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File #: 25-0374    Version: 1 Name:
Type: New Business Status: Agenda Ready
File created: 6/30/2025 In control: Fire Protection District
On agenda: 7/22/2025 Final action:
Title: Fiscal Year 2024-25 Fourth Quarter Budget Status Report - Fontana Fire Protection District
Attachments: 1. Attachment No. 1- FY24-25 Fourth Quarter Budget Status Report - Fontana Fire District.pdf
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FROM:

Finance

 

SUBJECT:

Title

Fiscal Year 2024-25 Fourth Quarter Budget Status Report - Fontana Fire Protection District

End

 

RECOMMENDATION:

Recommendation

Approve the recommended Fontana Fire Protection District Fiscal Year 2024-25 Fourth Quarter Budget adjustments.

End

 

COUNCIL GOALS:

                     Improve public safety by increasing operational efficiency, visibility and availability.

                     Practice sound fiscal management by producing timely and accurate financial information.

                     Practice sound fiscal management by living within our means while investing in the future.

                     Practice sound fiscal management by fully funding liabilities and reserves.

                     Practice sound fiscal management by producing transparent information in a timely matter.

 

DISCUSSION:

Each year, the Fire Protection District (District) adopts a budget committing fiscal and staff resources to the accomplishments of its goals. During the year, actual revenues and expenditures are carefully monitored against the approved budget.

 

The current 2024-25 operating budget includes total sources (revenues and transfers in) of $79.5 million and total uses (expenditures and transfers out) of $121.1 million. The recommended budget includes an increase to total sources of $357,613 for a total of $79.8 million and an increase in total uses of $896,112 for a total of $122.0 million.

 

The Fourth Quarter Budget Report increases uses in the District operating budget, Fund 210 primarily due to an increase in current year transfers of $357,613 to Fund 610 for the City Hall Phase 1 - Fire Annex project. In Capital Projects, Fund 610, includes an increase in appropriations of $560,913 primarily related to the City Hall Phase 1 - Fire Annex project.

 

FISCAL IMPACT:

The fiscal impact associated with the approval of this item in an increase in total uses of $896,112 and an increase in total sources of $357,613 resulting in a net fund balance decrease of $538,499 million. Recommended changes are detailed in the attached report.

 

MOTION:

Approve staff recommendation.