<br />CASH BALANCES REPORT
<br />
<br />YEAR: THROUGH AUGUST Date: 09/15/04
<br />
<br />:T\ON TIme: 8:42am
<br />CITY OF ELK RIVER """'N\A Page: 1
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<br />_______________________~~l----~~~!--------------------___________________________________________________________________________
<br />
<br />Account Number
<br />
<br />Beginning Balance
<br />
<br />Debit
<br />
<br />Credit
<br />
<br />Ending Balance
<br />
<br />---------------------------------------------------------------------------------------------------------------------------------
<br />
<br />Fund I: 101 GENERAL FUND
<br />lDl0 Cash 3,960,713.49 7,946,153.67 8,390,729.71 3,516,137.45
<br /> ----------------- ----------------- ----------------- -----------------
<br />Fund I: 101 3,960,713.49 7,946,153,67 8,390,729.71 3,516,137.45
<br />Fund I: 211 LIBRARY
<br />101D Cash 526,192.13 108,664. D3 329,746.19 3D5, 109. 97
<br /> ----------------- ----------------- ----------------- -----------------
<br />Fund I: 211 526,192.13 lD8, 664. D3 329,746.19 3D5,lD9.97
<br />Fund I: 221 ICE ARENA
<br />1010 Cash -85,200.24 474,401. 23 922,296.25 -533,095.26
<br /> ----------------- ----------------- ----------------- -----------------
<br />Fund I: 221 -85,20D.24 474,401.23 922,296.25 -533,095.26
<br />Fund I: 223 SR CITIZEN ACCOUNT
<br />1010 Cash 10,952.90 7,488.12 4,672.68 13,768.34
<br /> ----------------- ----------------- ----------------- -----------------
<br />Fund I: 223 10,952.90 7,488.12 4,672.68 13,768.34
<br />Fund I: 225 PARK DEDICATION
<br />1010 Cash 1,209,119.94 568,218.00 286,086.70 1,491,251. 24
<br /> ----------------- ----------------- ----------------- -----------------
<br />Fund I: 225 1,209,119.94 568,218.00 286,086.70 1,491,251.24
<br />Fund I: 228 LANDFILL
<br />1010 Cash 1,902,683.20 45,784.93 74,799.24 1,873,668.89
<br /> ----------------- ----------------- ----------------- -----------------
<br />Fund I: 228 1,902,683.20 45,784.93 74,799.24 1,873,668.89
<br />Fund I: 231 LANDFILL-CONST DEBRIS
<br />1010 Cash 559,002.86 33,975.19 0.00 592,978.05
<br /> ----------------- ----------------- ----------------- -----------------
<br />Fund I: 231 559,002.86 33,975.19 0.00 592,978.05
<br />Fund I: 240 MICRO LOAN FUND
<br />1010 Cash 789,273.10 138,688.12 78,228.75 849,732.47
<br /> ----------------- ----------------- ----------------- -----------------
<br />Fund I: 240 789,273.10 138,688.12 78,228.75 849,732.47
<br />Fund I: 241 DTED LOAN FUND
<br />1010 Cash 165,252.62 979.78 17,528.30 148,704.10
<br /> ----------------- ----------------- ----------------- -----------------
<br />Fund I: 241 165,252.62 979.78 17,528.30 148,704.10
<br />Fund I: 245 DEVELOPMENT FUND
<br />1010 Cash 450,167.07 24,414.67 106,374.17 368,207.57
<br /> ----------------- ----------------- ----------------- -----------------
<br />Fund I: 245 450,167.07 24,414.67 106,374.17 368,207.57
<br />Fund I: 290 CAPITAL OUTLAY RESERVE
<br />1010 Cash 827,986.94 345,944.83 188,861. 65 985,070.12
<br /> ----------------- ----------------- ----------------- -----------------
<br />Fund I: 290 827,986.94 345,944.83 188,861. 65 985,070.12
<br />Fund I: 291 INSURANCE RESERVE
<br />1010 Cash 548,920.96 488,442.76 466,363.09 571,000.63
<br /> ----------------- ----------------- ----------------- -----------------
<br />Fund I: 291 548,920.96 488,442.76 466,363.09 571/000.63
<br />Fund I: 292 GOVT BUILDINGS RESERVE
<br />1010 Cash 1,755,970.30 359,667.93 0.00 2,115,638.23
<br /> ----------------- ----------------- ----------------- -----------------
<br />Fund I: 292 1,755,970.30 359,667.93 0.00 2,115,638.23
<br />Fund I: 294 DRUG FORFEITURE RESERVE
<br />1010 Cash 11,351.35 7,364.74 8,820.73 9,895.36
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