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EXHIBIT
7-A |
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MONTEREY PENINSULA
WATER MANAGEMENT DISTRICT |
TREASURER'S REPORT
FOR DECEMBER 2006 |
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PB |
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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 |
$31,787.70 |
$794,773.30 |
$229,942.68 |
$1,546,486.22 |
$326,559.88 |
$2,929,549.78
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Grant (Prop. 50) Receipt |
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$0.00 |
Fee Deposits |
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3,524.68 |
126,200.28 |
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$129,724.96
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Interest |
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2,248.89 |
252.86 |
5,986.33 |
0.00 |
$8,488.08 |
Transfer-Money Market to
Checking |
300,000.00 |
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(300,000.00) |
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$0.00 |
Transfer- from L.A.I.F. |
100,000.00 |
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0.00 |
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(100,000.00) |
$0.00 |
Transfer to C.A.W.D. |
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0.00 |
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$0.00 |
Payments from Reclamation
Proj. |
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0.00 |
0.00 |
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$0.00 |
C.O.P. Interest Payment |
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(87,241.75) |
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($87,241.75) |
Bank Charges/Rtn'd Deposits |
(120.03) |
(20.00) |
(1,453.05) |
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($1,593.08) |
Payroll Tax Debits |
(24,141.49) |
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($24,141.49) |
Payroll Checks/Direct
Deposits |
(122,568.74) |
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($122,568.74) |
General Checks |
(255,255.67) |
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($255,255.67) |
Ending Balance |
$29,701.77 |
$713,285.12
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$54,942.77
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$1,552,472.55
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$226,559.88
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$2,576,962.09
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