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EXHIBIT
5-A |
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MONTEREY
PENINSULA WATER MANAGEMENT DISTRICT |
TREASURER'S REPORT
FOR MAY 2006 |
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Reclamation |
MPWMD |
Asset |
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Description |
Checking |
Money Market |
Money Market |
Management |
L.A.I.F. |
Total |
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Beginning Balance |
$46,347.31 |
$345,127.12 |
$245,381.58 |
$1,504,408.33 |
$318,970.19 |
$2,460,234.53
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Fee Deposits |
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25,974.94 |
603,717.84 |
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$629,692.78
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Interest |
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1,020.49 |
1,314.43 |
5,694.74 |
0.00 |
$8,029.66 |
Transfer-Money Market to
Checking |
420,000.00 |
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(420,000.00) |
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$0.00 |
Transfer- from L.A.I.F. |
0.00 |
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0.00 |
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0.00 |
$0.00 |
Transfer to C.A.W.D. |
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0.00 |
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$0.00 |
C.O.P. Interest Payment |
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$0.00 |
Bank Charges |
(76.18) |
0.00 |
0.00 |
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($76.18) |
Payroll Tax Debits |
(21,672.69) |
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($21,672.69) |
Payroll Checks/Direct
Deposits |
(113,999.14) |
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($113,999.14) |
General Checks |
(237,444.60) |
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($237,444.60) |
Ending Balance |
$93,154.70 |
$372,122.55
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$430,413.85
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$1,510,103.07
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$318,970.19
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$2,724,764.36
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