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HomeMy WebLinkAboutNovember 2016 - Financial Statements12/21/2016
FYE 2015
Unaudited
FYE 2016
FYE 2017
Adjusted Budget
FYE 2017
Activity
(includes
encumbrances)
Total
Percent
to Date
Same Period
Last Fiscal Year
$ 158,070 $ 208,357 $ 306,202 $ 213,995 69.89% $ 115,862
280,372 294,293 347,271 229,579 66.11% 180,673
8,609 53,919 143,601 88,878 61.89% 83,889
- - - - -
247,154 205,162 246,945 122,270 49.51% 117,855
305,481 381,191 410,912 245,412 59.72% 125,848
833,532 811,001 855,992 450,027 52.57% 421,549
- - 415,000 112,996 27.23% -
79,320 81,438 103,488 41,485 40.09% 34,182
1,588,997 1,709,486 1,705,915 698,071 40.92% 647,169
153,360 158,173 154,225 58,897 38.19% 56,628
603,102 543,249 575,174 261,925 45.54% 212,139
839,486 1,523,150 1,722,386 539,201 31.31% 374,808
209,741 194,529 275,446 68,218 24.77% 59,217
3,736,788 3,667,427 2,953,950 906,184 30.68% 1,351,166
695,654 759,735 785,748 276,545 35.20% 307,793
1,726,510 1,787,734 1,865,057 955,653 51.24% 884,370
436,602 581,109 598,205 270,042 45.14% 255,795
10,205,366 9,677,549 9,834,891 3,692,794 37.55% 3,391,622
389,674 442,623 495,509 187,044 37.75% 161,447
- - - - -
1,607 26,924 19,237 5,921 30.78% 19,059
70,126 66,653 84,599 28,658 33.88% 25,464
- - - - -
1,389,574 1,624,091 1,814,053 654,940 36.10% 527,657
School Resource Officers - 682,489 745,546 275,267 36.92% 224,191
4,407,161 4,551,465 4,946,395 1,857,225 37.55% 1,715,357
765,164 730,739 878,974 340,155 38.70% 263,861
- - 60,000 58,000 96.67% -
4,080,768 4,414,723 6,014,275 2,384,570 39.65% 1,472,916
1,144,801 1,151,492 - 14 406,988
3,361,704 3,361,704 3,361,704 1,400,707 41.67% 1,680,853
431,707 438,575 484,308 181,341 37.44% 146,698
47,050 89,900 85,000 22,650 26.65% 13,100
4,516 6,886 5,040 2,547 50.54% 1,670
79,180 71,908 67,431 36,127 53.58% 27,297
236,688 - - - -
246,495 - - - 63,324
208,990 198,422 198,216 67,155 33.88% 70,901
161,801 178,736 190,599 78,928 41.41% 65,953
4,000 4,000 4,000 4,000 100.00% 4,000
112,289 101,648 111,585 - 32,316
458,253 509,983 575,000 134,066 23.32% 170,795
1,382,346 436,558 1,162,566 270,752 23.29% 154,224
1,362,552 1,309,860 1,403,293 558,099 39.77% 509,613
735 192 51,500 17,765 34.50% 2
57,241 32,171 34,606 8,434 24.37% 13,914
289,118 314,013 412,938 122,638 29.70% 82,056
25,623 24,494 30,400 8,191 26.94% 3,120
379 150 1,000 - 83
44,813 49,898 - - 16,069
60,321 76,776 70,921 27,991 39.47% 25,827
Human Resources
Facilities Maintenance
Register of Deeds
Information Technology
GIS
Sheriff
Campbell Deputies
Environmental Protection
Forestry Program
Economic/Physical Dev. App.
Industrial Development
JCPC Admin
Public Safety Appropriations
Emergency Telephone System
Radio System
Harnett Regional Jetport
Development Services
Community Development (BG)
Abandoned MFG Home
Cooperative Extension
CCR&R - Block Grant
Soil & Water
Department
Governing Body
Administration
General Services
Fleet Maintenance
Legal Services
Engineering
HARNETT COUNTY FINANCIAL SUMMARY REPORT
November, 2016
GENERAL FUND
CCR&R - United Way
Emergency Medical Service
Insurance - Retirees
Clerk of Court
Board of Elections
Finance
Medical Examiner
Parents As Teachers
Adolescent Parenting
Transportation
Transportation - Admin
Sheriff's Department Grants
Child Support Enforcement
Governor's Highway Safety
Communications
Jail
Emergency Services
Emergency Services Grant
Animal Services
Tax
EMS Transport
Rescue Districts
Harnett CJPP
U:\My Documents\Monthly Reports\2016 - 2017\November 2016 - Financial Statements.xlsx 1
12/21/2016HARNETT COUNTY FINANCIAL SUMMARY REPORT
November, 2016
GENERAL FUND
FYE 2015
Unaudited
FYE 2016
FYE 2016
Adjusted Budget
FYE 2017
Activity
(includes
encumbrances)
Total
Percent
to Date
Same Period
Last Fiscal Year
- 72,035 52,273 16,969 32.46% 14,869
50,723 - - - -
- 4,034 2,071 400 19.31% 1,191
14,200 - - - -
- 30,035 32,325 6,825 21.11% 9,389
307,602 315,244 318,319 115,037 36.14% 114,824
64,108 61,164 65,925 26,669 40.45% 23,707
77,658 77,511 78,954 29,947 37.93% 27,601
328,753 329,421 353,410 126,491 35.79% 122,801
414,989 432,337 433,445 147,775 34.09% 165,769
6,014,268 6,082,878 7,087,881 2,165,834 30.56% 2,270,467
605,679 605,679 605,679 302,840 50.00% 302,840
10,155,398 10,324,942 12,224,040 4,889,464 40.00% 3,968,595
7,905,017 9,351,002 8,271,854 3,474,453 42.00% 3,436,968
178,634 180,399 186,475 78,475 42.08% 71,634
100,304 103,322 117,367 39,449 33.61% 38,655
90,780 136,805 50,000 20,482 40.96% 75,298
941,972 910,122 995,701 360,488 36.20% 337,211
150,000 153,000 185,000 150,000 81.08% -
403,871 435,005 861,680 365,177 42.38% 179,266
21,523,700 21,267,993 21,420,138 8,925,058 41.67% 8,861,664
- 280,707 - - 111,885
- - 1,252,000 1,055,200 84.28%-
928,467 993,967 1,019,467 424,778 41.67%458,734
- - 30,500 - -
- - 798,517 332,715 41.67%-
25,000 - - - -
- 70,000 - - -
$ 93,213,943 $ 95,752,177 $ 103,052,124 $ 41,019,883 39.80% $ 37,112,688
64,701 2,145,446 1,359,842 - 43,334
44,265,436 52,688,961 16,715,631 9,868,473 59.04% 16,088,184
- - 197,425 - -
$ 44,330,137 $ 54,834,407 $ 18,272,898 $ 9,868,473 54.01% $ 16,131,518
137,544,080$ 150,586,584$ 121,325,022$ 50,888,356$ 41.94%53,244,206$
Board of Education - teachers
Central Carolina - DOT
Central Carolina - health sciences
Cultural & Recreational App.
Parks & Recreation
Education
Special Programs
Subtotal - Operating
Expenditures
Subtotal Other Financing
Uses:
Department
Mental Health
Social Services
Public Assistance
Veteran's Services
Family Caregiver Support
RSVP
Interfund Transfers
Debt Service
Contingency
Total Expenditures
4-H Teen Court & At Risk
Child Care Youth Training
Race to the Top
Adolescent Parenting - BJRH
Department on Aging
Restitution
CAP - Disabled Adults
Nutrition for Elderly
Health
Board of Education - current
Board of Education - capital
Central Carolina - current
Central Carolina - capital
Central Carolina - works
Human Services App.
Library
U:\My Documents\Monthly Reports\2016 - 2017\November 2016 - Financial Statements.xlsx 2
12/21/2016HARNETT COUNTY FINANCIAL SUMMARY REPORT
November, 2016
GENERAL FUND
FYE 2015
Unaudited
FYE 2016
FYE 2017
Adjusted Budget
FYE 2017
Activity
Total
Percent
to Date
Same Period
Last Fiscal Year
53,930,707$ 55,087,379$ 55,606,980$ 29,829,059$ 53.64%29,163,650$
5,712,141 6,185,750 5,888,405 2,220,077 37.70%2,090,890
16,757,810 17,680,977 19,008,522 2,359,422 12.41%2,482,047
1,053,493 1,169,389 1,250,000 445,391 35.63%397,884
2,515,489 2,965,577 3,365,051 1,229,013 36.52%935,958
18,884,854 20,274,012 19,018,702 5,640,125 29.66%5,589,876
7,838,973 9,102,250 9,653,887 2,755,348 28.54%2,628,492
3,741,739 3,394,295 3,767,890 1,164,234 30.90%449,145
69,215 73,655 70,609 28,732 40.69%24,469
110,504,421 115,933,284 117,630,046 45,671,401 38.83%43,762,411
8,437 97,339 30,000 58,106 193.69%4,828
29,108,938 37,018,000 - - 5,938,000
322,415 7,501 2,818,010 - 7,501
- - 846,966 - -
29,439,790 37,122,840 3,694,976 58,106 1.57%5,950,329
139,944,211$ 153,056,124$ 121,325,022$ 45,729,507$ 37.69%49,712,740$
2,400,131$ 2,469,540$ (5,158,849)$ (3,531,466)
Investment Earnings
Subtotal - Operating
Revenues
Subtotal Other Financing
Sources:
Revenues over / (under)
expenditures
Other Financing Sources
Interfund Transfers
Fund Balance Appropriated
Total Revenues
Permits & Fees
Intergovernmental Revenue
Sales & Services
Other Revenues
Rents, Concessions & Fees
Ad Valorem Taxes
Motor Vehicles
Sales Tax
Other taxes
Revenues:
Real and Personal
U:\My Documents\Monthly Reports\2016 - 2017\November 2016 - Financial Statements.xlsx 3
12/21/2016HARNETT COUNTY FINANCIAL SUMMARY REPORT
November, 2016
GENERAL FUND
PNC Fidelity MBS NCCMT Total
November 2016 -$ 8,950,242$ 10,149,294$ 11,410,145$ 30,509,681$
October 2016 -$ 11,893,456$ 9,598,367$ 4,576,239$ 26,068,062$
September 2016 -$ 1,401,847$ 9,611,806$ 9,898,592$ 20,912,246$
August 2016 -$ -$ 10,830,323$ 13,870,895$ 24,701,218$
July 2016 -$ -$ 10,288,522$ 14,611,996$ 24,900,517$
June 2016 4,836,176$ -$ 10,288,522$ 15,052,435$ 30,177,132$
May 2016 -$ -$ 6,310,697$ 22,909,111$ 29,219,808$
April 2016 -$ -$ 5,910,697$ 28,256,262$ 34,166,959$
March 2016 3,888,938$ -$ 5,910,697$ 31,321,226$ 41,120,861$
February 2016 6,184,218$ -$ 5,460,397$ 29,217,771$ 40,862,386$
January 2016 10,575,231$ -$ 4,715,250$ 27,749,119$ 43,039,600$
December 2015 638,944$ -$ 4,715,250$ 27,050,869$ 32,405,064$
November 2015 -$ -$ 4,715,250$ 24,697,474$ 29,412,724$
Current Year Outstanding
Interest 3,797,212$ 36,234,829$
Principal 13,068,967 121,681,341
Transfers Out - -
16,866,179$ 157,916,170$
Debt Service and Transfer Requirements
Cash and Investments
$15,000,000
$25,000,000
$35,000,000
$45,000,000
Cash Flow
U:\My Documents\Monthly Reports\2016 - 2017\November 2016 - Financial Statements.xlsx 4
12/21/2016HARNETT COUNTY FINANCIAL SUMMARY REPORT
November, 2016
GENERAL FUND
2012 2013 2014 2015
Non Spendable 748,224$ 451,088$ 111,181$ 159,625$ 159,625$
Restricted 8,789,704$ 9,433,149$ 9,260,952$ 11,496,063$ 11,496,063$
Committed 574,133$ -$ -$ -$ -$
Assigned -$ -$ 3,193,811$ 2,600,000$ -$
Unassigned 13,212,441$ 17,959,942$ 18,732,095$ 19,417,388$ 26,017,388$
Total General Fund 23,324,502$ 27,844,179$ 31,298,039$ 33,673,076$ 37,673,076$
General Fund Expenditures 100,900,981$ 101,852,867$ 103,330,529$ 108,508,715$ 110,000,000$
13.09%17.63%18.13%17.89%23.65%
Assigned Fund Balance -
Unaudited
2016
In the governmental fund financial statements, fund balance is composed of five classifications designed to disclose the hierarchy of
constraints placed on how fund balance can be spent. They are as follows:
Non-Spendable Fund Balance - This classification includes amounts that cannot be spent because they are either (a) not in spendable
form or (b) legally or contractually required to be maintained intact.
Restricted Fund Balance - The classification includes amount that are restricted to specific purposes externally imposed by
creditors or imposed by law.
Committed Fund Balance -
This classification represents the portion of fund balance that can only be used for specific purposes
imposed by majority vote by a quorum of the County Commissioners, that can by adoption of an
ordinance, commit fund balance.
The Harnett County Board of Commissioners have approved a fund balance policy
which strives to maintain a minimum fund balance of 15%.
This classification represents the portion of fund balance that has not been assigned to another fund
or is not restricted, committed, or assigned to specific purposes within the general fund.
Unassigned Fund Balance
as a % of Expenditures
That portion of fund balance that the County intends to use for specific purposes. The County
Commissioners have the authority to assign fund balances.
Unassigned Fund Balance -
Estimated Fund Balance
1.00%
11.00%
21.00%
2012 2013 2014 2015 2016
13.09%17.63%18.13%17.89%23.65%
Fund Balance %
U:\My Documents\Monthly Reports\2016 - 2017\November 2016 - Financial Statements.xlsx 5
12/21/2016
FYE 2015
Unaudited
FYE 2016
FYE 2017
Adjusted Budget
FYE 2017
Activity
(includes
encumbrances)
Total
Percent
to Date
Same Period
Last Fiscal Year
6,369,116$ 4,601,220$ 4,309,421$ (214,877)$ 1,480,227$
3,965,881 4,376,387 5,000,402 1,642,520 32.85%1,576,039
1,908,016 2,048,055 2,711,883 863,687 31.85%619,110
1,869,169 2,088,743 2,720,882 673,866 24.77%678,371
3,607,800 4,119,584 4,564,365 1,610,430 35.28%1,242,979
3,006,906 2,805,819 3,752,961 1,201,707 32.02%995,684
20,726,888$ 20,039,808$ 23,059,914$ 5,777,333$ 25.05%6,592,410$
22,607,192 - - - -
6,395,389 9,327,623 - - -
5,106,266 5,230,476 6,717,809 1,508,390 22.45%1,280,945
34,108,847$ 14,558,099$ 6,717,809$ 1,508,390$ 22.45%1,280,945$
54,835,735$ 34,597,907$ 29,777,723$ 7,285,723$ 24.47%7,873,355$
FYE 2015
Unaudited
FYE 2016
FYE 2017
Adjusted Budget
FYE 2017
Activity
Total
Percent
to Date
Same Period
Last Fiscal Year
3,703$ 3,703$ 3,703$ -$ -$
30,134,602 32,563,219 29,448,080 12,749,658 43.30%14,314,730
2,023,403 4,130,449 275,000 119,798 43.56%475,089
172 2,105 - 678 -
32,161,880$ 36,699,476$ 29,726,783$ 12,870,134$ 43.29%14,789,819$
13,731,430 320,484 - - -
1,452,130 450,000 - - -
- - 50,940 - -
15,183,560$ 770,484$ 50,940$ -$ -$
47,345,440$ 37,469,960$ 29,777,723$ 12,870,134$ 43.22%14,789,819$
(7,490,295)$ 2,872,053$ 5,584,411$ 6,916,464$
Sales & Services
Other Revenues
Subtotal - Operating
Expenditures
Interfund Transfers
Depreciation
HARNETT COUNTY FINANCIAL SUMMARY REPORT
November, 2016
PUBLIC UTILITIES FUND
Department
Admin/CSR/Meter Services
Water Treatment
Wastewater Treatment
Wastewater Treatment SHWW
Distribution
Collections
Revenues over / (under)
expenditures
Rents, Concess. & Feees
Other Finance Sources
Interfund Transfers
Fund Balance Appropriated
Total Revenues
Subtotal Other Financing
Sources:
Debt Service
Subtotal Other Financing
Uses:
Subtotal - Operating
Revenues
Total Expenditures
Revenues:
Intergovernmental Revenue
U:\My Documents\Monthly Reports\2016 - 2017\November 2016 - Financial Statements.xlsx 6
12/21/2016HARNETT COUNTY FINANCIAL SUMMARY REPORT
November, 2016
PUBLIC UTILITIES FUND
PNC Lockbox NCCMT Total
November 2016 31,878,365$ 4,312,453$ 588,228$ 36,779,046$
October 2016 31,059,095$ 4,075,830$ 585,783$ 35,720,707$
September 2016 29,921,800$ 4,030,784$ 585,023$ 34,537,607$
August 2016 30,074,922$ 3,836,649$ 585,023$ 34,496,594$
July 2016 28,301,352$ 3,467,807$ 583,368$ 32,352,527$
June 2016 27,213,474$ 3,582,342$ 583,368$ 31,379,183$
May 2016 28,848,875$ 3,432,473$ 581,211$ 32,862,559$
April 2016 30,683,192$ 3,316,449$ 577,919$ 34,577,560$
March 2016 31,388,435$ 3,343,019$ 570,299$ 35,301,753$
February 2016 29,859,796$ 3,507,930$ 555,108$ 33,922,833$
January 2016 29,009,846$ 3,010,381$ 554,829$ 32,575,057$
December 2015 24,228,551$ 3,662,494$ 553,621$ 28,444,666$
November 2015 24,058,100$ 3,267,333$ 552,071$ 27,877,505$
Current Year Outstanding
Interest 2,739,111$ 26,581,443$
Principal 3,868,937$ 73,850,351
Transfers Out -$ -
6,608,048$ 100,431,795$
Cash and Investments
Debt Service and Transfer Requirements
$20,000,000
$30,000,000
$40,000,000
Cash Flow
U:\My Documents\Monthly Reports\2016 - 2017\November 2016 - Financial Statements.xlsx 7
12/21/2016
FYE 2015
Unaudited
FYE 2016
FYE 2017
Adjusted Budget
FYE 2017
Activity
(includes
encumbrances)
Total
Percent
to Date
Same Period
Last Fiscal Year
4,555,419$ 5,170,892$ 5,828,818$ 1,914,522$ 32.85%1,906,398$
4,555,419$ 5,170,892$ 5,828,818$ 1,914,522$ 32.85%1,906,398$
1,396,177 - - - -
- - - - 113
345,724 445,290 - - -
529,747 540,939 544,828 249,883 45.86%16,906
2,271,648$ 986,228$ 544,828$ 249,883$ 45.86%17,019$
6,827,067$ 6,157,120$ 6,373,646$ 2,164,405$ 33.96%1,923,417$
FYE 2015
Unaudited
FYE 2016
FYE 2017
Adjusted Budget
FYE 2017
Activity
Total
Percent
to Date
Same Period
Last Fiscal Year
234,276$ 268,129$ 219,000$ 81,014$ 36.99%63,515$
25,000 133,790 61,000 - -
5,165,089 5,314,394 5,265,540 2,585,851 49.11%2,345,038
499,631 670,770 - 413 10,871
276 1,291 20,000 404 2.02%43
5,924,272$ 6,388,374$ 5,565,540$ 2,667,682$ 47.93%2,419,467$
1,402,161 917 - - -
- - - - -
- - 808,106 - -
1,402,161$ 917$ 808,106$ -$ -$
7,326,433$ 6,389,291$ 6,373,646$ 2,667,682$ 41.85%2,419,467$
499,366$ 232,171$ 503,277$ 496,050$
Rents, Concess. & Feees
Other Finance Sources
Subtotal - Operating
Revenues
Revenues:
Taxes
Intergovernmental Revenue
Sales & Services
Other Revenues
Depreciation
HARNETT COUNTY FINANCIAL SUMMARY REPORT
November, 2016
SOLID WASTE FUND
Subtotal Other Financing
Sources:
Revenues over / (under)
expenditures
Interfund Transfers
Subtotal - Operating
Expenditures
Subtotal Other Financing
Uses:
Interfund Transfers
Other Financing Uses
Debt Service
Department
Solid Waste
Total Expenditures
Fund Balance Appropriated
Total Revenues
U:\My Documents\Monthly Reports\2016 - 2017\November 2016 - Financial Statements.xlsx 8
12/21/2016HARNETT COUNTY FINANCIAL SUMMARY REPORT
November, 2016
SOLID WASTE FUND
PNC BB&T First Bank NCCMT Total
November 2016 723,455$ 703,192$ 649,795$ 159,310$ 2,235,752$
October 2016 143,512$ 679,050$ 628,517$ 78,246$ 1,529,324$
September 2016 -$ 623,360$ 608,194$ 78,246$ 1,309,800$
August 2016 596,631$ 637,923$ 589,976$ 78,243$ 1,902,774$
July 2016 706,906$ 613,495$ 567,589$ 4,902$ 1,892,893$
June 2016 953,476$ 595,845$ 549,127$ 4,902$ 2,103,350$
May 2016 1,030,073$ 577,211$ 534,532$ 254,500$ 2,396,316$
April 2016 1,106,636$ 555,533$ 517,182$ 185,532$ 2,364,882$
March 2016 1,322,008$ 533,722$ 501,869$ 185,532$ 2,543,131$
February 2016 1,453,177$ 504,847$ 477,173$ 60,920$ 2,496,117$
January 2016 1,838,468$ 495,010$ 469,484$ 123,226$ 2,926,188$
December 2015 1,157,547$ 482,090$ 451,079$ 123,226$ 2,213,942$
November 2015 795,755$ 469,359$ 439,402$ 123,226$ 1,827,742$
Current Year Outstanding
Interest 74,246$ 299,593$
Principal 314,023 2,599,133
Transfers Out - -
388,269$ 2,898,726$
Cash and Investments
Debt Service and Transfer Requirements
$1,000,000
$2,000,000
$3,000,000
Cash Flow
U:\My Documents\Monthly Reports\2016 - 2017\November 2016 - Financial Statements.xlsx 9
12/21/2016
FYE 2015
Unaudited
FYE 2016
FYE 2017
Adjusted Budget
FYE 2017
Activity
(includes
encumbrances)
Total
Percent
to Date
Same Period
Last Fiscal Year
29,000$ 21,000$ 32,000$ 7,000$ 21.88%7,000$
123,636 3,093,822 1,093,000 280,919 25.70%589,646
152,636$ 3,114,822$ 1,125,000$ 287,919$ 25.59%596,646$
FYE 2015
Unaudited
FYE 2016
FYE 2017
Adjusted Budget
FYE 2017
Activity
Total
Percent
to Date
FYE 2016
Activity
1,821,371$ 1,711,483$ 975,000$ 411,779$ 42.23%378,325$
250,795 441,714 150,000 69,911 46.61%106,600$
- - - -
2,072,166$ 2,153,197$ 1,125,000$ 481,690$ 42.82%484,925$
1,919,530$ (961,625)$ 193,771$ (111,721)$
PNC NCCMT Total
November 2016 2,582,294$ 1,211,772$ 3,794,066$
October 2016 2,487,719$ 1,211,772$ 3,699,491$
September 2016 2,533,314$ 1,211,772$ 3,745,086$
August 2016 1,669,764$ 1,211,772$ 2,881,536$
July 2016 1,705,014$ 1,211,772$ 2,916,786$
June 2016 1,624,481$ 1,211,772$ 2,836,253$
May 2016 1,692,068$ 1,211,772$ 2,903,840$
April 2016 1,643,553$ 1,211,772$ 2,855,325$
March 2016 1,711,933$ 1,211,772$ 2,923,705$
February 2016 1,532,422$ 1,211,772$ 2,744,194$
January 2016 1,556,134$ 1,211,772$ 2,767,906$
December 2015 1,193,599$ 1,211,772$ 2,405,371$
November 2015 1,273,094$ 1,211,772$ 2,484,866$
HARNETT COUNTY FINANCIAL SUMMARY REPORT
November, 2016
WORKER'S COMPENSATION FUND
Cash and Investments
Category
Fixed Cost
Claims Funded
Total Expenditures
Revenues:
Departmental Charge
Other revenues
Fund Balance Appropriated
Total Revenues
Revenues over / (under)
expenditures
$1,000,000
$2,000,000
$3,000,000
Cash Flow
U:\My Documents\Monthly Reports\2016 - 2017\November 2016 - Financial Statements.xlsx 10
12/21/2016HARNETT COUNTY FINANCIAL SUMMARY REPORT
November, 2016
WORKER'S COMPENSATION FUND
4,690,195$
18,305
Liability as of end of month 4,737,782$
Liability
65,892
# of Claims this
fiscal year 26
Liability as of July 1
Current year claims and
changes in estimates
Actual claim payments
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FYE 2015
Unaudited
FYE 2016
FYE 2017
Adjusted Budget
FYE 2017
Activity
(includes
encumbrances)
Total
Percent
to Date
Same Period
Last Fiscal Year
121,440$ 140,835$ 177,232$ 52,384$ 29.56%44,238$
121,440$ 140,835$ 177,232$ 52,384$ 29.56%44,238$
FYE 2015
Unaudited
FYE 2016
FYE 2017
Adjusted Budget
FYE 2017
Activity
Total
Percent
to Date
FYE 2016
Activity
228,950$ 242,612$ 177,232$ 60,825$ 34.32%97,675$
- - - - -
- - - - -
228,950$ 242,612$ 177,232$ 60,825$ 34.32%97,675$
107,510$ 101,777$ 8,441$ 53,437$
PNC NCCMT Total
November 2016 644,850$ 29,241$ 674,091$
October 2016 646,455$ 29,241$ 675,697$
September 2016 647,665$ 29,241$ 676,906$
August 2016 645,243$ 29,241$ 674,484$
July 2016 643,903$ 29,241$ 673,145$
June 2016 640,890$ 29,241$ 670,132$
May 2016 629,731$ 29,241$ 658,972$
April 2016 634,966$ 29,241$ 664,207$
March 2016 626,534$ 29,241$ 655,776$
February 2016 619,752$ 29,241$ 648,994$
January 2016 612,081$ 29,241$ 641,322$
December 2015 602,255$ 29,241$ 631,496$
November 2015 592,428$ 29,241$ 621,670$
Total Revenues
Cash and Investments
Revenues over / (under)
expenditures
Fund Balance Appropriated
HARNETT COUNTY FINANCIAL SUMMARY REPORT
November, 2016
EMPLOYEE CLINIC FUND
Department
Employee Clinic
Total Expenditures
Revenues:
Departmental Charge
Other revenues
$500,000
$600,000
$700,000
Cash Flow
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12/21/2016HARNETT COUNTY FINANCIAL SUMMARY REPORT
November, 2016
EMPLOYEE CLINIC FUND
# of Visits
November 2016 141
October 2016 116
September 2016 150
August 2016 145
July 2016 144
June 2016 162
May 2016 171
April 2016 149
March 2016 163
February 2016 159
January 2016 182
December 2015 196
November 2015 132
Employee Clinic Utilization
0
311
Health Prevention
# Flu shots
# Pneumonia shots
0
50
100
150
200
Patient Flow
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FYE 2015
Unaudited
FYE 2016
FYE 2017
Adjusted Budget
FYE 2017
Activity
(includes
encumbrances)
Total
Percent
to Date
Same Period
Last Fiscal Year
5,205,337$ 6,616,284$ 5,650,000$ 2,824,949$ 50.00%2,319,785$
655,329 634,709 795,000 294,457 37.04%381,478
1,507 8,355 10,000 2,382 23.82%7,174
5,862,173$ 7,259,348$ 6,455,000$ 3,121,788$ 48.36%2,708,437$
FYE 2015
Unaudited
FYE 2016
FYE 2017
Adjusted Budget
FYE 2017
Activity
Total
Percent
to Date
FYE 2016
Activity
6,687,178$ 6,737,032$ 6,443,000$ 3,007,241$ 46.67%2,688,100$
10,783 26,178 12,000 15,151 126.26%22,372
6,697,961$ 6,763,210$ 6,455,000$ 3,022,392$ 46.82%2,710,472$
835,788$ (496,138)$ (99,396)$ 2,035$
PNC NCCMT Total
November 2016 1,952,986$ 543,297$ 2,496,283$
October 2016 1,869,553$ 543,297$ 2,412,851$
September 2016 1,877,798$ 543,297$ 2,421,096$
August 2016 1,125,368$ 543,297$ 1,668,665$
July 2016 967,054$ 543,297$ 1,510,351$
June 2016 1,035,476$ 543,297$ 1,578,773$
May 2016 866,947$ 543,297$ 1,410,244$
April 2016 964,355$ 543,297$ 1,507,653$
March 2016 1,196,881$ 543,297$ 1,740,178$
February 2016 1,354,214$ 543,297$ 1,897,511$
January 2016 1,351,919$ 543,297$ 1,895,216$
December 2015 1,222,061$ 543,297$ 1,765,358$
November 2015 1,387,910$ 543,297$ 1,931,207$
HARNETT COUNTY FINANCIAL SUMMARY REPORT
November, 2016
MEDICAL INSURANCE FUND
Cash and Investments
Category
Paid Claims
Wellness
Total Expenditures
Revenues:
Medical Premium Equivilents
Other revenues
Total Revenues
Fixed Cost
Revenues over / (under)
expenditures
$1,000,000
$1,500,000
$2,000,000
$2,500,000
Cash Flow
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12/21/2016HARNETT COUNTY FINANCIAL SUMMARY REPORT
November, 2016
MEDICAL INSURANCE FUND
Employees &
Pre-65 Retirees
Total
MembershipNet Paid ClaimsFixed Cost
Loss
Ratio
Premium
Equivalent
November 2016 841 1,265 450,496.19$ 58,245.17$ 84.69%600,704.99$
October 2016 835 1,253 475,315.79$ 93,186.53$ 94.38%602,333.27$
September 2016 830 1,242 949,451.70$ 58,166.03$ 161.13%625,355.69$
August 2016 827 1,238 472,478.84$ 58,462.25$ 86.09%616,736.38$
July 2016 830 1,237 567,120.08$ 117,732.75$ 110.73%618,468.30$
June 2016 826 1,201 749,785.30$ (48,146.18)$ 112.65%622,838.33$
May 2016 821 1,195 644,458.97$ 18,765.56$ 121.42%546,217.69$
April 2016 819 1,190 846,544.07$ 59,316.96$ 166.24%544,921.50$
March 2016 824 1,192 613,689.61$ 55,057.79$ 122.98%543,783.54$
February 2016 829 1,199 476,696.71$ 57,028.00$ 97.08%549,770.71$
January 2016 820 1,191 418,525.31$ 56,097.08$ 86.93%545,957.33$
December 2015 812 1,177 448,829.22$ 52,614.19$ 92.18%544,006.75$
November 2015 808 1,173 531,699.65$ 59,136.25$ 108.27%545,697.46$
8251,2157,645,091.44$ 695,662.38$ 111.11%7,506,791.94$
Medical Paid Claims Summary
Year to Date (membership
= avg)
50%75%100%125%150%
175%
Medical Plan Loss Ratio
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FYE 2015
Unaudited
FYE 2016
2016 - 2017
Adjusted Budget
FYE 2017
Activity
(includes
encumbrances)
Total
Percent
to Date
Same Period
Last Fiscal Year
306,584$ 296,421$ 500,000$ 163,144$ 32.63%116,744$
35,323 36,698 45,000 14,451 32.11%15,168
341,907$ 333,119$ 545,000$ 177,595$ 32.59%131,912$
FYE 2015
Unaudited
FYE 2016
2015 - 2016
Adjusted Budget
FYE 2016
Activity
Total
Percent
to Date
FYE 2016
Activity
544,448$ 369,211$ 545,000$ 188,229$ 34.54%149,283$
- - - - -
544,448$ 369,211$ 545,000$ 188,229$ 34.54%149,283$
202,541$ 36,092$ 10,634$ 17,371$
PNC NCCMT Total
November 2016 280,718$ -$ 280,718$
October 2016 278,083$ -$ 278,083$
September 2016 283,750$ -$ 283,750$
August 2016 269,750$ -$ 269,750$
July 2016 278,279$ -$ 278,279$
June 2016 270,084$ -$ 270,084$
May 2016 262,899$ -$ 262,899$
April 2016 259,621$ -$ 259,621$
March 2016 255,744$ -$ 255,744$
February 2016 262,475$ -$ 262,475$
January 2016 255,653$ -$ 255,653$
December 2015 257,742$ -$ 257,742$
November 2015 251,362$ -$ 251,362$
HARNETT COUNTY FINANCIAL SUMMARY REPORT
November, 2016
DENTAL INSURANCE FUND
Cash and Investments
Category
Paid Claims
Fixed Cost
Total Expenditures
Revenues:
Dental Premium Equivilents
Other revenues
Total Revenues
Revenues over / (under)
expenditures
$225,000
$250,000
$275,000
$300,000
Cash Flow
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12/21/2016HARNETT COUNTY FINANCIAL SUMMARY REPORT
November, 2016
DENTAL INSURANCE FUND
Total Employees
Total
MembershipNet Paid ClaimsFixed Cost
Loss
Ratio
Premium
Equivalent
November 2016 847 1,350 27,494.20$ 3,749.46$ 82.49%37,877.15$
October 2016 838 1,341 20,172.90$ 3,412.97$ 62.44%37,772.52$
September 2016 812 1,312 38,929.95$ 3,600.88$ 113.34%37,526.11$
August 2016 813 1,323 35,594.70$ 3,570.29$ 104.91%37,330.66$
July 2016 810 1,316 31,416.37$ 4,006.42$ 93.83%37,752.67$
June 2016 671 1,114 28,488.90$ 6,202.76$ 90.84%38,188.97$
May 2016 667 1,110 22,062.20$ 3,084.92$ 84.50%29,760.98$
April 2016 659 1,100 31,526.79$ 3,033.66$ 115.55%29,909.42$
March 2016 660 1,101 29,696.70$ 3,122.20$ 110.76%29,629.84$
February 2016 660 1,101 20,728.10$ 3,075.60$ 76.42%31,147.59$
January 2016 658 1,105 27,163.98$ 3,056.96$ 102.76%29,408.35$
December 2015 649 1,093 20,264.80$ 3,047.64$ 77.38%30,126.24$
November 2015 648 1,090 19,987.80$ 3,010.36$ 74.83%30,735.68$
7221,189353,527.39$ 45,974.12$ 91.38%437,166.18$
Dental Paid Claims Summary
Year to Date (membership
= avg)
50%
75%
100%
125%
Dental Plan Loss Ratio
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FYE 2015
Unaudited
FYE 2016
2016 - 2017
Adjusted Budget
FYE 2017
Activity
(includes
encumbrances)
Total
Percent
to Date
Same Period
Last Fiscal Year
102,207,084$ 122,184,895$ 44,601,764$ 36.50%
102,223,378$ 122,184,895$ 33,467,167$ 27.39%
-$ 16,295$ -$ (11,134,597)$ -$
19,279,878 26,535,338 10,657,759 40.16%
21,520,806 26,535,338 10,032,703 37.81%
-$ 2,240,928$ -$ (625,056)$ -$
9,658,731 14,353,150 4,117,142 28.68%
9,670,260 14,353,150 3,217,989 22.42%
-$ 11,528$ -$ (899,153)$ -$
2,990,946 1,020,323 -
2,681,150 1,020,323 142 0.01%
-$ (309,796)$ -$ 142$ -$
9,324,806 11,365,310 3,091,283 27.20%
9,246,428 11,365,310 2,750,157 24.20%
-$ (78,378)$ -$ (341,126)$ -$
292,697 330,250 137,048 41.50%
284,577 330,250 66,429 20.11%
-$ (8,120)$ -$ (70,619)$ -$
3,813,528 7,504,811 3,185,832 42.45%
4,694,184 7,504,811 1,436,017 19.13%
-$ 880,656$ -$ (1,749,815)$ -$
- 147,567,670 183,294,077 65,790,828 35.89%-
- 150,320,783 183,294,077 50,970,603 27.81%-
-$ 2,753,113$ -$ (14,820,225)$ -$
* Latest available numbers from the Board of Education's web site.
Capital Outlay Fund
Expenditures
Revenues
Expenditures
Revenues
Local Restricted Fund
Expenditures
Revenues
Total All Funds
Child Nutrition Fund
Expenditures
Revenues
Expenditures
Revenues
Dunn District Fund
Expenditures
Revenues
Local Current Expense Fund
Expenditures
Revenues
Federal Grant Fund
Expenditures
Revenues
State Fund
HARNETT COUNTY FINANCIAL SUMMARY REPORT
November, 2016 *
BOARD OF EDUCATION
Fund Group:
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12/21/2016HARNETT COUNTY FINANCIAL SUMMARY REPORT
November, 2016 *
BOARD OF EDUCATION
Capital
Outlay Total
November 2016 -$
October 2016 -$
September 2016 -$
August 2016 -$
July 2016 -$
June 2016 -$
May 2016 10,442,838$ 59,509$ 10,502,347$
April 2016 -$
March 2016 8,709,721$ 59,476$ 8,769,197$
February 2016 -$
January 2016 -$
December 2015 -$
November 2015 -$
ADM MLD ADM Change MLD Change
Month 1 20,483 20,615
Month 1 Revd 0 0
Month 2 0 0
Month 3 0 0
Month 4 0 0
Month 5 0 0
Month 6 0 0
Month 7 0 0
Month 8 0 0
Month 9 0 0
Final 0 0
Public School Membership
Fiscal Year 2016-2017
Initial Allotment
0
Cash and Investments
Local Currrent
Expense
$5,000,000
$7,000,000
$9,000,000
$11,000,000
Cash Flow
19,500
20,000
20,500
21,000
Harnett County School Membership
ADM
MLD
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