Crane Lake, Minnesota Water & Sanitary District  
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Crane Lake Water & Sanitary District  BALANCE SHEET as of December 31, 2011
ASSETS
Current Assets
Checking/Savings
100-Orr Bank
Administrative Fund 14,157.78
Debt Service Fund
Special Assessment Revenue Fund 35,512.00
Total Debt Service Fund 35,512.00
Eastern Service Area Fund 268.15
GC Capital Reserve Fund
Operating Reserve Fund 1,000.00
Total GC Capital Reserve Fund 1,000.00
GC Sewer Operating Fund
Base Volume Charge Fund 34,392.12
Service Connection Fund 900.00
Total GC Sewer Operating Fund 35,292.12
Insurance Claim Fund -3,992.50
Total 100-Orr Bank 82,237.55
104-Savings-AB-S.A.R. 57,405.30
105-Savings AB-C.R. 1,695.75
Total Checking/Savings 141,338.60
Other Current Assets
115-AR/RVS Summary 4,339.59
Total Other Current Assets 4,339.59
Total Current Assets 145,678.19
Fixed Assets
140-Land & Land Improvements 177,560.63
142-Infrastructure 2,472,640.74
144-Building & Improvements 682,658.00
150-Office Equipment 5,865.60
155-Equipment 40,297.38
156-Accum. Depreciate -425,653.24
160-Construction In Progress 42,265.31
Total Fixed Assets 2,995,634.42
TOTAL ASSETS 3,141,312.61
LIABILITIES & EQUITY
Liabilities
Current Liabilities
Accounts Payable
201-Accounts Payable 16,184.60
Total Accounts Payable 16,184.60
Other Current Liabilities
211-Accrued Interest 26,001.57
Payroll Liabilities
FIT & FICA Payable 1,957.40
SIT Payable 437.00
Total Payroll Liabilities 2,394.40
Total Other Current Liabilities 28,395.97
Total Current Liabilities 44,580.57
Long Term Liabilities
222-Rural Development Loan 1,453,102.46
Total Long Term Liabilities 1,453,102.46
Total Liabilities 1,497,683.03
Equity
255-Contributed Capital 169,294.00
256-Retained Earnings 1,540,491.32
Net Income -66,155.74
Total Equity 1,643,629.58
TOTAL LIABILITIES & EQUITY 3,141,312.61
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Crane Lake Water & Sanitary District
P.O. Box 306 · Crane Lake, Minnesota 55725
© 2001 CLWSD