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HomeMy WebLinkAboutFin Successor Agency Quarterly Investment Report____________________________________________________________________________________ FOR CITY CLERK ONLY Council Meeting: February 5, 2024 Disposition: Accepted report Agenda Item No: SA 1.a Meeting Date: February 5, 2024 SUCCESSOR AGENCY TO THE REDEVELOPMENT AGENCY AGENDA REPORT Department: Finance Department Prepared by: Paul Navazio, Finance Director City Manager Approval: ________ TOPIC: SUCCESSOR AGENCY QUARTERLY INVESTMENT REPORT SUBJECT: ACCEPTANCE OF SUCCESSOR AGENCY QUARTERLY INVESTMENT REPORT FOR THE QUARTER ENDING DECEMBER 31, 2023 RECOMMENDATION: Accept investment report for the quarter ending December 31, 2023, as presented. BACKGROUND: Pursuant to the State of California Government Code Section 53601 and the City’s investment policy, last approved by the City Council on June 21, 2022, staff provides the governing body a quarterly report on the Successor Agency's investment activities and liquidity. ANALYSIS: The Successor Agency checking account had a balance of $148,342 as of the quarter ending December 31, 2023. FISCAL IMPACT: No financial impact occurs by adopting the report. RECOMENDATION: Accept investment report for the quarter ending December 31, 2023, as presented. ATTACHMENT: 1.Successor Agency Cash & Investment Report October through December 31, 2023. SAN RAFAEL CITY COUNCIL AGENDA REPORT / Page: 2 TREASURER’S CERTIFICATION I CERTIFY THAT ALL INVESTMENTS MADE ARE IN CONFORMANCE WITH SUCCESSOR AGENCY’S APPROVED INVESTMENT POLICY AND STATE INVESTMENT REGULATIONS. THE SUCCESSOR AGENCY HAS SUFFICIENT LIQUIDITY TO MEET ALL OF THE OBLIGATIONS REQUIRED DURING THE NEXT SIX-MONTH PERIOD, SUBJECT TO OVERSIGHT BOARD APPROVAL OF OBLIGATIONS AND THE SUBSQUENT TIMELY COUNTY DISBURSEMENT OF FUNDS. Paul Navazio Finance Director SUCCESSOR AGENCY TO SAN RAFAEL REDEVELOPMENT AGENCY CASH and INVESTMENTS QUARTER ENDED 12/31/2023 PURCHASE MATURITY YIELD PURCHASE PAR MARKET Days to % OF AS ISSUER TYPE DATE DATE PRICE VALUE VALUE Maturity TOTAL OF CASH ACCOUNTS: WESTAMERICA DD N/A N/A 253,496.76$ 253,496.76$ 253,496.76$ 1 100.00%5/31/2023 WESTAMERICA DD N/A N/A 123,234.31$ 123,234.31$ 123,234.31$ 1 100.00%6/30/2023 WESTAMERICA DD N/A N/A 123,234.31$ 123,234.31$ 123,234.31$ 1 100.00%9/30/2023 WESTAMERICA DD N/A N/A 148,342.31$ 148,342.31$ 148,342.31$ 1 100.00%12/31/2023 TOTAL INVESTMENTS 148,342.31$ 148,342.31$ 148,342.31$ TOTAL INVESTMENTS -$ -$ -$ TOTAL CASH & INVESTMENTS - QUARTER-END BALANCE 148,342.31$ 148,342.31$ 148,342.31$ 100.00% % Portfolio held 1 year or less 100% TYPE: DD - Demand Deposit https://cityofsanrafael-my.sharepoint.com/personal/pauln_cityofsanrafael_org/Documents/Documents/Departments/Finance/Investments/FY23-24 Q2 Invest Reports/SA Investment Worksheet 12-31-2023