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HomeMy WebLinkAbout2019-01-16; Carlsbad Tourism Business Improvement District; ; Visit Carlsbad FY 2018-19 Mid-Year Update AB 1-19-172CARLSBAD TOURISM BUSINESS IMPROVEMENT DISTRICT AGENDA BILL AB# 01-19-172 CTBID STAFF MTG. 1-16-19 Visit Carlsbad GENERAL FY 2018-19 COUNSEL Mid-Year Update RECOMMENDED ACTION: Receive report. ITEM EXPLANATION: . { \ ;t,., The CTBID contracted with Carlsbad Convention and Visitors Bureau ("VisitCarlsbad") to provide various tourism services. The contract requires VisitCarlsbad "To provide periodic updates at the CTBID's request and a year-end report on the program of work deliverables which shall include an accounting of funds spent by program in a format approved by the CTBID Board. Allocation of the unspent funds shall be determined by the CTBID Board." Attached is the mid-year Profit and Loss report for the fiscal year ending June 30, 2019 (Exhibit 1). This is an information only item and no action is required of the CTBID. FISCAL IMPACT: None. ENVIRONMENTAL IMPACT: This action does not qualify as a project under the California Environment Quality Act ("CEQA") and will not have a physical adverse effect on the environment. (CEQA Regulation 15378(b). EXHIBITS: 1. Visit Carlsbad FY 2018-19 Profit and Loss as of December 31, 2018. DEPARTMENT CONTACT: Cheryl Gerhardt, 760-602-2468, cheryl.gerhardt@carlsbadca.gov S Vfs1r.. Scarlsbad Visit Carlsbad Profit & Loss Report December-18 2018 2017 Dec-18 Total Total Bud&et Variance Income 700 Public Sources 701 CTBID Revenues 83,161.79 110,811.00 105,550.00 (22,388.21) Total 700 Public Sources $ 83,161.79 $ 110,811.00 $ 105,550.00 $ (22,388.21) 705 Private Sources 708 Adv. Sales/Commissions 23.45 Total 705 Private Sources $ 23.45 $ 0.00 Total Income $ 83,161.79 $ 110,834.45 $ 105,550.00 $ (22,388.21) Expenses 800 Labor Expenses 801 Salaries • Officers 8,328.34 8,085.54 8,328.33 0.01 802 Salaries • Direct Labor 802.2 Visitor Services Manager 3.216.76 3,061.82 3.216.75 0.01 802.3 Visitor Services Coordinator 1,456.00 869.61 893.33 562.67 802.4 Volunteer. Paid 390.61 63.00 166.67 223.94 802.5 Marketing Director 6,866.66 6,666.66 6,866.67 (0.01) 802.7 Sales Coordinator 612.00 1,341.67 (729.67) Total 802 Salaries• Direct Labor $ 12,542.03 $ 10,661.09 $ 12,485.09 $ 56.94 803 Employee Benefits 4,964.97 4,166.67 798.30 804 Workers Comp. insurance 806 Payroll Tax Expense (SUI, FUTA) 2,107.29 1,913.10 1,958.33 148.96 807 Salaries • Group 7,065.84 6,860.00 7,065.83 0.01 Total 800 Labor Expenses $ 35,008.47 $ 27,519.73 $ 34,004.25 $ 1,004.22 900 Promotional Programs 903 OutsldeServices 903.1 Interactive Marketing 10,412.61 27,909.58 18,000.00 (7,587.39) 903.3 Public Relatlons Services 9,166.00 9,166.67 (9,166.67) 903.4 PR Special Projects 372.55 Total 903 OutsideServices $ 10,412.61 $ 37,448.13 $ 27,166.67 $ (16,754.06) 904 Travel & Entertainment 36.21 525.00 (488.79) 905 Dues & Subscriptions 221.69 750.00 (750.00) 906 Collateral Prod. & Fulfillment 208.33 (208.33) 907 Public Relations Events 1,250.00 (1,250.00) Total 900 Promotional Programs $ 10,448.82 $ 37,669.82 $ 29,900.00 $ (19,451.18) 908 Group Direct Services 908.1 Technology -400.00 500.00 (500.00) 908.3 Memembershlp/Dues 500.00 (500.00) 908.4 Group Incentive 6,000.00 (6,000.00) 908.7 FAMs 18.00 1,500.00 (1,482.00) 908. 7 .1 Site Inspections 22.87 22.87 908.8 Travel & Entertainment 750.00 (750.00) 908.9 Tradeshows 23.50 6,500.00 (6,476.50) Total 908 Group Direct Services $ 64.37 -$ 400.00 $ 15,750.00 $ (15,685.63) 950 General Administration Expenses 951 Bank Service Charges 952 Equipment Rental & Replacement 953 Facility Repairs & Maintenance 954 General Llabllty Insurance 956 Office Supplies 957 Postage 958 Taxes • General 959 Telephone 960 Professional Services 981 Volunteer Program 962 Miscellaneous Expenses 963 Utilities 964 Computer Expense Total 950 General Admln Expenses Unapplled Cash Bill Payment Expense Total Expenses Net Operating Income Net Income lending Bank Balances 2018 Total 255.29 65.04 724.61 500.00 302.26 $ 1,847.20 $ 47,368.86 $ 35,792.93 $ 35,792.93 BID $115,581.00 Wednesday, Jan 02, 2019 02:39:30 PM GMT-8 -Cash Basis $ $ $ $ O~Hsbad 2017 Dec-18 Total Budget Variance 83.33 (83.33) 266.00 (10.71) 79.20 225.00 (159.96) 50.00 (50.00) 10.00 (10.00) 386.38 834.00 (109.39) 500.00 500.00 150.00 (150.00) 167.00 (167.00) 250.00 52.26 985.58 $ 2,535.33 $ (688.13) 65,755.13 $ 82,189.58 $ (34,820.72) 45,079.32 $ 23,360.42 $12,432.51 45,079.32 $ 23,360.42 $ 12,432.51