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<br />2007 MONTHLY CASH/GENERAL LEDGER BALANCE RECONCILIATIC <br /> 2007 Interest 5/31/2007 6/30/2007 7/31/2007 8/31/2007 <br />Bank Checking Statement Balance $ 868,757.06 $ 1,049,995.79 <br />Outstanding Deposits $ 0.02 $ 0.02 <br />Outstanding Checks $ (101,475.21) $ (168,777.25) <br />Monthly Interest $ 29,433.45 $ 3,158.33 $ 2,598.58 <br />Net Checking Account Balance $ 767,281.87 $ 881,218.56 $ $ <br />Investments <br />Mainstreet Bank Flex CD <br /> Beginning $ 268,885.31 $ 268,885.31 <br /> Other T ansactions $ (220,000.00) <br /> Monthly Interest $ 5,935.56 $ 2,984.78 <br /> Ending Balance $ 268,885.31 $ 51,870.09 $ $ <br />Mainstreet Bank CD's <br /> Beginning <br /> 1000669381 CDARS <br /> 4.24% 1000532637 CDARS <br /> 5.41 % 1001349356 CDARS $ 3,039,673.91 $ 3,039,673.91 <br /> Other Transactions <br /> Monthly Interest - CD $ <br /> Monthly Interest - CDARS $ 39,673.91 <br /> Ending Balance $ 3,039,673.91 $ 3,039,673.91 $ $ <br />Mainstreet Bank - Subtotal $ 4,075,841.09 $ 3,972,762.56 $ $ <br />Smith Barney <br />Smith Barney Money Fund <br /> Beginning $ 49,701.84 $ 132,873.17 <br /> Monthly Adjustments $ 47,307.19 $ 3,171.33 $ 5,403.22 <br /> Other Transactions $ 80,000.00 $ (34,000.00) <br /> Ending Balance $ 132,873.17 $ 104,276.39 $ $ <br />Smith Barney Gov't Bonds <br /> Beginning $ 1,770,493.16 $ 1,770,493.16 <br /> FHLB DTD 9/29/03 $ 100,000.00 $ 100,000.00 <br /> FHLB DTD 6/30/03 $ 100,411.37 $ 100,411.37 <br /> FHLMC DTD 8/14/03 $ 150,000.00 $ 150,000.00 <br /> FHLMC DTD 6/30/03 $ 99,750.00 $ 99,750.00 <br /> FNMA DTD 2/7/03 $ 205,000.00 $ 205,000.00 <br /> FNMA DTD 3/30/04 $ 100,000.12 $ 100,000.12 <br /> FNMA DTD 4/8/04 $ 200,394.17 $ 200,394.17 <br /> FHLB DTD 4/19/04 $ 250,000.00 $ 250,000.00 <br /> FHLM DTD 11/28/03 $ $ <br /> FHLM DTD 3/25/04 $ 150,000.00 $ 150,000.00 <br /> FHLM DTD 3/17/04 $ 99,937.50 $ 99,937.50 <br /> FHLM DTD 3/24/04 $ 150,000.00 $ 150,000.00 <br /> FHLM DTD 2/27/03 $ 165,000.00 $ 165,000.00 <br /> Other Transactions <br /> Monthly Fair Market Adjustments $ <br /> End ing Balance $ 1,770,493.16 $ 1,770,493.16 $ $ <br />Smith Barney CD's <br /> Beginning $ 457,100.00 $ 377,100.00 <br /> Direct Merchants Bank <br /> Capitol One Bank <br /> Hemisphere Natl Bank $ 96,000.00 $ <br /> Lehman Brothers Bank $ 96,000.00 $ 96,000.00 <br /> CIB Bank $ 89,100.00 $ 89,100.00 <br /> Compass Bank <br /> 1 st. Natl Bk of Nevada $ <br /> Cole Taylor Bank $ 96,000.00 $ 96,000.00 <br /> Other Transactions <br /> Monthly Adjustments $ <br /> Ending Balance $ 377,100.00 $ 281,100.00 $ $ <br />Smith Barney - Subtotal $ 2,280,466.33 $ 2,155,869.55 $ $ <br />Total Cash/I nvestments Per Statement $ 6,356,307.42 $ 6,128,632.11 $ $ <br />General Ledger Cash Balance $ 6,356,307.42 $ 6,128,632.11 <br />Total Monthly Interest & Adjustments $ 122,350.11 $ 6,329.66 $ 10,986.58 $ $ <br />