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HomeMy WebLinkAbout1985 FIFD Revised 12/83 ANNUAL REPORT OF THE MAR 10 1986 TREASURER tQVM Cwk saw .d T OF (Nome of Districty TOWN of 5 AJ��,���� COUNTY OF FOR THE FISCAL YEAR ENDED DECEMBER 31, 19 cf� AUTHORIZATION Article 3, Section 30 of the General Municipal Law �r�� •�• every •�• improvement and special district shall annually make a report of its financial condition to the comptroller. Such report shall be made by t!. cn,sf fiscal officer of each municipal corporation '••. Such reports shall include the financial transactions of 'oint services defined by section one hundred nineteen.n of this chapter. —. S. All reports shall be certified by the officer making the some and shall be filed with the comptroller within sixt�y' days after the close of the fiscal year of such municipal corporation, district, 1". Every such officer shall also, within sixty days after , a expiration of his farm of office, or his resignation or removal therefrom, make a report to the comptroller of the financial condition of such municipal corporation, district, ••• on the date f the expiration of his term of office, or his resignation or removal from office, as the case may be. The refusal or wilful neglect of such officer to file a report as herein prescribed shall be a misdemeanor and subject the fjponciol officer so refusing or neglecting to a penalty of five dollars per day for each day's delay beyond the sixty days to be paid on demand of the comptroller." X====t STATE OF NEW YORK OFFICE OF THE STATE COMPTROLLER DIVISION OF MUNICIPAL AFFAIRS ALBANY, NEVA YORK 12236 . , GENERAL FUND BALANCE SHEET ASSETS Account Code Cash 200 Cash in Time Deposits 201 Petty Cash 210 Cash from Budget Notes 220 Cash for Revenue Anticipation Notes 222 Cash for Bond Interest and Matured Bonds 223 Cash, Special Reserve Funds 230 Total Cash Accounts Receivable 380 $ Due from Other Funds 391 State and Federal Governments 410 �H 64,E_ Due from Other Governments 440 Total Receivables X5'. Inventory of Materials and Supplies 445 $ Temporary Investments 450 Investments, Special Reserve Funds 452 Total Investments TOTAL ASSETS 8009 LIABILITIES, RESERVES AND FUND BALANCE Accounts Payable 600 $ Customers Deposits 615 Revenue Anticipation Notes Payable 621 Budget Notes Payable 622 Bond Interest and Matured Bonds Payable 629 Due to Other Funds 630 Due to Other Governments _ 631 f 1�1 aha 69$ Overpayments and Cole tion � !Cdvo Total Liabilities Reserve for Encumbrances, Current Year 700 $ Reserve for Encumbrances, Prior Years 701 Reserve for Inventory of Materials and Supplies 720 Reserve for Accounts Receivable 730 Reserve for Repairs 882 Reserve for Bonded Debt 884 Total Reserves L/ Fund Balance 909 TOTAL LIABILITIES, RESERVES AND FUND BALANCE 8019 $ - t REVENUES REAL PROPERTY TAX ITEMS: ' Real Property Taxes 1001 $ ��S%�•� Special Assessments 1030 Total Real Property;Tax Items $ Penalties on Special Assessments 1091 DEPARTMENTALINCOME: $ 1331otal Departmental income 2399 USE OF MONEY AND PROPERTY: Interest and Earnings 2401 $ 'yam•��� . Commissions 2450 Other(specify) Total Use of Money and Property 'yam fj y�l SALE OF PROPERTY AND COMPEN- SATION FOR LOSS: Sales of Scrap and Excess Materials 2650 $ Sales of Equipment 2665 Insurance Recoveries 2680 Other(specify) Total Sales and Compensation for Loss MISCELLANEOUS: Refunds of Appropriation Expenses of Prior Years 2701 $ Other specify) Total Miscellaneous INTERFUND REVENUES: Transfer from Fund j Transfer from Fund Total Interfund Revenues STATE AID: S Total State Aid FEDERAL AID: S Total Federal Aid Total District Revenues (Transfer to page 4) 5000 S MON-REVENUE RECEIPTS: S Total Non-Revenue Receipts 5999 Total Cash Receipts 6000 $ 2 .t FISHERS ISLAND -FERRY DISTRICT ANNUAL REPORT OF THE TREASURER EXPENSES - PAGE 3 OPERATING EXPENSE - CONTRACTUAL EXPENSES .4 OPERATION OF FERRY 146 ,754 . OFFICE EXPENSE 4 , 959. COMMISSIONER FEES 2 ,275 . ACCOUNTING 400 . AIRPORT 14 ,236. THEATER 8,645 . U.S. MAIL 3 , 60,0 . INSURANCE 76 ,239. PROPERTY TAXES 2 , 961 . ATTORNEY FEES 850 . REPAIRS - FERRY 33 ,526. INSURANCE CLAIMS 1 ,227 . REPAIRS - DOCKS 236 ,348. TOTAL: 532 ,020 . J EXPENSES PERSONAL CONTRACTUAL SERVICES EQUIPMENT EXPENSES TOTAL 1 2 4 0 OPERATING EXPENSES: 5513. Total Operating Expenses 1 2 4 0 EMPLOYEE BENEFITS: State Retirement 9010.8 Social Security 9030.8 Workmens Compensation 9040.8 Life Insurance 9045.8 Unemployment Insurance 9050.8 Disability Insurance 9055.8 Hospital/Medical Insurance 9060.8 Total Employee Benefits 9199.0 INTERFUND TRANSFERS: Transfer to Fund S Transfer to Fund Total Interfund Transfers S DEBT SERVICE: PRINCIPAL: Serial Bonds 9710.6 $ Statutory Bonds 9720.6 Bond Anticipation Notes 9730.6 Capital Notes 9740.6 Buaget Notes 9750.6 Revenue Anticipation Notes 9770.6 Total Principal 3 _3z) ' INTEREST: Serial Bonds 9710.7 $ ,/G�s• Statutory Bonds 9720.7 Bond Anticipation Notes 9730.7 Capital Notes 9740.7 Budget Notes 9750.7 Revenue Anticipation Notes - 9770.7 Total Interest 9899.7 Total Debt Service, Total District Expenses (Transfer to page 4) 9900.0 S NON-BUDGETARY DISBURSEMENTS: S Total Non-Budgetary Disbursements 9998.0 G Total Disbursements 9999.0 - 3 - �•' ANALYSIS OF FUND BALANCE , Fund Balance- Beginning of Fiscal Year 8021 Add: Revenues (from page 2) 8022 Total 8023 Deduct: Appropriation Expenses (from page 3) 8024 Balance before Adjustments 8025 S Adjustments: Other Additions: (specify) 8026 Other Deductions: (specify) 8027 Fund Balance- End of Fiscal Year 8029 $ - 4 - • CAPITAL FUND BALANCE SHEET ASSETS Home of Account Account Code Cash H2O0 $ Cash in Time Deposits H2O1 Cash for Revenue Anticipation Notes H222 Total Cash $ Due from Other Funds H391 $ Deposits with Other Governments H395 Total Receivables Temporary Investments H450 Obligations Authorized, Unissued H470 $ Financing to be Provided from Other Funds H471 Financing to be Provided from State Sources H472 Financing to be Provided from Federal Sources H473 Financing to be Provided from Other Sources H474 Encumbrances H 521 Total Other Debits TOTAL ASSETS H8009 $ LIABILITIES, RESERVES AND BALANCES Accounts Payable H600 $ Retained Percentages, Contracts Payable H605 Revenue Anticipation Notes Payable H621 Bond Anticipation Notes Payable H626 Due to Other Funds H630 Due to Other Governments H631 Total Liabilities $ Reserve for Encumbrances H700 $ Earnings on Deposits and Temporary Investments H850 Premiums on Securities Issued H851 Accrued Interest on Securities Issued H852 Total Reserves Authorizations H890 $ Unneeded Balances of Authorizations H911 Total Other Credits Capital Reserve Balances H920 TOTAL LIABILITIES, RE- _ Q — SERVES AND BALANCES H8019 $ - 5 - CAPITAL FUND CASH RECEIPTS AND BEGINNING BALANCE REVENUES FROM OTHER LOCAL SOURCES: -Capital Projects, Other Local Governments H2397 b _ Interest Earnings H2401 _ Gifts and Donations H2705 Premium on Borrowings H2710 Accrued Interest an Borrowings H2710 Financing from Other Local Sources (specify) H2770 Total Revenues from Other Local Sources g INTERFUND REVENUES: Transfer From Fund H2 $ Transfer from Fund H2 Transfer from Fund H2 - Transfer from Fund H2 Total Interfund Revenues STATE AID FOR CAPITAL PROJECTS: (specify) H3 S H3 H3 H3 H3 H3 H3 Total State Aid FEDERAL AID FOR CAPITAL PROJECTS: (specify) H4 S H4 H4 H4 _ H4 H4 H4 - H4 Total Federal Aid Total Revenues H5000 NON-REVENUE RECEIPTS: Advances from Other Funds H5075 5 Sale of Investments H5085 Other Non-Revenue Receipts (specify) H5095 Obligations Issued: Serial Bonds H5710 Bond Anticipation Notes H5730 Capital Notes H5740 Revenue Anticipation Notes M5770 Total Non-Revenue Receipts TOTAL CASH RECEIPTS S CASH BALANCE AT BEGINNING OF FISCAL YEAR H8061 TOTAL RECEIPTS AND BALANCE H8064 S 6 - CAPITAL FUND CASH DISBURSEMENTS AND ENDING BALANCE EDP CODE Capital Project Cash Payments $ INTERFUND TRANSFERS: (Unneeded Authorizations, Interest Earnings, Premium and Accrued Interest) Transfer to Fund H $ Transfer to Fund H Transfer to ' Fund H Transfer to Fund H Total Interfund Transfers Total Capitol Projects and Interfund Transfers $ NON-PROJECT EXPENDITURES: Redemption of Bond Anticipation Notes H9930.5 $ Redemption of Revenue Anticipation Notes H9970.5 Repayment of Advances to Other Funds H9975.5 Payment of Retained Percentages H9977.5 Purchase of Investments H9985.5 Accounts Payable H9995.5 Other(specify) _ H " Total Non-Project Expenditures TOTAL CASH DISBURSEMENTS $ CASH BALANCE AT END OF FISCAL YEAR H8067 TOTAL CASH DISBURSEMENTS AND BALANCE H8068 $ ANALYSIS'OF CAPITAL EXPENDITURES CAPITAL OUTLAY, .a Capital Projects (specify) H $ H H H H H H H H H H H H Total Capital Projects H9000 7 RUST AND AGENCY FUNDS I - BALANCE SHEET ASSETS Cash T200 $ •%id, Cash in Time Deposits T201 Total Cash Assets T8000 S Total Fund Balance (T10-T72) T8019 S CASH BALANCES, RECEIPTS AND DISBURSEMENTS BEGINNING ENDING BALANCE RECEIPTS DISBURSEMENTS BALANCE PAYROLL FUNDS Consolidated Payroll T10 S S $ S Group Insurance T20 _ �C ! '�' r i✓���i� --'1 State Income Tax T21 Federal,Income Tax - T22 u E cu -T23-fl Y 7 Association and Union Dues T24 U. S. Savings Bonds T25 Social Security T26 New York City Income Tax T28 PERFORMANCE DEPOSITS Guaranty and Bid Deposits T30 Other(Specify) 7,') T T Retained Percentages, Contracts Payable T71 Overpayments and collections in Advance T72 Total S S S S - 8 - FISHERS ISLAND FERRY DISTRICT ANNUAL REPORT OF THE TREASURER BANK BALANCE DEPOSITS OUTSTANDING CHECKS NET BANK BALANCE NAME ,OF BANK DEC. 31 , 1985 IN TRANSIT DEC. 31 , 1985 DEC. 311 1985 * HARTFORD NAT 'L BANK 23 ,910 . 86 23 ,804 . 01 106 . 85 BANK OF NEW YORK 45 ,053', 18 19,256 . 15 54 ,780 . 70 9 ,528 . 63 BANK OF NEW YORK 9 ,697 . 36 9,697 .36 -0- NORTH FORK BANK & TRUST 23 ,607 . 23 14 ,125 .46 35 ,012 . 38 2 ,720 .31 * NORTH FORK BANK & TRUST 205 ,891 . 82 205 , 891 . 82 TOTALS : 308 ,160 .45 33 ,381 . 61 123 ,294 .45 218 ,247 . 61 * MONEY MARKET ACCOUNT SUMMARY OF CASH - ALL FCDS SINGLE ENTRY j v i � ,J �• ,I a EDP Cash Balance Cash Cash Cash Balance Title - Code January 1, Receipts Disbursements December 31, ' 1 3 5 7 General Fund 8301 $ $ $ 3 Capital Fund 8308 Trust and Agency 8312 Total All Funds CASH BY FUNDS, PER BALANCE SHEETS DOUBLE ENTRY r Title EDP Fund Total Code General Fund 8301 $ L� Capital Fund 8308 Trust and Agency 8312 Total All Funds $ BANK BALANCES Name of Bank Bank Balance Outstanding Checks Net Bank Balance December 31, j' j December 31, December 31, %T S S S i i Total $ Is Cash on Hand 17r�L��%-_5 Total Cash - in Bank and on Hand 8300 S �� These amounts must agree. (TAIL STATEMENT OF INDEBTEDh iS Year Interest Outstanding Issued Redeemed Outstanding Tale of Issue Cade January 1, of Rate Janua During During December 1. 19 Issue Year Year ` T p 3 Bead■t .SE i/�L f�i? ALJ ��ns� ,.r'c�� _ / v�il,J�7. S S ��,r-.-,� S `i�li.OGJa�. Total $:. ,;,�o.� S S S Natant S Total S S S f Nota: Please report all water district debt above and not in the Supervisor's Annual Report for Towns. AUTHORIZATION .'' ,2�=�/'�'/" :1........................ do hereby certify that 1 am the' eewer treof the (Please Print or Type) .....t:.�:.S.N ......:�.....h2.>. . :s�,..C.::l. ....n. :7�. '. .�.T........................... . in the Town of danee of District) ...:�� /.. ...- .:s�................................................ . County of ....:,>C1 r:•::•��.................................. and that the foregoing is a true and correct report of the said district for the year ended December 31, 19.... and that this report agrees with the official records. 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