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2021 Year End GL Detail Reports
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Last modified
1/13/2025 8:27:51 AM
Creation date
3/11/2022 3:21:31 PM
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Title
2021 Year End GL Detail Reports
Start Date
3/11/2022
End Date
12/31/2029
Department
Treasurer
Author
Lisa Murray
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670031 WATER DISTRICT #7 PUBLIC WORKS TRUST FUND LOAN <br />For Date Range: 01/01/2021 To: 12/31/2021 <br />General Ledger Detail Report <br />Beginning Cash Balance $29,090.51 <br />Cash Receipts $21,790.00 <br />Other Non Revenue $6,537.00 <br />Subtotal Cash Increases $28,327.00 <br />Cash To Fiscal Agent -$24,150.16 <br />Subtotal Cash Decreases -$24,150.16 <br />Ending Cash Balance $33,267.35 <br />Beginning Cash Fiscal Agent $0.00 <br />Cash To Fiscal Agent $24,150.16 <br />Bonds Redeemed Non Voted -$22,783.17 <br />Bonds Interest Non Voted -$1,366.99 <br />Ending Fiscal Agent Cash $0.00 <br />$136,699.05Beginning Unmatured Non Voted Bonds Outstanding <br />-$22,783.17Bonds Redeemed Non Voted <br />$113,915.88Ending Unmatured Non Voted Bonds Outstanding <br />(c)2002 Cashtax All Rights Reserved www.balancedaction.com
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