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Form RD 1942-53
(Rev. 4-97)
FORM APPROVED
OMB NO. 0575-0120
CASH FLOW REPORT
Name
Address
State & Zip Code
County
Applicant Fiscal Year From ___________ To __________
Actual Data for ____________________ Months Ended____________
(1)
General Account
Beginning Cash Balance ...........................................................
Cash Receipts .............................................................................
PRIOR YEAR
ACTUAL
(2)
ANNUAL
BUDGET
(3)
CURRENT
QUARTER
(4)
YEAR TO
DATE
(5)
Interest Income .............................................................................
Loan Proceeds ..............................................................................
Other ..............................................................................................
Total Cash Available (A) ...........................................................
Position 3
Cash Outflow ...............................................................................
Operating Expenses .....................................................................
Loan Payments (P&I) ....................................................................
Construction Expenses ................................................................
Transfer to Reserve Account ........................................................
Other Transfers ..............................................................................
Total Cash Outflow (B) ..................................................................
Ending Cash Balance (C) .........................................................
(A – B) (General Account) ..........................................................
Other Fund Balances ..................................................................
Reserve Account ...........................................................................
Funded Depreciation ....................................................................
Other Investments .........................................................................
Other ..............................................................................................
Total Other Fund Balances (D) .....................................................
Total Balances – All Funds (C + D) ...........................................
Budget approved by Governing Body, certified correct (Appropriate official)
According to the Paperwork Reduction Act of 1995, no persons are required to respond to a collection of information unless it displays a valid OMB control number. The valid
OMB control number for this information collection is 0575-0120. The time required to complete this information collection is estimated to average 2 hours per response,
including the time for reviewing instructions, searching existing data sources, gathering and maintaining the data needed, and completing and reviewing the collection of
information.
Date
RD 1942-53 (Rev. 4-97)
File Type | application/pdf |
File Title | Untitled-1 |
Author | jeanne.jacobs |
File Modified | 2007-09-11 |
File Created | 2007-09-11 |