Audit 344632

FY End
2024-08-31
Total Expended
$79.28M
Findings
0
Programs
77
Organization: City of Lincoln, Nebraska (NE)
Year: 2024 Accepted: 2025-03-04

Organization Exclusion Status:

Checking exclusion status...

Findings

No findings recorded

Programs

ALN Program Spent Major Findings
14.218 Community Development Block Grants/entitlement Grants $16.57M Yes 0
21.027 Covid-19 Coronavirus State and Local Fiscal Recovery Funds $15.29M Yes 0
14.239 Home Investment Partnerships Program $11.59M - 0
20.507 Federal Transit Formula Grants $2.49M - 0
21.023 Covid-19 Emergency Rental Assistance Program $2.35M Yes 0
20.526 Buses and Bus Facilities Formula, Competitive, and Low Or No Emissions Programs $2.15M - 0
14.905 Lead Hazard Reduction Demonstration Grant Program $2.07M - 0
10.557 Wic Special Supplemental Nutrition Program for Women, Infants, and Children $1.35M - 0
93.137 Community Programs to Improve Minority Health $1.29M - 0
97.044 Assistance to Firefighters Grant $1.24M - 0
97.083 Staffing for Adequate Fire and Emergency Response (safer) $1.22M - 0
17.259 Wioa Youth Activities $915,936 - 0
97.025 National Urban Search and Rescue (us&r) Response System $724,501 - 0
93.045 Special Programs for the Aging, Title Iii, Part C, Nutrition Services $617,950 - 0
93.044 Special Programs for the Aging, Title Iii, Part B, Grants for Supportive Services and Senior Centers $542,913 - 0
97.045 Cooperating Technical Partners $516,722 - 0
93.566 Refugee and Entrant Assistance State/replacement Designee Administered Programs $484,930 - 0
20.205 Highway Planning and Construction $481,966 - 0
93.045 Covid-19 Special Programs for the Aging, Title Iii, Part C, Nutrition Services $477,550 - 0
93.044 Covid-19 Special Programs for the Aging, Title Iii, Part B, Grants for Supportive Services and Senior Centers $448,709 - 0
17.258 Wioa Adult Program $404,254 - 0
20.519 Clean Fuels $380,721 - 0
93.870 Maternal, Infant and Early Childhood Home Visiting Grant $357,465 - 0
93.069 Public Health Emergency Preparedness $321,126 - 0
16.710 Public Safety Partnership and Community Policing Grants $314,595 - 0
14.191 Multifamily Housing Service Coordinators $268,954 - 0
93.997 Assisted Outpatient Treatment $230,361 - 0
17.278 Wioa Dislocated Worker Formula Grants $199,235 - 0
97.151 Fire Prevention & Safety $181,581 - 0
16.575 Crime Victim Assistance $171,530 - 0
93.268 Covid-19 Immunization Cooperative Agreements $166,274 - 0
95.001 High Intensity Drug Trafficking Areas Program $161,413 - 0
93.103 Food and Drug Administration Research $158,361 - 0
14.267 Continuum of Care Program $158,125 - 0
66.818 Brownfields Multipurpose, Assessment, Revolving Loan Fund, and Cleanup Cooperative Agreements $155,291 - 0
16.738 Edward Byrne Memorial Justice Assistance Grant Program $153,954 - 0
93.967 Centers for Disease Control and Prevention Collaboration with Academia to Strengthen Public Health $145,607 - 0
97.039 Hazard Mitigation Grant $138,617 - 0
66.468 Drinking Water State Revolving Fund $135,213 - 0
14.401 Fair Housing Assistance Program $127,077 - 0
14.231 Emergency Solutions Grant Program $118,979 - 0
14.276 Youth Homelessness Demonstration Program $113,677 - 0
93.052 Covid-19 National Family Caregiver Support, Title Iii, Part E $106,814 - 0
66.605 Performance Partnership Grants $103,437 - 0
93.268 Immunization Cooperative Agreements $103,325 - 0
16.922 Equitable Sharing Program $101,078 - 0
20.509 Formula Grants for Rural Areas and Tribal Transit Program $99,265 - 0
93.658 Foster Care Title IV-E $98,157 - 0
93.898 Cancer Prevention and Control Programs for State, Territorial and Tribal Organizations $87,279 - 0
14.228 Community Development Block Grants/state's Program and Non-Entitlement Grants in Hawaii $79,502 - 0
93.323 Epidemiology and Laboratory Capacity for Infectious Diseases (elc) $79,271 - 0
81.128 Energy Efficiency and Conservation Block Grant Program (eecbg) $75,023 - 0
17.260 Wia Dislocated Workers $73,205 - 0
20.616 National Priority Safety Programs $61,506 - 0
93.053 Nutrition Services Incentive Program $60,531 - 0
93.136 Injury Prevention and Control Research and State and Community Based Programs $50,000 - 0
66.034 Surveys, Studies, Research, Investigations, Demonstrations, and Special Purpose Activities Relating to the Clean Air Act $48,696 - 0
93.391 Activities to Support State, Tribal, Local and Territorial (stlt) Health Department Response to Public Health Or Healthcare Crises $44,484 - 0
15.904 Historic Preservation Fund Grants-in-Aid $43,931 - 0
93.991 Preventive Health and Health Services Block Grant $37,830 - 0
20.600 State and Community Highway Safety $36,537 - 0
93.332 Cooperative Agreement to Support Navigators in Federally-Facilitated Exchanges $34,074 - 0
93.940 Hiv Prevention Activities Health Department Based $32,865 - 0
93.946 Cooperative Agreements to Support State-Based Safe Motherhood and Infant Health Initiative Programs $29,982 - 0
93.575 Child Care and Development Block Grant $28,113 - 0
93.197 Childhood Lead Poisoning Prevention Projects, State and Local Childhood Lead Poisoning Prevention and Surveillance of Blood Lead Levels in Children $26,590 - 0
93.870 Covid-19 Maternal, Infant and Early Childhood Home Visiting Grant $22,735 - 0
30.002 Employment Discrimination_state and Local Fair Employment Practices Agency Contracts $15,200 - 0
93.116 Project Grants and Cooperative Agreements for Tuberculosis Control Programs $15,019 - 0
93.043 Special Programs for the Aging, Title Iii, Part D, Disease Prevention and Health Promotion Services $14,631 - 0
93.994 Maternal and Child Health Services Block Grant to the States $13,180 - 0
93.318 Protecting and Improving Health Globally: Building and Strengthening Public Health Impact, Systems, Capacity and Security $12,000 - 0
93.421 Covid-19 Strengthening Public Health Systems and Services Through National Partnerships to Improve and Protect the Nation’s Health $9,364 - 0
93.667 Social Services Block Grant $6,434 - 0
93.236 Grants to States to Support Oral Health Workforce Activities $4,866 - 0
93.283 Centers for Disease Control and Prevention Investigations and Technical Assistance $323 - 0
45.310 Grants to States $41 - 0

Contacts

Name Title Type
H6DFKBPHK6U6 Melinda Jones Auditee
4024418302 Abby Dobson Auditor
No contacts on file

Notes to SEFA

Title: Reporting Entity Accounting Policies: 1. The accompanying schedule of expenditures of federal awards (the “Schedule”) includes the federal award activity of the City of Lincoln, Nebraska (the City) under programs of the federal government for the year ended August 31, 2024. The City for purposes of the Schedule, includes all funds of the City as defined in Note 1 of the Notes to the Financial Statements, including Lincoln Electric System, Lincoln Water System, and Lincoln Wastewater System. Lincoln Electric System (LES) operates on a calendar year basis for reporting purposes as opposed to the August 31 fiscal year basis of the City. As a result, the amounts included in the City’s August 31, 2024, basic financial statements for LES are audited amounts as of and for the year ended December 31, 2023. The information in this schedule is presented in accordance with the requirements of Title 2 U.S. Code of Federal Regulations Part 200, Uniform Administrative Requirements, Cost Principles, and Audit Requirements for Federal Awards (Uniform Guidance). Therefore, some amounts presented in this Schedule may differ from amounts presented in or used in the preparation of the basic financial statements. Because the schedule presents only a selected portion of the operations of the City, it is not intended to and does not present the financial position, changes in net position or cash flows of the City. 2. Expenditures reported on the Schedule are reported on the modified cash basis of accounting. Such expenditures are recognized following the cost principles contained in the Uniform Guidance or other applicable regulatory guidance, wherein certain types of expenditures are not allowable or are limited as to reimbursement. Negative amounts shown on the Schedule represent adjustments or credits made in the normal course of business to amounts reported as expenditures in prior years. The City has elected not to use the 10 percent de minimis indirect cost rate allowed under the Uniform Guidance. Federal awards provided to subrecipients are treated as expenditures when paid to the subrecipient. De Minimis Rate Used: N Rate Explanation: The City has elected not to use the 10 percent de minimis indirect cost rate allowed under the Uniform Guidance. The accompanying schedule of expenditures of federal awards (the “Schedule”) includes the federal award activity of the City of Lincoln, Nebraska (the City) under programs of the federal government for the year ended August 31, 2024. The City for purposes of the Schedule, includes all funds of the City as defined in Note 1 of the Notes to the Financial Statements, including Lincoln Electric System, Lincoln Water System, and Lincoln Wastewater System. Lincoln Electric System (LES) operates on a calendar year basis for reporting purposes as opposed to the August 31 fiscal year basis of the City. As a result, the amounts included in the City’s August 31, 2024, basic financial statements for LES are audited amounts as of and for the year ended December 31, 2023. The information in this schedule is presented in accordance with the requirements of Title 2 U.S. Code of Federal Regulations Part 200, Uniform Administrative Requirements, Cost Principles, and Audit Requirements for Federal Awards (Uniform Guidance). Therefore, some amounts presented in this Schedule may differ from amounts presented in or used in the preparation of the basic financial statements. Because the schedule presents only a selected portion of the operations of the City, it is not intended to and does not present the financial position, changes in net position or cash flows of the City.
Title: Basis of Accounting Accounting Policies: 1. The accompanying schedule of expenditures of federal awards (the “Schedule”) includes the federal award activity of the City of Lincoln, Nebraska (the City) under programs of the federal government for the year ended August 31, 2024. The City for purposes of the Schedule, includes all funds of the City as defined in Note 1 of the Notes to the Financial Statements, including Lincoln Electric System, Lincoln Water System, and Lincoln Wastewater System. Lincoln Electric System (LES) operates on a calendar year basis for reporting purposes as opposed to the August 31 fiscal year basis of the City. As a result, the amounts included in the City’s August 31, 2024, basic financial statements for LES are audited amounts as of and for the year ended December 31, 2023. The information in this schedule is presented in accordance with the requirements of Title 2 U.S. Code of Federal Regulations Part 200, Uniform Administrative Requirements, Cost Principles, and Audit Requirements for Federal Awards (Uniform Guidance). Therefore, some amounts presented in this Schedule may differ from amounts presented in or used in the preparation of the basic financial statements. Because the schedule presents only a selected portion of the operations of the City, it is not intended to and does not present the financial position, changes in net position or cash flows of the City. 2. Expenditures reported on the Schedule are reported on the modified cash basis of accounting. Such expenditures are recognized following the cost principles contained in the Uniform Guidance or other applicable regulatory guidance, wherein certain types of expenditures are not allowable or are limited as to reimbursement. Negative amounts shown on the Schedule represent adjustments or credits made in the normal course of business to amounts reported as expenditures in prior years. The City has elected not to use the 10 percent de minimis indirect cost rate allowed under the Uniform Guidance. Federal awards provided to subrecipients are treated as expenditures when paid to the subrecipient. De Minimis Rate Used: N Rate Explanation: The City has elected not to use the 10 percent de minimis indirect cost rate allowed under the Uniform Guidance. Expenditures reported on the Schedule are reported on the modified cash basis of accounting. Such expenditures are recognized following the cost principles contained in the Uniform Guidance or other applicable regulatory guidance, wherein certain types of expenditures are not allowable or are limited as to reimbursement. Negative amounts shown on the Schedule represent adjustments or credits made in the normal course of business to amounts reported as expenditures in prior years. The City has elected not to use the 10 percent de minimis indirect cost rate allowed under the Uniform Guidance. Federal awards provided to subrecipients are treated as expenditures when paid to the subrecipient.
Title: Pass-Through Awards Accounting Policies: 1. The accompanying schedule of expenditures of federal awards (the “Schedule”) includes the federal award activity of the City of Lincoln, Nebraska (the City) under programs of the federal government for the year ended August 31, 2024. The City for purposes of the Schedule, includes all funds of the City as defined in Note 1 of the Notes to the Financial Statements, including Lincoln Electric System, Lincoln Water System, and Lincoln Wastewater System. Lincoln Electric System (LES) operates on a calendar year basis for reporting purposes as opposed to the August 31 fiscal year basis of the City. As a result, the amounts included in the City’s August 31, 2024, basic financial statements for LES are audited amounts as of and for the year ended December 31, 2023. The information in this schedule is presented in accordance with the requirements of Title 2 U.S. Code of Federal Regulations Part 200, Uniform Administrative Requirements, Cost Principles, and Audit Requirements for Federal Awards (Uniform Guidance). Therefore, some amounts presented in this Schedule may differ from amounts presented in or used in the preparation of the basic financial statements. Because the schedule presents only a selected portion of the operations of the City, it is not intended to and does not present the financial position, changes in net position or cash flows of the City. 2. Expenditures reported on the Schedule are reported on the modified cash basis of accounting. Such expenditures are recognized following the cost principles contained in the Uniform Guidance or other applicable regulatory guidance, wherein certain types of expenditures are not allowable or are limited as to reimbursement. Negative amounts shown on the Schedule represent adjustments or credits made in the normal course of business to amounts reported as expenditures in prior years. The City has elected not to use the 10 percent de minimis indirect cost rate allowed under the Uniform Guidance. Federal awards provided to subrecipients are treated as expenditures when paid to the subrecipient. De Minimis Rate Used: N Rate Explanation: The City has elected not to use the 10 percent de minimis indirect cost rate allowed under the Uniform Guidance. The City receives certain federal awards in the form of pass-through awards. Such amounts received as pass-through awards are specifically identified on the Schedule.
Title: Major Programs Accounting Policies: 1. The accompanying schedule of expenditures of federal awards (the “Schedule”) includes the federal award activity of the City of Lincoln, Nebraska (the City) under programs of the federal government for the year ended August 31, 2024. The City for purposes of the Schedule, includes all funds of the City as defined in Note 1 of the Notes to the Financial Statements, including Lincoln Electric System, Lincoln Water System, and Lincoln Wastewater System. Lincoln Electric System (LES) operates on a calendar year basis for reporting purposes as opposed to the August 31 fiscal year basis of the City. As a result, the amounts included in the City’s August 31, 2024, basic financial statements for LES are audited amounts as of and for the year ended December 31, 2023. The information in this schedule is presented in accordance with the requirements of Title 2 U.S. Code of Federal Regulations Part 200, Uniform Administrative Requirements, Cost Principles, and Audit Requirements for Federal Awards (Uniform Guidance). Therefore, some amounts presented in this Schedule may differ from amounts presented in or used in the preparation of the basic financial statements. Because the schedule presents only a selected portion of the operations of the City, it is not intended to and does not present the financial position, changes in net position or cash flows of the City. 2. Expenditures reported on the Schedule are reported on the modified cash basis of accounting. Such expenditures are recognized following the cost principles contained in the Uniform Guidance or other applicable regulatory guidance, wherein certain types of expenditures are not allowable or are limited as to reimbursement. Negative amounts shown on the Schedule represent adjustments or credits made in the normal course of business to amounts reported as expenditures in prior years. The City has elected not to use the 10 percent de minimis indirect cost rate allowed under the Uniform Guidance. Federal awards provided to subrecipients are treated as expenditures when paid to the subrecipient. De Minimis Rate Used: N Rate Explanation: The City has elected not to use the 10 percent de minimis indirect cost rate allowed under the Uniform Guidance. In accordance with the Uniform Guidance, major programs are determined using a risk-based approach. Programs in the accompanying Schedule denoted with an asterisk (*) are determined by the independent auditor to be major programs.
Title: Federal Loans Outstanding Accounting Policies: 1. The accompanying schedule of expenditures of federal awards (the “Schedule”) includes the federal award activity of the City of Lincoln, Nebraska (the City) under programs of the federal government for the year ended August 31, 2024. The City for purposes of the Schedule, includes all funds of the City as defined in Note 1 of the Notes to the Financial Statements, including Lincoln Electric System, Lincoln Water System, and Lincoln Wastewater System. Lincoln Electric System (LES) operates on a calendar year basis for reporting purposes as opposed to the August 31 fiscal year basis of the City. As a result, the amounts included in the City’s August 31, 2024, basic financial statements for LES are audited amounts as of and for the year ended December 31, 2023. The information in this schedule is presented in accordance with the requirements of Title 2 U.S. Code of Federal Regulations Part 200, Uniform Administrative Requirements, Cost Principles, and Audit Requirements for Federal Awards (Uniform Guidance). Therefore, some amounts presented in this Schedule may differ from amounts presented in or used in the preparation of the basic financial statements. Because the schedule presents only a selected portion of the operations of the City, it is not intended to and does not present the financial position, changes in net position or cash flows of the City. 2. Expenditures reported on the Schedule are reported on the modified cash basis of accounting. Such expenditures are recognized following the cost principles contained in the Uniform Guidance or other applicable regulatory guidance, wherein certain types of expenditures are not allowable or are limited as to reimbursement. Negative amounts shown on the Schedule represent adjustments or credits made in the normal course of business to amounts reported as expenditures in prior years. The City has elected not to use the 10 percent de minimis indirect cost rate allowed under the Uniform Guidance. Federal awards provided to subrecipients are treated as expenditures when paid to the subrecipient. De Minimis Rate Used: N Rate Explanation: The City has elected not to use the 10 percent de minimis indirect cost rate allowed under the Uniform Guidance. The federal loan programs listed subsequently are administered directly by the City and balances and transactions relating to these programs are included in the City basic financial statements. Loans outstanding at the beginning of the year and loans made during the year are included in the federal expenditures presented in the Schedule. The balance of loans outstanding, at August 31, 2024, consists of: Assistance Listing # Program Name Outstanding Balance as of August 31, 2024 14.218 Community Development Block Grant $14,144,673 14.228 Community Development Block Grant - Neighborhood Stabilization Program 79,502 14.239 HOME Investment Partnership Program 10,146,610 New loans included in the Schedule totaled approximately $2,151,000, $0, and $1,144,000, for Assistance Listing numbers 14.218, 14.228, and 14.239, respectively.