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CRANE LAKE WATER & SANITARY DISTRICT
TREASURER’S REPORT
MAY  2003
April May May
Year-to-Date Year-to-Date
Beginning Cash Balance  $           37,677  $           31,562  $           37,677
Plus Receipts:
   Administrative:
      St. Louis County  $             2,425  $                    –  $             2,425
      League of Minnesota Cities                   238  –                   238
      State of Minnesota                   571  –                   571
      Other  –                     35                     35
   Gold Coast Project:
      St. Louis County – CDBG  –  –  –
      U.S.  Army Corps of Engineers  –  –  –
      Rural Development – Loan  –  –  –
      Rural Development – Grant  –  –  –
      W.I.F.  –  –  –
   I.S.T.S. Grant – MPCA  –  –  –
   Eastern Service Area:
      Total Receipts  $             3,234  $                 35  $             3,269
Total Cash Available  $           40,911  $           31,597  $           40,946
Less Disbursements:
   Administrative:
      Clerical Service  $             1,077   $  $             1,077
      Insurance  –  –                       –
      Supplies & Equipment                   148                     55                   203
      Engineering Fees – ESA                2,000  –                2,000
      Other Services                   570                   275                   845
   Gold Coast Project:
      Engineering Fees  –  –                       –
      Attorney Fees  –  –                       –
      License/Permits                1,156  –                1,156
      Financing                3,910  –                3,910
      Other                   488  –                   488
   Eastern Service Area:
      Total Disbursements  $             9,349  $               330  $             9,679
Ending Cash Balance  $           31,562  $           31,267  $           31,267
M.J.White
06/02/2003
CRANE LAKE WATER & SANITARY DISTRICT
TREASURER’S REPORT – MAY 2003
FUND BALANCES
Gold Coast
Admin I.S.T.S. Project Total
Cash Balance 12/31-02  $              17,887  $             2,095  $           17,695  $           37,677
May Year-To-Date:
   Receipts                   3,269  –  –                3,269
   Disbursements                  (4,125)  –               (5,554)               (9,679)
Cash Balance 04/30-03  $              17,031  $             2,095  $           12,141  $           31,267
Note:
Does not include adjustments for
$21,052 of prior year Gold Coast
Project expenses paid with
Administrative Funds.
MJW
06/02/2003
CRANE LAKE WATER & SANITARY DISTRICT
TREASURER’S REPORT – APRIL 2003
RECEIPTS/INVOICES ON HAND 06/02-03
Amount
Receipts on Hand
   None  $       -0-
Invoices on Hand
   Administrative:
      Deluxe Bus. Checks  New Const. Acct.  $           134.50
      Env. Financial Group  Consulting Fee            4,816.88
      Frontier  Phone               115.05
      Jo Ann Pohlman  Postage                15.38
      Quill   Office Supplies                67.14
      Quill  Office Supplies               207.17
          Total Admin.  $        5,356.12
  Gold Coat Project
      RLK-Kuusisto – May 2003  Engineer Fee  $        9,123.00
Note:
Balance of Gold Coast Project
submitted to T. Hoff for
reimbursement approvals.
M.J.White
06/02/2003
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