JUNE MONTHLY REPORT.PDF

Maricopa County — Formal (2025-07-04)

View PDF Item 61 Meeting page

Extracted text (via ocr_local) 5520 characters
John M. Allen, Treasurer

TREASURER’S OFFICE hil: //ipegnier dimicbpa.gov

DATE: July 10, 2025

TO: Thomas Galvin, Chairman,
Kate Brophy McGee, Vice Chair, District 3
Mark Stewart, Supervisor, District 1
Debbie Lesko Supervisor, District 4
Steve Gallardo, Supervisor, District 5

SUBJECT: Treasurer's monthly report for June 2025

In compliance with A.R.S. § 11-501, the Maricopa County Treasurer’s Office is submitting to
the Maricopa County Board of Supervisors the monthly financial report for all monies received
and disbursed, as well as the ending balance.

Submitted under oath,

equ d on

ngrid J. Garvey
Chief Deputy Treasurer

STATE OF ARIZONA ) ss.
COUNTY OF MARICOPA _ )

This instrument was acknowledged before me on this 10th day of July 2025, by Ingrid J. Garvey

Chief Deputy Treasurer of Maricopa County, State of Arizona, known to me to be the person whose

name is subscribed to the foregoing instrument and who acknowledged to me that they executed the

same for and on behalf of the State of Arizona for the purpose and consideration therein expressed.
_—

ran <i, _ JASMIN CHAIDEZ
— HA, Notary Public - State of Arizona
(ro) MARICOPA COUNTY
y'Commission Expires

Cominission # 646142.
Expires April 25, 2027

v
MARICOPA

COUNTY

TREASURER’S OFFICE

Inflows

Inflows

Financial Report

Month Ended June 2025

- Real and Personal Property Taxes
County and County Controlled Districts
Schoo! Districts

Community College District
Municipalities

Special Taxing Districts

Special Health Care District

Other

Total Inflows from Real and Personal Property Taxes

- Other Revenues

County and County Controlled Districts
School Districts

Community College District
Municipalities

Special Taxing Districts

Special Health Care District

Other

Total Inflows from Other Revenues

Total Inflows

Outflows

County and County Controlled Districts
School Districts

Community College District
Municipalities

Special Taxing Districts

Special Health Care District

Other

Total Outflows

Net Inflows/(Outflows)

Cash and Investments Reconciliation

Ending

Beginning balance - cash and investments
Net inflows/(outflows)

Change in amounts held for distribution
Rounding difference

Balance - Cash and Investments

$10,984,758
180,457,664
8,907,430
10,162,077
4,096,163
2,173,403
428,550
$217,210,045

$205,886,080
267,136,207
30,038
29,959
355,608
120,600,162
3,809,238
$597,847,292

$815,057,337

$230,247,135
719,789,373
125,949,696
153,402,302
50,418,235,
111,696,008

6,272,681

$1,397,775,430

($582,718,093)

$9,559,952,849
(582,718,093)
(22,092,339)
(1)

$8,955,142,416

Maricopa County Treasurer’s Office
Notes to the Financial Report

In compliance with ARS §11-501, the Maricopa County Treasurer's Office is submitting to the Maricopa
County Board of Supervisors the monthly Financial Report for all monies received and disbursed.

The Treasurer's Office serves the taxpayers and citizens of Maricopa County. The Treasurer's Office is
responsible for the billing and collection of both real and personal property taxes levied by the county and special
taxing districts (schools, municipalities, etc.). This includes receiving, processing, investing, and safeguarding of
public funds. Additionally, the Treasurer's Office has a fiduciary responsibility to serve as the bank

for school districts and special taxing districts within Maricopa County.

Accounting Policies:
The Treasurer's Office Financial Report is prepared on a cash basis of reporting. Under the cash basis,
receipts are recorded when received and disbursements are recorded when paid.

The County Treasurer records the resources it holds on behalf of others (school districts, fire districts, special
lighting improvement districts, etc.) in custodial funds as required by governmental accounting standards.

For the purpose of presenting information in the Financial Report, the financial transactions for the month have
been aggregated and condensed into a consolidated format as further described in the Inflow Consolidation and
Outflow Consolidation sections below.

The Financial Report is for information purposes only and has not been audited.

Reporting Entities:

Maricopa County and County Controlled Districts include Maricopa County and the County's Flood Control District,
Library District, and Stadium District.

School Districts include elementary school districts, high school districts, unified school districts, and vocational
school districts.

Community College District is the Maricopa County Community College District.
Municipalities include cities and towns that have authorized a property tax levy.

Special Taxing Districts include street lighting improvement districts, irrigation water districts, and various other
taxing districts.

Special Health Care District is the Maricopa County Special Health Care District.

Other includes miscellaneous transactions that are not grouped by the reporting entities above.

Inflow Consolidation:

Real and personal property taxes include the receipt of current and prior years taxes related to real and personal

property, educational state aid and state equalization, bond redemptions, in lieu payments, etc., as applicable.

Other revenues include fines, fees, penalties, revenue from federal and state resources, bond
issuance proceeds, etc., as applicable.

Outflow Consolidation:
Expenditures include warrants, electronic fund transfers, wire transfers, and other payments, used for payroll,
vendor payments, debt service requirements, etc., as applicable.