City of Crouch – Annual Road and Street Financial Report

Fiscal Year Ending September 30, 2020

Beginning Balance as of October 1, Previous Year……$713.00

Receipts – LOCAL FUNDING SOURCES

Interest Income ……………………………………………………. $93.00

All other Local receipts or transfers in ………………..… $00.00

STATE FUNDING SOURCES

Highway user Revenue …………………………………….. $8003.00

TOTAL RECEIPTS ………………………………………………. $8003.00

DISPURSEMENTS

Reconstruction/Replacement/Rehabilitation……..……..$0.00

Snow Removal …………………………………………….…. $2,400.00

Equipment Lease …………………………………………..…..……0.00

ADMINISTRATION

Administrative Salaries and Expenses ………………$2000.00

OTHER

Street Lighting …………………………………………………$1,600.00

Professional Services …………………………………..………$245.00

Portable toilet………………………………………………….. $1200.00

TOTAL DISBURSEMENTS……………………………….. $7445.00

Receipts over Disbursements …………….……………… $ 651.00

Other Adjustments ………………………………………………… $0.00

CLOSING BALANCE ……………………………………….. $ 1364.00

Funds obligated for specific future projects.….…… $ 1364.00

Funds retained for general funds and ………….…………. $0.00

ENDING BALANCE …………………………………………………$0.00

Dated January 6, 2021

E. S. Becker/City Clerk

Robert Powell/Mayor