2020 ANNUAL REPORT MUNICIPALITY OF TWIN BROOKS, SD 57269 STATEMENT OF FUND CASH BALANCES ALL FUNDS FOR THE YEAR END DECEMBER 2020

2020 ANNUAL REPORT
MUNICIPALITY OF TWIN BROOKS, SD 57269
STATEMENT OF FUND CASH BALANCES
ALL FUNDS FOR THE YEAR END DECEMBER 2020
General Fund Total
Cash Assets
Cash in Checking Accounts $21,878.48 $21,878.48
Change and Petty Cash
Savings Certificate $6,576.16 $6,576.16
Interest
101 FUND CASH BALANCE $28,454.63 $28,454.63
Municipal Funds are deposited or invested with the following depositories:
Wells Fargo
402 S. Main St.
Milbank, SD $28,454.63
Receipts (Source):
311 Property Taxes $8,059.94 $8,059.94
335.3 Liquor Tax Reversion $750.00 $750.00
335.4 Motor Vehicle License (5%) $2,959.08 $2,959.08
338.2 County Highway and Bridge $13,333.99 $13,333.99
Reserve Tax (25%)
341-349 Charges for goods and service $435.00 $435.00
361 Investment Earnings $88.17 $88.17
362 Rentals $550.00 $550.00
363-369 Other Revenues $13,924.00 $13,924.00
364 Grant Income $6,298.50 $6,298.50
365 DENR Surcharge $4,764.59 $4,764.59
366 Video Lottery $501.60 $501.60
Enterprise Funds
Total Receipts $51,664.87 $51,664.87
Disbursements (Function)
411-419 General Government (414) $15,392.90 $15,392.90
431 Highways and Streets (includes snow
removal, street lights, culverts, drainage and tiling) $46,572.07 $46,572.07
432 Sanitation (includes garbage and
rubble sites)
491 Miscellaneous (Water DENR Loan) $3,342.72 $3,342.72
Total Disbursements $65,307.69 $65,307.69
Sub of Receipts, Disbursements and Transfers ($13,642.82) ($13,642.82)
Fund Cash Balance, January 1, 2020 $42,097.45 $42,097.45
Fund Cash Balance, December 31, 2020 $28,454.63 $28,454.63
