FY27 Proposed Budget
Goals, objectives, and performance measures
Partnerships and Engagement
Strategic Plan Value:
Maintain the City’s Overall Sustainable Financial Health.
Department Goal:
Maintain the City’s Aaa Bond Rating.
Department Objective:
Performance Measure:
FY 2026 Projected
FY 2027 Estimate
FY 2023
FY 2024
FY 2025
Moody’s Aaa Bond Rating (maintained) Long-Term Liabilities Ratio (Under 300%) Available Fund Balance Ratio (Over 50%)
Yes
Yes
Yes
Yes
Yes
125.7% 103.6% 127.6%
122.8% 106.4% 124.4%
135.9% 114.0% 131.3%
161.0% 86.2% 103.2%
169.2% 83.8% 98.3%
Available Cash Ratio (Over 50%)
Partnerships and Engagement
Strategic Plan Value:
Accurate and Timely Financial Reporting.
Department Goal:
Earn the GFOA Distinguished Budget Presentation Award.
Department Objective:
Performance Measure:
FY 2026 Projected
FY 2027 Estimate
FY 2023
FY 2024
FY 2025
Budget Award
Yes
Yes
Yes
Yes
Yes
Partnerships and Engagement
Strategic Plan Value:
The City of Iowa City’s investment objectives are safety, liquidity and yield. The primary objective of the City of Iowa City’s investment activities is the preservation of capital and the protection of investment principal. In investing public funds, the City’s cash management portfolio is designed with the objective of regularly exceeding the average return on the six month U.S. Treasury Bill. The Treasury Bill is considered a benchmark for riskless investment transactions and therefore comprises a minimum standard for the portfolio’s rate of return.
Department Goal:
Department Objective:
Performance Measures:
FY 2026 Projected
FY 2027 Estimate
FY 2023
FY 2024
FY 2025
Quarterly Return on Investment
First Quarter
1.71%
4.04%
4.68%
3.90%
3.40%
Second Quarter
2.57%
4.32%
4.20%
3.70%
3.40%
Third Quarter
3.30%
4.38%
3.70%
3.60%
3.30%
Fourth Quarter
3.94%
4.51%
3.73%
3.50%
3.30%
Rolling Average Return on the Six Month
FY 2026 Projected
FY 2027 Estimate
FY 2023
FY 2024
FY 2025
U.S. Treasury Bill (prior 365 days)
First Quarter
1.42%
4.84%
5.26%
4.25%
3.75%
Second Quarter
2.52%
5.35%
5.00%
4.00%
3.50%
Third Quarter
3.59%
5.35%
4.75%
4.00%
3.50%
Fourth Quarter
4.24%
5.41%
4.48%
3.75%
3.25%
82
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