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