ITEM: |
CONSENT
CALENDAR |
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11. |
CONSIDER ADOPTION OF
TREASURER’S REPORT FOR MARCH 2019 |
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Meeting
Date: |
May 20, 2019 |
Budgeted: |
N/A |
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From: |
David J.
Stoldt, |
Program/ |
N/A |
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General
Manager |
Line Item No.: |
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Prepared
By: |
Suresh
Prasad |
Cost Estimate: |
N/A |
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General Counsel Review: N/A |
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Committee Recommendation: The Administrative Committee considered this item on May 13, 2019 and recommended approval. |
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CEQA Compliance: This action does not constitute a project
as defined by the California Environmental Quality Act Guidelines Section
15378. |
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SUMMARY: Exhibit 11-A comprises the Treasurer’s Report for March 2019. Exhibit 11-B and Exhibit 11-C are listings of check disbursements for the period March 1-31, 2019. Check Nos. 34292 through 34592, the direct deposits of employee’s paychecks, payroll tax deposits, and bank charges resulted in total disbursements for the period in the amount of $747,995.59. That amount included $52,319.79 for conservation rebates. Exhibit 11-D reflects the unaudited version of the financial statements for the month ending March 31, 2019.
RECOMMENDATION: District staff recommends adoption of the March 2019 Treasurer’s Report and financial statements, and ratification of the disbursements made during the month.
11-A Treasurer’s Report
11-B Listing of Cash Disbursements-Regular
11-C Listing of Cash Disbursements-Payroll
11-D Financial Statements
U:\staff\Boardpacket\2019\20190520\ConsentClndr\11\Item-11.docx