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HomeMy WebLinkAboutTreasury Cash Cert - Oct 2011COUNTY OF BUTTE o~UTTFa OFFICE OF THE AUDITOR-CONTROLLER o Auditing Division ~; ~~r_ ~o MONTHLY TREASURY CASH CERTIFICATION The undersigned County Auditor of the County of Butte, State of California, having counted the money in the County Treasury of said County, as required by Paragraphs 26905 and 26920(a}, of the Government Code of the State of California, declares and makes the following report for the rnonth ending on the 31st day October , 2011. Treasurer's Balance on the 30th day of September , 2011 was $ 406,933,848.20 Add Deposits in County Treasury for the Month $ 54,327,404.55 Sub-Total $ 461,261,252.75 Deduct Warrants Paid for the Month $ 68,400,104.51 Amount that should be in the County Treasury on the 31st day of October, 2011. $ 392,861,148.24 The amount and kind of money actually therein is: Coin $ 1,303.27 Currency $ 52,787.00 Adjustment $ (0.02) Active Bank Deposits {Schedule on File) $ 11,691,978.78 Corporate Notes $ 10,009,507.19 Local Agency Investment Fund (LAIF) $ 91,351,803.38 Cal Trust -Short Term $ 3,952.00 Rabobank $ 20,059,656.14 School Bonds $ 24,932,398.47 Federal Agency Notes $ 236,007,762.03 Certificates of Deposit $ 2,750,000.00 Total $ 392,861,148.24 The Auditor's Office has verified the beginning and ending balances and receipts and disbursements made by the Treasurer but does not have the expertise to assess the soundness of the County`s Investment Policy or express an opinion on it or the Treasurer's adherence to it. I declare under penalty of perjury that the foregoing is true and correct. Executed at Oroville, California this 9th day of Jan.. uary, 2012 bP~~ ~~ ~}p~R~SD~S ~ p,N 26 2~~ V1~-~ ~p,1.1FaR~1P pRf3 1lwarehouselA,uditorlAuditorllNTERNAI, AUDITOR SHARE1County Depart~nentslTreasurer-Tax CollectorlTreasury Cash -Monthly Cert1TC Monthly Cert. 2011-1210ctober 2011 Cash Statement.xls DAVID A. HOUSER