Page 26 - Yucaipa Valley Water District
P. 26
Director Memorandum No. 18-075 Page 2 of 25
Cash Position
$25,000,000
$20,000,000
$15,000,000
$10,000,000
$5,000,000
$-
2015-16 2016-17 2017-18
Most of the funds reflected in the Cash Fund Balance Report are designated for specific purposes
and are therefore restricted, either by law or by District policy.
The Cash Flow Report provides a list of the debt service payment due dates and amounts as well
as the cash flow requirements for debt service for each month of the fiscal year.
Cash Disbursement Report
[Detailed information can be found on pages 9 to 14 of 25]
The cash disbursement report lists each check and electronic payment processed during the
month of April 2018. All payments are reviewed by District staff for accuracy and completeness,
checks are usually signed by the General Manager and one Director, but may be signed by two
Directors. The Chief Financial Officer will make any check, payment, invoice or supporting
documentation available for review to any board member upon request.
Number Processed Amount Processed
Checks 237 $ 1,182,279.38
Electronic Payments 11 $ 289,488.09
Total 248 $ 1,471,767.47
Yucaipa Valley Water District - May 15, 2018 - Page 24 of 62