Page 28 - 2020 Annual Report
P. 28

Water Engineering Services Reserve Account                                           Sewer Capital Improvement Fund

       PSB Savings Acct #......1314                                                     CNB CD Account #......1470
       Balance of of January 1, 2020          $5,000.01                                 Balance as of Jan. 1, 2020            $19,650.31
       Interest earned in 2020                  $4.99                                   Interest earned in 2020                  67.69
       Balance as of Dec. 31, 2020                           $5,005.00                  Balance as of Dec. 31, 2020                            $19,718.00

       PSB CDRAS Acct #0772                                                             PSB CD Account #......0496
       Balance as of Jan. 1, 2020            $17,861.90                                 Balance as of Jan. 1, 2020            $5,376.84
       Interest earned in 2020                 $180.35                                  Interest earned in 2020                  26.96
       Balance as of Dec. 31, 2020                           $18,042.25                 Balance as of Dec. 31, 2020                            $5,403.80

       Grand Total as of December 31, 2020                   $23,047.25                 PSB N.O.W. Acct. #......1288
                                                                                          (Dale Avenue Project)
                                                                                        Balance as of Jan. 1, 2020            $18,546.02
                                                                                        Interest earned in 2020                  18.64
                                                                                        Deposit from Sewer Ckg Acct. #...0073   5,000.00
                     Water Reservoir Maintenance Account                                Balance as of Dec. 31, 2020                            $23,564.66
        PSB Savings Acct. #......1193
        Account Balance Jan. 1, 2020           $10,000.03                               Total Balance as of Dec. 31, 2020                      $48,686.46
        Interest earned in 2020                    $10.07
        DEPOSIT FROM WATER CKG ACCT #...0072    $19,387.50
        Balance as of Dec. 31, 2020                           $29,397.60
                                                                                                         Water Equipment Reserve Fund
        PSB CDARS Acct #0594                                                           PSB Savings Acct. #......1194
        Balance as of January 1, 2020           $45,268.91                             Account Balance Jan. 1, 2020               $14,376.73
        Interest earned in 2020                   $457.08                              Interest earned in 2020                       $14.41
        Balance as of 12/31/2020                              $45,725.99               DEPOSIT FROM Water Ckg#....0072             $2,351.58
                                                                                       Balance as of Dec. 31, 2020                               $16,742.72
        Grand Total for Water Reservoir Acct
              as of 12/31/2020                                $75,123.59               PSB CDARS #5639
                                                                                       Balance as of 8/1/2020                     $14,066.29
                                                                                       Interest earend in 2020                      $142.03
                                                                                       Balance as of December 31, 2020                           $14,208.32
                                                                                       Grand Total as of December 31, 2020                $30,951.04
                                                                                       Grand Total as of December 31, 2020                       $30,951.04






      28  Town of Brighton, VT                                                                                                            2020 Annual Report  29
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