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<br />APPENDIX "A" <br /> <br />AUDITOR'S REPORT <br /> <br />STRAIT & CRIMOND <br /> <br />CERTIFIED PUBLIC ACCOUNTANTS <br />Johnson-Strait Building <br />Lamar, Colorado 81052 <br /> <br />To the Representatives <br />Arkansas River Compact Administration <br />Lamar, Colorado 81052 <br /> <br />Ge.ntlemen: <br /> <br />We have examined the Statement of Assets and Liabilities arising <br />from Cash Transactions of the Arkansas River Compact Administration <br />as of October 31, 1973. and the Statement of Cash Receipts and <br />Disbursements and Changes in Cash Balance for the fiscal year then <br />ended. Our examination Was conducted in accordance with generally <br />accepted auditing standards, and included such tests of the accounting <br />records and such other auditing procedures as we considered necessary <br />in the circumstances. <br />The receipts and disbursements for the budget year July I, 1972, to <br />June 30, 1973. compared with budget are presented in Exhibit C. This <br />schedule is the result of the receipts and disbursements for the <br />appropriate months of the current and previous report years. <br />In our opinion, Exhibits A and 8, present fairly the Assets and <br />Liabilities arising from Cash Transactions of the Arkansas River <br />Compact Administration at October 31, 1973, and the results of Cash <br />Transactions of the fiscal year then ended, on a basis consistent with <br />that of the previous year. <br /> <br />Respectfully submitted, <br />Strait, Crimond & Co. <br /> <br />Lamar, Colorado <br />No.ember 29. 1973 <br /> <br />EXHIBIT A <br /> <br />ARKANSAS RIVER COMPACT ADMINISTRATION <br /> <br />STATEMENT OF ASSETS & LIABILITIES <br />ARISING FROM CASH TRANSACTIONS <br />OCTOBER 31.1973 <br /> <br />ASSETS, <br />Cash ....... .. .. .. ............ _.... <br />~~uipment ........................... <br /> <br />. . . . . $ 9,993 <br />1.635 <br /> <br />TOTAL ASSETS...... <br /> <br />....... $11,628 <br /> <br />-12- <br />