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04-29-2024 - Agenda Packet City of Rosemead Investment Committee Quarterly Meeting Agenda April 29, 2024 At 10:00 A.M. 8838 E. Valley Boulevard, Rosemead, CA 91770 Ben Kim, City Manager Richard Rojas, Assistant City Manager Bryan Chua, Finance Director Ericka Hernandez, City Clerk 1. CALL TO ORDER – 10:00 A.M. 2. ROLL CALL City Manager Kim Assistant City Manager Rojas Finance Director Chua City Clerk Hernandez 3. FINANCE COMMITTEE MEETING MINUTES - Approval of the January 29, 2023, Regular Meeting Minutes 4. STATUS REPORTS - Review of the Quarterly Cash and Investment Report ending on March 2024 5. ADJOURNMENT Finance Investment Committee Minutes of January 29, 2024 Page 1 of 1 CITY OF ROSEMEAD FINANCE INVESTMENT COMMITTEE QUARTERLY MEETING MINUTES JANUARY 29, 2024 1. CALL TO ORDER The quarterly meeting of the Rosemead City Finance Investment Committee was called to order by City Clerk Hernandez at 10:30 a.m. at Rosemead City Hall at 8838 E. Valley Boulevard, Rosemead, California. 2. ROLL CALL City Manager Kim, Finance Director Chua, and City Clerk Hernandez 3. FINANCE COMMITTEE MEETING MINUTES ACTION: Motion by City Manager Kim, seconded by Finance Director Chua to approve the October 27, 2023, regular meeting minutes. Motion was carried by the following votes: AYES: Kim and Chua. 4. STATUS REPORTS Review of Quarterly Cash and Investment Report ending on December 2023 The treasurer’s reports were reviewed by Finance Director Chua. 5. ADJOURNMENT The meeting was adjourned at 10:45 a.m. Respectfully submitted: Approved: __________________________ ____________________________ City Clerk City Manager CITY OF ROSEMEAD  Finance Department    MEMORANDUM      TO: Honorable Mayor and Members of the City Council  FROM: Bryan Chua, Finance Director/City Treasurer     DATE: April 29, 2024    SUBJECT: QUARTERLY CASH AND INVESTMENT REPORT – MARCH 2024      OVERVIEW  Both the Rosemead Municipal Code (§2.36.040) and the officially adopted Annual Investment  Policy mandate the submission of quarterly reports on invested cash to the City Council.   According to Section V of the City of Rosemead Investment Policy, which was approved by the  City Council on June 13, 2023, the Finance Director is required to submit quarterly investment  reports to the City Council within 31 days after the end of each quarter.  The report should consist  of a cover page (this memo), a graphical representation comparing the portfolio's composition  and maturity distribution, a list of individual investment transactions made during the quarter,  and specific details about each security.  The City of Rosemead Treasurer's Report for the second  quarter of FY 2023‐24 (March 31, 2024), which is included here, satisfies the reporting obligation  of the Investment Policy and the RMC.    According to Section 2.36 of the City's Municipal Code, the Investment Committee is obligated to  convene on a regular basis in order to assess the City's Investments.  In order to fulfill that  stipulation, the Investment Committee convened on April 29, 2024 to obtain a report on the  current condition of the City's cash and investments.  The Committee endorsed the City of  Rosemead Treasurer's Report in its original form.    ANALYSIS  The City holds funds in multiple banks, maintains deposits in the Local Agency Investment Fund  (LAIF), invests in Certificates of Deposits (CD), US Securities/Agencies, Corporate Bonds, and  money market accounts.  The attached report provides a comprehensive description of all items.   The cash stated in this report encompasses all funds within the City, including the Successor  Agency and the Housing Development Corporation.  The City operates using a 'pooled cash'  system, where all funds are combined for banking and investment purposes, while still  maintaining separate ownership of the cash for each individual fund.     Cash and Investment Report – March 2023  April 29, 2024  Page 2 of 2  The invested portion of the portfolio amounted to $72,912,400 for the quarter ending March  2024, representing a $4.2 million increase compared to the previous quarter.  Furthermore, this  rise can be attributed primarily to a significant portion of City revenues that are collected in the  months of January and May.  During the quarter, one Certificate of Deposit and one U.S.  Treasury reached its maturity date, and one U.S. Treasury security was redeemed. The  investments that were purchased include six Certificates of Deposits and three U.S. Treasury  Notes. Additionally, there were multiple instances of money being added to and taken out from  LAIF funds, leading to a total gain of $2.5 million in LAIF balances.  The investment activity is an  ongoing process of readjusting the portfolio in order to capitalize on the higher investment  returns available in the wider market for fixed income securities. Between March 31, 2023 and  March 31, 2024, the City's investment balance in fixed income securities increased from $18.4  million to $26.45 million. The average return rate also increased from 3.88% to 4.26%, resulting  in a 0.38% increase or 38 basis points. As indicated in the 'Comparative Data' section, the amount  of cash invested has shown an upward trend in the past year.  In March 2024, the total amount  of cash invested has increased by $229 thousand compared to March 2023.  This rise is due to  overall cash increases in almost all operating funds.  The aggregate amount of cash and  investments held by the banks on March 31, 2024 is $77,844,572, which is allocated as follows:                      The following chart provides a summary of the Invested Cash portfolio:      Non‐invested cash accounts refer to the funds held in bank accounts that are used for paying  weekly accounts payable, bi‐weekly payroll checks, and receiving City revenue.  The balances in  these accounts are usually adjusted to ensure that they are sufficient to cover any outstanding  checks and upcoming expenses.    ATTACHMENT  Cash and Investment Report – Quarter Ending March 2024  Investment Type Beginning  Balance Deposits/  Purchases Withdrawls/  Maturities Ending Balance LAIF $ 43,495,350 3,451,394          1,000,000          $ 45,946,744 Certificates of Deposit 9,699,000          1,368,000          246,000              10,821,000         US Securities 8,445,000          1,500,000          1,000,000          8,945,000           Corporate Bonds 6,930,000          6,930,000           Money Market ‐ Cantella 127,016              142,640              269,656               $ 68,696,366 6,462,034          2,246,000          $ 72,912,400 Total Cash and Investments Cash Deposits $ 4,932,172 Cash with Fiscal Agent ‐                       Invested Cash 72,912,400        $ 77,844,572 Non‐Invested Cash Accounts Bank  Statement  Amount Market Value BANK OPERATING ACCOUNTS (1) City ‐ BMO ‐ General Checking Account 4,269,810$      4,269,810$       City ‐ BMO ‐ Payroll Account 486,166           486,166            SA ‐ BMO ‐ General Checking Account 10,000             10,000              RHDC ‐ Angelus Security Deposit ‐ City National Bank 9,641               9,641                RHDC ‐ Angelus Operating Account ‐ City National Bank 18,325             18,325              RHDC ‐ Garvey Security Deposit ‐ City National Bank 27,577             27,577              RHDC ‐ Garvey Operating Account 110,654           110,654            TOTAL OPERATING ACCOUNTS 4,932,172$      4,932,172$       Cash with Fiscal Agent Statement  Amount Interest  Rate Market Value 2010A Tax Allocation Bonds: 2010A Reserve Account ‐ U.S. Bank ‐$varies ‐$ 2010A Debt Service ‐ U.S. Bank 0 varies 0 2016 Subordinate Tax Allocation Refunding Bonds: 2016 Interest Account ‐ U.S. Bank 0varies 0 2016 Reserve Account ‐ U.S. Bank   (Non‐cash Ins Policy)‐ ‐‐  TOTAL CASH WITH FISCAL AGENT ‐$‐$ Investments Purchase  Date Maturity  Date Original Cost Par Value Interest  Rate Estimated  Market Value LOCAL AGENCY INVESTMENT FUND L.A. I. F.  (State of California)45,946,744$   45,946,744$   4.12%45,946,744$    CERTIFICATES OF DEPOSIT Morgan Stanley Pvt Bk CD 2/14/19 2/14/24 Matured Matured Matured Matured Capital One Natl Assn VA CD 9/24/20 5/30/24 245,891 245,000 2.65% 243,836 Northern Bank & Trust 11/15/22 8/15/24 244,001 244,000 4.75% 243,480 Blupeak Credit Union 9/19/23 9/19/24 248,002 248,000 5.75% 248,335 Affinity Federal CU 11/1/23 10/31/24 248,002 248,000 5.80% 248,605 First Utd Bk &Tr Company 12/30/22 12/30/24 249,001 249,000 4.50% 247,733 Wells Fargo Bank Natl Assn CD 9/24/20 1/29/25 247,907 245,000 1.95% 238,608 Discover BK CD 6/1/22 6/2/25 245,002 245,000 3.10% 239,581 Goldman Sachs Bk USA CD 6/1/22 6/2/25 245,002 245,000 3.00% 239,304 BMO Bank 5/9/23 5/8/26 244,003 244,000 4.60% 242,904 Greenstate Credit Union 5/17/23 5/18/26 249,003 249,000 4.80% 248,930 CITY OF ROSEMEAD TREASURER'S QUARTERLY CASH and INVESTMENT REPORT SCHEDULE OF CASH AND INVESTMENTS As of March 31, 2024 (1)These are the actual bank account balances as of the end of the month. The amount reflects only checks that have cleared the bank and deposits received by the bank.  The balance does not reflect amounts required for outstanding checks or deposits in transit. LIQUID March 2024 ‐ Investment Report  Page 1  CITY OF ROSEMEAD TREASURER'S QUARTERLY CASH and INVESTMENT REPORT SCHEDULE OF CASH AND INVESTMENTS As of March 31, 2024 Investments (continued)Purchase  Date Maturity  Date Original Cost Par Value Interest  Rate Estimated  Market Value Alabama Credit Union 6/20/23 6/22/26 248,003 248,000 5.00% 249,096 Austin Telco Federal Credit Union 11/28/22 11/27/26 248,004 248,000 5.05% 250,140 Celtic Bank 12/19/22 12/21/26 249,004 249,000 4.20% 245,875 M&T Bank Corporation 1/20/23 1/20/27 244,003 244,000 4.00% 239,674 Texas Exchange Bank 2/24/23 2/24/27 248,003 248,000 4.10% 244,278 Global Federal Credit Union 5/12/23 5/12/27 249,003 249,000 4.60% 249,007 Chartway Federal CU 9/8/23 9/8/27 248,006 248,000 5.00% 251,916 Connexus Credit Union 9/26/23 9/27/27 248,003 248,000 5.05% 252,526 Ideal Cr Un Woodbury 12/29/22 12/29/27 249,003 249,000 4.50% 249,754 First Tech Federal Credit Union 2/3/23 2/3/28 248,003 248,000 4.35% 248,117 Liberty First 2/3/23 2/3/28 249,003 249,000 5.00% 248,704 Synchrony Bank 3/24/23 3/24/28 243,003 243,000 5.00% 248,667 American Express National Bank 3/29/23 3/29/28 244,004 244,000 4.75% 247,570 City National Bank 3/14/24 3/31/28 247,136 240,000 4.19% 251,131 Pitney Bowes Bank 8/31/23 4/13/28 243,460 245,000 4.50% 245,083 Morgan Stanley Bank NA 4/20/23 4/20/28 244,003 244,000 4.65% 243,946 HSBC Bank USA 8/31/23 4/21/28 239,616 249,000 4.50% 242,138 Univest National Bank 5/12/23 5/12/28 249,003 249,000 4.35% 249,112 CIBC Bank USA 5/16/23 5/16/28 244,003 244,000 4.35% 244,073 Medallion Bank 5/18/23 5/24/28 248,003 248,000 5.00% 248,226 First County Bank 5/26/23 5/26/28 123,003 123,000 5.00% 123,112 Numerica Credit Union 5/30/23 5/30/28 200,003 200,000 4.70% 205,540 Thread Bank 6/16/23 6/16/28 249,003 249,000 4.40% 256,903 Jefferson Credit Union 6/20/23 6/20/28 248,004 248,000 5.37% 250,272 Bank of the Sierra 8/31/23 8/18/28 244,003 244,000 4.50% 245,654 Freedom Northwest CU 9/19/23 9/19/28 248,003 248,000 5.65% 252,685 Empower Credit Union 9/29/23 9/29/28 248,003 248,000 5.10% 255,914 Dort Financial CU 10/10/23 10/10/28 246,003 246,000 5.00% 252,937 Utah First Federal CU 10/30/23 10/30/28 248,003 248,000 5.10% 256,117 Townebank 11/15/23 11/15/28 243,003 243,000 5.70% 243,352 Neighbors FCU 1/19/24 1/19/29 142,003 142,000 5.30% 141,033 MS Private Bank 2/16/24 2/16/29 244,004 244,000 4.65% 238,708 UBS Bank USA 2/28/24 2/28/29 249,003 249,000 4.20% 247,947 Spur Security Bank 3/27/24 3/12/29 244,004 244,000 4.20% 242,865 Morgantown B & T 3/22/24 3/22/29 249,004 249,000 4.15% 247,379 Sub‐Total 10,821,129$   10,821,000$   10,850,767$    March 2024 ‐ Investment Report  Page 2  CITY OF ROSEMEAD TREASURER'S QUARTERLY CASH and INVESTMENT REPORT SCHEDULE OF CASH AND INVESTMENTS As of March 31, 2024 U.S. TREASURY/AGENCY SECURITIES Investments (continued)Purchase  Date Maturity  Date Original Cost Par Value Interest  Rate Estimated  Market Value Federal Home Loan Bank 12/23/22 3/8/24 Matured Matured Matured Matured US Treasury Note ‐ Series J 3/24/22 3/31/24 250,000 250,000 2.13% 250,000 Federal Agriculture Mortgage Corp 12/22/22 12/5/24 500,901 500,000 4.81% 498,680 Federal Home Ln Mtg Corp Note 11/9/22 3/13/25 376,921 385,000 4.70% 380,195 Federal Natl Mtg Assn Note 9/28/23 5/22/25 499,004 500,000 5.25% 499,715 Federal Farm Cr Bks Bond 6/9/22 5/23/25 315,002 315,000 2.85% 307,947 Federal Home Loan Bank 4/19/23 7/18/25 271,456 275,000 4.21% 270,551 Federal Home Loan Mtg Corp Mtn 8/16/22 8/25/25 280,003 280,000 3.50% 274,274 Federal Home Loan Bank 8/23/22 8/25/25 250,003 250,000 4.06% 247,535 Federal Natl Mtg Assn Note 2/10/23 8/28/25 292,157 295,000 4.00% 290,731 Federal Home Loan Bank 11/16/22 4/29/26 480,006 500,000 4.26% 482,380 Federal Agriculture Mortgage Corp 6/22/23 6/12/26 375,003 375,000 5.28% 373,384 Federal Home Ln Mtg Corp 3/6/23 6/29/26 265,003 265,000 5.05% 263,662 Federal Home Loan Bank 11/29/22 9/21/26 498,756 500,000 4.57% 494,015 Federal Home Loan Bank 3/22/23 3/22/27 277,105 275,000 5.29% 275,028 Federal Home Ln Mtg Corp Note 2/22/23 6/17/27 220,003 220,000 5.13% 218,319 Federal Home Ln Mtg Corp Note 11/30/22 8/25/27 388,336 390,000 4.50% 384,154 Federal Home Loan Bank 11/15/22 9/14/27 491,361 500,000 4.40% 487,455 Federal Home Loan Bank 3/20/23 9/20/27 303,400 300,000 5.14% 299,514 Federal Home Ln Mtg Corp Note 2/21/23 2/7/28 Redeemed Redeemed Redeemed Redeemed Federal Home Ln Mtg Corp Note 10/18/23 7/18/28 384,041 385,000 5.06% 386,990 Federal Home Ln Mtg Corp Note 9/19/23 9/19/28 434,351 435,000 5.25% 433,621 Federal Home Ln Mtg Corp Note 10/16/23 10/16/28 249,379 250,000 5.31% 249,723 Federal Agriculture Mortgage Corp 1/24/24 11/28/28 506,141 500,000 4.93% 501,620 Federal Agriculture Mortgage Corp 2/8/24 1/22/29 499,214 500,000 4.08% 494,875 Federal Home Ln Mtg Corp Note 3/15/24 1/30/29 497,504 500,000 4.36% 493,995 Sub‐Total 8,905,045$      8,945,000$      8,858,362$       CORPORATE BONDS Wells Fargo Co Mtn Be 10/17/19 9/9/24 251,319 250,000 3.30% 247,620 Barclays Bank Plc Ser A Mtn 8/6/20 1/20/25 554,466 550,000 1.50% 530,640 Citigroup Global Mkts Hldgs In Ser N 7/31/20 7/31/25 800,002 800,000 1.10% 740,712 Capital Impact Partners Invt Mtn 9/24/20 9/15/25 250,002 250,000 1.00% 229,205 Morgan Stanley 11/23/22 1/27/26 489,376 500,000 4.60% 488,375 Berkshire Hathaway 12/23/22 3/15/26 486,454 500,000 4.03% 484,105 JP Morgan Chase 1/27/23 4/1/26 487,449 500,000 4.15% 484,160 US Bancorp 11/14/22 4/27/26 470,206 500,000 5.00% 479,545 Bank of NY 11/14/22 1/26/27 446,456 500,000 4.90% 463,350 Amazon Inc 12/22/22 8/22/27 477,929 500,000 3.15% 476,545 March 2024 ‐ Investment Report  Page 3  CITY OF ROSEMEAD TREASURER'S QUARTERLY CASH and INVESTMENT REPORT SCHEDULE OF CASH AND INVESTMENTS As of March 31, 2024 Investments (continued)Purchase  Date Maturity  Date Original Cost Par Value Interest  Rate Estimated  Market Value Toyota Motor Credit Corporation 11/22/22 9/20/27 498,901 500,000 4.55% 495,145 International Bank R & D 11/14/22 9/30/27 493,526 500,000 4.80% 488,110 Apple Inc 11/30/22 11/13/27 477,731 500,000 4.00% 475,030 Inter‐American Development Bank 2/24/23 2/24/28 579,714 580,000 4.38% 574,174 Sub‐Total 6,763,527$      6,930,000$      6,656,716$       CAMBRIDGE CASH HELD FOR INVESTMENTS 269,656$         269,656$         Varies 269,656$          TOTAL INVESTMENTS 72,706,101$   72,912,400$   72,582,245$    Market values are provided by statements from issuers March 2024 ‐ Investment Report  Page 4  CITY OF ROSEMEAD TREASURER'S QUARTERLY CASH and INVESTMENT REPORT SCHEDULE OF CASH AND INVESTMENTS As of March 31, 2024 Cash and Investments by Type Par Value % of Invested  Cash BANK ACCOUNTS ‐ non‐invested & FISCAL AGENT 4,932,172$       LAIF 45,946,744$    63% Not restricted CERTIFICATES OF DEPOSIT 10,821,000      15% No more than 30% of Portfolio U.S. TREASURY/AGENCY SECURITIES 8,945,000        12% No more than 70% of Portfolio CORPORATE BONDS 6,930,000        10% No more than 25% of Portfolio CANTELLA & CO., INC.269,656           0%      Total Investments 72,912,400$    100% Total ‐ Cash and Investments 77,844,572$     Cash and Investments by Agency Accts Par Value % of Total  Cash CITY 77,668,376$    100% Successor Agency 10,000              0% Housing Development Corporation 166,196           0%      Total Investments 77,844,572$    100% Pie Charts Reflecting Data Policy Restrictions by Investment Type LAIF 63% CERTIFICATES OF  DEPOSIT 15% U.S. TREASURY/AGENCY SECURITIES 12% CORPORATE BONDS 10% CAMBRIDGE 0% LAIF 78% 1 Yr 6% 2 Yr 8% 3 Yr 8% Investments by Category Investments by Maturity March 2024 ‐ Investment Report  Page 5  CITY OF ROSEMEAD TREASURER'S QUARTERLY CASH and INVESTMENT REPORT SCHEDULE OF CASH AND INVESTMENTS As of March 31, 2024 Comparative Data 4.12% 3.81% 3.42% 3.01% 2.63% 1.98% 1.29% 0.69% Policy Compliance Bryan Chua, Finance Director/City Treasurer Jun 2022 68,101,330 This is to certify that the above report accurately reflects all City investments and is in conformity with the City's 2023‐24 Investment Policy as approved by the City Council on June 13, 2023. A copy of the Policy may be found on the City's webpage at www.cityofrosemead.org or at the City Clerks Office. The cash and investments shown, along with anticipated revenues, provide sufficient cash flow liquidity to meet the next six month's estimated expenditures pending any unforeseen catastrophic events. Mar 2023 72,682,760 Dec 2022 65,246,521 Sep 2022 66,247,116 Dec 2023 68,696,366 Sep 2023 69,320,852 Jun 2023 76,667,839 Quarter End Invested Cash  (excl non‐invested) Average Quarterly LAIF  Effective Yields Mar 2024 72,912,400 0% March 2024 ‐ Investment Report  Page 6