Page 160 - Benbrook FY20 Approved Budget
P. 160

CITY OF BENBROOK 2019-20 ANNUAL BUDGET



                ACTIVITY SUMMARY                                                                                      FY 2019-20 BUDGET



                Division                                                               Department  Activity                               Account
                STAFF SERVICES                                 FINANCE                     FINANCE                                    01-21-01


                ACTIVITY DESCRIPTION:
                The Finance Department, under the direction of the Finance Director, is responsible for the financial management of the City.
                Financial management involves the administration of bonded debt, preparation of the Comprehensive Annual Financial Report
                (CAFR), and monthly monitoring of all City funds. The Finance Director is also responsible for billing and collecting all amounts due to
                the City. These funds include: delinquent taxes, street assessments, and various other receivables. The Finance Director also serves as
                the Budget Director, Purchasing Agent, and Risk Manager.


                ACTIVITY GOALS:
                • To prepare the Comprehensive Annual Financial Report by February 1.
                • To collect 100 % of all receivables.
                • To provide accurate and up-to-date financial information.
                • To process cash disbursements and revenue collection reports on a daily basis.

                ACTIVITY OBJECTIVES:
                • To monitor expenditures of all Activities supervised and remain within + or - 5% of each Activity's budget allocation.
                • To prepare the Comprehensive Financial Report and Approved by City Council by March 31.
                • To provide accurate and up-to-date financial information by the twelfth working day of each month.
                • To insure that all vouchers are processed and mailed by the tenth day of each month.



                ACTIVITY MEASUREMENTS:                                                        ACTUAL        ACTUAL      ESTIMATED    PROJECTED
                                                                                              2016-17       2017-18      2018-19       2019-20
                Percent of Budget Expended - General Fund                                          97.7%        94.6%        111.7%       100.0%
                Percent of Budget Expended - Activities Supervised                                 97.7%        98.6%        101.8%       100.0%
                Date CAFR Presented to City Council                                           3/16/2017     3/16/2017    3/15/2018     3/21/2019
                Number of Monthly Reports Ready by Fifth Working Day                                 12            12           12            12
                Percentage of Vouchers Processed and Mailed by 10th of Month                       100%          100%         100%          100%




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