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CRANE LAKE WATER & SANITARY DISTRICT
TREASURER’S REPORT
JUNE 2002
May June
Year-to-Date June Year-to-Date
Beginning Cash Balance  $           14,380  $           46,859  $           14,380
Plus Receipts:
   Administrative:
      St. Louis County  $             1,692  $  $             1,692
      League of Minnesota Cities                   185  –                   185
   I.S.T.S. Grant:
      MPCA  –  –  –
   Gold Coast Project:
      Interim Finance             100,000  –             100,000
      St. Louis County  –  –  –
      U.S.  Army Corps of Engineers  –  –  –
      Rural Development  –  –  –
      W.I.F.  –  –  –
   Eastern Service Area:
      Total Receipts  $         101,877  $  $         101,877
Total Cash Available  $         116,257  $           46,859  $         116,257
Less Disbursements:
   Administrative:
      Clerical Service  $               671  $  $               671
      Supplies & Equipment                   681                   344                1,025
      Other Services                1,224                      (1)                1,223
   I.S.T.S. Grant:
      F. Rainaldi                5,000  –                5,000
   Gold Coast Project:
      Engineering Fees               52,618  –               52,618
      Attorney Fees                5,717  –                5,717
      Land  –               15,029               15,029
      Test Drilling                3,127  –                3,127
      Financing & Other                   360  –                   360
   Eastern Service Area:
      Total Disbursements  $           69,398  $           15,372  $           84,770
Ending Cash Balance  $           46,859  $           31,487  $           31,487
M.J.White
07/06/2002
CRANE LAKE WATER & SANITARY DISTRICT
TREASURER’S REPORT – JUNE 2002
RECEIPTS/INVOICES ON HAND – as of July 7, 2002
Amount
Receipts on Hand
   None  $
Invoices on Hand
   Administrative:
      Voyageur Trail Soc.  Jo Ann Pohlman Payroll –
 April thru June  $           893.57
      Quill  Office Supplies                65.77
      Handberg’s  Copy Machine Exp.                41.00
      Jo Ann Pohlman  Notary Fee                25.00
      Jo Ann Pohlman  Postage                13.85
      Jo Ann Pohlman  Postage                37.00
      M. White  Newsletter                28.76
      VeriSign  Website                35.00
 $        1,139.95
   Gold Coast Project:
   RLK Kuusisto –  Eng. Fees
      February, 2002  $      37,054.06
      March, 2002          21,711.78
      April, 2002          34,510.18
      May, 2002          23,073.60
 $     116,349.62
   Cope & Peterson – Atty. Fees
      April, 2002  $        1,151.00
      May, 2002            5,656.01
      June, 2002            2,615.71
 $        9,422.72
 $     126,912.29
M.J.White
07/07/2002
CRANE LAKE WATER & SANITARY DISTRICT
TREASURER’S REPORT
JUNE 2002 – FUND BALANCES
Gold Coast
Admin I.S.T.S. Project Total
12/31-01 Cash Balance  $             7,285  $             7,095  $  $           14,380
June Year-To-Date:
   Receipts                1,877  –             100,000             101,877
   Disbursements               (2,919)               (5,000)              (76,851)              (84,770)
06/30-02 Cash Balance  $             6,243  $             2,095  $           23,149  $           31,487
Note:
Does not include adjustments for
prior year Gold Coast Project
expenses paid with Administrative
Funds.
M.J.White
07/06/2002
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