August 2023 Monthly Financial Report PREPARED BY Financial Accounting & Reporting Division August 31, 2023 To the Mayor and City Council: This is the City's Financial Report for August, the second month of fiscal year 2023-24. This financial report summarizes revenues and expenditures by major categories. The report consists of three sections: Expenditures by Program General Fund Presents a five-year history, including current year budget and actual, and variance and trend analysis for general fund expenditures. Citywide Presents a five-year history, including current year budget and actual, and variance and trend analysis for citywide expenditures. Revenues by Source Presents a current year budget-to-actual analysis as well as a three-year variance and trend analysis for various revenue sources. Financial Schedules General Fund Summary Presents comparisons of year-to-date balances to the fiscal year budget and to the actual results for the prior year for the general fund. Citywide Summary Presents the City's summarized comparisons of the year-to-date balances to the fiscal year budget and to the actual results for the prior year. Citywide Detail Presents, in detail, the results of the City's operations for the current month and for the fiscal year-to-date. Included are breakdowns of the City's revenues, operating budget expenditures, capital budget expenditures and bonds authorized and sold. Respectfully submitted, Kathleen Gitkin Chief Financial Officer Cynthia Bisdorf Acting Deputy Finance Director January 9, 2024 INDEPENDENT AUDITOR REPORT To the Chief Financial Officer, We have assessed the Finance Department’s (Finance) August 2023 Monthly Financial Report (MFR) in accordance with the agreed-upon procedures engagement between Finance and the City Auditor Department (Audit). Finance prepares a monthly, written report to the City Council detailing expenditures, revenues, and the City’s financial condition. Finance is responsible for compiling an accurate and complete MFR. Finance and Audit entered into an agreed-upon procedures engagement for the assessment of the MFR on September 7, 2023. The agreed-upon procedures include the following: Mathematically check calculations presented within the MFR. Confirm stated financial data presented within the MFR to historical data supplied by Finance. This agreed-upon procedures engagement was conducted in accordance with the attestation standards established by the American Institute of Certified Public Accountants (AICPA). Because the agreed-upon procedures listed above do not constitute an examination or a review, we will not express an opinion on the MFR as a whole. Had we performed additional procedures; other matters may have come to our attention which would have been reported. The sufficiency of the procedures is solely the responsibility of parties specified in the agreed-upon procedures engagement agreement. Based on the agreed-upon procedures, we verified that the presented financial data was mathematically accurate and tied to historical data presented in the MFR. Sincerely, Aaron Cook Deputy City Auditor City of Phoenix Monthly Financial Report August 2023 Table of Contents Expenditures by Programs Page Performance Status General Fund Expenditures General Fund Total Expenditures 1 Monitor and Consider Taking Action General Government 1 Monitor and Consider Taking Action Criminal Justice 1 Monitor and Consider Taking Action Public Safety 2 Monitor and Consider Taking Action Better than Expected Transportation 2 Community Development 2 Expected Community Enrichment 3 Better than Expected Environmental Services 3 Monitor and Consider Taking Action Citywide Expenditures Citywide Total Operating Expenditures 4 Better than Expected General Government 4 Monitor and Consider Taking Action Criminal Justice 4 Monitor and Consider Taking Action Public Safety 5 Monitor and Consider Taking Action Transportation 5 Better than Expected Community Development 5 Better than Expected Community Enrichment 6 Monitor and Consider Taking Action Environmental Services 6 Monitor and Consider Taking Action General Obligation Debt Service 6 Better than Expected Capital Expenditures CIP-General Government 7 CIP-Aviation 7 CIP-Phoenix Convention Center 8 CIP-Solid Waste Disposal 8 CIP-Wastewater 9 CIP-Water System 9 Revenues by Source General Fund Total Operating Revenue Page Performance Status 10 Monitor and Consider Taking Action Property Tax 11 Expected Local Sales Tax 12 Monitor and Consider Taking Action State Sales Tax 13 Better than Expected Vehicle License Tax 14 Monitor and Consider Taking Action Governmental Funds 15 Monitor and Consider Taking Action Aviation 16 Better than Expected Water System 17 Expected Wastewater 18 Monitor and Consider Taking Action Financial Schedules Page General Fund Revenue 19 General Fund Expenditures 20 Citywide Operating Revenue 21 Citywide Operating Expenditures 22 Citywide Operating Revenue by Source 23 Citywide Operating Expenditures by Program 26 Capital Expenditures and Encumbrances 28 Bonds Authorized and Sold 29 Notes: Performance Status Better than Expected - Positive variance of greater than 1% actual vs budget. Expected - Actual vs budget variance within 1% positive or negative. Monitor and Consider Taking Action - Negative variance greater than 1% actual vs budget. Corrective Action Taken - Negative variance greater than 1% actual vs budget, however the City has taken action to address the negative variance. General Fund Expenditures Expenditures from the City's General Fund for core functions such as Police, Fire, Parks, Streets and Social Services as well as administrative functions such as Mayor and Council, City Manager, Finance, and Human Resources. This does not include any expenditures from dedicated revenue streams such as grants, bonds, specifically dedicated taxes, and enterprise revenues. General Fund Year-To-Date Expenditures (In Thousands of Dollars) Refer to detailed financial schedules pages 19 thru 29 Total General Fund Expenditures Fiscal Year 19-20 20-21 21-22 22-23 23-24 August YTD Expenditures 236,388 233,679 263,952 297,592 371,818 Total General Fund Annual Expenditures * 1,282,831 1,371,152 1,470,251 1,623,808 1,955,421 % of Annual Expenditures 18.4% 17.0% 18.0% 18.3% 19.0% * For prior years -- total actual expenditures; for current year -- total approved budget net of adjustment for contingencies. $2,500,000 August YTD Expenditures $2,000,000 $1,500,000 $1,000,000 Annual Expenditures * $500,000 $0 19-20 Monitor and Consider Taking Action 20-21 21-22 22-23 23-24 In order to have a better comparison to prior year actuals, contingencies and vacancy savings will only be included in the annual budget to the extent that they have been spent. The general fund provides for core City functions that are not provided by dedicated revenue streams. It does not include services provided by dedicated taxes, grants, bond proceeds or enterprise fund revenues. Fiscal year 2023-24 budgeted general fund expenditures are 20.4% higher than the fiscal year 2022-23 actuals. Fiscal year 2023-24 actual general fund expenditures through August are 24.9% higher than the same period in fiscal year 2022-23. The increase is due to higher personal services (i.e., salaries, benefits, etc.), vehicle purchases, and insurance premiums in fiscal year 2023-24. General fund expenditures increased 10.4% in fiscal year 2022-23 over fiscal year 2021-22. This followed an increase of 7.2% from 2021-22 over 2020-21 and an increase of 6.9% from 2020-21 over 2019-20 fiscal results. General Government Fiscal Year 19-20 20-21 21-22 22-23 23-24 August YTD Expenditures 23,126 27,039 30,820 36,612 46,107 General Government Annual % of Annual Expenditures * Expenditures 18.8% 123,100 17.5% 154,211 19.0% 161,907 19.2% 190,945 19.7% 234,477 * For prior years -- total actual expenditures; for current year -- total approved budget net of adjustment for contingencies. $250,000 August YTD Expenditures $200,000 $150,000 $100,000 Annual Expenditures * $50,000 $0 19-20 Monitor and Consider Taking Action 20-21 21-22 22-23 23-24 General government expenditures include costs for administrative and internal service functions such as the Mayor and City Council, City Manager’s Office, City Auditor, Finance, Budget and Research, and Human Resources. Fiscal year 2023-24 budgeted general fund expenditures are 22.8% higher than the fiscal year 2022-23 actuals. Fiscal year 2023-24 actual general fund expenditures through August are 25.9% higher than the same period in fiscal year 2022-23. The largest driver accounting for increase year-over-year is Human Resource's $4.2 million charge for the Firefighters Cancer Reimbursement Fund Assessment. The largest driver accounting for the year-over-year increase in budget is $10 million in Information Technology. General fund expenditures increased 17.9% in fiscal year 2022-23 over fiscal year 2021-22. This followed an increase of 5.0% from 2021-22 over 2020-21 and an increase of 25.3% from 2020-21 over 2019-20 fiscal results. Criminal Justice Fiscal Year 19-20 20-21 21-22 22-23 23-24 Criminal Justice August YTD Expenditures Annual Expenditures * 6,145 6,278 6,837 7,364 8,168 35,033 36,162 40,008 42,361 45,265 % of Annual Expenditures 17.5% 17.4% 17.1% 17.4% 18.0% * For prior years -- total actual expenditures; for current year -- total approved budget net of adjustment for contingencies. $50,000 August YTD Expenditures $40,000 $30,000 Annual Expenditures * $20,000 $10,000 $0 19-20 Monitor and Consider Taking Action 20-21 21-22 22-23 23-24 Criminal Justice expenditures include costs for Municipal Courts and Public Defenders. Fiscal year 2023-24 budgeted general fund expenditures are 6.9% higher than the fiscal year 2022-23 actuals. Fiscal year 2023-24 actual general fund expenditures through August are 10.9% higher than the same period in fiscal year 2022-23. General fund criminal justice expenditures increased 5.9% in fiscal year 2022-23 over fiscal year 2021-22. This followed an increase of 10.6% from 2021-22 over 2020-21 and an increase of 3.2% from 2020-21 over 2019-20 fiscal results. 1 General Fund Year-To-Date Expenditures (In Thousands of Dollars) Refer to detailed financial schedules pages 19 thru 29 Public Safety Fiscal Year 19-20 20-21 21-22 22-23 23-24 Public Safety August YTD Expenditures Annual Expenditures * 158,022 155,386 175,495 190,834 242,085 893,403 925,920 992,648 1,082,562 1,222,556 % of Annual Expenditures 17.7% 16.8% 17.7% 17.6% 19.8% $1,500,000 August YTD Expenditures $1,200,000 $900,000 $600,000 Annual Expenditures * $300,000 * For prior years -- total actual expenditures; for current year -- total approved budget net of adjustment for contingencies. $0 19-20 Monitor and Consider Taking Action 20-21 21-22 22-23 23-24 Public Safety expenditures include costs for police and fire services. The anticipated increases are due to vehicle purchases and higher personal service expenditures for public safety employees in both the Police and Fire Departments, which includes City pension contributions. Fiscal year 2023-24 budgeted general fund public safety expenditures are 12.9% higher than the fiscal year 2022-23 actuals. Fiscal year 2023-24 actual general fund public safety expenditures through August are 26.9% higher than the same period in fiscal year 2022-23. General fund public safety expenditures increased 9.1% in fiscal year 2022-23 over fiscal year 2021-22. This followed an increase of 7.2% from 2021-22 over 2020-21 and an increase of 3.6% from 2020-21 over 2019-20 fiscal results. Transportation Fiscal Year 19-20 20-21 21-22 22-23 23-24 Transportation August YTD Expenditures Annual Expenditures * 2,127 2,020 2,000 6,904 5,045 19,748 22,144 23,166 24,827 25,473 % of Annual Expenditures 10.8% 9.1% 8.6% 27.8% 19.8% * For prior years -- total actual expenditures; for current year -- total approved budget net of adjustment for contingencies. $30,000 $25,000 August YTD Expenditures $20,000 $15,000 $10,000 Annual Expenditures * $5,000 $0 19-20 Better than Expected 20-21 21-22 22-23 23-24 Transportation expenditures include costs for public transit and street maintenance and repair. Prior to fiscal year 2018-19 Street Transportation Department charged expenses to the general fund and subsequently transferred some of those expenses to the Arizona Highway User Revenue fund (AHUR). Beginning in fiscal year 2018-19 Street Transportation is charging most expenses to AHUR while transferring a portion of those to the general fund. Fiscal year 2023-24 budgeted general fund transportation expenditures are 2.6% higher than the fiscal year 2022-23 actuals. Fiscal year 2023-24 actual general fund transportation expenditures through August are 26.9% lower than the same period in fiscal year 2022-23 due to the senior services shuttle program being discontinued. General fund transportation expenditures increased 7.2% in fiscal year 2022-23 over fiscal year 2021-22. This followed an increase of 4.6% from 2021-22 over 2020-21 and an increase of 12.1% from 2020-21 over 2019-20 fiscal results. Community Development Fiscal Year 19-20 20-21 21-22 22-23 23-24 August YTD Expenditures 3,803 3,820 4,526 5,040 6,171 Community Development Annual Expenditures * 22,542 24,114 28,225 32,420 39,424 % of Annual Expenditures 16.9% 15.8% 16.0% 15.5% 15.7% $50,000 August YTD Expenditures $40,000 $30,000 $20,000 Annual Expenditures * $10,000 * For prior years -- total actual expenditures; for current year -- total approved budget net of adjustment for contingencies. $0 19-20 Expected 20-21 21-22 22-23 23-24 Community Development expenditures include costs for economic development and neighborhood services. The fiscal year 2023-24 budgeted general fund community development expenditures are 21.6% higher than the fiscal year 2022-23 actuals. Fiscal year 2023-24 actual general fund community development expenditures through August are 22.4% higher than the same period in fiscal year 2022-23. General fund community development expenditures increased 14.9% in fiscal year 2022-23 over fiscal year 2021-22. This followed an increase of 17.0% from 2021-22 over 2020-21 and an increase of 7.0% from 2020-21 over 2019-20 fiscal results. 2 General Fund Year-To-Date Expenditures (In Thousands of Dollars) Refer to detailed financial schedules pages 19 thru 29 Community Enrichment Community Enrichment % of Annual Expenditures 23.9% 21.1% 21.7% 22.6% 22.1% $250,000 * For prior years -- total actual expenditures; for current year -- total approved budget net of adjustment for contingencies. $0 Fiscal Year 19-20 20-21 21-22 22-23 23-24 August YTD Expenditures 37,124 33,436 37,631 43,104 50,302 Annual Expenditures * 155,417 158,589 173,631 190,780 227,767 August YTD Expenditures $200,000 $150,000 $100,000 Annual Expenditures * $50,000 19-20 20-21 21-22 22-23 23-24 Better than Expected Community enrichment expenditures include costs for parks, recreational activities, senior centers and community centers. Fiscal year 2023-24 budgeted general fund community enrichment expenditures are 19.4% higher than the fiscal year 2022-23 actuals. Fiscal year 2023-24 actual general fund community enrichment expenditures through August are 16.7% higher than the same period in fiscal year 2022-23. The anticipated increase is due to higher contractual services related to parking management services and staffing fiscal year 2023-24. General fund community enrichment expenditures increased 9.9% in fiscal year 2022-23 over fiscal year 2021-22. This followed an increase of 9.5% from 2021-22 over 2020-21 and an increase of 2.0% from 2020-21 over 2019-20 fiscal results. Environmental Services Fiscal Year 19-20 20-21 21-22 22-23 23-24 August YTD Expenditures 4,571 4,961 5,855 5,998 9,575 Environmental Services Annual Expenditures * 19,180 20,905 26,508 28,329 38,527 % of Annual Expenditures 23.8% 23.7% 22.1% 21.2% 24.9% $40,000 August YTD Expenditures $30,000 $20,000 Annual Expenditures * $10,000 * For prior years -- total actual expenditures; for current year -- total approved budget net of adjustment for contingencies. $0 19-20 Monitor and Consider Taking Action 20-21 21-22 22-23 23-24 Environmental service expenditures include costs for maintaining and operating City facilities. Because environmental service expenditures are highly dependent on interdepartmental charges, they tend to be very volatile. Fiscal year 2023-24 budgeted general fund environmental services expenditures are 36.0% higher than the fiscal year 2022-23 actuals. Fiscal year 2023-24 actual general fund environmental service expenditures through August are 59.6% higher than the same period in fiscal year 2022-23. The largest factors increasing annual budget is additional personal services and commodities. General fund environmental expenditures increased 6.9% in fiscal year 2022-23 over fiscal year 2021-22. This followed an increase of 26.8% from 2021-22 over 2020-21 and an increase of 9.0% from 2020-21 over 2019-20 fiscal results. 3 Citywide Expenditures All expenditures of the City including those for enterprise functions and those related to dedicated revenue streams. Expenditures are reported in total and by program. Citywide Year-To-Date Expenditures (In Thousands of Dollars) Refer to detailed financial schedules pages 19 thru 29 Total Citywide Operating Fiscal Year 19-20 20-21 21-22 22-23 23-24 August YTD Expenditures 874,217 827,458 1,253,637 1,110,251 1,166,685 Total Citywide Annual Expenditures * 3,814,963 4,163,122 4,488,949 4,737,610 6,601,290 % of Annual Expenditures 22.9% 19.9% 27.9% 23.4% 17.7% * For prior years -- total actual expenditures; for current year -- total approved budget net of adjustments for contingencies and use of the early redemption fund. $8,000,000 August YTD Expenditures $6,000,000 $4,000,000 Annual Expenditures * $2,000,000 $0 19-20 Better than Expected 20-21 21-22 22-23 23-24 In order to have a better comparison to prior year actuals, contingencies and vacancy savings will only be included in the annual budget to the extent that they have been spent. Fiscal year 2023-24 budget includes program budgeted ARPA amounts. Without contingencies and vacancy savings, and including programs budgeted for ARPA the budget for fiscal year 2023-24 anticipates an increase of 39.3% over fiscal year 2022-23 actuals in total operating expenditures. Actual expenditures through August are 5.1% higher than the same period in the prior fiscal year. General Government Fiscal Year 19-20 20-21 21-22 22-23 23-24 August YTD Expenditures 24,476 35,888 31,149 39,804 49,785 General Government Annual Expenditures * 157,200 207,451 238,925 246,244 287,719 % of Annual Expenditures 15.6% 17.3% 13.0% 16.2% 17.3% $400,000 August YTD Expenditures $300,000 $200,000 Annual Expenditures * $100,000 * For prior years -- total actual expenditures; for current year -- total approved budget. $0 19-20 Monitor and Consider Taking Action 20-21 21-22 22-23 23-24 General government expenditures include costs for administrative and internal service functions such as the Mayor and City Council, City Manager's Office, City Auditor, Finance, Budget and Research, and Human Resources. Budget for fiscal year 2023-24 anticipates an increase of 16.8% over fiscal year 2022-23 actuals in total operating expenditures. Actual expenditures through August are 25.1% higher than the same period in the prior fiscal year. Criminal Justice Fiscal Year 19-20 20-21 21-22 22-23 23-24 August YTD Expenditures 7,922 7,766 8,027 8,529 9,567 Criminal Justice Annual Expenditures * 44,425 44,147 47,054 49,422 54,280 % of Annual Expenditures 17.8% 17.6% 17.1% 17.3% 17.6% $80,000 August YTD Expenditures $60,000 $40,000 Annual Expenditures * $20,000 * For prior years -- total actual expenditures; for current year -- total approved budget. $0 19-20 Monitor and Consider Taking Action 20-21 21-22 22-23 23-24 Criminal Justice expenditures include costs of the Municipal Court and the Public Defender’s Office. Citywide criminal justice budget for fiscal year 2023-24 anticipates an increase of 9.8% over fiscal year 2022-23 actuals in total operating expenditures. Actual expenditures through August are 12.2% higher than the same period in the prior fiscal year. 4 Citywide Year-To-Date Expenditures (In Thousands of Dollars) Refer to detailed financial schedules pages 19 thru 29 Public Safety Public Safety % of Annual Expenditures 17.3% 16.9% 17.1% 18.7% 19.9% $2,000,000 * For prior years -- total actual expenditures; for current year -- total approved budget. $0 Fiscal Year 19-20 20-21 21-22 22-23 23-24 August YTD Expenditures 191,885 190,077 210,417 252,696 307,896 Annual Expenditures * 1,110,457 1,122,901 1,228,901 1,354,421 1,547,732 August YTD Expenditures $1,600,000 $1,200,000 $800,000 Annual Expenditures * $400,000 19-20 20-21 21-22 22-23 23-24 Monitor and Consider Taking Action Public Safety expenditures include costs of Police, Fire and Emergency Management. Citywide public safety budget for fiscal year 2023-24 anticipates an increase of 14.3% over fiscal year 2022-23 actuals in total operating expenditures. Actual expenditures through August are 21.8% higher than the same period in the prior fiscal year. Transportation Fiscal Year 19-20 20-21 21-22 22-23 23-24 Transportation August YTD Expenditures 319,452 287,013 355,237 307,003 307,157 Annual Expenditures * 774,492 786,597 797,084 792,941 914,442 % of Annual Expenditures 41.2% 36.5% 44.6% 38.7% 33.6% $1,000,000 August YTD Expenditures $800,000 $600,000 $400,000 Annual Expenditures * $200,000 * For prior years -- total actual expenditures; for current year -- total approved budget. $0 19-20 Better than Expected 20-21 21-22 22-23 23-24 Transportation expenditures include costs for street lighting, maintenance and repair, Aviation and Public Transit. Citywide transportation budget for fiscal year 2023-24 anticipates an increase of 15.3% over fiscal year 2022-23 actuals in total operating expenditures. Actual expenditures through August are 0.1% higher than the same period in the prior fiscal year. Fiscal year 2021-22 financial results included a $70 million pension paydown. Community Development Fiscal Year 19-20 20-21 21-22 22-23 23-24 August YTD Expenditures 34,484 39,595 37,955 41,922 50,557 Community Development Annual Expenditures * 229,793 245,310 227,960 270,479 415,139 % of Annual Expenditures 15.0% 16.1% 16.6% 15.5% 12.2% $500,000 August YTD Expenditures $400,000 $300,000 $200,000 Annual Expenditures * $100,000 * For prior years -- total actual expenditures; for current year -- total approved budget. $0 19-20 Better than Expected 20-21 21-22 22-23 23-24 Community Development expenditures include costs for Neighborhood Services, Housing, Planning and Economic Development. Citywide community development budget for fiscal year 2023-24 anticipates an increase of 53.5% over fiscal year 2022-23 actuals in total operating expenditures. Actual expenditures through August are 20.6% higher than the same period in the prior fiscal year. 5 Citywide Year-To-Date Expenditures (In Thousands of Dollars) Refer to detailed financial schedules pages 19 thru 29 Community Enrichment % of Annual Expenditures 24.3% 21.8% 21.1% 24.3% 27.8% $600,000 * For prior years -- total actual expenditures; for current year -- total approved budget. $0 Fiscal Year 19-20 20-21 21-22 22-23 23-24 August YTD Expenditures 76,949 85,027 88,657 109,572 133,044 Community Enrichment Annual Expenditures * 316,680 390,805 420,501 450,218 478,454 August YTD Expenditures $450,000 $300,000 Annual Expenditures * $150,000 19-20 20-21 21-22 22-23 23-24 Monitor and Consider Taking Action Community Enrichment expenditures include costs for Parks, Libraries, the Convention Center, Senior Centers and Community Centers. Citywide community enrichment budget for fiscal year 2023-24 anticipates an increase of 6.3% over fiscal year 2022-23 actuals in total operating expenditures. Actual expenditures through August are 21.4% higher than the same period in the prior fiscal year. Environmental Services Environmental Services % of Annual Expenditures 17.8% 18.5% 19.7% 18.5% 19.1% $1,000,000 * For prior years -- total actual expenditures; for current year -- total approved budget. $0 Fiscal Year 19-20 20-21 21-22 22-23 23-24 August YTD Expenditures 123,096 136,109 148,594 153,804 175,764 Annual Expenditures * 692,524 734,733 752,386 830,101 918,863 August YTD Expenditures $750,000 $500,000 Annual Expenditures * $250,000 19-20 20-21 21-22 22-23 23-24 Monitor and Consider Taking Action Environmental Services expenditures include costs for Water, Wastewater and Solid Waste services as well as the care and maintenance of City facilities. Citywide environmental services budget for fiscal year 2023-24 anticipates an increase of 10.7% over fiscal year 2022-23 actuals in total operating expenditures. Actual expenditures through August are 14.3% higher than the same period in the prior fiscal year. Citywide Debt Service Expenditures Fiscal Year 19-20 20-21 21-22 22-23 23-24 August YTD Expenditures 21,731 22,138 21,903 98,327 22,667 Annual Expenditures * 130,839 131,938 131,081 207,854 136,900 General Obligation Debt Service % of Annual Expenditures 16.6% 16.8% 16.7% 47.3% 16.6% $240,000 August YTD Expenditures $180,000 $120,000 Annual Expenditures * $60,000 * For prior years -- total actual expenditures; for current year -- total approved budget net of credit for early redemption fund resources $0 19-20 20-21 21-22 22-23 23-24 Better than Expected General obligation debt service expenditures budget for fiscal year 2023-24 has a decrease of 34.1% over fiscal year 2022-23 actuals in total operating expenditures. Actual debt service expenditures through August 2023 are 76.9% lower than the same period in the prior fiscal year. Increases in fiscal year 2022-23 include a $75 million partial defeasance of General Obligation Refunding Bonds, Series 2014, and a $60 million pay-off of the Excise Tax Revenue Obligations Loan that was used to purchase the 100 W. Washington Street Building. 6 Capital Expenditures Expenditures for capital projects. These expenditures may come from designated capital funds such as bond proceeds or grants, or they may come from operating funds and be reported in both the operating and capital sections. Because of the long-term view used in capital budgeting and the volatility of capital spending, no performance status is provided unless capital spending exceeds the capital budget. Capital Expenditures (In Thousands of Dollars) Refer to detailed financial schedules pages 19 thru 29 20-21 21-22 22-23 23-24 (Budget) 23-24 (YTD) $ 684,798 $ 525,852 $ 494,744 $ 2,119,807 $ 19-20 General Government $ 500,745 Discussion: 94,809 General Government Major projects budgeted for in fiscal year 2019-20 included $131 million for pavement maintenance, $100 million on Light Rail, $57 million for Talking Stick Arena Renovations, $47 million on parks preserve development, community centers, and development, $45 million bus and vehicle purchases, and $18 million for major streets. 23-24 (YTD) 23-24 (Budget) 22-23 Major projects budgeted for in fiscal year 2020-21 included $115 million on the South Central Light Rail, $96 million for Talking Stick Arena renovations, $69 million on Northwest Light Rail extension, and $32 million to replace fare collection system. 21-22 20-21 Major projects budgeted for in fiscal year 2021-22 included $117 million on South Central Light Rail extension, $70 million on Northwest Light Rail extension, $29 million to design and constructing roadway and drainage near the 303 and Carefree Highway, $11 million replacement of Police Air Fleet, and $10 million street improvement near Pinnacle Peak and 35th to 45th Ave. 19-20 $0 $500 $1,000 $1,500 $2,000 $2,500 Major projects budgeted for in fiscal year 2022-23 included $248 million for Light Rail extension, construction, right-of-way and acquisition of property, $63 million for debt service/principal and interest for Aviation and Convention Center, $60 million to construct and complete major street projects, $53 million to purchase standard buses, design first corridor Bus Rapid Transit, and add an operational garage, $22 million on funds for construction cost of affordable housing, $21 million to improve three Pedestrian Hybrid Beacons, $18 million to procure and implement a Time and Labor System, and $2 million to acquire parcels along the Capitol and I-10 corridor. Additionally, there is $100 million in contingency budget for undetermined capital expenditures. Major projects budgeted for in fiscal year 2023-24 include $264 million for Light Rail extension, construction, right-of-way and acquisition of property, $116 million to purchase standard buses, design first and second corridors Bus Rapid Transit, $75 million to acquire parcels along the Capitol and I-10 corridor, $65 million for new parks construction, $101 million for major streets and bridges projects, $41 million on funds for construction cost of affordable housing, and $20 million to procure and implement a Time and Labor System. Additionally, there is $100 million in contingency budget for undetermined capital expenditures. 20-21 21-22 22-23 23-24 (Budget) 23-24 (YTD) $ 172,418 $ 115,395 $ 134,479 $ 1,192,245 $ 19-20 Aviation $ 254,523 67,134 Discussion: Aviation Major projects budgeted for in fiscal year 2019-20 included $90 million for PHX Terminal 4 South concourse and gates, $47 million for Runway, Apron and Taxiway Improvements, and $10 million for PHX Sky Train. 23-24 (YTD) 23-24 (Budget) 22-23 Major projects budgeted for in fiscal year 2020-21 included $51 million on Terminal 4 concourse, $24 million Terminal 4 Apron Concrete construction, $19 million garage demolition, and $13 million on the 24th St parking lot. 21-22 20-21 19-20 $0 $500 $1,000 $1,500 Major events budgeted for in fiscal year 2021-22 included $58 million in Aviation Bonds, $13 million in New Crossfield Taxiway, $6 million on Terminal 4 South 1 Concourse, and $5 million on Phoenix Sky Train. Major projects budgeted for in fiscal year 2022-23 included $11 million for a New Crossfield Taxiway, $34 million to modernize vertical and horizontal transportation equipment at Sky Harbor, $24 million to reconstruct the West Air Cargo Apron, $21 million to replace and relocate the police hangar at Phoenix Deer Valley Airport, $13 million to relocate Taxiway at Phoenix Deer Valley Airports, $12 million to replace Terminal 4 fire alarm/voice evacuation system, and $11 million to facilitate the acquisition of land on the North side of Phoenix Sky Harbor Airport. Additionally, the City budgets $176 million in contingencies for the Airport Development Plan. Major projects budgeted for in fiscal year 2023-24 include $315 million for Concourse Construction at Phoenix Sky Harbor Airport, $185 million for the new Crossfield Taxiway, $43 million to relocate the American Airlines baggage sorting facility, $41 million to modify West Air Cargo Building in support of new Crossfield Taxiway, and $23 million to reconstruct the West Air Cargo Apron. Additionally, the City budgets $377 million in contingencies for the Airport Development Plan. 7 Capital Expenditures (In Thousands of Dollars) Refer to detailed financial schedules pages 19 thru 29 20-21 21-22 22-23 $ 31,640 $ 84,751 $ 112,717 19-20 Phoenix Convention Center $ 52,148 23-24 (Budget) 23-24 (YTD) $ $ Discussion: 45,697 2,017 Phoenix Convention Center Beginning in fiscal year 2012-13, Phoenix Convention Center began making debt service payments on the State funded portion of the 2005 Convention Center bonds. The payments from the State are accumulated in a capital fund and the subsequent debt service payments are then made from the capital fund within the capital budget. The debt service payments totaled $24 million for fiscal year 202021. Major projects budgeted for in fiscal year 2021-22 included $47 million for the purchase of 100 West Washington Street. 23-24 (YTD) 23-24 (Budget) 22-23 21-22 Major projects budgeted for in fiscal year 2022-23 included $150 million to design and construct the second phase of building and garage renovations at 100 West Washington Street. 20-21 19-20 Major projects budgeted for in fiscal year 2023-24 include $34 million to design and construct the second phase of building and garage renovations at 100 West Washington Street. 19-20 Solid Waste $ 20-21 5,490 $ 8,796 $0 21-22 22-23 $ 28,986 $ 22,723 $50 23-24 (Budget) 23-24 (YTD) $ $ 38,135 $100 $150 6,264 Discussion: Solid Waste Major projects budgeted for in fiscal year 2019-20 Solid Waste included $3 million for transfer stations, $1 million at State Route 85, and $1 million for Skunk Creek as monitoring and maintenance. 23-24 (YTD) 23-24 (Budget) Major projects budgeted for in fiscal year 2020-21 Solid Waste included $4.5 million on Excavate and line Cell 2 at the State Route 85 Landfill, $1.2 million Dixileta payment replacement at self-haul area, and $1.1 million at the 27th Ave trommel machine. 22-23 21-22 Major projects budgeted for in fiscal year 2021-22 Solid Waste included $24 million on replacing and upgrading aging equipment at 27th Ave and North Gateway Transfer Stations Material Recovery Facilities. 20-21 19-20 $0 $15 $30 Major projects budgeted for in fiscal year 2022-23 included $10 million at transfer stations, $8.5 million at State Route 85 for excavating and lining along with methane gas extraction systems, and $3 million to purchase replacement vehicles. Additionally, the City budgeted $2.5 million in contingency funding for unexpected expenditures. $45 Major projects budgeted for in fiscal year 2023-24 include $9 million to excavate and line Cell 2 at the State Route 85 Landfill, $7 million to replace or upgrade aging equipment at the 27th Ave Material Recovery Facilities, and $3 million to purchase and install upgraded recycling equipment at the North Gateway Material Recovery Facility. Additionally, the City budgets $10 million for unexpected expenditures. 8 Capital Expenditures (In Thousands of Dollars) Refer to detailed financial schedules pages 19 thru 29 19-20 Wastewater $123,141 20-21 21-22 22-23 $ 77,339 $ 182,710 $147,620 23-24 (Budget) 23-24 (YTD) $ $ 381,836 Discussion: 35,094 Wastewater Major projects budgeted for in fiscal year 2019-20 included $42.0 million on sewer replacement and construction, $27.7 million on 91st Ave Waste Water Treatment Plant, $14.4 million at 23rd Ave, $13.1 million at Cave Creek, and $13.1 million on lift stations. 23-24 (YTD) 23-24 (Budget) Major projects budgeted for in fiscal year 2020-21 included $12.4 million on 91st Ave plant equipment, $10.1 million for 23rd Ave Grit Basin Replacement, $6.9 million Citywide to rehabilitate small diameter sewers, and $4.7 million for 23rd Ave equipment replacement. 22-23 21-22 Major projects budgeted for in fiscal year 2021-22 included $49.8 million on Lift Stations, $33.2 million on Dixileta Dobbins North Gravity Sewer, $22.7 million primarily rehabbing at 91st Ave, $16.3 million at 23rd Ave including designing and constructing a new grit basin, $6.6 million rehabbing small diameter sewers Citywide, $5.9 million rehabbing Cave Creek Reclamation Plant, $3 million 32nd Street sanity sewer between Cortez Street and Cactus Road, and $3.0 million for Sewer Relocation due to Light Rail. 20-21 19-20 $0 $100 $200 $300 $400 $500 Thousands Major projects budgeted for in fiscal year 2022-23 included $20 million on growth-related wastewater infrastructure in Desert View area, $17 million to replace and rehabilitate equipment used in solids thickening, $17 million to rehabilitate Plant 2 equipment at 91st Ave, $12 million to rehabilitate or replace large diameter sewers, $11 million 23rd Ave Grit Basin Replacement, $9 million to rehabilitate small sewers citywide, $5 million for rehabilitate or replacing PVC-lined concrete sanitary interceptors, and $4 million for Dixileta Dobbins North Gravity Sewer. In addition, the City has budgeted $165 million for contingencies. Major projects budgeted for in fiscal year 2023-24 include $50 million to rehabilitate equipment at Cave Creek, $29 million to replace and rehabilitate Plant 2 equipment at 91st Ave, $23 million to rehabilitate or replace PVC-lined concrete sanitary interceptors, $19 million to replace and rehabilitate equipment used in solids thickening, $16 million to rehabilitate small diameter sewers Citywide, $15 million to construct a new force main, $12 million for large growth-related infrastructure in the Desert View Impact fee area, and $11 million for the Northwest Wastewater Gravity Sewer. Additionally, the City has budgeted $66 million for contingencies. 19-20 Water System $ 252,146 20-21 21-22 22-23 $ 434,000 $ 205,485 $152,431 23-24 (Budget) 23-24 (YTD) $ $ 630,118 9,598 Discussion: Water System Major projects budgeted for in fiscal year 2019-20 included $84.3 million on water main replacement and construction, $55.9 million on Water Treatment Plants, and $38.9 million on wells. 23-24 (YTD) 23-24 (Budget) Major projects budgeted for in fiscal year 2020-21 included $153 million on water main from 24th Street treatment plant to 32nd St and Bell Road, $110 million on water boosters, and $20 million on transmission main rehabilitation. 22-23 21-22 20-21 19-20 $0 $200 $400 $600 $800 Major projects budgeted for in fiscal year 2021-22 included $47 million on Dixileta Dobbins to install water infrastructure, $21 million on relocating waterlines along the Light Rail, $15 million to provide power redundancy at 24th Street Water Treatment Plant, $12 million to repair and replace leaking water services from main to meter, and $9 million in underground aquifer water storage. Major projects budgeted for in fiscal year 2022-23 included $104 million for water engineering and construction labor, $51 million for the Southern/Northern Water Growth Projects for growth-related water infrastructure, $22 million at DVWTP to relocate existing chemical storage and related chemical feed pumping systems to upgrade and replace aging facilities, $17 million on underground Aquifer Water Storage, $12 million on Booster Pump Stations, $12 million Remote Facilities Rehab and Replacement, $11 million for 24th Street WTP rehabilitation, and $9 million to Acquire Additional Water Resources. Additionally, the City budgeted $105 million for Water contingencies. Major projects budgeted for in fiscal year 2023-24 include $85 million on booster pump stations, $25 million to install and upgrade water mains, $42 million for Deer Valley plant rehabilitation, $32 million for 24th Street treatment plant rehabilitation, $30 million for infrastructure construction in the Southern development impact fee area, $17 million for groundwater wells construction, $17 million on plant power redundancy at 24 th Street, $15 million for concrete reservoir rehabilitation, $15 million for construction improvements, and $12 million for aquifer storage recovery wells. Additionally, the City budgets $105 million for Water contingencies. 9 Revenues Sources of funds for the operations of the City including local taxes, state shared taxes, user fees and charges, and grants. General Fund Total Operating Revenue (In Thousands of Dollars) Refer to detailed financial schedules on pages 19 thru 29 General Fund Revenues $2,000,000 $1,600,000 August YTD Revenues $1,200,000 $800,000 Annual Revenues* $400,000 $0 19-20 Fiscal Year 19-20 20-21 21-22 22-23 23-24 20-21 21-22 22-23 23-24 August YTD Annual % of Annual Revenues Revenues* Revenues 174,497 1,307,357 13.3% 211,606 1,491,537 14.2% 225,630 1,508,526 15.0% 250,231 1,695,886 14.8% 247,312 1,833,837 13.5% * For prior years - total actual revenues, for current year - total approved budget Year to Date Performance Status Monitor and Consider Taking Action Fiscal year 2023-24 general fund operating revenues are budgeted to increase 8.1% over prior year actuals. Actual revenues through August are 1.2% lower than the same period in the prior fiscal year. Specific revenue sources are discussed on the following pages. 10 Property Tax Revenue (In Thousands of Dollars) Refer to detailed financial schedules on pages 19 thru 29 Property Taxes Primary & Secondary 360,000 320,000 280,000 131,092 126,148 240,000 119,973 115,069 107,555 Secondary 200,000 Primary 160,000 120,000 80,000 182,043 192,215 201,050 170,209 19-20 20-21 21-22 22-23 206,935 40,000 - Fiscal Year 19-20 20-21 21-22 22-23 23-24 YTD 23-24 Budget Total 277,764 297,112 312,188 327,198 (528) 338,027 July (1,141) (1,619) (1,490) (1,541) (1,819) (1,678) Aug 1,081 1,541 1,141 1,275 1,291 1,428 Sept 647 1,288 1,040 1,357 1,330 Oct 11,579 21,550 24,048 29,752 27,197 Nov 106,458 89,520 101,285 98,119 104,287 Dec 23,612 38,512 33,534 39,943 40,422 Jan 14,875 15,608 18,086 16,279 18,038 23-24 YTD Feb 7,447 6,612 6,889 7,687 7,648 Mar 8,185 9,456 8,972 10,370 10,395 Apr 12,116 15,171 15,063 15,618 16,550 23-24 Budget May 66,043 76,862 71,096 77,294 81,304 June 26,862 22,611 32,524 31,045 31,106 Primary Secondary 170,209 107,555 182,043 115,069 192,215 119,973 201,050 126,148 (329) (199) 206,935 131,092 Note: Monthly budget amount for 23-24 is the average % of last 3 fiscal years of the total actual amount. Year to Date Performance Status Expected Because property taxes are primarily collected in November, December, May and June, a monthly breakdown of the revenues is not particularly useful, therefore the chart for property tax revenues is presented with an annual perspective. Total property tax revenues are budgeted to increase 3.3% in fiscal year 2023-24 over fiscal year 2022-23 actuals. 11 Local Sales Tax Revenue (In Thousands of Dollars) Refer to detailed financial schedules on pages 19 thru 29 Local Sales Tax Budget vs Actual 90,000 80,000 70,000 60,000 19-20 Actuals 20-21 Actuals 50,000 21-22 Actuals 40,000 22-23 Actuals 23-24 Actuals 30,000 23-24 Budget 20,000 10,000 July Fiscal Year 19-20 20-21 21-22 22-23 23-24 23-24 Budget Aug July 33,070 41,583 44,048 43,479 65,562 46,969 Sept Aug 36,653 59,937 61,805 67,368 40,693 65,383 Oct YTD thru August 69,723 101,520 105,853 110,847 106,255 112,352 Nov Dec Jan Feb Mar Apr May June Sept 56,465 33,935 41,516 46,739 51,740 Oct 31,089 45,467 50,734 81,273 60,402 Nov 40,325 52,188 60,971 35,837 54,829 Dec 51,643 39,837 53,633 59,276 59,193 Jan 39,512 42,051 70,197 70,667 64,417 Feb 33,570 32,672 42,535 54,420 47,264 Mar 61,093 63,749 44,740 52,376 64,281 Apr 29,662 40,758 54,758 43,371 48,814 May 35,239 40,197 72,938 85,884 67,844 June 50,222 67,088 61,286 56,272 68,020 Year to Date Performance Status Monitor and Consider Taking Action Local Sales Tax for fiscal year 2023-24 are budgeted to increase 0.3% over fiscal year 2022-23 actual results. Year-to-date Local Sales Tax through August are 5.4% lower than budget expectations. City of Phoenix revenue is budgeted on an annual basis. Fiscal year 2023-24 monthly budget amounts are based on an allocation of the annual budget. Monthly budget amounts are calculated based on an allocation of fiscal year 2019-20 through fiscal year 2022-23 actual revenue. Through August fiscal year 2023-24 Local Sales Tax revenues decreased 4.1% compared to the same period in prior year. For the fiscal year 2022-23 Local Sales Tax for the full year increased 5.7% over fiscal year 2021-22. Fiscal year 2021-22 increased 17.8% over 2020-21 full year results. 12 State Sales Tax Revenue (In Thousands of Dollars) Refer to detailed financial schedules on pages 19 thru 29 State Sales Tax Budget vs Actual 35,000 30,000 25,000 19-20 Actuals 20-21 Actuals 20,000 21-22 Actuals 22-23 Actuals 15,000 23-24 Actuals 23-24 Budget 10,000 5,000 July Fiscal Year 19-20 20-21 21-22 22-23 23-24 23-24 Budget Aug July 20,116 22,912 26,539 28,422 31,080 28,837 Sept Aug 14,944 14,482 18,124 15,064 17,702 18,427 Oct YTD thru August 35,060 37,394 44,663 43,486 48,782 47,264 Nov Sept 11,479 13,123 16,285 22,937 18,783 Dec Jan Feb Mar Apr May June Oct 14,226 18,038 18,259 18,918 20,436 Nov 16,443 13,095 15,097 17,357 18,244 Dec 12,120 19,640 23,860 22,501 22,990 Jan 17,440 19,033 22,364 20,469 23,339 Feb 17,707 10,831 12,163 19,205 17,630 Mar 12,285 15,878 18,738 22,501 20,424 Apr 18,557 23,414 25,105 23,090 26,535 May 11,288 17,998 15,952 15,244 17,799 June 5,321 12,848 17,415 16,105 15,212 Year to Date Performance Status Better than Expected State Sales Tax for fiscal year 2023-24 are budgeted to increase 2.8% over fiscal year 2022-23 actual results. Year-to-date State Sales Tax through August are 3.2% higher than budget expectations. City of Phoenix revenue is budgeted on an annual basis. Fiscal year 2023-24 monthly budget amounts are based on an allocation of the annual budget. Monthly budget amounts are calculated based on an allocation of fiscal year 2019-20 through fiscal year 2022-23 actual revenue. Through August fiscal year 2023-24 State Sales Tax revenues increased 12.2% compared to the same period in prior year. For the fiscal year 2022-23 State Sales Tax for the full year increased 5.2% over fiscal year 2021-22. Fiscal year 2021-22 increased 14.2% over 2020-21 full year results. 13 Vehicle License Tax Revenue (In Thousands of Dollars) Refer to detailed financial schedules on pages 19 thru 29 Vehicle License Tax Budget vs Actual 14,000 12,000 19-20 Actuals 10,000 20-21 Actuals 21-22 Actuals 8,000 22-23 Actuals 6,000 23-24 Actuals 23-24 Budget 4,000 2,000 July Fiscal Year 19-20 20-21 21-22 22-23 23-24 23-24 Budget Aug July 10,791 10,098 10,453 10,826 10,796 11,665 Sept Aug 5,619 7,692 5,328 5,739 5,974 6,744 Oct Nov Dec Jan Feb Mar Apr May YTD thru August 16,410 17,790 15,781 16,565 16,770 18,409 Sept 5,207 6,207 6,363 6,274 6,653 Oct 6,146 7,328 6,970 6,676 7,502 Nov 5,408 4,608 4,862 5,183 5,549 Dec 5,891 6,529 6,537 6,555 7,057 Jan 6,514 7,328 7,285 6,684 7,693 Feb 6,528 5,568 5,828 6,276 6,694 Mar 5,960 6,411 6,418 7,297 7,216 June Apr 5,110 7,162 8,075 7,252 7,635 May 4,699 6,472 6,061 7,241 6,770 June 2,611 4,365 4,515 4,590 4,448 Year to Date Performance Status Monitor and Consider Taking Action Vehicle License Tax for fiscal year 2023-24 are budgeted to increase 6.2% over fiscal year 2022-23 actual results. Year-to-date Vehicle License Tax through August are 8.9% lower than budget expectations. City of Phoenix revenue is budgeted on an annual basis. Fiscal year 2023-24 monthly budget amounts are based on an allocation of the annual budget. Monthly budget amounts are calculated based on an allocation of fiscal year 2019-20 through fiscal year 2022-23 actual revenue. Through August fiscal year 2023-24 Vehicle License Tax revenues increased 1.2% compared to the same period in prior year. For the fiscal year 2022-23 Vehicle License Tax for the full year increased 2.4% over fiscal year 2021-22. Fiscal year 2021-22 decreased 1.3% over 2020-21 full year results. 14 Governmental Funds Revenue (In Thousands of Dollars) Refer to detailed financial schedules on pages 19 thru 29 Governmental Funds Revenues Budget vs Actual 600,000 500,000 19-20 Actuals 20-21 Actuals 21-22 Actuals 400,000 22-23 Actuals 23-24 Actuals 300,000 23-24 Budget 200,000 100,000 - Fiscal Year 19-20 20-21 21-22 22-23 23-24 23-24 Budget July Aug Sept Oct July 100,481 68,761 123,174 79,979 154,502 114,645 Aug 187,393 217,048 225,569 274,628 239,106 288,476 YTD thru August 287,874 285,809 348,743 354,607 393,608 403,121 Sept 194,506 260,275 185,901 211,185 272,566 Nov Oct 175,883 215,731 231,638 288,507 291,960 Dec Jan Nov 269,127 298,362 324,875 300,162 381,199 Feb Dec 226,582 236,818 253,979 275,549 318,233 Mar Jan 209,806 216,626 267,406 263,160 306,678 Apr May June Feb 187,061 178,738 199,258 246,172 260,842 Mar 217,521 272,444 230,537 255,008 312,903 Apr 180,484 316,241 255,574 243,521 321,256 May 226,625 277,929 320,064 419,779 399,467 June 378,887 362,173 540,197 497,001 581,656 Year to Date Performance Status Monitor and Consider Taking Action Governmental Funds are those funds supported primarily through taxes, bonds and grants and include the general fund as well as funds with dedicated tax revenue streams. They do not include the enterprise funds. Governmental Funds for fiscal year 2023-24 are budgeted to increase 14.8% over fiscal year 2022-23 actual results. Year-to-date Governmental Funds revenues through August are 2.4% lower than budget expectations. City of Phoenix revenue is budgeted on an annual basis. Fiscal year 2023-24 monthly budget amounts are based on an allocation of the annual budget. Monthly budget amounts are calculated based on an allocation of fiscal year 2019-20 through fiscal year 2022-23 actual revenue. Through August fiscal year 2023-24 Governmental Funds revenues increased 11.0% compared to the same period in prior year. For the fiscal year 2022-23 Governmental Funds for the full year increased 6.2% over fiscal year 2021-22. Fiscal year 2021-22 increased 8.1% over 2020-21 full year results. 15 Aviation Revenue (In Thousands of Dollars) Refer to detailed financial schedules on pages 19 thru 29 Aviation Operating Revenues Budget vs Actual 160,000 120,000 19-20 Actuals 20-21 Actuals 21-22 Actuals 80,000 22-23 Actuals 23-24 Actuals 23-24 Budget 40,000 July Fiscal Year 19-20 20-21 21-22 22-23 23-24 23-24 Budget Aug July 30,489 25,387 36,735 12,023 43,541 29,090 Sept Aug 32,307 2,666 33,945 37,402 46,444 29,559 Oct Nov Dec Jan Feb Mar Apr May June YTD thru August 62,796 28,053 70,680 49,425 89,985 58,649 Sept 32,953 27,193 28,302 34,042 34,054 Oct 32,056 21,045 31,904 41,419 35,148 Nov 33,532 23,880 36,031 66,192 44,381 Dec 36,787 31,636 35,025 25,237 35,777 Jan 34,297 18,059 57,391 46,228 43,364 Feb 34,215 61,877 33,583 57,291 51,980 Mar 34,228 25,487 38,417 45,866 40,034 Apr 27,255 31,454 40,080 48,930 41,069 May 23,524 30,668 46,367 46,926 41,004 June 10,702 91,844 155,860 112,245 103,048 Year to Date Performance Status Better than Expected Aviation Operating revenue for fiscal year 2023-24 are budgeted to decrease 7.9% over fiscal year 2022-23 actual results. Year-to-date Aviation Operating revenues through August are 53.4% higher than budget expectations. City of Phoenix revenue is budgeted on an annual basis. Fiscal year 2023-24 monthly budget amounts are based on an allocation of the annual budget. Monthly budget amounts are calculated based on an allocation of fiscal year 2019-20 through fiscal year 2022-23 actual revenue. Through August fiscal year 2023-24 Aviation Operating revenues increased 82.1% compared to the same period in prior year. For the fiscal year 2022-23 Aviation Operating revenues for the full year increased 0.0% over fiscal year 2021-22. Fiscal year 2021-22 increased 46.6% over 2020-21 full year results. 16 Water System Revenue (In Thousands of Dollars) Refer to detailed financial schedules on pages 19 thru 29 Water System Operating Revenues Budget vs Actual 90,000 80,000 70,000 60,000 19-20 Actuals 50,000 20-21 Actuals 21-22 Actuals 40,000 22-23 Actuals 30,000 23-24 Actuals 20,000 23-24 Budget 10,000 July Fiscal Year 19-20 20-21 21-22 22-23 23-24 23-24 Budget Aug July 52,660 57,819 58,256 60,867 79,474 74,381 Sept Oct Nov Dec Jan Feb Mar Apr May June Aug 51,596 53,509 42,379 49,237 60,009 63,729 YTD thru August 104,256 111,328 100,635 110,104 139,483 138,110 Sept 47,319 52,454 47,181 53,259 64,861 Oct 40,300 47,335 39,257 44,825 55,629 Nov 38,339 42,280 41,784 40,352 52,726 Dec 26,405 33,139 37,523 33,550 42,314 Jan 25,330 28,579 28,902 28,416 36,033 Feb 25,643 25,188 28,035 26,868 34,253 Mar 24,861 28,415 31,242 30,349 37,212 Apr 29,080 37,714 40,702 35,722 46,397 May 40,442 42,556 45,193 41,526 54,981 June 52,141 43,174 51,821 52,443 64,655 Year to Date Performance Status Expected Water System Operating revenues for fiscal year 2023-24 are budgeted to increase 26.1% over fiscal year 2022-23 actual results. Year-to-date Water System Operating revenues through August are 1.0% higher than budget expectations. City of Phoenix revenue is budgeted on an annual basis. Fiscal year 2023-24 monthly budget amounts are based on an allocation of the annual budget. Monthly budget amounts are calculated based on an allocation of fiscal year 2019-20 through fiscal year 2022-23 actual revenue. Through August fiscal year 2023-24 Water System Operating revenues increased 26.7% compared to the same period in prior year. For the fiscal year 2022-23 Water System Operating revenues for the full year increased 1.0% over fiscal year 2021-22. Fiscal year 2021-22 increased 0.0% over 2020-21 full year results. 17 Wastewater Revenue (In Thousands of Dollars) Refer to detailed financial schedules on pages 19 thru 29 Wastewater Operating Revenues Budget vs Actual 35,000 30,000 25,000 19-20 Actuals 20,000 20-21 Actuals 15,000 21-22 Actuals 22-23 Actuals 10,000 23-24 Actuals 23-24 Budget 5,000 July Fiscal Year 19-20 20-21 21-22 22-23 23-24 23-24 Budget Aug July 18,374 21,205 22,011 18,108 18,448 21,965 Sept Aug 24,593 22,791 21,971 22,936 22,257 25,436 Oct Nov Dec Jan Feb Mar Apr May June YTD thru August 42,967 43,996 43,982 41,044 40,705 47,401 Sept 21,373 21,844 26,947 19,029 24,582 Oct 20,975 22,234 18,312 22,401 23,129 Nov 21,142 18,577 21,720 25,044 23,835 Dec 20,888 24,461 24,380 19,691 24,644 Jan 22,063 18,430 22,218 26,128 24,484 Feb 20,973 24,355 21,916 25,503 25,561 Mar 21,613 21,754 23,023 22,405 24,472 Apr 18,428 21,584 24,091 21,595 23,618 May 23,948 20,085 22,296 23,607 24,786 June 18,289 17,424 17,973 28,591 22,676 Year to Date Performance Status Monitor and Consider Taking Action Wastewater Operating revenues for fiscal year 2023-24 are budgeted to increase 5.1% over fiscal year 2022-23 actual results. Year-to-date Wastewater Operating revenues through August are 14.1% lower than budget expectations. City of Phoenix revenue is budgeted on an annual basis. Fiscal year 2023-24 monthly budget amounts are based on an allocation of the annual budget. Monthly budget amounts are calculated based on an allocation of fiscal year 2019-20 through fiscal year 2022-23 actual revenue. Through August fiscal year 2023-24 Wastewater Operating revenues decreased 0.8% compared to the same period in prior year. For the fiscal year 2022-23 Wastewater Operating revenues for the full year increased 3.1% over fiscal year 2021-22. Fiscal year 2021-22 increased 4.8% over 2020-21 full year results. 18 General Funds Summary Presents comparisons of year-to-date balances to the fiscal year budget and to the actual results for the prior year for the general fund. General Fund Revenue As of AUGUST 31 (dollars in thousands) Budget Estimate 2023-2024 Actual Year-to-Date 2023-2024 2022-2023 Revenues Local Taxes Sales Taxes Privilege License Fees State Shared Taxes State Sales Tax State Income Tax Vehicle License Tax Primary Property Tax Licenses and Permits Cable Communications Municipal Court Fines and Forfeitures Court Default Fee Police Library Parks and Recreation Engineering & Architectural Services Planning & Development Street Transportation Fire Emergency Transportation Service Hazardous Materials Inspection Fee Other Interest Other Fees and Service Charges Total Revenues $ $ 699,157 3,005 106,255 $ 322 110,847 235 248,655 435,656 85,627 206,935 3,070 8,000 48,782 72,626 16,770 (329) 502 (136) 43,486 51,364 16,565 (164) 368 (123) 7,987 778 14,511 438 6,372 1,811 6,946 1,454 142 2,203 72 1,350 256 5,534 1,336 132 1,672 30 1,352 299 4,326 51,332 1,700 18,066 14,540 19,250 (21,215) 117 3,242 4,961 4,406 10,467 266 3,776 1,569 2,429 1,833,837 19 $ $ 247,312 $ 250,231 General Fund Expenditures As of AUGUST 31 (dollars in thousands) Budget Estimate 2023-2024 Actual Year-to-Date 2023-2024 2022-2023 Expenditures and Encumbrances General Government Mayor City Council City Manager Information Technology Services Public Information Equal Opportunity Law City Auditor City Clerk Human Resources Budget and Research Finance Others Total General Government $ 2,700 6,854 11,109 92,038 4,778 3,486 34,148 3,682 9,744 30,340 4,563 29,093 1,944 234,477 $ 442 $ 1,231 2,285 20,042 1,112 742 5,857 727 1,622 4,781 871 5,659 736 46,107 387 809 1,327 13,757 589 428 4,855 488 960 7,201 958 4,138 716 36,612 Criminal Justice Municipal Court Public Defender Total Criminal Justice 38,970 6,295 45,265 7,430 738 8,168 6,746 617 7,364 Public Safety Police Fire Others Total Public Safety 741,278 481,278 1,222,556 142,038 100,046 242,085 118,524 72,310 190,834 Transportation Street Transportation Public Transit Total Transportation 25,473 25,473 4,991 54 5,045 5,014 1,891 6,904 Community Development Economic Development Neighborhood Services Department Planning and Development Others Total Community Development 9,771 20,578 7,072 2,003 39,424 1,619 3,430 1,017 106 6,171 1,137 3,127 632 143 5,040 Community Enrichment Parks and Recreation Library Human Services Others Total Community Enrichment 128,060 49,528 40,944 9,235 227,767 27,883 11,330 7,479 3,610 50,302 21,521 12,887 6,315 2,381 43,104 Environmental Services Public Works Environmental Programs Others Total Environmental Services 36,023 1,789 715 38,527 9,051 321 204 9,575 5,671 190 138 5,998 Capital Improvement 121,932 4,365 1,735 Vacancy Savings (28,000) - - Contingencies Total Expenditures and Encumbrances 101,247 $ 20 2,028,668 $ - - 371,818 $ 297,592 Citywide Summary Presents the City's summarized comparisons of the year-to-date balances to the fiscal year budget and to the actual results for the prior year. Citywide Operating Revenue As of AUGUST 31 (dollars in thousands) Source General Funds Local Taxes: Sales Taxes Privilege License Fees State Shared Taxes: State Sales Tax State Income Tax Vehicle License Tax Primary Property Tax Licenses and Permits Cable Communications Municipal Court Police Library Fees Parks and Recreation Planning & Development Street Transportation Fire Interest Other Fees and Service Charges Budget Estimate 2023-2024 $ 699,157 3,005 Total General Funds Special Revenue and Debt Service Funds Neighborhood Protection Public Safety Enhancement & Expansion Parks and Preserves Golf Courses Transit 2000 & 2050 Court Awards Planning and Development Capital Construction Sports Facilities Highway User Revenue Regional Transit Revenues Community Reinvestment Other Restricted Fees Grants G.O. Bond/Secondary Property Tax Total Special Revenue and Debt Service Funds Enterprise Funds Aviation Convention Center Water System Wastewater Solid Waste Total Enterprise Funds Total Operating Revenues $ 106,255 $ 322 110,847 235 248,655 435,656 85,627 206,935 3,070 8,000 8,764 14,511 438 6,372 1,811 6,946 71,098 14,540 19,250 48,782 72,626 16,770 (329) 502 (136) 1,596 2,203 72 1,350 256 5,534 (17,857) 4,961 4,406 43,486 51,364 16,565 (164) 368 (123) 1,468 1,672 30 1,352 299 4,326 14,509 1,569 2,429 1,833,837 247,312 250,231 53,788 136,966 56,273 10,130 402,264 4,673 84,311 6,157 32,452 158,475 82,429 11,905 51,070 790,214 134,938 7,375 17,426 8,083 1,153 56,822 (3,717) 22,305 1,276 3,813 25,459 12,925 404 (168) (6,662) (199) 7,363 17,315 7,564 1,040 55,398 (660) 28,252 970 3,536 25,328 5,213 488 (6,619) (40,713) (98) 2,016,044 146,296 104,376 528,508 112,998 627,172 289,188 197,194 89,985 15,445 139,483 40,705 35,373 49,425 14,733 110,104 41,044 34,354 1,755,060 320,992 249,660 714,600 $ 604,267 5,604,941 21 Actual Year-to-Date 2023-2024 2022-2023 $ $ Citywide Operating Expenditures As of AUGUST 31 (dollars in thousands) Source General Government General Funds Other Funds Total General Government Actual Year-to-Date 2023-2024 2022-2023 Budget 2023-2024 46,107 $ 3,678 49,785 36,612 3,192 39,804 45,265 9,015 54,280 8,168 1,399 9,567 7,364 1,165 8,529 Public Safety General Funds Other Funds Total Public Safety 1,222,556 325,176 1,547,732 242,085 65,811 307,896 190,834 61,862 252,696 Transportation General Funds Other Funds Total Transportation 25,473 888,969 914,442 5,045 302,112 307,157 6,904 300,099 307,003 Community Development General Funds Other Funds Total Community Development 39,424 375,715 415,139 6,171 44,386 50,557 5,040 36,882 41,922 Community Enrichment General Funds Other Funds Total Community Enrichment 227,767 250,687 478,454 50,302 82,742 133,044 43,104 66,468 109,572 Environmental Services General Funds Other Funds Total Environmental Services 38,527 880,336 918,863 9,575 166,189 175,764 5,998 147,806 153,804 Debt Service General Funds Other Funds Total Debt Service 136,900 136,900 22,667 22,667 98,327 98,327 121,932 1,649,990 1,771,922 4,365 105,884 110,249 1,735 96,860 98,595 Non-Departmental Grants General Funds Other Funds Total Non-Departmental Grants 75,839 75,839 - - Vacancy Savings General Funds Other Funds Total Vacancy Savings (28,000) (28,000) - - Contingencies General Funds Other Funds Total Contingencies 101,247 75,500 176,747 - - 2,028,668 4,721,369 6,750,037 371,818 794,868 1,166,685 $ $ Criminal Justice General Funds Other Funds Total Criminal Justice Capital Improvement General Funds Other Funds Total Capital Improvement Total Operating General Funds Other Funds Total Operating Budget $ 234,477 53,242 287,719 22 $ $ 297,591 812,661 1,110,251 Citywide Detail Presents, in detail, the results of the City's operations for the current month and for the fiscal year-to-date. Included are breakdowns of the City's revenues, operating budget expenditures, capital budget expenditures and bonds authorized and sold. Citywide Operating Revenue by Source For the Month Ended AUGUST 31 2023 2022 Budget Estimate 2023-2024 Source Actual Year-to-Date 2023-2024 2022-2023 General Funds $ 67,368,304 100,133 Local Taxes: Sales Taxes Privilege License Fees 40,794,386 67,468,437 Total Local Taxes 702,162,501 106,576,767 111,081,971 17,702,520 36,312,872 5,974,602 15,064,895 25,681,940 5,738,117 State Shared Taxes: State Sales Tax State Income Tax Vehicle License Tax 248,655,000 435,656,000 85,627,000 48,782,181 72,625,744 16,770,277 43,486,444 51,363,879 16,564,509 59,989,994 46,484,952 769,938,000 138,178,202 111,414,832 795,771 788,357 Primary Property Tax 206,935,000 (328,573) (163,662) 40,692,120 102,266 $ $ Total State Shared Taxes 699,157,051 3,005,450 $ 106,254,589 322,178 $ 110,847,015 234,956 350,375 220,556 Licenses and Permits 3,070,000 501,905 367,560 1,924,143 2,177,185 Cable Communications 8,000,000 (135,857) (122,815) 764,539 71,863 697,197 73,176 Municipal Court: Fines and Forfeitures Court Default Fee 7,986,764 777,600 1,453,988 141,796 1,335,859 132,399 836,402 770,373 8,764,364 1,595,784 1,468,258 578,353 460,930 14,511,088 2,203,184 1,672,403 18,785 8,541 438,376 71,834 29,973 462,422 455,829 Parks and Recreation 6,371,912 1,349,510 1,352,045 118,974 142,992 Planning and Development 1,810,900 255,547 298,951 978,958 411,071 Street Transportation 6,946,062 5,534,052 4,325,692 Fire: Emergency Transportation Service Hazardous Materials Inspection Fee Other 51,332,000 1,700,000 18,066,317 (21,215,299) 116,500 3,242,069 10,466,815 266,050 3,775,772 71,098,317 (17,856,730) 14,508,637 1,568,504 Total Municipal Court Police Library Fees 8,052,864 65,200 2,715,132 30,799,737 185,900 1,163,938 10,833,196 32,149,575 2,468,683 851,893 Interest 14,539,712 4,960,666 2,389,161 926,430 Other Fees and Service Charges 19,250,440 4,405,651 2,429,136 122,539,603 153,317,121 1,833,836,672 247,311,942 250,231,485 Total Fire Total General Funds Special Revenue and Debt Service Funds 2,410,423 172,173 860,866 65,464 3,359,887 239,991 1,199,960 36,624 Neighborhood Protection: Police Neighborhood Protection Police Blockwatch Fire Neighborhood Protection Interest/Other 37,394,341 2,671,453 13,356,262 365,618 5,064,704 361,765 1,808,823 140,069 5,109,672 364,976 1,824,883 63,790 3,508,926 4,836,462 Total Neighborhood Protection 53,787,674 7,375,361 7,363,321 5,585,984 1,424,239 113,261 8,756,845 2,580,094 37,025 103,978,215 32,710,001 278,000 13,256,989 3,924,115 245,138 13,315,557 3,922,709 76,293 7,123,484 11,373,964 136,966,216 17,426,242 17,314,559 3,867,606 4,941,139 56,272,960 8,082,988 7,563,925 Public Safety Enhancement & Expansion: Police Fire Interest/Other Total Public Safety Enhancement & Expansion Parks and Preserves 23 Citywide Operating Revenue by Source For the Month Ended AUGUST 31 2023 2022 $ 350,471 235,911 15,988 46,567 $ Budget Estimate 2023-2024 Source 250,206 202,049 5,611 14,958 Golf Courses: Fees Coffee Shops Concessions Interest Other $ 6,566,050 3,022,550 45,000 496,615 Actual Year-to-Date 2023-2024 2022-2023 $ 603,891 431,296 32,420 85,350 $ 539,550 432,390 10,433 57,787 648,937 472,824 Total Golf Courses 10,130,215 1,152,957 1,040,160 23,477,843 2,887,265 32,715,970 2,076,597 Transit 2000 & 2050: Sales Taxes Interest/Other 364,772,821 37,490,765 49,415,839 7,406,108 49,770,953 5,626,549 26,365,108 34,792,567 402,263,586 56,821,947 55,397,502 - Total Transit 2000 & 2050 1,294,076 Court Awards 4,672,692 (3,716,515) (660,123) 6,535,748 10,746,264 Planning and Development 84,311,300 22,305,445 28,252,125 682,104 556,832 Capital Construction 6,157,424 1,276,216 969,896 1,618,237 259,729 1,731,159 79,259 Sports Facilities: Sales Taxes Interest/Other 28,487,629 3,964,315 3,299,936 512,606 3,393,095 143,040 1,877,966 1,810,418 Total Sports Facilities 32,451,944 3,812,542 3,536,135 11,901,505 447,304 21,842 12,469,214 152,582 14,860 Highway User Revenue: Highway User Revenue Interest Other 157,955,000 500,000 20,000 24,521,564 892,650 44,718 25,020,214 279,519 28,341 12,370,651 12,636,656 158,475,000 25,458,932 25,328,074 - - Total Highway User Revenue Local Transportation Assistance - - - 5,598,147 1,944,490 Regional Transit Revenues 82,428,550 12,925,066 5,212,692 237,823 158,348 Community Reinvestment 11,905,291 404,258 487,664 9,686,316 (613,843) Other Restricted Fees 51,069,507 (167,933) (6,618,776) 472,950 14,384,507 4,533,188 570,740 7,707,682 496,519 Grants: Public Housing: Rentals Grants Other 5,139,519 180,635,763 60,510,644 824,657 29,827,155 9,705,168 793,619 21,201,124 (2,077,433) 19,390,645 8,774,941 246,285,926 40,356,980 19,917,310 5,143,564 1,105,359 1,499,079 10,429,386 7,477,810 14,293,776 870,002 4,453,913 69,661,897 136,907,541 58,578,515 278,779,742 (675,704) (43,676,729) (4,451,489) 1,784,660 (2,376,037) (43,904,571) (6,087,951) (8,262,194) 18,177,388 27,095,501 Total Other 543,927,695 (47,019,262) (60,630,753) 37,568,033 35,870,442 Total Grants 790,213,621 (6,662,282) (40,713,443) 495,368 - 487,411 3,086 131,092,075 3,846,046 (199,274) - (101,781) 4,067 495,368 490,497 134,938,121 (199,274) (97,714) 116,566,217 121,311,136 2,016,044,101 146,295,950 104,375,997 Total Public Housing Other: Human Resources Federal Transit Administration Community Development Other G.O. Bond/Secondary Property Tax Secondary Property Tax Interest Total G.O. Bond/Secondary Property Tax Total Special Revenue and Debt Service Funds 24 Citywide Operating Revenue by Source For the Month Ended AUGUST 31 2023 2022 Budget Estimate 2023-2024 Source Actual Year-to-Date 2023-2024 2022-2023 Enterprise Funds AVIATION: $ 11,112,423 $ 32,148,597 1,601,872 354,074 330,128 363,308 533,830 8,365,069 27,543,172 398,645 347,479 271,852 282,580 192,938 46,444,232 37,401,735 Sky Harbor: Airlines Concessions Interest Other Phoenix-Goodyear Phoenix-Deer Valley Phoenix-Customer Facility Charge $ Total Aviation 132,626,916 374,531,216 8,130,000 3,270,252 2,984,888 3,584,906 3,380,000 $ 21,887,002 62,090,569 3,120,036 611,006 572,052 645,135 1,059,002 $ 17,269,769 53,303,021 708,717 (23,298,544) 528,861 564,505 348,768 528,508,178 89,984,802 49,425,097 86,163,389 25,634,387 1,200,000 10,922,568 3,740,900 781,630 11,263,510 3,310,175 159,442 112,997,776 15,445,098 14,733,127 567,565,219 5,000,000 9,382,054 10,703,646 6,200,000 7,213,000 21,108,100 111,206,137 509,459 3,303,937 1,404,586 815,700 1,972,993 20,270,527 102,707,285 544,645 3,047,176 2,084,248 1,232,280 711,920 (223,962) 627,172,019 139,483,339 110,103,592 CONVENTION CENTER: 5,088,355 1,819,724 397,661 7,263,806 1,555,076 88,664 7,305,740 8,907,546 Excise Taxes Operating Revenue Interest Total Convention Center WATER SYSTEM: 55,828,299 307,333 612,751 1,273,333 402,000 1,026,191 559,626 46,156,946 298,037 436,799 1,266,404 516,960 400,339 160,821 60,009,533 49,236,306 Water Sales Water Service Fees Distribution Intergovernmental Development Fees Interest Other Total Water System WASTEWATER: 17,932,141 1,973,134 400,020 1,006,463 946,092 17,676,366 2,127,621 480,900 388,207 2,262,308 Sewer Service Charges Multi-City Development Fees Interest Other 232,083,321 16,357,249 6,200,000 9,367,000 25,180,224 35,237,115 1,973,134 782,880 2,003,198 709,167 31,689,272 4,022,621 1,130,820 709,756 3,491,085 22,257,850 22,935,402 Total Wastewater 289,187,794 40,705,494 41,043,554 178,603,138 13,906,117 450,000 4,235,040 30,352,666 2,646,002 325,567 2,048,896 29,351,775 2,633,249 119,815 2,249,376 197,194,295 35,373,131 34,354,215 1,755,060,062 320,991,864 249,659,585 SOLID WASTE: $ 15,187,547 1,666,801 162,385 1,080,508 14,697,944 1,408,430 66,575 937,893 18,097,241 17,110,842 154,114,596 135,591,831 393,220,416 $ 410,220,088 Collection Fees Landfill Fees Interest Other Total Solid Waste Total Enterprise Funds Total Operating Revenues $ 25 5,604,940,835 $ 714,599,756 $ 604,267,067 Citywide Operating Expenditures by Program For the Month Ended AUGUST 31 2023 2022 Program Budget Estimate 2023-2024 2023-2024 Year-to-Date Operating Expenditures & Encumbrances Capital Operations and Debt Actual Year-to-Date 2023-2024 2022-2023 General Government $ 249,661 $ 801,828 1,462,662 7,731,989 118,634 843,545 524,172 3,975,874 364,952 617,457 2,918,998 364,247 15,506 541,591 4,413,549 504,849 235,335 477,630 813,766 10,769,385 107,268 385,110 260,518 3,378,188 281,234 690,441 1,851,442 304,081 13,326 506,479 2,773,794 105,800 25,449,513 22,953,797 Mayor $ City Council City Manager Information Technology Services Government Relations Public Information Equal Opportunity Law City Auditor City Clerk Human Resources Retirement Systems Phoenix Employment Relations Board Budget and Research Finance Regional Wireless Cooperative Total General Government 2,700,000 6,854,261 17,288,658 105,471,392 1,580,787 4,803,103 4,066,660 35,832,717 3,682,271 9,744,371 38,268,397 852,015 129,248 4,562,718 45,001,681 6,881,164 $ 442,485 1,230,568 2,449,896 22,305,985 276,834 1,115,102 838,133 6,222,802 726,708 1,622,428 4,888,243 557,446 26,973 870,870 7,980,038 (1,769,277) $ 386,981 808,877 1,442,425 15,738,620 267,401 653,155 516,525 5,196,481 487,991 959,979 7,297,393 476,478 23,533 958,233 5,412,670 (823,141) $ 442,485 1,230,568 2,449,896 20,211,183 276,834 1,115,102 838,133 6,222,802 726,708 1,622,428 4,781,163 557,446 26,973 870,870 6,014,769 (1,769,277) $ 2,094,801 107,080 1,965,268 - 287,719,443 49,785,234 39,803,599 45,618,084 4,167,150 47,984,830 6,295,331 8,828,309 738,227 7,911,677 617,489 7,776,262 738,227 1,052,047 - 54,280,161 9,566,535 8,529,166 8,514,488 1,052,047 980,679,674 567,051,944 - 189,981,386 117,914,188 - 162,288,245 90,407,643 289 189,640,695 117,575,395 - 340,691 338,793 - 1,547,731,618 307,895,575 252,696,177 307,216,090 679,485 Criminal Justice 5,345,576 565,494 4,334,540 494,906 5,911,069 4,829,446 Municipal Court Public Defender Total Criminal Justice Public Safety 106,555,696 56,759,996 - 88,824,024 54,323,521 - 163,315,692 143,147,545 Police Fire Other Total Public Safety Transportation 10,302,131 477,396 39,967,648 202,979,676 12,767,404 672,336 36,594,215 25,619,756 Street Transportation Street Lighting Aviation Public Transit 126,809,355 10,266,365 442,525,728 334,840,200 23,459,858 2,214,494 70,907,115 210,575,152 26,871,601 2,995,948 71,355,157 205,780,511 22,669,254 2,214,494 54,425,937 210,575,152 790,604 16,481,179 - 253,726,852 75,653,711 Total Transportation 914,441,648 307,156,620 307,003,216 289,884,838 17,271,783 Community Development 8,795,940 13,406,753 2,994,014 3,903,607 7,740,156 10,459,431 1,973,113 2,855,551 Planning and Development Housing Economic Development Neighborhood Services Department 96,602,351 199,791,557 27,666,019 91,078,576 15,346,009 24,233,517 4,592,457 6,385,290 13,573,194 19,792,503 3,291,548 5,264,603 15,346,009 24,138,332 3,617,416 6,385,290 95,184 975,041 - 29,100,314 23,028,251 Total Community Development 415,138,503 50,557,272 41,921,850 49,487,047 1,070,225 150,922,077 52,313,101 76,642,732 12,759,875 172,977,937 6,219,799 6,618,485 31,733,856 11,523,150 27,106,400 2,126,346 55,107,351 4,218,188 1,228,237 25,115,983 13,519,111 23,005,894 2,187,625 41,297,612 3,790,272 655,127 31,627,926 11,523,150 24,192,800 55,086,735 4,218,188 1,228,237 105,930 2,913,600 2,126,346 20,616 - 478,454,006 133,043,528 109,571,624 127,877,035 5,166,493 Community Enrichment 17,809,611 4,976,505 5,264,848 1,063,173 43,994,497 101,758 790,148 13,229,845 6,342,052 15,796,214 1,093,813 29,047,620 381,637 304,754 74,000,539 66,195,935 Parks and Recreation Library Convention Center Sports and Cultural Facilities Human Services Public Parking Facilities Other Total Community Enrichment 26 Citywide Operating Expenditures by Program For the Month Ended AUGUST 31 2023 2022 Budget Estimate 2023-2024 Program 2023-2024 Year-to-Date Operating Expenditures & Encumbrances Capital Operations and Debt Actual Year-to-Date 2023-2024 2022-2023 Environmental Services $ 37,742,826 $ 17,029,407 18,912,599 5,748,649 459,156 139,713 41,798,534 13,047,547 16,860,771 (250,621) 321,883 98,895 Water System Wastewater Solid Waste Management Public Works Environmental Programs Manager's Office of Sustainability 80,032,349 71,877,009 Total Environmental Services $ 457,619,596 224,901,618 182,579,989 47,591,219 5,070,133 1,100,374 $ 88,728,400 41,752,875 33,312,545 10,873,072 854,171 242,624 $ 80,408,084 35,617,667 28,777,155 8,159,285 682,777 158,766 $ 62,852,532 27,864,103 31,815,878 9,053,770 854,171 242,624 $ 25,875,868 13,888,772 1,496,667 1,819,302 - 918,862,929 175,763,687 153,803,734 132,683,079 43,080,609 12,670,339 23,155,869 100,500 14,829,694 626,325 3,029,663 558,750 12,892,226 6,768,002 377,425 17,184,992 12,573,822 1,087,431 900,036 600,000 17,778,600 11,412,282 33,000 321,419 2,111,723 3,859,311 16,750 2,471,616 104,387 504,944 93,125 2,148,704 1,128,000 62,904 2,864,165 2,095,637 181,239 100,000 2,963,100 1,902,047 5,500 53,572 32,712,147 2,845,805 355,892 2,278,834 299,021 1,061,744 55,292 4,792,046 4,593,086 40,863 13,612,686 5,967,394 181,239 1,770,413 100,000 21,922,822 5,659,128 24,833 53,572 2,111,723 3,859,311 16,750 2,471,616 104,387 504,944 93,125 2,148,704 1,128,000 62,904 2,864,165 2,095,637 181,239 100,000 2,963,100 1,902,047 5,500 53,572 - General Obligation Debt Service $ 1,055,862 1,929,656 8,375 1,235,808 52,194 252,472 46,563 1,074,352 564,000 31,452 1,432,083 1,047,818 90,619 50,000 1,481,550 951,024 2,750 26,786 1,968,573 1,422,903 177,946 656,917 52,010 183,372 27,646 558,523 586,543 20,431 1,528,843 1,071,197 90,619 31,000 50,000 1,606,411 994,564 2,417 26,786 11,333,362 11,056,701 Total Debt Service 136,900,375 22,666,724 98,326,814 22,666,724 - 85,130,690 22,925,965 Capital Improvement 1,771,921,923 110,249,432 98,594,762 110,249,432 - - - Non-Departmental Grants 75,839,421 - - - - - - Vacancy Savings (28,000,000) - - - - - - Contingencies 176,747,000 - - - - 728,000,381 $ 441,668,359 Cultural Facilities Downtown Development Economic Development Environmental Services Fire Protection Freeway Mitigation Historic/Neighborhood Preservation Human Services Information Systems Libraries Maintenance Service Centers Mountain Preserves/Parks Municipal Administration Buildings Police Protection Public Housing Renovation Sanitary Sewers Secondary Property Tax Solid Waste Enterprise Bonds Storm Sewer Improvements Street Improvements Street Light Refinancing Water System $ 6,750,037,027 $ 27 1,166,684,608 $ 1,110,250,942 $ 1,094,196,817 $ 72,487,790 Capital Expenditures and Encumbrances 2023-2024 Program General Government Arts and Cultural Facilities Economic Development Facilities Management Finance Fire Protection Housing Human Services Information Technology Libraries Neighborhood Services Non-Departmental Capital Parks and Mountain Preserves Planning & Historic Preservation Police Protection Public Art Program Public Transit Regional Wireless Cooperative Street Transportation & Drainage General Government Subtotal Enterprise Aviation Phoenix Convention Center Solid Waste Disposal Wastewater Water System Enterprise Subtotal Total Capital Budget Program 2022-2023 Actual Yearto-Date Actual Yearto-Date Budget From Operating Funds Budget Actual 2023-2024 Year-to-Date Capital Amounts From Capital Funds Budget Actual Unencumbered Budget $ 2,797,246 $ 18,088,263 53,901,968 1,030,894 52,713,739 122,276,471 7,762,972 52,359,900 9,228,892 10,588,009 668,406,841 156,600,628 26,563,000 17,759,000 7,634,150 516,206,676 6,001,000 389,887,281 16,159 $ 4,740,296 1,552,405 1,865,152 6,153,454 1,855,362 1,326,218 227,820 44,500 13,575,297 4,470,623 24,214,892 6,557,398 1,446,731 11,076,790 15,685,629 10,203,124 1,796,864 373,452 1,969,473 63,600 32,620 55,595 13,690,209 3,539,067 12,453,597 303,183 8,234,802 14,367,774 $ 1,696,965 $ 18,088,263 32,875,714 20,044,385 109,111,590 7,162,972 44,222,725 3,933,792 10,588,009 37,000,000 129,877,565 26,563,000 2,588,233 515,949,670 226,228,532 15,255 4,740,296 1,345,078 1,590,180 5,696,645 1,855,362 1,326,218 227,820 44,500 4,300,468 24,214,892 61,687 11,076,790 8,247,870 $ 1,100,281 $ 21,026,254 1,030,894 32,669,354 13,164,881 600,000 8,137,175 5,295,100 631,406,841 26,723,063 17,759,000 5,045,917 257,006 6,001,000 163,658,749 904 207,327 274,972 456,809 13,575,297 170,155 6,557,398 1,385,044 7,437,759 $ 2,781,087 13,347,967 52,349,563 1,030,894 50,848,587 116,123,017 5,907,610 51,033,682 9,001,072 10,543,509 654,831,544 152,130,005 2,348,108 11,201,602 6,187,419 505,129,886 6,001,000 374,201,652 $ 2,119,806,930 $ 94,808,728 $ 67,083,360 $ 1,185,931,415 $ 64,743,062 $ 933,875,515 $ 30,065,666 $ 2,024,998,202 $ $ 1,192,244,623 45,697,400 38,134,630 381,835,887 630,118,072 2,288,030,612 $ 4,407,837,542 $ $ 67,133,993 2,017,277 6,264,467 35,093,883 9,598,471 120,108,091 $ 214,916,818 $ $ 4,556,413 1,166,664 8,653,474 20,323,892 42,527,215 77,227,659 $ $ 144,311,019 $ 1,771,921,923 28 $ 232,286,116 8,927,400 14,373,212 134,949,019 195,454,761 585,990,508 $ 16,565,397 1,156,428 953,131 20,027,532 6,803,883 45,506,371 $ 110,249,432 $ $ $ 959,958,507 36,770,000 23,761,418 246,886,868 434,663,311 1,702,040,104 $ 2,635,915,619 $ $ 50,568,596 860,849 5,311,336 15,066,351 2,794,588 74,601,720 $ $ 1,125,110,630 43,680,123 31,870,163 346,742,004 620,519,601 2,167,922,521 $ 104,667,386 $ 4,192,920,724 Bonds Authorized and Sold As of AUGUST 31 (dollars in thousands) Authorized Sold Available 1988 Authorizations General Obligation Bonds Freeway Mitigation, Neighborhood Stabilization, and Slum and Blight Elimination Bonds Fully Issued $ Total General Obligation Bonds Revenue Bonds Bonds Fully Issued Total 1988 Authorizations 29,285 884,175 $ 28,285 884,175 $ 1,000 - 913,460 912,460 1,000 143,890 143,890 - 1,057,350 1,056,350 1,000 66,300 125,300 24,800 61,500 12,000 33,000 91,500 74,000 77,000 78,800 66,000 43,700 64,600 124,685 24,170 60,700 11,205 32,100 89,275 71,645 72,575 77,685 65,950 43,700 1,700 615 630 800 795 900 2,225 2,355 4,425 1,115 50 - 753,900 738,290 15,610 81,000 11,100 198,700 12,800 104,622 74,705 29,178 115,500 107,295 78,200 65,400 63,385 8,510 190,610 8,345 85,510 61,200 21,100 102,290 81,900 58,135 61,770 17,615 2,590 8,090 4,455 19,112 13,505 8,078 13,210 25,395 20,065 3,630 878,500 742,755 135,745 2001 Authorization General Obligation Bonds Education, Youth and Family Cultural Facilities Computer Technology Environmental Cleanup Fire Protection Historic Preservation Library Facilities Street Improvements Neighborhood Protection and Senior Centers Parks, Open Space, and Recreational Facilities Police Protection Storm Sewer and Flood Protection Bonds Fully Issued Total 2001 Authorizations 2006 Authorization General Obligation Bonds Affordable Housing and Neighborhood Revitalization Computer Technology Education and Health Science Facilities Environmental Cleanup Family, Senior, and Youth Cultural Facilities Fire Protection Library Facilities and Improvements Parks, Open Space, and Recreational Facilities Police Protection Street Improvements Storm Sewer and Flood Protection Total 2006 Authorizations Total Bond Program $ 29 2,689,750 $ 2,537,395 $ 152,355