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HomeMy WebLinkAbout05 16 2009 POP Quarterly Finance ReportPROOF OF PUBLICATION STATE OF IDAHO County of Bannock LN16365 KAREN MASON being first duly sworn on oath deposes and says: that SHE was at all times herein mention a citizen of the United States of America more than 21 years of age, and the Principal Clerk of the Idaho State Journal, a daily newspaper, printed and published at Pocatello, Bannock County, Idaho and having a general circulation therein. That the document or notice, a true copy of which is attached, was published in the said IDAHO STATE JOURNAL, on the following dates, to -wit: _May_16 2009 2009 2009 2009 2009 2009 2009 2009 That said paper has been continuously and uninterruptedly published in said County for a period of seventy-eight weeks prior to the publication of said notice of advertisement and is a newspaper within the meaning of the laws of Idaho. STATE OF IDAHO COUNTY OF BANNOCK On this 19 of May in the year of 2009, before me, a Notary Public, personally appeared KAREN MASON Known or identified to me to be the person whose name subscribed to the within instrument, and being by me first duly sworn, declared that the statements therein are true, and S'EO/ acknowledge to me that he executed the same. v: '� = ary of Public NOTARY OR f� Residing at Arimo Comm. Exp.2/2015 TE of SOV- CITY OF CHUBBUCK TREASURER'S QUARTERLY FINANCE REPORT Three Months Ending, March 31, 2009 "CITIZENS ARE INVITED TO INSPECT THE DETAILED SUPPORTING RECORDS OF THE ABOVE FINANCIAL STATEMENT." 1st Ran C. Conlin Ran C. Conlin, City Clerk -Treasurer 01/01/2009 RECEIPTS EXPENSES 03131(2009 % BALANCE BALANCE USED GENERAL FUND $ 551,610.50 $ 2..278.903.02 $ 1,444,864.04 $ 1.385,648.48 46.8'ra WATER FUND $ 1,003,546.33 $ 392,282.25 $ 329,520.59 S 1,066.307,99 38.7% SANITATION FUN $ 43,724.42 $ 763,15253 $ 252,940.72 $ 553,936.23 54.2°a SEWER FUND $ 941,440.29 $ 529,875.27 $ 482.894.92 $ 988.420.64 64.7% CAPITAL IMPROVEMENT SN -SW -WW -HSR $ 887,093.75 $ 141.68 S -0- $ 887;235.43 WW -SW EMERG. SERVICE FUND $ 147,633.27 $ -0- $ -0- $ 147.633,27 SPECIAL REV, FUND $ 451,256.57 $ 13.672.53 $ 2,700.00 $ 462,229.10 TAX INCREMENT FUNDS $ 542,521.43 $ 915,135.57 $ 56,155.84 S 1,401,501.6 37.4% SEWER REFUND FUND $ 168,696.00 $ -0- $ -0- $ 168,69F.00 EMPLOYEE BENEFIT PLAN S 73,406.34 $ 2721169.21 $ 278,427,36 $ 67148.19 57.6% WATER CONNECTION FE $ 368,442.00 $ 11,250.00 $ -0- $ 379,692.00 SEWER , CONNECTION FE S 177,920.00 $ 5,000.00 $ -0- $ 182.920.00 PETTY CASH $ 170.00 $ 170.00 TOTALS $ 5,357,460,90 $ 5,181,582.06 S 2,847,5173.47 $ 7.691.539.49 "CITIZENS ARE INVITED TO INSPECT THE DETAILED SUPPORTING RECORDS OF THE ABOVE FINANCIAL STATEMENT." 1st Ran C. Conlin Ran C. Conlin, City Clerk -Treasurer