Page 15 - FY 2021--22 Revenue Outlook
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were the cause of much of the decline, increasing delinquencies and tax relief
                   measures also contributed to shortfalls.

                   Other pandemic-related losses identified in current year revenue include reduced
                   city services and reimbursements across multiple departments (-$184.5 million);
                   decreased parking demand,  enforcement and parking-related receipts
                   (-$80.1 million); reduced earnings on investments ($9.0 million); and less
                   2019-20 operating revenue to fund the 2020-21 Power Revenue Fund transfer
                   ($5.7 million). Offsetting these sizeable revenue loses are smaller surpluses in
                   property tax increment, documentary transfer and residential taxes ($13.6
                   million), as well as other miscellaneous receipts ($2.3 million) that have not been
                   impacted by pandemic.

                   Federal relief funds has spared the City  from making drastic spending cuts to
                   address the $544.0 million shortfall. This  funding includes the transfer of
                   $125 million in CARES Act funding to the  General Fund to repay the Building
                   Permit Trust Fund for front-funding pandemic response efforts; $78.4 million in
                   estimated FEMA reimbursements for eligible disaster response expenditures;
                   and $677.3 million in ARP funds anticipated before the close of the fiscal year.


                   2021-22 Proposed General Fund Revenue

                   Total proposed General Fund revenue for 2021-22 is $7.33 billion, which
                   includes receipts from one-time federal funding sources totaling $703.3 million,
                   and represents an increase of 9.7 percent above adopted revenue and 4.5
                   percent above revised. Excluding one-time  federal receipts from the revised
                   2020-21 and proposed 2021-22 estimates,  total General Fund revenue for
                   2021-22 is closer to $6.63 billion, representing a decline of -0.8 percent from the
                   2020-21 adopted budget, but an  increase of 8.0 percent above the revised
                   estimates representing the recovery of the City’s core revenue base.

                   Federal funding included in the proposed budget includes FEMA reimbursements
                   for pandemic response efforts ($26.1 million) and the second  tranche of ARP
                   funding ($677.2 million). Other one-time  receipts include a $3 million Fire
                   Department grant for breathing apparatus equipment, $3.1 million in CRA/LA
                   property sale proceeds, $3 million in transit shelter income, and $2.4 million from
                   salvage sales and escheatments, to total $714.8 million.




















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