483,867.56
0.00
9,483,867.56
0.00
410 URBAN DEVELOPMENT ACTION GRANT (UDAG)
25,891.47
297.72
0.00
4.81
0.00
0.00
26,194.00
0.00
26,194.00
(2,027,973.00)
655 PROJECT RELEAF
959,610.26
37,198.43
1,903.22
179.13
0.00
250,000.00
745,084.60
0.00
745,084.60
0.00
705 POLICE K -9 UNIT
1,933.08
1.00
0.00
0.37
0.00
0.00
1,934.45
0.00
1,934.45
0.00
Total Special Revenue Funds
54,648,549.52
3,715,902.92
3,540,128.89
10,551.63
2,706,261.75
4,481,701.00
53,059,435.93
0.00
53,059,435.93
500,000.00
Debt Service Fund
313 HALL OF FAME DEBT SERVICE
(38,260.28)
5,955.68
0.00
0.00
0.00
0.00
(32,304.60)
0.00
(32,304.60)
0.00
Capital Project Funds
288 EMS / FIRE DEPARTMENT CAPITAL
5,349,680.01
343,917.48
276,679.73
1,077.43
0.00
500,000.00
4,917,995.19
0.00
4,917,995.19
0.00
377 PROFESSIONAL SPORTS DEVELOPMENT
764,977.99
34,458.00
0.00
142.62
0.00
0.00
799,578.61
0.00
799,578.61
0.00
401 COVELESKI STADIUM CAPITAL
26,793.21
0.00
0.00
5.08
0.00
0.00
26,798.29
0.00
26,798.29
0.00
403 ZOO ENDOWMENT
48,910.19
0.00
0.00
9.26
0.00
0.00
48,919.45
0.00
48,919.45
0.00
405 PARK NONREVERTING CAPITAL
471,734.86
8,586.74
31,387.87
79.21
0.00
0.00
449,012.94
0.00
449,012.94
0.00
406 CUMULATIVE CAPITAL DEVELOPMENT
791,710.84
3,837.88
42.00
158.72
0.00
0.00
795,665.44
0.00
795,665.44
0.00
407 CUMULATIVE CAPITAL IMPROVEMENT
(87,069.96)
0.00
0.00
0.00
0.00
0.00
(87,069.96)
0.00
(87,069.96)
0.00
412 MAJOR MOVES CONSTRUCTION
8,056,684.23
0.00
162,115.50
1,526.56
0.00
0.00
7,896,095.29
0.00
7,896,095.29
6,010,381.78
416 MORRIS PERFORMING ARTS CENTER CAPITAL
404,156.60
5,186.00
1,242.93
76.25
0.00
0.00
408,175.92
0.00
408,175.92
0.00
2013 April. controllers cash report.xls - Controllers Cash Report Page 2 of 6
City of South Bend
Controller's Cash Report
Month of: April 2013
434 CREED FUND
186,817.66
Opening
0.00
46.95
Interest
Transfers
Transfers
Ending
186,864.61
Total Cash &
Interfund Loans
Fund
Fund Name
Cash Balance
Receipts
Disbursements
Earned
In
Out
Cash Balance
Investments
Investments
(Borrowing)
434 CREED FUND
186,817.66
0.00
0.00
46.95
0.00
0.00
186,864.61
0.00
186,864.61
0.00
450 PALAIS ROYALE HISTORIC PRESERVATION
60,656.40
551.28
0.00
11.45
0.00
0.00
61,219.13
0.00
61,219.13
0.00
677 HALL OF FAME CAPITAL FUND
716,904.72
0.00
10,384.56
135.87
0.00
0.00
706,656.03
0.00
706,656.03
(706,656.03)
Total Capital & Debt Service Funds
16,753,696.47
402,493.06
481,852.59
3,269.40
0.00
500,000.00
16,177,606.34
0.00
16,177,606.34
5,303,725.75
Enterprise Funds
600 CONSOLIDATED BUILDING DEPARTMENT
196,572.49
74,582.70
81,057.46
38.67
0.00
0.00
190,136.40
0.00
190,136.40
0.00
601 PARKING GARAGES
929,096.93
86,020.40
253,514.66
169.17
0.00
0.00
761,771.84
0.00
761,771.84
0.00
610 SOLID WASTE OPERATIONS
951,859.42
421,396.32
374,468.96
183.76
0.00
235,000.00
763,970.54
0.00
763,970.54
0.00
611 SOLID WASTE CAPITAL
260.25
0.00
0.00
1.77
235,000.00
0.00
235,262.02
0.00
235,262.02
0.00
620 WATER WORKS OPERATIONS
1,840,534.83
1,304,912.31
1,030,422.29
303.78
734.23
196,350.06
1,919,712.80
0.00
1,919,712.80
0.00
622 WATER WORKS CAPITAL
4,135,581.88
0.00
1,782.27
783.83
0.00
0.00
4,134,583.44
0.00
4,134,583.44
0.00
623 WATERWORKS BOND CAPITAL
4,981,946.64
0.00
75,751.76
994.60
0.00
0.00
4,907,189.48
0.00
4,907,189.48
0.00
624 WATER WORKS CUSTOMER DEPOSIT
1,416,119.60
30,357.46
19,258.97
268.30
0.00
268.30
1,427,218.09
0.00
1,427,218.09
0.00
625 WATERWORKS SINKING FUND
516,345.52
0.00
0.00
84.28
170,953.00
84.28
687,298.52
0.00
687,298.52
0.00
626 WATER WORKS BOND RESERVE
1,389,586.36
534.06
534.06
257.00
25,397.06
0.00
1,415,240.42
0.00
1,415,240.42
0.00
629 WATER WORKS RESERVE - O & M
2,031,531.68
0.00
0.00
381.65
0.00
381.65
2,031,531.68
0.00
2,031,531.68
0.00
640 SEWER REPAIR INSURANCE
1,211,401.67
48,210.84
29,602.24
228.71
0.00
0.00
1,230,238.98
0.00
1,230,238.98
0.00
641 SEWAGE WORKS OPERATIONS
4,228,664.26
2,814,278.98
1,483,094.99
744.59
619.19
817,767.66
4,743,444.37
0.00
4,743,444.37
0.00
642 SEWAGE WORKS CAPITAL
8,006,028.36
0.00
50,895.32
1,524.85
0.00
0.00
7,956,657.89
0.00
7,956,657.89
0.00
643 SEWAGE WORKS RESERVE - O & M
3,292,599.55
0.00
0.00
619.19
0.00
619.19
3,292,599.55
0.00
3,292,599.55
0.00
645 2006 SEWER BOND
12.43
0.00
0.00
0.00
0.00
0.00
12.43
0.00
12.43
0.00
647 2007 SEWER BOND
19,065.75
0.00
13,615.64
3.62
0.00
0.00
5,453.73
0.00
5,453.73
0.00
649 SEWAGE WORKS BOND SINKING
3,279,634.33
0.00
1,080,894.79
601.55
814,243.77
0.00
3,013,584.86
0.00
3,013,584.86
0.00
650 CLAY SEWAGE WORKS OPERATIONS
697.37
0.00
0.00
0.14
0.00
0.00
697.51
0.00
697.51
0.00
651 2007B SEWER BOND
29,806.33
0.00
26,181.69
6.22
0.00
0.00
3,630.86
0.00
3,630.86
0.00
653 SEWAGE WORKS DEBT SERVICE RESERVE
9,721,388.60
0.00
2,434,563.49
0.00
3,523.89
0.00
7,290,349.00
0.00
7,290,349.00
0.00
658 2010 SEWER BOND CSO PLAN
100,723.62
0.00
63,650.67
19.76
0.00
0.00
37,092.71
0.00
37,092.71
0.00
659 2011 SEWER BOND
8,788,810.83
0.00
113,818.30
1,669.10
0.00
0.00
8,676,661.63
0.00
8,676,661.63
0.00
661 2012 SEWER BOND
23,160,447.33
0.00
206.00
4,388.34
0.00
0.00
23,164,629.67
0.00
23,164,629.67
0.00
664 2013 SEWER REFUND BOND
0.00
85,740.24
0.00
0.00
0.00
0.00
85,740.24
0.00
85,740.24
0.00
670 CENTURY CENTER
1,347,055.22
343,009.29
471,227.27
0.00
0.00
0.00
1,218,837.24
0.00
1,218,837.24
0.00
671 CENTURY CENTER CAPITAL
1,374,943.93
0.00
0.00
22.60
0.00
0.00
1,374,966.53
0.00
1,374,966.53
0.00
Total Enterprise Funds
82,950,715.18
5,209,042.60
7,604,540.83
13,295.48
1,250,471.14
1,250,471.14
80,568,512.43
0.00
80,568,512.43
0.00
Internal Service Funds
222 CENTRAL SERVICES
1,066,033.88
1,121,462.95
1,162,386.48
188.41
0.00
0.00
1,025,298.76
0.00
1,025,298.76
0.00
226 LIABILITY INSURANCE
5,495,743.86
249,295.15
257,464.16
1,030.60
0.00
0.00
5,488,605.45
0.00
5,488,605.45
0.00
278 TAKE HOME VEHICLE POLICE
425,808.59
9,500.00
0.00
79.55
0.00
0.00
435,388.14
0.00
435,388.14
0.00
711 SELF - FUNDED EMPLOYEE BENEFITS
7,197,276.44
1,005,024.72
881,674.93
1,433.74
0.00
0.00
7,322,059.97
0.00
7,322,059.97
0.00
713 UNEMPLOYMENT COMP FUND
136,104.51
28,437.50
5,664.12
24.43
0.00
0.00
158,902.32
0.00
158,902.32
0.00
Total Internal Service Funds
14,320,967.28
2,413,720.32
1 2,307,189.69
1 2,756.73
1 0.00
1 0.00
1 14,430,254.64
1 0.00
1 14,430,254.64
1 0.00
Trust & Agency Funds
701 FIREFIGHTERS PENSION
(32,607.42)
0.00
470,195.09
65.70
0.00
0.00
(502,736.81)
0.00
(502,736.81)
0.00
702 POLICE PENSION
676,621.76
80.19
540,394.82
214.04
0.00
0.00
136,521.17
0.00
136,521.17
0.00
703 POLICE /FIRE 1977 STATE PENSION
273.49
0.00
0.00
0.00
0.00
0.00
273.49
0.00
273.49
0.00
709 PAYROLLFUND
(242.11)
7,177,136.85
7,177,136.85
0.00
0.00
0.00
(242.11)
0.00
(242.11)
0.00
712 PUBLIC EMPLOYEES RETIREMENT FUND
695.88
0.00
0.00
0.00
0.00
0.00
695.88
0.00
695.88
0.00
718 STATE TAX DEDUCTION FUND
359,742.02
252,978.89
359,742.02
0.00
0.00
0.00
252,978.89
0.00
252,978.89
0.00
2013 April. controllers cash report.xls - Controllers Cash Report Page 3 of 6
City of South Bend
Controller's Cash Report
Month of: April 2013
725 MORRIS / PALAIS BOX OFFICE
2,824,727.29
Opening
0.00
0.00
Interest
Transfers
Transfers
Ending
3,274,156.99
Total Cash &
Interfund Loans
Fund
Fund Name
Cash Balance
Receipts
Disbursements
Earned
In
Out
Cash Balance
Investments
Investments
(Borrowing)
725 MORRIS / PALAIS BOX OFFICE
2,824,727.29
449,429.70
0.00
0.00
0.00
0.00
3,274,156.99
0.00
3,274,156.99
0.00
730 CITY CEMETERY TRUST
41,166.04
0.00
0.00
7.80
0.00
0.00
41,173.84
0.00
41,173.84
0.00
Total Trust & Agency Funds
3,870,376.95
7,879,625.63
8,547,468.78
287.54
0.00
0.00
3,202,821.34
0.00
3,202,821.34
0.00
Total City Funds
190,649,235.21
20,624,108.03
27,303,724.84
34,052.93
6,232,172.14
6,232,172.14
184,003,671.33
0.00
184,003,671.33
6,510,381.78
Redevelopment Commission Controlled Funds
31,484.38
0.00
470.00
5.96
0.00
0.00
31,020.34
0.00
31,020.34
0.00
Tax Increment Financing Funds
2,264,642.81
0.00
0.00
429.10
0.00
0.00
2,265,071.91
0.00
2,265,071.91
0.00
324 TIF REVENUE - AIRPORT
14,646,239.65
2,145,984.14
876,631.95
2,819.60
232.79
0.00
15,918,644.23
0.00
15,918,644.23
5,760,822.59
420 TIF DISTRICT - SBCDA GENERAL
1,582,650.94
233,015.25
242,078.32
4,492.91
329.01
0.00
1,578,409.79
0.00
1,578,409.79
0.00
422 TIF DISTRICT - WEST WASHINGTON
362,026.14
0.00
0.00
68.63
0.00
0.00
362,094.77
0.00
362,094.77
0.00
425 TIF LEIGHTON PLAZA
118,277.25
15,069.73
8,305.98
16.59
0.00
0.00
125,057.59
0.00
125,057.59
0.00
426 TIF CENTRAL MEDICAL SERVICE AREA
3,561,860.05
0.00
171,857.50
675.82
0.00
0.00
3,390,678.37
0.00
3,390,678.37
0.00
429 TIF NORTHEAST DISTRICT
2,191,363.80
0.00
0.00
415.33
0.00
0.00
2,191,779.13
0.00
2,191,779.13
0.00
430 TIF SOUTHSIDE DEVELOPMENT AREA #1
5,108,939.55
6,199.10
164,284.74
969.46
0.00
0.00
4,951,823.37
0.00
4,951,823.37
0.00
431 TIF SSDA #2 - ERSKINE COMM
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
432 TIF SSDA #3 - ERSKINE VILLAGE
5,789,769.15
0.00
0.00
990.88
0.00
0.00
5,790,760.03
0.00
5,790,760.03
0.00
435 TIF - DOUGLAS ROAD
65,627.26
0.00
0.00
12.47
0.00
0.00
65,639.73
0.00
65,639.73
(941,728.00)
436 TIF - NORTHEST RESIDENTIAL
1,937,158.68
0.00
0.00
367.24
0.00
0.00
1,937,525.92
0.00
1,937,525.92
(5,068,653.78)
Total Tax Increment Financing Funds
35,363,912.47
2,400,268.22
1,463,158.49
10,828.93
561.80
0.00
36,312,412.93
0.00
36,312,412.93
(249,559.19)
Redevelopment Funds
Opening
Interest
Accrued
Change in
Transfer In
Transfer out
Investment
Total Cash &
433 REDEVELOPMENT ADMINISTRATION GENERAL
31,484.38
0.00
470.00
5.96
0.00
0.00
31,020.34
0.00
31,020.34
0.00
439 CERTIFIED TECHNOLOGY PARK
2,264,642.81
0.00
0.00
429.10
0.00
0.00
2,265,071.91
0.00
2,265,071.91
0.00
454 AIRPORT URBAN ENTERPRISE ZONE
375,574.41
0.00
0.00
71.17
0.00
0.00
375,645.58
0.00
375,645.58
0.00
619 BLACKTHORN GOLF COURSE OPERATIONS
118,047.39
149,350.21
89,814.09
0.00
0.00
0.00
177,583.51
0.00
177,583.51
(6,260,822.59)
Total Redevelopment Funds
2,789,748.99
149,350.21
90,284.09
506.23
0.00
0.00
2,849,321.34
0.00
2,849,321.34
(6,260,822.59)
Debt Service Funds
Opening
Interest
Accrued
Change in
Transfer In
Transfer out
Investment
Total Cash &
315 AIRPORT 2003 DEBT RESERVE
1,038,904.00
0.00
0.00
196.91
0.00
196.91
1,038,904.00
0.00
1,038,904.00
0.00
317 COVELESKI BOND DEBT RESERVE
502,406.05
0.00
0.00
95.20
0.00
0.00
502,501.25
0.00
502,501.25
0.00
319 REDEVELOPMENT BOND - BLACKTHORN GOLF
0.00
0.00
0.00
35.88
0.00
35.88
0.00
0.00
0.00
0.00
328 SBCDA 2003 DEBT RESERVE
1,735,840.00
0.00
0.00
329.01
0.00
329.01
1,735,840.00
1,735,840.00
0.00
Total Debt Service Funds
3,277,150.05
0.00
0.00
657.00
0.00
561.80
3,277,245.25
0.00
3,277,245.25
0.00
0.00
Total Redevelopment Commission Funds
41,430,811.51
2,549,618.43
1,553,442.58
11,992.16
561.80
561.80
42,438,979.52
0.00
42,438,979.52
(6,510,381.78)
City Operations Total 232,080,046.72 23,173,726.46 28,857,167.42 46,045.09 1 6,232,733.94 1 6,232,733.94 1 226,442,650.85 0.00 1 226,442,650.85 0.00
Memo Item
Pooled Investment Account
Opening
Interest
Accrued
Change in
Transfer In
Transfer out
Investment
Total Cash &
Balance
Net of Fees
Income
Asset Value
from Depository
to Depository
Balance
Investments
1st Source Bank Investment Account
175,1 1 1,435.93
48,973.12
23,176.08
39,263.00
0.00
30,172.03
175,192,676.10
175,192,676.10
2013 April. controllers cash report.xls - Controllers Cash Report Page 4 of 6
City of South Bend
Cash Balance Report
Period Ending: April 2013
Account Bank Account Current Prior Q3 Q2 Q1 Prior
Month I Month September June March December
City Controlled Bank Accounts
City Cash Total 213,911,906.51 1 217,502,234.72 1 - - 217,502,234.72 1 243,214,715.19
Century Center Controlled Accounts
1st Source
Depositoty
213,667,549.61
216,877,249.25
216,877,249.25
241,096,766.64
1st Source
Payroll
268,654.82
258,278.10
258,278.10
145,031.81
1st Source
Disbursement
1,377,106.36
982,172.88
982,172.88
402,349.78
xxxx
1st Source
Police Grant
-
-
-
-
1st Source
Police Grant 299
300,714.35
276,102.27
276,102.27
335,340.82
1st Source
Section 108 OPW
-
-
-
-
1 st Source
Benefits
26,118.92
26,118.92
26,118.92
26,118.92
1st Source
Section 108 -8 Custodial
-
-
-
-
1st Source
Section 108 -8 Loan
186,864.61
186,817.66
186,817.66
223,586.53
1st Source
Section 108 -8 Investment
-
-
-
-
Key Bank
C tury Center Capital
1 1,374,966.53
1,374,943.93
1,374,943.93
1,274,877.44
xxxx
xxxx
I -
-
-
-
1st Source
lVariance
1 1,453.67
1 1,453.67
1
1
1 1,453.67
1 706.87
City Cash Total 213,911,906.51 1 217,502,234.72 1 - - 217,502,234.72 1 243,214,715.19
Century Center Controlled Accounts
CC Cash Total 1,218,837.24 1 1,347,055.22 1 - - 1,347,055.22 1 901,198.47
Bank of New York Mellon to Lake City
Key Bank
Op rating/ Petty Cash
988,320.47
1,159,759.97
1,159,759.97
781,675.43
Key Bank
Payroll
9,675.60
8,456.56
8,456.56
4,500.46
Key Bank
Event
220,841.17
178,838.69
178,838.69
115,022.58
xxxx
xxxx
xxxx
125,439.30
65,903.18
65,903.18
43,727.28
CC Cash Total 1,218,837.24 1 1,347,055.22 1 - - 1,347,055.22 1 901,198.47
Bank of New York Mellon to Lake City
xx Cash Total 11,311,907.10 1 13,230,756.78 - - 13,230,756.78 1 11,169,289.52
2013 April. controllers cash report.xls - Cash Balances Page 5 of 6
Fund 313
Cash with Fiscal Agent
2,933.69
2,933.69
2,933.69
9,710,816.93
Fund 425
Cash with Fiscal Agent
37,884.14
31,670.21
31,670.21
Fund 432
Cash with Fiscal Agent
561,092.69
561,092.69
561,092.69
Fund 619
Cash with Fiscal Agent
125,439.30
65,903.18
65,903.18
43,727.28
Fund 626
Cash with Fiscal Agent
23,575.18
23,041.12
23,041.12
9,999.93
Fund 653
1 Cash with Fiscal Agent
1 7,286,825.11
9,721,388.60
9,721,388.60
1,383,306.44
Fund 725
1 Cash with Fiscal Agent
1 3,274,156.99
2,824,727.29
2,824,727.29
21,438.94
xx Cash Total 11,311,907.10 1 13,230,756.78 - - 13,230,756.78 1 11,169,289.52
2013 April. controllers cash report.xls - Cash Balances Page 5 of 6
City of South Bend
Cash Balance Report
Period Ending: April 2013
Account Bank Account Current Prior Q3 Q2 Q1 Prior
Month I Month September June March December
Total Cash on Hand per General Ledger 226,442,650.85 1 232,080,046.72 1 - - 232,080,046.72 1 255,285,203.18
Adjustments
Century Center Event Account
Century Center Payroll Account
xxxx
xxxx
Total Adjustments
Cash per Controller's Cash Report 226,442,650.85 1 232,080,046.72 - - 232,080,046.72 1 255,285,203.18
2013 April. controllers cash report.xls - Cash Balances Page 6 of 6