Legislation Details

File #: RPT 26-048   
Section: Informational Report Status: Agenda Ready
Meeting Body: Council Budget and Finance Committee
Agenda Date: 5/20/2026 Final action:
Subject: Receive an Oral Report and Provide Comments on the Fiscal Year 2025-26 Monthly Budget Update
Attachments: 1. Attachment I Monthly Budget Update
Date Action ByActionResultAction DetailsMeeting DetailsVideo
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DATE:                     May 20, 2026

 

TO:                     Council Budget and Finance Committee

 

FROM:                     Director of Finance

 

SUBJECT

 

Receive an Oral Report and Provide Comment on the Fiscal Year 2025-26 Monthly Budget Update

 

RECOMMENDATION

 

That the Council Budget and Finance Committee (CBFC) receives an oral report and provides comments on the monthly budget versus actuals for the General Fund for the period ending April 30, 2026.

 

SUMMARY

 

The City has taken a number of measures to balance the Fiscal Year (FY) 2025-26 Operating Budget in the General Fund. At the CBFC meeting, staff will provide a budget versus actual report of revenue and expenses for the General Fund for the period ending April 30, 2026, including a highlight of monthly salary and benefits costs and overtime by department (police, fire, and other departments).

 

Staff is highlighting the following changes since the last CBFC presentation on March 18, 2026:

                     As part of preparing FY 2026-27 Budget, a deeper analysis was completed for all revenue, expenses, and transfers resulting in new changes to the FY 2025-26 budget

                     These changes were offset by increasing transfers into the General Fund from other funds especially workers compensation and available cash in the information technology fund to balance.

                     The Budget remains in balance but some items are at risk and further updates may be required.  Staff has planned for this possibility. 

 

Specific changes when comparing new forecast to the March 2026 report: 

                     Revenue is projected to be $2.3 million lower than February projections

                     After comprehensive review of special pays and payroll cycles, the projected salary and benefits budget was increased nearly $10 million

                     These changes were offset by reducing services and supplies, increasing transfers in from other funds especially workers compensation and available cash in the information technology internal service fund to balance.

                     Staff is continuing to monitor closely and will again increase transfers if required to end year with revenues balanced to expenses.  (This will happen after the end of the fiscal year and before year-end close.)

 

ATTACHMENTS

Attachment I                                          Monthly Budget Update General Fund and Measure C