Guaranty Agency Financial Report

Guaranty Agency Financial Report

Att_Final GA Monthly Reporting Spreadsheet 11062009.xlsx

Guaranty Agency Financial Report

OMB: 1845-0026

Document [xlsx]
Download: xlsx | pdf

GUARANTY AGENCY MONTHLY REPORTING OF ANNUAL DATA FORMAT
OMB No. 1845-0026










GA NAME:
Expiration Date: 06-30-2012











Reporting Burden: According to the Paperwork Reduction Act of 1995, no persons are required to respond to a collection of information unless such collection displays a valid OMB control number. The valid OMB control number for this information collection is 1845-0026. The time required to complete this information collection is estimated to average 55 hours per response, including the time to review instructions, search existing data resources, gather and maintain the data needed, and complete and review the information collection. If you have any comments concerning the accuracy of the time estimate or suggestions for improving this form, please write to: U.S. Department of Education, Washington, D.C. 20202-4651. If you have any comments or concerns regarding the status of your individual submission of this form, write directly to: Guaranty Agency Reporting, U.S. Department of Education, P.O. 2768, Union Station, Washington, D.C. 20013-2768.








GA CODE:






















ED Comments:


























GA Comments:


























FUND BALANCES













Oct-09 Nov-09 Dec-09 Jan-10 Feb-10 Mar-10 Apr-10 May-10 Jun-10 Jul-10 Aug-10 Sep-10

FEDERAL FUND:











MD 15 Beginning Balance











MD 16 Investment Income











MD 17 Reinsurance Income from ED











MD 18 Collections (Reinsurance Complement)











MD 19 Insurance Premiums











MD 20 Other Revenues











MD 21 Claims Expensed to Lenders











MD 22 Recall of Federal Funds to the Restricted Account











MD 23 Transfer to Operating Fund for Default Aversion Fee (DAF)











MD 24 Transfer to Operating Fund for Account Maintenance Fee (AMF)











MD 25 Other Expenses











MD 26 Ending Balance 0 0 0 0 0 0 0 0 0 0 0 0
MD 27 Amount transferred from Federal Fund to Operating Fund











MD 28 Amount Received from Operating Fund to Repay Advance













Oct-09 Nov-09 Dec-09 Jan-10 Feb-10 Mar-10 Apr-10 May-10 Jun-10 Jul-10 Aug-10 Sep-10

OPERATING FUND:











MD 29 Beginning Balance











MD 30 Transfer from Federal Fund for Default Aversion Fee (DAF)











MD 31 Loan Processing and Issuance Fee (LPIF)











MD 32 Account Maintenance Fee











MD 33 Transfer from Federal Fund for Account Maintenance Fee (AMF)











MD 34 Collections less Reinsurance Complement











MD 35 Investment Income











MD 36 Other Revenues











MD 37 Collections Secretary's Equitable Share (SES)











MD 38 Operating Expenses











MD 39 Other Expenses











MD 40 Ending Balance 0 0 0 0 0 0 0 0 0 0 0 0
MD 41 Amount Received from Federal Funds for Operating Expenses











MD 42 Amount Repaid to Federal Fund For Operating Expenses













Oct-09 Nov-09 Dec-09 Jan-10 Feb-10 Mar-10 Apr-10 May-10 Jun-10 Jul-10 Aug-10 Sep-10

BALANCE SHEET SECTION:











MD 48 Cash, Cash Equivalents and Investments











MD 49 Restricted Account Cash, Cash Equivalents and Investments











MD 50 Net Investment in Property, Plant, Equipment and Inventory











MD 51 Accounts Receivable from ED











MD 52 Other Assets











MD 53 Accounts Payable, Accured Expenses and Other Current Liabilities











MD 54 Accounts Payable to ED











MD 55 Other Liabilities











MD 56 Allowance and Other Non-Cash Changes to Federal Fund











MD57 Federal Fund Balance 0 0 0 0 0 0 0 0 0 0 0 0
File Typeapplication/vnd.openxmlformats-officedocument.spreadsheetml.sheet
File Modified0000-00-00
File Created0000-00-00

© 2024 OMB.report | Privacy Policy