Crane Lake Water & Sanitary District BALANCE SHEET as of 11/30/12 |
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ASSETS |
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Current Assets |
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Checking/Savings |
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100-Orr Bank |
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Administrative Fund |
23,146.36 |
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Debt Service Fund |
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Special Assessment Revenue Fund |
1,000.00 |
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Total Debt Service Fund |
1,000.00 |
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Eastern Service Area Fund |
2,559.15 |
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GC Capital Reserve Fund |
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Operating Reserve Fund |
1,000.00 |
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Total GC Capital Reserve Fund |
1,000.00 |
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GC Sewer Operating Fund |
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Base Volume Charge Fund |
37,508.30 |
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Service Connection Fund |
1,900.00 |
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Total GC Sewer Operating Fund |
39,408.30 |
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Total 100-Orr Bank |
67,113.81 |
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104-Savings-AB-S.A.R. |
87,461.16 |
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105-Savings AB-C.R. |
9,700.77 |
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Total Checking/Savings |
164,275.74 |
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Other Current Assets |
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115-AR/RVS Summary |
3,596.59 |
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Total Other Current Assets |
3,596.59 |
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Total Current Assets |
167,872.33 |
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Fixed Assets |
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140-Land & Land Improvements |
177,560.63 |
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142-Infrastructure |
2,472,640.74 |
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144-Building & Improvements |
682,658.00 |
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150-Office Equipment |
5,865.60 |
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155-Equipment |
40,297.38 |
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156-Accum. Depreciate |
-513,606.97 |
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160-Construction In Progress |
303,411.01 |
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Total Fixed Assets |
3,168,826.39 |
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TOTAL ASSETS |
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3,336,698.72 |
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LIABILITIES & EQUITY |
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Liabilities |
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Current Liabilities |
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Accounts Payable |
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201-Accounts Payable |
16,863.02 |
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Total Accounts Payable |
16,863.02 |
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Other Current Liabilities |
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211-Accrued Interest |
34,416.62 |
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Payroll Liabilities |
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FIT & FICA Payable |
1,014.44 |
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SIT Payable |
254.00 |
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Total Payroll Liabilities |
1,268.44 |
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Total Other Current Liabilities |
35,685.06 |
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Total Current Liabilities |
52,548.08 |
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Long Term Liabilities |
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222-Rural Development Loan |
1,453,102.46 |
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Total Long Term Liabilities |
1,453,102.46 |
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Total Liabilities |
1,505,650.54 |
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Equity |
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255-Contributed Capital |
169,294.00 |
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256-Retained Earnings |
1,641,326.04 |
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Net Income |
20,428.14 |
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Total Equity |
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1,831,048.18 |
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TOTAL LIABILITIES & EQUITY |
3,336,698.72 |
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