Regular Fire Board Meeting - March 23, 2019

Ganado Fire District

Regular Fire Board

Meeting

“Protect life and property”

Governing Board Members

Larry Noble, Fire Board Chairman

Steven Kee, Fire Board Clerk

Margaret Etcitty, Fire Board Member

Althea James, Fire Board Member

LaVerne Joe, Fire Board Member

District Administrators

Dewayne Woodie, Fire Chief

Marcarlo Roanhorse, Administrative Assistant

Chantel Cook, Office Clerk

Lennix Peshlakai, Ganado EMS/Fire Lieutenant

Jeremy Begay, Steamboat Fire Lieutenant

Evander Leonard, Klagetoh Fire Lieutenant

Shirlene Attson, Communication Supervisor

March 23, 2019

Location: Ganado Fire Station 1

GANADO FIRE DISTRICT___ P.O. BOX 718 GANADO, ARIZONA 86505 (928) 755-3424 FAX: (928) 755-6330

ESTABLISHED 1982

PUBLIC NOTICE OF REGULAR MEETING GANADO FIRE DISTRICT GOVERNING BOARD

PLEASE TAKE NOTICE THAT the Governing Board of Ganado Fire District , pursuant to A.R.S. 38-431.09 , hereby gives notice that it will hold its regular meeting on the following dates, at the following time and place: DATE: March 23, 2019 PLACE: Ganado Fire Station TIME: 2:00 P.M. MDT

Copies of agendas for regular and special meetings and executive sessions may be obtained at: Ganado Fire District, Station One, Ganado, Arizona 86505

The respective agenda will be available to the public at such location not less than 24 hours prior to a meeting, unless the meeting covers an emergency as provided in A.R.S. 38-431.02. Executive sessions may be held by the Governing Board Meeting as provided in A.R.S. 38-431.03 . Notice of executive sessions will also be posted at the posting place 24 hours prior to meeting unless the meeting covers an emergency as provided in A.R.S. 38-431.02 . The Governing Board reserves the right to hold special meetings at times and places other than mentioned above. Notice of the time and place of any special meeting will be posted at the posting place as provided in A.R.S. 38-431.02 .

DATED this_ 22 th _ day of ___ March ___, __ 2019 __ NAME OF DISTRICT: __ Ganado Fire District __ BY: __ Dewayne Woodie, Fire Chief _ _

Posted on this 22 th day of March 2019 at 1:00 P.M. MDT by: Mr. Marcarlo Roanhorse, Admin. Assistant

Call meeting

to order

Roll Call

Mr. Larry Noble

Fire Board Chairman

Mr. Steven Kee

Fire Board Clerk

Mrs. Margaret Etcitty

Fire Board Member

Ms. Althea James

Fire Board Member

Ms. LaVerne Joe

Fire Board Member

The Pledge of

Allegiance

Call to the

public

Approval of

Agenda

GANADO FIRE DISTRICT _ P.O. BOX 718 GANADO, ARIZONA 86505 (928) 755-3424 FAX: (928) 755-6330

ESTABLISHED 1982

NOTICE OF PUBLIC MEETING OF THE BOARD OF DIRECTORS

PURSUANT TO A.R.S. 38-431.02 NOTICE IS GIVEN TO THE BOARD OF DIRECTORS OF THE GANADO FIRE DISTRICT BOARD AND TO THE GENERAL PUBLIC THAT THE BOARD WILL HOLD A MEETINGOPEN TO THE PUBLICON MARCH 23, 2019 , BEGINNING AT 2:00 P.M. MDT AT THE GANADO FIRE STATION, GANADO, ARIZONA . * THE BOARDOF DIRECTORS MAY VOTE TO DISCUSS THIS MATTER IN EXECUTIVE SESSION PURSUANT TO A.R.S. 38-431-03. THE NAME OF THE INDIVIDUALS INVOLVED MAY BE OBTAINED FROM THE FIRE CHIEF’S OFFICE.

AGENDA

1.

CALL TO ORDER

2.

ROLL CALL

3.

PLEDGE OF ALLEGIANCE

4. CALL TO THE PUBLIC : Consideration of concerns and comments from the public. Those wishing to address the Board are required to fill out a Request to Address the Board Form and Sign the Attendance Sign-In Sheet. Members of the Board may not discuss items that are not on the agenda. Therefore, action taken as a result of public comment will be limited to directing staff to study the matter or to scheduling the matter for further consideration and decision at a later date.

5.

APPROVAL OF AGENDA

6.

SPECIAL PRESENTATION A. Review, discuss and possible action to approve FY 2018 Ganado Fire District Audit Report. (Presented by James H. Saunders via. Teleconference.)

7. CONSENT AGENDA: The consent portion of the agenda is a means of expediting routine matters, such as minutes or previously discussed or budgeted items that must be acted upon by the Board. Any items may be moved to Regular

Business for discussion and possible action by any members of the Board. A. Approval of Regular Board Meeting minutes on February 20, 2019. B. Approval of February 2019 Financial and Budget Report – Administrative Assistant Mr. Roanhorse

8.

REPORTS A. Fire Chief’s Report – Fire Chief Woodie

9.

DATE AND TIME OF NEXT MEETING: A. Review and discuss next Regular Board Meeting

10. FUTURE AGENDA ITEMS: This provides an opportunity for the Board to direct staff to include items on future agendas for further consideration and decision at a later date or to further study a matter.

11.

BENEDICTION BY INVITATION

DATED this_ 22 th _ day of ___ February ___, __ 2019 __ NAME OF DISTRICT: __ Ganado Fire District __ BY: __ Dewayne Woodie, Fire Chief _ _

12.

ADJOURNMENT

Posted on this 18 th day of March 2019 at 1:00 P.M. MDT by: Mr. Marcarlo Roanhorse, Admin. Assistant

Ganado Fire District

Special Presentation:

FY 2018 District Financial

Audit Report

Presented by: James H. Saunders

via. Teleconference)

Consent Agenda

Approval of

Previous

Meeting Minutes

GFD Regular Board Meeting Minutes January 2019

GANADO FIRE DISTRICT

0.

P.O. Box 718

GANADO, ARIZONA 86505

(928) 755-3424 FAX (928) 755-6330

BOARD OF DIRECTORS REGULAR BUSINESS MEETING FOR JANUARY 2019 HELD AT GANADO FIRE STATION 1 ON FEBRUARY 20, 2019

1. CALL TO ORDER: Regular Board Meeting of Ganado Fire District was called to order at 6:01 P.M. M.S.T. by Fire Board Chairman Mr. Larry Noble.

2. ROLL CALL called by Mr. Marcarlo Roanhorse, Mr. Roanhorse affirmed a quorum was present.

MEMBERS PRESENT: Mr. Larry Noble, Fire Board Chairman Mr. Steven Kee, Fire Board Clerk Mrs. Margaret Etcitty, Fire Board Member Ms. Althea James, Fire Board Member Ms. LaVerne Joe, Fire Board Member

3. PLEDGE OF ALLEGIANCE: Given by Fire Chief Dewayne Woodie.

4. CALL TO THE PUBLIC: None.

5. APPROVAL OF AGENDA: Administrative Assistant Mr. Marcarlo Roanhorse made the recommendation to move item 6. C. Increase minimum wage to conform with the current Arizona Minimum Wage after item 7. Reports. The recommendation was to make it a new business item and make it item 8. New Business A. Increase minimum wage to conform with the current Arizona Minimum Wage. Ms. LaVerne Joe motioned to approve the agenda, with the recommended changes, and was second by Ms. Althea James. Voice Motion was carried for approval with 5 in favor 0 opposing and 0 Abstain.

6. CONSENT AGENDA

A. Approval of Regular Board Meeting minutes on January 30, 2019. B. Approval of January 2019 Financial and budget Reports

i. Mr. Steven Kee motion to approve item 6.a. Regular Board Meeting Minutes for January 30, 2019 and item 6.b. January 2019 Financial and Budget Report with questions and was second by Ms. Althea James. Ms. Althea James had questions what the subscription account was used for under utilities. Motion was carried for approval with 5 in favor 0 opposing and 0 Abstain.

7. REPORTS

A. Fire Chief’s Report – Fire Chief Woodie

i. Fire Chief Dewayne Woodie presented the Fire Chief’s report. Ms. LaVerne Joe motion to accept the Fire Chief’s Report and was second by Ms. Althea James. Motion was carried to be accepted with 5 in favor 0 opposing and 0 Abstain.

Page 1 of 2 Respectfully submitted by Mr. Marcarlo Roanhorse, Administrative Assistant.

GFD Regular Board Meeting Minutes January 2019

8. NEW BUSINESS A. Increase Minimum Wage to conform with the current Arizona Minimum Wage. i. Ms. LaVerne Joe motioned to accept and approve the request to increase the minimum wage to $11.00, to comply with Proposition 206, and increase the salary across the board according to proposal one; Retroactive to January 1, 2019 and was second by Ms. Althea James. Mr. Larry Noble questioned if this would cause any employee RIFs. Mr. Steven Kee would like to wait to see if this could be discussed in executive session or at a retreat. Administrative Assistant Mr. Marcarlo Roanhorse stated that the proposals are presented at the max budget amount to know what the full possibilities could be. The full budget amount may not be use but the budget was created that way to make the board aware of the potential total expense. Motion carried with approval with 5 in favor 0 opposing and 0 Abstain. A. Review and discuss next Regular Board Meeting. i. Ms. LaVerne Joe motion to accept the date for next Special Fire Board Meeting and Regular Fire Board Meeting on March 23, 2019 at Ganado Fire Station 1 and was second by Ms. Althea James. Motion was carried for approval with 3 in favor 1 opposing and 1 Abstain. 9. DATE AND TIME OF NEXT MEETING:

10. FUTURE AGENDA ITEMS: None

11. BENEDICTION BY INVITATION: Given by Ms. Althea James.

12. ADJOURNMENT: Ms. LaVerne Joe motioned for adjournment at 6:42 P.M. M.S.T and second by Mrs. Margaret Etcitty. Motion was carried for approval with 5 in favor 0 opposing and 0 Abstain. Regular Fire Board meeting is adjourn at 6:42 P.M. M.S.T by Fire Board Chairman Larry Noble.

__________________________________ Mr. Larry Noble, Fire Board Chairman

____________________________________

Mr. Steven Kee, Fire Board Clerk

__________________________________ Mrs. Margaret Etcitty, Fire Board Member

___________________________________ Ms. Althea James, Fire Board Member

__________________________________ Ms. LaVerne Joe, Fire Board Member

Page 2 of 2 Respectfully submitted by Mr. Marcarlo Roanhorse, Administrative Assistant.

Ganado Fire District

Financial and Budget

Report

Presented By

Administrative Assistant

Mr. Marcarlo Roanhorse

Ganado Fire District Profit & Loss

9:27 PM 03/14/19

February 2019

Cash Basis

Feb 19

Ordinary Income/Expense Income MISCELLANEOUS Rent

390.63 3,881.75

Community Training

4,272.38

Total MISCELLANEOUS

4,272.38

Total Income

4,272.38

Gross Profit

Expense

ADMINISTATION

701 · OFFICE EXPENSES 6560 · Payroll Expenses 701a · Office Supplies 701b · Postage & Delivery Total 701 · OFFICE EXPENSES 702 · PROFESSIONAL SERVICES 702a · Fire Board Misc Expense Total 702 · PROFESSIONAL SERVICES

157.44 1,020.58

6.85

1,184.87

146.28

146.28

1,331.15

Total ADMINISTATION

OPERATIONS

503 · INSURANCE 503a · Medical, Life, Health, Etc. 503b · Unemployment Compensation

5,173.31 369.33

5,542.64

Total 503 · INSURANCE

214.67

601 · FUEL/OIL/LUBE

602 · REPAIR & MAINTENANCE 602a · Vehicle Repairs

8,505.88 472.51 684.55

602c · Building Repairs & Maintenance

602d · Home repairs

9,662.94

Total 602 · REPAIR & MAINTENANCE

604 · OTHER OPERATIONAL EXPENSES 604b · Station supplies

1,409.64 702.64 191.64 1,038.14 998.58 105.95

604c · Chemicals 604e · Uniform Clothing

604f · Oxygen/air cylinder rental

604h · Meals 604i · Equipment

4,446.59

Total 604 · OTHER OPERATIONAL EXPENSES

608 · TRAINING EXPENSES 608c · Tuition

-300.00 309.83

608d · Equip. training expenses

9.83

Total 608 · TRAINING EXPENSES

609 · UTILITIES 609a · Electric & Water Expense 609b · Communications Expense 609c · Garbage Disposial Expense 609d · Subscription Expense

3,696.13 3,244.54 1,261.62 232.94

8,435.23

Total 609 · UTILITIES

28,311.90

Total OPERATIONS

500 · PERSONNEL

Page 1

Ganado Fire District Profit & Loss

9:27 PM 03/14/19

February 2019

Cash Basis

Feb 19

501 · SALARIES & WAGES 501a · CAREER PERSONNEL 501a.1 · Fire Chief

4,000.00

501a.2 · Administrator Personnel 501a.2a · Administrative Assistant

2,048.63 641.46

501a.2b · Office Clerk

2,690.09

Total 501a.2 · Administrator Personnel 501a.3 · Ganado Personnel 501a.3a · Lieutenant 501a.3b · Firefighter/EMT 501a.3c · Part Time Volunteer Total 501a.3 · Ganado Personnel 501a.4 · Klagetoh Personnel 501a.4a · Lieutenant Total 501a.4 · Klagetoh Personnel 501a.5 · Steamboat Personnel 501a.5a · Lieutenant Total 501a.5 · Steamboat Personnel 501a.6 · Dispatch Personnel 501a.6a · Dispatch Supervisor

2,279.49 1,544.00 2,008.23

5,831.72

2,209.08

2,209.08

2,184.02

2,184.02

2,136.00 1,230.90 1,510.13 1,578.14 693.81

501a.6b · Dispatcher #1 501a.6c · Dispatcher #2 501a.6d · Dispatcher #3

501a.6e · Part Time Dispatcher

7,148.98

Total 501a.6 · Dispatch Personnel

460.92

501a.7 · Overtime/Expense

24,524.81

Total 501a · CAREER PERSONNEL 501c · PART-TIME WAGES 501c.4 · Overtime compensation

0.00

0.00

Total 501c · PART-TIME WAGES

24,524.81

Total 501 · SALARIES & WAGES 502 · EMPLOYEE BENEFITS 502a · FICA

1,883.90 101.25

502b · Annual Benefits

1,985.15

Total 502 · EMPLOYEE BENEFITS

26,509.96

Total 500 · PERSONNEL

56,153.01

Total Expense

-51,880.63

Net Ordinary Income

Net Income

-51,880.63

Page 2

Ganado Fire District

9:28 PM

Profit & Loss Budget vs. Actual

03/14/19

February 2019

Accrual Basis

Feb 19

Budget

$ Over Budget

% of Budget

Ordinary Income/Expense Income MISCELLANEOUS Rent

390.63 3,881.75

433.00 1,667.00

-42.37

90.2% 232.9%

2,214.75

Community Training

0.00

0.00

0.00

0.0%

Miscellaneous

4,272.38

2,100.00

2,172.38

203.4%

Total MISCELLANEOUS

TAXES

0.00 0.00

0.00 0.00

0.00 0.00

0.0% 0.0%

FDAT

Property Tax Revenue

0.00

0.00

0.00

0.0%

Total TAXES

4,272.38

2,100.00

2,172.38

203.4%

Total Income

4,272.38

2,100.00

2,172.38

203.4%

Gross Profit

Expense

ADMINISTATION

701 · OFFICE EXPENSES 6560 · Payroll Expenses 701a · Office Supplies 701b · Postage & Delivery

157.44 1,020.58

250.00 667.00 42.00 25.00 125.00

-92.56 353.58 -35.15 -25.00 -125.00

63.0% 153.0% 16.3%

6.85 0.00 0.00 0.00 0.00 0.00

0.0% 0.0% 0.0% 0.0% 0.0%

701c · Publishing & advertisement 701d · Administrative travel, dues

0.00 0.00 0.00

0.00 0.00 0.00

701e · Fire prevention 701f · Misc. expenses

701 · OFFICE EXPENSES - Other

1,184.87

1,109.00

75.87

106.8%

Total 701 · OFFICE EXPENSES

702 · PROFESSIONAL SERVICES 702a · Fire Board Misc Expense 702b · Audit and Accounting

146.28

167.00 8,000.00 2,049.00 417.00

-20.72

87.6% 0.0% 0.0% 0.0%

0.00 0.00 0.00

-8,000.00 -2,049.00 -417.00

702c · IT Services

702g · Professional Services

146.28

10,633.00

-10,486.72

1.4%

Total 702 · PROFESSIONAL SERVICES

1,331.15

11,742.00

-10,410.85

11.3%

Total ADMINISTATION

OPERATIONS

503 · INSURANCE 503a · Medical, Life, Health, Etc. 503b · Unemployment Compensation

352.59 369.33

2,723.00

-2,370.41

12.9% 445.0%

83.00 0.00 0.00

286.33

0.00 0.00

0.00 0.00

0.0% 0.0%

503c · VFIS

503 · INSURANCE - Other

721.92

2,806.00

-2,084.08

25.7%

Total 503 · INSURANCE

4,743.00

3,750.00

993.00

126.5%

601 · FUEL/OIL/LUBE

602 · REPAIR & MAINTENANCE 602a · Vehicle Repairs 602b · Equipment Repairs

5,244.84

2,917.00 667.00 250.00

2,327.84 -667.00 -250.00

179.8% 0.0% 0.0% 63.8%

0.00 0.00

602c · Building Repairs & Maintenance

52.94

83.00

-30.06

602d · Home repairs

5,297.78

3,917.00

1,380.78

135.3%

Total 602 · REPAIR & MAINTENANCE

604 · OTHER OPERATIONAL EXPENSES 604a · EMS supplies

0.00

250.00 833.00 417.00 208.00 125.00

-250.00 -32.98 -417.00 -208.00

0.0% 96.0% 0.0% 0.0% 153.3%

800.02

604b · Station supplies 604c · Chemicals 604d · Turnout clothing 604e · Uniform Clothing

0.00 0.00

191.64

66.64

Page 1

Ganado Fire District

9:28 PM

Profit & Loss Budget vs. Actual

03/14/19

February 2019

Accrual Basis

Feb 19

Budget

$ Over Budget

% of Budget

85.60 0.00 998.58 105.95

167.00

-81.40

51.3%

604f · Oxygen/air cylinder rental

604g · Oxygen refill 604h · Meals 604i · Equipment

333.00

665.58 105.95

299.9% 100.0%

0.00 0.00

0.00

0.00

0.0%

604 · OTHER OPERATIONAL EXPENSES - Other

2,181.79

2,333.00

-151.21

93.5%

Total 604 · OTHER OPERATIONAL EXPENSES

605 · COMMUNICATIONS 605a · Communications repairs 605b · Communications equipment

0.00 0.00

0.00 0.00

0.00 0.00

0.0% 0.0%

0.00

0.00

0.00

0.0%

Total 605 · COMMUNICATIONS

608 · TRAINING EXPENSES 608b · Travel per diem

0.00

0.00

0.00

0.0%

-300.00 309.83

167.00 167.00 83.00

-467.00 142.83 -83.00

-179.6% 185.5%

608c · Tuition

608d · Equip. training expenses

0.00

0.0%

608f · Motels

9.83

417.00

-407.17

2.4%

Total 608 · TRAINING EXPENSES

609 · UTILITIES 609a · Electric & Water Expense 609b · Communications Expense 609b.2 · Business telephone

3,696.13

0.00

0.00

0.00

0.0%

3,061.81

1,667.00

1,394.81

183.7%

609b · Communications Expense - Other

3,061.81

1,667.00

1,394.81

183.7%

Total 609b · Communications Expense

338.91 232.94

609c · Garbage Disposial Expense 609d · Subscription Expense

1,896.93

5,000.00

-3,103.07

37.9%

609 · UTILITIES - Other

9,226.72

6,667.00

2,559.72

138.4%

Total 609 · UTILITIES

22,181.04

19,890.00

2,291.04

111.5%

Total OPERATIONS

500 · PERSONNEL

501 · SALARIES & WAGES

501a · CAREER PERSONNEL 501a.1 · Fire Chief

4,000.00

4,000.00

0.00

100.0%

501a.2 · Administrator Personnel 501a.2a · Administrative Assistant

2,048.63 641.46

2,160.00 870.00

-111.37 -228.54

94.8% 73.7%

501a.2b · Office Clerk

2,690.09

3,030.00

-339.91

88.8%

Total 501a.2 · Administrator Personnel

501a.3 · Ganado Personnel 501a.3a · Lieutenant 501a.3b · Firefighter/EMT

2,279.49 1,544.00 2,008.23

2,312.00 1,544.00 1,308.00

-32.51

98.6% 100.0% 153.5%

0.00

700.23

501a.3c · Part Time Volunteer

5,831.72

5,164.00

667.72

112.9%

Total 501a.3 · Ganado Personnel

501a.4 · Klagetoh Personnel 501a.4a · Lieutenant

2,209.08

2,216.00

-6.92

99.7%

2,209.08

2,216.00

-6.92

99.7%

Total 501a.4 · Klagetoh Personnel

501a.5 · Steamboat Personnel 501a.5a · Lieutenant

2,184.02

2,184.00

0.02

100.0%

2,184.02

2,184.00

0.02

100.0%

Total 501a.5 · Steamboat Personnel

501a.6 · Dispatch Personnel

2,136.00 1,230.90

2,136.00 1,658.00

0.00

100.0% 74.2%

501a.6a · Dispatch Supervisor 501a.6b · Dispatcher #1

-427.10

Page 2

Ganado Fire District

9:28 PM

Profit & Loss Budget vs. Actual

03/14/19

February 2019

Accrual Basis

Feb 19

Budget

$ Over Budget

% of Budget

1,510.13 1,578.14 693.81

1,464.00 1,488.00 772.00

46.13 90.14 -78.19

103.2% 106.1% 89.9%

501a.6c · Dispatcher #2 501a.6d · Dispatcher #3

501a.6e · Part Time Dispatcher

7,148.98

7,518.00

-369.02

95.1%

Total 501a.6 · Dispatch Personnel

460.92

0.00

460.92

100.0%

501a.7 · Overtime/Expense

24,524.81

24,112.00

412.81

101.7%

Total 501a · CAREER PERSONNEL

501c · PART-TIME WAGES 501c.4 · Overtime compensation

0.00

0.00

Total 501c · PART-TIME WAGES

24,524.81

24,112.00

412.81

101.7%

Total 501 · SALARIES & WAGES

502 · EMPLOYEE BENEFITS 502a · FICA 502b · Annual Benefits

1,883.90 101.25

2,167.00 1,000.00

-283.10 -898.75

86.9% 10.1%

1,985.15

3,167.00

-1,181.85

62.7%

Total 502 · EMPLOYEE BENEFITS

0.00

100.00

-100.00

0.0%

504 · 457 DEFFERED COMPENSATION

26,509.96

27,379.00

-869.04

96.8%

Total 500 · PERSONNEL

50,022.15

59,011.00

-8,988.85

84.8%

Total Expense

-45,749.77

-56,911.00

11,161.23

80.4%

Net Ordinary Income

Net Income

-45,749.77

-56,911.00

11,161.23

80.4%

Page 3

Ganado Fire District

9:30 PM

Profit & Loss Budget vs. Actual

03/14/19

July 2018 through June 2019

Accrual Basis

Jul '18 - Jun 19

Budget

$ Over Budget

% of Budget

Ordinary Income/Expense Income MISCELLANEOUS Rent

3,381.26 24,388.42

5,200.00 20,000.00

-1,818.74 4,388.42

65.0% 121.9%

Community Training

345.00 32.23

EMS Standby Miscellaneous

0.00

32.23

100.0%

28,146.91

25,200.00

2,946.91

111.7%

Total MISCELLANEOUS

TAXES

0.00

-225,500.00 125,846.00 629,231.00

225,500.00 -63,089.70 -198,065.91

0.0% 49.9% 68.5%

Carry Over Expense

62,756.30 431,165.09

FDAT

Property Tax Revenue

493,921.39

529,577.00

-35,655.61

93.3%

Total TAXES

522,068.30

554,777.00

-32,708.70

94.1%

Total Income

522,068.30

554,777.00

-32,708.70

94.1%

Gross Profit

Expense

ADMINISTATION

701 · OFFICE EXPENSES 6560 · Payroll Expenses 701a · Office Supplies 701b · Postage & Delivery

2,098.65 8,692.34 333.92

3,000.00 8,000.00 500.00 300.00 1,500.00

-901.35 692.34 -166.08 -265.50

70.0% 108.7% 66.8% 11.5% 27.6% 100.0% 69.8%

34.50 414.33

701c · Publishing & advertisement 701d · Administrative travel, dues 701e · Fire prevention 701f · Misc. expenses 701g · Printing and binding 701 · OFFICE EXPENSES - Other

-1,085.67 1,257.98 -211.19

1,257.98 488.81

0.00

700.00

0.00

0.00 0.00

0.00

0.0%

405.44

405.44

100.0%

13,725.97

14,000.00

-274.03

98.0%

Total 701 · OFFICE EXPENSES

702 · PROFESSIONAL SERVICES 702a · Fire Board Misc Expense 702b · Audit and Accounting

5,325.03 3,500.00 6,730.00 18,631.90

7,000.00 8,000.00 24,589.00 5,000.00

-1,674.97 -4,500.00 -17,859.00 13,631.90

76.1% 43.8% 27.4% 372.6%

702c · IT Services

702g · Professional Services

0.00

0.00

0.00

0.0%

702 · PROFESSIONAL SERVICES - Other

34,186.93

44,589.00

-10,402.07

76.7%

Total 702 · PROFESSIONAL SERVICES

0.00

0.00

0.00

0.0%

706 · REPAIRS & MAINTENANCE

47,912.90

58,589.00

-10,676.10

81.8%

Total ADMINISTATION

OPERATIONS

503 · INSURANCE 503a · Medical, Life, Health, Etc. 503b · Unemployment Compensation

19,914.26 1,251.03

32,681.00 1,000.00 3,000.00

-12,766.74

60.9% 125.1%

251.03

0.00 0.00

-3,000.00

0.0% 0.0%

503c · VFIS

0.00

0.00

503 · INSURANCE - Other

21,165.29

36,681.00

-15,515.71

57.7%

Total 503 · INSURANCE

37,717.91

45,000.00

-7,282.09

83.8%

601 · FUEL/OIL/LUBE

602 · REPAIR & MAINTENANCE 602a · Vehicle Repairs 602b · Equipment Repairs

38,188.05 3,769.44 10,199.42 1,797.65

35,000.00 8,000.00 3,000.00 1,000.00

3,188.05 -4,230.56 7,199.42

109.1% 47.1% 340.0% 179.8%

602c · Building Repairs & Maintenance

797.65

602d · Home repairs

53,954.56

47,000.00

6,954.56

114.8%

Total 602 · REPAIR & MAINTENANCE

Page 1

Ganado Fire District

9:30 PM

Profit & Loss Budget vs. Actual

03/14/19

July 2018 through June 2019

Accrual Basis

Jul '18 - Jun 19

Budget

$ Over Budget

% of Budget

604 · OTHER OPERATIONAL EXPENSES 604a · EMS supplies

2,466.70 14,095.09 3,828.64

3,000.00 10,000.00 5,000.00 2,500.00 1,500.00 2,000.00

-533.30 4,095.09 -1,171.36 -2,004.33 -871.30

82.2% 141.0% 76.6% 19.8% 41.9% 98.1% 213.1% 100.0%

604b · Station supplies 604c · Chemicals 604d · Turnout clothing 604e · Uniform Clothing

495.67 628.70

1,962.86

-37.14

604f · Oxygen/air cylinder rental

50.45

604g · Oxygen refill 604h · Meals 604i · Equipment

8,524.41 1,010.46

4,000.00

4,524.41 1,010.46

0.00 0.00

0.00

0.00

0.0%

604 · OTHER OPERATIONAL EXPENSES - Other

33,062.98

28,000.00

5,062.98

118.1%

Total 604 · OTHER OPERATIONAL EXPENSES

605 · COMMUNICATIONS 605a · Communications repairs 605b · Communications equipment 605 · COMMUNICATIONS - Other

0.00

500.00 1,000.00

-500.00 516.63

0.0%

1,516.63

151.7%

20.00

1,536.63

1,500.00

36.63

102.4%

Total 605 · COMMUNICATIONS

608 · TRAINING EXPENSES

579.80 172.00

0.00 0.00

579.80 172.00 -964.15 7,252.81

100.0% 100.0% 51.8% 462.6%

608a · DVDs, ID Badges, etc. 608b · Travel per diem 608d · Equip. training expenses 608e · Certification Fee 608c · Tuition

1,035.85 9,252.81 214.89 2,035.57

2,000.00 2,000.00

1,000.00

1,035.57

203.6%

608f · Motels

13,290.92

5,000.00

8,290.92

265.8%

Total 608 · TRAINING EXPENSES

609 · UTILITIES 609a · Electric & Water Expense 609b · Communications Expense 609b.2 · Business telephone

31,532.21

4,211.40 23,069.06

0.00

4,211.40 3,069.06

100.0% 115.3%

20,000.00

609b · Communications Expense - Other

27,280.46

20,000.00

7,280.46

136.4%

Total 609b · Communications Expense

4,009.14 2,521.08 10,094.31

609c · Garbage Disposial Expense 609d · Subscription Expense

60,000.00

-49,905.69

16.8%

609 · UTILITIES - Other

75,437.20

80,000.00

-4,562.80

94.3%

Total 609 · UTILITIES

236,165.49

243,181.00

-7,015.51

97.1%

Total OPERATIONS

500 · PERSONNEL

501 · SALARIES & WAGES 501a · CAREER PERSONNEL 501a.1 · Fire Chief

36,500.00

52,000.00

-15,500.00

70.2%

501a.2 · Administrator Personnel 501a.2a · Administrative Assistant

19,716.43 9,648.69

28,080.00 11,300.00

-8,363.57 -1,651.31

70.2% 85.4%

501a.2b · Office Clerk

29,365.12

39,380.00

-10,014.88

74.6%

Total 501a.2 · Administrator Personnel

501a.3 · Ganado Personnel 501a.3a · Lieutenant 501a.3b · Firefighter/EMT 501a.3c · Part Time Volunteer

30,044.08 14,745.74 18,244.65

30,056.00 20,072.00 17,014.00

-11.92

100.0% 73.5% 107.2%

-5,326.26 1,230.65

63,034.47

67,142.00

-4,107.53

93.9%

Total 501a.3 · Ganado Personnel

501a.4 · Klagetoh Personnel 501a.4a · Lieutenant

19,923.07

28,808.00

-8,884.93

69.2%

Page 2

Ganado Fire District

9:30 PM

Profit & Loss Budget vs. Actual

03/14/19

July 2018 through June 2019

Accrual Basis

Jul '18 - Jun 19

Budget

$ Over Budget

% of Budget

19,923.07

28,808.00

-8,884.93

69.2%

Total 501a.4 · Klagetoh Personnel

501a.5 · Steamboat Personnel 501a.5a · Lieutenant

20,056.03

28,392.00

-8,335.97

70.6%

20,056.03

28,392.00

-8,335.97

70.6%

Total 501a.5 · Steamboat Personnel

501a.6 · Dispatch Personnel 501a.6a · Dispatch Supervisor

19,609.32 14,115.56 14,475.02 15,971.48 9,369.27

27,768.00 21,549.00 19,032.00 19,344.00 10,046.00

-8,158.68 -7,433.44 -4,556.98 -3,372.52 -676.73

70.6% 65.5% 76.1% 82.6% 93.3% 0.0%

501a.6b · Dispatcher #1 501a.6c · Dispatcher #2 501a.6d · Dispatcher #3

501a.6e · Part Time Dispatcher 501a.6 · Dispatch Personnel - Other

0.00

0.00

0.00

73,540.65

97,739.00

-24,198.35

75.2%

Total 501a.6 · Dispatch Personnel

3,315.51

0.00

3,315.51

100.0%

501a.7 · Overtime/Expense

245,734.85

313,461.00

-67,726.15

78.4%

Total 501a · CAREER PERSONNEL

501c · PART-TIME WAGES 501c.4 · Overtime compensation

1,398.98

1,398.98

Total 501c · PART-TIME WAGES

247,133.83

313,461.00

-66,327.17

78.8%

Total 501 · SALARIES & WAGES

502 · EMPLOYEE BENEFITS 502a · FICA 502b · Annual Benefits

19,667.51 9,927.54

26,000.00 12,000.00

-6,332.49 -2,072.46

75.6% 82.7%

29,595.05

38,000.00

-8,404.95

77.9%

Total 502 · EMPLOYEE BENEFITS

1,758.51

1,200.00

558.51

146.5%

504 · 457 DEFFERED COMPENSATION

278,487.39

352,661.00

-74,173.61

79.0%

Total 500 · PERSONNEL

0.00

0.00

0.00

0.0%

66900 · Reconciliation Discrepancies

800 · CAPITAL

Station Remodel Ganado 802 · IMPROVEMENTS

0.00

0.00

0.00

0.0%

0.00

0.00

0.00

0.0%

Total Station Remodel Ganado

0.00

0.00

0.00

0.0%

Total 800 · CAPITAL

562,565.78

654,431.00

-91,865.22

86.0%

Total Expense

-40,497.48

-99,654.00

59,156.52

40.6%

Net Ordinary Income

Net Income

-40,497.48

-99,654.00

59,156.52

40.6%

Page 3

Ganado Fire District

8:41 PM 03/14/19

Reconciliation Summary ACT Warrant - NBA - 2326, Period Ending 02/28/2019

Feb 28, 19

-155,286.04

Beginning Balance

Cleared Transactions Checks and Payments - 34 items Deposits and Credits - 29 items

-48,456.39

0.00

-48,456.39

Total Cleared Transactions

Cleared Balance

-203,742.43

Uncleared Transactions Checks and Payments - 24 items Deposits and Credits - 5 items

-23,349.90

120.58

-23,229.32

Total Uncleared Transactions

Register Balance as of 02/28/2019

-226,971.75

New Transactions Checks and Payments - 20 items

-46,218.72

-46,218.72

Total New Transactions

Ending Balance

-273,190.47

Page 1

Ganado Fire District

8:41 PM 03/14/19

Reconciliation Detail ACT Warrant - NBA - 2326, Period Ending 02/28/2019

Type

Date

Num

Name

Clr

Amount

Balance

-155,286.04

Beginning Balance

Cleared Transactions Checks and Payments - 34 items

Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check Liability Check Liability Check Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check Liability Check Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check Paycheck Paycheck Liability Check Paycheck

12/15/2018 112761 Sam's Club 12/15/2018 112757 Frontier 12/15/2018 112762 Frontier 12/15/2018 112760 Orkin Pest Control 12/15/2018 112756 Cellularone of NE Ar... 12/15/2018 112759 Navajo Nation Wate...

X X X X X X X X X X X X X X X X X X X X X X X X X X X X X X X X X X

-2,975.71 -1,387.70 -277.51 -275.00 -192.15 -2,278.45 -2,161.38 -115.43 -40.45 -418.11 -77.45 -135.00 -894.98 -763.87 -524.06 -487.15 -352.59 -124.12 -11,229.75 -1,201.55 -10,465.25 -864.96 -479.53 -437.58 -3,103.78 -2,131.63 -1,240.55 -1,105.18 -968.31 -922.71 -550.00 -182.73 -54.56 -37.21

-2,975.71 -4,363.41 -4,640.92 -4,915.92 -5,108.07 -5,162.63 -5,199.84 -7,478.29 -9,639.67 -9,755.10 -9,795.55 -10,213.66 -10,291.11 -10,426.11 -21,655.86 -22,857.41 -23,752.39 -24,516.26 -25,040.32 -25,527.47 -25,880.06 -26,004.18 -36,469.43 -37,334.39 -37,813.92 -38,251.50 -41,355.28 -43,486.91 -44,727.46 -45,832.64 -46,800.95 -47,723.66 -48,273.66 -48,456.39

12/15/2018 112763 Frontier 01/05/2019 112726 PFleet 01/05/2019 112733 PFleet 01/05/2019 112731 AT&T 01/05/2019 112721 AT&T

01/28/2019 112816 L.N. Curtis & Sons 01/31/2019 112767 M. Roanhorse 02/01/2019 112769 Leland T. Kee

02/05/2019 02/05/2019

QuickBooks Payroll ... QuickBooks Payroll ...

02/06/2019 112784 Begay, Jeremy L 02/10/2019 112811 Navajo Tribal Utility ... 02/10/2019 112814 Navajo Tribal Utility ... 02/10/2019 112813 Navajo Tribal Utility ... 02/10/2019 112812 SecureCare Dental

02/10/2019 112810 AT&T

02/20/2019

QuickBooks Payroll ...

02/20/2019 112799 Begay, Jeremy L

02/20/2019

QuickBooks Payroll ...

02/20/2019 112800 Stash, Shermayne L. 02/21/2019 112804 Gurley Motor Comp... 02/21/2019 112815 Yazzie's Auto Parts 02/21/2019 112805 Home Depot Credit ... 02/21/2019 112803 Four Corners Weldi... 02/21/2019 112807 Navajo Tribal Utility ... 02/21/2019 112806 Navajo Sanitation 02/21/2019 112808 Orkin Pest Control 02/21/2019 112802 Dish Network 02/06/2019 112770 Attson, Shirlene L. 02/06/2019 112783 Yazzie, Jennifer 02/06/2019 112771 Begay, Harriet J. 02/06/2019 112785 Peshlakai, Lennix P X 02/06/2019 112782 Woodie, Dewayne G. X 02/06/2019 112781 Wagoner, Johnavan... X 02/06/2019 112780 Tsinajinnie, Jon-Myk... X 02/06/2019 112772 Begay, Mimi A. X 02/06/2019 112779 Stash, Shermayne L. X 02/06/2019 112774 Jackson, Celeste C. X 02/06/2019 112778 Roanhorse, Marcarlo X 02/06/2019 112777 Peshlakai, Lennix P X 02/06/2019 112773 Cook, Chantel M. X 02/06/2019 112776 Leonard, Evander R. X 02/06/2019 112775 Lee, Latasha V. X 02/21/2019 112794 Roanhorse, Marcarlo X 02/21/2019 112793 Peshlakai, Lennix P X X X X 02/21/2019 112792 Leonard, Evander R. 02/21/2019 112795 Tsinajinnie, Jon-Myk... 02/21/2019 112791 Lee, Latasha V. 02/21/2019 112796 Wagoner, Johnavan... 02/21/2019 112790 Jackson, Celeste C. 02/21/2019 112789 Cook, Chantel M. 02/21/2019 112797 Woodie, Dewayne G. 02/21/2019 112798 Yazzie, Jennifer 02/21/2019 112788 Begay, Mimi A. 02/21/2019 Stash, Shermayne L. X X X X X X X X X X

Total Checks and Payments

-48,456.39

-48,456.39

Deposits and Credits - 29 items

Paycheck Paycheck Paycheck Paycheck Paycheck Paycheck Paycheck Paycheck Paycheck Paycheck Paycheck Paycheck Paycheck Paycheck Paycheck Paycheck Paycheck Paycheck Paycheck Paycheck Paycheck Paycheck Paycheck Paycheck Paycheck Paycheck Paycheck

0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00

0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00

Page 1

Ganado Fire District

8:41 PM 03/14/19

Reconciliation Detail ACT Warrant - NBA - 2326, Period Ending 02/28/2019

Type

Date

Num

Name

Clr

Amount

Balance

Paycheck Paycheck

02/21/2019 112786 Attson, Shirlene L. 02/21/2019 112787 Begay, Harriet J.

X X

0.00 0.00

0.00 0.00

Total Deposits and Credits

0.00

0.00

Total Cleared Transactions

-48,456.39

-48,456.39

Cleared Balance

-48,456.39

-203,742.43

Uncleared Transactions Checks and Payments - 24 items

Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check

04/13/2018 112060 Chief Supply Corpor...

-69.50 -39.14

-69.50 -108.64 -2,108.64 -5,574.59 -8,574.59 -10,437.32 -10,917.32 -15,738.04 -17,160.00 -18,546.77 -19,914.98 -20,593.23 -21,101.67 -21,605.17 -22,069.96 -22,342.87 -22,536.10 -22,728.25 -22,813.85 -22,854.73 -22,895.18 -22,931.78 -23,328.29 -23,349.90

05/31/2018 112175 AT&T

08/01/2018 112329 Ganado Fire District 12/01/2018 112623 Sunstate Technolog... 12/15/2018 112718 Ganado Fire District 01/28/2019 112817 Ferrell Gas 02/16/2019 112848 EMI Health 02/16/2019 112857 Yazzie's Auto Parts 02/16/2019 112859 Frontier 02/16/2019 112856 Sam's Club 02/16/2019 112852 Goodyear Auto Serv... 02/16/2019 112853 Gurley Motor Comp... 02/16/2019 112854 Manuelito Towing & ... 02/16/2019 112855 Navajo Sanitation 02/16/2019 112851 Frontier 02/16/2019 112847 Dish Network 02/16/2019 112846 Cellularone of NE Ar... 02/16/2019 112850 Four Corners Weldi... 02/16/2019 112849 Ferrell Gas 01/31/2019 K. Bernally

-2,000.00 -3,465.95 -3,000.00 -1,862.73 -480.00 -4,820.72 -1,421.96 -1,386.77 -1,368.21 -678.25 -508.44 -503.50 -464.79 -272.91 -193.23 -192.15

-85.60 -40.88 -40.45 -36.60 -396.51 -21.61

02/16/2019 112845 AT&T 02/16/2019 112858 Frontier 02/21/2019 112809 Sparkletts

02/21/2019 112801 A.M. Applicance & ...

Total Checks and Payments

-23,349.90

-23,349.90

Deposits and Credits - 5 items

Liability Check Liability Check Liability Check Liability Check Liability Check

01/03/2019 01/03/2019 01/03/2019 01/03/2019 01/03/2019

QuickBooks Payroll ... QuickBooks Payroll ... QuickBooks Payroll ... QuickBooks Payroll ... QuickBooks Payroll ...

0.00 1.75 3.00 6.83

0.00 1.75 4.75

11.58 120.58

109.00

Total Deposits and Credits

120.58

120.58

Total Uncleared Transactions

-23,229.32

-23,229.32

Register Balance as of 02/28/2019

-71,685.71

-226,971.75

New Transactions Checks and Payments - 20 items

Liability Check Liability Check Liability Check Bill Pmt -Check Liability Check Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check Paycheck

03/05/2019 03/05/2019

QuickBooks Payroll ... QuickBooks Payroll ...

-14,262.57 -6,775.89 -1,015.40 -220.61 -220.61 -53.84 -7,182.63 -5,749.22 -1,896.93 -1,872.77 -968.31 -734.55 -630.93 -533.97 -506.08 -150.14

-14,262.57 -21,038.46 -22,053.86 -22,274.47 -22,495.08 -22,548.92 -29,731.55 -35,480.77 -37,377.70 -39,250.47 -40,218.78 -40,953.33 -41,584.26 -42,118.23 -42,624.31 -42,774.45 -42,856.82

03/05/2019 112860 Colonial Life 03/05/2019 112862 Security Benefit Group 03/05/2019 112861 Security Benefit Group 03/06/2019 112831 John, Alfred H. 03/11/2019 112873 PFleet 03/11/2019 112875 Ferrell Gas 03/11/2019 112868 Ferrell Gas 03/11/2019 112871 Gurley Motor Comp... 03/11/2019 112872 Navajo Tribal Utility ... 03/11/2019 112870 Goodyear Auto Serv... 03/11/2019 112876 Navajo Tribal Utility ... 03/11/2019 112866 Bound Tree Medical,...

03/11/2019 112869 Frontier 03/11/2019 112874 Sparkletts

03/11/2019

Navajo Tribal Utility ...

-82.37

Page 2

Ganado Fire District

8:41 PM 03/14/19

Reconciliation Detail ACT Warrant - NBA - 2326, Period Ending 02/28/2019

Type

Date

Num

Name

Clr

Amount

Balance

Bill Pmt -Check Liability Check Liability Check

03/11/2019 112867 E. Leonard

-13.35

-42,870.17 -45,138.77 -46,218.72

03/12/2019 03/12/2019

QuickBooks Payroll ... QuickBooks Payroll ...

-2,268.60 -1,079.95

Total Checks and Payments

-46,218.72

-46,218.72

Total New Transactions

-46,218.72

-46,218.72

Ending Balance

-117,904.43

-273,190.47

Page 3

Journal Activity From 02/01/2019 To 02/28/2019 For Account Range CWTGAFD

Date&Time 602100-1000

Reference

Debits

Credits

Running Total ($155,286.04)

GENERAL EXPENSE-Cash With Treasurer

Feb 1, 2019 11:59:00 PM Warrant 5500112721 Feb 1, 2019 11:59:00 PM Warrant 5500112726 Feb 1, 2019 11:59:00 PM Warrant 5500112731 Feb 1, 2019 11:59:00 PM Warrant 5500112733 Feb 1, 2019 11:59:00 PM Warrant 5500112767 Feb 4, 2019 11:59:00 PM Warrant 5500112756 Feb 4, 2019 11:59:00 PM Warrant 5500112757 Feb 4, 2019 11:59:00 PM Warrant 5500112760 Feb 4, 2019 11:59:00 PM Warrant 5500112761 Feb 4, 2019 11:59:00 PM Warrant 5500112762 Feb 4, 2019 11:59:00 PM Warrant 5500112763

($40.45)

($155,326.49) ($157,604.94) ($157,720.37) ($159,881.75) ($159,959.20) ($160,151.35) ($161,539.05) ($161,814.05) ($164,789.76) ($165,067.27) ($165,104.48) ($176,334.23)

($2,278.45) ($115.43) ($2,161.38) ($77.45) ($192.15) ($1,387.70) ($275.00) ($2,975.71) ($277.51)

($37.21)

Feb 6, 2019 7:34:08 AM Ganado FD Payroll ACH 2/5/2019 $11229.75 Feb 6, 2019 7:34:08 AM Ganado FD Payroll ACH 2/5/2019 $1201.55

($11,229.75)

($1,201.55)

($177,535.78)

Feb 6, 2019 11:59:00 PM Warrant 5500112769 Feb 6, 2019 11:59:00 PM Warrant 5500112784

($135.00) ($894.98)

($177,670.78) ($178,565.76) ($167,336.01)

Feb 7, 2019 7:18:40 AM Ganado FD Payroll ACH 2/5/2019 $11229.75 Feb 7, 2019 7:18:40 AM Ganado FD Payroll ACH 2/5/2019 $1201.55 Feb 7, 2019 7:31:08 AM Ganado FD Payroll ACH 2/5/2019 - $11229.75 Feb 7, 2019 7:31:08 AM Ganado FD Payroll ACH 2/5/2019 - $1201.55 Feb 20, 2019 7:15:01 AM GANADO FIRE DIST INTUIT PAYROLL $-479.53 Feb 20, 2019 7:19:22 AM GANADO FIRE DIST INTUIT PAYROLL $-499.71 Feb 20, 2019 7:19:52 AM GANADO FIRE DIST INTUIT PAYROLL $-499.71 Feb 20, 2019 7:20:58 AM GANADO FIRE DIST INTUIT PAYROLL $-10465.25

$11,229.75

$1,201.55

($166,134.46)

($11,229.75)

($177,364.21)

($1,201.55)

($178,565.76)

($479.53)

($179,045.29)

($499.71)

($179,545.00)

$499.71

($179,045.29)

($10,465.25)

($189,510.54)

Feb 21, 2019 11:59:00 PM Warrant 5500112799 Feb 21, 2019 11:59:00 PM Warrant 5500112800 Feb 25, 2019 11:59:00 PM Warrant 5500112804 Feb 26, 2019 11:59:00 PM Warrant 5500112803 Feb 26, 2019 11:59:00 PM Warrant 5500112805 Feb 26, 2019 11:59:00 PM Warrant 5500112808 Feb 26, 2019 11:59:00 PM Warrant 5500112812 Feb 26, 2019 11:59:00 PM Warrant 5500112815 Feb 27, 2019 11:59:00 PM Warrant 5500112759 Feb 27, 2019 11:59:00 PM Warrant 5500112807 Feb 27, 2019 11:59:00 PM Warrant 5500112810 Feb 27, 2019 11:59:00 PM Warrant 5500112811 Feb 27, 2019 11:59:00 PM Warrant 5500112813 Feb 27, 2019 11:59:00 PM Warrant 5500112814 Feb 27, 2019 11:59:00 PM Warrant 5500112816 Feb 28, 2019 11:59:00 PM Warrant 5500112802 Feb 28, 2019 11:59:00 PM Warrant 5500112806

($864.96) ($437.58) ($3,103.78) ($1,105.18) ($1,240.55) ($550.00) ($352.59) ($2,131.63) ($54.56) ($968.31) ($124.12) ($763.87) ($487.15) ($524.06) ($418.11) ($182.73) ($922.71) ($61,387.40)

($190,375.50) ($190,813.08) ($193,916.86) ($195,022.04) ($196,262.59) ($196,812.59) ($197,165.18) ($199,296.81) ($199,351.37) ($200,319.68) ($200,443.80) ($201,207.67) ($201,694.82) ($202,218.88) ($202,636.99) ($202,819.72) ($203,742.43) ($203,742.43)

602100-1000

GENERAL EXPENSE-Cash With Treasurer

$12,931.01

602500-1000

GANADO FD-Cash With Treasurer

$383.53 $383.77

Feb 28, 2019 11:59:58 PM journal fund interest allocation - 02/01/2019 to 02/28/2019

$0.24

cddavis @ Mar 7, 2019 12:06:27 AM Apache Treasurer

Page 1 of 2

Journal Activity From 02/01/2019 To 02/28/2019 For Account Range CWTGAFD

Date&Time 602500-1000

Reference

Debits $0.24

Credits

Running Total

GANADO FD-Cash With Treasurer

$0.00

$383.77

602700-1000

BOND INDEBTEDNESS-Cash With Treasurer

$7,921.83

Feb 28, 2019 11:59:58 PM journal fund interest allocation - 02/01/2019 to 02/28/2019

$4.89

$7,926.72

602700-1000

BOND INDEBTEDNESS-Cash With Treasurer

$4.89

$0.00

$7,926.72

Grand Total

$12,936.14

($61,387.40)

($48,451.26)

cddavis @ Mar 7, 2019 12:06:27 AM Apache Treasurer

Page 2 of 2

Apache County Treasurer PO Box 699 St. Johns, AZ, 85936

Ph: 928-337-7629 fax: 928-337-4686

Receipt: 02-07-2019-kjohnson-003152

Product

Name

Extended

2

Miscellaneous Receipts 602100-39900

($1,201.55) Reference: Ganado FD Payroll ACH 2/5/2019 -$1201.55

Journal Account 602100-39900

Name

Debits

Credits

GENERAL EXPENSE- MISC. REVENUES GENERAL EXPENSE-Cash With Treasurer

$1,201.55

602100-1000

($1,201.55)

2

Miscellaneous Receipts 602100-39900

($11,229.75) Reference: Ganado FD Payroll ACH 2/5/2019 -$11229.75

Journal Account 602100-39900

Name

Debits

Credits

GENERAL EXPENSE- MISC. REVENUES GENERAL EXPENSE-Cash With Treasurer

$11,229.75

602100-1000

($11,229.75)

Total

($12,431.30) ($12,431.30)

Change (Direct Deposit)

Bank Account

New_NBAZ_WarrantClearing ACH 2/5/2019 -$12431.30

Reference

All payments made by check are subject to final bank clearance.

Thank You

Thu Feb 07 07:31:08 MST 2019 kjohnson

1

Receipt is assigned to till instance 5313 of till eollerton Receipt is included in deposit instance 6047

Apache County Treasurer PO Box 699 St. Johns, AZ, 85936

Ph: 928-337-7629 fax: 928-337-4686

Receipt: 02-20-2019-eollerton-003497

Product

Name

Extended

2

Miscellaneous Receipts 602100-39900

($479.53) Reference: GANADO FIRE DIST INTUIT PAYROLL $-479.53

Journal Account 602100-39900

Name

Debits

Credits

GENERAL EXPENSE- MISC. REVENUES GENERAL EXPENSE-Cash With Treasurer

$479.53

602100-1000

($479.53)

Total

($479.53) ($479.53)

Change (Direct Deposit)

Bank Account

New_NBAZ_WarrantClearing ACH 02.20.2019 $-479.53

Reference

All payments made by check are subject to final bank clearance.

Thank You

Wed Feb 20 07:15:01 MST 2019 Eollerton

1

Receipt is assigned to till instance 5313 of till eollerton Receipt is included in deposit instance 6047

Apache County Treasurer PO Box 699 St. Johns, AZ, 85936

Ph: 928-337-7629 fax: 928-337-4686

Receipt: 02-20-2019-eollerton-003499

Product

Name

Extended

2

Miscellaneous Receipts 602100-39900

($10,465.25) Reference: GANADO FIRE DIST INTUIT PAYROLL $-10465.25

Journal Account 602100-39900

Name

Debits

Credits

GENERAL EXPENSE- MISC. REVENUES GENERAL EXPENSE-Cash With Treasurer

$10,465.25

602100-1000

($10,465.25)

Total

($10,465.25) ($10,465.25)

Change (Direct Deposit)

Bank Account

New_NBAZ_WarrantClearing ACH 02.20.2019 $-10465.25

Reference

All payments made by check are subject to final bank clearance.

Thank You

Wed Feb 20 07:20:58 MST 2019 Eollerton

1

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