Loading...
HomeMy WebLinkAbout(0007) TrialBalance P6 4.8.20_Sum (2).pdfFORT WORTH. Trial Balance Report Fiscal Year: 2020 YTD As Of March 31, 2020 Period 6 28506 - FWPID #6 - Park Glen Runtime: 4/8/2020 1:14:07 PM Export Ledger Data Export Journal Data Report ID: GL0030-00 1010100 Pooled Cash In Fund ($62,296.43) $1,540,357.23 1010100 Pooled Cash In Fund 10100 $16,600.00 $16,600.00 1010100 Pooled Cash In Fund 20104 $2,361.29 $2,361.29 1010100 Pooled Cash In Fund 28501 ($3,010.00) ($3,010.00) 1040000 Interest Rec - $0.00 $3,573.73 InvPStmantt 1150000 Accounts Receivable $0.00 $756.63 Asset ($46,345.14) $1,560,638.88 Sub Total 2010000 Accounts Payable $0.00 $0.00 2020600 Water IDB Payable ($254.63) ($1,037.15) Liability ($254.63) ($1,037.15) Sub Total 3010000 Fund Balance $0.00 ($779,967.57) Fund $0.00 ($779,967.57) Balance Sub Total 4611010 Interest Earnings 0136050 ($2,361.29) ($10,399.17) 4830103 Contrib From Spec 0136050 ($12,847.96) ($1,535,675.39) AssPssmPnt FSCM 92 Production Page 1 of 2 FORT WORTH, Trial Balance Report Fiscal Year: 2020 YTD As Of March 31, 2020 Period 6 28506 - FWPID #6 - Park Glen Runtime: 4/8/2020 1:14:07 PM Export Ledger Data Export Journal Data Report ID: GL0030-00 M���Mmmm 2020 YTD Amount 4910100 Transfer From 0136050 ($16,600.00) ($99,956.00) General Revenue ($31,809.25) ($1,646,030.56) Sub Total 5330201 Other Contractual 0136050 $75,399.02 $848,340.40 Services 5900010 Interfund Transfer 0136050 10100 $3,010.00 $18,056.00 (hut Expense $78,409.02 $866,396.40 Sub Total Grand $0.00 $0.00 Total Fund Balance/Net Position Calculation Beginning Balance YTD Fund Balance/Net YTD Revenue YTD Expense fflm� Position Journals 28506 3010000 Fund Balance ($779,967.57) $0.00 ($1,646,030.56) $866,396.40 ($1,559,601.73) Report ID GL0030-OOTrialBalance_Sum Fiscal Year 2020 Period 6 Ledger ACTUALS Fund 28506 FSCM 92 Production Page 2 of 2