This document provides a summary of the City's finances for the 2nd quarter of fiscal year 2014. General Fund revenues were $43.5 million or 48.8% of budget. Expenditures totaled $40.8 million or 45.8% of budget, resulting in a $2.7 million surplus. Several revenue sources like property tax and state income tax were performing close to or above budget. Expenditures have been held below budget targets. Enterprise funds like parking and water were below revenue targets but expenditures were also lower than planned. Overall the 2014 budget appears stable barring changes in external factors. The document also outlines the budget calendar for fiscal year 2015.