ITEM:

CONSENT CALENDAR

 

11.

CONSIDER ADOPTION OF TREASURER’S REPORT FOR MAY 2019

 

Meeting Date:

July 15, 2019

Budgeted: 

N/A

 

From:

David J. Stoldt,

Program/

N/A

 

General Manager

Line Item No.:

 

 

Prepared By:

Suresh Prasad

Cost Estimate:

N/A

 

General Counsel Review:  N/A

Committee Recommendation:  The Administrative Committee considered this item on July 8, 2019 and recommended approval.

CEQA Compliance:  This action does not constitute a project as defined by the California Environmental Quality Act Guidelines Section 15378.

 

SUMMARY: Exhibit 11-A comprises the Treasurer’s Report for May 2019.  Exhibit 11-B and Exhibit 11-C are listings of check disbursements for the period May 1-31, 2019.  Check Nos. 34756 through 34973, the direct deposits of employee’s paychecks, payroll tax deposits, and bank charges resulted in total disbursements for the period in the amount of $883,810.87.  That amount included $19,987.50 for conservation rebates.  Exhibit 11-D reflects the unaudited version of the financial statements for the month ending May 31, 2019. 

 

RECOMMENDATION: District staff recommends adoption of the May 2019 Treasurer’s Report and financial statements, and ratification of the disbursements made during the month. 

 

EXHIBITS

11-A    Treasurer’s Report

11-B    Listing of Cash Disbursements-Regular

11-C    Listing of Cash Disbursements-Payroll

11-D    Financial Statements

 

 

 

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