- Meeting Date:
- 10/17/2017
- Co-Submitter:
- Rick Tadder
- From:
- Sandy Corder, Revenue Director
Information
TITLE:
STAFF RECOMMENDED ACTION:
Executive Summary:
Financial Impact:
Each year, the City reserves funds, anticipating that there will be uncollectible accounts. The reserves are computed at the end of each fiscal year to project the potential write-off for the upcoming year. These are based on a calculation utilizing aged accounts, current year write-offs, as well as the consideration of anomalies and anticipated changes in procedures impacting collections.
In FY 2017, the amount reserved for Municipal Services, Miscellaneous Accounts Receivables, and Sales Tax approximated $345,000. To-date, staff has recommended write-offs for Municipal Services and Miscellaneous Accounts Receivables for FY17 in the amount of $81,849.88, The $7,374.54 for non-sufficient funds reflects .02% of the total reserved amount.
Policy Impact:
Connection to Council Goal, Regional Plan and/or Team Flagstaff Strategic Plan:
Strategic priority #3: Foster a resilient and economically prosperous city
1. Enhance the organization’s fiscal stability and resourcefulness.
2. Deliver outstanding services through a healthy environment, resources and infrastructure.
5. Continue to enhance community outreach and engagement.
Previous Council Decision on This:
Options and Alternatives:
2. Do not authorize the write-offs of uncollectible non-sufficient fund checks and continue collection efforts.
Background and History:
For FY 17, the City is writing off Insufficient Fund (NSF) Checks for the first time in five years. Many of the checks have undergone exhaustive research efforts by staff to locate the originator and/or apply the amounts owed to other municipal services accounts. As the remaining NSF dollar amounts and overall volume are typically small, the write-offs have not occurred on an annual basis. Instead, NSF check write-offs occur on an "as needed" basis.
Write-Off Year |
Number of Write-Off Accounts |
Amount of Write Off Dollars |
|---|---|---|
| FY12 | 83 | $4,566.55 |
| FY17 | 53 | $7,374.54 |
In FY 2017, the amount reserved for Municipal Services, Miscellaneous Accounts Receivables, and Sales Tax approximated $345,000. To-date, staff has recommended write-offs for Municipal Services and Miscellaneous Accounts Receivables for FY17 in the amount of $81,849.88, . The $7,374.54 for non-sufficient funds reflects .02% of the total reserved amount.