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PLATTE RIVER ENDANGERED SPECfES RECOVERY PROGRAM <br />Governance Committee Financial Status Report <br />The Month of November and December through 12/812006 <br /> Budget <br /> Commitmerrts Expenditures Budget Expenditures Remaining <br />Description Through 72/31105 Through 12131105 111106 -12/31/06 111/06 -12/3t/06 7/1106 -1?J31/06 <br /> a b? d e f <br /> <br />Executive Director $ 2,110,128.14 $ 2,110,128.14 $ 200,000.00 $ 135,814.87 $ 64,185.13 <br />GovlFinance Committee $ 244,373.55 $ 244,373.55 <br />NCF Fees $ 17,000.00 '??$. _ 6,441.31 $ 10,558.69 <br />_ <br />AMP Development $ 55,000 00 .$ _ 34,427.40 $ 20,572.60 <br />Subtotal Gov/Finance $ 72,000.00 <br />Land Committee $ 182,135.90 $ 182,135.90 $ - <br />_ .__... <br />$ _24,349.04 $ 24,349.04 <br />_ <br /> <br />Technicai _ .. _._- --. __.. <br />$ 1,214,721.54 $ 1,214,721.54 <br />_ Cottonwood Ranch Gauge $ 6,885.00 $_ _ _ 6,885.00 .$_ - <br />2007 WC Spring Monitoring <br />___ $ 74,596.23 _$ 74,598.23 _$ - <br />_ 2006 WC Fal{ Monitoring $. 57,980 00 $ 41,817.64 $ 16,362.36 <br />')hotos (if Coop <br />,w/FWS & CPNRD) $ 10,000 00 $ 10,000.00 $ - <br />? <br />. <br />Subtotal Technical <br />$ <br />149,461 _23 __ <br />. _ <br />. <br />- - <br /> <br />Water Management <br />$ 72,001.39 $ 72,001.39 <br />$ <br />1,000.00 - -- - <br />$ - <br />1,000.00 <br /> <br /> $ 3,847,709.56 $ 3,847,709.56 $_ 422,461.23 _ $ _ 309,782.45 $ 112,678J8 <br />.? <br />INVOICES PROCESSED SINCE LAST REPORT: - <br /> Description Amount <br /> West-Executive Director $ 16,697.54 <br /> McBain & Trush $ 4,277.83 <br /> Nebraska Public Power Distrtct $ 1,573.00 <br /> Aim Consuitants $ 41,617.64 <br /> Administrative Fees, Oct 2006 $ 702.66 <br /> Total lnvoices December to date $ 64,868.67 <br />BUDGET SUMMARY: <br />Description <br />Total Contributfons Available: $ 3,800,000 <br />Additional Contributfons 2005 $ 237,420 <br />Additional Contributions 2006 $ 237,420 <br />Income to Date $ 27,883 <br />Commitrrients 12131105 $ 3,847,710 ' <br />Budget 1/1/06 -12/31/06 $ 422,461 <br />Funds Not Budgeted (Reserve) $ 32,552 <br />CASHFLOW SUMMAd4Y: <br />Descr3pt9an <br />Expenditures To Date; $ 4,157,492 <br />Unexpended 8udget: $ 112,679 <br />Funds Not Budgeted $ 32,552 <br />Total Funds $ 4,302,723 <br />12/10/2006 6:20 PM 12-08-2006.x1s <br />4