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Item Coversheet Page 1 of 2 <br /> � <br /> Financial Management <br /> DATE: 12/13/2015 <br /> MEMO: Letter to the Decatur City Council Financial Management Department#2015-25 <br /> TO: Honorable Mayor Moore Wolfe and City Council Members <br /> FROM: Tim Gleason,City Manager <br /> Gregg D.Zientara,City Treasurer&Director of Finance <br /> SUBJECT: RESOLUTION AUTHORIZING THE CITY OF DECATUR TO PROVIDE AN <br /> INTERFUND CASH ADVANCE TO THE DECATUR PUBLIC TRANSIT SYSTEM <br /> FUND IN SUFFICIENT AMOUNT TO AFFECT A POSITIVE CASH POSITION AT THE <br /> CLOSE OF BUSINESS AS OF DECEMBER 31,2015 FOR THE PURPOSE OF FUNDING <br /> THE TRANSIT PAYROLL AND OTHER OPERATING EXPENSES UNTIL SUCH TIME <br /> THAT THE TRANSIT SYSTEM FUND RECEIVES THE STATE OF ILLINOIS <br /> DEPARTMENT OF TRANSPORTATION 2ND QUARTER OPERATING GRANT AND <br /> THE INTERFUND CASH ADVANCE IS REPAID IN FULL TO THE CITY OF <br /> DECATUR <br /> SUMMARY RECOMMENDATION: <br /> City Administration recommends City Council approval of the attached Council Resolution. <br /> BACKGROUND: <br /> The City of Decatur Public Transit is primarily funded through operating grants received from the State of Illinois Department of <br /> Transportation. <br /> The Council Resolution herewith is requested for approval as a precautionary measure in the event that the City of Decatur Public <br /> Transit System does not receive the State of Illinois Department of Transportation 2°d Quarter operating grant,which is on file with <br /> the State of Illinois and pending disbursement. <br /> Unless said operating grant is received before December 31, 2015, the Decatur Public Transit System Fund will end the City of <br /> Decatur 2015 fiscal year with a negative cash position. <br /> Government Accounting Standards Board("GASB")pronouncements require the Auditors in the fiscal period audit to site the City <br /> with a negative audit finding in the event of such occurrence,regardless of the reason for the negative cash position. <br /> Council approval of the Interfund Cash advance, in the event required, will place the City in compliance of GASB audit <br /> requirements. <br /> If the operating grant is received prior to December 31,2015,the Interfund Cash Advance will not be affected. <br /> The projected amount of the Interfund Cash Advance is on the order of$200k to $250k. The Interfund Cash Advance would be <br /> provided by the City of Decatur Water Operating Fund. <br /> POTENTIAL OBJECTIONS: there are no known objections to this resolution request. <br /> INPUT FROM OTHER SOURCES: <br /> No input from other sources. <br /> STAFF REFERENCE: Tim Gleason,City Manager Gregg D.Zientara,City Treasurer&Director of Finance <br /> BUDGET/TIME IMPLICATIONS: None. <br /> ATTACHMENTS: <br /> Description Type <br /> Resolution Resolution Letter <br /> https://decatur.novusagenda.com/AgendaWeb/CoverSheet.aspx?ItemID=372 12/21/2015 <br />