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HomeMy WebLinkAboutTreasurer's Report for June 13, 2011.PDFL TREASURER'S REPORT FOR JUNE 13,2011 Financial Report * The financial report for April 2011 was prepared and distributed in advance bv Jeff Silber. Abstract - The abstract for this meeting was distributed in advance and the supplemental abstract is attached. Bonding - A Bond Anticipatipn Note for improvements to the water distribution system was renewed for one lear on May 27,201 l. A Bond Anticipation Note for the p,urchase of the new fiqe engine was issued for one year on May 3 | ,201L Budget * The budget for fiscdl year end May 31,2012 is being finalized by Jeff Silber. ]IESOLVED to the Abstract of Audited Vouchers dated June 13, 201 I in the amount ofl $3+S,t 83.41 and the Supplemental Abstract of ,{udited Vouchers datbd June 13,2011 in the amount of $733.76 and instruct that the Treasfrer make payments thereon. Respectfully submitted, Steven Greenberg Treasurer z. J. 4. 5. = o OOOOK EEI + SS++di 6tl d daoa; o El N $9-PB x,zl : ;6fi6 A O OOOOp- ol trlNl azlx* 5I E EE?*al x 6zr!i!Ul O ESur:<l .. oaE F i'\ =*v'4 gULHH ;qiilq - VEffTF Zlrll-Fl< ad,a& O O €N$N 9 Ah h oho$ N rr r rar;cj s ri6 6 6Q69 q mNNhT al {l p, I B FI HEA:Y ) r)<;tr4E6 Sr EF EI EX O? El is rr H Efi ;g dl E'a E< fii *,t >> Fj gil e 7 6 .:E hE 3 So rE : ig*E3 s t;,qrH E" EJTEa i Fd,;& !l oO iE 6a.! oo 3 ie HJ c) h|l. o-. < ci -. trg EqS*" > (J#< EHoed@ = - &e 6.j NS = E,H+Y = E4 i( -vH- i{NNNN E ;5 E 5555 3 AN > NNNN I 8R.9 .2rl!- H X N6$h H ,: €E,Pt=€€ 6@F ol OI>l ? :iIi6 0tii Ft cl zl (nF U JFl