Crane Lake Water &
Sanitary District BALANCE SHEET as of
11/30/19 | |
ASSETS | Current Assets | Checking/Savings | 100-Orr Bank | Administrative Fund | 50,170.35 | Debt Service Fund | Operation Transfer Fund | 58,940.00 | Total Debt Service Fund | 58,940.00 | Eastern Service Area Fund | Legacy Grant Fund | -17,821.20 | Legacy Grant Fund-Kicker Blvd | 48,792.86 | Total Eastern Service
Area Fund | 30,971.66 | GC Capital Reserve Fund | Operating Reserve Fund | 29,935.00 | WIF System Replacement Fund | 2,996.54 | Total GC Capital Reserve
Fund | 32,931.54 | GC Sewer Operating Fund | Base Volume Charge Fund | 39,949.71 | Service Connection Fund | 54,950.00 | Total GC Sewer Operating
Fund | 94,899.71 | Total 100-Orr Bank | 267,913.26 | 104-Savings-AB-S.A.R. | 95,179.98 | 105-Savings AB-C.R. | 83,075.84 | 107-SavingsAB-Debt
Service | 71,026.17 | Total Checking/Savings | 517,195.25 | Accounts Receivable | 111-Accounts Receivable | 62,684.68 | Total Accounts Receivable | 62,684.68 | Other Current Assets | 115-AR/RVS Summary | -4,631.27 | Total Other Current
Assets | -4,631.27 | Total Current Assets | 575,248.66 | Fixed Assets | 140-Land & Land
Improvements | 205,573.49 | 142-Infrastructure | 4,084,485.88 | 144-Building &
Improvements | 714,683.00 | 150-Office Equipment | 10,180.49 | 155-Equipment | 347,245.66 | 156-Accum. Depreciate | -1,169,362.26 | 160-Construction In
Progress | 548,730.64 | Total Fixed Assets | 4,741,536.90 | TOTAL
ASSETS | 5,316,785.56 | LIABILITIES
& EQUITY | Liabilities | Current Liabilities | Accounts Payable | 201-Accounts Payable | 12,019.65 | Total Accounts Payable | 12,019.65 | Other Current Liabilities | 211-Accrued Interest | 31,967.31 | 231-Note Payable | 54,009.42 | Payroll Liabilities | FIT & FICA Payable | 953.56 | SIT Payable | 290.00 | Total Payroll Liabilities | 1,243.56 | Total Other Current
Liabilities | 87,220.29 | Total Current Liabilities | 99,239.94 | Long Term Liabilities | 222-Rural Development
Loan | 1,294,140.19 | Total Long Term
Liabilities | 1,294,140.19 | Total Liabilities | 1,393,380.13 | Equity | 255-Net Invest in Capital
Asset | 3,186,083.80 | 256-Retained Earnings | 579,099.35 | Net Income | 158,222.28 | Total Equity | 3,923,405.43 | TOTAL
LIABILITIES & EQUITY | 5,316,785.56 |
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