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HomeMy WebLinkAbout2021-07-07; Carlsbad Tourism Business Improvement District; ; Visit Carlsbad Annual ReportCARLSBAD TOURISM BUSINESS IMPROVEMENT DISTRICT Staff Report Meeting Date: July 7, 2021 Subject: Visit Carlsbad Annual Report Recommended Action Accept report from Visit Carlsbad for period ending June 30, 2021. Item Explanation The CTBID contracts with Visit Carlsbad to provide various tourism services. The contract requires Visit Carlsbad "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 year-end report for the fiscal year ending June 30, 2021. (Exhibit 1) The FY 2020-21 Profit and Loss for Visit Carlsbad submitted with the year-end report shows that Visit Carlsbad's spent a total of $564,425 of the total $800,000 budgeted. This decrease in spending was due to the decision by the Visit Carlsbad board to decrease spending and hold off on hiring staff for due to COVID-19. The contract states that "installments will be adjusted based on the approved actual expenses from the prior month". The disbursements to Visit Carlsbad from the CTBID for FY 2020-21 were $533,333. As shown in the attached report. there was $31,092 in unreimbursed funds at the end of the year. These funds will be disbursed in FY 2021-22 to fully reimburse Visit Carlsbad for their FY 2020-21 expenses. 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. Report from Visit Carlsbad for period ending June 30, 2021 EXHIBIT 1 VISIT CARLSBAD //5-ti Budget vs. Actuals lbw carlsbad July 2020 - June 2021 n Ac-ru Budget Difference I Income 701 CTBID Revenues 533,333.00 800,000.00 -266,667.00 Total 700 Public Sources $ 533,333.00 $ 800,000.00 -$ 266,667.00 Total Income $ 533,333.00 $ 300,000.00 -$ 266,667.00 Expenses 435 Workers Compensation 2,041.00 0.00 2,041.00 800 Labor Expenses 802 Salaries - Direct Labor 802.2 Visitor Services Manager 7,997.08 39,566.00 -31,568.92 802.3 Visitor Services Coordinator 1,799.91 11,459.00 -9,659.09 802.4 Volunteer - Paid 0.00 1,195.00 -1,195.00 802.5 Marketing Director 93,000.00 93,000.00 0.00 806.2 Salaries - Group 0.00 86,909.00 -86,909.00 Total 802 Salaries - Direct Labor $ 104,837.99 $ 232,129.00 -$ 127,291.01 803 Employee Benefits 13,259.00 0.00 13,259.00 803.1 Employee Paid Benefit 0.00 42,000.00 -42,000.00 Total 803 Employee Benefits $ 13,259.00 $ 42,000.00 -$ 28,741.00 806 Payroll Tax Expense 8,463.00 20,000.00 -11,537.00 Total 800 Labor Expenses $ 126,559.99 $ 294,129.00 -$ 167,569.01 804 Workmans Comp -1,602.00 4,000.00 -5,602.00 808 Group Sales Bonus 0.00 10,000.00 -10,000.00 900 Promotional Programs 902 Research 6,700.00 10,000.00 -3,300.00 903 OutsideServices 0.00 0.00 0.00 901.1 Spring Ad Campaign 20,527.00 903.1 Interactive Marketing 296,225.00 250,000.00 46,225.00 Total 903 OutsideServices $ 321,850.00 $ 250,000.00 $ 71,850.00 904 Travel & Entertainment 138.45 6,000.00 -5,861.55 905 Dues & Subscriptions 10,726.67 10,000.00 726.67 906 Collateral Prod. & Fulfillment 0.00 2,000.00 -2,000.00 907 Public Relations Events 0.00 10,000.00 -10,000.00 Total 900 Promotional Programs $ 332,715.12 $ 288,000.00 $ 44,715.12 908 Group Direct Services 908.1 Technology 0.00 9,000.00 -9,000.00 908.10 Coronavirus Recovery Marketing 0.00 40,000,00 -40,000.00 908.3 Memembership/Dues 0.00 2,621.00 -2,621.00 908.4 Group Incentive 9,000.00 50,000.00 -41,000.00 908.5 Sponsorship/Partnerships 15,141.48 20,000.00 -4,858.52 908.6 Marketing/Advertising 0.00 5,000.00 -5,000.00 908.7 FAMs 0.00 0.00 0.00 EXHIBIT 1 908.7.1 Site Inspections 0.00 5,000.00 -5,000.00 Total 908.7 FAMs $ 0.00 $ 5,000.00 -$ 5,000.00 908.8 Travel & Entertainment 0.00 9,500.00 -9,500.00 908.9 Tradeshows -8,500.00 35,000.00 -43,500.00 Total 908 Group Direct Services $ 15,641.48 $ 176,121.00 -$ 160,479.52 950 General Administration Expenses 951 Bank Service Charges 0.00 500.00 -500.00 952 Equipment Rental & Replacement 3,393.78 1,000.00 2,393.78 953 Facility Repairs & Maintenance 0.00 500.00 -500.00 954 General Liabilty Insurance 970.00 1,000.00 -30.00 956 Office Supplies 225.00 2,000.00 -1,775,00 957 Postage 7.20 100.00 -92.80 958 Taxes - General 120.64 150.00 -29.36 959 Telephone 4,907.74 10,000.00 -5,092.26 960 Professional Services 76,968.00 6,000.00 70,968.00 961 Volunteer Program 25.09 500.00 -474.91 962 Miscellaneous Expenses 1,436.83 1,000.00 436.83 963 Utilities 1,185.51 3,000.00 -1,814.49 964 Computer Expense 269.00 2,000.00 -1,731.00 Total 950 General Administration Expenses $ 89,508.79 $ 27,750.00 $ 61,758.79 Total Expenses $ 564,425.38 $ 800,000.00 -$ 235,574.62 Net Operating Income -$ 31,092.38 -$ 800,000.00 $ 768,907.62