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