Report to Carson Reclamation Authority
Tuesday, March 02, 2021
Consent
SUBJECT:
Title
CONSIDER THE MONTHLY RESERVES AND CASH REPORT FOR THE CARSON RECLAMATION AUTHORITY FOR MONTH ENDING JANUARY 31, 2021
Body
I. SUMMARY
Submitted to the Carson Reclamation Authority Board members is the monthly Reserves and Cash report:
Available cash as of January 31, 2021
$ 8,020,256.85
Balance of reserve funds as of January 31, 2021
$13,839,944.77
II. RECOMMENDATION
Recommendation
RECEIVE and FILE.
Body
III. ALTERNATIVES
TAKE another action the Council deems appropriate.
IV. BACKGROUND
The monthly Investment and Cash report is submitted to the Carson Reclamation Authority Board to ensure the legislative body is kept abreast of the value of the reserve funds and available cash. The Treasurer attests to the Authority’s assets and not the sufficiency.
V. FISCAL IMPACT
None
VI. EXHIBITS
1. Carson Reclamation Authority Reserves
2. Carson Reclamation Authority #2 Reserves
3. Carson Reclamation Authority Remediation Reserves
4. Carson Reclamation Authorit Portfolio Holdings 60-day Rolling Transfer budget Account (Pg.6)
1.
Prepared by: Monica Cooper, Carson Reclamation Authority Treasurer