Budget to Actuals

Budget to Actuals: FY2021 (12/01/2020 – 11/30/2021)

Executive Summary:

  • All expenses in current year were covered by operational cash. No brokerage funds needed.
  • Expenses are anticipated to be 4.6% under budget ($923k).
  • All long term debt has been removed

Expense Outflow:

  • Salaries and benefits expected to increase due to inflation and retention of key employees
  • Lower project and professional service costs due to greater use of internal resources
  • Membership Engagement lower due to lack of in-person events

Successes:

  • Pension liability fully transferred
  • Digital course content delivered to members quickly with internal studio
  • New internal initiatives, like D&I, help keep SLA a leader in the industry

Learning Points:

  • Adjust to a work from home first work force and keeping morale high and team engaged
  • Create succession plan for senior staff.
2021 Budget to Actuals
1CASH INFLOWQ1-Q3 ActualQ4 Forecast2021 Forecast2021 BudgetVariance ($)Variance (%)
2Stamping Fee Revenue 22,978,362 9,521,63832,500,00029,200,0003,300,00011.3%
3
4Operating ExpenseQ1-Q3 ActualForecast Q42021 Forecast2021 BudgetVariance ($)
(-) Under Budget
Variance (%)
(-) Under Budget
5Salaries & Benefits 9,840,716 3,897,679 13,738,396 13,343,574 394,822 3.0%
6Temporary Help 81,525 46,000 127,525 20,000 107,525 537.6%
7Internship--- 75,000 (75,000)(100.00%)
8Employee Relations 76,774 45,600 122,374 152,860 (30,486)(19.94%)
9Rent 742,713 282,300 1,025,013 1,129,200 (104,187)(9.23%)
10Insurance 115,678 39,999 155,677 159,996 (4,319)(2.70%)
11Taxes 8,103 3,000 11,103 - 11,103 100.0%
12Telecom 379,989 134,475 514,464 479,700 34,764 7.2%
13Supplies 163,874 57,775 221,649 271,050 (49,401)(18.23%)
14Postage and Delivery 16,715 15,000 31,715 60,000 (28,285)(47.14%)
15Printing and Reproduction 3,814 9,900 13,714 39,400 (25,686)(65.19%)
16Travel 56,298 137,750 194,048 348,650 (154,602)(44.34%)
17Events 13,623 180,000 193,623 200,000 (6,377)(3.19%)
18Equipment Rental 45,117 20,001 65,118 80,004 (14,886)(18.61%)
19Computing & Network 102,465 58,000 160,465 259,000 (98,535)(38.04%)
20Document Management 30,315 2,250 32,565 22,200 10,365 46.7%
21Network 2,520 6,000 8,520 81,600 (73,080)(89.56%)
22Electronic Infrastructure-----0.0%
23Professional Services 379,116 299,250 678,366 855,720 (177,354)(20.73%)
24Software Support & Maintenance 215,611 273,500 489,111 702,000 (212,889)(30.33%)
25Communications Mediums 34,155 24,000 58,155 114,000 (55,845)(48.99%)
26Professional Development 93,810 96,900 190,709 340,715 (150,006)(44.03%)
27Contributions 63,143 43,000 106,143 160,000 (53,857)(33.66%)
28Dues and Subscriptions 131,009 28,120 159,129 170,611 (11,482)(6.73%)
29Membership Engagement 80,312 84,600 164,912 268,150 (103,238)(38.50%)
30Miscellaneous 1,664 50,300 51,964 126,200 (74,236)(58.82%)
31Bank Service Charges 46,338 13,400 59,738 33,600 26,138 77.8%
32Interest Expense-----0.0%
33Total Operating Expense 12,725,397 5,848,799 18,574,196 19,493,229 (919,033)(4.71%)
34
35Capital ExpendituresQ1-Q3 ActualForecast Q42021 Forecast2021 BudgetVariance ($)
(-) Under Budget
Variance (%)
(-) Under Budget
36CRM V1.0 36,450 213,550 250,000 250,000 -0.0%
37SLA Learning Center Diversification Enhancements 96,387 - 96,387 100,000 (3,613)(3.61%)
38SLA Learning Center - On-Demand Course Creation 48,077 11,923 60,000 60,000 -0.0%
39SLA Data Analytics 2.0 87,410 12,590 100,000 100,000 -0.0%
40Total Capital Expenditures 268,324 238,063 506,387 510,000 (3,613)(0.71%)
41
42Total Cash Outflow 12,993,721 6,086,862 19,080,583 20,003,229 ($922,646)(4.61%)