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File #: 2022-014    Version: 1 Name:
Type: Consent Status: Agenda Ready
File created: 1/6/2022 In control: Carson Reclamation Authority
On agenda: 2/7/2022 Final action:
Title: CONSIDER THE MONTHLY RESERVES AND CASH REPORT FOR THE CARSON RECLAMATION AUTHORITY FOR MONTH ENDING DECEMBER 31, 2021
Attachments: 1. Cashflow December 2021 Excel tf, 2. CRA Report December 2021
Date Ver.Action ByActionResultAction DetailsMeeting DetailsVideo
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Report to Carson Reclamation Authority

Monday, February 07, 2022

Consent

 

 

SUBJECT:                     

Title

CONSIDER THE MONTHLY RESERVES AND CASH REPORT FOR THE CARSON RECLAMATION AUTHORITY FOR MONTH ENDING DECEMBER 31, 2021

 

Body

I.                     SUMMARY

Submitted to the Carson Reclamation Authority Board members is the monthly Reserves and Cash report:

Available cash as of December 31, 2021

$4,269,143.32

Balance of reserve funds as of December 31, 2021

$13,841,097.55

 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 Monthly Cash-Flow Report (Pg. 3)

2.                     Carson Reclamation Authority Reserve Holdings (Pg. 4-5)

 

1.                     

Prepared by:  Monica Cooper, Carson Reclamation  Authority Treasurer