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Contra
TO: BOARD OF SUPERVISORS
FROM: Kenneth J. Corcoran
Auditor-Controller `s Costa
DATE: ST - . County
a coux
SUBJECT: Annual Report on Revolving and Cash Difference
Funds, Overage Fund, and Shortages
SPECIFIC REQUEST(S)OR RECOMMENDATION(S)&BACKGROUND AND JUSTIFICATION
RECOMMENDATION:
ACCEPT the Annual Report on Revolving and Cash Difference Funds, Overage Fund and
Shortages for fiscal year 2000-2001 from the County Auditor-Controller.
BACKGROUND:
Provisions of Government Code Sections 29321.1 and 29370.1 and Contra Costa County
Board of Supervisors' Resolution No. 92/525 authorize the County Auditor-Controller to
establish, increase, reduce or discontinue Revolving Funds and Cash Difference Funds.
Provisions of Government Code Sections 29380.1 and 29390.1 and Contra Costa County
Board of Supervisors' Resolution No. 83/1062 authorize the County Auditor-Controller to
replenish the Cash Difference Funds and to transfer money in the Overage Fund to the
General Fund.
This report is submitted with respect to these authorities and to conform with Government
Code Sections 29321.1, 29370.1, 29380.1 and 29390.1.
CONTINUED ON ATTACHMENT: SIGNATURE:
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�ECOMMENDATION OF C LINTY ADMINISTRATOR RECOMMENARD COM EE
APPROVE OTHER
SIGNATURE(S): r
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ACTION OF BOA 0 September 11- 2001APPROVE AS RECOMMENDED x OTHER
VOTE OF SUPERVISORS I HEREBY CERTIFY THAT THIS IS A TRUE
AND CORRECT COPY OF AN ACTION TAKEN
_UNANIMOUS(ABSENT Nona ) AND ENTERED ON THE MINUTES OF THE
BOARD OF SUPERVISORS ON THE DATE
AYES: NOES: SHOWN.
ABSENT: ABSTAIN:
ATTESTED September 11, 2001
CONTACT: JACK COOPER 646-2161 JOHN SWEETEN,CLERK OF THE BOARD OF
SUPERVISORS AND COUNTY
ADMINISTRATOR
CC: COUNTY AUDITOR-CONTROLLER
BY DEPUTY
_ ,f
Office of
COUNTY AUDITOR-CONTROLLER
Contra Costa County
Martinez, California
August 1, 2001
TO: Honorable Board of Supervisors
FROM: Kenneth J. Corcoran, Auditor-Controller
By: Stephen Ybarra, Assistant Auditor-Controller
SUBJECT: Annual Report on Revolving and Cash Difference Funds, Overage Fund, and Shortages
Provisions of Government Code Sections 29321.1 and 29370.1 and Contra Costa County Board of
Supervisors' Resolution No. 92/525 authorize the County Auditor-Controller to establish, increase,
reduce or discontinue Revolving Funds and Cash Difference Funds.
Provisions of Government Code Sections 29380.1 and 29390.1 and Contra Costa County Board of
Supervisors'Resolution No. 83/1062 authorize the County Auditor-Controller to replenish the Cash
Difference Funds and to transfer money in the Overage Fund to the General Fund.
With respect to these authorities and to conform with Government Code Sections 29321.1, 29370.1,
29380.1 and 29390.1, we submit this report showing the details of the following balances as of
June 30, 2001.
Revolving and Cash Difference Funds
within the County General Fund $ 352,945.00
Other Revolving Funds 43,274.68
Overages 1,119.86
Shortages 1,622.47
Revolving and Cash Difference Funds within General Fund 100300
Account# Title Amount
0020-0004 Building Inspection Petty Cash $ 1,600.00
0020-0005 Probation Petty Cash 4,900.00
0020-0006 Policy and Innovation Institute Petty Cash 100.00
0020-0008 Sheriff-Coroner Petty Cash 2,615.00
0020-0009 Employment and Human Services (EHS) Petty Cash 12,000.00
0020-0011 In Home Support Services Petty Cash 3,000.00
0020-0012 Public Works Petty Cash 3,640.00
0020-0013 Human Resources Petty Cash 700.00
0020-0014 Agriculture Petty Cash 450.00
0020-0015 General Services Petty Cash 630.00
0020-0016 Treasurer-Tax Collector Petty Cash 695.00
0020-0017 County Counsel Petty Cash 50.00
0020-0019 County Administrator Petty Cash 100.00
0020-0023 County Clerk-Recorder Petty Cash and Cash Difference Fund 1,140.00
0020-0026 Office of Revenue Collection Petty Cash 500.00
0020-0027 Health Services Petty Cash 1,000.00
0020-0029 Community Development Petty Cash 175.00
0020-0032 Auditor-Controller Petty Cash 100.00
0020-0035 Community Services Petty Cash 2,400.00
0020-0037 District Attorney Petty Cash 11,550.00
0020-0039 Public .Defender Petty Cash 1,000.00
0020-0041 Office of Emergency Services Petty Cash 100.00
0020-0042 EHS Private Industry Council Petty Cash 400.00
0020-0043 Animal Services Petty Cash 950.00
0020-0044 Cooperative Extension Petty Cash 100.00
0020-0045 Veterans' Resources Center Petty Cash 50.00
0020-0046 Assessor Petty Cash 100.00
0020-0047 Child Support Services Petty Cash 700.00
0020-0049 EHS Immediate Need Imprest Fund 300,000.00
0020-0051 Public Administrator Petty Cash 2,000.00
0020-0052 Training Institute Petty Cash 200.00
Total $ 352,945.00
2
Other RevolvingFnds
Fund and Account# Title Amount
120600-0020 County Library Petty Cash $ 2,460.00
131100-0010 Treasurer-Tax Collector Cash Difference Fund (2,335.32)
140100-0020 Airport Enterprise Petty Cash 400.00
145000-0020 Hospital Enterprise Petty Cash 30,000.00
200300-0020 Bethel Island Fire District 100.00
202000-0020 CCC Fire Protection 500.00
248900-0020 County Service Area M-17 Petty Cash 1,500.00
265100-0020 County Service Area P-1 Petty Cash 4,000.00
276000-0020 County Service Area R-10 Petty Cash 1,500.00
816100-0020-0048 Law Library Trust Petty Cash 150.00
817900-0020 Children and Families Trust Petty Cash 5,000.00
Total $ 43,274.68.
3
Overages
Overage Fund 810900
Account# Title Amount
OF 5000209 Office of Revenue Collection $ 9.89
OF 5000355 County Clerk-Recorder 440.14
OF 5000366 Animal Services 76.63
OF 5000378 Patient Accounting 119.56
OF 5000380 Clerk Elections 17.38
Fund#
120600-0621 County Library* 456.26
Total $ 1,119.86
Overages were transferred to General Fund Revenue on July 31,2001 as permitted by Government Code Section 29380.1.
*Library overages have been deposited to the County Library Fund.
4
Shortages
Fund and Account # Title Amount
100300-0015 Treasurer-Tax Collector $ 200.00
100300-0026 Office of Revenue Collection 581.59
100300-0043 Elections 41.00
100300-0255 Sheriff-Coroner 25.43
100300-0355 County Clerk-Recorder 138.75
100300-0450 Health Services 160.00
100300-0540 Health Services Hospital Enterprise 271.48
100300-0650 Public Works 8.00
120600-0620 County Library 141.66
8109000F5000377 Hospital Pharmacy 54.56
Total $ 1,622.47.
Shortages,except for the Hospital Pharmacy shortage which is in a cash difference fund,were replenished during fiscal
year 2000-2001 in accordance with Government Code Section 29390.1. The Hospital Pharmacy shortage was not
submitted for replenishment because it may be offset by specific overages.
KJC/TVH
0105RAR1.I)OC
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