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CRANE LAKE WATER & SANITARY DISTRICT
TREASURER’S REPORT – FEBRUARY 2005
ADMINISTRATIVE
MONTH YEAR-TO-DATE
Actual Budget Actual Budget
Beginning Cash Balance  $              54,809  $           42,910  $           58,362  $           49,000
Plus Receipts:
      St. Louis County – Levy  $                          –  $                       –  $               985  $             1,000
      State of Minnesota  –  –  –  –
      Gold Coast Project  –  –  –  –
      Other  –  –                     98                       –
      Total Receipts  $                         –  $                    –  $             1,083  $             1,000
Total Cash Available  $              54,809  $           42,910  $           59,445  $           50,000
Less Disbursements:
      Attorneys  $                  801  $             1,000  $               801  $             2,000
      Consultants  –  –  –  –
      Engineers  –  –  –  –
      Clerical Services                   1,481  –                1,481                1,875
      Supplies & Equipment                      389                   250                   528                   500
      Insurance  –  –  –  –
      Financial/Audits  –                   300                4,000                   600
      Fees & Memberships  –                     40                   195                     80
      Board Direct Expenses  –                   125  –                   250
      Other Services  –                   250                     62                   500
      Eastern Service Area:
        Engineers                      240                1,250                   480                2,500
        Consultants                   3,250                1,250                3,250                2,500
      Contingency  –                   750  –                1,500
      Total Disbursements  $               6,161  $             5,215  $           10,797  $           12,305
Ending Cash Balance  $              48,648  $           37,695  $           48,648  $           37,695
M.J.White
03/08/2005
CRANE LAKE WATER & SANITARY DISTRICT
TREASURER’S REPORT – FEBRUARY 2005
FUND BALANCES as of 02/28-2005
Balance Plus Less Balance
12/31/2004 Receipts Disbursements 02/28/2005
Administrative  $              58,362  $             1,083  $          (10,797)  $           48,648
Plant Operations:
   Service Connections  $              10,800  $               200  $                     –  $           11,000
   Base Charges                 22,125               13,975  –               36,100
                      –
   Volume Charges                  (9,330)                1,938              (20,263)              (27,655)
         Total Plant Operations  $              23,595  $           16,113  $          (20,263)  $           19,445
Gold Coast Project:
   Special Assessments  $            178,716  $               459  –  $         179,175
   Construction                 14,257               22,656              (17,095)               19,818
        Total Project                192,973               23,115              (17,095)             198,993
            Total  $            274,930  $           40,311  $          (48,155)  $         267,086
MJW
03/08/2005
CRANE LAKE WATER & SANITARY DISTRICT
TREASURER’S REPORT – FEBRUARY 2005
GOLD COAST PROJECT SUMMARY
Project 02/05 Project
Thru 2004 Year-to-Date To-Date
Beginning Cash Balance  $           17,695  $         192,973  $           17,695
Plus Receipts:
      St. Louis County – CDBG  $           25,706  $                       –  $           25,706
      U.S. Army Corps of Engineers             202,584  –             202,584
      Rural Development Loan          1,390,000  –          1,390,000
      Rural Development – Grant             489,956               17,095             507,051
      PFA Grant             690,177  –             690,177
      Special Assessments             178,716                   459             179,175
      Other                1,071                5,561                6,632
      Total Receipts  $      2,978,210  $           23,115  $      3,001,325
Total Cash Available  $      2,995,905  $         216,088  $      3,019,020
Less Disbursements:
      Admin. Fund  $           15,000  $                      –  $           15,000
      Engineering Fees             296,179  –             296,179
      Attorney Fees               22,936                   330               23,266
      Consultant Fees               24,763                   840               25,603
      License/Permits                1,661  –                1,661
      Financing             104,691  –             104,691
      Collection System          1,404,086                1,511          1,405,597
      Treatment Plant             912,081                3,023             915,104
      Utilities                9,523  –                9,523
      Auditors  –                3,500                3,500
      NTS – Start-up Expense                9,419                7,146               16,565
      Other                2,593                   745                3,338
      Total Disbursements  $      2,802,932  $           17,095  $      2,820,027
Ending Cash Balance  $         192,973  $         198,993  $         198,993
M.J.White
03/08/2005
CRANE LAKE WATER & SANITARY DISTRICT
TREASURER’S REPORT -FEBRUARY 2005
PLANT OPERATIONS
MONTH YEAR-TO-DATE
Actual Budget Actual Budget
Beginning Cash Balance  $              20,742  $             3,692  $           23,595  $             2,257
Plus Receipts:
   Base Charges  $               4,725  $             5,600  $           13,975  $           11,200
   Volume Charges                      687                2,000                1,938                4,000
   Inspection Fees/Permits  –  –                   200  –
   Other  –  –  –  –
      Total Receipts  $               5,412  $             7,600  $           16,113  $           15,200
Total Cash Available  $              26,154  $           11,292  $           39,708  $           17,457
Less Disbursements:
   NTS Contract:
     Routine  $               3,466  $             2,800  $           10,398  $             5,600
     Daily On-site                   1,248  –                3,744  –
     Emergency                   1,128                   470                3,454                   940
     Other NTS  –                   425  –                   850
   Utilities                      756                1,060                1,410                2,120
   Chemicals                      111                   210                   380                   420
   Biosolids Disposal  –                   360  –                   720
   Insurance/Permits/Licenses  –  –                     19  –
   Clerical  –                   420  –                   840
   Supplies & Equipment  –  –                   253  –
   Contingency  –                   420  –                   840
   Other Expense  –  –                   605  –
      Total Disbursements  $               6,709  $             6,165  $           20,263  $           12,330
Ending Cash Balance  $              19,445  $             5,127  $           19,445  $             5,127
M.J.White
03/08/2005
CRANE LAKE WATER & SANITARY DISTRICT
INVOICES ON HAND
AS OF 03/02-05
Amount
Administrative
     Gary Cerkvenik  Feb. Retainer  $           750.00
     Midwest Captions  Website-Jan/June               120.00
        Total Admin.  $           870.00
Plant Operations
      Lake Country Power  Plant – Feb.  $           680.96
      Lake Country Power  Lift Station -Feb.                30.10
      Hawkins, Inc.  Alum. Sulfate               159.61
      Quality Flow  Guide Rail               446.24
        Total Plant Operations            1,316.91
Gold Coast Project
     Cope & Peterson February-05  $             43.75
   Total Invoices on Hand  $        2,230.66
M.J.White
03/01/2005
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