Loading...
CAFR Report - 1991-1992 .r . ? ' ; Y ' '.'1 , ~ J_~ 't r•+4 'S { . ' `t ' F hJ} ^t . ,t, r + r/ r " 1'. T n 1' "i r _ ti t .r' u Fz , v'G Y. r. _ , t t 4 - ' ciA -t \Y " ti ' I . tbl ,`Y, , i `t `r. ` ` t: u F, 4 f-, F ~'t A f -4.,: r 7 .t ` k 4 i.w ' r :.a 4 :1 1~v , i,'- e' I f Yr ` '•ft, r - !tiY T'S S 1t- 4. I - _ - .l' - - .1 j " :1'( i" ,<r ; , .r^ 1. t' , . l 4 fb _ ' , C ,X, 2" t ~ f T4. r, . I .1, -'P a ,w s . '.CITY , : F T CARD; G' `J" " t: t r ,r S. 1 s ; c'~ rid .ti,• ~ l''. X' t 1ir.` rf , i w ' i 4 i ,t : : i tJ~ ^ ti'. i - ti i r4: i' f 4: i ~b~y; EG~ _ r 4 3r t ' zl+ ,S , v3 A , _ ~F I . ' $ '1':. 1 .',w:' „~i xV, 1, 11 . `I'i' ~ h f t 14 . n C _1 ,I `'4 2 - + t,' ` .r t. ~ ' `v. LYJ.` i ~ l s 4 . ti U` - n+ j' j r'J J, 1 ,1 ~ n ~ ' t' a ,k fa :f ""V J ~S n 7.'+ _ 'eta , , e, % r 'Y a,', ' i sue'' •tt r i r I - i. " f i \ i s .t . A . p ti. S' ri. iS C {j 3 r'r ? : ~1 c - ' i+ .,f', f f X42+ 1 ,+l'a r rS ` .r 5 T E. ;Y' ! :7 ,-1. f Y- , Nt. it x' , n' •t i ` J• rt' r, . a• I'. . f m "y;i ``i 11 l I 9, y. i n1~ti,, : . , ''E~ i ' . ter'`' : }r - - "a 'n' I ^ j4+ .I . v, ; :f"`, 1 t, , r fir,. : : C. ' y;`' Z i - v ~r R :j r. 9' ' 'LY - ' J:t .,.5`' t J' :i; • T_ _ f s . 1. ` " i .'b ' ~ ~•I 't' , Yr _ y, , C T' T% W? r i.~ Y .13f`Y , ` mo , xlt h.. I , v Z, (,Yr :ti's'.. , , 1Si - tz ,lJ ' :S ' 1` f \ y 7 "•r'• 1 i v M1` ' r 1 - r`J •K ' e" K 1- :I :4 . L- 'i,r t~. . Y ,p j+ ` .J { i\ y. ,j.' k ,i~ : - yy, ,..Qr., a ~ J',t _r' , A i~' r ,~ry t 7~• C+ r it y ,~'dlh n yt ~ ' 4 t 4 ' 1, h jr i ` r . ,,i t. b% I' y t Y_ _ { 4- 4 21 . A'--, ti a, E+, ` ~JJ, r . :!Y r ` : t A I. y'J MP :E HEN, -t"S' ; _ _ _ Y~ v . ~ r J , - C+ -'?i •'~i.,. art: _ _ ;.?t _ ~:r. `r1 1 . r 'S i i,-. h "•t J~ _ V7 , f. <'4r r ; . , 17 ' ~'•O f: " zY; = :IVE r t r.' - 'a: ,:v "'z .'r'-J;" " ,A-:: " '4 ••tf; ',t-° f RYA - ,l ,trey _ t'', `.r { ' 6r' ` c T r', I . . 11 . "A . : N. ►,Lr d 'rb, 4'Ir•'^, :r .Y • fr 'el`. 41, .,SC: '3... \ ~ . . in v, i;rv ,i,, + ` a y♦ y ! l•f `[J Js r "+i r+' l r 4 -l1.. ~'x yi, Y, i. } ,i C:-.~ t K ~ I' ` ',b } p: 1t` x ' , ; i AF ' - s: J`- C' > i.. 1, f S';.(' `.tr..,•I' `l ♦ - N i y. ,.r r ,t ~ J` - ~ ~,~,.~,!~-P- 1, - _R E c Vr~ y' : ( A r , e I.• Wit" 'e_ •N . ' " i } :I rr r a. Y, V'1, . r , r f t '„L wt - 3 - -t f "g ' :I,* - Yt ~7 •i - ' ` I h T j;` r^q` ! {c:', 1 ` ' " .r . L , . n i ,l - JC \ f' . N q . Yti-,y {e G.d • f'-' r vt ` a ' . ' 'v~ , - ry- _ ry' _ _ s _ + rt a ' ' 1 r t f A{i . 1 S 3 ` F', Y a.` . `gip ' . y 3, V sa 5'. ,.i '•t. - Y i -Y t,' CC 7 J' ^ S`,.' y',ar r' r:. r'4,: yt - J Z'. - I i5 ,J.• i' 1Ta - t:. f c, 'lJ - `f~ ' Y• r'4 - r a Y't -rf-_ - . : S`'•~' ,:4t' r'!'.~' ';rte' ,'Sy 8r. a Fiscal.' Sr=;ear.}:ended: Jur _ I 1;992 : - , YY. :.S' ''tu ''f'- il.•,`h.ty' •~t - 1';-1- a . + t;' . F: •l F l!: the>), _ _ { "i ",1 M1 r - - f i `Ir, . lam' , ` r'I- "f by 3 • ' %r 'jl' ''r : ` t?fir 1 v., 1" + t A ~ .ti,l t e 3' +M~ 1- ~ti. n ~y, r 't . 1' ^1i 1 - e„t ' n, ` Y yJ , Y' 1 ` ! ' C 1w' +i' ~I'I . 4 1. _ Y :T, x " :'b . r'• } a •~i 4 4' s: : ' t 9 41 it s ~i, r ~t , + 1S { ~`_JL - , Jai; ~ . i i;'S •t i r ' S .+4 ` J =i " ".:i. Yeti . ' i~4~ , 'a„ x .'f 1.`, r- Y: 'ir i ti; L' '•t" t'+'' " ,hr' a . , 4 of - v i>" 'r et . - - rl y~r '-e:--- rf LM ` \ _ i ,h i ,.~J. r~ ;~I 4171'' I 11 97;11 rd~Or ,9722 3Y 503 ri• 13125 SVN HaII BIvd~ P.O ' Bo - ( )'63 9 r ,..t;, L I 1 , ' ^r' :f - :t ` • _r+, ''r . f, r rt { i' ' "r' CITY'OF TIGARD; OREGON- _ COMPREHENSIVE ANNUAL FINANCIAL REPORT ` 1w6i'Year-Ended June 30,'1092 : 'prepared by the C,ity:of:'Tigard .Departmerit of --Finance jr' Y CITY OF TT GARD, OREGON -TABLE .OF.. CONTENTS F' M1 it is :Pa _ e INTRODUCTORY SECTION: Letter'of`.Transmitt 'I - I-vIT' 'Ma or and C i y ty. Cou ncil, Members` Or9anizat Z~ZL"em ion:ix.:llencn Financial Re - ortrn FINANCIAL"SECTION: t Re ort:of In dee ` n • ntc ` A` de counfants i . =t ;GENERAL- PUR06 tfINANCIAL STATEMENTS ' "Liftable" Firiancial-Statements) Com Balance:,. (bmed heet:.- AlI :Fund Types and Account Groups: 2 b Combined'Statement:„of Revenues; Ex enditures and~•.- - TJ Changes in Fund Balances =Alb G pvernmentat Fund Types 3:: T' v ;combined Statement of Revenues;<Expendit`ures and. h, n.e C a P in: F i s and B g a a ces - Budget and;Actual :AII.Governmental.Fund Types'- 4' _ Conibined.Statement of Revenues; Expenses and - (Changes-in RetainedF Earnings*/, und' Balances ,All f?ropnetar~ -.fundTypes as 4. 4 5 . . Trust Funds` i Combined,State.ment of-.~Cash Flows--AII Prop rieta Fund Type ' = . h! Y Enter rise Funds 6 -Notes to'General'Purpose Financial Sfatemen't's _ • 7-20, S.UPPLEMENTARY'DATA, (combining .and-Individual' F,, d and Account - Group Statements and. other FinanciaiSchedules) ` -Gene' Schedule of Revenues a4.60,enditures ; :Budget and Actual" r ; 21- Spe 'ial.RevenueFunds „ . (Combining Balance Sheet - 22 Gombinind.Statement-of'Revenues,`'Expenditure''s 'and Changes in'Fund:.Balances 23 • , r Schedules'of -Revenues':and, 6p"entlitures4==Bud et and: Actual- ` -Forfeitures from`Crriminal Activity,Fund` ' 9 State_Tax:Street,Fund y, 25,. - ,Streets'SDC:Fund' P .arks SDC:Fund::'F GountY• Road Lev Fund , ' Y 28 Y • ,Gou rn Gas -Tax 'Fund = 1' ' Trafficam •act_Fund Water Quali &.QuantitX : Fund 31. _:Debt,Seniice FuncJs: Combinin Balance Sheet 9. 32«. 4Combining,:Statemeni7of'Revenues,=Expenditures and :Changes in:Fund Balances' 33 -Schedule of'Revenues and Expenditure§,-- Budget'and Actual',. r h fi 'Bond: Debt Service Fund: T34i 'Certificate of• Partici `ation.`'Debt:Service Fund'.: I?. 35 Ba' h r c off_,Bond Debt rvi ,-F $e ce, and 36•'.'. _ Capital. Projects Fund:' . s 37`. :Combihin96 Balance Sheet Combinin Statement:of Revenuet Ez 9. s; pendilb -,.and .Changes in Fund Balances' 38 Schedule'oVRevenues;and-'Expenditures.: Budget'and Actual: .LO`cal•Improvement Caital,Pro'ects`Fund' -39 Road:1m rovement Bond Fund' Park L' e Caoital: lrhbrovembn `F ri _ P.. t _ r - .a CI fY OF TIGARD;-OREGON .TABLE OF'CONTENTS'•- continued .a Pane FINANCIAL- SECTION;_continued 'SUPPLEMENTARY DATA (Combining, and Individual Furitl and'- Account Group Statements -and Other Financial Schedules,' Continued)` Ente'rpnse .Funds:: ; Combining, 13alanc6~Sheet 42 .;Combining Statement of °Revenues;:Expensesand Changes in:,Retained. Earnings. 43. Combining Statement of Cash. Flows 44 Schedule of Revenues and, Expenditures Budget and'Actual: Sewer. Fund` 45 ' , Storm: Drainage';Fund 46, FiduciaryFunds: Combining balance Sheet 47: - ' Statement-of`Cha'nges in Assets'and;.Liabiiities.- Agency,:Fund -.,Deferred.Cb mpensation Fund 48 General Fized,Assets Accounf,Grou: f . . Schedule` of 'General Fixed: As"sets .By Sources Schedule of Changes in General Fixed; Assets - By Sources° = 49 . Schedule of.General_Fixed Assets -;By Function and.Actiwty. 50 Schedule of; Changes in,General-Fixed,'Assets "By Functionarib Activity, •51 Other Schedules:: Schedule of Property Tax Transactions and Outstanding Balances. ,52-,.. Schedule of•Bond ,and, Bond Interest Transactions 53 Schedule-of' Future.Debt Service.-Requirements of Bancroft' Improvement Bonds " 54'...- f. ' Schedule of.Future'.Debt Service Requirements-of:General Obligation Bonds 55 ..:STATISTICAL SECTION-' General Governmental Expenditures by,Function,- _ Budgetary Basis for';th& last ten .fiiscal; years. 56 ` General Governmental Revenues by. Source' - P Budgetary'Basis- fo.rµthe last ten, fiscal ,years 57 Property Tax Levies and C61lectiohsw- for the last ten fiscal-;years 58 Assessed ,and Estimated :Actual Value ,of Taxable Property - for-the last-;ten fiscal years' ~ 59 t 'I roperty`Taz Rates,- Direct;and Overlapping-Governments -r• „ for. the =last-ten fiscal, years i .60 Special,Assessment Collections'- for the last ten fiscal years 61 ; Ratio of.Net General Bonded Debt'to Assessed Value and Net l3onded Debt.Per Capita for,the last ten fiscal years Computation of. Legal Debt Margin. 63 Cornputation of .Overly 'in °General .Obli atiin', Debt. _ `64•' PP 9: 9 _ Ratio:of,Annual'Del t Service Expenditures.forLong=Ter r Debt to Total General 'Governrnental', Expenditures for.the last ten fiscal years ,65 r . Property .V,alue,:'Construction. and Bank Deposits ; ;for the, last ten fiscai years 66 ` Principal' Taxpayers - Y 67,: Demographic • Statistics: 68 Miscellaneous Statistical :Data. ; 69 AUDIT COMMENTS;AND DISCLOSURES REQUIRED' BY STATE !REGULATIONS-': Introductory;Comments 70 4 Internal Control. Structure _ 71 Other C.omments.,and Disclosures 72 t"i 9 7..' - - . e, f - ,y r r - r \1 u - , • t - t... `1 Z - . 'f . 1.1 - t i %3 ' -fY' - ' 1 ti ' , ;.y . _ _ - .7, c y . ..,:err iY:'. . -1 V . ;i. a - - 1\ - ,f 1 ` - - _ \ 4 ! t i'V. t") L•S S y ,4. .k . :,i ' ".,Sr ,t , 1' r t '41 t 'J : 7 _ _ j - r • t _ - ''/i. 11, . .T his:page iiitentio n aIIy :Ieft. blink:) .(r . . ~ , - + . t, a ;Y 4a f } I,} "Z ~ 7' ,l'u f. . r. - i _ _ •R, ' ;1 l y 1 _ l.;.a. _ - - tf - . -I I .t _ _ 1 . - 9 1 . 1, ' • a 1', . r C , , -I , , , J,, t l. I a - f-` a . r' , ~ . , ~ . ~ . 1. . .1 I - I .1 : , , , ; ~ : , ~ " " - . . , . , . - ~ I " , 'j ~ ` .a . - • ;-r _ I _ j~ _E _ _ - - . 4k. } r w f . , 1 r - _ e - , I - t , , ' xi ! ' 't i i - at -'.k t 1 ' f tP`' r t;', r L i .f + r -.t~\ , 3 't. r4' .L., kf r '2 ; , : 7 . . , ~ , ~ , , , - '1~ I . . , : T. ,i r S f , ' t , 1 , S, j t L ,m, i 4 7' I. 5 LL l J s. J t t: ' 11 L, .S' P t t v t Vii. t r' I ,r r .d , ~3 ,sx tit. t r, UCTORY SECT1 1\ '4 r tNZR4~ , . yam' I ' > { ' J . L t' J, l r. + l 'l 'l t ;S l r _ rJ iI . ` } _ v~' '1, ` .r• j ,L~. 'rte:`;,,~ i . . ly 4 .l f { i ,I S Y f, 5. - l A n r r,~ ''c a`. : r, r. . 1. Y ) 5-` { 4Jl .fs t -7 r 4„' i'. . a • 1`1-~ .r{' r - ti.'. . si y } '7 It Nt.r e<~ 1 ~ I i - t't' • - 1 i N - - A 7' Jr J - rte' - - ) t,, . I ~ S 'S { r• ,r; , 1,` e . ~v t 'C: . Y 11 t k. S _ .i„ - of .t It ti t, t a :i. , v 111. ~ P'. ,i_ c. ti5 C 1. I - - , I ~ , I. - . I I CITY OF TIGARD OREGON _ Octotier.l ,1992 ~ . - r`.. - • . • Wonorable'Mayor'and`Members'of the CityrCouncil. . City' of 'Tigard; :Oregon Submitted herewith is the Comprehensive Annual'•F'inancial Reportof the'City of Tigard.'(the.Cityj for`.the-- -fiscal`year:.ended.June.'30,, 1992: This report was prepared'; by;'the . City's Finance department.= J -Responsibility'.for both the. accura " of • the presented: data and,'the< com Pleteness • drid'faimess- of ~v presentation, including all:dsclosures, rests:with thie .City., 1Ne'believe the data, as presented; is accurate' in all material respects and is presented in a'rriariner designed to:fairly set forth the financial position.and . M f results of=operations of'the various funds and account groups of the City. _All;disclosures,aecessary to enable•the reader. to gain:the maxirnum understanding of the City's financial activities have be en included;, The Comprehensiye'.Annual Financial,Report;is presented: in -three- sections'. introductor Jinancia,; and:" statistical ,The introductory section includes this transmittal letter, the City s'organizational:'chart and a list = = of principal off icials. The finaricial• section includes the. general purpose financial. statements-and the.' ' , . `:corTibining and,, individual:fund .'And 'account group:f inancial_statements,and~ schedules' The;statistica[' section includes, selected,financial and`demographic information;.generally presented on'a.multi=year basis. This:report 'includes ,all•.turids. and. account groups of-the' City under the direction i,of the City: Council: -The City ;provides'a full range.of services including police`protection; sewer, storm drainage, streets and pafks repair, and maintenance; community planning and .building, inspection;, and infrastructure' improvements. Tigard/Tualatin,School District, Tigard Water District, Tualatin ValleyWater District, and the Tualatin Valley, Fire, and, Rescue: District have not met'th'. -blished criteria for inclusion in this, reporting entity,'and' ; 'esta Accordingly are` excluded` from this report. - ECONOMIC CONDITION AND. OUTLOOK The City,ofFTigard is located in' easterri=Washington Countyjust•12-rriiles:southwest-of do ' htown Portland; Oregon.. Tigari has. been one',otthe~fastest:growing cities in Washington'County•and;;.with apopulation- :r of approxirnately 33;000, is.ahe eleventh largest city i n;the State: , , -Over ,the, pastaeyeraI'years com, hie , rciaI and residential development has tieen'steadyrand strong. The' current fiscal year however`saw;:a decline'in.developrOent activity.due.to the..Gu.f'war.and"the:ensuing recessionary, economy. -There Were 218'single and multi=family'residential.permits issued in 19.91%92 along with:37 commercia industrial permits.with a total value`of'$55;758;075:'Although:residential development; was 'down' significantly. from last year; commercial development activity, continued •to be-strong 13125 SW Hall BNd ; P.O., Box 23397, Tigdrd, Oregon •97,223 •(503) 639-4171 vJ' , I ! Y ~Y Tigard's proximity to`ttie' Poitland MetropolftIn:area., provides _its citizens with:many- diverse employment ` opportunities:. Over:74;0,00 jobs are,located w~thm aten minute.drive:frorrt'.Tigard The:unemployment`rate,` ' m.,the'Portland;Metropolitan area average6'6.2..percent during the, fiscal year. Tigard's'assessed-value of $1;910;326;000-is':tW,ice.-the'amount.itw'as.just seven yeas ago... •This`dramatic - growth in values tog ether with :prodent fiscal. management has allowed the City . to p..,- rovide 4uali :services "r , - , . , tY . 9 at 'a very low tax, rate, The total rate resufting,from,city levies in:1991192 wds,$2.76/1,600 assessed The economic,outlook -for the City'of;Tigard remains•,good.. The`City:,has cdhtinued-to 'experience'growth i, :in most, areas including-the local economy., population', assessed value., and commercial development., The; recessions national -econom has, si nificantd : slowed residential develop ment and is ex ected to, have ry y. g Y P asimilar-effect on commercial development in'the'coming,fiscal-year., fiAAJOR INITIATIVES : Tigari voters, m,November 1+988" approved a,tax suppoited.local, bond issue.in the amounfot $8,500,0001 V to' fund cons ruction of a variety of. road and traffic improvements within,the City. over a three year period: ' , . s The current:fisca Y I ear,was the.third-~of the three`years Over;$2,500000 was,spent during the;,year."on , related road=im roveme`nt`pro.1•e6fs. . P r r' n u d. ` v 'five iiI 1 f r ea t' f In'"September-1989;;the'voters of'Tigard appro ed a eFyea sea evy o $350,000.pe- y ' specific park ,land:;acquisition's•.and improvements: The City,sold.Certificates of-Participation in.theLLamount of $1;260;000 in May 1990.01edging•tlie park seriallevy;for" repayment..'The pr'oceeds'of~the, Certificates' of Participation will .fund tfie.Park.Im'"rovements'seheduled~,tor:be.com leted' Within: three, ears:-,-.Over _ p .fund p y $400;000' was. pent :during aFie .year dn. 'sped is Park. a ` ital' I mproVemenf'Projects.; The' Pacrfic Corporate, Center: Local ` Improvement District 'project, Which.-:be gan last. 'fiscal; year; .was 'sale of`$2,244,000 'completed in June 1990-`The-interimrfinancing„was paid off'bythe:proceeds of the Bancroft Bonds, The'project included, the construction of',street,'sew,er,,,and storm deainase improvements . ' _ between-Bornta and,Carm,en Drive adjacent to Interstate 5 and 72nd,'Avenue. `The improvements allow the development.of approxirnately,40.acres of commercially zoned land:'::The development is slated to:include . `a, hotel., athletic club,:medical facilities,: re§taurants; :and'a:varietya of:other commercial facilities: ''The first` phase`of commercial'office! development:was completed•and.occupied during the fiscal year:. ' The Lincoln/L"ocust Street Local, lmprovement District was forrned''an&bdMd anticipation notes'were-issued. _ ti in :May'1990 fin the:amount-of $300;000 to-fund certain'street: improvements=adjacent.:to:an office building ; ' constructed by Trammel Crow. The.improvements were completed in 1991 Special;as$essment bonds Jn'the amount"of $405,000 were issued rn=Septemb_er 1991r ' .Fiiscaf,yea~.1992'.wasahe'first fiscal yearof the five'year`financial plan which began,witl the voter approved;`- taz'base-in,1990. A ballot'measu"re was:placedbefore.the.citizens of Tigard` h'N6vember,1990 to increase the tax: base by<$860;000. to. provide"contjnued' funding. for the non4ee, services for the .next. five '-year. financial; plan ,period.' -The 'ballot'measure. passed-with a.52% vote.. ..On the 'same November, 1990'.ballot; Oregon`voters"passed a"-property tax limiton measure referred to• • -as.Measure 5 This measure ,limits<non-school property;taxes to"one,Percent of assessed value beginning July 1,:-1991. ` Afthbugh the aimitation' .Will, not in tially` affect t6rd'salready, low tax rates, the-.1992/93,` - a 'budget includes ho: new positions;_oF'programs: , Some state .shaved `revenu'es could' be reduced in'•future ` ,years: ` •,The:Dartmouth Street Local•.Improvement District prbject•has reached the'cbntract'bid stage> ~.This,Local : Improvement .District-was formed in the early;1980s;. however; "due'to several lawsuits by: propertj owners, improvements have. yet to be made:.' 'The legai' obstacles have," been `removed • and" it ' appears ''that. construction could begin-'as soon as Spring'1993.; The•road-improvement ii1mportarit because it will.- link-Interstate 5 with Highway 99 and will provide. access to over 300 acres of undeveloped commercially zoned ' property in the City: ; - FINANCIAL INFORMATION ' .Maria g e'ment of "the~Cit ` is res `nsible for`establishin 'and maintaining an internal controls stein.desi ned to-ensure that ,the"assets`of,the Cifyare p"rotected,from loss; theft o_ r misuse'and to ensurethat:adequate, accounting data:istcompiled to allow for the•preparation of financial statements inconformity with generally accepted' accounting-.principles._ "The;-internal control system is designed'to-provide reasonable; but not.` „ absolut6,- assurance that these objectives are met::. The~concept of reasonable assurance recxignizes that: (1), the cosf o' f `a'`controi should•'nofexeeed the benefitsaikely.to- be derived; and (2) ttie valuatior of costs" r` 'and, benefits: requires"estimates an, judgments by management.;'.'. BUDGETING `CONTROLS - I`n additiori, the City maintains budgetary controls, the:objective of,which'_~'is to ensure corripli'ance with'legal` ; provisions'in the. annual appropriated budget adopted' by the Tigard City, Council.` Activities of all'funds are included- ih;Ahe annual adopted budget:,,-".The level of budgetary,.: control that -is the, level .-.at which expenditures cannot "legally exceed the-:appropriated amount) is established .by --program ..within, each individual-fund:` The City, also :maintains an-encumbrance accounting system:-as one technique of enhancing.budgetary•control., Encumbered amounts lapse at year end. However; encumbrances generally are`reappropriated as part\of the following;year's budget:' _ ;As demonstrated,'by the. statements and schedules included in thelfinanciaf secti6wof this'report,'the City'', contiriu6s.to meet its respons'ibility'for_sound financial management: GENERAL GOVERNMENT FUNCTIONS iRevenues for gene ral'governmental <functions'(all-governmentalfundsj on; a;generally accepted'accounting`." principles, basis, totaled., $1'2,850,850`"in fiscal' 'year,'1992, •,an• increase.",18 'P . ercent :over last:Year.', The increase,over last:yea,results-primarilyfrom'inereases in.tax revenues, f'ranchise` fees,tdeveloprnent'fees and intergovernmental:.. revenues' netted- against: lower° revenues 'from; ~special_` assessments' and miscellaneousa '`Revenues from various sources.and.changes from lasf'year are shown-below of Inc(Dec) X 11=e66e;: ` Function Amount Total from F/Y199.1.'(D`ecrease) Taxes` .$4,963,329 38.6%'. $ 802;539 19.3'/° Franchise fees' '1,287,794 10:0 1`07,961;.: 9:2 Special assessments 288,574 2'.2 (8,894) Licenses. and. permits.; 1;659,542. 12:9.. 452,622 Intergovernmental"revenues. 3;050;675 , 23:7.. = • 671,244 28.2. ' Charges for'services - ;102,081 22,711 - 28.6° T' Fines and.forfeitures. 322;618 .2.5. 63121 24.3 Miscellaneous revenues - 1,176;237 9.3 ( 153'970 1.1.6 .S'.' $ i'2'650 i5O 100.0% $1',957,334 .18.0% Fes' ' l ~ } , r I n, tf 2 ' I ,-l t Pr'opertyYtax `revenue, increased A9:3%.,ov-e'r'last''year. The faz base: levy, was'39:5%`.'higher•ihdm.the:' previous .year's levy idue to'an $860,000 voter approved, increase.,, Intergovernmental -,revenues; increased 28;:2% due.Ao, increased' .state gasoline':,tax. "distHtiutions,. '-and "increases:in'vther state';revenues.tied'to population including"cigarette tax, liquor fax; and sta1e' revenue sharing. ' Tlii increase can`aiso be 'attributed,to•higher hotel/motel tax-distributions: .Miscellaneou5 revenues, consist largely of, interesYear`nings. Earnings were jets than}thee.previousyear du' O,, fo declining: balances. in the` Road-,Irriprovenient'Bond'Funtl`.as projects were comptetedaand declining interest.rates.'A portion".of•such earn'ings' are-for future- rebate ao the Federal Government 6 accordance _ with the Tax Reform Act of -.1986 The following schedule presents a .summary of Program Facpenditures across all governmental funds ` including debt -service -for the :fiscal ,year,ended~ June 30; 1992, and the percentage: of incre se: a 'and',: ti l K r i;.decrease in relation to the prior,,y: s ` , t - n ..f f nc I (r / crease Dec)', ..o Function Amount Total from F/Y 1991" (Decrease) 17, Community services $4,520;483: .30,6%:. - ` 173,145 . 4.0%'-" Communit `develo • merit 2;466;774 16:7,• ~ • 911.6b x•3.6 r Policy-ahd,admini I tion ;157;205 876025,. _311.6 • :f;. TCity wide support-functions,`- 265474 ;(118;554)' (31).9) - Capital projects 3,736,0'48 25.3:Y (3,096,262). (45 3)`' .Debt_•servic6, 2;643;1'T4 17:9, .(1•,5.14,785): 36.4 r % :$14;789-1.58•+ 1A0.0%. 3272191. `20:3 t : T:' otal expendituresWdecreased over ttie:previous year, Nowever,:most decreases are atti&tabie to ddclinin '.ex `enditures'•for ca Rai' im rovements in the'R'oad 'Bond and Park; : Ce. . Ca+ ital'Im rovement 9 P F P.. Levy P- P ..9, Pe es:, , . ~ , funds, and,declinin Debt Service ex n ditur T~. i .:t e ncrease:-in'fhe-Policy--and; Administration -Program', is -,theresult'•of the reorganization of..sev-eraI functions among; the 'operating :programs .The. Policy-'and Administration. Program now:',includes he 2 4 - ;'Departments of' 'Finance. and 'Administrative 3e'rvices: which.. were 'previously included m' Commurnty _ Services. n _ ;FUND BALANCES .s Total unreserved,fund.balances;of''the.City;were $7;066,207'-at'June.'30,-1992;"_.consisting-6f•_$1;991,782 - in.the General'Fund, $1;428,974 in theSpecial Revenue Funds,,.$620,597 in the•Debt Senncb:Funds,; and ` - $3;024;854' in :the. Capital.-Projects Funds. w' The t _ ~JI ;rota "s !rve•e ed'.an nr , rv~ d u d:tia a ce;i the Gene'ral:F.und`of,$2 210 835'-increased $345505; from, i 1.. 4 t• ENTERPRISE. OPERATIONS The City's enterprise activities include. sanitary , sewer and storm'sewer operations. Although' the. Un'rfied Sewerage Age, ncy (USA) owns:and" operates'sewageareatment:plants and sets the sewer rates, the City ; . bills sewer accounis"and maintains all sewer lines;within the City,. The City also maintains the storm sewer system throughout the City; and.charg6s' a.monthly~surfaces;Water'fee, each `'month at'a,- rate set by .fhe ter, Management:Agency a'regional_entity"affiliated.witti USA: Regional'Surface Wa Sewer :'operating revenues ,derivod, from, _service charges amounted to `$969,,295.: Operating. expenses aotaled'$912,902. resulting in-net income of $60,579 after'non ;operating interest revenues and operating , ` transfers out. ; Storm-drainage.reVenues,amounted-to $5.63;883.. St&rh,drAinag& operating expenses.'totalled,$634,468,` resulting in. a'net loss of $69;925 after;non-operating;interest revenues; and operating`transfers,out. ':PENS109N TRUST''FUNDS`, . Y ersonnel, mcludmgboth, ' The CitY P'rd ides' a} retirement plan for, 'each' emP, "toYee 9' roup,:. Non=police p , management .and, non-management,-are -covered"by,an ICMA money. purchase plan:' •Effective'July 1,..,' _ 1989, 'police personnel Were included in the State of Oregon, Public-Employes Retirement System.:ln ' ` addition,`al'I employees have.theoption-to contribute:to An_ICMA deferred compensation program: The. - ;money purchase plan is ' account. ed.,for. in - a 'pension, trust •fund`."'The deferred ' compensation;; Dian.. is. Lr] , ,accounted 'for in an agency fund. CA,'SH MANAGEMENT „ ing Temporarily idle cash dur the.year was invested, in 'accordance with'the touncif approved investment sitanker's.Acceptances; Commercial` Paper, U:S:.Treasury Notes, ' and the policy`in Certrf'icates of Depo State'of Oregon Local, Government Investment Pool: Pension trust funds are 'invested by the agents with ` which investment funds; have . been 'deposited acid- are therefore-. riot- included in the City's: investment ' . - activities Results of investment activity,for. the fiscal year are shown'belowan comparison.with theprevious`•year: 1992 41991 Investment Income' General .rund 131,341 ` $ .214,953'. - Special Revenue'kFunds `59,947. 51.;302' = Capital °Proiects "Funds 176,831 508,721 Debt Seniice..Funds 53,847 325,931 'Enterprise-Furids 119;546 ' 114,027 Pension Trust Fund 108,74'4. 84,260 650,256.' "the objective of the City's investmenYpolicy,is to provide for the preservation of City, assets, to ensure that . ; ; such assets are Available to 'meet obligations. and to provide . for>a' reasonable rate :of -return on those assets: _ ; :RISK. MANAGEMENT_ ~Thd.Cit'Y has tinitiated,.'a Risk Mana "emant.P' ram to include 're9•'ular-risk"cate9ories'such-as property ertY and ' 9 9 liability ;as well as`Yllorker's Compensatioh'. Such eisks•are currently being insured by'third party insurance- ' r" companies; however, participation in, insurance..poos l and/or self,insurance is'. being;`discussed ;DEBT'MANAGEMENT '-At. June.30, 1992 the.,C•ity, had the following:•Debi issues;outstanding; " 'General Obligation Bonds- ,$9,230,000: _ ' t Bancroft; Improvement'Bonds 3;365;000 " r Certcates.of, Participation; 2 9641 05,000'• B'n Ani i ati o d t c on No tes c ' !k $16,144 23" 5 The Certrficates.of:Participation'are foi park ':improvements and-are scheduled-to b6,repaid~over.a`five year. ' penod..frorn a parks serial levy: The'State of- Oregon.mandates a"general obligatioh.d'ebt.,limif of 3 percent of lh,! cash yalue-of taxable , property within"the-City boundaries The limif totalled $57,309,7,93 at June 30,;1992: The`;City's'net'debt subject to,ahis limit was $9;230,000r Bancroft Bonds are not subjectato the limitation $48,079793is.= available: for future mdebtedne"ss ; f The .C°qty I-bo b `ndrat' ing,frM ' s - y om oody's Investment: Services on, its `general obligation bonds-:was upgraded. to Aprior to the issuance of.certaingeneral obligation .bonds.in. May_ 1989: " . ` -INDEPENDENT AUDIT -Oregon State Law'requires,every municipatcorporation to submit an annual-financial report to, the Secretary of State; to have itscom6ined financial:statements'ezamined 6y:anAndependent;certified put lic.accountant:: . in'accordance:with enerall acce ted aud'itin'standards and Minimum`Standards:for Audits of `O`re on 9 Y_ P 9 9 Municipal•.Corporations as prescribed by the Secretary ofState in cooperation with the Oregon State Board, .of. Accouritancyand to.have.an intlependent'auditor--express an opi n ion.upon`the f,inancial posdion, results; _ of o erations and cash:flows as re orted bY the rriuniciPal corpo ration forahe period under audit. The Cq'ty P. P is in full "cothpliance' With the aforementioned;requirements; and the' auditor's'.op_inion; has been .included... in this report.: t • AWARDS DS F r, o th ,I ` -•ni east n n 1 i 1 e.co secut va r• h' 'h, e~ s:t e!Citas~received'the Certificate,`of~A•chievemeritIfor'Excellence:in Financial dportiri from the Govemnient, Finance,Officers Association ofthe lJnited' States~'and•Canada. . 9• : . In order to 'be awarded,a Certificate; of'Actiievement for Excellence,•a :governmental -u,h must publish an , " BasilYreadable,and.efficientl or anized ,coin' retiensiVe annual.financial're rt,I at"confor to ro ram Y 9 P Po P 9 r- standards: Such-reports musf satisfy ,both generally accepted accounting principles and:applicable legal requirements # Ih our•opinion,"this reportconforms to these standards. ,f . ~ ~ t , , , ~ ~ : , , " I . - , , ~ ~ ~ . , - , , - ~ " . , , .7 " , r, : ~ " ~ , ~ . - ~ , _ : " - - - ~ , - . , , ~ " - ~ . I A •Certificate•,.of Achievemerit 7 is - valid` for a ' eriod 'of one: ear. onl INe 1` believe that . ` P . X Y;.: our.'currentt comprehensive •annuaf, financial:.report continues -to'meet: ahe ,'Certificate of Achievement,'Program's: , . requirements and`we are. submitting it, to the GFOA'to determine its eligibility' for' another certificate: ; In addition;,the-City also.:received'the,GFOA's Award for Distinguish`ed'Budgef Presentation for its,Ias' five; - ,r-, ' . adopted budget's:, :In orderto'qualify.for'the,bistinguislied. Budget,Prese 'Dion Award, .the government s - . budget document-Was Judged to be prof icient.in several,categor es including,policydocument. financial:pian, , operations guide and communications.device: • 1, ° r, ACKNOWLEDGEMENTS N - ..V ..t ~i .5` , b, l = The (preps"ration of the comprehensive a nnualefinancial rep_ ort was made potssible;by the'dedicated service, , - of:;-the entire :Staff of . the Finance' Department:' °Each "member of the: Department- as• ourr'sincere, appreciation for the contributions made in•the*preparation of this report µ In'closing,:without'the'.leadership.and.support•of the'City`Council of the City ,of:Tigard preparation of-this.` report would.nothave been".possi6le. _ f t . . 'Sincere) - _ . . Y - . . , - Patric J Billy % s - Lowry. ;:City A ministrator.., Finance-Director' . " P. .k r , rl - r1, `,L. .t. . i I . " . ~ ~ I , 11 , , . . : ~ I ,z . , " ~ . , .1 .1 . I'.- - , - -t i I t - - 1 - „ r t. , , _ , , ; " ~ - , - , , .1,11 I , . , . I I I " , , . . I - , . ~ I . I , , , , ~ - : , 1, I - ~ ~ + ! . . . , I - - 4. - - . ,t. - . . , + I' t _ _ IF _ 5: - I. . i GI: ,•t!• v l ' "t+ -3 1 • - - " ~ ! -`r'. #1 . ~ ~ , . : k . ~ , , , , , ~ , r ~ , , . , : .1 : , , I ~ ~ - . , 4 , - I ~ 4 , . . , , ~ . I ~ - - . - , , I - - ''1 •'l .r r.. - ' ,mot ,)a Y . . ii, 'fJ. r' • ^!j' ! $ •r.,' (This'-page, intentionallyleft blank) •f - y't - r - I •1 . fr 1'~I . ell CITY 'OF:WARD.- OREGON MAYOR'AND 'COUNCIL_,MEMBERS AS'.'OF. JUNE 30, 1992 .Name - Term 'Expires Mayoe:Gerald R: Edwards December,'3`1994, 10390 SVN. Meadow.. r - .Tigard; Oregon ':97223 _ r , Councilman Joe'Kasten.- Decem6ee.31,'1992 -9685,SW Ventura' Court' . Tian ' Oregon 9.7,223 Councilwoman Judy Fessler 'December 31, 1;994 ; y 11'180 •SW. Former ` ' - 1 , • Tigard,, Oregon `97223 . Councilwoman Valerie Johnson December, 31, 1992 12265,SW Walnut' -.'Tigard, Ore gon, : 97223 ' Councilman J6hri:SchWartz December 31, 1994' . 15900 SW 76th Tigard, Oregon 97224.. Patrick-J: Reilly,; City Administrator 1Nayne'Lowry; Director of;Finance Ma• °E.` Gruss' -Accouritin Maria' er ~Y 9. 9 ' LEGAL COUNSEL ' - 0'Donnell,'Ramis;.C~ew;'&'Corrigan; 1727 N.W.,Hoyt Portland, Oregon: 97209 -viii , , S - . - - _ - - ,t. , ) . .T' • 't .j.. _ _ - i r - . t ''y.., "j; 5% - . - w' _ - - 1. - - . L' aJ Ct. Oc9aniz tin Chat - _ L-Y - . _ 1 . - j JulY1:,'-1,992` , j - , - J. - } . . 4 . - : - - _ _ _ - ,.t . F.;, , 'CO Mltteee - - ounci , oerda'8 m _'Clt :C o unMoI al-&urt i P Y' r . - , . ,ti;' - - - _ --a Z1~ _ . - ' - i . , -C - - _ ' 1> , . - t; C1t Adminietretlon PereonhoL , CIt Reoordei' . Comm.InSolvoment , CIty.Attorney y Y - . - . it _ •'C - - 'f .w -C it f w; . ' - l'. I17. r > r ,.:2, Police .Library- -Admin Servlcea ` .i j.eJd Operatlone _ Comm Development. Enginoering Flnence. L- 7 - . + ,1: _r _r. Administretlon'. Reference Rlak Menegement Sewer Building Inep _ Acoounting . , " x, . ` om ute s te ms . lanning', s p-, Y Petrol Readers Services. Office Services Storm t Curient P r 5 ce Plannin Purohasin Investsgation Support`Servlgea` 'Records t Street` . Adven g' 8 h. Su icrt'Services Educ Serv Municipal Court': Parke` r -L. . - . •C!• r . , . y.. 7 _ - - " e> ISho s Trafts p - - - - - - - 1 - J - . r _ Prop-Mgmt - r - - ~`t.. - - J. 4.J_. ,'r - , , . r' ' - _ > C ✓ - S ry - r Certlf icate of.: -Ach-levement' :Ex i1 ,-1 .5 for ce e ce 1n.- Flnanclal,; r e o in Presented: to Clty_• of Tigard; Ore •on_ For :its -omprehensive.Annual' " y :Financial Report forFiscal Year 'Ended r Juhe"' 30'1.991 " .A .Ce'rtificafe of Achievemen_tlor Excellence in Financial': Reporting is presented;byahe,Government' Finance; Officers= Association.of'the United States and. Canada to, 'government units and public employee retirement systems,wliose comprehensive annual .financial.' reports (CAFRs) achieve .the highest` standards in government accounting ' _ and=:financial reporting. IM STATU AN f g CORrPORAi11N . s President . ` S]EdII oti Executive Director - - - ;t : . . . - . , , - - - - ..t ;S , . . , k 11 '1, , . r t e , , • - . .l; , UK ..f - - r t r t' . 11 ro - - - - ,t: . - - ,f • _ . '.t - ' , o , - - - - - - 1 . •-C : r . _ - f -'i . • f' . I It :t, - - - z - 'i ~t , 'i k.j : ' - - ieft-btan r -1 a I' top Y •`e ' n "t e i ' . . p 9 - ' ^.(This . , I o `'f 1. _ - , `t1 :f= ' - ~ 11 i x. t`t' • ^ I.1 • - fit' F 1 - ` ' " I;r } - S I^ t 4 I" t k ' s 'f ' ^ fit', t ^t,-•,, f'• st• , ,h', - V , t . I t /n ' - h r ' _ ' - - , - - Y.Y. ,j R e! - } _ .v `F. . 1 ' 4 .s C ..t 'i r .Y.' v. V ^ f - .t._ Tr .S- t t - 7 ' `t 1. J `t' l S 1 r 1 i, 1 r 51 t r ♦ ~f 1~ ~ . `a. ;y7 .K3~ lt. 4' f, tY -',J T;. J rJ, t• a, , . , . . I " - I , , I ~ ~ ~ , , . , , - I , , , , - , . , _ : , . : . T , " - , . ~ . . ~ ,N -'I ~ ~.l I - - , - , , - ~ . , , , , , , ~ I , I I ~ , , - , . lry Y r ? F N I ' 4' : > r r-.r' N . Yr , : . 1 ` _ i f '.t. 1' ' .JA ' - t 4," ' r' I . ,Y - .'T' _ ~Y:, z , r y.n ( r„ r1. I' y. f t, , FINANCIAL SECTION F . a 1 ~ "'.1 ''I" , 1, . , , % I. , - , ~ ~ ~ , , " ,""'l-, , . ~ " - , - .t - s 4 ' l`Jp " .J i' :,i PI: ` l : - t 1. 1' 1 - k •l t .5 ,n` t H1. 4• t ~G +a > a i 'i ,}k ~1` •i.,•, rrty. Ya ,tr J r ,jl r)' , . 11 ;L .t _ _ ,3 . - 1 4'" I • J`•n,, t',''f, 1 t 'k ( jr t J S } (r .t .t 1 , , , , - , I I ~ , I I, I } 1 G t.,L t f F f > G t wh V .1 I 7. F: .r' ;,tom, 1 0°+ v." 4-Y•' - { 1. . J, ' . It I t ~ - y1 5 B i r• ` i ;t J. y A ,y r_ + v ,,o- 4 1. T Y t Y' F V - - tl l .Y'.' _ ' 'l II t. _ .1: ! _ 5 I' „ , 5 ya, 1, 1• t .k rely J, t"i r., 1 i i , !'J. i r. t♦' f• Y 4 v vb tr F I t. t , iii- .t j' - s ~ Z 41 r t 1 t J t , . a :r 'f '.'4t. . J v r _ k'. T / J ( C' _ 'x f rel. I ,tl t; e } a.' J t' \ ✓ . " s~" . r e: I- / ,1~ s? - P s' xr% .i , r I . i , . , . - . ~ ~ I ~ - I ~ - I ~ ~ - - ~ . . , ; , , - ~ :1, . . , ° 1 ; . 11 - 1 - _ /5 l ' a 4., certified public accountants 7 Coopers &L ,brand.: .REPORT OF INDEPENDENT ACCOUNTANTS' Honorable' Mayor and Council Members': :City, of Tigard Tigarci, Oregon : We • have a'u'dited. the general..purpose financial, statements of: the :City of',Tigard Oregon:,as.'of and; for the year ` a ended June 30;''1992;, as listed in the table of -contents: These generalypurpose'financial statements are the responsibility of the Citys management: Our.responsibility, is to express -an opinion on, these general purpose inancial;statements:based ro•ri our-audit. We:conducted'ouraudit in accordance with generally`accepted auditing :standards.and the,Minimum Standards for Audits for Oregon ..MunicipaF Corporations: Those standards require1 at we plan' and perform ttie 'audit to obtain reasonable assurance about''whether;the•general purpose financial statements. are, free of material misstatement: ` An audit includes examining,.on a test basis,' evidence supporting"the.-amounts and, in the "general purpose financial- statements.' An ,audit 'also includes assessing;the; accounting principles used and sighfficant estimates made by,management;-as.weli.as evaluating the overall general purpose financial statement presentation: " We believe that ouraudit .provides areasonable basis ,for, our:opinion; In-our,opinion, the generalpurpose;financial statements.referred to 'above present,fairly;:in all.material;respecis, the fmancial.posttion of the.City of.Tigard,'Oregon as of June,30, 1.992,;a6d`the results. of its operatioris.and cash: . flows. of its Ente rise Funds for-the yeat then ended in'conformftywith 9. eneralfy P 'acre ted accountin rinci les. rP 9P P Our audit was made for the purpose`of forming an:opinion,on•the•general purpose financial,statements referred to above'. `The combiningand individual fund and.account,group financialstatements and otherfinancial"schedules . ; listed as supplementary data in'the table of contents are presented forpurfioses.of additional analysis and are,not a. required part ofthe -general purpose financial statements of the City'of Tig'ard,- Oregon. Such information:has'- , been subjected to_the auditing procedures applied`in the audit of the generalpurpose;financial statements and, in , out,opinion, is.fairly presented in all material- respects, in-relation to,the general purpose financial.statements taken; As al.WhoW,, The'otherdata included in this report ; 'designated as the. statistical, section in thetable.,of contents; has not been audited by iis;and, accordingly, we. express no opinion on-such_data.-, YBRANDY. r cooPERs &I • _ • , , JohnI; -Dethman, a'.partner Portland,: Oregon - September 16, 1992: except for Note 8 as to which.the date is October30, .1992:. - 1^ ' f j Dt 'a•' ~ . CITY OF TIGAR COMBINED BALANCE SHEET' ` t' - :ALL-FUND'TYPE$'AND ACCOUNT GROUt?S' June 30,1992'' Governmental Fund•Types - Special = Debt ASSETS - ' General 'Revenue, " .,ti. `Service: Assets. Cash and InVeStments 47$19;3g5 '1'488 OYO • -585 7` 4 Restncted cash & investments: 4 Accounts receivable 93119,430 ProP,enry taxes, receivable 276' 843 .t ;13.1.848 _ merit liens• receiva h ASS@SS b .2,890873 , Accrued ,interest on delinquent asssrrients' 52;498' Pie aid insurance: P 80;623 Inventory of gasorine'and 'parts _ :18;430 Flxedtass@tS' net Amount available.for;bonded,debtaervice < 'Amount to be. provided. or retirement of, - eneraflon =term=debt" 9 9_ Total Assets - '$3',188,931' $1; t' .$3,660,9607,440 89' LIABILITIES; FUND EQUITY'AND'OTHER.CREDITS.t.' } r.r - - -Llaliilities. ' Accounts 'and accrued liabilities = 699'892' 61,7 t9 - `"2 _ payable 044.'. Deposits, 67; 284 ' - - `Defe _ rred revenues: , L a f• _ iProperty taxes 2.10,920' 104,309 'Assessmentlions receivable ;116,747 ' 2,884;007• j' Accnied:interest on.delinqu`ent'' - r assessments 50 026 Certificates of.'I?articipation" Y.= Acc Ued.vacatlon payable Deferred 'compensation payable : Bond anticipation notes payable ' Bonds payable Bond arbitrage 'rebate liability . .Speaal assessment bonded debt f' with 'government commitment .r Total Irabilities• 978,096- 178466 . 3040,386 Fund.Equity and ou,er Credits:, - Contributed, capital Investment in"general fixed assets T' - ,-Refained earnings 'Fund balances: Resew ea for °e pr paid~insurarice • .`80623 Reserved for inventory f 8430 , Reserved for`lib o tioris^ ~t . Y, p 120000.; i ' Reserved for employee retirement benefits Unreserved'and. designated for, debt` '"entice . - ` `Unreserved 620,597 and undesignated. 1,99U;782`, ,1;428;974- To ' , tai fund E u - 1 ••'and,.Other Credits - q tY. `2,2]0,83`5.1,428;974 620;597. Total Liabilities, Fund. Equity aand. Other 'Credits , $3,188 931 • $?1,607,440 ; $3,660,983': The'accompanying notes`are,an integral part :,of the: general purpose financial state'ment'": ProprietaryFlduclary.:. . Fund Types' Fund Types . Account Gioups. Totel Capital - Trust General` :General Long- (Memorandum , Prolecta Enterprise and Agency Flxed'Assets Term Debt, OnIY).' $3;094;304•,, : $ . 876,785 $2;512 ,660 $ $11,276;918 ! 1,590;312 1,590,3x12 79 383,459 596,608 _ 408;691 9;479 ! ' 2,900,352 52,498. =.80.623 _ 18,430 - 8,979,245. 8,208,120 17,187,365. • f , 620,597, 620;597 - 15,923,933• 15,923;933 $3,094383, $11„839;280 $2,512,660" $8;208,120 $16,544,530 $50,656;327 n'. '777777 69,529'' `$;:;631,399 $ $ $1464583 67,284, . ~ 315,229 r 6;814 ' 3;007,568 50,026 905;000 905,000 14031 " .284007 298,038 ' 898,065 898,065 , ` ' % 4644;523 - 2,644,523 " 9,230,000 9,230,000 ' 1.16,000 r: 116,000 3365 000 3' 00 365 0 :69;529 652,244 898;065 , 16,544,530• 22,361;316 9,362,854._ 9,362;854 8,208;.120,: 8208,120 1824;182 1;824,182 80,623. 18,43,0 120;000 1,614,595. 1,614,595 620,597,' 3 024;854 ; 6:445,610 3 024,854'.'% 1 1"187;036 1,6.14595 8,208,120 28;295,011 $3,094,383 $11,839,280 $2,512;660; `$8,208,120 $16,544,530 $50,656;327. , . - ,r _ - - - - _ y ' J . , - - - , . ' - - '.r' - . o s J." - _ 1, „ - .r - l - y J: 'T . - - . - - k. 'l - _ - - - - - - . 3 ' _j 1 r " - ' _ r' , ' ` c , . . , . _ _ _ - . _ - _ _ - _ _ - _ - - . 'S t' - - r. e . , „ , , a. O" . . . , - t, . - c - - i r' - - - - _ Q1. ' G - - - . - _ - - _ r• 1 4 - ' - .!'l J, .y . ' , lJ ^Y• ~ . . - Ly r` - - - - - - I ' S _ 1 - - - .t: 1 _ , . 4 _ - - . . - c' - _ - - - - - - _ - I. , . . x - _ - r - - _ - ,Y - „ _ - - _ - ~lr _ _ - - - 1 r , _ ,x , by - .i, , - - - " - . I—... ` , - V , , _ -1 ' • _ _ _ _ - ryIeo , . . r ~ , _ - - - _ ,7, K w~ :CITY OF TIGARD, OREGON COMBINED STATEMENT OF. REVENUES, EXPENDITURES AND CHANGES ."IN FUND:BALANCES=:ALL•GOVERNMENT FUND.TYRES for the fiscal 'year 'ended June 30; 1992' " . - Total Spatial-- Debts' • - Capital (Memorandum'.. _f General Revenue Service Projects Only) ` Revenues: Taxes' =$3;446,324 $ $1,517,005 $4;963,329 Franchise foes 1287,794, 1,287,794 Special assessments. 288,574 288,574 Licenses•and permits 812;322' 847,220 1,659,542 Y lriter'govemmental revenues' 1;587,773_` 1;422,2.03' 40,699 3,050,675' Charges for services 85,936 16,145. •102,081 , Fines and forfeitures, 322,618. 322,618 } . Miscellaneous revenues; pnmanly interest 284,276-, 115,722 310,276 465,963- •1;176,237 Total revenues `7 827043- 2 401,290, 2115,855 506,662, 12,850,850 Expenditures: = . . Current; Community services = 4 517,483. 3,000 4,520,483 Community development. 1,431,750 973,586,, 61,438 2,466,T14 Policy and administration: ' 1, 072,616_. 84;589' ' 1157,205 City-wide support functions- '.227,869' „ 37,605 265,4.74•. :Capital: projects" 231,820 458,432 3,045 796. 3;736,048: Debt service: Principal 1,664;000. 1;664',000 Interesf . 979,174 979:J 74 Total expenditures,,' 7,481,538 1 ^1,557,212 2,643,174 3,107,234 14,789,158 7 .Excess. of r'evenues' over, (under) expenditures 345,505 „ 844,078 52( 7,319) 2 600 572) 1,638,308 Other financing sources,(uses): ' Bond anti cipation note proceeds, 2;644,523., 2,644,523 , ' Bancroft bond proceeds 324,662',,' •8.0,138' '405,000' :.Operating transfers in r 4781004 478004 Operating transfers'out 7( 0,300) 2( 93,004) ('363,304 Total other financing sources (uses) . 70 300 d,-.*~-_ 802,866 2,431,657 3;164;223 Excess of'revenues and ` - ' other.sources over ,(under), • i ;expenditures and other uses ~ 345,505 773,778' 275,547 (168,915) 1-,225,915 ` Fund balances.- beginningof year 1,865;330'F 655,196 f .V -345,050 '3,193769 6,059,345' Residual-equity transfers in ! 11',440' 1.1;440 Residual equity transfers out b( 1,440) 1( 1,440 Fund balances _ end of. year $2,210,835 $1,428,974 $ 620;597 °.$3,024,854 $7;285,260';Y The accompanying notes are an integral part` of the. general purpose.financial statements. _ i. I .OF•TIGARD • C TY OREGON ` - COMBINED STATEMENT OF•REVENUES. EXPENDITURES AND CHANGES IN FUND BALANCES = BUDGE*-'AND ACTUAL ALL, GOVERNMENTAL FUND: TYPES • ' , v: r.' for the fiscafyear-ended J66e.30, 1992 y J^ :GeneraLFund' Speclal:Revenue`Funds' - > Y ;Variance Varianc4 av E orable 'F avoretile f`' "Budget ;'Actual `•(Unfavorable) Bud et'~ Actual. Unfavorable 9 ( Revenues.' Taxes' $3;487 000 $3;446,324 $t"•(40;676) $ - $ Franchise fees 1,264000 1„287,794,. 23,794 ,S- al assessments; pea s :4 nses'and permits,: 840,400'' 812,322 28,078), 735;000 847,220.. - 1:12220. 66e.Intergovemmental~revenues 1,480,880' 1;587;773• 106;893 .1,456,005'• ' 1422,203; (33;802),- _ "Chargesforservices s 112,275" 85,936 (26;339) 162,000' 16,145` (145,855) Fines and forfeitures. 250,800 322,618 7.1;81.8 4Miscellaneous revenues; pnmarily,interest' 41.1;000 214',2'76:` t2( 6;724) 69,900: ' 115;722 45822 •'n5' v Total: revenues' -7,846,355 7,827;043 11,312. _ ',721422,905= 2;401,290 21615 : Y :Expenditures:. ;r.t . 'CUrient: _ - t-M Community services: 41590,806. A. 17;483 73,323 6,083 3;000: 3,083.' Community development..': -1630,25'2 1431,750.' 198,502..' J 007;656., . 973.586, Policy and administration 1,,124800 1,072 616 ; 52 18.4 85 360, :84589; r 771 City-wide support functions , 257 045, ' 227 869 ` 29 ,176' `42 419. 37,,605 ; ' 4;814 M' Contingency 492,000' 492,000, 226;349. 226,349. ' projects, 202;589 ={231,820. (29,231:). 1,822,66 2"' Capital - - _ -44432' ,1,364;230''.,', Debt service: Bond principal Note<pnn6ipal.- Certificates of y t'' art iciP y ation ring ' I' P . P Pa ; , •J~I lnte - . . rest- 'Tota(ex nditures. 8.297'492 7481538 815 " tie - , ;954 ;3„190;529 1;557;212,. 1;633317 Ezcess.of revenues'over (under-) expenditures 45( 1,137) .:'345,505 796,642 (•-767,624)'_ 844,078 } 1,611,702 Otfier financin g sources (uses): - Bond,anticipation note: proceeds- f.. Bancroft bond proceeds" Operating transfers in= Operating transfers out 70300 70 300 ~ Total other finanan :sources'(Uses) g :7( 0,300) 70-300 -777 - Excess; of • ~ - reV@nU @S' , 'y - and•other sources''' over. (Under). expend_ itures` F ' "and oiher'uses451',13 345,505 796 642 767624 =773 778`' 1' 541: 402' Fund b"alanoes beginning of year 1,536,477 1,865,330, 328;853 761,624" 655,196 (112 428) Residual equity transfer in 11;440 - 11,440 Residu''aj.equity transfer'out- , r > ~,S• a 11 446 ( A.1 440 Fund. b; an ces - end;of '"ear $1,085,340, $1,125,495' 31 Y , $2,210,835-.-, $•1;428;974: $ 1,428,974 The accompanying notes are an integral part of the general purpose',financial statements,- '4 1 . `tip F.,•, ~ - , Debf Service Furida Capital - 'Pro(ects`Funds Tota13(Memorandum OnIY) Variance Variance Valance - Favorable Favorable Favorable Budget Actual'." '(Unfavorable), Budget' Actual.' (Unfavorable) Budget Actual.' Y(Unfavoratiley $1,545;484: $1;517,005 (28,4,77) $ $ $5;032484' :$4;963,329. $ (69,155) _ 11.1 .1,264bob' .1,287,794 23,794 ?P7,473., ' 288,574 $1,101 202,473 `288,574 81,101 -1.'575,400 :.-,',.'l-,659;542..: 84;142 63,483'40,699! t (22,784) _ 3;000,368 3,050;675 50,307' • ' F 274;275 102,081 (172,194) 250, 800: 322,61& 71, 818 278,79031.0276 W 31 480 `168,350 - 465,963 397;613 928040 1 17.6;237, 248,197:. ' 2,031,747 .2;1=15;655 _ 84,104 .23]'833 506;662 274;829)* 12,532,840', ° = 12;850,850, 318;010' 4,596,889. 4,520463 , x76406 65,020 61;438 3',582 2;702,928 2;466;774': • 236,154 1,210,160 1157,205 52,955 299,464 265,474 33,990 AM; 19732 738;081 • . 738,081' 6,315,813' 3,045;796: 3,27,1,017,• 8,342,064-` 3,736;048 4,606,016 ; 1 152 000'• 1,•1.14000 38000 1 152,000 1,114;000 38,000 . 300;000_ 300,000 300,000: 300,000'. 250,000 ?50'000 250,000 250;000 996;615 ' 979 174 17 445 996,615 979;174 17441 2,718,347• 2;643;174', 75,:177; =.63818333107;234' 3,274,599 20,588,201 r;: 14789,158 '5;799,043. '6( 86,600) 52( 7,319) 159;28.1.' (6; 50,0002 6( 00,572) 3,549;428 (:8,055,361,)' 1;938,308) - 6,117;053 2 500 000 2 644 523 144 23+ 00 0 3 5 c: 2;5 00 2,644;52 144,385. '325;000. 324,862` - :"(138)' , 80;138_:`': 80,138 , 325,000 405;000`: 000 165;600, 478,904 292,404: '185,600 '4781004 292,404. 2( 93,0042( 93;400) 363,304 . ' 363,31 510,600 802;866; . ; 292;266.; 2;500,000 2;431,,657 r ; 6( 8;343): 3,010600 r 3;164,223 153,623 ' . 76,000) 275 547 ' : ;451 547 (3,650,000) 3,481 6,270,676 ' , (168,915)-. ,085; , (5,044;761:) -1,225,915.. 176,000:.° ` '345,050' ol6660 6 3,650,000 3,193,769: (;456,231) < :`:6;130;101. •6,059,345;••-: 70,756) - 11;440 11 440• 1( 1:440). 1( 1,440) % $ $ 620,597 $..620,597 _ $ -.13,024,854' $3,024;854:.: $1,085,340 $7,285,260.',; ,'•$6,199,920 ' r it . 11 m .1 ^i ' , - - - - - 0. , - _ _ , - ] J Y . CITY OF.TIGARD,,OREGON ` .1 . , . . , . ~ I , . COMBINED STATEMENT OF'REVENUES;,EXPENSES AND Y_b CHANGES IN:RETAINED-EARNINGS/FUND BALANCES; - . r?; 1;{' :ALL PROPRIETARY fUND.TYP.ES'AND SIMILAR TRIISl FUNDS PG: : . , - - -for the flscal.year ended Jurie=30,.1992. 3 . 11 w - • ,f .1 i !To:tal fi; ' Pension (Memorandum - i Enterbrise. Trust' _Only) .0perating -'revenues: . I S@NICe - es t 1532741'- i< ar9 s' $ $ 1532 741-!. . ',ti' tiOr1S = ' ° r I ,l ' ;,366;099.' 366 099 T', 'ntn . 'u . nterest _ 108,744 •'108.744 la _ Miscel neous. ' 4371 ,437' Total 'o ratin' .revenues- 4 Pe 9 533,1:78`= 474;843, 2,008,021 . O 'eratin ' Ex nses: P. 9 Pe . ' i' ' f.: e a 8• ' S1 i e 'Y ' -sand wa9e.. , e~'n OS 257' xy: t•'805.' - 257. . 1 Contra d'services '14429 ~ 4'4 1"6. . : 29 ; , Gene~al'and'administrativecand other ; .328,907', , 328,907. Depreciation 398;777.4 : 398,777' ' - Benefit a ts;and-withdrawal s - . P Ymen • 73,593. 73,593: ~ ' _ -h Total ` operating=expenses 1';547;320 - 73 fi93 `V 620 963' F. Operating income•(loss) (14 192), 401 250 ~u 387058. is F 1 - Nonb ratin 'revenues ? PQ 9 - ''t '.I .3 Interest 1.19.546 ; - 1'19 546 w / `i r eYr L "I. i1 , r Income before o 'ratin transfer' P.. 9. 105;354;' 401;250 ,`506+,604 , Operating transfer`out 114 700 11( 4,700) - _ - , • _ ' Nefincome (loss),' - (9,346)' 401;250^ Y - `_'391:,904 ' if f,,. P Add de reaation on.fixed-,assets;donated " or w red from ca ital'contnbuti r acq p ons I. .1 . that reduces contributed capital • . - 235;068.. ` _ -235;068 ' - 'Increase"in retained earnings-` ;j ; .225,722' : ' -401,250 626,972. ` . -.ti , ' Retained jearnings,: beg. ' 4 i` _ • innin9 ofYear , 1;598;460i' '1.;213,345 f 2;811;805, " ,t' :t Retained earnings - end'of;year - $1;824;.182 $1;61'4,595 $3,438,777 ' ' . . r S, . - ' l - k• R Ly x ` " _ •^i . ..ti - 'w' . Utz -'4.{ _ - 1, .w. - 'r••- ' - - 1• .t.. - 1' • a r - Y. - ' g t 1'. - - ',f . - - - l". • , - r ,I I . - - ~ . . ~ . . 1. . ~ . ~ , I ~ , ~ ~ , ~ , , , - , ~ - " - . } of the 'eneral: u se financial,statements , 1 x The . accompanying,notes,are an'integral Ii-. 9 P. ~ - 5 ' _ } , - , . . I - s :tF ;t' - ; r . •t'. 4 ,CITY-OF ~TIGARD; OREGON' , COMBINED STATEMENT OF CASH FLOWS' ALL'PROPRIETARY FUND TYPES= ENTERPRISE FUNDS for the fiscal year ended' June 30, 1992' •Cash.flows from operating activities:',- 0 = perating'ioss ..(Y4,192). Adjustments to reconcile operating loss „ to nei'cash'provided by operating activities:. De reciation 3 98 777 Incr'ease,in'accounts receivable (117,919) Decrease in due. from otfier funds 125;387 w- Increase in- accounts'payabl""rid accrued,liabilities 198,655 Decrease in• accrued vacation.' payable " ;(12,567) Increase:in assessments receivable' Increase in,deferred revenue 6 814 r Net cash, provided by opeliatingractivities 575;476, - - Cash flows' used in noncapital financing activities, l `Operating transfers out `.114760 Cash flows from used in) i- Y ( ; cap tal and related financing`actnnties. • .Capital contributions' -171,257 Acquisition. of fixed assets: , 275&917 Net casFi•used.in capital'and related fnariang activities: - , 1(4,660 Cash. flows' from. in vesting activities - =lnterest:earnings ,119,546 Nef increase in cash,and cash equivalents 475,662 Cash and cash equivalents 'beginning of year, 1,991 435 . Cash and cash. equivalents --end-of year $2467,097 The:accom`panying'notes are an integra1,part ofthe general purpose financial statements 6; s . M1 Ili • S - . • • .-1. f. - t _ r _ _i _ i _ i - , ~ . ,x, v - t' ti'. i,; .,t, . i. r' _ J3;' , _ , r ',r 1' ` k, • . , - 1. , - '.l Y. ".t. - _ - wr _ S ,7 i i { r .l . F blank.).w Waif -left ' (This`pa9e . , r 1 r _ - - - , f , ` I - _ . _j . r•f . r . • .Y"l j, - , .1 " - I I , "I-,.,: t . ^ r + - - - - ` t V: • f * t f ti y . t i r ''S -I l 1, W. I µ . t F . `a W . x 3 i . .%v - - C,'r - - - > i - , ?J F ,J x I , - - - . ' - - . t .f - r - 1-I• - - . - _ - fr4'. , _ = ;.a: . ,r , . , . . . ~ ; : , , - ~ - : -1 , ~ , 'n - - - ~ , - ~ . - , . , ~ . , . , . S-r r= _ ;X.• f . ~t,. It, i rf` - 'a`ti. r- ! ` i' i C - - - r't ` Ih G''.ftl r 1f. i ` - f, 11- .t , '1 :t' 7 v. s'r1' :f 'l. 1' , . ,1 i ,`t. .f' .t ' f' = I .1, t t' , y~. , r j 4 t ..v "t , , . . I . t , " . . . ~ t i. ~r ',.I,. l r r .t .•t ' a ,2yA, s 1 . r t - e'' ' 11 1 ,.1`. r r I. t, +111 ::4 / f ) ' • y 11 ' TJ f i .J• 4` I , J . _r . • I , i f ` .t1.lr 1' 4 L ro. r : f r s ,fit r f i ) r !s t 1 ,Ii I l ~ F T'' t ..l i 4 r1:. 11 J° J, 1 J ,G J ) t ' .7 NOTES TO GENERAL;PURPOSE' FINANCIAL-' STATEMENTS ` 1 s .y ' a t J' ;l ^ •Ir .f t raL > t.ar a~ I}} a f } '1. r^.. s " FtYr •.I,'i , 1' ' ;;ti' 'i, v <.3 . t, -,,,',ii r t,.t i `,r ' I k . J ^ t' - J t+Y f 'LI : J - 3 ` ' ,L ~rrf _ ; r . 5„ ' r; if :1- : .r7{I't. '.H 7 ,"-,,..N,!.; '.Y r r-' d - ' `J J L t r t M1 - J 'r a } If d.. T i'• ,t ..1 4 :)1 . / 'Irre' I 'tv .1`r` r rr yi e 4. -,.1 , 1 . ,t. y Yv a ! I I _ _ .J. I i1..' i . y - . '1:Y ' t t'. -t ` r , r1 " ir' j : v :i' z " p y 1 l ' - ) , 1 1 ! f. ,,Ir ,t. J .F "f ~Y L . 11 . A `r.:: . :.I,t il ` , .t• j' J C.. i S t Y t_ .t '.ti Y'• J r { 5 -111 1 `Y.. ;J.. a 1,. I. t' . r Y" i r~ Yti I " '!f i,i 41 .1'.. mt 'Sry / t•f•~ : ~J t. .,l- ^r i a "r' Y x e' t' 14 , ;t.'. ^ n . 1+ :r . 1' r. - '1 it- r' 1. .t - - .'li - ,t~ ,J. J• :tr.r 4 • f "9r J' I' 8 f l •i , { , S 4 ti. 4 i , ; I I .f CITY OF TIGARD; OREGON. NOTES,, TO,;GENERAL.PURPOSE',FINANCIAL STA3EMENTS 1. Summary'of:Slgnificant Accountind Policies:'.,* , Governmental Entities Included In the,t:ombined Financial Statements The Cityis-the lowest levelof government exercising RoGersight responsibility for;all general governmental operations within . As" 'a, result, -aI1'sign ficant.'activities and organizations. have- been ;included in `the combined :financial ' statements ,The following,criteiia,were established;to evaluate', the manf6station of oversigh(responsibility at the-lowest " level -of legislative authority: Financial interdependency The.Cit' ..responsible for its debts ',.and is'entitled to, surpluses. No=separate agency receives a financial°benefftlnor imposes.a financial burden on.the,City 1 Election of the governing authority: The•locally'elected di' Council-is excI swely responsible•forfall public decisions and accountable•for,the'decisions•its makes. ' . Designation of'managernpnt - The City nts the: manageme'i of the.-City: The.activities under ttie purview'.-. i' of,management'are within the scope. of°,tlie reporting entity :andahe management' is'accountable to the,City:Council for the activities being managed. ' y: revisions of the' . Abilit to si n'rficantl , influence o' erations -,.,The-:C it Council has the statute 'authorit Y. under the.P. g Y P Y. ry Oregon:Revised,Statutes.to-signficantly influence:-operations.-.. This authority includes,:buf is'nd't;Iimitedto, adoption ; of the budget, control over-;all assets, including facilities and properties, short-term borrowing, signing. contracts, and-. developing.the programs to`.be.provided: Accountabil Y for fiscal.matters= The:.responsibility and.accountability.over.-all funds is vested with,City Council.:- There are, many, governmental, agencies including' Washington- County and ,certainschool, districts ahd:.,various'service districts which provide. services'within the City.~These, agencies have`independently elected.goveming boards:and the City, does`not'manifest"any''oversight.responsibility. ,Therefore; financial information-,for these ;agencies' is'not:included imthe, , accompanying:general`purpose•financial, statements: r Basls-of Accounting t• The =financial statements, of, the -Governmental Fund. Types'. are accounted.'ior'•`using 'a 'current financial resources . ` measurement.foduit. With this measurement' focus,, only.'currentassets and current-liabilities generally areincluded~on..the combined balance -sheet: ` 'Qperating: statements of:'goverrimental funds prese_nt1 increases (revenues 'and other. financing sources)..'and decreases '(expenditures and other financing uses) ' in,,net current,. assets: Agency funds",.do not present. . ',operating-,results. The Proprietary `Fund Type (Eriterprise'_.Furids)~'and'•Pension.-Trust•Fund','are accounted`for'!using `a; flow of-'economic''. resources,:measurement focus...•;With this 'measurementipcus, all,assets;and, all liabilities.associated with the,bperation of:,. these,funds are included,.on the combined aalance sheet The Govemmental'Fund Types;and.Agency Fund are. maintained:on he'modified accrual basis of accounting. Under-the m A fied.accrual basis,of~accounting,-re venues arereco rded; inth eaccounting period in which :they:become measurable. - and:available, and'expendituresare.recorded at the time liabilities are. incurred,,`except'for Interfund'transactions•for'_services.which'are recorded on the accrual basis. " x - ; Interest on bonds payabld4hich is recorded on- its-.due date..' Earned but-unpaid vacations which',are; recorded as expenditures to"the.extent they are expected 'to be liquidated with ' expendable•'available financial,-resources: ,CITY OF=TIGARD', OREGON' t NOTES•.TO.~GENERAL, PURPOSErPINANCIA( .STATEMENTS; (continued): 1. Surimmarv:of-Significant Accountind Policies cohtin-U'ed)1---_:',,',1, Basis of,Accountln continued ` ' . Revenues', which were measurable and av,.ailable :at June'•30, 1992 under the modified accrual basis of accounting were ash ' follows: „ State; county, and local ahared`~evenues for cigarette: tax; 'liquor: tax "and other., R", rope rt ytaz`revenues,-and.assessment;lien principal, installments which `are .collected'within'sizty,days followin.'g veall end: h' The Enterprise Funds and,PensionTrust Fund:are `accounted,for''utiliiing .the,accrual basis of-accounting. Under the ' accrual basis.of ,accounting,, revenues, are? recorded. at the'time they are -earned 'and; expenses are recorded at the, time liabilities are incurred. The. bases' of. accountin ` :;described above` are ci,accordance with.'9eneraii p fed accountin9 PrinciPJ l.es:. _4 Y•acce Total. (Memorandum,Onlvj Columns e T ; otal' M m •r n ` rn nl ` I mn n ` min f' ' ' n r - f 7r . h mn r ( e o a du O y) co u s'o th e co b ed financial statements, represe t an agg egate-o t e co u a ' f ' statements by fund-type and accountygroup; they do:not, represent consolidated financial ;.f information. r ` Investments` ' 4. rket:: Investments,,,included rn unrestricted'and restrict Id:cash:and investments; are Carried at cost which"aroximates 'ma r•. beferrred;Compensation Fund investments are:carried ,at-market Value:ti _ZX -Cash Eguivaients r 4'. For purposes-ofI e`combined:statement ofca8h.f64% all.•proprietary fund..types'.-Enterprises Funds, cash equivalents :are ` short, term investments with original:maturities: of ,.less.than.'three months: Recelvables, . Receivables"for.state, county;,and`local'shared revenues are"recorded as•revenue in-'thiD,Goyemrr4ritaf Funds earn. Receivables,of'the_:Enterphse:Funds'are',recorded.;as-revenue:.as earned, including services: earned but not.-billed: Property taxes receivable:forthe'Governmentai•,Fund-Types which hayerbeen collected_within sixty days subsequent.to"year end, ;are; considered: measurat;le;and, available,<and -'are recognized.,at reveriues.::rAll other property-'taxes' are offset by ` deferred property tax revenues and; accor`dingly;4,tiave:not beer recorded:as..revenue.; Property:taxes become'a lien,and . are levied on July, 1 Collection.datesare:November 15; February'. and.-May-15.- 'Discounts.areYallowed 'rf'the amount- We is. received by November15.j;Taxiunpaid. and outstanding on,,May :16 are',consh red:delinquent: ,All propertyaaxes ' 't , ' . receivatile,are, due,- from property "owners within the•City: ; ssessm A ents ih'the 9governme'ntal,fur)dp' a' recd9,nized as receivables(at.'the,time`Fp ropP"eiiyowners,are assessed for . 'property.improyements. 'Assessments,receivabie.expected;to be collected within.sixty'days.after-year end. are considered measurable and 'available 'andare `recognized as re,Venues:., All other assessments receivable are ,offset` by a deferred revenue account and; accordingly; have not b , een recorded:as revenue. •~,Accrued-interesf -n'delinquent,aSS@ssmeht§ is.recOrded as 1 receiVable'and entirely offset by.a -deferredrevenue'account;- and accordingly; has Ynot:,beerr recorded'as revenue,.. £ b,. a 8 ` i'` s' f~ITY'OF: TIGAf~DREGON NOTES. TO, GENERAL.FURPOSE FINANCIAL STATEMENTS;,.(continued)z; ' . 1. ,Summa 'of'sl nlflcant Accountlri Pollcles: continued) rv' ( . = Inv n R ent Iln 'a d orv of Gaso a arts Inventory: of gasoline and: parts Js stated 'at cost on. -first-in, first-out basis, and is charged,to expenditures as used. Restrlcted Cash`and Investments Cash and investments which may only be. used for construction'of;fixed `assets in,,.aecordance with. applicable' iaws and :regulations_have been segregated from'unre'stnct'ed cash and. investments on'thecombined, balance sheet:=...; Enterprlse'Fund FlxedAssefs: , Purchased-,;fixed assets are, stated..'af historical cost or, =historicai. cost when historical, cost` is not.!availabl'e: Donated, asset s; are re corded,atj air,market-Value :at,date.,of donation.' Estimated fair,.market''Value of donated assets is'; dd.based,.on engineering csti ates v, urre!yt'cost ra° price',indeked `cost:. I~e~reciation ~s computed on assets in."': service; using the straight=line. method ,over their estimated:usetul: lives:, Building` t "40 years -Sewer System 40 years Storm Drainage -System 4 . . 0: years Equ'ipment 5 to 10 years , . Autos and:;Trucks 3 years. -.,Depreciation expense, on Iixed'assets donated or acquired from'-capital contributions is recognized as a reduction. of• contributed' capital. Such reduction' is. recorded by a',.transfer from..retained earnings • l♦° ` .r , ` rd 1. .,Normal maintenance. and'repairs are charged to operations•as.,incurred. Major additions, improvements-and replacements` are capitalized.' Gains`.or losses from sales or refiremerits'of fixed assets are included in operations:' General Fixed Assets' Gene ral-fixed'assets are•stated, at'historical cost•or.estimated hi. ohcal.cost'when•histo'rical:'cost is,not-,available.- Fixed assets. are chargedto' expenditures in, the Governmental FundTypes as purcha'ied and `capitalized,-in the General Fixed Assets.Account.Group. Maihteriance:and repairs of fixed'assets a're'charged'toexperiddures in.the'Gdvernmental Fund.'. Types as incurred. and are nof.capitaiized. As fixed:assets'are.d"isposed of, the estimatedihi"stoncal'cost or;historical cost ' is removed from'tfiis account. group;, proceeds from sales of. gerneraffixed assets.are recoirded`as General Fund'revenue. Depreciation is not computed on genera l;fixed•'assets. ; Expenditures for public domain fixed assets (streets; sidewalks; Curtis and gutters, lightingsystems and;`s'imilar.assets) that "',are`immovable and'of,value only'to the City as a governmental unit are reported as expenditures'as:incutred and are not capitalized. r _ ono-Term Debt ` , , l° ,.fir, n tf• " .,All unmatured long term 'debt 'is, recorded in.the°General Long-Term. Debt•Account"Group Periodic. principal and interest repayments •on bonded debt are- made from 'special assessments an - property"tax: levies-and, are` recorded. in the debt-' , :'service funds~,.Certificates of participation will. bepaid, for by property taxes levied beginnino-in,fiscal.,1'991,and: payment.. will:be made from a debt:service fund.:Th`bond;arbitrage rebate.liabiiity will•be paid from a'caprtal:projects.fund., Bond. anticipation'notes are expected to be paid from general obligation bond proceedswhen due.: Theaccniedvacation''lialiility "will; tie paid :.from the-various-.goVernmental,funds:: The=.CiiV has no'long=term':delit in ,its enterprise.funds.' - 0 w'ClTY'OF TIGARD,OREGON NOTES TO'GENERAL"PURPOSE FINANCIAL STATEMENTS; (continued) F n ' 1. Summary.of-Slaniflcant'Accountinc Policles:, ,(continued) _ Accrued Vacct` lo y ri.Pa ible Accumulated.vested vacation pay°is accrued in tn'e' Enterprise'.Furids':as it is.earned"by employees:= In Governmental Fund"" Types the amount ;,'rf any expected to, be liquidated with,expendable.Available, resources-are, accruedas'liabilities_' of`the funds and-the amount payable from future resources:is recorded in' the General -Long Term Debt Account.Group Sick pay, which does.notvest, is recorded in all funds~',when:leave.is,.taken.`' Contributed-CaI 'l - a, r, Cohtfibut6d'capitdCin.,the=Enterprise-Funds represents the'accumulation.of'cgntributions'in'the form of cash.o,r•other .,assets-~ ' which generally do.'ot have to be returned.to"the contributor.. Such contributions'are'•recordeddirectly to contributed capital' t,, ; and,, accordingly; are•:n ' recognized as tevenue':: Ttie:following transaction's =are' recorded ~in'.contributed °capital=inahe,' ' Enterpr ise Funds: TReceipts of `federal and`stM& grantsior;;;acqujsitions•.nf,' fixed assets: Fixed as'sets'contributed from other fundsor the. General Fixad.lssets'Account'Grou p. Contributions from others for th'e'acquitdion:or construction of fixed assets`. :;Transfers,from.retained=earnings-fordepreciation on,fined asse.ts.donated or:acquited'by,contributed capital resources t° Budget _ A bud et is ared'for.each•furid''exce t'for.;tfie. Fiducial Fund,`:Tes; in,accordance with the'. modified accruah;basis of g. , P rep, , . P . ry . , yp accounting, or,governmental funds,-theraccrual basis of accounting _for, Enterprise Funds, and in accordarice.with the legal requirements set.#orth m,the ;Oregon Local'Budget,Law..:The`,o-rdinance authorizing 'appropriations for-.each'fund sets'the t level by which -expenditures; cannot legally exceed-appropriations:,; Al prophations,are made, at.the major program Wel.for each-fund: Appropriations lapse at the.end'of, each fiscal year The`,ptail';budget document;-'however, is required,fo contain,''~.' more' specific: detailed'.inforrnation .for the, above=mentioned'..expenditureY categories:; Budget amounts, include ;,original:.: ; Approved, amounts and all subsequent;appropriatjons,transfers approved by; the-City Council After budget approval, the City•Council may; ;approve supplemental appropriations rf' an occurrence, condition, or''ne'e exists whichs, had.`not been. - Iascertarned•at,thetfime the tiudget'was adopted:: Management maynot amend`tiie`budget,with out Council;approvaL; During.: . ",the' iscal>year ended:June 30,`1.992, several=appropriations,transfers.were made. r Thetbudgets for.each of°the governmental,funds~include capital 'outiay-expenditures::in each'' program'forcapital''outlay':J , applicable,.to thaf..program.,:Capital outlay expenditures benefiting the City and;not an. ident'rfiable program are reported separately ; " . , ` "Y C 1 - - l a' - - ' F TIGARD 'OREGON _ ciTY r `NOTES TO GENERAL-PURPOSE FINANCIAL STATEMENTS;"(continued) , 2 Organization and Operatlon: ; ' The-6y'of• Tigard,,under its.Charter'of 1962`,'is•governed by-an,eiected mayor and four council-members who comprise the City Council::The:City's financial operations are accounted for,in the following :funds and account-groups,' Governmental. Fund. Types General Funs fund accounts for the: City's general 'operations.' It is used to account for,all transactions not ecif ically ;related to the City s other funds. - , Y Special Revenue Funds: " z Forteltures`.From CClminal.ActlVlty.Fund`.-This-#und accounts for.funds and property seized from-criminals in..connection with:the. crimes committed: : State Tax Street Fund'- This fund -acc~scnts; for revenue, > rF C , ,,ed ,from state gasolirin taxes which are lo' be gon,,Artzcle IX,.Section•3.• expended as.specfied`in1he Constitution of the.:State'of E?re Streets SDC Fund ' This, fund accounts for, system development char s, tolie used for major repair and; ' .'improvement to extra capacity-str'eet facilities. ; Parks SDCFund -This fund accounts foe's stem :develop meet charges for ma'or4im rovements, to. recreational ' . f ili ie ,_witliin theCity • ' ac• t s - County Road`Levy~Fund Tt is:fund accounts•fora special, one; time propert y,taz levy from.lNashington.County for the maintenance and repair of` roads:.. This fund was closed during fiscal year 1991-92 County Gas. Tax Fund ,:This fund accounts"for road-"tax;. monies ~received'from`Washingtorf County for the,. maintenance and operation of roads Trafficlmpact.Fund =Thisfuntl accounts for traffic pact, fees charged for new development." .This-voter 'approved 'county=wide fee~takes the place of.the City's Street SDCFunds will be used for-highway and transits, capital improvements'.approved: by the County that provide-additional capacity.to the ,major transportation-, ' . • -system: • - = - . . water .Quali'tYA& 6L'antitlFund'- This fund•accounts forfees charged on certain developments in lieu of on-site'': ; surface water im rovements. Funds ;can be used. for surface water,drainae'im rovements. p 9 P Debt Service Funds: ; Bond' Debt Servlce:Fund --this fund accounts for payment' of general obligation. bond principal and interest. The principal source of revenue it fr0 in property. axes Certificate of Partlcf ation Debt Seniice Fund -,This`fund accounts `for payment:of cent'rficate.of,participation' principal-and interest: ,The.principal source- of'revenue isA m,propert y taxes .from a Parks serial levy.'` Bancfoft Bond. Debt Service Fund This fund accounts for payment'of Bancroiimprovementibond principal .'and interest The:principal'source of revenue'is`from'collections o'assessments~ag'ainst,benefitt6o property;': interest, `and co ntnbutions,'from `other funds for their share of -costs:. :CITY'=OF:'TIGARD OREGON - NOTES'TO GENERAL-PURPOSE FINANCIAL STATEMENTS, (continued) 2 Organlzatlon'and ~Ooe'ration: (continued) Governmental-Fund Types:.continued " r'• 1 Caaltal; Proiects -Funds: Local Improvement: Capital Pr ' iecis Funds - This-fund.accounts forconstruction'of Local'Improvement District projects from the sale .of. Bond- Anticipation Notes. and •certairi• other debt. RoadY mprovemenf Bond:Fund = This:'fund'accounts for.the 'p'roceeds of t66 sale of bonds issued, in.1989 to ' fund,improVements to"segments of -tenm ajor streets:in`the City:. Levy: f 'Capital Improve ment' Fund -This fund. accounts.'for4',proceeds from the sale of C Park ertificates.of : Participation and improvements to';Tidard's'park system:,:. • s. P'r_ ri` o ` eta •Fund'T - p N. YpeS'.. Enterprise 'Funds: . $ewer Fund Th'is` fundaccounts for ttie'City,'s `sewerrutility`operatio,os. Storm Drainage Fund - This fund accounts focthe di s storm drainage operations::' Fiduciary% and Types: Y Deferred Compensation Fund - This agency fund accounts'for monies,withheld from employees under deferred . comOrisation' lans'and earnin s'on, investment of•those-funds s Pension'' Trust*. Fund, .This fund..acc'ounts for•theCi 's 'erieral. em to ' ee'defined contribution lans.:~ Account Groups'' - General Fiked Assets'- This account group accounts fo'r the Oft 's investment in`fixed~assets' With, the exception of _ - those assets: held.by. the Enterprise Furids.. . General' Long-Term`' Debt :This account group -accounts for: general long-term indebtedness •of the City.' 3 .Cash and' Investments Th6''bity; maintains. a cash -and investment ;Pool'' that is `available. for, use, by :Alf funds;.,:except 'th& Deferred: Compensation', - j fbnd•ahd Pension,Trust` Fund:, Each.fund'type's;portion of this pool is displayed on the:combined, balance-sfieet:as "cash, and:investments:"' The inv_estments•'of the` Deferred Cempensation F_und'and Pension-Trusi,F6nd are.heid= eparately from,' .,those of other City funds. r: i Cash and nvestments are-compM p Wised- of, the following at,-June 30 1992: ' Cash,on band Q@ 7982, Cash -Weld by'Department of Finance, •Washingtoh=County,' S ' - 34,539 ' Deposits, with financial' institutions = t 54;7,749; - ; ; Investments;: :..x. 12276;960; s. i2 672 ' A2` ~I CITY .OF31GAR ; QPECON, NOTES,, O GENERAL PURPOSE FINANCIAL STATEMENT$,.(continued) . : , . 'CasKand, nve'stments: '(cunt riuedj'' • Deposits . - - ` - ; Deposits with ..financial institutions: include bank demand~deposiii and'tirrie~deposit accounts.; the 'totii bank balance~is " :.$358,970.(book•balance is •$547,749), -Of these deposits, $100,000 was covered by federat"depositoryinsurance, and ',$258,970 was fully collateralized with`. securities held.by financial institutions•acting,as custodians for the City in they _ ity s.:" ' name: Oregon Revised Statutes require `the depository-institution'to maintam,ori:deposit;-with'~a collateral pool manager; ' ; securities having :a,value not less than.25 percent of'the outstanding cert`rficates of participation issued:by. the:pooi manager. ` : ; ' .Investments - , • . - State'statut es" uthorizeahe.,City to`invest primarilyin...general,obligations of'the'U S.Government;and its agencies,:certan bonded obligations of Oregon municipalities;•bank repurchase agreements, bankers `cr'epianc& -r, ~rtain comrnerdial,paper, ' ' andahe. State'Treasurer's Investment Poolamong'others.- Th6bity" investmentsare categorized below'to;give an indication of the-level of risk assumed-by:the City at June 30,`1992. Catego'ry' 1rt includes investments thaf ,are',finsured or for which the. securities .are. held~byatie City in the: City s=name: Category2-includes uninsured investments for.which,the.securi ties.are held in the, City's:name by the trust deparfinent.of, the-financial institution selling'the•security~to the City...Categoy.3, includes uninsured investments-for which.the: securities are-held by"the"financial institution seliing the se'curity'to.the Cny or by.itstrust department,~but-.not iri the City's name. The City does not. use brokers'or dealersfor its investments: ; Category. Car.rYIn9. l-, I -.t 1 2 3' Amount. Value '7 -7 US Goverriment:Securities $480;665 $ , 480,665 ' $ 480;665 Held by custodians under . ,f t deferred compensation,-and' , pension, plans- mutual , fund. investments ,2,512,660 2,512,660 State Treasurer's` Investment: ` P00 l; 9;283,635'' 9,283;635 - 'Total lrivestrrients °$12,276,960 $12276;960 4. Assessmeint'Llens,'Recelva'ble Assessment ,iiens,.receivable representdhe uncollected ..amount. levied against, benefitted property for the `cost' of local improvements. Be'cause.t. assessments are liens.a' ainst:,the be _ 'g " ` nefitted property, aallowa'nce.for'uncolle'ctible amounts; is-not deemed-necessary: Substantially all .as , are payable over, d period'of* 20 years..Assessmenfs bear ; Y. interest at.7., percent''4o-13-percent.=.. -he- portion of assessments -receivable balance"at -June 30;.£;1992,`.that'represent, ' delinquent accounts is $76,478. x .r ` - J f0. a 13 _ CITY OF''TIGARD,.OREGON NOTES TO GENERAL •PURPOSE FINANCIAL STATEMENTS; (continued) N' - 5. Fixed .Assets J _ , Mfr t` ..:Fixed'asset& in the En" e' Funds at, June '30; 1~992,;are•as follows::" Land ; ` 2,484 'Building 5401- 53 - Sewer,s in, 6 893 055 Y• z.'.. a. " Storm drainsge•s`stem' 6321 39 , Y , t` Equipment `105;283. - ryr; Aufos :and' trucks' ti . 458,82213,834,574 Less accumulated:dep•reciation: (;'-4;855,3291 r :$_,8,979245.' ' s. -Ji , - Chan`es infixed assets n the General'Fixed`Asset-Account.Ge6u p for the ear.ended''June 30 1992 arej'as'fol~ows . 9 P X n ' Balan'ces' Balances " June`30' 199.1 Additions Retirements June. 30, 1992' Land 2:062 820 2 088`-> $ 2 064 908:: - ''Buildin gs' ;3;449,220'' 279,374 3,728,594 :E u i t;m,. V f•: .107 e 67,737, t' S ` . 024 47 007 -627,754 -Auto, ~:and_ fiucks a- :825;484: 120,27_8. 14;802 930,960 ? Office,"equipment` 179;057 94:,920 .18073 855;904 $7684,318:` ``$603,684' 79882 $ 8;208,120.;•' ; y ~y •r 6. `Lone=Tenri-Debt. - ' 'B nd ~ P • . . o s a stile v Bonds-payable'tr'ansactions for fhe.yearended June `30; 1992' and future maturities of:bond'`principal'and interest at June; ' 30, .1992 are as follows: ` . , '.Outstanding. Matured. Outstanding ` { June:'30, and'Paid .4 June.30'` 1991 Durln' ::Year;=`r 1992.. interest General. Obligation Bonds: General obligation; bonds; interest _ rates.5:95%o to.:;10:60:' J z Fsea( Year:Y., ;1992 1'15 600. $•:115`000 1993'695 0.00 "575 000.:` -120000 ` `619 845• 4- - 1994 83Q;000 ;830;000 5.68,770, 1995 945 000 -945 000; 508,`91'0 r 199fi- 1,055,000. `1';055;000 445598 1997=2000 = 5;37.5;000.'. 5375,000 986,414 t ',al 2001-2004' 905;000 905,000. 1°39,500 9.;920,000 $ 690,000 $q 230'000' : $3,269 037'. ~f• 'fir CITY-OF TIGARDI'DREGON• NOTES TO GENERAL PURPOSE. FINANCIAL,-STATEMENTS; (continued). 6. 'Long-Term Debta (continued) - ' Outstanding During , Pald,During Outstanding June-30„1991 Year' Year, r''June 30,:1992 Interesti ' Bancroft ImprovementzBonds General obligation:improvement bond' issues; interest rates from:60/6 `to'16%;: payable first'from assessments lto benefitted , .'-properties'and. second, from 'the general'. ~ • _ . , credit if the City' 1992 $ 0000' $ $ (424,000)., •6,000 $ 408,000 4081,000 209,59T 1994 203,000 2o 3,000 185635 1995 218,000' ' 218;000 170,507; 1996: 145;000 145,000" 158,005 1997: 1551000` 155;000 14g,44g 1998-20.02 . ' 810,000; .405,000 1;215;000's 570,684 , 2 03-2 6' 1' 1 1 1 22 212 QOM 00 • 0 5,000' ,0 51000: $3384,000 $ 405;000:+ 424 000 : $3;365,000: , ,$1,672;082 ' During fiscal year" 1992, the.City issued. .$405;000 in special Assessment Bonds.beahng-a 6%, interest rate: The bonds were, used to'repay interim financing issued to-finance the Lincoln arid Locust Street Local: Improyement•District., fiscal year 1987I 'the-City issued $2;215,000:in General Obligation Bonds to advance refund $1,640,000.of outstanding 1984 .Series bonds The net proceeds ;were deposited in an;irrevocable trust,with an escrow; agent to'proyi•de for future. debt service.payments on the 1984 Series bonds., As. a result,. the 1984 Series bonds' are considered defeased and the liability forthose' bonds has been removed from;:and not included in, the, General ` ' 'Long-Term, Debt Account•Group.'•'At June 30;,1992; the outstanding balance on the 1984, Series bonds'is $1•,640;000.. Other•'Lonc-Term Debt ` ..,Other, long-term debtrecorded,in the.General:Long Term Debt-'Account Group and the changes,thereto for,the"year ended.Junei30, 1992<are,as' follows: ; ` . Balance ` Balance June 30, 1991: Additions • Deletions. June 30, 1992 'Certificates of participation, interest. Y' ; rates of 6:625%; ,annual ~ payments to be' ' - made ;solely from. a social° ; five year parks"serial levy ' $1;15 - $ $250000 905000 Arbitrage rebate ,liability, ' due°in fiscal.year-1994 $ 155,000 39,000: 116,000. ' Accrued vacation payable. $220'990 284 007 'x 220 990 284 007 $ $ Bond" Anticipation Notes,, due fiscal ' year:1994; interest rate .4.b% 300;000: $2644 523 $300 000< ,:$2,644,523 The bond arbitrage rebate liability;repre"sents amounts:due to the ;federal government as.require. by.Internal Revenue Service'regulations'from interest'.: earnings. on the proceeds of"$8;500,000: general'-obligation bonds issued:in May 1989.in:excess ofahe effective yield on the bonds. - . • : _ :I; - . Y' - - C17Y.OF TIGARD, OREGON.`_ - _ p . • .t } ^ NOTES` TO ;GENERAL. PURPOSE-FINANCIAL STATEMENTS,: (,co ' ntinued) 1.11 • - - - - - 6. • Long-Term Debt: (continued . - 4. _ Future' maturities of'ofhbr-long-term:debt recorded in, the Long ;Term Debt, Account Group. and.related'inte - , at June 30, 11 I _ 1992 are: , _ . • Certfflcates` Arbitra' a Accrued B n _ g o d v I I Fiscal of Retiate Vacation Anticl flo : n - _ Pa . Year Participation . Llabllity' Payable' Notes Y 'tr \ 4': `7, 1993 334 956 8 00 f . d' $2 f 5.. 1.994. 346,7-37` - 1.16 000' F' 2 890 000` ' - _ - , - . 995' ` '3.46;541' , 1. 11. ' 'Y . Total 1;;028,234_ 11:6;000_ 284;00.7 a :2,890,000 - _ m,: - `y° s ess`a ount representing' interest J' - ' 123'234' ' ` 245,477- 11 - _r $ $ , ` - otaI $ 905 _$2644 523 05,000 11` T 284`007 ' 6'000. . l; " . o ``I / _ , :1 Con ri t buted'CapAito1' . , y ;T,. changes in contributed`capital-were as follows: , 1. Balance Bace ~.tieginnrng,of ` .year : $9,402;700 J , .y _ _ Transfer of :depreciation. on' certain; contributed . . - " =fined assets from-`retairied'earn'in'•s- - 235 068 Transfer of fixed"assets from General'Fixed: Asset-Accounf . ' , ' . , I", 7:, I r ~ - , t, r ~ - r' .G ou to', , , , , Fund, ' - `I23•965 P Contributions`fro. omens - - - -71 ;2 57 i .1 , xt.i. Balance - °end of year, `$9,362,854` r y_ „ `t qr:' , _ 8. Retirement-Plans:;, ~ , , , , - . I ~ , , ~ . ~ . : , _ ~ I " ~ . I I 11~ . - , . . : ; , I , . , , . I - - , ~ . I .1 _ , ~ y, Ttie City: contributes to retirement plans on behalf ;of':all eligible employees At, June 30, 1992, the` following,einployee:.'=- groups were covered by the following; retirement:plans: _ ' + rou p' G ~ R etirem nt. PI` n ea Man, ageinent/Professional Staff. Internafiorial Ciry`'Manag'ers Non'v n ion - ( ) . Association'Retiremerit Gorporation'• - ICIvk ' ' one yPurc hase"Plan' - ( Y .I, Ore Public EmJ to :ees Union,; , '\ICMARC`: - P . N _ ,:1 . .i ~t1: ' " . ' - ,3 ` - , Y T9i" `ati': d'F li o ce i :Off A ce.rs ssociatiori F: _ `State of Ore9~on' 1Pubhic ,Em •PtoY- ees k - i:. _ Retirement. S stem' (PERS) . I Y,. _ . , . 3. f - - - • ;j g j; j b,• t?% . • - .,f - - t ) ~ t ' -t ei•, - _ _ - SF'. - - _ - d' - . ' CITY OF TIGARD, OREGON. - fyOTES,TO GENERAL PURPOSE FINANCIALSTATEMENTS, (continued), ' 8. Retirement Plans:` (continued) ICMARC:Plans: r: The,_City contributes,to,'defined contribution single employer plans at aspecrfied percent, of gross•sal, depending-on `the':. - employment group;. for a, W employees, Who :are~ not. covered. under the police pension,plan:; Employees.do_:not"make: contributions to,these. plans. _ The.City`is:required.to .ma ke`contributions to'these'plans under authority of Gity _Councib resolution and the'plan documents :Employees-become•eligible to participate Iinahe plans after'six months"of;service 'and , west immediately.,, Employees may withdraw funds upon ref irement or termination of:employment: Contributions. to. the plans - are made to°a fiduciary. The fiduciary holds.the funds in trust and' makes'.distributions;as.p'rovided;bythe-plan s: Required' and actual expenditures' by the City for the-plans,were $366,099 for the. •year. ended June 30, 1992.. , Cu"rre"nt .year' covered . ' payroll amounted to.$3;107,436. Required,-and actual,expendnures as a.percentage.of.covered payroll was approximately..:' ' 12, percent: Substantially, all, ,fuli-timeP:olice:,empioyees are-participaiits' in thd.State`.of.Oregon Public.Employees Retirement,'System (PERS), an agent multiple-employer public employee•retirement sysfem; The City's payroll for.employees.covered•byRERS ' . for the year<ended•June 30; 1992-was ,$1,660,787; the City's total,payroll;was $4,840;819.. , PERS.be' !its-vest after five ~yearsof continuous',.serv,ice.,,• Retirement is allowed at-either age' 58 for general employees' and 55 for fire and: police personnel,with' unreduced benefits; but •retirerent .is generally-available after age 55 for general employees.and 50 for,fire:and.police'personnl with reduced benefits. Retirement benefitsare'' based on,salary and length of service, are calculated using A, fb,rmdlaand-are. payable-in aiump:sum.or monthly using several' payment options:: PERS , also.*provides death and disability benefits These benefit proyisions and other requirements are established by: state.-. statutes 'The' eate•.of employer: contributions to PERS-is determined periodically by PERS_ ,based`•on actuarial valuations. It:is.the ' 'City's policy;to.recognize"pension expenditures'or expenses as currently funded. The City's required employer contribution .rate-is.. ..51%, of. covered., employees, salanesAo. PERS.' The required employee..contribution :of ''6%,•of covered,-,. f coin ensation-is` aid b tthe Ci in conformance_with its labor:contract. The°amount shown on page- 20;. as` the "pension benefit obligation" is a standardized'disclosure', measure of the present value of pension' benefits;wadjusted for the effects of projected salary..increases`estimat edfo:be,payable in`the future'as; 4.4s61t of "employee service,to date: 'The measure is intended to help users assess the funding status`of PERS on a going concern,basis, assess .progress made' in_ accurhulating sufficient assets to pay benefits when,due; and make- comparisons,'`. ' among employers.. The measure is the actuarial present ,value'of credited projected benefits,,and_'Js independent, of:'the ' funding method used to determine contributions to PERS ; Th'e pension beneift,bbligation;was computed`as part`of-the'most`recent actuarial,valuation'performed.as;of;December3l, 199`1:. Significant,actuarial-assumptions used in-the, valuation,include. (a) a rate•of,return on the investment bf. present and future assets of 8%; (b) projected salary increases of 6% peryea~ attributable to .general wage adjustments with additional sala increases `due, to'. romotions,:and Ion evil than"va b a e. and` service cro ected~ automatic st-retirement ry P 9 Y ry Y 9 . P 1 Po benefit increase's,of 9% Per year. (ttie;maximum allowabte);;an`d (d) demographic-assumptionsthat-have. beemchosen,to reflect our•.best.estirrate of.emerging, experieace.of the members.in PERS:' No--obligation for,retireeS is attributed to,the• r City as PERS pools the risk related to::retir'ed employees'among all:.empioyers: ,PERS assumes the obligation for,benefits ` . ' from the individual entity when benefits.becorrie payable:; Accordingly, the "pension benefit obligation" covers .only-cxirrent- ployees ' ` em •i ~ r t , S; CITY-OF TIGARD,-OREGON' r. - NOTES TO GENERAL PURPOSE FINANCIAL- STATEMENTS, (continued_) :8: Retirement P18n3: ,.(continued) a } Asset`s.in excess.of-the.pensionbenefit obligationat December;31; 1991'are as ,follows: Net- assets' available for benefits ,(at. market value)- $2261,317, Pension benefit obli anon.= current emP"loyees - Mernb'er account balance 505355- , V ested accrued benefits 4't5;838': Nonvested accrued' benefits = ,1.16,885 _ T' ota -1' 038'0 8 - ;Assets-in excess of pension benefitr'obligatiorl - $1,223 239 S' :City, contributions to PERS for;the last tyro years, since police employees became members of the plan;,which were made+ - in accordance wdh';actuarially determined requirements, -follow 1992 1991 1990..` _ ; Em "lo er's.p ` rtion • $281.267 - 242,'954' . :t25,,235'. ' Em.P..l rl. oYee pick up 93994 72 9 209 , y. 1.83, 6" 'Iotal employer cost $375;26`1 ,1326680 34,4.44' Employer and employee contribution' as- a= percentage F of ,covered payroll" 23% 19% f 2A The amounts intended to:cover, normal,costs"and,to :amortize any unfunded actuarial accrued liability 'are not available:from:;' the actuary: All.contr'ibutions were made in a:66rdance'with:actuanaliy determined"requiremerrts 'PERS, policy provides'•foractuariaily.determined. periodic `contributions that are, sufficient ~to-pay benefits when due The - " - `contribution 'rate for normal cost ;is determined using,the. 'entry': age actuarial cost method" A thirty ,year amortization is -used to amortize the costs: `of.'the unfunded actuarialaiabilities..Any benefit increases are funded over.30 years.. ' Actuahal'^valuations, are-made'by PERS for.all 'employers every•two years. 'Police employees became `subject,to the PERS' plan in.1989. valuationor ttie City".was made.as"of' December'31',•1989.;because •as of,-thaf date PERS did not have "the.City's.information',avaiiatile,r".7The first;'valuation. perto~med-.by PERS16r, theCity`was'as of"'Decembe'r 31; :1991: Accordingly; certain trend-information is'available.orily~as`of that date.... As ofDecember 31;::199;1nef assets available for> `'benefits as a ,percentage': of the ;.pension benefit .`obligation; and assets in excess of pension ;benefit:(obligation as: a percentage. of annual covered.payroll;was 218% ah8 73%; respectively.'; _ .18. CITY OF-TIGARD, OREGON, . NOTES TO GENERAL PURPOSE FINANCIAL -STATEMENTS,, 8. Retirement'Plans:.(continued). " Deferred. Compensation Plan: , _ The City;offers certain 'employees:a'deferred compensation,plan'created irraccordance with, Internal Revenue Code Section 45.7.. The .plan; ' available -to all City employees;. permits tt " to defer a - portion of tiieir' salaryuntil . future 'years.. , Contributions for:"'the :plan 'are madei to 'fiduciaries who bold the funds' in trust for, the ,plan participants.: .The deferred. ' ' 9"pensationhis not available to employees until;termination,,retirement, death;'or unforeseeable emergency. All amounts,of compensation deferred underahe,plan;.all:property and rights purchased with those;amounts; andall income.''' attributable to those amounts, property',- 6 rights :are.(until. paid or made, available to the; employee or,other,beneficiary) solelyrthe property and rights of the City"(without being restricted to the provisions of benefits ander-the''plan),".subject only' :tor the' claim's of'th6tCity's:gene al creditors Participants' rights under the plan,-are`.equal to: those of geneYal.creditors of, the; City in 'arr amount equal to the fairrnarket value _of the.deferted:account for,each participant..,The City believes that,, it is unlikely that it',4rill use the 'assetsrto s~fy the ciairns'',of general creditors in the future .Expenditures* by, the. Cityforthe deferred compensation Plan-wore $29;673,for*the year-ended"June 30, 1992.'' ' 9: Transactlons with Unlfled Sewerage. Agency of Washington .County: The'C.ify.of:Tigard collectscharges fog treatment of City'sewage on. behalf of the Unified Sew•erage.Agency gf`Vllashington . County (USA),and remits all collections -to USA except for 30 percent•of sewerrservice.chargescollected and 20-percent of connection chaeges'coliected'and,a.ceriain amount for reveriue,bond.debt service; in:accordance with.an-agreemept-, -between the City and USA.dated, June 25 199.1•. Payments of $2,433,376 `were. made -to; USA-.during 1992':under this . agreement' f The City has'a similar agreement with:the.' Regional °Suriac`e:lNater Management°Agency; which is "an aff, iliate of;-USA':for,' storm water systems Payments made-to-the Agency during 1992'under the agreement were $258;602. The: net amount retained -by. the. City. is. reported as' reveiaues in. the Enterprise.,Funds -in. the 'Combined '-,Statement-:of' Revenues; ,Expenses and'.:Changes in,Retained Earnings/Fund Balance-- All iroprietary',Fund. Types-Enterprise Funds. ' Revenues-are reported net•because'the',City'acts in'a fiduciary capacity on, behalf of ,USA ' " t0. Segment-Information for Enterprise Funds: i fit., - - - r „d, _ .t The` City's two' Enterprise Funds., account. .for:the',auisition; operation, .<and`'ma'intenance of,aewer arid' storm: drainage: systems.which.are supported by user charges. Segment informationJor the year ended June. 30,1992 is as follows: ' Sewer Storm Drainage Fund` Fund Total Operating revenue ,;969,295. .$563,883 $1,533;17.8 ' 'Depreciation 232,568- 166,209. 398;777 Operating income...(Ioss) '56,39 3: i (70,585) (14,192) Operating transfers out , 70,300. 44400 114,700 Net-income (lossj ` 60,579 -.(69,925)'; (9,346) r Current capital contributions 17.1,257'.= - 171,257 Fixed' asset,additions''' ` 271,992 3925 ' 275,9,17 ' Net working capital ; . ; ; 307,556`'» ' 300;444 fi08;000 ".Total:asset87;000,919: 4,838,361 , 11;839,280 Total equity -6,417,422:; 4;769,614. 11,:187,036 19 . r , , - A- TY OF`TIGARD;''.OREGON . -NOTES TO `GENERAL. PURROSE FINANCIAL' STATEMENTS', :(continued) , . ~ . . • : y r 11. ~OVerex6enditure•of Appropriation`and'Deficit`Fund,Balance:. - - " ' . . - - 'For ' . ,fi seal` r' 1 2 the' Gen'er; .yea 99 aFFun&appropriationfor.'capftal;projects:was overez ended tiy.$29;231:f . _.P' -.t. II r;, The.Steeets-SDC,Fund,(a special'- - - - e fund .had a fund'deficit'of $307 at'June-'301992:• The deficit is:ez0acted' " tobe" eliminated through,,,future collections of,,SDC. ch.arges: r~ , :r firrienti:t- - - - .11 t- _ rtm nr 'fi-r ca ,Comm e is o lan co idt i onr""o ruct 'ect•r'.h"e s ina ,Cit~ 'amounted ,to~~:~a •roxi,matel- .000~~ at~J-une ~30 I -1992': . Pifa P, 1 y,.- PP, y $97E r r13.:.Passaae'of Constitutional l-roperty Taz: Limitation: iT vi The Oregon-voters ap""proved a State constitutional limit-'on property taxes for schools-andnonschool government:operations:: lJnderth provision-of'the,limitation, taz'revenues are,c ted,into those forthe public school system a11, ndth' foraocal I -gc1~~mrient:operaiions~other"ihan tine public school system. The limitation specifies$10 OO.is the -maximum allowable tax.: J t for' each=$1:;000, of property .-real "marfcE. value -'imposed-fon" local governments_, therthan the; public ~ school'-systeiri beginningwith the 199.1-92 fiscal:'year. , . ti" ; : - f e m i Tt itat on. a' liesao alI`'state and °loeal fazes and`cha` es on, Yo` art ' 'ezce t for'the` followin li PP , C9 P _ P_ Y. P . , 9 r. P . 1 ,u'. or services:receivedatahe,owners ~o" tion 2:.: assessments.for.capital,constructioril at.peov'ide~:a'speciai,benefit'.to'the:.p'roperty'and'that can:be`Paid'off . over at leasf ten:years;-'` ' r ,.3. -:taxes -to repay bo , ed debt ,authorize' i,by, the,`state: constitution; . - 4. fazes to'repay.;existing`-bonded..debt for capital constitictio'n; and#, . . ' 5. ` ".fazes i, repay new _:bonded debt for capital construction •rf: approved by ;voters r ' ' - 'i. _1 F- :i. - At'tfie present:time,the financial effect of the.limitation.:on'the,City's`future years' o eratio ' s-IS~not e`z "acted to; be . „ ~ ' significant.,: - ,.P P :r.' f: r , :r, ' F . . . Y. \,i _ I ,1 . ,f 1 - t Y v _ r~.' t _ ! R , . t .F~ " :r: . " .r 'r. - 'r . 2' : r:. . - ' ~ . ' ' 4 ' I I t• - f - f . l Y s ,f.. _ r. . ' . . - ' j r 1 - _ _ ` . ! ' ' t' J . - Y . , . r - , - 3' .Y ' 1r I1.: • „ .'t' . . • , 'i, _ I , = . - ' `t' ;t Y• Yr a c ."1 - ire{, a. ' ' z: . y, ,o., `Via- ' 'r •t, . ' Y n a ` .'s 0 a, / ~ z:.rr r. s y r'4 • a.. :1' t _'r,~'; ..j' Vic: : - x'. r. Y' !.r' 1' F Yf 4 r^ - i "I".' . , . t' v, ~t ' , , " ~ ~ "I , I 'r. "t 1, 1 ,y. " „~,r 4. ',r. S'q " ~I:" ,r j \'al,,, r c i,'. - rC y,,~ Lo. SUPPL-EMENTARY'DATA. ,L I ! 4r; (Combining',and.Individual'Fund and.Account. Group Statementsy x µ ,.r r F' and Other Finsncial Schedules):-,;' 1 .t ` ; - f ` 5.1+ l•b, of 'f'4.r 'P, 4)`tv } a \ 1 i-.. is - - ,r, r.. - y' 1'~1f' F,•1' 0 11 "tt 't :y. 4 ' i . "j"' " s l :'r. ~I, r It 1 k+ _ 11)'`•I ) ] 1 ' 1. l t t4 -r' ` y \ t' lz~ r Y `'4 4: , . A ' 1".r." r t l 3. ~',t - ! 1 ! . f:,r: ~ ,y r y 11 . i ;l ,~c . . I ~ . . ~ ; I - ' - ''t,• t P.. y y _ t f -1 l,l. T i+'~. ) R ,\•,f ,`r' •5. 1- ` 1 l,t' 2, G - s , I 'r r 1 . k. c' iv i f Cr'h,r f I . ry K } 1,i , , rY. ~z'y V., n is ` I' x , ; ' t: .,x'. T ` , _r i'.>, • a t! 'ti 'r y '4,r, t \ ' {v^ f f ri' 4 i. a ° s G t' -Y <<" r~. -1, l.. 7 11, . - s 4 ' K' ,r.}, r '1 +F h ' Il.' ' y ' ` r> ' , - 'rim - , G , Y ,t'. .f., r ":~1' + J~u Y ,r1 f ] 1 ' 1 i- r~` 7 ; - `t.{. ,1' t S i `yFY ..1' l' x • f •t•:! .f1 y 1, f F. t .r r F, a F + „ir, 't " " I• S :x r' i x y ti t' J1„'.. y' r 1 w ` °LLr.r . r t .,t V ' ♦l; 1 Y". F 5. '1'- i ` • t/ t 'i ~ . {t v C 'P 1 1F: , .•N f "{.n ' r' ' 'G J 1' ''l• C'• 'r' ~1, i~.T , , „ - S .'1v • ,jam r - ` AL FUNfl. rrncipat•res GENER they fend P n the Gene a ary exy~end►tures orou ntedtlor`~n any, th G~ty..which nd 1 lenses and P~errriits• e financial opera eT merital revenmueS ent and adr~inistratio ?ntergpv develop fortthe fund. accounts frahc~'iselees; n inunitY r.: This " taxes•k rotect►o erty for poiicep , . are prop ade d ace,:mi ' Fun .1 z ITY': F: Tl 'ARD C O G ORE ^Nr-. GENERAL-FUND.' -SCHEDULE-OF:REVENUES,-AND EXPENDITURES BUDGET'AND'.ACTUAL' . for.the:flscal'year ended "June 30; 1992 -l it - Variance Revised , Favorable." Bud 'et -A I. g ctua (Unfa o~ab e) REVEN UES' Taxe's $:3,487;000' :.J 446'324:' - 40676 Franchise fees - X1,264,000" 1`'287`794• " 23 794 . , , Licenses and: permits 840,40,0,<<' " =e12;322 • =(28;078) " `'Inter9overrimental* revenues' 1l 480"880 1 7 77 1 ,58 3" 06,893 Ghar es. for services: 1:12275, (26r 36 ' 9- - , - 339). - es<a d forfeitures. 250,80.0- : '322618•' - , - 71;818: ` Miscellaneous revenues.pr_imanly:interest.' 411,000 284,276' ;ti 126724 i` .2 1'9=3 Total 'revenues" 7-827-,043-C, BEGINNING`FUND BALANCE.-AVAILABLE... " FOR,APPROPR`ATI ON- r. 71',,:-.%l 536;477 1.;865;330 328453, Total :9 382 832 9 692,373 ' 09541 Y 3 Revised Vafdance Bud eted Favorable T; g t• i I o -rlat o s A •A ! ctuaI Unfavorab°le p . - prop d ) 1 ' EXPENDITURES:,'.,.*. - Community"servic'es' $4,517,483 $ 73,323 ' Community development 1',630,252`" , -1;431;750; 198,502, ' Policy, and .administration, 1,124,800, 1,,072;616 52;184 City-wide:suppotl unctions a 257045. , 227;869 29,176 Contingenc - 492400 492 000 ' '.',-202,589:,231-820- a it a ',2 231 ro1ects 9 C P 3 P Tot al,ex"enditures p 8.,297 ,492 .<$7,48,1,538< $8954 " , Unappropriated ending Fund Balance 1085,340 Total' $9;382,832, 4' s ! rf r ? r 1M ,`a Y _ t • 21 •i Al. SPECIAL REVENUE FUNDS , The Special Reverue'Funds' account for revencie, derived from'spec'rfid;Wes'-or other,.earmarkedrevenue ,-sources whiich,are, legally. restricted •to.finance particular functions or activities. Funds' included in this fund catego y are: ,;j "Forfeitures'fr6m'Qriminal'ActiJity.Fund • State Tax Street Fund ; a • St eets~S C Furid 1 , Parks`SDC Fund ' ~s County`Roadl evy. Fund :(closed `duringyfiscal year 1991-=92 f ` County Gas lax.'Fund` J. V, ' Traff ic lm act Fund 9Nater.Quality-&'Quaiitity Fund 4 CITY-^ F O .710414D-OREGON SPECIAL REVENUE;FUNDS` _ - ` MB CO IN NG: 'AL'ANCE.SHEET _ u. June:30j1992 r F o rfeftur o esr' From. .Stat o n - ~Cou t W r _ - ate Y_ rlmin I. C a Tax Streets:? Parks Gas ,.Traffic. : Quallt & i_ Act vR 'r :Sfr t. . _ ee SDC. .:SDC ..Tax Imp ac _p ct Quantlt - n Fu d° .F n - ',Fund, ~ Fund u d •Total Furid•. ~Funil' . . 7777777 'ASSET S: ash anci.investmentsw' $ .16,333:`; $ 454 496 307 180r 258 ~2Z 7 ( ) $ $ ,30 $ _747,360. $ 62;563 $1,48801.0' A ccoun r ivabI is ece e - - :1'19;430x-' 119430 T ota assets 6 333 454'496' •180;258;: _ 27;307 ,866790': 62.563 1 '607440 =LIABILITIES AND FUND: BALANCES= DEFI IT _ ...A. LI BILITIES S: - Accounts payable $ 5,094 ' 12,302. `61=719 :Deferred revenues 116,747 .-116,7 47 , 1 TI ilit i otali ab I 6s _ 44 2 3 3,'_ 5 094 1 - 9;049' 178'466 FUND-BALANCES(DEFICIT) - ; . , UNRESERVED, 16;333.=:. 41,0,173. `j . (307) 75164 Z27,801 737;741 62563, 1,428,97.4 a I n. ~n T ofl ab~ il•ies:.'ad f'ud - l;..n. ba a ces A 6 333'' ` ~454 4 (deficit) :$9,'-n 307 $.:180;258 27,307 $ 866790;. .62,563 $1;607,440 , . ' t. IWO awl, o1w. . CITY. OF TIGARD, OREGON ' ' SPECIAL REVENUE FUNDS COMBINING STATEMENT'OF:REVENUES,-EXPENDITURES. a - AND CHANGES 1N FUND BALANCES - N _ forthe.fiscal yearerided Jurie10`,1992 % Forfejturea. - ?Water - From. State County Criminal" ;Tex Sireal. Streets ' Parks -Road'..: .,County Gas . Traffic Quality & •Actiyfty Fund Fund'. SDC Furid 'SDC Fund Levy Fund- Tait Fund .Impact Fund Quantity Fund Total, - Licenses and permits , $ $ $100,000. $ $747,220 $ 847,220 _ " . Intergovernmental." `'revenues'> 1,219,821 1'54,317 48065 .1,422203 CHarges forservices 16,145 _ j 16,145 Miscellaneous revenues" • '1.1;469' J8,010 4,185 - 5,878. 1,897 11,410 2;873 115,722 Total revenues 11 469 1;3.13;976. 4,185 .105878 156;214:- 758,630..' "50,938 ';2;401:,290.: _ -EXPENDITURES:,.. Communityseniices'. 3000. 3,000 : Community'developrrment 793,209° . 133459 46918 973,586 . Policy=and admini- stration : -64392 20197 84`589 City-wide support functions ' 30,628 6;977 '37,605:. r N Capital projects - 331,824 21,870- 4,885 99,853` .458;432 w . - Total. ;expenditures: .3;0001 1;220053.. 21,870.'.:., 4,885 160;633 -146,.771 1,557212...'- - "Excess of revenues over. (under):expe'nditures ',8,469 93,923 (17,685). ; . 100,993 (4.419) 611;859. 50,938 ; 844,078. . Otherfinancing'uses - y • - Operating.transfers out• 70, 7( 0,300) ~ Excess of•revenues,over.(under) expenditures and othe'r,uses 8;469;. 23,623 - (17,685)-100,993 (4',419) 611;859. 50,938 - 773,778 :.I . FUND BALANCES - = begiriningofyear 7,864:.. 386,550` 17,378'- 74,171. ;11;,440 20;286` 125,882 11,625655,196, 1144C' 1.1440 Residual'equity transfer in Residual equity. trari'sfer out'. (11,440 •11 440 FUND. BALANCES; (DEFICIT).- year- 62563 :$1;428,974 $ 410,173 :r•:`; 307 $175,164 $ 27,307. $737741 . erid of V $.16,333 , oi, 11 . . . . . - . V t . - Y! I . I. CITY O. TIGARD; 'OREGON': a' • . t; . "FORFEITURES FROM CRIMINAL ACTIVITY-FUND-,-l'. k ' ,SCHEDUL' E OF' REVENUES ANDI EXPENDITURES " BUDGET'AND ACTUAL ;w for the.°fiscal year ended'June: 30;• 1992'::` . . ~ , : ; t : . . - y." - t; . " . . .111.1 .1 , s - - _ _ - ^ yr. _ . - - , n: Variance... - . I . y ^ ` , 1. Budget ` I Actual' Favorable: -.r 1' . - , .r, REVENUES'- ' - • , _ , . MisceIIaneous . } 11 69 11 . 4 40q t• ` 1_ k BEG NNING, FUND BAL'ANCE.AV,AILABLE " FOR APPROPRIATION: 6;083. f . ;1;781 ` - . K`,:~-. , =Tot al 6 083' I 19 333''-,_ '3. ?2 - $:I $ $1, 50. -,4 _ 1 ' " 1''. yr, . r •f - t - L - . • Y = t - d"et 1 u ed. V r B a r • 9 - " ' : , :Appropriations ' Actual' Favorable ' = - . , f'. . EX RENDITURES '4 i I - 1• Community services 6,083 $ 3,000 s,; ,$.3,083 - - ei a - . r* ; - 'y' . Y' - { n. b . _ - k`. - l'•- .9 : • - - u } . r', "1:• _ - Y ' r` • I, t . _ . _ y - ,I:T_ - I -1.,. t ° y C` r , k A , - I .,5,: ` Y b T •I.' J .r -'f' - FY, i - , .J • ~fti, Y. - ,'.j , 4. _ _ , CITY -OF TIGARD, OREGON'. _ STATE TAX STREET FUND 4 SCHEDULE.OF•REVENUES=AND;EXPENDITURES BUDGET AWYACTUAL.; for the fiscal year'ended June,30,`1992:. - Variance, :Favorable Budget Actual (Unfavorable) _ REVENUES: - State1 gas,tax • $1,276,005. $1,219,821 $ (56;174) Lighting subdivisions -12,000- 16 ,145 4,146 Interest 31;200 - 33,401' 2;201 .Miscellaneous 44,609 44;609:~ ; Total:.revenus 1;319,205 1,,31"3;976, (5,224) BEGINNING FUND'I3ALANCE-AVAILAB~:i: I'll r -FOR APPROPRIATION - 386,550 : .'(51,621 ' . total $1;757,376 $1;700,526 $ 56,850 ' Revised Variance Budgeted • f Favorable_ Appropriations Actual '(Unfavorable) EXPENDITURES: . Community-development 817,249 ' $ 793,209 '-24;040 olic and administrat ion _ 474 P'64,392 ' 64' 866 ' Citywide support'functions_ 34;549' 30,628 • • • 3,921.. , Contin ri 17 1.2 •17 12 , Capital, projects 662,592 33'1,824 330,768; To tal`expenditu^res 1;757;376 ; ' •4. };220;053'.: _ 537;323 ' OTHER FINANCING USES - Operating't`ransfers out 70,300 70,300) ' Total..: $1;757,376 ; $1,290,353, ' $ 467;023 • _ i .:r i . _ •1 ` . . 3 I,. ' , CITY OF- TIGARD, OREGON`, . % - °STREETVSD.C.FUND . . - SCHEDULE,OF REVENUES AND. EXPENDITURES BUDGET,' AND *ACTUAL'.',_ ` S-• • _ for the;flscal Year ended,•J ' ' 30, 1992: ' m, I 1: 'y fir. r.: . - 7' _ ti ' -.f 'Variance , ' ' : _ Favorable: ` -Actual Unfavorable 1'1,:_, 1 , . REVENUES-- 3 " _ = • P - 1 ` , I Interest , '500: i; - . _ 4;185 $ ..3:685 ota e e ues - _ 4_ - - - s• . BEGINNING'FUND"BALANCEFAVAILABLE F.OR'APPROPRIATION. 21`;370? 1"7,37& 3 99- ' , 1. i, ,2J Total ~'P,8i0 $ 2'1;563 30 - `.t. - . - . - - udgeted' B, , _ Appropeiatlons. Actual ' Variance, _ URES - , 4 EXPEN T DI q' ; ' t . Capital projects 1 $ 21;870: $ 21,870. Y' $ ' • ''ir .r,. •t. I ' Y' i+ - I - , ; , , - - . . 1, - " 1. . , ~ , , I , , t, h 'r' , - - - ,t. - - . . . - _ . . , 1 r - , - ' " } . . - Y . - . ~j ~ . I1 ' • .1 f - _ - , r t J -t 'I. _ .r ' S. N j 'l• , n -•Y,' . - - _ - 1. i t. E . . .i , _ . - - Wit' - _ '.i f er', . 26 ` ' --i` CITY.:OF TIGARD, OREGON .•PARKS:SDC,FUND _ . SCHEDULE''OF- REVENUES- AND EXPENDITURES -=..BUDGET, AND A, CTUAL. v for the fiscal year ended June 30, 1992' _ Variance . r = -..Favorable Budoet Actual (Unfavorable). REVENUES: i. System development charges . - 150;000 $ 100 00b ( 50;000) Interest 5,000 5,878 878 s: f Total revenues' 155000105,87.8' , (49;122) BEGINNING' FUND BALANCE.AVAILABLE~ - . :FOR;'APPROPRIAT.ION 82;000. 74;171.: { `r7 829 - Total ' 237;000 $ 180,049' $ (56.951).- Budgeted ' V ar ance , . Appropriations Actual Favorable -EXPENDITURES - Capital. projects $,,237'000 $ ' "4 885 232,115. ; t 27 1.. 0' 'I , v - 4i 1. _ CITY-OF.TIGARD ,OREGON _ . NTTROAD LEV,Y'_FUND' - ' I T;. ,rIL SCIiEDU E' ` OF) REVENUES COU:~AND';EXPENDIT,URES BUDGET.:AND ~ACTUAL' ' - - ifor•:the:fiscal:`year, ended(Jurie• 30,-1'992 -l r, Va"glance' . . f z , .Favorable- 11, . J_ f`. _ _ . - Bud et,' Acfual (Unfavorable) - . - BEGINNING.FUND> BALANCE AVAILABLE . 11-44. Y FOR APRR P I O .R AT►ON' $ Or $ Y. r; 1 1 440 . f , ~Y , . Residual=equity •transfer_out ; (1`1 440 11 440 . ' 1"' ( .ti, z I Totah • _ a. - $ ,J - t , , . - ' ,L 'f., , - t ,t. ,S r, - r, _ _ - . _ ,T A _ .f . i t , - x " t I I ` 4 - - - , f. . - , ~ . , . ~ ' : .1 , . " , ' : , . , - . ~ . A :•i ,f .7.; a t r, _ 'IL r y' 2 S i ' '4 I f h i' I ' t. - i! +t. _4• I> ,ice ••lr. t 4 r , , , .`41 - - .v I ~ r { v v ' 1,': 1 . . , r7 7, .n rsi :x. , .y .r' 'i•. Yi . .'r' . _ , - - - - ' _ - to 4.. i _ - : :i • r Y . . J €r . . I t4 ' .28- ' m' , - ? a - CITY,DF.TIGARD; "OREGON COUNTY. GAS TAX, FUND - ; . `SCHEDULE OF REVENUES. AND:EXPENDITURESf •.BUDGET' AND. ACTUAL-.','.'-,.. for the fIscal.yesir ended June 30.".1992;,. Variance: ` Budget `Actual :(Unfavorable) ;,,".,REVENUES: County gas taxes $ 140;000 $ 154.317`. $ 14,317 • Interest 4,000 1 897 2 103 , :Total°revenues ' 14-4;000- 156,21`,4 12,214 ' +6EGINNING FUND, BALANCE'AVAILABLE w FOR ,APPROPRIATIO.N 26;1)00 20;286 5,714) : ' - Residua! equity transfer in 11,440 11,440 Total $ 170,000 $ 187,940:. x' $ '17,946 Budgefed' Variance Appropriations Actual Favorable tXPENDITURES:I ` community'dev.elopment $,,140',773 . $ • 459 7,314 Rolicy and administration- ~20,494 . ; . 197:'. 297 ` City-wide support functions 7,870 , 6,977,,_' 893 . Contingency 863 •863 ; y. ; Total: 1'70;000 $ 1'60,633:. $ 9,367 _ i • r c? r _ .j f - - , j - . , - - - _ - , t . , - i . ' ' CITY OF TIGARD,, OREGON`' ` . , . - , - r TRAFFIC-IMPACT FUND ' ' ~ . - . , - _ S'CHEDULE' OF REVENUES AND-'EXP,.ENDITURES ,=-.BUDGET AND ACTUAL i forahe;rfiscai Year-ended June',30- 1992' , F - C ~ ` . T' 4 1;c - /'ti-` V rirn a a ce . - 5 . Favorable` ; t Budcet,' Actual " (Unfavorable) REVENUES .I . - t , . , . . . - _ . - rrm a c iact fe es, 7? 7r ffi 735,,,000: ~,747,2207 $ $ ~ : 12'220 , - + nterest 28,000: 11,410,. . ( I ~f , 16590 . + I , . 4„ } Total revenues,- - 763 000' 758,630: *4 37011 : .r , 1-:. ~ r A _.::8t-FUND BALANCE.AVAILABLE- a` , 11 { F6R'APPROPRIATION, _ 184::00:' 125,882 581•:18 . . Total: 1 947,000 - 884 512 "62 `488 _ _ _ . •j, t _J Bud -'eted:. ' Variance } `Appropriations Actual' Favorable _ EXPENDITURES: - , . . Community development_ ,49,634` $ 46,918. ' 2,716 :i -'Contingency." :47;366 '47,,366 r ` Ca ital. ro' P ;p, leas`' :850,000.' 99,853 750;1.47 Total - , , , p' $'A47;000.. .1.46,771 = . $ ,800;229 , . 1• ' - _ •t T' , of '7 i It" 4 ♦1 r . - 'r. - v, ,t - I _ . . i ...J r t• 1 - ' r , y J T . - ♦ - 11 J J 1 I ! . - - _ r - . i • . . , p6 ` s" - - - - ..t . - . ' : . L. . Y i , - CITY, OF TIGARD,, OREGON,' WATER 'QUALITY QUANTITY "FUN D" - . SCHEDULE OF,REVENUES.AND EXPENDITURES BUDGET'AND ACTUAL for'th6 flscAlmoar ended June 30,1992', Variance Bud a et: Actual Favorable _ REVENUES: - • • . - - . > . - Water quality & quantity fees- 40,000 48,065 $ 8,0.65 " Interest 1,200, 2,873. 1;673 Total. revenues '41;200` 50,938 9;738 : BEGINNING FUND bALANCE•AVAILABLE FOR APPROPRIATION 10;000• !11,625 1,625 + .Total•. $ '51 '200 $ '62 53'. $ :11 J68' . Budgeted Variance Appropriations Actual Favorable EXPENDITURES - .Capital'projecfs' $ 51 200, - $ $ 5.1200 r _ 31, - 'pEgT SERV.ICE'FUN~ c , , - $debt a1 and interest The GitY Brat obl~9ation bond prmc►p ou tlor ttie payment of9en Debt:Service Fundfa~ _ Three funds corisist o Se SeNice Fund,- _ gored Debt. , ..bt $eice..Fund f Participation De l n Ce'rfiCate o Partiicipatio ' Bond Debt Service, Fund -Fund and the Certcrid e Service . . Bancroft , nd Debt Service . , - for the Bancroft s tot the s are property taxesAect onnd interest eam!ng e . ` co :Principal sources of` ar►d special assessment ow Service' Fund; -Fund. . f 51, • r' 4 C f CITY OF TIGARD, OREGON. - " DEBT "SERVICE-, k NDB` ' COMBINING"BALAN CESHEET • 1 • 1 u e'30`•'19 M `r 4 • Certlflcate of ` Partici ation ° Bancroft P.. ; Bond>'Debt ' ,QObt`Service': Bond-Debt-' Service Fund Fund Service Fund- Total ASSETS: - - - -_'f: ~ , Casli and irivestmerits. $ .;(616): $ `29,253`:. _ ;557,127. ' $ '585,7.64: Property: taxes areceiVable 107,505 24•343 .131-,848 ` Assessment liens` receivable.:' ' t 2" 7 ,890;8 3 2;890,873. s Aed-;inferest on delinquent assessments -52,498:'' . T, 52;498 T of as aI: sets: ,$106;889 53;596&--' $3;50.0;498 983 t: Ott • ~Y. ^ 4 7'• r 'k L f .t LIABILITIE .AND.F A S l1ND BLANCES: L•'IABILITI :A ccounts" a abl .anti- a e accru d", • , - , :liabilities. 044 2;044:.' 'D•efei•r• n ed te.vaues' Propertyaazes „ 85;141 19,168±__ 104,309.-.A A'ssess'ment liens receivable.. - 884,007' 2;884,007` : _cciued interest'on delinquent> - assessments : 50'026 50,026" 026'., _0 .85,141- 19;168 .2;936,077 3,040,386,. FUND:BALAMCE;UNRESERVED 21';7..48'. 34,428:, 56,4;421`, `620;59.7- Total: liabilities' and fund balances'.; $1:06,889 535 96.. :$3;500;498 $3,660,983, y, Ry . - •d r. c,y s yr' v_1 . : Y• / I •'S rl~i , I•.. 3 ,i ti - l t✓l a` CIT1f, OF TIGARD, OREGON , DEBT SERVICE FUNDS ~COMBINING. STATEMENT OFD REVENUES,.,EXPENDITURES; ; . AND CHANGES'IN FUND, BALANCES' • for-the .fiscal;.year ended-JbneM. 1992 Certificate' of • ~ Participation Bancroft.° 'Bond Debt Debt Service Bond Debt Ser'v'ice Fund Fund Service Fund; " Total. , REVENUES: Taxes $1,•188,515 328490 ' $ $1.,51!7,005 A . , Special assessments' r 288;574' .288;574 Miscellaneous revenues, a pr imanly.'`interest' 31',078 8 160' 271.038 ' Total revenues :'1:;21'9;593 336,650559;612: 2,115,855 EXPENDITURES: Debt Service: Bond principal 690,000' 424;000 1,1140001 tv. Note principal' 300,000 300,000 . -Certif icates of participationrpnncipal °250000 250;000 ; Interest 648034 76,137 255;003 979,174 :Total expenditures `1338;034: 326;137.'_ -979,003 `2;643,174 ',Ex ` • cess of'rev!nu-es over: e - (under) expenditure"$ :1,1.8441 10 513 419391 `527 319 Other'financing'sourc'es: Bancroft bondproceeds 324862. 324;862 Operating transfers inr 478 004 478,004 Total.ot . er financing ` sources 862 802;866 Excess':of. revenues. and other . sources=over (under):expenditures- - 11844,1' _10,513'r 383;475275547 FUND BALANCES-- beginning of year . 140;1.89 23,915 < :186646 345050 -'t 'FUND BALANCES end of year $ 21 748 $ 34 428 $ 564 421 $ :620 597 _ - 33 . CITY-OF TIGARD, -OREGON CERTIFICATE- OF_ PARTICIPATION DEBT' SERVICE FUND, ; SCHEDULE OF REVENUES:AND.EXPENDITURES'- BUDGET,_AND,ACTUAL for the fiscal year ended.June 30,:1992 . Variance:' - Budget - Actual, (UnfaVorab REVENUES: Taxes; $`333 750 $ .328490., - $ - (5;260)... . .'Interest 2,500'. - .8;160 5,660 ` Total revenues. - 336;250:: 336,650. _ -400 BEGINNING`' FUND BALANCE,AVAILABLE FOR. APPROPRIATI,ON.' 10;004 23,91`5 13,915 Total $ 346' 250 5 - $-'360'565 - $ 14,315 BUdgeted Variance " App orations "Actual; Favorable, : . EXPENDITURES:' - ; Debt service: } , t _ t Certrficate' rinc'i al .,,-$-260`000 ` 250 000 $ I?. P Interest• 76;518 76137._ 4 381 'Codtingency: 19:732: 19,732.` Total 346;250. $ 326;137" $ 20,1'13 x rf' ' - "35 CITY:;OF TIGARD OREGON BANCROF~'.BOND DEBTSERVICE'FUND' SCHEDULE OF REVENUES.AND-'EXPENDITURES - BUDGET-'AND ACTUAL-, for the fiscal :year ended June 30, 1992 ' Varlance° -d 4 ~F v r 'I• .i . I - *Budctua nfavor"abIU e C011e6tion of`' bonded s smants- 73- a les - 1 h1.r -2674' 2 • : $ 88,574,.,'.'271,038 Interest: 237,990" r . 33,048 T I'`r vI n` ota e e ues" -4 44563 559812~ '114r149}' 'OTHER FINANCING%SOURCES: Bond`is'suance proeeeds. _.25,00fii: 324,862 { 138) Operating transfers :in -1'85;600 292404 77 R- - `t :Total^other.financin"9;sources 510 600. 82 0 866 292 266 . Total revenuea and other sources `956,063 .1;362;,478 _ ,-406,415 BEGINNING FUND BALANCE"AVAILABLE FOR,APPROFRIATION.: s' 78;000 180946' 102946 '!v Total, $1;034063 $1,543;424 $ 509;361.: t yt . r' Burl -eted' ` ' Variance. Appropriations" Actual Favorable -EXPENDITURES;; Bond principal $ +462;000 00" 38;000 'No#e`principaC 300,000 300,000 Interests '272063 255003. 17;060 I' To t a - 1 X034 063:: $ ~'.9., 9,003 55b60 $ .x~ ~y. f 'airy' 'r,T - l CAPITAL PROJECTS FUNDS ; `The Capital Projects, ,Funds'are used to account for the construction of major capftal projects: Capital`:Projects F,unds.:mclude: , Local ,Im roverient Ca itaL Projects. Fund, P p Road. Imptovement;Bond Fund' -Park L• a ,Ca ital: Im • •rovement Fund Sources of revenues for L'ocal';Improvement District `apital'Projects'~Fund lnctuder•proceeds frorrrthe sale,of Bond Anticipation'Note.s and other short term debt ` Road Improvement Bond' Fund isr!unded by proceeds from ' Ihe•,sale of General .Obligation:. Bonds: Such projects are expected to be -completed`1thin a three year period. : Park.L&Yr' CapitaI Improvement' Fund is, funded by proceeds,from•thesale' of, Certificates of Part icipation; `Such improvements .are expected `to be`:completed 'within' a three year period t .1 r _ .1 a ; i J-I , ` . - 3 . - - . . CI TY-OFTIGARD;OREGON' - - • • - CAPITAL"PROJECTS,FUND. • _ ' I - COMBINING BALAN E . CO C SHEET,.',,,- . (f J une 30" 1992 _ , 'r t J . . . , - - ' ~I - I, . Local , T.+. ,Improvement Road: Park'Levy, , Ca rital . Improvement , Ca ital '1` p. . P _ . . • 7• l~ ro ecs Bond _i Im ,r.-V - y' • _ . 1 t p o ement • ` . - Fund i Fund Fund - :Total y. - - A I - . • SSETS: - ' . ' r; c; Cash°and Investment s''=. $2 282 131:•`• $ '435 0.66 $:-`3,771.07 094 ;304 > $3, - . .Accounts'receivable: . 79 ' ~ 4: - .79'' v t ;y.~;"" '.Y aotal,`,assets j $2,2.82',210 438 666 $':377107., - $3;094,383 > 3, _ - .1 - - ~ y.; , ,r l , LIABILITIES AND FUND'BALANCES - . _ - I. . . , LIABILITIES`- _ . ` . , _ _ v - Accourits PaYatile• aril 'accrue 1 d ab iliti . Ai " $ 6 509 69`52(,, es ,6'870 -i .1`50 try - , , ' , ' f ` ~im i S. - 1 A` Y '3,024;85'4. - FUND BALANCES- .UNRESERVED ,`2;275;340 . 433;91.6 , T' - • 315,598 . , 4: n . 1 :T otaF li ili i n ab t es a d L. J - ;fund-: balances L i?$2'282 -210': << 435V66! 377-'1}07 094383: • 4 - + -5. I ' t , ,Y `',1 ` -f L r' - ` - , - r - 1:' - - _,r , _ _ - - . - r. r ' if. - h' - • - - . . a I is ii, :r r ' - . .r - ` r . . E' - 37 rr . - i+, . , - - . . . _ - ' T ' ARD . ' , CITY OF TIG OREGON CAPITAL'PROJECTS. FUND COMBINING,STATEMENT,OF REVENUES, EXPENDITURES ' - AND" CHANGES, IN: FUND BALANCES - : ' foctfie fiscal year-ended June.3'0, 1992` = Local Improvement :Road ; Park'.Levy , r' Capital Improvement Capital... Projects': 'Bond Improvement.. ; . , Fund Fund Fund Total REVENUES: - Intergovernmental 'revenues $ 40,699 699 - Miscellaneous 5437 279,235 ' 289;132 ' Interest r 41',70.7 103;839: 31;285 17 -83.1 Total revenues 47,:144 _ 383,074;` 76444- F 506,662' .EXPENDITURES: ' Community development' 61;438 61,438 Capital protects • 137,369' 2,500 276 408,151 3,0451796.' 1 Total'expendftures 137369 2;561 714 408,151 3,107,234 Revenues under' expenditures, ` 90,28) (2;178;640331 2 -70 600 572 , . u OTHER FINANCING SOURCES- USES ' SBond' anticipation'.,note proceeds 2;644;523: 644;523. Bancroft bond proceeds 80.,138' •80,138 -Operating'tr'ansfers-out ('1293;004}- (-293;004] t Total other financing: sources 2;431,657 .2,431;657- ' 'Revenues and other sources . over "(under.)-`expenditures ' an"d other uses 2,341 432. 2 178 640 : 33x1 707 168 915 FUND ;BALANCES (DEFICIT) beginning of: ':year '66092 2612;556 647;305' .3,193,769 ' FUND BALANCES:- end-ofyear-j. $2275;340`.`,'; $ ,433,916 $ 3Y5;598 $3,024;854 ' - _y .r;. j , i t '1' , CIT OF TIGARD` ,.OREGON . : c , - - - . , 7 - LOCAL. IMPROVfMEWT CAPITAL PROJECTS; FUND','. ' ;aL SCHEDULE OF_REVENUE §',AN6'EXPENDITURES ' BUDGET:AND ACTUAL. - - for the flsc_al-year ended June 30, 1.992-`. - _ t 1 - _ I v , .r . w a ance I'_ . , _ ; t: Favorable • • .Bud et' = Actual - `(Unfavorable) : REVENUES: - . , . - . I - . f - : $ - ' - _ - Miscellaneous.- - 6,437 S 437.. A. -'Interost r 45,0 -00 41;207 _ . {'3293 ) t• . - . Total-r60nues 45,0001,, 47;144 - 2;144: OTHER FINANCING~SO -URCE ' ' . . Sa , - - _ Bondanticipation noteproceeds ; 2,500,000 2;644,523 144,523 -Bancroft bond proceeds-; - 4 1 _ } 80.138 , < 80,13$ 1. - • - - - - ~t. i' Tota I:other finari 'in :so r c g u ces: 2 500,000 2';724,66'1:: . 224;661. ' -'4:' a ! BE INN G ING:,F1UND DEFICIT:AVAILABLE :F,Q . _RORRIATIQN 66 092 . 66 092: s T = otal- ® 2' 545° 000 2 705 713 ` 160.713 ' _ - , . - i , .h ' v "t• x . ^F r` arlance . Bu 9 dl eted.,. - > Favorable ' Appropriations Actual - (Unfavorable) :EXPENDITURES- 3', , t. . Capital 'Protects '$2,545,000, ° .137'.369 -$2,407,631 - _ . ,..i it - • I.'- . '-OTHER:FINANCING,USES. . , _ C - I era tin g -transfer • -transfer ou • _ , - P ~ - 293;004 293'004• I ` l - - - _ _1' ; Total 2,545 - . ,,000 '$.`430'373`•. $2,114,627 . _ 1 _ 1 ry. 'A. t ,I ~i'•: .1. Iy „t . t- . 'y`•' .'c.'. . ti I Y r' { 4 . `L • „CY . p ) ' . - .t' D ) t M, Imo;. - { n ' I.t,~ l , '1 f: I > . , - ' 7 aV, - _ J { .11 . . , - , . . , _ , I , , . - ' .:i ' - - 39; Ay 1-' , `Y.', - , CITY OF TIGARD; OREGON : ROAD, :IMPROVEMENT. BOND FUND .,SCHEDULE OF.REVENUES'AND EXPENDITURES BUDGET.AND'ACTUAL• ` ;for-the . fiscal. year ended June 30,• 1992 Ia, ;Variance. Favorable' . Budget : ' Actual (Unfavorable) Y. "REVENUES: Miscellaneous'` , , $ 10,200 • `27.9;235 ' 269;035 Interest 93` 1 ,000 03,839 10;839 r, Total `revenues: 103,200 383;074 :27%87* BEGINNING FUND BALANCE"AVAILABLE ^FOR APPROPRIATION 3;000;000 2,612,556 (387:444 s Total $3;1.03200 :$2;995,630 $(10:7;570) 'Variance'. Bud eted Favorable Appropriations ' Actual ' (Unfavorable) EXPENDITURES: - Community development ; - $ 65,020-,,;',4:.':611438 $ 3,582.y Capital:protects 3 038,180 2,500,276 537,904` 14 l Total $3,103;200 $2,561,7,14r $ 541`,4861 ' % 4 01 , CITY OF TIGARfD; OREGON'' PARK LEVY-CAPITAL:IMPROVEMENT FUND y--Q' SCHEDULE ;OF ,REVENUES,ANDI EXPENSES =-'BUDGET AND; ACTUAL, e:.3p, 1992 for atie fiscal yeas erided Jun - . . i"' .f•- _ : s , . _ . , , . - I . . :Variance- - , . . - " x,-. - ; y. Favorable 1 ' Bu' dget ; ' Actual;; (Unfavo'rable) _ REVENUES: . • 3 , - f o e e t, a eriu 63483, ri r to v rnm' n r v' 9. , $..40,699 ,$"22,784 C .I Miscellaneous . " , 4',. 460 4 46U - - , . . InCerest . ' e 20r;15b x 31,285. 11. , i - 135- S; te . T Irv ( ' ota e, ' " u . * , , '83;633. • 76-,444 _ 7,1 J lv' F 89);' • . ~ t, i i^` y' C1111. : 4• 4. , E. . 'F' - i B INNIN `F G G UND:BALANCE} AIL AVABLE I" x, FOFi APPROPRIATION - ;650 0'00 { 647;305 Y' ti`2 695 . . t T 't _ ti" - otaI i . 736'6'63 $ 723',749.'."'' .4 9" 88. a', • . i - . - _ - _2-. r - _~.t Revised < • ' , - Budgeted:.. F v - t , .;Variance • Appropriations- • .Actual' I -Favorable," ` . . , 'J. r ' i.. _ _ _ EXPENDITURES'- • _ - ' - 2 t •4` ~Ca ita r 11 o'ects 33'•6 3' r . 3 -4 ~ 1. 1' $ P P J $ 08 5 325`482' $,408'1'51';t:, I . `;777 7 4;, _ 't. I" - f 1..:-.4` Iv r ~1 `11 t - - 1 ',Yl- C• -l '1 • -TF, ~ . - . . " ~ I : - I . ~ . " I` - , 'r , , ; "r, ~ - - - ~ , , ~ . J - J S - -,FI ..1- - ,3. . , - : 7 f j - _ 1• , . r `''r y.. _ TC' - 1.' . - ' , . ` . t• - "-5+ , - - t II ' - _ - - - • , _ _ A _ - _ - I - • , / t _ - . ,J tip.. 1.(,` :S:,t~ - 41: ti. , i . , f - - , '1 wt - - - - - X., _ ` ENTERPRISE" FUNDS These:funds'are used to finance and account for ih6 acquisition and rhaint6hance o.,sewer'and storm drainage , ges:F ri` `in I i ,h' i.f `n r facilities•wh-are su rtedb u' er.char ppo y s u ds . c uded n t is u d category.:a .e: • Sewer: Fund j ' . . 'Storm.Drainage ,Fund, _ CITY OF.TIGARD,'OREGON. `ENTERPRISE°F.UNDS,' COMBINING 'BALANCE' SHEET _ June''30;'1992 ' . :Storm. - - , . ySewer Drainage , M1 _ Fund",,: 'Fund- Tota :ASSETS: _ Y T • ''Current assets: Cash and' in3estments;- $ 581,276 295;509. $,.:876;7p5 = :Accounfs'~eceivable _ 309;777 73,682 `383,459° ".Total Curren V L t assets 891,053 369,.191'. 1,260,244, Noncurrent- assets R ri est cted h inV cgsand, e in n st . e is '937,062 - 653 250 11590:612. Assessmen r iv ts ee ab e' 9;4.79 479 Fixed assets';`net 5163;325 38.15,920 8,979;245' Total noncurrent-assets 6109,866 4,469,170 10;579,036 Total assets : J $7;000919. $4;838;361' $11;839;280. 'LIABILIT IES'AND,Et:1IVD:EQl11TY: - LIABILITIE8`. 'i Accounts.'Payable and accrued liabilities $ 569,289 631,399. :Deferred'-revenues 6;814 6;814 ; Accrued-vacati on ae 7,394 • 6;637 •14,031' P Vabl N t Total liabilities., 4: 583, . 97 68;747 652,244'. _ FUND-EQUITY. Contrib ted;capital 4;770;524 4,592,330 9,362,85,4 Retained- earnings 1,646,898 177,284 _1,824;182 n ;Total.fund- aquitY: ;.6,417.,422` 4,769;614 11;187036. f' F' Total` liabilities .and .fund a 'ui :$7000,919 838'36'1 11 839 280 t. t `A 'l. `42' "CITY ,OF TnGARD;~ OREGON ENTERPRISE'FUNDS ; COMBINING STATEMENT OF REVENUES, EXPENSES.AND CHANGES,IN• RETAINED EARNIN. GS foc.the.fIscaI year`d ded June30;1992- r ; 'Storiii Sewer Drainage - Fund Fund 'Total:. OPERATING V`ENUES:'.: a" Service charges $ 968;911. $ , 563,830: $1,532,741 Miscellaneous, 384' 53 '437 .,Total,b eratin' revenues 969;295 563 883 1.533 178 OPERATING EXPENSES ;5. ' Salaries and :wages _ 474,893 330,364• 805,257': Contracted, services " 11,471 2;958 14,429" General, and>administrafive and.other_ 193;970 134,937 328,907 Depreciatiom_, 166;209 398;777 232;568 ::rota: operating' expenses'° 912,902> 634468 1,547,370 :Operating income-(loss) 564393• (70,585) (14,192) . NOINOPERATING`REVEN UES - Interest. 74;486 45'060 11q;546,-.' .a Income -before operating transfer 130,879 ,(25,525) 105;354 Operating-transfer-out' ` 7( 0;300)" 44400; 114"7b0':` T J Net:income(loss) ' 60,579 (69,925j. (9,346) Add depreciation on-:fixed assets'' :donated or ir' ro ' acqu ed f m ca ital , contributions-that 'reduces contributed capital " 121;707 11'3;361' - 235,068 Increase:in reiaiiie&,earnings 182;286. _ .43;436: 225,722 % RETAINED EARNINGS = beginning of year _ ;1,464;6'12 133'848: 1,598,"460 RETAINED EARNINGS, end of 'year $1,646,898 s , $ 177,284 $1,824.182 r `'1 " .Z'• - n ,jam - - 11 , .CITY OF T.1GARD,' OREGON` ' ENTERPRISE F•.UNDS COMBINING'.STATEMENT OF.CASH FLOWS „ forthe=fiscal.year,'ended Jurie,30.1992.' .`7•Jtorm. Sewer„ 'Drainage k r. , SFurid' Fund T taI 0 Cash'flows fro in operating•activities: Q eratiri income loss)'- ' -56;393 x 70,585 $ . P 9. ( ( (14,1§2) Ad1'ustments to;recoricile:o e,ratin to net cash'' rovided in I comaoss ( P b -o erating . activities; . ' Y P 9 _ k Depreciation 1 232;568 166,209 398,777 (Increase):decrease',in accounts.:keceivable' (119;240) n 1,321.` {11.7,919} _ Decrease in due from - r ` from other..funds. l 101=818 23,569 ys 125,387 , IncseaseAn- accounts payable and accrued' liabilities 185;936 -12,71,9 198,655` Decrease-'in accrued vacation a _ a `able t; 8,759 3808 12567 In •r c ea a in' mn s assess me tsp. I eceivab es 9 47 ,47 9 9, 9•fiIn r in f` - c ease d'e erred revenues :6 814 6 8, 14. 7 77 Net, cash Provided`. by operating activities - 446,051 129;425. : 575;476 • _ Cash flows-from noncaPital _financing:activites-' ' bperatingararisfers'out '70,30.0 44'400 114 700 y 'Ca'sh-flows from caP-dal~andrelated.y fin rci in - = a activities: : Cap ital n triii 1'n co t but o s 171;25,7.' 171257 r A uisition of.fixed a e 271' 7 cq ss is 99'2 3 925 '275 91 Net cash provided by (used in)-capital ; ,and r'elated:financin9`activities 342292 122;932.F 219-360)' ( :Cash flows,from ihvesting activities _ Interest-eaming s: 74,486: 45 060 119;546` g 4.1' T .C r`- f w N 'incr et ease in •cash'-and cash - , ei uivalents 178,245 "2 „q . 97,41T' 475,662 jt•' Cash'and cash equivalent's'=:beginning of. Year 1340;093 651;342_ 1,99] ,435 Cash •and.-cash;eq`~uivalehts-end of yea .$1-5, $ 948759 2467097; 1:. V 44 CITY, OF TIGARD, "OREGON' ' SEWER'fUND - } SCHEDULE OF REVENUES, AND EXPENDITURES --BUDGET AND-ACTUAL w ; a. for,the.fiscal year ended June 30,+1992- r, . c . Varlance' Favorable Budget.,' sActual (Unfavorable) REVENUES: Service, charges .;,:,$-J-,056,500,' $'1-;056,500:• $ ..968,911. $ (87,589)' ` Interest 56,250 ' 74;486 :18,236 Miscellaneous 384 384 77 ` Totai revenues 112 750 1",043,781"., (68;969): "BEGINNING WORKING CAPITAL` AV'AILABLE' . , 1:;187;603. 1;250,302 ' :6269' FOR' APPROPRIATION,-, r, 27, ~2:24• 6 0 /T otal, 2300353.` 9 083,Revlsed Variance Budgeted' Favorabie` Appropriations. Actual '(Unfavorable) le.EXPENDITURES--Communfty.develo pmeet... $-'.'437;681 425;627 $ 12,054 " Policy-and administration . 253;026 , )46,389. . 6,637, City-wide support function`. 61382 J 54;415 ° 6;967, Contingency 396,000 ' 396;000 - Capital projects 1 -152364'• 236;003 916;261 ,Total-expenditures'' , 2;300,353•: 962,434,-4,337,919 ' OTHER FINANCING USES - - r Ope`rating_transfers out 70,300 70,300) $1,267,61.9 'Total `$2300,353 $1,032,734 N7 -CITY',OF, .TIGARD; OREGON- - ' . - - ;STORM DRAINAGEFUND;' - _ - - :4 • = SCHEDULE'OP REVENUES AND"EXPENDITURES - BUDGET.AND ACTUAL..:. r for•the•fiscal year ended June 36.,l bk. Variance., :Favorable Bud of Actual (Unfavorable) REVENUE 'S. c' h" eYc ar es 86 Q00 NI V735.087` i - 50.913• Interest `43,750 -45;060 ' 1;310=r' .Miscellaneous Y z, 53.- :53. L _ Total revenues 829;750; 780,;200L 49 550 BEGINNING WORKING CAPITAL AVAI L LABLE. .5 rt FOR:.APPROPRIATION'' `,676,806 ~ , 690,074 268•~;~ i• Totaf _ 1''`506'556` "'-$1-470,274.: . Variance Bud e d get 9et =Fav r' 5 Appro riations ACtu 1= p a (Unfavorable) .f EXPENDITURES:- ;.Community development, ' 333;396` $,✓285,960:, $ 47 436 Policy and administration 124679 120 20,430 . 4,249. City-wide„support function 23;033" 20,418 2;615= Contin ge 27 r Y270,000 ncy 0000 Capital, projects 755,449 49,096 706,352.-,. `Total.ekoenditures . _ 1,506,556 i:.r, :475;904 1:,030,652 OTHER FINANCING USES:- = Operating .transfers out 44,400 44400 T r otaI 1 - '506.556. S2 0,304. $ 986;252. J• • 'ice. , - t u.r f' •h ,.r 4Y , J• , ~.n ~ti FIDUCIARY. FUNDS These. funds'account for resources received and:held by,the City iwa'fiduciary.capacity,, D,isbursementsfrorhlhbse'I unds'are made-in'accordance wfth,the:trust'agreement or.cbaditions•of the'trust forthe particular fund. .'Funds included in this category i are:. Agency Fund:- Deferred Compensation•Fund Pension'Trust_ Fund. = Gb L eral`Employees Pension ,Plan - CITY .OF TIGARD, 'OREGON; AGENCY`.FU,ND,-' DEFERRED COMPENSATION FUND STATEMENT°OF_,CH' NGES'IN.ASSETS AND1IABILITIES for the fiscal year ended June 30, 1992 Balance Balance June 30; June 30, 1991 Additions- Deletions 1992 J ASSETS - Cash and investments. _ $ 7.4;7,201 $ .180,537 29,673. $ ; 898;065 LIABILITIES - ,Deferred borripensatiori payable; $ 747,201 180,537 ,29',673 $x,898,065: vo' , t' 1. +t 1. - - • '1 . - . -x/` . , . . I. • - tv 4 - _ Y (r is r j ' v.: „ 1 9 tl 1' 4 t , . _ yI - ' - `i 1 ,,v., .y ..4 '1~ , r .1 ' .C S. r J- ! a.'. - r (`i.his page intentionally left blank.) , - a 'I - i, . C .f~ . .r' f 3" t . - - - y . • i i } ~r. - r. _ k - It _ - - - _ _`titi I . , _ S 4 - Y r . . : a' , . ' Ai q rt: .w + , _ - - _ ' _ , ,.-1.i , - < t, _ . I "I ~ -r' - ' _j:. I' . . • _ - " , ' + k II . , . 1.f . C;. y Y, LS l M 'c~ - . ..V:'. - c - , . . r, - - - ` I ` •.t - - - I. . l 3 . • v h' 1 "1~- - _ .11 - , 4 - , r f" h - i - i \r •A. _ i.r1 _ . ' _ - I , • f _ _ - - , I , . - I { - ? = a : ' - - • , . " , a ; _ , . . , ' : , - , . ; ^ , . , . , . , . GENERAL FIXED'ASSETS'ACCOUNT GROUP This ou group accounts other.thari'.those recorded iri'the Enter cise`Funds:.-' acc nt :fdr,th6jixed assets.of the0tY P. . CITY OF .TIGARD,:OREGON'. SCHEDULE OF.`,GENERAL'FIXED. AS8ET3 BY SOURCES; ' "June 20, :1992 'f• GENERALFIXED ASSETS , .$2;064008:-'Land' -Buildin F 9 8;59 Equipments 627,754: Autos and trucks 930',960 -Off icg equipment _ 855,904` w. Total investment in,;general:fixed,`as'sets 208,120 { $8, INVESTMENT, IN GENERAL FIXED, ASSETS BaI-anc ce beginrnng-of year: ;$7,684,318 Additions were provided: by - s' Gen Y - I F. ` - e a und~ Retirements 79,882 a a ce:-:end'of year (;$&,208,120 CHANGES:IN',GENERA L.FIXED;ASSS... =Autos'and' :Office Land ' Buildings;: Equipment : Trucks Equipment Total .Balance beginning b , year ' $2,`062;820 ,$3,449;220 $ 567.737 ;$,'825 484 779'057 7684 318 • a - Additions from' { General Fund 2 088 279;374 -107,024 "-126;27820 `;9" • 603;'684 peduct ' Retirements. ( `47,0 7) 0. 14"802 1.8,073) ( .79'882) Balance erid-of ear. 2 ; - y ,064;908` 3 728-5 94 ' 627 t4`,: $ -930;960 855904 $8'208;Y20 49 CITY.OF'TIGARD SCHEDULE'OF GENERAL FIXED`ASSET$ " ' BYTUNCTION N-AND ACTIVITY- June ' 30,•'1992 Machinery, Equipment ` ' 'Function and Activity Total an Buildings and Other Community services: $Police: ;673,120 $ $ '.673,120 Finance 8,061 8,061 Computer service`s 31,073 _ 31,073_'. counting. 32;657. 32,657r AdfninNnsk - '4729, 4729 i_ Off, ice services ` 48;537 48,537 ' Records _3460'6 34,606 Court 7,754. 7,754 Library, " 26871'8'-:,268,718 Total community Services 1,109,'255 1109,255 Community; development- ' CD-Dev serv, admin 43;420 .420, Building 43,64 .9 43 649 Planning 23 437 ;23 437,... Engineering 1 fi2;006 162,00:6.: Operations/.admin' . 55,351' 55',351 Operations/shops: 61,421. 61,421 Streets - 6;.489,792, 489;792 Parks 237,1,16 Operations /managemen 237 116 t 4973 4:973 Tofal community development 1,,121,165 - 11121,16 5 Policy and administration:. a, L* " M V' Or.and. ,city -council 8,809', 8 809 City administration 19;362 19,362 'TTotal policy and'; _ ; • - , . administration 28;171. •28,1'71 General government. 5;949,529 2;064,908; ` 3,728,594 1°56;027. Total investment'in general fixed assets '$8,208;120 $2,064;908 $3 728,594 $2 414 618 ' 50 tw '.Cl-NYb ,TIGARD ; :SCHEDULE OF.CHANGES`IN GENERAL FIXED ASSETS- BY FUNCTION,AND:ACTIVITY for ttie.fiscaI .ear, ended"June.30 1992 4■ General. - - General F Wed. . Assets: Fixed Assets. Functton'and Acttvity5.. June 30, 1991 Addltlons li6ilrdments June 3071992•. Co mmu`nityservices: Police L $ ' '596186 127;135; .50;201) $ r 671120 Finance =6,711 1;350` 8,061 Computer services: 20,762 19;7,1,0 . (9,399), i' 31;,073 } i 1. f Accounting y 479. - . 1;178`,'. 32,657 Admin/risk 916 4,729': Office=services. 39,284.:, - 9,253 48,537- ' 'Records. ; • : t 34,606 w: 34;606 COU rl - - '•7 754 7,754-,, Library. 242'425-`-,- 26;293 '268,7.18< T' i< ota communty:services` 983020;A~ 185;835 59`800 1,1'09,255-- `Communitdevelo -merit: - - ~CD,-'Dev: serv:.admin:` _ 41;695 1,725 43,420 ,,Building"_ : :42,353 1';296. 43;649.` ?s ;Planrnn.1.3'699 9 738 23 437 ' , , Engineering- ,146;652' t ' 16185 (831) 162,006 Operations/admin a 53;291 2;060 ;55,,351` i' n O at o s/sh o S. 'S4988. per ..P:. - , . ' 6;433 ` • 61,421 ' : • . Streets " 44,0 500, 56'394°° ' 7102 489 792 Parks 193,258 53`363'" 9"505 '23711`6 OP' aratio' ns/ma, n s mn -e a t'• 4* 8: • '-'475 ••4,7 9 - 9.3 Total•communi develop nt 99 4 ' community. pme 90,93 147;669- 7,438 1 „121,165 Policy.and administration: May or. and,ci `council., y ty, 8;809 8,809 56 S City administration 19 1`3'450 44` . 8 Tofal policy and'adm'i'msitation :17;565 r 1$,450 28;171-'Jr _ ' nr Ge a aL. overnmentI 5 692 799'• 256 g,730--- ~ • 646 62i :Total- investment1n. general fined'°assets' 7'684'318: ' $ .$_:"603;684 $ 79882 2081:20 v, .M Y• `S •2 puLES' S this'sedtion are. t ed in ehedu.les includ Balances _ , "and Outstand . actionsptopedy- Tax-Trans rest: Transaction`s>' ds , on, nd "Infe. en Bon .and ..Bo ncroft: Req ►mprovem uirements of Ba Future; Debt SeNice' . ; dal pbligation Bonds Requ►rements of .Gene f Future Debt Service ( •f ' ire * ✓ : I - - ' - z ' ' - r - , 11* ' . ~ - . " I.. . - : I . : - , - ~ : - " , . . . ~ , , . I --i , , . I . , ~ * ' ' ' . - , I ~ , I . . . , - : , ~ . ii~' N, t'•, - - D _ , " TIGAR ° CITY ,OF , OREGON-' ' _ Y . - t' ' `SCHEDULE OF:PROPERTY TAX:TRANSACTIONS , • AND- OUTSTANDING'BALANCES, ` , :1 il -1 , ;.for. the fiscalgyear~ende-d June'30, 1992 • . - : A.a Pro ?Add:,' _ I z 't - perry r` ` Pi' t.:.' gperty`, s. Taxes, Levy. asa . ' - -Taxes- Receivable. Extended .Deduct: :Receivable , June' 30;:' I3- ~ a Dlscount§ Deduct- ' 'Add , Deduct: -June 30; -1 s .1991 "Assessor -Allowed s ' t Adjustments Interest _ =Collections .1 z '1992 ' - _ _ ,.1 - . r. , .C , . _ •k - .'^L 1991-92' $ $5;1.48;022 4:(.110;574) _ (74,282) 4+ ;024:; $(4;71 ];610) 249;580, E'r r . f ; x I .1 .'f'.' _ S - t . 1 _ 990 X91 22 ~44 8 2 51` 60 -1 :1' 7 . 69 144,943 90 036. . 4 1989-90;_ 9,1,,340 ~ (9,779) (8;647-.: :(39,903) 50305 . - - ti 13 714': 1988 89. , 35;496 (1,305) 7,152 (g7,,629)-_,.-,,_,. . -J.' .r - _ " • r- .i. ' - . - t 1987_88 12 24' ' ,0 ,094) 13,;M2 12 485 µ 2`707' t: _ - - i- _ . - - 1986-87- .5;616 - J1`391 ;1: 211 3087 2'349' r' a', -a d` "prior, ' " - < , t: ' - $372,918 $5;148,022 ' $"('11.0^574 (92"42j1 $36;403 $(4 945 657 $ 408,691 " t r "1 y ,x . - - • - - - Property ,Taxes ` -Cash, .Receivable •_•x. 9 ; ` - l . `~Colle'c'tlons.~ :f'. June;30, 1992 , , f. - ^ bi ri o 11 ows: r st bute as f , d ' , - General%Fund: s_ <n . c' Cu ent,.' Y` j266 945. - 172 83,4- Pi r ' r vi or.,Yeas'l e vi 153 461 104 009 t , Total General Fund : ti 3 420,406` `276;843 _ .y. - - .i - f`.. fi I Debt Servide•F6nds° . 1'' .Current , . t '1'4561'66... 76.746 • f Prior. ears' levies -74,586' 55 102, 't= M .v. , I, r fotai Debt Service f - 1,525;251 131_;848. 1 r 'r .r Total $4,945.,657.; 440869. ' , ;t- r" .t' 4~ - ' ' ?1 1 . - i rho •t - ' _ ' - ' . _ . :S . . $1 C J•. ' { 4 ~ _ t, j . _ _ is _ - f., : t - - - C• - , - • - a y > i. - '1 `I y . , :1. , l . _ 52 n -1. - ,.H l - - . CITY OF TIGARD OREGON = • SCHEDULE OF,BOND•AND BOND INTEREST TRANSACTIONS for the fiscal; year, ended June 30,•1992 Bond Transactions ' Interest Transactions ' ,Out Out- Out Out standing " standing • standing'' " standin Original June 30, " . June 30 June 30 g „ June 30, Bancroft Bonds Issue :1991,- Issued' Matured`. Pald 1992 1991 Matured' Paid` 1992 : Issued:August=J," 1975 57,840$5,000.., $ '_3.000 $ 15;000 . i 735; $ 735 < $ Issued November-l,. 374;795-': : '60000 ,60 000': .60 000 586 3;570 3,570 _ 586 Issued September 1; 1982" 184,664' 120,000 21.0,000 10,000. 110,000- 835. 72,640 13,206 ' 269 _ , , _ AYr Issued October 1, 1982". _•"-1,371,200' 405,000 ° 190,000 190,000, 215,000 705 28,532.. 25,526... 3,711 . Issued September 1;°1984.w 492,000, ",'255,000'58,"6k- :..'55,000 200000'' :-1'457 19`998 11 168' 10287'' + Issued _Decemberl; 1989 :340,000, 285,000.: 20;000 = 20,000 265,000 16,540 16,540' ! ' •ISSU@d August 1990 2,244;000 2,244;000 89,000 89,000 ` 2955;000" 138,415 138,415 n 'Issued. Au ust, 1.,' 1991:, 405;000 405,000, t , 9. 405,000 12150 .12,150 j "'$3;384,000 $405,000 $ 427,000 424,000 : • $3,365,000 $ 3;583 $ 232,580 $ 221;310 $ 14,853 'f - - _ - - - General-Obligation Bonds.. lssued:June 6,; 1984= $2;200,000 245;000;.:', 75;000- $ 75;000 $ .170,000 $ ".24;170 24,170 $ Issued February 24, 1987 2,215,000 2,045,000,' ; 40,000 40;000 2,005,000 118;193 118,193 Issued.'May 9; ;1989: 8,500,000`-•- 7,630;000 575,000 575,000 7,055,000 520870 505,671' 15;201, $9,920,000 $ 690,000 $ `690,000, 1 $9;230,000.: $ $'663,2W,.' $•.648;034 : $ :15,201 " _ • _ - • CRY OF TIGARD ~ 69t6ON" SCHEDULE OF FUTURE DEBT SERVICE'REGUIREMENTS ' OF, BANCROFT.IMPROVEMENT 60ND8 i' As of'.lune 30`1992 issued: Issued Issued issued Issued Issued . <Issued August 1; 1975, September 1,.1982' October 1, 1982 < ;'Septemberl; 1984 December 1, 1989 August 1; 1990Au usf 1~ 1991 . a 9 :Yea~:of; Total•Requlrements .6%to,7% 10-1 A4° i '114/4% '-;..8-2/10%to13-114%7.6%to16%•' ' 5-3/4°%-to6-1/5% 6%to,6:5°Ge.•: 6% 7 "Maturity ` Principal Interest- .:Principal.. -Anterest` ".'Principal : Interest : Principal ''Interest '_Principal' InterestPrincipal.- -Interest, Principal Interest- Principal ' Interest •1992-93' ` 414,000` `$;209;591 $ 9,000. $ 525 ' 'i$ 10,000 • $411;628 $215,000 $:9'943=: $ 80,000 $1 06 5- $ 20,000- ':4,15,385' 'y $100'000.".$132 745:'- 24,306 1993-94.. - 2031000 185,635, 3000 315 `10,000 ' 10,590' 65;000 9;610'._ 20,000 14,225• 105,000 126;595 24,300 t. - r, 1994-95.1 1 `2 8,000 170,507 's 3;000. :105 " 10,000 9;527 75;000: 3;325:. 20,000^ = . 13,055 110,000 120 145•` 24'300 1995-96 ;-:145,000. 158;005 10,000, 6,445 20,000 14,665' 115,000 113 395 3 Q4'300 - 1996W. :155,000 , " 148,448"• - 10,000 20;000 ' 10,665 1 `•125,000. 106 133 24 300 , ` rJ.' Y 1997-98 - 145 000 138'812. ,10'000. 6,245 10,065 135,000 - ;'98'202 ~ 24;300 1998-99. ,155;000 129,085 - - 10,000, 5,130' 10,065 '145,000 89,590 ~24,300 19-200 68,000:,". 0`+, ;325. 0 113 745 10 0004 005 5,6q2: 150 000 BO'408': 99 24 300 •2600-01 ' 175.000, 97,692- .10,000, 2,P70,- . 165000 70522 4 _ 2 ,300 > _ t 2001 02 415000- 91 350: 10 000 1 725 65 325 4 05,000 : :24;300, - x. •2002-03. 10,000 65,900 .10;000 575 _ 65,325- y- 2003-04 ` - • 65 325 ' , 65 325 2004-05 65;325. a r 65,325. s # 2005-06 d 005 000 32,662 • i'_,005,000 - 32 662. ' 7777 777 T 082-" 15 0 0 1, -215' 000 - -$,,9,943, < 0 28050' 265 000 , ' 4 5- _ $ $'90,357.:,$2,155,000--.'$1,231,697,, $ 0 ,000' $249,000. orals, $3;365;000,' $1,67 , $ 0 $ 9a5 $1.10,000 $68;b 90 $ $200,0 - - CITY OF TIGARD9 OREGON SCHEDULE OF FUTURE DEBT,SERVICE REQUIREMENTS .•OF GENERAL OBLIGATION BONDS as of June 30, 1992 ; Issued : I Issued + Issued June 6, 1984 February, 24, 1987 Mey ],,1989 Year of Total' 9:7% to 10.60% ' 5.95% to 6.40% to 6:7096 ' MaturiPririoipal, Interests; P_rincipai' Interest :Principal ,Interest Principal, ' Interest 1992=93 $.-120,000 '$,6191845 . $80,000 $ 16;670.- $ ` 40;000 ;.;.r$ 116;192x' 486,983- . •1993-94:. .i . '830;000 568,770 = 90,000 ' 8,910 45,000; : 114 ,1.52_ 695;000 ,445,708 1994'95. ` 945;' 000 ; 508,910 . 145,000 ' - .1 790 800,000 397,120 - 199596 1055;000` 445,598x, 155-,000 104,178. 900,000 341,420 .t 1496-97 1166000 74`1 ' 3 3 2 165 00 95,653' 1,0W060 278 470' 1997-98' '..`:+.1,270,000 .294;783 U..` . ` ' 170,000 86,413..'-;` 1;100,000: 208,370 1'99&90 1,415;000 206 953 185 000 76'638. , 4 230 000 :'130 315' 1999-200b 1`,525,000 , 110`,555 ^195,000 ' 66,000 • ' . 1,330,000 •,44,555 2000-01 ' 210.000 54 300 •210,000 k300 200102. 215;000 i 4,1';700 215,000 Al 700 2002-03 235 000 28 800 235,000-1 28,800 _ 2003-04 ,245;000-- ' . 14,700' 245,000 14,700 9 230 000 3697 0+-0 $ $ ,2 ,03 $-,:17 00 $ 25,580` $2;005;000' $ 910,516` $7,055,000 $2,332,941 55 ram. , YI _ i ` - , .y - • } - f ; . t, r ,'f Yt 5• i ,Y, 'Y' i - _ t.. >h , _ - - - . .'f - .t' , - i r~ - ..Fr - - - - .t ,Yi- _ r•J _ , I r'• , . • '..1 , _ _ i` t.. {This page intOntionall` :left blank. I - • :f ; t } . r ; 'h rv ~5 fir. 1 ,y' - r r.1 " i i 1 I ' ✓r•r`' r j ' :f ,a ,1 f I -1 ~1 I'• . - • y 'f i .1r t ; :1, ;K. _ _ - ' :tom •I . j.7y, . 4i - ~ - r i ESL . }_u M i rL Ny: - , , } ' _ 1. _ 1:' r 1 . - ' ' 1. - _ 1 r ` ,1 ,"t'' ~ " . 1.. II . t' S . If' . ~ . ..i: r. - _ I'. ;J , . 1 1. _ r . _ 'f .i. 4 _ t .T ; - r- r _ _ t' - - _ - . T L , j ` • .1• _ _ _ :vas . - - _ .J. , - . - 4 - ~F' , n4.'' . . Y - 1 . - - - - _ _ t •f - - - - - - _ - - h - _ _ _ - - i - - - • _ - - - - ~ . ~ , ' , , , - _ _ , _ _ _ 0 - fr- Y 1. ' Z A TO - _ . _ _ _ _ ' - f_' Z.' 's " a ' - _ , - > - - . . _ _ - t. i ,z -e, ;t'' J` - ?a - -'b...j !'tC' _ .F _ . A ' tea. r r 'k , . 2 ' ' r - - 2 S• S s' ' _ - - - - .1c - , , _ _ - - - : t , - _ _1 _ - - - - c _ - - - _ .1 rj - - _ _ _ _ y. yy 't r i <x. R 3 t' - f ;4T N J a a ' - _ ti.. Jr 'F _ _ - i jri. _ _ .1 _ - < t• _ . - e - 'x ; Z - - _ r' _ - I 1* _ _ _ ~ _ - - - _ _ ' - _ ',1 _ A t _ i ,r 01- - is - _ 'a3 - - - v w .V ,A r< ^ 'r a4 :t J} < n { V _ r S ' I. - P i LL _ f' ..7 v ' ` P; C+ a o- r '1 r • _ _ _ - - - r: - - - N. _ _ _ _ _ _ _ _ - _ : _ . r r - j. y 'i - - ,2 _ 1• _ - t d• Y . is - - - , S. YP^ t h.`ad k _ 9.. J ' - fi• TWO - - - _ - _ _ ; - - _ - 4-- _ . _ - - 5'-' _ _ _ _ _ a - _ _ _ _ :e.. - - _ - .r_ - _ -i` _ 1 - - . 'i D. ;4' 1 V171,440 -L i, _ - - - - 't r _ - 2±• - `fi. y - - - • - r_ _ i _ - _ - t'•_ _ _ } t;. Z J - 1 -1 G . CITY OF TIGARD, OREGON GENERAL GOVERNMENTAL' EXPENDITURES BY FUNCTION .BUDGETARY , BASIS ^ . ast -teri' fiscal years. for the I - .City=Wide. Su rt ppo Functions,, ; Fiscal' Capital' Year Ended.. Community Community Policy ands'' Projects. .Debt..;" June 30 Seces Development ' Administration and Other Service •Total ; 1983 1;527;913.c 1,126;758 1.54,184. 367,684. 212;283;388,821_., ' :1984.; 1;;680,374 1,507;879 237,028 .241,984. ` 449,545 4,116,810 1985: 1-;592;319 ; :817;741 114,787; ',1414,569; ,71'0;366. 4;649;782 1986 2,'157,622' 968,778 1,32;846 3;010;368` 797;154- 7,'06,6;768:-, 7 '71 1987 -2,450;459_• t . 462;456 111,909, `1;183;467" 808,888•_ 6;61.7;179` 1988' ' 3;042;321 - '1,764;513 12];016 - 1,452,-149;.' 785,234, 65233 1`989 3,357;664 ' 1;980,927 112966 ' : 3,1.7,7147 1,772;739 9;4011*,443,.: 1990 3539;680: 2,096,431 253,593... 4;977,930 •3,;481,870;:: 14,349,504--,-- , 1991 4 347 338.I' 2'558'534 ; 281 X180. / . - 7216 336 4157 959 :18`561 349" . 1992,.. 4;520;483_ 2,466,,774 1•,;157;205, 4;001,521'. 2;,643,174 14,789;15$ Information derived from Comprehensive;Annu`al.Financial Reports.for all Governmental Fund Types r - . r, . . ! I t CITY OF.TIGARD,,OREGON w - -`j ."'GENERAL GOVERNMENTAL REVENUES BY.SOURCE' BUDGETARY, BASIS, • ; • - . ; r 'r• ,for,the'last ten flscIa years` . , ' • 1-1 I . . 4,, -i , Flacal' `Year, - i 'ter-'cna' ' Licenses n r 9es , _ Ended Franchise' and -Governmental f, . ,Fines:and: Miscellaneous. . _ June 30 Taxes Fees" Permits' - ..'Revenues. Seivice"s , Forfeitures' Revenues'' 'Total- - ' ' 1983` . _ "728641, .449'7.78.',:: : ti' : 4 347;798 1,,456;325..'.44 3,460;,' •55,651. 1,235,04 8: 4,316701 . I ~ _ . , . I ~ I . ~ , . ~ , . . 't. . _ , 1984 ` 904;238'. ; ''468,020 '286,318 921;613 ,243;102'' - 701425 : 932,657' ;:3;826,373 - _ " 1985 89T 843 591.,246 524,059: : T,058,600 413 .124' 134'040:\' 1 195 098` A;814 010 - , '`r- . _ r 1986' - 1,226,373 , ^.941,26,4" ' 548;689^ , 1;371:,804, 3' . 2, - - ;167,610. 903;175: " `:•5;534,897;" - 11 '1987- 1•,807,800- 745,520x= 650961 _ -1;246,8.40' 382;384 1,44,559 'J,127693 - 6;105,757 . . - _ - . I . _ 1988. 2,152,792 849,844. 1 031;018 '1,220;779; 514,048 254;154' -i. ,1,160;39.1. 7,183,026,' . 1989 2,408,59.7.; `.1,031',791` :1;059,725' 1,517,777,, °599,002 240,849 ` '..1•;1,13,'184 : 7,970,925 . - r: - I 1990 3;246,834`. 1;100;181,' 1';445,011° ''2,040;71.1'q 39;818" 232,332' 2,j83!,1) , ,`10;788,093,'.; - , r 1991 4,160;790• 1;179,833' :,1,,206,_920 = 2 379 431 79;370' 259,497 ' 1,627 675 10,893,516 ` ;•,•1992 '4,963,329,x` '1,287,794,; 1;659;542 .'3,050;675 102;081', 322;ti18 1;464,811.,'_' .°12,850,850. z' r .$f . _ . : K. " s' Includes sPecial"assessment,colle is ' r _ 4` , , i derived Irom p nformatiori ' r h e ensile Annual Finincial'Re orts-for aIl:Govemmental,Furid T'`^`es: h ' ComP P _ YP w ' , _ . t.. - , - _ • s - :i.`,s , Y 1' r 4.. f ' - , r t , r -r.. , - . d , - _ , i . - - t - . , {1` - u w _ _ _ . r . t e _ L - - F. •t L r' • , - . . - Gr - , n ,1'. - _ I' ( ' . _ _4 i' ' . , , _ 11 , - ,'I - 1. fF - 57`'. . t.J .r . ' - a; e CITY. OF.'TIGARD; OREGON. ; ' PROPERTY TAX LEVIES AND, COLLECTIONS, . for-the last ten fiscal ye'ars•` Percent-_: Percent , fiscal Total Tax Delinquent. Year Percent -Dellnquent°_, ' • Total C®Ilectlons .Outstanding-..• Taxes Ended "'Total : Current-Tax of ;LevyTax' Taz " To Taz Detlnquent to Tax-•' " June 30: ' Tax Levy Collectlonss, Coil'ectlons, 'Collections- - Collections Levy Taxes Levy s i ,1983 817'642 722 ..88:33 :•w y42 635:: 764,856 ' ,93.54 , :130` 01.0 15'.90` 1984.' 985;234 876,2T5 -'88,93 71;058 947273 96:15 • 158,045 ; 16.04 ' 1985 "962,'280 ' 864,334.: 89.82 Y90'687 955,021. 99.24 164;558 12:10 . 1986 1;283;7:11 1,159;480 , . ' '.90.32..,,.. 98,222 "1;257702• ' 97.97 181,944 14:17 1987 1,946,727. 1,773;229 . -91.09 114,319 - 887;548 - '96:96 ` ~ 21.6,864'.' 11.14 ,1988 2,229,.786. ' -2;023;790 90:76 12.4;62,1=48;449' -96.35 - 254,595 11.42 1989, 2,455,9.1'4:: 2;240508 ; 91:23 ; 150;51.1}' ` . 2,391,019 97.36 • 289;212-. 11;78: w' 1990. 3;812090 _3,520,898 -:'92:36 ' - 193,334 -.3,71"4,232`. 97:43. :332;144: 8:71 , . 1991 41266;155 3;918,774 91:86 224;988 4;143762: 97.13,: 372,918, ..,8174,- ' 1992 5'148;022 4717610;_ .91:64' 228;047 4',945,657, 96.07. 408,691 7.94 T•z " I 1 -ch'. ear,and:are a able in three installments,'without interest on Novemkier_15 Fetinia ,15 and Ma 15.. %IMerest is'char ed a es are levied .as of -Ju y ea Y P Y. _ , !Y Y , 9. at the •rate,of.1%permonth on-delinquent taxes: Tax. liens are foreclosed after tFiree.year 's delinquencies Taxpayers receive.a"discount°of 3%'for payment m' .-full by November'15 and 2% or payment`of,two-thirds of the total taxes`due: - Information der'ived.from Comprehensive Annual Financial Report s:.= r - _ 'r - - of , - + _ _ .j • 1 - f _ r. 1, . r - - - - • .i : _ . d' ' - _ " I - - 'CITY.OF'T111 A RD . -ORE G ON . - ASSESSED AND. ESTIMATED ACTUAL' VALUE-OF. TAXABLE PROPERTY,, = or the'isstY e , _ _ „ f ten. fiscal: are: _ Y , + - 1 - . . ' - Retlo of , . _ r' _t - - Total'' - - Public Assessed . Y Pro - ,Total:.' - to Total party Fiscal' ,Real ProPertY' Peisorial Pro PeCt Y r Utlllt Year Estimated - Estimated ; Estimated y , Estlrtieted Estimated.' - . - - - E tu ,Assessed'. ' t . Ended Assessed" Actual Assessed"` Ac el Ac ual Assessed` Actual.; Actual June 30` -,'Value Value Value - Value Value` Value ° i Value- Value value-.. = ' "c - . ``;;a'='22 611'500 '26 57 r 0 .y: 611 03'7 . 46,800 7 4 5;70 : 33,540 '700':--:,39,470'2!,O 1983, 630;09,900" 0,277. 686;199,00 ,75 9 ' 3i 4• i.' f 1984 712347 200 786812I100*-,-, '37,192„100 -„40;973;59b~, ' "26,504,200` ,29'153338*, `776:043,500 856,939;028 91 , . 1 ; ''1 _ a r, V _1985. 779,545,300 813;339,300 44;855,600; 46;750;700 28,347,800!" 29,528;963 852,748,700,'. ,'889,61$,963 - 96 { r 40 .10 32 222 :1 " 32,222 8 927'-.' ' 100 x1986 824,906;'100,, 624,906;100' 49,240,710- 49;2 ,7 .1 ,'117= 906;368,927 906;36 • ,.r; f' . .r. F 868: ' '95Z 116`868 ' 100 9 '867 279 500' 667,'279_,500, '81 379 940 .6137 9 940` 28 457 428 ' 28 45T428` : 957 1164 . 1 87 1988' .1,057,575,500';- ~1,057;515,500 • ,86,7,33,050 - -86,733;050 , -_32,526,302- 32,526,302• '1,1J6 74852 ;1;.176;774,852 . - 100,- ' Jr. ` •1 100. " -_,200,591,600 } , 93,401,270: 93;401,270 32;T31,292 , 3. 2, .31.,292 .1,326;b14,467 ;,1,326,114,462 . , 1989 1;200,581,900 " -1 cn . , 1990 - •:'.1;278,1,28,284_' 1,278;128,284 v; 106,268,976. 106;268,9764': `,,'38738;512 ; 38,738,512' . "1;423;135,772 ='1,423,135;772...':; - ,100, 1 7,. ' I- - 394 724' ' 115 983 044 •11 .5 983 64j*_:' ' 36 707-073: .`36 707 073 1 X588 0.84'841' `1 588 084°841 ''t 100 1991 , . - :,1,435,394,724• 1;435, 1992 ' 1' 755 342 623 ' ~`1f.L 3446i3 • - : 1,14 457 543 '114 457 543. '40;526,27.1 - 40;526,271= M1 -1;910,326 437 1' 910'326,437 . ~4' 1 . . .'y' , . - - , ' • - 7' 1 , tt ~ r. 1. r - c'Iear be' innin 'Jul '1: All ro ;is assessed as;of Jariuary.l',"precedirig the,fis a y g g y. °;x P. Pam . 1. r F'` smer it± and Ta zati n. - , _ ent'o' Asses Source:. Washington. CountY 'D'ePartm f fi. _ . " , . . :Y - - - _ ..t I. - - I I. - - - a rl• - - v- _ _ - i ; • _ - - ,i _ • - L' .•'L'' - Y ..f . - - < 1 - - 11 j - . c Y.' i' . , - \ M , . b - - - - t .'t ` - _ E i..k: -9_ _ , LJ , - . -,.l. . W' I _ I_ _ - - - low . CITY OF'TIGARD; OREGON PROPERTY TAX RATES =DIRECT-AND OVERLAPPING GOVERNMENTS. (Per. $1,000 of Assessed Value) . for the;last ten fiscal years Washington, Washing, ow ;Fiscal , Metzger Tigard `Beaverton = County County Year. F Metzger, Water:. 1 School- ' School . Tigard ;Unified" Tualatin Fiural-Fire Portland , Education , :Other' Ended -Water District. City of ;Washington District District :Wstar `i - .°Metzger' Sewerage ` Rural fire Distrlct `Community Service- Jaxing June 30 District Coinbined' :Tigard',-, . County No. 23 • No..48 • District • Sanitary Agency. ' =",District:' No: 1 : Coble a District Agencies = ; 1983 1.12'. ` 4:02:. 13.01.. 14.76 51 : 55 3.28 2.70: .57. 26 1.23 1984 ; 1':18 " 1.88 12.67: 13.97 36 _ 61 3.15. 2 70 ' 57 26 t' 48 _ 1985' :1'.06' 1,97• . : ;.12.12 13.76 :37`.' ' 49.• 3712 " . 2.7:1 + 57 .26 1.62 1986 1.35 1:93 11:55 13.25 32 :.36 2,60 2.65 58 " .25 1.48 . .1987,:. 1.94• 282 11.36 - 13.40 271 2:99 2.61. 85 " .25 - 1.66 1988 , ' .03 2.03 2.81 12.10 13.13 19 _ 24':. 36 2.70 2.65 " 89' : 26`_ > 63 • .1989 02':.':.' .59 1;98 2.95: 14.46 - 16.49 . ° 15' 36 . 2:49: 2.62 92 26 7,3 1990. -.02' :.61.. 2:79. 2:02.°' Y.14.54 16.ti713„. ; :27 2:52- 94 26- 1:69 1991 .02 : .53 . ` 276 2.94 14:60: 15.82 .25 2.41 91 25 - 57 ` 1992' .02, . `48 2'76 1.41 ' 1613 )09 19 - ` 1.99 .81 .21 - " .49. " b Tax rates, expres"sed in"dollars and cents'per.$1 ;000 of assessed value of'tazable'property in each taxing district, are required by the. State Constitution to:be uniform throughout the district. - Taxes- levied'rriay be composed of throe.types.of levies: (1) a base-operating levy, (2) a special operatirig levy approved 69 the voters in the district and (3) a debt service levy.' The,opera6ng levy may- bel ncreased annuallycto 106% of ttie- highest levy in.the prior three years,' 'Levy'in`creases: are . permitted,, in the year following expansion of a.district s boundaries; :Special operating levies "may. be approved for periods not exceeding 10 years. _Each district with outstanding.general obligation bonded debtis required to levy taxes sufficient,.with other. available funds, to meetprincipal and interest payments when due.+ Assessment and tax rolls .are.'prepared,,and'maintained'by Washington -County.for,all taxing" districts with territory' in:the County.. The "County collects all taxes`against property,im;the,County (except. assessments,for•improvements chargeiiao-benefitted`propertyj and distributes taxes;collected ataeasf monthly: _No. charges are made-ta,the.taxing districts for.these services. ' NOTE: Not all t'axin districts rates are char ed on each parcel of, to ert , actual rates on tax bills, Eire a combination of the."above .de "endin` up on the location'ofthe 'arcel- and the school district and 9 g P P Y p, 9 P sewer and water:district:boundaries. Total-overlapping tax'rates for property in Tigard-in .19924anged from $22.30/1000 to $26.49/1000.. Source: _Washington,County Department, of Assessment and Taxation: _ ; % 4 } ; - - ^ -y 1• - - _ 'S , " t _ .5' I CITY `OF IG R , O EGON" [ - SPECIAL;ASSESSMENT:;COLLECTIONS ' , for the last ten. flscal'years 11.I . , { r 4 ,t`; r , 'Fiscal Year. Current Ratlo of otal Ended ' : Assessments': " -Assess`me'nts ?Collections • Ou Ttstanding.' June 30, Due 1 Collected (2)' ,to Amount•-Due- Assessments. z 4; z:.: _ . 1983 . - 34;795 ',775,749 _ 2`,229,5 2,75.1;37 6:.;° r _ e /,a , . , .1984. - • -1'74,464 469,9'69- _ 269:4; 2;41'7;1.84 ' 1985 ,200 000*~ 467;195 233 6 2552,;458 I . :1.986:= 250,000 361;268 '144:5,1. 1 X945,334 , i ; I. :1 7 x,. 98 - 278000 547106 ,196.8: ':1•;56t-,03-6`-, 565 036 . . , - < x 1988: s. _308=000 } 532224[,; :.172:8 '1 218 351 ^t: YS' v, 1989 328'000. ..372584• • \ ,:113.6, ",828 5'75 . . . _ - 1990 , 69 3- 00 < . '1' 0 ,8;8,094 , 18.1 89 , oo-;, h 2'7 4,. 'a : - - - , 1991 343 Q00 279 468.' , 81':5` < 3 181:495 - , , , Y ^ .11 :A` ` :1 2' 427 0 99 00 288 574 6T6' : 2 2 ' . r, 90 0f35 `t ~S , .f .,;,h-,-.":--, t _ i Y~ ` TFii (j)7 .s.: r . 1, nt.is equal to the matured ,principal ron. Bancroft improvement .bonds ~ ' 2 ,-:r;}Rep' resents:collections,of current assessments for- ~ Pa yment,of -Bancroft. im rI : 6ment, bonds as well ~as..assessment O Y , . p colt ctions . I projects for.whict such bond§`have not been issued: - - I I .t _ . I - - c -is , ,,f . - / ' Source,: City:asse'ssment records:, , v, 11, , - 1 -tr , 4;' C.. _ , z,.: , ' -L }i ,.z ' _ _ 'I ,,y f t r. r, t ,t,. - It r f' n - { i.. . - ' - i ' T' - L' , :L , i:, - ' - . 'f' . Y , ' / Yr } 7'• • I - .'j } 1.- . . .1 ; :i, - k l' { ` l tr 6 ,.r k,rr, r . , CITY OF TIGARD, OREGON' a RATIO" OF =NET GENERAL BONDED DEBT. TO• ASSESSED VALUE AND r NET BONDED DEBT, PER CAPITA .for:-the'1aist -ten fiscal years` . ' Gross, - General Ratio' of r" Fiscal . Obligation Less''Debt r Net, Bonded. Year Bonded Service Net Debt toNet Bonded," Ended Assessed Debt Out- Monies ,Bonded Assessed Debt',Per: June 30PopulationValue.- sfandin Available Debt Valuer Capita 1983 . -1:8;287 - 776,043,500 , . 2,200000: - .2;200;000.• '.28' 120.30 198 1 t3'7: :'852,748;706'.' .2 2V 1 21 1 7 ~f.. 2., 1 5• • 9, 00O.OQ5 2,.98, 85 6 1.15.Q4 ,•20,250:• 906,368'927 w2';160;000,? 125,.133 2;034;867', `.22;: `•T00:49 1987:. 22,000 957,11.6828::.' 2665,000 38;85& 2;626,142' 27 11.9.37-_ 1988 d 24,782 176,774;852 2,580;000 17,871 ,.,2,562129 ..21 103.39 ' •1.989' 25,602 1;326,1>14;462 10;990;000 ' , ' 45;028 1.0944;972 427.50 ` 1990 27;050 1423,135772`--:11,990 ,000" 165664`' 1V1°,824;336 83.` :437.13 1991; ~ . • . 29;652 1;588,084,841=, 13',304,000"•..- :;345;050' ' 12,958,950 :82 ` 437.03; • 1992 32,835 1,91`0;326;437 ' r 12,595,000"' ,620,597 11,974;403 ' ~ 63 . 364.68 , . There:wasno-outstandinggeneral obligation bonded'debt.in 1983:'..` " Exclude's bond anticipation .notes payable ; Soyrces '..City.`budget; ,documents;,. Comprehensive" Anriual Financial- Reports of, the'City..,and Washington {County Department of Assessment and Taxation.: ; 62 { _1. I - ` • - -1"t! 1' - - - r F f . CITY OF TIGARD; OR.., - COMPUTATION OF LEGAL.DEBfifNARGIN'_. ` , June 30E7 1992 , ` _ , 's . f 4 't , ' :ORS'287.004-provides a`debt.limit.of 3%,of',the•true'cash•value'of'all taxable' property withinfthetCityboundaries: iY _`t I ;,True cash value (1991=92) (1). . . $,1-,91 Q,326,437 General obli9ation'.debt:`limit-- k3./c . r . . - . ' ` 39'7 } 57 93' - II 0 • Gross~;bonded'debt 12 595'000 I* 'f. . " , n i ' Excludable debt -''Bancroft :improvement- bonds - (3;365;000) ` ; * w ' ' . i,, ' r. - r < , w' - ' Debt. subject to,:limitatiom - 9,230,00.0 ,j - . - 1_.' L'ega-,debt•margin amounf vailableafor future indebtedriess $ ',48;079;793 ,'r, _ , - ~.y. - 't , T' ~ _ . - • ~ - `l1.- - ^r . - - .y r v' ' - % 1 ~From._Ms66 on*Count 'De artment!of•Assessment'andl~Taxation:: . 'I I., - `ja. . A I I 11 f .S } . }r , J` - . :1, I . , , , , , , . 1~1' , . ~ - . - I , . - , r'j. - •'1 " _ 'J _ ^ ' ` i l , : r I> V \1, - . v l `•N - _ • , 1 _ } . t. r - - - :Y , t -f - - - f,r , . I. ' , , " `t j .~Y~1 I'~. ^ 4 k.. _ - 1 - . - . {r f Y f t' fi. _ I. lei. ~.Nv •1. t _ -:5 _ _ - ti.. - _ - ' ;1' r 1: r , , _ I - . - ♦ J.• - _ ♦ - , a~ nGAEtD,.pNEGAI. pBLIGATIp CI E~LArsp1NG 2 R 99 p~ pf pV dune 30:'. CpMpVTA_, _ ut►t Appllc= psr a 1e a Insid ,r \ %Ic e CKy. Ci of TI ' - Ans d t Debt, o{.Tl a 274 pNandln gi 06°~ 635 3 . 36, . Isdlctlon 0 12;0615 ti 500 X370 juC 12,74() 0, 6 g » 435 o 4f°`p land ct 0 0 1 2,463 10,245, 3:74611; 77 Vyashin9ton Count f ?60to~0, 22 era9a Agency 65, 10 gg1 421,748 Unified ,9909 , , - ~5 X47.' ' , . . pist 73- 43 .Metro Service _ e:"pistr~ct F - , . 570,~d~ .118, _ - 9,464 Y, ~alfey Wat r 18 22,38 Tiaalat► Strict y 2,405,~~~. 53 5505 1 231 573 ' Y;gard''Water 41,814,,404 04 oral Fire :District' 2.7930 ' . Tualatin R . t 095 6 00 j .District it, % ;T'ard Schoo to #2837., avertcn"Scnooi ols 40 Oission ai'':pebt a~uisory.COm r' :Municip Source ; , Oregon . _ tie c . - . - . , . a • :tom ;P ' , - y. ..;t.y _ - I_ . - <+,CIWOF , GARD, OREGON:'. • • e J , ' RATIO-OF. ANNUAL' DEBT SERVICE "EXPENDITURES;" - 'r FOR LONG-TERM DEBT TO TOTAL'GENERAL.GOVERNMENTAL ,EX PENDITURES . - for the last•ten fls' I years,, z ~ ' i7 tit J . . ' '4 " y• FI - .Total 4 Percent :of Debt _ ' seal Year „ Total General Service to. - - : - En h ded _ Debt , Goverrimental -Total General ' . • J6ne.30, - ;Principal Interest Service r Expenditures: ;Expenditures. , ` - . ~ . I , . , F ' I i .1983:' 34,795 r 1.77,487_ 212;282 - 3,388,821 -6:3 ;1 1;984:. 174'464 '275;081' 449 545 - 4 1.16^81:0 .1~ ' - - • . 1985 =20.0;000 51:0;366 r 710,366; 4.;649;782: .1.5.3 A ' .r. x.1986 '290 OO0.I 7 1 4' : > 50 5, 797154 7 66-67,68' •11:3' , , . , , ` ?987° . - - ' 348'000;•' ' `460 888 '808'888 7 17 6,O .1 y,.. 9 . 13:4: - - 1988 ' `ti ' , 39310.0.0 390,369 783,369, 7,165,233 10:9 - _ - r _ . 1 1989'. . 418;o' R : `354;739' J72,739, 9;401',443' 8.2 1990 " ' 2 383+000 - ' -X1''098 870 ` - '3"481,;870 )14' 349504 24:3'= . . - - ' ' I . ' "L - - - , i ~ . . , . 959 1 1. 49y 22 991 4 c7 1 3 03. 60 1 , 8;56 1'23 199 '.4;1,.57 ,3. ,.:4 - 1992' ; . ,1'664:000'•. ' .979 174'' - '2V64.3 174, 1.4 7 ,.-89'j 58 , 7:9 - Y . . 2.. 1' r r.. - - ➢ - =r, _ t'~ _ j• - - !t. . w ' 7 ouce Comprehensive , Annual; Financial Reports of the _ Gity: _ $ " . , - . - _ - J ry '-y , - t' , . - k;. . 1 °.t i 1, 1. ..{c, - _ " - ' r - ; , ' • .F - _ I _ - - . - I. , t y t' . I .1: i j_ ` - , - _ + ti Y - - 't 65 . 4 4 - , - :I: ' 'ti _ s , , ' _ • ' . r CITY OF TIGARD, OREGON PROPERTY VALUE; .CONSTRUCTION AND. BANK DEPOSITS' ' n' ..for, the_ last'_ten fiscal years Commercial, Residential Fiscal Year' Coristruction(1 j / Construction(1) Ended " Number; of Number 'of Bank,Deposlts i June 30 Permits Value ` Permits' Value (in'thousands).(2)' 1983 ° 102: 3;940579: 244. 13,281;694 102,314 1984: 25, 4,079,306, 21 4 14,006,305 ° 118,124 1985' , 33 9;890;600 231 16,948;338 t F 129,152 1986 175,:, ' 12,746,938 432''. 26920.,055 1'42;031 1987. t69' 10,717,21-9'::'- 442 44,412;105 • 1.75;236' . 1988 228" 34 ,991-,735 fi33 •32,524,988.` 165;107 1989. . 212 21,;.189 454` . 604 35 826 025 N/A' 1990 :32Q 27,495,457 749 .,40,729,414 N/A*„ 1991 z: 62 27,985;499 '2 28;160,790. •N/A' 1992 37 31,498,832 218 24,259,243 NlA' (1)"'From City''of Tigard Building`Department (2) From State of Oregon'Department'of'.Commerc& Division of_Finance'and Corporate`Securities-'.: .information' not available i y - ~ 'CITY.OF .TIGARD; OREGON; PRINCIPAL_TAXPAYERS -June 30,_1992.. 7. ` • . Percentage' r ' OfTotal' r: Assessed, Assessed,'-, Taxpayer Type of. Business Valuation: Valuation'.;. Seiyu International Liricoln''CeriterkOffice..'Park' $ 54,042,;400 % Nesbitt Partners; Embassy Suites, Hotel r 'r ..40;307,800 S r• L qua a and Co.,,Ltd. Shopping Center 26,003,800 1;36, . GTE Northwest C mmyuni . o cations _ '18,109,490, 's- 95_ - acrf i c'`I3I P B • •iri *•Pa ea ' us ess `rk'`t - tY C6.'_,- ,15 902'470 .83 t~ Real.Estat6 !Equities Commercial Real Estate: 1'1;321,750 .59 •R6binson,:Chester L: -K61l'Business Center ''•1:0;435;8,00 :55 - D rh u am Park-'," hoin :S ',Center.: 9.495,900 - 50 1 i 1 79,2 z.. -Portland YGeneeAhElectric Power.0 erations".., 9 P r ,0 00,= , :48 VPFI Sunflower Limited arta ts-[:7.992 400•'; :'41. • Am` n Total Principal Taxpayers,. '202;69.1.,010'. ~1Q.61, Ali-' Qtti, er'Tax a ers 1;70 63 7 5 427=- :89:39' Total' $1,910;326;432- 100:00 ' Source:[ Cit Y of Ti9ard'Plannin9' DeRartment: • r ` 4'. tt l - 1 67 .F-GOO lcsd, CTfY' GRApHIC'STA 11scayeah - pEN10 ten' s-- . 'the last - - , . • for . " , C21 t unetoploymen essed - P rt and) ,..y ; A afue ~3~ N1etr0' Area af•YaXabl Soh meet' property' En'ro 9-$ ` - _ hj per Ce ita 6,56 Po.u 3$:,122 s 6s 6,3 iaCal Year 17 _ $50 ;42 qg6 , 7: -1983, 18 , 616- , 44, z ti 6,47`1 5:^3 198A 20,250 ?59.' 064, 7 >050 4'.5 198 41, % - 36 41, 1987 24 782 7"940", 1988 25 ,602 2 611 4 9 t - 5 •8,795 6:? - '19$94 27 ,050 `53,?57 ' 19g0 29 6 ; 58,15 32,835 :199A , CensUS Center format+on :Reseal gources of in Qoputat►on. :State. t 1n+vers+ty 1~, Po L bor Statistics: S ureau °i a 1 t2j , U B . - o D+sti+ct +jalatin sch i TigardR • - it •t 'r' _ . _ . - ~ CITY .OF TIGARD;' OREGON : - • - ~ ..MISCELLANEOUS STATISTICAL ~DdTA>•~~ ' • _ , . • .'Ja _ - - - _ - - r 4 7 r {T, . ~t . ~f - Date bf:incorporation•' ~ ~ ~ -<1961., ~ - - - - _ 'Form.of overriment~~ ~ : _ ~ ~ ~ • Council:-: Ma~ or~-.Admiriistratoc " 9 _ _ _ .Y.. `Area. • , _ - - ~ • 10.4.4`s uare •miles ~ - - - q - -j. - - JMiI ~ - . - - ~ _ , f _ t eets~ ~ z; ,104:miles Number, ofstreet•;li ~ tit`s' - i - _ •.Ci owned _ - ~:1 X48.5- - _ tY ~ • Ci maintained IPG•E.owned• ~ .1' . Police protection ~ . . - ~ - Y~ - P. - _ , Number.~of~stations. _ •~1 >y . Number of poJicemen,arid officers- - - • •.•50 ~ ~ .~t.. - •Y - - - - - - - - , f ~ - h- , ~i ducati ,n~: _ Atteniiance ~ceriters- . - - ~ _ X12 - - •t. - a ~ . - 'Numbe,r ofi'teactie~s~ - . _ . - .533 - . - - '1'~ Number of- students - ~ x•8,965 - ry e s- _ •-109.5 ~mile~s - '•i. n _ ' . . Storm aines.~ _ :1~`~mil - ~ ..n_ `i. _ •r. - - n~ ~ N ~ - - - - ~e dfc es:. 62:5 mil • - - , - . ` •4,,~. ` _ v r 1~ , `Building ~permits!issued.(1992)' ~,255~. ermits - 'y ,r 1 - ec ea i n n' J;• to a d:cu r Itu e: - 'rJ ' `,~i - ,~y,~' - Number of,~parRs ~ - . ~ - 1.5:• - : ~ - - - - .Number of libraries• ~ - - = ~ ~-1 ~ ~ ~ - ~ - N ri1 - . _ u ber 'f v• 1~ m 0 o u s ~im ( - _ 3,000' o umes~ - . _ _ - - - - _ P Y _ y. - Classified~`seniice ,`union - ~ ~ - ,z • - . ( `1.23`" - - ..z, . . ,'t. .i - >.47 .ri I I 1 - ~ . . 1J a U cassf ~d~~n~'n. ~ni n e o u 6 ( - - - Informatiori obta'iried from the _various:degartmenfs of the:.GitY of•tTigard;~ Oregon;.and Tigard/Tualati`n;School District;,,,„ 5 . ' I, ` i. _ ~Y: . ' l'. - l' i:• ~ ~ - - - - - . i • r . - _ y. Y _ .t` . ~ , t.' , -~i~.: ~l - - i- - _ J1 -t 't' - `.1 ~j` - , . ..1. - - 'J , - `-1 .t - . - .5 f • . ~ . ~ - ~I'• - •1 "'r - ~ - •f. ~ art ~ ~J`! ~ ~ y ~ ~ I. , . ~ - - ~ s. - - _ - L, - - r . r: 's.,', f / , * 1 ! i' h f - .Y... A . 1` . I, t r 1Jf. .:F. 1, ~r ,x... t 1• ' yr-v r, _ ')~i . I I. ' d .Y.. , is '`5,. +•1 , Y 1 I.., " t`ti AUjDIT COMMENT,S AND:DISCLOSURES ` t _r ~ - :REQUIRED; BY STATE REGULATIONS` ; ~ - , I f i . - - , . - ~ , - . , I - , . ; " ~ I F~ ~ , 1''s + k, Z 1 i, 1r , t jt S l j ' 11, . l . Y. ',i. fr. L •'ya t 3' t i` ,r. t.t r ~ " r.3, , I- Vf ( I1 ' T., ~ ~'.M1. . F J , ' -'t v - - i ~`k• I, i. , ^r, {r, r YY , Y+ { ` a'+. " - ~ i v - 1: 3 ' J, 1,f,! . l L rt s "1 t ,ti s i t e 1 T / .1 t d 1. . `-r S- } i., ` t 1 ..s r., ~I '1, t '..t 9 Zr 1; r' , '`r•. £ , }a. S { w 0 t ✓ i4• n t: ' r ` , f ~ti ''f 'eta r < . f. 4' 'f _ , 1. F' l 'fi .''f ! . } `Q J s F.. 1, , h MENTS ANO DfSC1 OSURE pupIT:.COM T S aY` STATE .REGULA ION? ` REQUIRE. 1 of edits ' Standards for a the . . ation with rate the.Minimum, er se s r 20' incorp°. in'.coop, lo 18210-3 of State', disc re the-Secretary ` comments and of .this resc~ibed:by 162A' 0-050 ttifough schedules,=. receding Seions tative,Rules These ncial staternents'standards, p. re set~fodh, in'the. P t s Oregon "Adrr►►n4s erat aj Corporations . e'tf1e .fina ch'staternent and schedules are set ; pregon,Municip , ; , . enum, and schedules a , u►red statements _ ACCO Oregon State, Board :ohs The req Y , our examination of su d es related.to.: fired in audit,rep° sand disclosur requ, R quire comment _ report,, a -f _ forth •followm9 , , , , ' . _ ` ~ • F , .~r ' 7 x.70 , . ' . ' AUDIT''COMMENTS:-AND, DISCLOSURES rl': n rol: Stru,y,.. tu Intern ail Cot c re: We Have "audited the generrail• purpose financial•statements:ofi the Cft of ~Ti ard; Ore9.on as•.of and for-the Xear Y 9 ended,June 30, 1992;and;have issued.our;report-,thereon-d_ated'September.,16,:'1992';lezcept for,Note'8'as to which the date1is 061:86er:30 19,92 ' a. 1 s We conducted.our audit :in,;accordance wifli r•generally accepted.:auditing standards and Government Auc(ifing . Standards, issued by`the Comptroller'Generaf:of'.t1ie lJnited. States,Those standards`'requice :thaf we;plan."and perform;the;audit.to obfain:reasonable, assurance.about wFiether the general purpose' financial''statements are free : of; -material misstatement. } In lannin 'anderformm 1our::audit.ofr th'e genera. - u §e financial statements:of theaCi of Ti and Ore on for p 9. . p 9 ge P !Po tY 9 „g, Ythe year endedJune'30,..1992, we. considered As'internal control.structure.Jri"order'fo determine.: our audifing'.r' rocedures for,tfie''purpose'ofexpressing: ,our, opinion: on the general purpose: financial<statements: and=.not to:: •..y; provide' assurance. on'the internal control structure. _ ,-'The:.managerhent of the,.,City of.Tigard,:Oregon, is responsible for establishing-,and'mainta'ining:an internal co,ntroi1',. ' structure ; In' fulfilling this` responsibility,-;estimates., And judgments, by management are. required to: assess-,the.:' ex pected..benefits:and• related costs of'~intemal'control stricture-policies'.and procedures.• The':objectives of an internal control structure: are. to provide management ;with reasonable, but: not, absolute,-assurance, that assets are, 'safeguarded-against loss: from unauthorized use or• disposition; and :that transactions are;ezecuted•-in accordance ° with' management's authorization and recorded`•pYoperly to, permit ;the preparation'ofgenetal'purpose financial statements.in;accordance-witfi generally,:accepted:accounting, principles..Because• of inherent-limitafions, in any ; r internal':coritiol structure, errors.,or•irregulardies`maynevertheless occur, and' not be. detected, ~Al'so,_ projection of any. evaluation°-of fhe.structure to future,'Periods is subject to ..the risk, that procedures may, become,inadequate-.., because of changes, in conditions•orthat.the eff ectiveness,of,-thedesign and operation of policies And procedures t may d"eteriorate + h ,f For the purpose of *this, report,we. have class'rfied the_ sign'rficant internal. confrof structure policies ,and procedures; in the. following "'categories: - ' - Revenue/receiP.is Rurcfiases/disbursements `Payroll S r`For:all;.of the:,66rnal,control.structure'categories;listed;above;,we:obtaihed an''understandin9.ofthe?desig of . relevant~policies-and, procedures and whether they have been placed in$operation, and weia""ssessed control risk ;Our.consideration of.the.internal.control structure would.not`:necessarily disclose•alf matters,'in:tfie:internal controC, tstructure 'that might tie material weaknesses•under standards`established by the American Institute of Cert'rfied - , f?ublic Accountants A material weakness': s condition;, n which ^the.design:or. operation of one ormore.of th'e:' ; ;internal control;structure elements.•doesrnot.reduce to-'a :relat'ivelylow, level-the risk .t ha terrors and irregularities-in . amounts that would be material -in 'relation to -the, general purposq,prianciaistatements being audited `may:occur'. ' and; not be:detected within a. timely period, by :employees in` the:'normal course 'of_.pertorming their assigned functions ,-W,e noted no, matters involving the;internat control structure'and;its operation's that'.we consider to be: material weaknesses as defined. above r Howev6r,:we noted.ceitainmatters involving..the-internal control `structure and its operation that.': have reported to the management of •t . e' City ofTigard, Oregon;-- in'a separate lette~'dated September:16, 1992: . ±`.r . This. reports intended for'the information,'of management, the State of Oregon,Secretary of.,State,' Divisionof ^ Audits:: However; threport is a;matter<ot public record and .its distribution is not limited: . • . . 71. ,S. s 1 :AUDIT- COMMENTS AND, DISCLOSURES,'(cont:) . , II. Other Comments and Disclosures: • 6 e have audited ,the general purpose' fin'ancial' statements of, the, City of ,Tigard; :Oregon as of .and for the year ended, June,.'30,.1992,• and.oue report.thereon Iis' included on Page 1. of this.,report. Our audit-.was conducted in accordance with generally accepted auditirig standards and the Minimum:Standards:for Audits of Oregon Municipal Corporations:. In-connection'with our:audit,'nothing,came toour attention that caused us to believethe City t. was no irncompliance:`. ,.with' OR8'294.305 to 294;520 in the.preparati6h-and,adoption,of,it`s.budget•andlax*Vies forthe fiscaLyears ended June 30;.1'992' and: June 30, 1993, the legal' requirements:relating.to debt, . •:'the -.appropriate law; :rules, and regulations- pertaining to pro grams funded':wholly 'or :partially, by other governmental; agencies, ' i'the cost accounting` guile lines developed by the State.of,Oregon Executive: epartm6ntwith'regardto;the.City's ' .cost,accounting.`'system' . • QRS 294.035.in the investment of -public monies,; the-collateral requirements for public fund deposits•,$pecrfied in ORS-Chapter 295 • ORS Chapter 271 in the:awarding of public contracts, and-the 'construction -of:pub'lic"improvements, ; ,except; the,Oeneral Fund'-appropriation for capital,projects.was'bverexpended by°$29,231`: r. , However;,. it should' be '.noted ?our-• ezaminafion`, was., not , directed 'primarily toward' obtaining knowledge of noncompliance with. such 'requirements: ; Additionally; we make the following other comments: ,••`.W,e-found the City's accounting records to be adequate:for:audit purposes:,'. ' We, reviewed the-City's,insurance-and fidelity'bond,cove rage at'June 30;-1992 and'ascertaihed'such policies appeared to be in force. we, are note competent -by_training to state whether the ;insurance policies covering-, City-owned property, in force at:June 30, 1992, are adequate.; ' ' CQOPERS & -YBRAND 1 _ . :By j John L. Dethrrian; a partner Portland,-=' September Oregon' 16,-1992 72 -4. •t , 4 ±r. ;r k. - - _ . - . 'P , 4.>' . , ` F'1 r. I 1" 'S ' " ,I T •y' "2 ..t It . ,'fi t, . t , - - - J, , ' r' '1. 1. j 1 4 -:R rf 1, ,T ..t I''. „P 'r yr , to , - _ _ . ' i - - - y . j ;t r , v - li' - - f•:: (This'page:lintentionally.'left'6&k-.), -r `r , I r ' T . I I - to 1. t '-T„ • . y , _ :i1. . •A' r.. _ ^A . 1 C. . - ' . 7 I[ , 1 ,1` - { k ` r t F-r , . L . /'4 ' _ _ .1 • _ . t Y t J ' . i- y < 1, I 'I, 1 'fir `1 , _ E r _ r . - - . - - .a 4 - , F' , " .1 - • • „l ` - _ r _ ` t - - - 5 - . , _ , 4 'l' - -f - : - r't '1 1-1 l I. / , - 'C - 1 h 4 't ; I 4. . : - . h., 5 ,t. - - I ' .s Y +l • _ - _ _4 , t, 4 . :1- rt . q - 1 .tk _ . - I "4 -.1 = I C;.