8331_NewGloucester_2021-2022_AnnualReport_Web
TOWN OF NEW GLOUCESTER
TREASURER'S REPORT
6/30/22 BALANCE
ASSETS
ANDROSCOGGIN CASH- GENERAL FUND
$ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $
4,933,813.45 100,531.61 2,462,985.17 1,390,866.00 112,023.97 237,462.73 45,512.09
SPECIAL REVENUE CASH ACCOUNTS
CAPITAL PROJECTS & ARPA CASH ACCOUNTS
TRUST FUND CASH ACCOUNTS
TIF CASH ACCOUNTS
TAXES AND LIENS RECEIVABLE, NET OF ALLOWANCE
OTHER ASSETS - ACCOUNTS RECEIVABLES, NET ALLOW
PREPAID EXPENSE & NSF RECEIVABLE
1,320.12
TOTAL ASSETS
9,284,515.14
LIABILITIES AND FUND BALANCES
DEFERRED TAXES
111,000.00 66,003.17 92,268.02 173,853.08 2,662,663.21
ACCRUED LIABILITIES
ACCRUED VACATION AND SICK TIME
SPECIAL REVENUE FUND BALANCES
CAPITAL PROJECTS FUND BALANCES
TRUST FUND BALANCES
45,512.09
TIF FUND BALANCE
1,390,866.00
CARRY FORWARDS
12,970.25
UNDESIGNATED FUND BALANCE
4,729,379.32 9,284,515.14
TOTAL LIABILITIES AND FUND BALANCES
$
6/30/22
FY22
BALANCE DUE RECEIPTS COLLECTED
TAXES AND TAX LIENS RECEIPTS
$ $ $ $ $ $ $ $ $ $ $
(4,726.72) (23,670.08)
8,313,958.92
150-22 2022 TAXES
23,670.08 1,451.06 1,958.04 93,964.80 17,499.44 42,229.28 4,768.25 279.66
150-23 2023 TAXES/PREPAID
1,002.07
152-20 2020 PP TAXES 152-21 2021 PP TAXES 152-22 2022 PP TAXES 155-19 2019 TAX LIENS 155-20 2020 TAX LIENS 155-21 2021 TAX LIENS 155-22 2022 TAX LIENS
931.29
2,422.42 5,867.33 7,394.28 25,883.09 89,925.59 6,994.70 112,023.97
-
160-00 LIEN COSTS RECEIVABLE
SUB TOTAL
8,499,779.53
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