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BREEN TOWNSHIP TREASURER'S REPORT - July 2024

BREEN TOWNSHIP TREASURER’S REPORT –July 2024

General Fund

Beginning Balance: 07/01/2024                  $18,573.39                           

Credits: 

Interest                                                                         .03

Debits:                                                                              

Salaries                                                                5,165.48                                                                                                                                                                                                      

Trustee                                                                    185.10   

 Woodward Repair                                             1,050.00     Mowing May, June, July

WE Energies                                                         1.031.60

GFL                                                                           456.91

DIDHD                                                                      234.00      Campground Inspection

Lithocraft Printers                                                  138.85     Dump punch cards, Camping envelopes

NAPA                                                                        425.95    Leaf blower/batter pack

Stenberg Brothers                                                       75.00    Stromberg beach

Ending Balance:                                                 $9,810.53                                             

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Money Market

Beginning Balance: 07/01/2024                              $360,337.72

Credits:

Interest                                                                                  421.89

SIGMA                                                                                 7,816.00

2023 CFR Distribution                                                         795.57

June Camping                                                                    1,085.00

Hall Rentals                                                                           250.00

June dump                                                                            364.00

Breen Book                                                                             30.00

Debit:

Ending  Balance:                                                        $361.100.18

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Roads Checking: 

Beginning Balance:   07/01/2024                                          $625.18

Credit:

Debit:

Ending Balance                                                                         $625.18

 

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Road Fund Savings: 

Beginning Balance:  7/01/2024                                      $181,219.95

Deposits:

Interest                                                                                          29.78   

Ending Balance                                                                 $183,290.75

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Fire Department Checking:

Beginning Balance:  07/01/2024                   $167,834.70

Credits:

Fire Grant                                                              10,000.00

2023 CFR Distribution                                               680.33

Interest                                                                        109.80                                                                                                                                                                                                            

Debits:

Fire Safety USA                                                            91.75

Amazon                                                                       183.79

SP Firehose Direct                                                  1,139.59

Bloom Wholesale                                                        81.80  Parade candy

UP Truck Center                                                       718..00  Tow to interstate

Ending Balance:                                                  $170,579.16

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Commercial Savings

Beginning Balance:  07/01/2023                                   $88,024.55

Credit:                                                                               

 Interest                                                                                    24.11

Ending Balance:                                                                  $88,048.66 

 

Fun League $2,270.80

Menards $407.73

Steve Anderson $90.52

Bichler $1,382.78       

Balance Remaining for Fun League funds: $389.77

Osscar G. Johnson  $2,017.11

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