Page 33 - 2020 Annual Report
P. 33

Equipment Reserve Fund
                             Fire Truck Capital Reserve
  PSB Savings #......1008   PSB Savings Acct #......1257
  Balance as of Jan. 1, 2020    $15,491.20   Balance as of Dec. 31, 2020   $10,000.00
  Revenues   Interest earned in 2020                     $9.99
  Interest earned in 2020    $15.44
           Balance as of December 31, 2020                       $10,009.99
  Total Revenues    $15.44

           PSB CDERS Acct #5698                       $30,165.88
  Expenses   Interest earned in 2020                    $304.58
  Transfer to General Fund Acct#...5213    $(11,958.00)  Balance as of December 31, 2020   $30,470.46
         (New Dump truck)
           Balance as of December 31, 2020                       $40,480.45
  Total Expenses    $(11,958.00)
                                Brighton Culvert Fund
  Balance as of December 31, 2020    $3,547.39   PSB Savings Acct #......0942
          Balance as of Jan. 1, 2020                               $5,410.94
          Revenues
 Paving Project Account  Interest earned in 2020       $5.44

 CNB Preferred Savings Acct #......7718  Transfer from Gen. acct #...5213   $5,000.00
          Total Revenues 2020                                      $5,005.44
 Balance as of January 1, 2020  $5,013.83
 Interest earned in 2020   $5.15
          Balance as of December 31, 2020                         $10,416.38
 Transfer from Gen. Acct#...5213   $25,000.00
  $25,005.15
                                   Sidewalk Account
          CNB Preferred Savings Acct #......4818
 Total as of Dec. 31, 2020   $30,018.98   Balance of of Dec. 31, 2020   $15,005.08
          Interest earned IN in 2020                    $15.07
          Transfer from General Acct. # …5213        $10,000.00
 Fire Department Equipment Fund  Balance As Of Dec. 31, 2020        $25,020.15
 PSB Savings Acct #......0459
 Balance as of Jan. 1, 2020   $6,004.23   Emergency Generator Fund
             PSB Savings Acct #......1256
 Interest earned in 2020   $6.01
             Balance as of Jan. 1, 2020                          $6,994.79
 Balance as of December 31, 2020   $6,010.24   Interest earned in 2020   $6.97
             Transfer to General Acct#...5213   $(6,619.00)
              (Purchase of Emergency Generator)
             Balance as of December 31, 2020                      $382.76



 32  Town of Brighton, VT                                  2020 Annual Report  33
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