Raintree Village Homeowners Association 2012 Newsletter

Size: px
Start display at page:

Download "Raintree Village Homeowners Association 2012 Newsletter"

Transcription

1 Raintree Village Homeowners Association 2012 Newsletter Follow us on Facebook Board of Directors David Eisenbacher, president Craig Chamberlain, vice pres. Debbie Doyle, secretary Anne Milowe, treasurer Kim Beasley Bill Jenuwine Ann Lemke Monthly Meetings The regular monthly Raintree Board Meeting is held at 7PM on the second Monday of the month from September through June (no meetings held July or August). All are welcome to attend. We meet at Baker Middle School (located on Torpey Drive off Rochester Road) in room 108. Volunteers for commons maintenance are always needed. We also are in need of more directors for the RVHA board. Calendar of Events RVHA Garage Sale May RVHA meeting June 11 Last Day of School June Buckthorn Removal from Commons Areas Buckthorn is an invasive shrub or small scrubby tree. It was imported from Eurasia as an ornamental plant in the 1800 s and 1900 s. Without the natural competitors from its native Eurasia, it is growing unchecked in Michigan. Buckthorn changes soil chemistry, killing native wildflowers and other native plants. Buckthorn produces dense shade that turns native woodlands and wet areas into thorny thickets, crowding out native species. Buckthorn has been found in both Forest Commons and Village Commons, the latter having the more substantial infestation. This spring and summer, RVHA will be taking steps to eradicate Buckthorn from Forest Commons and Village Commons. The Buckthorn will be cut down or uprooted and destroyed. Stumps will be treated with herbicide to prevent regrowth. It is likely that some homeowners whose property abuts Forest and Village Commons have Buckthorn growing on their property. RVHA will work with these homeowners to eliminate these Buckthorn plants to prevent reintroduction of Buckthorn into the commons area. More information regarding Buckthorn can be found at: Your Raintree Dues All Raintree homeowners are automatically members of the Raintree Village Homeowners Association and are legally obligated by deed restriction to pay their homeowners dues. Dues are $26 per year and are used to pay for the maintenance of the commons areas including benches and swings, pond fence, Canadian Geese control, weed control, fertilizing and mowing of commons lawns, dead tree removal and liability insurance. Failure to pay will result in court action and the addition of court costs to the total dues owed. If you have not yet paid your dues (or you owe for past years) send your check to: RVHA P.O. Box Troy, MI Commons Areas Forest Commons, Village Commons, Abbey Commons and Lakeside Commons are the four commons areas within Raintree Village subdivision. Lakeside and Abbey have swing sets and benches and Forest Commons has a walking trail from the Sandburg entrance to the Stonetree entrance. Enjoy using these commons areas but treat them with respect to preserve them. GARAGE SALE The Raintree Village Subdivision garage sale will be held on Friday May 18th and Saturday May 19th from 9AM until 4PM. RVHA will advertise the sale in various local newspapers and post entrance signs. Sell those items you no longer need or want.

2 RVHA Membership and Bylaws The Raintree Village Subdivision consists of 810 homesite properties and four common areas. ALL 810 property owners in the Raintree Village Subdivision are automatically members of the Raintree Village Homeowners Association by purchase of your house and the common areas are mutually owned by all members of the association. The Raintree Village Subdivision Open Space Agreement and the Covenant, Conditions and Restrictions are deeded to ALL lots in the Raintree Village Subdivision and are recorded with the Oakland County Register of Deeds, March 27, 1975, Liber 6445, pages Copies of these agreements are also available on the RVHA website ( under Raintree Documents on the left margin. The website copies are FOR REFERENCE ONLY. An official copy of these documents can be obtained at the Oakland County Register of Deeds. The four commons areas are Lakeside Commons, Village Commons, Forest Commons and Abbey Commons. These areas are for the enjoyment of all residents. Please do not damage the commons or remove or damage any plants, trees or animals. Do not dump any material in the commons areas. Do not build any structure or clear any area of land in the commons areas. Take nothing from the commons areas when you visit and leave nothing behind. Be a Good Raintree Neighbor Here are some simple things you can do to be a good neighbor while living in Raintree: Place lids on your trash cans to keep animals from spreading your garbage on the ground. Bring in your garbage cans after they are emptied on trash day. Bring in any flyers placed on or near your mailbox to prevent them from becoming litter. Keep the curb in front of your house clear of leaves. If you live on a corner, keep the storm drain clear of debris so the street doesn t flood when it rains. Don t blow/shovel the snow from your driveway into the street. It creates a hazard to cars when they encounter it. Don t blow grass clippings from your driveway into the street it s not your trashcan. THE SPEED LIMIT IS 25 MPH in the subdivision. Clean up after your dog this includes the commons areas! Fireworks of any kind are against the law in Troy. Be kind to your neighbors ears. Can you hear your dog barking? We sure can. Keep your dogs quiet when left outdoors.

3 Facts for Raintree Village Homeowners Raintree Village Homeowners Association (RVHA), Troy, Michigan Please note that having your dues listed in the Over 90 Days Past Due box on your statement is a software glitch that RVHA hasn t been able to change. Facts There are 810 homes in the Raintree Village subdivision. When you purchase a home in Raintree Village and accept the deed, by deed restriction you are automatically a member of the homeowners association. You share certain rights and responsibilities with the other homeowners. The legal documents stating this are on file with Oakland County, including the Subdivision Open Space Agreement, Liber 6445, pages and the Declaration of Covenants, Conditions and Restrictions, Liber 6445, pages These documents can be inspected in person at the Register of Deeds, Tract Index department at the Oakland County government offices in Pontiac. Reference copies of these documents are available on the RVHA website, There is also a map showing where the common areas are located. Each homeowner is a co-owner of the four common areas in the subdivision (Forest Commons, Village Commons, Abbey Commons and Lakeside Commons), and shares responsibility for all expenses associated with this property ownership and maintenance. The City of Troy does not maintain the four common areas. The annual dues, currently $26.00, are mandatory, and are used mainly to pay for the maintenance of the four common areas. The RVHA board of directors is formed by elected homeowners in the subdivision (your neighbors) serving as unpaid volunteers. Each board member contributes time and receives no compensation in the form of money, services, or reduced dues. What do your dues pay for? As a co-owner of the four common areas, you and the 809 other homeowners are legally liable for any claims filed against the common areas. To protect the homeowners, the association annually pays for liability insurance. The cost for this in 2010 was $ The grass at Abbey Commons, Lakeside Commons, and several traffic islands is maintained by mowing and fertilizing. The cost for this in 2010 was more than $ Dead trees in the common areas are a safety hazard and have to be removed, especially when they are at risk of falling onto a resident s home. The cost for tree removal in 2010 was $ In 2010, RVHA replaced signs at Village Commons and Lakeside Commons, replaced chains on swings, and replaced park benches. There are also recurring expenses for the voic line, website, P.O. Box, postage, and more. A full financial report is included on the back of this page. How can you contact the homeowners association? Website: rvha.org board2@rvha.org Voic Postal mail: Raintree Village Homeowners Association, P.O. Box 99033, Troy, MI In person: Attend the monthly meeting on the second Monday of every month (except July and August) at 7:00pm at Baker Middle School, Room 108.

4 Raintree Village Homeowners Association Financial Report Budget Income / Expense Jan-Dec 2006 Jan-Dec 2007 Jan-Dec 2008 Jan-Dec 2009 Jan-Dec 2010 Jan-Dec 2011 Jan-Dec 2011 Jan-Dec 2012 Income Actual Actual Actual Actual Actual Budget Actual Budget Membership Dues 18, , , , , Advertising in Newsletter Interest Income Total Income 19, , , , , Expense Bank Service Charges Bad Debt Expense Contributions 2, Dues and Subscriptions Newsletter Expense Liability Insurance 3, , , , , Post Office Box Fee Licenses and Permits Garage Sale Supplies Garage Sale Ads Halloween Party Pool Party Parks & Grounds Dead Tree Removal 9, , Entrance Landscape Snow Removal Lawn Maintenance 9, , , , , Tree Replacement Weed Control Tree Service , , Pond Clean-up Day Parks & Grounds - Other , Total Parks & Grounds 19, , , , , Postage and Delivery Printing and Reproduction Legal Fees Accounting Marketing Equipment Rental Office Taxes Telephone ( ) Utilities (Electricity) Total Expense: 23, , , , , Net Income: -4, , , , , End of Year Cash Balance: 9, , , , , ,067.16

5 The four commons areas are for the exclusive enjoyment of Raintree Village residents. The annual dues are spent primarily on the maintenance of these common areas. Forest Commons is 4.04 acres of mature trees. It has a wood chip trail between the two entrances off Stonetree and Sandburg. You can walk through on the trail during the dry months. Village Commons is acres and has access from Stonetree Drive. There is a short trail with wood chips through the park Abbey Commons is acres and has a swing set and a large grassy field that is great for picnics, kickball or running around. Access is from Abbey Drive. Lakeside Commons is the largest park area at acres. It has posts for hanging a volleyball net, a swing set, park benches, a 5-acre lake, and large grassy area that is big enough for family soccer, kickball, or football. Walking around the lake is also possible please step over the goose fences so we can minimize the number of geese coming up onto the grass. There are also 9 island areas at the entrances and cul-de-sacs that are owned by Troy. Raintree Park is a City of Troy owned park. TSD Property is Troy Scholl District Property next to Raintree Park.

6 (Advertisement) Local service is still the best service... Trust David Purvis for all your insurance needs. You can t beat local service. When you need me, I ll be right here, close by, because I live and work in this area. I m dedicated to protecting families, homes, and businesses throughout the Troy community. Life Home Auto Business Retirement Local agent. Local service. Local savings. David Purvis Troy David.Purvis@fbinsmi.com

Drexel Woods Homeowner s Association, Inc Baltimore National Pike, Box 158 Catonsville, MD 21228

Drexel Woods Homeowner s Association, Inc Baltimore National Pike, Box 158 Catonsville, MD 21228 Drexel Woods Homeowner s Association, Inc. 6400 Baltimore National Pike, Box 158 Catonsville, MD 21228 Request for Proposal Landscaping and Snow Removal Contract Organizational Overview Drexel Woods Homeowner

More information

Chelwood Hills Homeowners Association 2016 Budget Approved at Annual Meeting on January 9, 2016

Chelwood Hills Homeowners Association 2016 Budget Approved at Annual Meeting on January 9, 2016 DUES PAYING HOMEOWNERS 2016 Budget Approved at Annual Meeting on January 9, 2016 January February March April May June July August September October November December TOTAL Total Number of Dues Payments

More information

ROAD DISTRICT RESIDENT HANDBOOK

ROAD DISTRICT RESIDENT HANDBOOK ROAD DISTRICT RESIDENT HANDBOOK REV. 2 12-11-15 A Message From the Road District Dear Resident: The Wheatland Township Road District is pleased to provide this resident handbook. The handbook addresses

More information

City of Forest Hills Profit & Loss for the month and Fiscal Year May 2016

City of Forest Hills Profit & Loss for the month and Fiscal Year May 2016 Profit & Loss for the month and Fiscal Year May 16 Jul '15 - May 16 Ordinary Income/Expense Income 31900- Other Taxes 31910- Franchise Taxes 18,106.78 121,422.86 Total 31900- Other Taxes 18,106.78 121,422.86

More information

City of Forest Hills Profit & Loss for the month and Fiscal Year October 2015

City of Forest Hills Profit & Loss for the month and Fiscal Year October 2015 Profit & Loss for the month and Fiscal Year Oct 15 Jul - Oct 15 Ordinary Income/Expense Income 31900- Other Taxes 31910- Franchise Taxes 6,407.61 21,517.61 Total 31900- Other Taxes 6,407.61 21,517.61 31600

More information

The Newsletter of the Summerlakes Homeowners Association

The Newsletter of the Summerlakes Homeowners Association Sun The Newsletter of the Summerlakes Homeowners Association January 2018 Summerlakes Homeowners Association 3S020 Continental Drive Warrenvillle, Illinois 60555 FACILITY HOURS (Fall/Winter) Monday-Friday,

More information

Coconino County Common Snow Plow Questions/Concerns

Coconino County Common Snow Plow Questions/Concerns Coconino County Common Snow Plow Questions/Concerns I didn t know it snows so much in northern Arizona. Is this normal? According to the National Climatic Data Center, Flagstaff is the eighth snowiest

More information

Villa Monterey Improvement Association 2018 Annual Audit Scottsdale, Arizona

Villa Monterey Improvement Association 2018 Annual Audit Scottsdale, Arizona 2018 Annual Audit Scottsdale, Arizona Performed By Rick Morine March 25, 2019 Arizona Revised Statute (A.R.S.) 33-1810 requires the board of directors provide for an annual audit of an association s financial

More information

The Talking Farm Treasurer's Report and Financial Statements (for internal use only) June 30, 2016

The Talking Farm Treasurer's Report and Financial Statements (for internal use only) June 30, 2016 Treasurer's Report and Financial Statements (for internal use only) June 30, 2016 Table of Contents: Treasurer's Report 1 Page: Financial Statements: Statements of Financial Position 2 Statements of Activities

More information

Town of Southwest Ranches Statement of Revenues and Expenditures From 10/1/2010 Through 12/31/2010. Current Year Actual Prior Year Actual

Town of Southwest Ranches Statement of Revenues and Expenditures From 10/1/2010 Through 12/31/2010. Current Year Actual Prior Year Actual 01 - General Fund s 0 Ad Valorem Taxes 311000 2,951,391.73 3,149,911.30 4,225,184.00 (1,273,792.27) Franchise Fee-Electric 313100 0.00 102,088.65 565,000.00 (565,000.00) Solid Waste Franchise Fee 313700

More information

SECTION DESCRIPTION PAGE I. BUDGET INTRODUCTION... 1 II. FISCAL YEAR 2017 BUDGET ANALYSIS... 2 III. FINAL OPERATING BUDGET... 3

SECTION DESCRIPTION PAGE I. BUDGET INTRODUCTION... 1 II. FISCAL YEAR 2017 BUDGET ANALYSIS... 2 III. FINAL OPERATING BUDGET... 3 2018 SECTION DESCRIPTION PAGE I. BUDGET INTRODUCTION... 1 II. FISCAL YEAR 2017 BUDGET ANALYSIS... 2 III. FINAL OPERATING BUDGET... 3 IV. GENERAL FUND 001 DESCRIPTIONS... 4 Background Information The Four

More information

MINUTES SPOA BOARD MEETING December 17, 2018

MINUTES SPOA BOARD MEETING December 17, 2018 h Open Forum 6:30 PM MINUTES SPOA BOARD MEETING December 17, 2018 There were no Open Forum Items this month. Board Meeting 7:00 PM Review and Approval of Minutes George Graham submitted the previous month

More information

Fairway Estates Community Association. Treasurers Report. October 10, 2018 Covering month ending September 2018

Fairway Estates Community Association. Treasurers Report. October 10, 2018 Covering month ending September 2018 Fairway Estates Community Association Treasurers Report October 10, 2018 Covering month ending September 2018 $40 was deposited in annual dues, bringing the YTD total to $14,120. Our goal for the year

More information

Sometimes Accountants Fail to Budget

Sometimes Accountants Fail to Budget ISSN 1940-204X Sometimes Accountants Fail to Budget Gail Hoover King Purdue University Calumet Jane Saly University of St. Thomas Budgeting is important in all organizations, but it is especially in nonprofit

More information

REQUEST FOR PROPOSALS

REQUEST FOR PROPOSALS REQUEST FOR PROPOSALS 10782 Wattsburg Road Erie, PA 16509 The WATTSBURG AREA SCHOOL DISTRICT invites qualified vendors to submit proposals for CONTRACTED SNOW REMOVAL MANDATORY PRE-SUBMISSION MEETING All

More information

Fairway Estates Community Association. Treasurers Report. November 14, 2018 Covering month ending October 2018

Fairway Estates Community Association. Treasurers Report. November 14, 2018 Covering month ending October 2018 Fairway Estates Community Association Treasurers Report November 14, 2018 Covering month ending October 2018 $40 was deposited in annual dues, bringing the YTD total to $14,160. Our goal for the year is

More information

SECTION DESCRIPTION PAGE I. BUDGET INTRODUCTION... 1 II. FISCAL YEAR 2017 BUDGET ANALYSIS... 2 III. PROPOSED OPERATING BUDGET... 4

SECTION DESCRIPTION PAGE I. BUDGET INTRODUCTION... 1 II. FISCAL YEAR 2017 BUDGET ANALYSIS... 2 III. PROPOSED OPERATING BUDGET... 4 2018 SECTION DESCRIPTION PAGE I. BUDGET INTRODUCTION... 1 II. FISCAL YEAR 2017 BUDGET ANALYSIS... 2 III. PROPOSED OPERATING BUDGET... 4 IV. GENERAL FUND 001 DESCRIPTIONS... 6 V. DEBT SERVICE FUNDS... 9

More information

2:40 PM Park County Animal Shelter. 07/11/18 Balance Sheet Accrual Basis As of June 30, 2018

2:40 PM Park County Animal Shelter. 07/11/18 Balance Sheet Accrual Basis As of June 30, 2018 2:40 PM Park County Animal Shelter 07/11/18 Balance Sheet Accrual Basis As of June 30, 2018 Jun 30, 18 ASSETS Current Assets Checking/Savings 1010 First Bank of Wyoming-Operating Spay/Neuter Acct. 5,369.81

More information

Hunton Park COA Newsletter

Hunton Park COA Newsletter Villas @ Hunton Park COA Newsletter OCTOBER 12, 2016 VOLUME 3 Board of Directors Andrew Klein President 2015 2016 Brent Trefsgar Vice President 2013-2016 Leslee White Secretary 2015-2018 Tom Schwartz Treasurer

More information

CAPTAIN S KEY DEPENDENT DISTRICT PALM BEACH COUNTY REGULAR BOARD MEETING MAY 8, :00 P.M.

CAPTAIN S KEY DEPENDENT DISTRICT PALM BEACH COUNTY REGULAR BOARD MEETING MAY 8, :00 P.M. CAPTAIN S KEY DEPENDENT DISTRICT PALM BEACH COUNTY REGULAR BOARD MEETING MAY 8, 2018 6:00 P.M. Special District Services, Inc. The Oaks Center 2501A Burns Road Palm Beach Gardens, FL 33410 www.captainskeydd.org

More information

SECTION DESCRIPTION PAGE I. BUDGET INTRODUCTION... 1 II. FISCAL YEAR 2016 BUDGET ANALYSIS... 2 III. FINAL OPERATING BUDGET FUND

SECTION DESCRIPTION PAGE I. BUDGET INTRODUCTION... 1 II. FISCAL YEAR 2016 BUDGET ANALYSIS... 2 III. FINAL OPERATING BUDGET FUND 2017 SECTION DESCRIPTION PAGE I. BUDGET INTRODUCTION... 1 II. FISCAL YEAR 2016 BUDGET ANALYSIS... 2 III. FINAL OPERATING BUDGET FUND 001... 3 IV. GENERAL FUND 001 DESCRIPTIONS... 4 V. DEBT SERVICE FUND...

More information

SNOW REMOVAL GUIDE. City Of Orange Township. Public Works Snow Removal Hotline: (973) My Orange Hotline: (973)

SNOW REMOVAL GUIDE. City Of Orange Township. Public Works Snow Removal Hotline: (973) My Orange Hotline: (973) Mayor Dwayne D. Warren, Esq. And The Orange Municipal Council MOVING ORANGE FORWARD City Of Orange Township SNOW REMOVAL GUIDE Public Works Snow Removal Hotline: (973) 266-4030 My Orange Hotline: (973)

More information

BUDGET FOR YEAR ENDING SEPTEMBER 30, 2018

BUDGET FOR YEAR ENDING SEPTEMBER 30, 2018 Ordinary Income/Expense Income 40000 FRANCHISE FEES 40140 Other Franchise Fees 6,000.00 3,300.00 3,546.87 4,509.57 3,904.82 40100 Bowie Cass Electric 29,400.00 33,360.00 14,694.20 31,090.05 35,560.33 40110

More information

2018 City Budget - General and Water Works.irp :26 PM CITY OF CROSBYTON PAGE: 1 BUDGET LISTING AS OF: APRIL 30TH, GENERAL FUND

2018 City Budget - General and Water Works.irp :26 PM CITY OF CROSBYTON PAGE: 1 BUDGET LISTING AS OF: APRIL 30TH, GENERAL FUND 7-23-2018 02:26 PM CITY OF CROSBYTON PAGE: 1 01 -GENERAL FUND FINANCIAL SUMMARY BUDGET REVENUE SUMMARY ALL REVENUE 895,350.00 *** REVENUES *** 895,350.00 EXPENSE SUMMARY 05-LEGISLATIVE DEPARTMENT 4,600.00

More information

Sheet1. Total Unreserved Net Assets/Retained Earnings

Sheet1. Total Unreserved Net Assets/Retained Earnings WYSOX TOWNSHIP GENERAL FUND BUDGET Fund 01 2015 EQUITY 289.000 Unreserved Net Asset/Retained Earnings 289.990 Unreserved Retained Earnings 650303.44 Total 289.000 Unreserved Net Assets/Retained Earnings

More information

Working budget 2019 for Assembly review

Working budget 2019 for Assembly review INCOME: Contributions: 1 Collections 4,000.00 3,584.09 3,600.00 3,724.09 3,000.00 3,266.94 7th Tradition, silent auction Increase for 2019 seems likely proceeds, donation can given YTD figure. amounts

More information

CITY OF DWIGHT NEWSLETTER

CITY OF DWIGHT NEWSLETTER CITY OF DWIGHT NEWSLETTER Spring 2017 CITY OF DWIGHT 612 MAIN ST. PO BOX 157 DWIGHT, KS 66849 785-482-3455 CITYOFDWIGHT@TCTELCO.NET D O G R E G I S T R ATI O N S The annual Dog Clinic was held on April

More information

Financial Review. No member of the Board of Directors has reported accepting any gifts or incentive from any vendor contracted by the association.

Financial Review. No member of the Board of Directors has reported accepting any gifts or incentive from any vendor contracted by the association. Financial Review In accordance with NRS 116.31083, the financial statements for La Jolla Classic HOA for the month ending March 31st, 2015 have been provided to the Board of Directors by Mesa Management,

More information

Department Mission: Mandated Services: Department Overview:

Department Mission: Mandated Services: Department Overview: Department: Treasurer FY 2019 Proposed Budget Department Mission: Our mission is to provide financial stewardship for Klamath County by safeguarding financial resources while maximizing investment return

More information

Association Financials

Association Financials Association Financials Understanding Your Association Financial Reports Your Condomimum Homeowner Association Table of Contents 1. Balance Sheet 2. Income Expense Statement 3. Cash Disbursements 4. Receivable

More information

Neuqua Valley High School Athletic Booster Club Statement of Financial Position As of October 31, 2014

Neuqua Valley High School Athletic Booster Club Statement of Financial Position As of October 31, 2014 Statement of Financial Position As of October 31, 2014 Oct 31, 14 ASSETS Current Assets Checking/Savings 10000 Harris Bank Checking 4,222.21 10010 Harris Bank Savings 123,610.42 10900 Cash Banks 10910

More information

Lakeshore Landing Homeowners Association. Budget for Fiscal Year June 2013-May 2014

Lakeshore Landing Homeowners Association. Budget for Fiscal Year June 2013-May 2014 Lakeshore Landing Homeowners Association Budget for Fiscal Year June 2013-May 2014 PROPOSED INCOME 2013-2014 PROPOSED EXPENSE 2013-2014 PROPOSED RESERVES CLASS Common Fees $44,280 $30,375 $13,905 East

More information

TOWN OF JAMESTOWN TOWN COUNCIL RECOMMENDED BUDGET 2014/2015

TOWN OF JAMESTOWN TOWN COUNCIL RECOMMENDED BUDGET 2014/2015 70001.000 COUNCIL GENERAL GOVERNMENT.101 Salaries (5) 10,455.62 11,300.00 11,300.00 11,300.00 11,300.00.302 Fees & Supplies 632.78 1,500.00 1,500.00 1,500.00 1,500.00.305 Advertising 0.00 2,500.00 2,500.00

More information

FY18 YTD Activity by Fund Group Summary For Fiscal: Period Ending: 11/30/2017

FY18 YTD Activity by Fund Group Summary For Fiscal: Period Ending: 11/30/2017 City of Dana Point, CA FY18 by Fund Group Summary For Fiscal: 2017-2018 Period Ending: 11/30/2017 Fund: 01 - GENERAL Revenue RevenueType: 10 - Taxes & Franchises 6101 - Sec & Unsec Property Taxes 6103

More information

FARM NEWS WINTER EDITION 2015

FARM NEWS WINTER EDITION 2015 FARM NEWS WINTER EDITION 2015 IN THIS ISSUE 2014 & 2015 Completed Projects 2016 Projected CPF Initiatives A Note from the Board on Committees Snow Rules Calcium Chloride for Pavers Draining of Outside

More information

TOWN OF GRAND FALLS WINDSOR

TOWN OF GRAND FALLS WINDSOR TOWN OF GRAND FALLS WINDSOR DEPARTMENT OF ENGINEERING AND WORKS FREQUENTLY ASKED QUESTIONS FOR WINTER OPERATIONS... What streets are the first to be plowed & salted/sanded? The roads crews are each assigned

More information

LEDGEWOOD BEACH WATER DISTRICT Monthly Minutes August 8, 2017

LEDGEWOOD BEACH WATER DISTRICT Monthly Minutes August 8, 2017 LEDGEWOOD BEACH WATER DISTRICT Monthly Minutes August 8, 2017 The meeting was called to order at 2:13 p.m. Commissioners present were Don Pinter and Dale Hockstra. Andy Campbell represented Whidbey Water

More information

REQUEST FOR PROPOSALS CLOSING DATE:

REQUEST FOR PROPOSALS CLOSING DATE: Request for Proposals 110 Westlake Drive City of West Lake Hills 110 Westlake Drive REQUEST FOR PROPOSALS CLOSING DATE: Tuesday, October 23, 2018 City of West Lake Hills Request for Proposals 1 I. INTRODUCTION

More information

Independent Accountant's Compilation Report

Independent Accountant's Compilation Report MILLER, BRUSSELL, EBBEN AND GLAESKE LLC CERTIFIED PUBLIC ACCOUNTANTS POST OFFICE BOX 585 PORTAGE, WISCONSIN 53901 Independent Accountant's Compilation Report Saddle Ridge Association Ltd A Wisconsin Homeowners

More information

RESOLUTION NOW, THEREFORE, BE IT RESOLVED BY THE BOARD OF SUPERVISORS OF THE CORKSCREW FARMS COMMUNITY DEVELOPMENT DISTRICT:

RESOLUTION NOW, THEREFORE, BE IT RESOLVED BY THE BOARD OF SUPERVISORS OF THE CORKSCREW FARMS COMMUNITY DEVELOPMENT DISTRICT: RESOLUTION 2017-08 A RESOLUTION OF THE BOARD OF SUPERVISORS OF THE CORKSCREW FARMS COMMUNITY DEVELOPMENT DISTRICT APPROVING PROPOSED BUDGET(S) FOR FISCAL YEAR 2017/2018 AND SETTING A PUBLIC HEARING THEREON

More information

Rio Bravo Subdivision POA Inc. Profit & Loss Budget vs. Actual January through June 2018

Rio Bravo Subdivision POA Inc. Profit & Loss Budget vs. Actual January through June 2018 Jan 18 Budget Feb 18 Budget Ordinary Income/Expense Income 4100 Membership Contributions 4150 Annual Membership Dues - Other 4151 Homeowner Dues 80,092.80 83,253.00 4,319.48 1,080.00 4152 RV Lot Dues 182,757.60

More information

2017 BLAWNOX PROPOSED BUDGET

2017 BLAWNOX PROPOSED BUDGET 2017 BLAWNOX PROPOSED BUDGET GENERAL FUND Revenue 301 Real Estate Taxes 2016 YTD 2016 Projected YE 2017 Budget 301.10 RE-Current Taxes (8 mills) 554,705.30 564,792.34 578,618.12 301.12 RE-Fire Service

More information

Town of Southwest Ranches Statement of Revenues and Expenditures From 10/1/2011 Through 12/31/2011. Current Period Actual

Town of Southwest Ranches Statement of Revenues and Expenditures From 10/1/2011 Through 12/31/2011. Current Period Actual 01 - General Fund Revenue Ad Valorem Taxes 311000 3,007,200.12 4,102,334.00 (1,095,133.88) Franchise Fee-Electric 313100 56,486.83 490,000.00 (433,513.17) Solid Waste Franchise Fee 313700 0.00 35,000.00

More information

First (Annual?) Cheboygan Star Party by Gordon Hansen

First (Annual?) Cheboygan Star Party by Gordon Hansen First (Annual?) Cheboygan Star Party by Gordon Hansen # $ %& ' ( & ) *+* #', -$. / 01$ 23 45& 6 7 8 9:, 2& ( 8' ; 4:, 6 ' # $%%&' ( ) * ' +, # -.. # * # - )(, # ' / (*0 1 ' Time of the Season... by Dale

More information

Walnut Creek Mutual No. Sixty-Eight Comparison of 2017 Budget to 2018 Budget Per Manor per Month

Walnut Creek Mutual No. Sixty-Eight Comparison of 2017 Budget to 2018 Budget Per Manor per Month Comparison of 2017 Budget to Per Manor per Month Mutual Operations & Maintenance 2017 2018 Increase/ % $/M/M $/M/M (Decrease) Change Expenses MOD Management Fee 44.88 48.73 3.85 8.6% Building Maint. &

More information

Independent Accountant's Compilation Report

Independent Accountant's Compilation Report MILLER, BRUSSELL, EBBEN AND GLAESKE LLC CERTIFIED PUBLIC ACCOUNTANTS POST OFFICE BOX 585 PORTAGE, WISCONSIN 53901 Independent Accountant's Compilation Report Saddle Ridge Association Ltd A Wisconsin Homeowners

More information

CUSTER COUNTY SNOW REMOVAL PROCEDURES

CUSTER COUNTY SNOW REMOVAL PROCEDURES CUSER COUNY SNOW REMOVAL PROCEDURES Prioritization of Plow Routes County-maintained roads are plowed based upon the following prioritization criteria: 1. Arterial Roadways and School Bus routes: Arterial

More information

NAPA VALLEY DOG TRAINING CLUB BOARD MEETING MINUTES September 3, 2018 Page 1 of 2

NAPA VALLEY DOG TRAINING CLUB BOARD MEETING MINUTES September 3, 2018 Page 1 of 2 NAPA VALLEY DOG TRAINING CLUB BOARD MEETING MINUTES September 3, 2018 Page 1 of 2 I. CALL TO ORDER A. President, Linda Luchsinger, called the meeting to order at 6:40 PM. B. Board members present: Marilane

More information

Real Estate Investor Calculator Project Workbook. Quick Estimate Factors MAIN DATA ENTRY

Real Estate Investor Calculator Project Workbook. Quick Estimate Factors MAIN DATA ENTRY MAIN DATA ENTRY 1 2 Current List / Asking Price: $ 175,000.00 Project Updated: 12/18/17 Original or Current Appraised / Market Value / AsIs: $ 180,000.00 AsIs Date: 12/18/17 Est. Resale Value / Post Renovations

More information

3D Image Transforms by John Kirchhoff

3D Image Transforms by John Kirchhoff 3D Image Transforms by John Kirchhoff # $% &' () ( ( )*+, +(. /0 1 ) / %234 #$%&'( ) * +*$,''#) '' '#)## $).$/ 0121 )3)%45667121 8 ) * ('#)992) :;9

More information

October 2018 Monthly Financial Statements

October 2018 Monthly Financial Statements October 2018 Monthly Financial Statements Prepared by City Treasurer s Office 11.5.2018 CASH AND INVESTMENTS BY FUND October 31, 2018 GENERAL FUND 10-100000 CASH AND INVESTMENTS 2,148,760 10-100050 SPECIAL

More information

CLEARING THE WAY CAUTION. brampton.ca/snow

CLEARING THE WAY CAUTION. brampton.ca/snow CLEARING THE WAY CAUTION brampton.ca/snow Who clears the roads? Not all roads in Brampton are the responsibility of the City of Brampton. The Region of Peel does winter maintenance on the major roads highlighted

More information

City of Rhinelander Snow and Ice Policy

City of Rhinelander Snow and Ice Policy City of Rhinelander Snow and Ice Policy General: Policy: Procedure: The ability to react promptly and decisively to varying winter weather conditions with regard to snow removal and ice control on city

More information

Source: % % FINANCING SHORT TERM HOLDING / RESALE. 30 Maximun Offer to Resell (Fix/Flip): $ 424,000.00

Source: % % FINANCING SHORT TERM HOLDING / RESALE. 30 Maximun Offer to Resell (Fix/Flip): $ 424,000.00 MAIN DATA ENTRY Current List / Asking Price: $ 499,000.00 Project Updated: 11/15/17 Original or Current Appraised / Market Value / AsIs: $ 520,000.00 AsIs Date: 11/1/17 Est. Resale Value / Post Renovations

More information

SNOW CONTROL OPERATIONS

SNOW CONTROL OPERATIONS SNOW CONTROL OPERATIONS PUBLIC WORKS TEAM STREET MAINTENANCE DIVISION SNOW CONTROL OPERATIONS Standard Operating Procedures for Snow Removal Operations. 1. Plowing operations will be initiated when snow

More information

Friends of the Museums of Florida History, Inc Balance Sheet Prev Year Comparison As of August 31, 2010

Friends of the Museums of Florida History, Inc Balance Sheet Prev Year Comparison As of August 31, 2010 Balance Sheet Prev Year Comparison As of August 31, 2010 Aug 31, 10 Aug 31, 09 ASSETS Current Assets Checking/Savings Wachovia - Restricted Account 62,396.36 65,892.04 Wachovia - FMFH 21,814.88 20,733.76

More information

Kemmerer Parks and Recreation Department Community Survey

Kemmerer Parks and Recreation Department Community Survey Kemmerer Parks and Recreation Department Community Survey Please take a moment to fill out the questionnaire and return to Kemmerer City Hall by March 27, 2015 1. Listed below are programs and activities

More information

Minutes for June 4, 2018 Special City Council Meeting

Minutes for June 4, 2018 Special City Council Meeting Minutes for June 4, 2018 Special City Council Meeting The special meeting of the Eureka City Council was called to order on June 4, 2018, at 5:35 p.m. by Mayor Miller in the council room of the Municipal

More information

Jan - Dec 16 Budget $ Over Budget Income 300 TAXES Real Estate Taxes , ,500.00

Jan - Dec 16 Budget $ Over Budget Income 300 TAXES Real Estate Taxes , ,500.00 Jan - Dec 16 Budget $ Over Budget Income 300 TAXES 301.000 Real Estate Taxes 0.00 182,500.00-182,500.00 302.000 Fire Tax 0.00 30,000.00-30,000.00 310.000 Per Capita Taxes 0.00 0.00 0.00 310.100 Real Estate

More information

Ocean Neighbors. Community Newsletter Fall What s ON Oceanneighbors.com. It s Oyster Roast Time! Saturday, November 3

Ocean Neighbors. Community Newsletter Fall What s ON Oceanneighbors.com. It s Oyster Roast Time! Saturday, November 3 Charleston, SC Ocean Neighbors Community Newsletter Fall 2012 Oceanneighbors.com facebook.com/groups/oceanneighbors twitter.com/oceanneighbors! ATE D P U It s Oyster Roast Time! Saturday, November 3 2-5pm

More information

CITY OF OSAGE BEACH. Financial Statements

CITY OF OSAGE BEACH. Financial Statements CITY OF OSAGE BEACH Financial Statements June 30, 2018 CASH AND INVESTMENTS BY FUND June 30, 2018 GENERAL FUND 10-100000 CASH AND INVESTMENTS 1,966,171 10-100050 SPECIAL POLICE PROJECTS 5,321 10-100141

More information

FINANCIAL REPORT. Parkside Villas Homeowners Association, Inc.

FINANCIAL REPORT. Parkside Villas Homeowners Association, Inc. 7101 US HWY 19 NORTH, UNIT C PINELLAS PARK, FL 33781 727-914-4976 FAX 727-914-6925 FINANCIAL REPORT PERIOD ENDING NOVEMBER, 2016 FOR: Parkside Villas Homeowners Association, Inc. St Petersburg, Florida

More information

RESOLUTION NO. q c X/ A RESOLUTION OF THE CITY OF WIMBERLEY, TEXAS ADOPTING THE CITY OF WIMBERLEY BUDGET FOR THE FISCAL YEAR

RESOLUTION NO. q c X/ A RESOLUTION OF THE CITY OF WIMBERLEY, TEXAS ADOPTING THE CITY OF WIMBERLEY BUDGET FOR THE FISCAL YEAR RESOLUTION NO. q c X/ A RESOLUTION OF THE CITY OF WIMBERLEY, TEXAS ADOPTING THE CITY OF WIMBERLEY BUDGET FOR THE FISCAL YEAR BEGINNING OCTOBER 1, 2014 AND ENDING SEPTEMBER 30, 2015 t WHEREAS, the proposed

More information

Summary of Main Checking Account

Summary of Main Checking Account December 31, 2014 Summary of Main Checking Account Cash In Cash Out Net Change Prior Month Current Pre-Paid Sub Total Current Pre-Paid Sub Total Current Pre-Paid Total Year October 34,667.52 20,265.00

More information

VILLAGE OF JAMAICA BEACH GENERAL FUND BUDGET FY

VILLAGE OF JAMAICA BEACH GENERAL FUND BUDGET FY Ordinary Income/Expense Income NON-BUDGETED REVENUE 603 TAX-COURT FINES 0.00 604 MULTIUSE FEES-COURT 5,000.00 604A COLLECTION AGCY FEES-COURT 0.00 604B LEA 2,000.00 605A MCBS-COURT 0.00 605B MUNI COURT

More information

THE PINES CONDOMINIUM ASSOCIATION, INC. 07/31/2018 FINANCIAL STATEMENTS

THE PINES CONDOMINIUM ASSOCIATION, INC. 07/31/2018 FINANCIAL STATEMENTS THE PINES CONDO. 0719 THE PINES CONDOMINIUM ASSOCIATION, INC. FINANCIAL STATEMENTS Included Reports Copies BALANCE SHEET 1 STATEMENT OF CASH FLOW 1 STATEMENT OF OPERATIONS VARIANCE 1 THE PINES CONDOMINIUM

More information

THE QAA. Newsletter of the Quiet Aircraft Association REUNION. Quiet Aircraft Association September 25-27, 2015

THE QAA. Newsletter of the Quiet Aircraft Association REUNION. Quiet Aircraft Association September 25-27, 2015 THE QAA Newsletter of the Quiet Aircraft Association http://quietaircraft.org 2015 REUNION Quiet Aircraft Association September 25-27, 2015 Crowne Plaza Concord/Walnut Creek, CA Thursday, September 24

More information

THE PARKE AT OCEAN PINES HOME OWNERS ASSOCIATION, INC. Policy Resolution Snow Removal Policy

THE PARKE AT OCEAN PINES HOME OWNERS ASSOCIATION, INC. Policy Resolution Snow Removal Policy THE PARKE AT OCEAN PINES HOME OWNERS ASSOCIATION, INC. Policy Resolution 20141029 Snow Removal Policy THIS POLICY RESOLUTION 20141029, Snow Removal Policy is made, effective as of October 29, 2014 by THE

More information

ASSETS 175, , , , , ,936, ,210, ,210, , , , (5,975.00) 330.

ASSETS 175, , , , , ,936, ,210, ,210, , , , (5,975.00) 330. Balance Sheet ASSETS Chase Bank Operations - Chase I & I Program Capital Expenditures Construction $ 175,688.99 5,845.66 7,006.03 85,790.09 Total Chase Bank 274,330.77 Texpool Operations - Texpool I &I

More information

Checking private survey maps for compliance with Oregon statutes and file them in the Surveyor s Office as public records.

Checking private survey maps for compliance with Oregon statutes and file them in the Surveyor s Office as public records. Department: Surveyor FY 2019 Proposed Budget Department Mission: To provide the citizens an organized facility to research the surveying records and to provide for the safe keeping of the public records

More information

CITY OF OSAGE BEACH. Financial Statements

CITY OF OSAGE BEACH. Financial Statements CITY OF OSAGE BEACH Financial Statements February 28, 2018 CASH AND INVESTMENTS BY FUND February 28, 2018 GENERAL FUND 10-100000 CASH AND INVESTMENTS 2,085,034 10-100050 SPECIAL POLICE PROJECTS 5,317 10-100141

More information

President s Message. St. Phillip Rink News. Adelaide Park Church Community Association Newsletter Winter D e c e m b e r,

President s Message. St. Phillip Rink News. Adelaide Park Church Community Association Newsletter Winter D e c e m b e r, Adelaide Park Church Community Association Newsletter Winter 2014 P a g e 1 D e c e m b e r, 2 0 1 4 President s Message I n s i d e t h i s i s s u e : Winter Programming Zumba! 4 notifynow! 5 Sidewalk

More information

50.03 Insurance Reimbursments 1, , ,

50.03 Insurance Reimbursments 1, , , REVENUE REPORT Page: 1 2:45 pm Dept: 10 GENERAL REVENUE DEPT. 41.01 Property taxes 390,000.00 390,000.00 0.00 0.00 0.00 390,000.00 0.0 41.02 Sales taxes 375,000.00 375,000.00 29,480.43 29,480.43 0.00 345,519.57

More information

50.03 Insurance Reimbursments 1, , ,

50.03 Insurance Reimbursments 1, , , REVENUE REPORT Page: 1 2:48 pm Dept: 10 GENERAL REVENUE DEPT. 41.01 Property taxes 390,000.00 390,000.00 285,446.86 86,726.22 0.00 104,553.14 73.2 41.02 Sales taxes 375,000.00 375,000.00 163,596.78 33,784.70

More information

Town of Windsor. Department of Public Works

Town of Windsor. Department of Public Works Town of Windsor Department of Public Works 860.285.1855 TOWN OF WINDSOR PUBLIC WORKS SNOW REMOVAL PLAN In Windsor, as throughout the New England states, winter can bring a variety of weather conditions

More information

Solar Open House Toolkit

Solar Open House Toolkit A Solar Open House is an informal meet and greet at a solar homeowner s home. It is an opportunity for homeowners who are considering going solar to see solar energy at work, ask questions about the process

More information

request of the Board: A. Any vehicle with protruding equipment - ladders, racks, etc., affixed to it. B. Oversized vehicles of a size, width, or height, which impairs or impedes any other vehicle, pedestrian,

More information

Total Rental Revenue 353, , , ,708, ,670, , ,065,155.81

Total Rental Revenue 353, , , ,708, ,670, , ,065,155.81 The Meadows (meadows) Page 1 REVENUE Rent Income Rent Revenue 375,500.00 375,249.00 251.00 0.07 2,861,791.81 2,852,686.81 9,105.00 0.32 4,357,760.81 Loss to Lease 561.00-1,887.00 2,448.00 129.73-777.00-9,870.00

More information

Just a Few Keystrokes Away

Just a Few Keystrokes Away 0 8/8/2018 Financial Literacy Just a Few Keystrokes Away 1 Table of Contents Page 0 Page 1 Page 2 Page 3 Page 4 Page 5 Page 6 Page 7 Page 8 Page 9 Page 10 Page 11 Page 12 Page 13 Page 14 Page 1518 Cover

More information

Palatka Gas Authority Print Itemized Budgets. Itemized Budget Version For Year / Rev&Exp Accounts / Accts Matching: * BUDGET

Palatka Gas Authority Print Itemized Budgets. Itemized Budget Version For Year / Rev&Exp Accounts / Accts Matching: * BUDGET Page 1 of 5 0343.201 GAS SALES-RESIDENTIAL-INSIDE CITY 2017 ACT: 484,483.98 2018 FYR: 559,066.98 EST: 0.00 2019 BGT: 581,000.00 0343.202 GAS SALES-SMALL COMMERCIAL-INSIDE CI... 2017 ACT: 31,399.37 2018

More information

Town of New Haven 2015 Budget

Town of New Haven 2015 Budget 1 REVENUES TAXES Property Taxes from Local Levy 149,820.00 185,707.00 185,707.00 197,137.00 6.155% Other Taxes (MFL from WI DNR) 33,750.00 684.00 2,000.00 700.00 TOTAL TAXES 183,570.00 186,391.00 187,707.00

More information

SECTION DESCRIPTION PAGE I. BUDGET INTRODUCTION... 1 II. FISCAL YEAR 2017 BUDGET ANALYSIS... 2 III. PROPOSED OPERATING BUDGET... 3

SECTION DESCRIPTION PAGE I. BUDGET INTRODUCTION... 1 II. FISCAL YEAR 2017 BUDGET ANALYSIS... 2 III. PROPOSED OPERATING BUDGET... 3 2018 SECTION DESCRIPTION PAGE I. BUDGET INTRODUCTION... 1 II. FISCAL YEAR 2017 BUDGET ANALYSIS... 2 III. PROPOSED OPERATING BUDGET... 3 IV. GENERAL FUND 001 DESCRIPTIONS... 4 V. DEBT SERVICE FUNDS... 6

More information

IBERIA PARISH GOVERNMENT GENERAL FUND FROM JAN 2018 TO DEC 2018

IBERIA PARISH GOVERNMENT GENERAL FUND FROM JAN 2018 TO DEC 2018 IBERIA PARISH GOVERNMENT GENERAL FUND FROM JAN 2018 TO DEC 2018 411101 ADV TAX - GNRL ALIMONY -1,707,975.00 0.00-1,707,975.00-1,630,243.52 0.00-77,731.48 95.40% 414101 ALCOHOLIC BEVERAGES -14,800.00 0.00-14,800.00-14,226.59

More information

HOW TO USE THE SBDC FINANCIAL TEMPLATE

HOW TO USE THE SBDC FINANCIAL TEMPLATE HOW TO USE THE SBDC FINANCIAL TEMPLATE It is strongly suggested that, if you are not well acquainted with Financial Statements and their interrelationships, that you seek the assistance of the Small Business

More information

12:45 PM Phoenix Bioinformatics Corporation. 03/27/15 Statement of Financial Income and Expense Accrual Basis January through December 2014

12:45 PM Phoenix Bioinformatics Corporation. 03/27/15 Statement of Financial Income and Expense Accrual Basis January through December 2014 12:45 PM Phoenix Bioinformatics Corporation 03/27/15 Statement of Financial Income and Expense Jan - Dec 14 Ordinary Income/Expense Income 43400 Direct Public Support 980.00 45000 Investments 1.12 46400

More information

MARION TOWNSHIP General Fund Amended Budget July June 2011

MARION TOWNSHIP General Fund Amended Budget July June 2011 Income 44020 PROPERTY TAX 311,229.66 310,000.00 1,229.66 310,000.00 44021 TAX CHARGE BACKS -792.74-1,250.00 457.26-1,250.00 44025 ADMIN FEES 91,390.22 90,000.00 1,390.22 90,000.00 44100 BOARD OF REVIEW

More information

CASTLE MOUNTAIN CREEKS Profit & Loss Budget vs. Actual April Mthly Budget YTD Costs YTD Budget Annual Budget

CASTLE MOUNTAIN CREEKS Profit & Loss Budget vs. Actual April Mthly Budget YTD Costs YTD Budget Annual Budget Income 40010 Dues 33,425.93 34,398.00 187,557.19 187,965.47 211,680.00 40020 Water Bills 949.44 8,500.00 32,706.81 40,217.18 48,000.00 40030 Water Plant Replacement Fund 2,387.76 2,457.00 13,401.72 13,430.67

More information

CITY OF NEW LONDON WINTER ROAD & SIDEWALK MAINTENANCE POLICY

CITY OF NEW LONDON WINTER ROAD & SIDEWALK MAINTENANCE POLICY CITY OF NEW LONDON WINTER ROAD & SIDEWALK MAINTENANCE POLICY GENERAL The purpose of this policy is to set up acceptable procedures and policies for the winter maintenance of public areas in the City of

More information

Bulletin Board. From Mayor s Desk... Jan - Mar this issue... City Numbers. Candidate Filing Information / 2016 Budget P. 3

Bulletin Board. From Mayor s Desk... Jan - Mar this issue... City Numbers. Candidate Filing Information / 2016 Budget P. 3 Bulletin Board Jan - Mar 2 016 this issue... Candidate Filing Information / 2016 Budget P. 3 Published by the City of Brentwood Missouri Public Works Reminders P. 4 City Calendar P. 5 Police Department

More information

ATTENTION PARENTS/GUARDIANS PLEASE READ THE ATTACHED INFORMATION AND RETAIN FOR YOUR RECORDS OR RETURN IF APPLICABLE

ATTENTION PARENTS/GUARDIANS PLEASE READ THE ATTACHED INFORMATION AND RETAIN FOR YOUR RECORDS OR RETURN IF APPLICABLE Please frequent our website for ongoing news and information at www.coralspringscharter.org ATTENTION PARENTS/GUARDIANS PLEASE READ THE ATTACHED INFORMATION AND RETAIN FOR YOUR RECORDS OR RETURN IF APPLICABLE

More information

2018 Marfa Lights Festival Vendor Booth Application

2018 Marfa Lights Festival Vendor Booth Application 2018 Marfa Lights Festival Vendor Booth Application Application Deadline: July 31, 2018 2018 Marfa Lights Festival Dates and Hours FRIDAY, August 31st - 5 pm to 12 am SATURDAY, September 1st - 10 am to

More information

Department Mission: Non-Mandated Services: TITLE 33

Department Mission: Non-Mandated Services: TITLE 33 Department: Veterans FY 2019 Proposed Budget Department Mission: To give aid and assistance to any veteran, the spouse or dependents of the veteran or the survivors of the veteran in applying for all benefits

More information

Lakeway MUD - General Fund. Balance Sheet March 31, 2014 ASSETS

Lakeway MUD - General Fund. Balance Sheet March 31, 2014 ASSETS ~. Chase Bank Operations - Chase $ 62,553.83 I & I Program 5,845.66 Capital Expenditures 7,006.03 Construction 79,700.79 Balance Sheet March 31, 2014 ASSETS Total Assets $ s, 1 77,872.65 Total Other Assets

More information

CAPRON TRAIL COMMUNITY DEVELOPMENT DISTRICT

CAPRON TRAIL COMMUNITY DEVELOPMENT DISTRICT CAPRON TRAIL COMMUNITY DEVELOPMENT DISTRICT ST. LUCIE COUNTY REGULAR BOARD MEETING & PUBLIC HEARING AUGUST 28, 2017 1:30 P.M. Special District Services, Inc. The Oaks Center 2501A Burns Road Palm Beach

More information

UNFINISHED BUSINESS 1. Issue 1 Funding No update.

UNFINISHED BUSINESS 1. Issue 1 Funding No update. STREETS COMMITTEE MINUTES APRIL 4, 2017 The Streets Committee meeting was held on April 4, 2017 at North Royalton City Hall, 14600 State Road. The meeting was called to order at 6:21 p.m. PRESENT: Committee

More information

POWER RANCH COMMUNITY ASSOCIATION MONTHLY FINANCIAL REPORTS BOARD OF DIRECTORS APRIL 2018

POWER RANCH COMMUNITY ASSOCIATION MONTHLY FINANCIAL REPORTS BOARD OF DIRECTORS APRIL 2018 290 POWER RANCH COMMUNITY ASSOCIATION FINANCIAL REPORTS BOARD OF DIRECTORS APRIL 2018 Included Reports Copies SHEET OPERATING (UNAUD 1 OPERATING STATEMENT - DETAIL ( 1 CAPITAL FUND SHEET - U 1 CAPITAL

More information

Treasurer Report September 12, 2016

Treasurer Report September 12, 2016 Treasurer Report September 12, 2016 As of September 6, 2016 we have a net income loss of $2,950, about the same as last year at this time when ICHS was at a loss of $2,713. We have roughly $59,000 in the

More information

CITY OF BEAVER DAM SNOW & ICE REMOVAL POLICY

CITY OF BEAVER DAM SNOW & ICE REMOVAL POLICY CITY OF BEAVER DAM SNOW & ICE REMOVAL POLICY Revised January, 2016 Approved by Operations Committee: February 1, 2016 This snow and ice removal policy guides Public Works personnel with deicing, plowing,

More information

GENERAL FUND - TOWNWIDE

GENERAL FUND - TOWNWIDE 01/23/2018 10:58:16 TOWN OF CATON GENERAL FUND - TOWNWIDE TRIAL BALANCE ASSETS CASH A200 CASH - CHECKING 1,442.77 A201 CASH - MONEY MARKET 297,403.16 A202 CERTIFICATES OF DEPOSIT 0.00 A210 PETTY CASH-TOWN

More information

Num Date Name Account Paid Amount. draft 09/05/2017 City of Lebanon F 1946 RR. c /05/2017 Electric TOTAL

Num Date Name Account Paid Amount. draft 09/05/2017 City of Lebanon F 1946 RR. c /05/2017 Electric TOTAL 3:34 PM Reveres Run Home Owners Association 10/03/17 Check Detail September 2017 Num Date Name Account Paid Amount draft 09/05/2017 City of Lebanon F 1946 RR c163000502 09/05/2017 Electric -88.36 TOTAL

More information