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HomeMy WebLinkAbout(0018) TrialBalance P6 4.8.20_Sum (2).pdfFORT WORTH. Trial Balance Report Fiscal Year: 2020 YTD As Of March 31, 2020 Period 6 28511 - FWPID #11 -Stockyards Runtime: 4/8/2020 1:05:09 PM Export Ledger Data Report ID: GL0030-00 Export Journal Data 1 2020 YTD Amount 1010100 Pooled Cash In Fund ($5,339.33) $198,353.73 1010100 Pooled Cash In Fund 20104 $300.11 $300.11 1010100 Pooled Cash In Fund 28501 ($167.00) ($167.00) 1040000 Interest Rec - $0.00 $296.07 InvPstmPnt.q 1150000 Accounts Receivable $0.00 $3,624.37 Asset ($5,206.22) $202,407.28 Sub Total 2010000 Accounts Payable $0.00 $0.00 Liability $0.00 $0.00 Sub Total 3010000 Fund Balance $0.00 ($105,594.73) Fund $0.00 ($105,594.73) Balance Sub Total 4611010 Interest Earnings 0136050 ($300.11) ($1,098.88) 4830103 Contrib From Spec 0136050 ($530.03) ($110,990.67) AsGPssmPnt Revenue ($830.14) ($112,089.55) Sub Total 5330201 Other Contractual 0136050 $5,869.36 $14,279.00 SPrvir.Ps FSCM 92 Production Page 1 of 2 FORT WORTH, Trial Balance Report Fiscal Year: 2020 YTD As Of March 31, 2020 Period 6 Export Ledger Data 28511 - FWPID #11 -Stockyards Runtime: 4/8/2020 1:05:09 PM Export Journal Data Report ID: GL0030-00 M���Mmmm 2020 YTD Amount 5900010 Interfund Transfer 0136050 10100 $167.00 $998.00 Cut Expense $6,036.36 $15,277.00 Sub Total Grand $0.00 $0.00 Total Fund Balance/Net Position Calculation Beginning Balance YTD Fund Balance/Net YTD Revenue YTD Expense ffl=�, Position Journals 28511 3010000 Fund Balance ($105,594.73) $0.00 ($112,089.55) $15,277.00 ($202,407.28) Report ID GL0030-00Triall3alance_Sum Fiscal Year 2020 Period 6 Ledger ACTUALS Fund 28511 FSCM 92 Production Page 2 of 2