Agenda - The Crossings at Fleming Island Community Development
Transcription
Agenda - The Crossings at Fleming Island Community Development
THE CROSSINGS atFLEA1INGISLAND Community Development District October 16, 2014 The Crossings at Fleming Island Community Development District 475 West Town Place, Suite 114, St. Augustine, Florida 32092 P: (904) 940-5850 • F: (904) 940-5899 October 13, 2014 Board of Supervisors The Crossings at Fleming Island Community Development District Dear Board Members: The regular meeting of the Board of Supervisors of The Crossings at Fleming Island Community Development District will be held October 16, 2014 at 6:00 p.m. at 1880 Eagle Harbor Parkway, Fleming Island, Florida. The following is the advance agenda for the meeting: I. II. III. IV. V. VI. VII. VIII. IX. Call to Order Pledge of Allegiance Roll Call Public Comment Management Team Reports A. District Counsel B. District Manager 1. Open Items Update 2. Consideration of Engagement Letter with Berger, Toombs for FY14 Audit Services C. District Operations Manager 1. Monthly Manager's Report D. Tree Amigos E. Hampton Golf Monthly Report for September 2014 Financial Reports for September 2014 A. Approval of Check Registers Supervisors' Requests Minutes Approval A. Approval of Minutes of the September 11, 2014 Special Meeting B. Approval of the September 25,2014 Meeting Adjournment The first four orders of business are routine in nature. District Counsel, Manager and Management Team will give their updates and reports at the meeting. Please note any underlined items within the reports are carryover items previously reported. New business will not be underlined. For consideration, the District Manager will also present the engagement letter with Berger, Toombs for FY14 audit services. Enclosed you will find a copy of the financial reports for the period ending September 30, 2014. Copies of the draft minutes of the September 11, 2014 special meeting and the September 25, 2014 meeting are enclosed for your review. Any additional support material will be presented and discussed at the meeting. If you have any questions, please contact me. Sincerely, ])a<AJ r£tlID David deNagy cc: Rob Bradley Sam Garrison 2 AGENDA THE CROSSINGS ae?,~'l~ COMMUNITY DEVELOPMENT DISTRICT Agenda Thursday October 16, 2014 6:00 p.m. 1880 Eagle Harbor Parkway Fleming Island, Florida 32003 I. Call to Order II. Pledge of Allegiance III. Roll Call IV. Public Comment V. Management Team Reports A. District Counsel B. District Manager 1. Open Items Update 2. Consideration of Engagement Letter with Berger, Toombs for FY14 Audit Services C. District Operations Manager 1. Monthly Manager's Report D. Tree Amigos E. Hampton Golf Monthly Report for September 2014 VI. Financial Reports for September 2014 A. Approval of Check Registers VII. Supervisors' Requests VIII. Minutes Approval A. Approval of Minutes of the September 11, 2014 Special Meeting B. IX. Approval of the September 25, 2014 Meeting Adjournment FIFTH ORDER OF BUSINESS B. 1. The Crossings at Fleming Island CDD Open Items - October 16, 2014 Bond Issues 1. The Board, at it's August 9, 2012 Workshop Meeting, approved a list of parcels to be direct billed rather than certifying the parcels to the Clay County Tax Roll. The parcels to be direct billed will be billed in the same manner as if they were on the tax roll (note there are no collection costs assessed on the direct bill) allowing for the same discounts through February 2013. If a direct bill is not paid in full by the final due date, March 31, 2013, then the District may proceed to foreclose on the property. The Board was updated at it's April 11, 2013 Workshop on the status of the 2000C bonds and non-payment of the direct billed assessments. Options about dealing with the non-payment issue will be provided to the Board at future Board meetings. The Board at its June 13, 2013 meeting motioned approval for District Counsel to foreclose against the delinquent direct-billed parcels owned by East/West. Tax certificate monies were received 09112/13 on two parcels, one of which is an East/West parcel that is being direct billed. The money received on the E/W parcel - $415,401.89 - was for tax years 2010 & 2011 (CDD fiscal years 2011 & 2012); the 2013 direct billed assessments have not been paid and this parcel is part of the foreclosure proceedings recently acted on by District Counsel. A formal notice to bondholders was posted November 4,2013 at the EMMAIMSRB website notifying the bondholders of the District's intent to foreclose on the three delinquent direct bill parcels owned by East/West. This notice in addition to written correspondence is required under the bond indenture when proceeding with foreclosure. The Board at its January 9, 2014 meeting motioned to confirm their original motion to have District Counsel foreclose on the delinquent East/West direct bill parcels. It was expected that a report being prepared by a consultant of the Bondholder's Trustee was to be provided by 12/31/13, which was then delayed until January 9, 2014. The report was not provided prompting the Board to confirm their earlier action. Action taken at the Apri117 and May 8,2014 meetings began the process of restructuring/refunding the Series 2000C bonds; the District, Bondholders and Developers are fully engaged to complete the process no later than August 1, 2014. Closing on the refunded Series 2000C bonds (Series 2014 A-I, A-2 and A-3 bonds) is scheduled for August 6, 2014. The Series 2000B bonds have been refinanced providing over $550K savings to the District and lower interest rates on the bonds afford residents an annual debt assessment savings of over 13%. The B bonds (now 2014A-4 bonds) will still be paid-off in 2016. Several parking lot parcels, included in the 2014A-l & A-2 bonds, will be reallocated to commercial parcels that benefit from the parking lots. The commercial parcel owners will be notified in a mailed notice and a Public Hearing regarding the reallocation is scheduled for the September 25, 2014 meeting. Other 1. An initial architects' rendering of renovations to Talon's was presented to the Board of Supervisors at the February 13, 2014 CDD meeting. Draft modifications to the restaurant include expanding the pub area, adding high top tables, utilizing the entrance foyer for additional seating and adding a wall between the entrance of the Pro Shop and the entrance foyer. 2. CDD Assessments collected as of March 14,2014, on the tax roll, totals $6,528,426 (90.2% of total assessed), of which $2,326,993 is O&M & O&M Reserves and $4,201,433 is debt service. Of the $652,922 direct billed, $33,141 has been paid. Outstanding O&M due on the tax roll totals $287,966 and $572,272 due on the direct bills. Debt outstanding on the tax rolls totals $424,582 and $25,995 on the direct bills. Tax Certificate receipts, received in late June 2014, total $202,762 bringing our "on-roll" FY14 revenue total for the General Fund to $2,331,285 (budget $2,319,282) and total for the Capital Reserve to $295,845 (budget $294,322). 3. Two Board seats' terms expire in November, Seat 3: John Tabor and Seat 4: David Herold, and will be filled through the General Election process on November 4, 2014. The Clay County Supervisor of Elections website provides information about running for the Board of Supervisors in the November General Elections. Seats 3&4 will be on the ballot in November 2014 with John Tabor (Seat #3) and David Herold (Seat #4) running unopposed. 4. Hampton Golf was tasked by the Board at the August 28, 2014 Board meeting with developing a action plan - within the next 2-3 months - outlining the steps Hampton intends to take to mitigate the projected FY15 operating results and was also tasked with developing a 3-5 year plan further enhancing the results past FY15. 5. GMS was tasked by the Board at the August 28, 2014 Board meeting with reviewing the current District business model and advising the Board of any changes that can be made to the operating structure - within the next 2-3 months - to improve/streamline the operating results of the District. 2. ~t Berger, Toombs, Elam, '0' Gaines & Frank Certified Public AccOUnbnts PL 600 Citrus Avenue Suite 200 Fort Pierce, Florida 34950 772/461-6120//461-1155 FAX: 772/468-9278 September 29, 2014 Mr. Dave deNagy Governmental Management Services, LLC 475 West Town Place, Suite 114 St. Augustine, FL 32092 The Objective and Scope of the Audit of the Financial Statements You have requested that we audit the financial statements of The Crossings at Fleming Island Community Development District, which comprise governmental activities, each major fund and the budgetary comparison for the General Fund as of and for the year ended September 3D, 201.1 which collectively comprise the basic financial statements. We are pleased to confirm our acceptance and our understanding of this audit engagement by means of this letter for the year ending September 3D, 2p13 and thereafter for one annual renewal if mutually agreed by The Crossings at Fleming ISltd Community Development District and Berger, Toombs, Elam, Gaines & Frank, Certified ublic Accountants PL. ~ola-t 1)b~ Our audit will be conducted with the objective of our expressing an opinion on the financial statements. The Responsibilities of the Auditor We will conduct the audit in accordance with auditing standards generally accepted in the United States of America and "Government Auditing Standards" issued by the Comptroller General of the United States. Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement. An audit involves performing procedures to obtain audit evidence about the amounts and disclosures in the financial statements. The procedures selected depend on the auditor's judgment, including the assessment of the risks of material misstatement of the financial statements, whether due to fraud or error. An audit also includes evaluating the appropriateness of accounting policies used and the reasonableness of significant accounting estimates made by management, as well as evaluating the overall presentation of the financial statements. Fort Pierce I Stuart Member AICPA Member AICPA Division For CPA firms Private Companies Practice Section Member FICPA e~ Ber:ger, Toombs, Elam, ~ Gaines & Frank The Crossings at Fleming Island Community Development District September 29,2014 Page 2 Because of the inherent limitations of an audit, together with the inherent limitations of internal control, an unavoidable risk that some material misstatements may not be detected exists, even though the audit is properly planned and performed in accordance with generally accepted auditing standards. Also, an audit is not designed to detect errors or fraud that are immaterial to the financial statements. The determination of abuse is subjective; therefore, Government Auditing Standards do not expect us to provide reasonable assurance of detecting abuse. In making our risk assessments, we consider internal control relevant to The Crossings at Fleming Island Community Development District's preparation and fair presentation of the financial statements in order to design audit procedures that are appropriate in the circumstances but not for the purpose of expressing an opinion on the effectiveness of the entity's internal control. However, we will communicate to you in writing concerning any significant deficiencies or material weaknesses in internal control rerevant to the audit of the financial statements that we have identified during the audit. We will also communicate to the Board any fraud involving senior management and fraud that causes a material misstatement of the financial statements that becomes known to us during the audit, and any instances of noncompliance with laws and regulations that we become aware of during the audit. The funds that you have told us are maintained by The Crossings at Fleming Island Community Development District and that are to be included as part of our audit are listed below: 1. 2. 3. 4. 5. General Fund/Reserve Fund Golf Course Reserve Bonds - Series 1999 Debt Service Fund Series 2000 AlBIC Water Sewer Fund Series 2007 Capital Projects Fund As part of our audit process, we will request from management written confirmation concerning representations made to us in connection with the audit including among other items: a) That management has fulfilled its responsibilities as set out in the terms of this letter; and; b) That it believes the effects of any uncorrected misstatements aggregated by us during the current engagement and pertaining to the latest period presented are immaterial, both individually and in the aggregate, to the financial statements taken as a whole. ~ Berger, Toombs, Elam, qj7 Gaines & Frank The Crossings at Fleming Island Community Development District September 29,2014 Page 3 Management is responsible for identifying and ensuring that The Crossings at Fleming Island Community Development District complies with the laws and regulations applicable to its activities, and for informing us about aU known material violations of such laws or regulations. In addition, management is responsible for the design and implementation of programs and controls to prevent and detect fraud or abuse, and for informing us about all known or suspected fraud or abuse affecting the entity involving management, employees who have significant roles in internal control, and others where the fraud or abuse could have a material effect on the financial statements or compliance. Management is also responsible for informing us of its knowledge of any allegations of fraud or abuse or suspected fraud or abuse affecting the entity received in communications from employees, former employees, analysts, regulators, short sellers, or others. The Board is responsible for informing us of its views about the risks of fraud or abuse within the entity, and its knowledge of any fraud or abuse or suspected fraud or abuse affecting the entity. The Crossings at Fleming Island Community Development District agrees that it will not associate us with any public or private securities offering without first obtaining our consent. Therefore, The Crossings at Fleming Island Community Development District agrees to contact us before it includes our reports or otherwise makes reference to us. in any public or private securities offering. The Crossings at Fleming Island Community Development District's Records and Assistance If circumstances arise relating to the condition of the The Crossings at Fleming Island Community Development District's records, the availability of appropriate audit evidence, or indications of a significant risk of material misstatement of the financial statements because of error, fraudulent financial reporting, or misappropriation of assets, which in our professional judgment prevent us from completing the audit or forming an opinion, we retain the unilateral right to take any course of action permitted by professional standards, including declining to express an opinion, issuing a report, or withdrawing from the engagement. During the course of our engagement, we may accumulate records containing data that should be reflected in the The Crossings at Fleming Island Community Development District books and records. The District will determine that all such data, if necessary, will be so reflected. Accordingly, the District will not expect us to maintain copies of such records in our possession. Other Relevant Information In accordance with Government Auditing Standards, a copy of our most recent peer review report has been provided to you, for your information. Gn Berger, Toombs, Elam, "0' Gaines & Frank The Crossings at Fleming Island Community Development District September 29, 2014 Page 4 Fees, Costs and Access to Workpapers Our fees for the audit and accounting services described above are based upon the value of the services performed and the time required by the individuals assigned to the engagement, plus direct expenses. Invoices for fees will be submitted in sufficient detail to demonstrate compliance with the terms of this engagement. Billings are due upon submission. Our fee for the services described in this letter for the year ending September 30, 2013 will not exceed $17,850 unless the scope of the engagement is changed, the assistance which The Crossings at Fleming Island Community Development District has agreed to furnish is not provided, or unexpected conditions are encountered, in which case we will discuss the situation with you before proceeding. All other provisions of this letter will survive any fee adjustment. The one annual renewal must be mutually agreed and approved by the Board of Supervisors. The audit of The Crossings at Fleming Island Community Development District will be completed no later than May 1, 2015. This would be dependent upon Berger, Toombs, Elam, Gaines & Frank receiving the pertinent documents by March 1, 2015. In the event we are requested or authorized by The Crossings at Fleming Island Community Development District or are required by government regulation, subpoena, or other legal process to produce our documents or our personnel as witnesses with respect to our engagement for The Crossings at Fleming Island Community Development District, The Crossings at Fleming Island Community Development District will, so long as we are not a party to the proceeding in which the information is sought, reimburse us for our professional time and expenses, as well as the fees and expenses of our counsel, incurred in responding to such requests. The documentation for this engagement is the property of Berger, Toombs, Elam, Gaines, & Frank. However, you acknowledge and grant your assent that representatives of the cognizant or oversight agency or their deSignee, other government audit staffs, and the U.S. Government Accountability Office shall have access to the audit documentation upon their request and that we shall maintain the audit documentation for a period of at least three years after the date of the report, or for a longer period if we are requested to do so by the cognizant or oversight agency. Access to requested documentation will be provided under the supervision of Berger, Toombs, Elam, Gaines, & Frank audit personnel and at a location designated by our Firm. Reporting We will issue a written report upon completion of our audit of The Crossings at Fleming Island Community Development District's financial statements. Our report will be addressed to the Board of The CrOSSings at Fleming Island Community Development District. We cannot provide assurance that an unmodified opinion will be expressed. Circumstances may arise in which it is necessary for us to modify our opinion, add an emphasisMof·matter or other-matter paragraph(s), or withdraw from the engagement. ~ Berger; Toombs; Elam; ~tP Caines & Frank The Crossings at Fleming Island Community Development District September 29, 2014 Page 5 In addition to our report on The Crossings at Fleming Island Community Development District's financial statements, we will also issue the following types of reports: • Reports on internal control and compliance with laws, regulations, and the provisions of contracts or grant agreements. We will report on any internal control findings and/or noncompliance which could have a material effect on the financial statements. This letter constitutes the complete and exclusive statement of agreement between Berger, Toombs, Elam, Gaines, & Frank and The Crossings at Fleming Island Community Development District, superseding all proposals, oral or written, and all other communications, with respect to the terms of the engagement between the parties. Please sign and return the attached copy of this letter to indicate your acknowledgment of, and agreement with, the arrangements for our audit of the financial statements including our respective responsibilities. Sincerely, A ~. V()(ht~ aM!r. -~-M~ ,,\fAaIJ/e. BERGER, TOOMBS, ELAM, GAINES & FRANK J. W. Gaines, CPA Confirmed on behalf of the addressee: Baggett, Reutimann & Associates, CPAs PA Certified Public Accountants Judson B. Baggen. MBA, CPA. e"A, Panner 6815 Dair.,. Road Marcl ReutimanD. CPA, Panner Zephyrhills, FL 33542 Phone: (813) 788-115!i Fux: (813) 781·8606 System Review Report To the Partners October 31,2013 Berger, Toombs, Elam, Gaines & Frank, CPAs PL and the Peer Review Committee of the Florida Institute of Certified Public Accountants We have reviewed the system of quality control for the accounting and auditing practice of Berger, Toombs, Elam, Gaines & Frank, CPAs PL, (the fllTll), in effect for the year ended May 31, 2013. Our peer review was conducted in accordance with the Standards for Performing and Reporting on Peer Reviews established by the Peer Review Board of the American Institute of Certified Public Accountants. As a part of our peer review, we considered reviews by regulatory entities, if applicable, in determining the nature and extent of our procedures. The frrm is responsible for designing a system of quality control and complying with it to provide the firm with reasonable assurance of performing and reporting in confonnity with applicable professional standards in all material respects. Our responsibility is to express an opinion on the design of the system of quality control, and the fum's compliance therewith based on our review. The nature, objectives, scope, limitations of, and the procedures performed in a System Review are described in the standards at 'w,v\v.aicpa.org/prsummarv. As required by the standards, engagements selected for review included engagements perfonned under Government Auditing Standards and audits of employee benefit plans. In our opinion, the system of quality control for the accoWlting and auditing practice of Berger, Toombs, Elam, Gaines & Frank, CPAs PL, in effect for the year ended May 31, 2013, has been suitably designed and complied with to provide the finn with reasonable assurance of performing and reporting in conformity with applicable professional standards in all material respects. Firms can receive a rating of pass, pass with deficiency (ies) , or fail. Berger, Toombs, Elam, Gaines & Frank, CPAs PL, has received a peer review rating of pass. ~~-<\--~$- Bag~eiiiilnann & Associates, CPAs, Member: American Institute of Certified Public Accountants (AICPA); Florida Institute of Certified Public Accountants (FICPA): National Association of Certified Valuation Analysts (NACVA) Baggett, Reutimann & Associates, CPAs PA Certified Public Accountants 6815 Dairy Road Zepbyrhills. FL 33541 Phone: (813) 788-1155 Judson B. Ba"ett. MBA. CPA, eVA, Partner Marci Reutimllnn. CPA. Partner FIIX: (813) 782-8606 System Review Report To the Partners October 31, 2013 Berger, Toombs, Blam, Gaines & Frank, CPAs PL and the Peer Review Committee of the Florida Institute of Certified Public Accountants We have reviewed the system of quality control for the accounting and auditing practice of Berger, Toombs, Elam, Gaines & Frank, CPAs PL, (the fmn), in effect for the year ended May 31,2013. Our peer review was conducted in accordance with the Standards for Perfonning and Reporting on Peer Reviews established by the Peer Review Board of the American Institute of Certified Public Accountants. As a part of our peer review, we considered reviews by regulatory entities, if applicable, in determining the nature and extent of our procedures. The firm is responsible for designing a system of quality control and complying with it to provide the frrm with reasonable assurance of performing and reporting in conformity with applicable professional standards in all material respects. Our responsibility is to express an opinion on the design of the system of quality control, and the firm's compliance therewith based on our review. The nature, objectives, scope, limitations of, and the procedures perfonned in a System Review are described in the standards at "'W\..... aicpa.org/prsummarv. As required by the standards, engagements selected for review included engagements perfonned under Government Auditing Standards and audits of employee benefit plans. In our opinion, the system of quality control for the accolUlting and auditing practice of Berger, Toombs, Elam, Gaines & Frank, CPAs PL, in effect for the year ended May 31, 2013, has been suitably designed and complied with to provide the finn with reasonable assurance of perfonning and reporting in conformity with applicable professional standards in all material respects. Firms can receive a rating of pass, pass with deficiency (ies) , or jail. Berger, Toombs, Elam, Gaines & Frank, CPAs PL, has received a peer review rating ofpass. ~~iln~+ ~Cy-ann & ASSOCIates, PAs, Bag~eiiIit Member: American Institute of Certified Public Accountants (AICPA); Florida Institute ofCenified Public Accountants (FJCPA); National Association of Certified Valuation Analysts (NACVA) c. 1. Crossings at Fleming Island Community Development District OPERATIONS OFFICE 2105 Harbor Lake Dr, Fleming Island, Florida 32003 904-509-6445 Date: Oct 2014 To: CROSSINGS AT FLEMING ISLAND CDD, BOARD OF SUPERVISORS From: Steve Andersen, District Operations Manager Re: Crossings Monthly Operations Report Amenity Centers: 1. Swim Park a. Numerous repairs completed to deck, irrigation & lighting 2. Watertront Park a. Electrical systems being repaired. 3. Creekside Park 4. Tennis Center a. Bathroom remodel and Pro Shop remodel completed 5. Swim Park Annex 6. Lickskillet a. Developing plans for remodel. Common Areas & Retention Ponds: 1. All lakes have been treated and inspected by the Lake Doctors. Written reports are submitted after each treatment. 2. Brick wall along Hwy 220 was repaired 3. All neighborhood parks have been inspected, certified and repairs will be complete by month's end. Landscaping: 1. GMS meets or talks with Tree Amigos on a daily basis. The landscape report is filed separately. Misc: 1. GMS answered numerous phone calls, emails and visits from residents, contractors, vendors and other persons with inquiries. The subjects included, CCUA billing and repairs, golf course maintenance, easement encroachments, nutria, alligators, lake maintenance, FEMA, directions, repairs, drainage (both County and CDD owned), dead trees, vandalism, security, etc 2. Facilities are inspected on a weekly basis. D. Tree Ami 0 Outdoor Services October 8, 2014 Govelnmental Management Services, LLC. 475 WestTown Place, STE #114 St. Augustine, FL 32092 Attn: Dave DeNagy, Steve Andersen, Sharon Harper Dave, Steve and Sharon, Please find below maintenance services provided to The Crossings by Tree Amigos for September 1 through September 30,2014. Irrigation adjustments and update system Bi-Weekly mowing & maintenance of property for winter months Treatment of army worms, mole cricket, chinch bugs & weed control Winter cleanup projects Winter flower switch out Continuing our efforts to make Eagle Harbor an outstandi~g place to live. Thank you, Tree Amigos 5000 -18 Highway 17 #235 Fleming Island, FL 32003 Office: (904) 778-1030 Fax: (904) 778-1045 WWW.TreeAmigosoutdoor.com E. Hampton Golf Inc. Eagle Harbor Golf Club .. .. -- - --- -- -Variance September Last Year 2014 vs. 2013 - September Actual ROUNDS PLAYED Member Rounds Guest Rounds Total Rounds Played REVENUES TO NOTE Member Dues Golf Sales- Green and Cart Fee Golf Shop Merchandise Food and Beverage Other Revenue Total Revenues COST OF GOODS SOLD Golf Shop Food and Beverage Total COGS Golf Shop $ per Round Net of Disc. Golf Shop COGS % Food and Beverage COGS% *F&B COGS Net of Discount $ September Budget Variance 2014vs. Bud Y-T-D Budget Variance 2014vs. Bud Y-T-D Last Year Variance 2014 vs. 2013 724 1,452 2,176 748 1,766 2,514 (24) (314) (338) 828 1,770 2,598 (104) (318) (422) 9,578 21,749 31,327 14,032 21,691 35,723 (4,454) 58 14,3961 11,408 22,40433,812 36,319 48,766 6,510 37,370 7,917 31,580 66,569 10,463 33,335 10,350 4,739 (17,803) (3,952) 4,035 (2,433) 27,163 58,485 6,191 32,606 7,655 9,156 (9,719) 319 4,764 262 353,505 728,321 116,540 414,065 97,077 383,960 828,682 128,071 416,930 119,200 (30,455) (100,360) (11,531) (2,865) (22,123) 366,-039 750,825 100,811 408,584 99,370 (12,534) (22,503) 15,729 5,481 (2,293) 136,882 152,297 (15,415) 132,100 4,782 1,709,509 1,876,843 (167,334) 1,725,629 (16,120) 5,226 16,312 21,539 7,847 13,487 21,333 (2,621) 2,826 205 4,082 12,317 16,399 1,144 3,996 5,139 80,956 197,388 278,344 96,053 168,947 265,000 (15,098) 28,441 13,344 75,703 179,181 254,883 5,253 18,208 23,461 2.99 80.27% 42.13% $ 4.16 75.00% 40.71% $ (1.17) 5.27% 1.43% $ 2.38 65.94% 37.32% OPERATING EXPENSES TO NOTE Salaries and Wages Supplies Fuel and Oil 55,312 3,463 3,505 58,283 4,294 3,483 (2,971) (831) 21 57,920 7,295 3,290 TOTAL OPERATING EXPENSES 145,215 136,719 8,496 NET INCOME/(LOSS) (29,872>1 (5,756) I (24,116) I ~, ~I INITIATION FEES REFUNDED INITIATION FEES Y-T-D Actual ~ , $ 0.61 14.34% 4.81% $ 3.72 69.47% 47.83% $ 3.59 75.00% 40.71% $ 0.14 -5.53% 7.12% $ 2.98 $ 75.09%· 43.67% (1,830) I (655) . (2,485) 0.74 -5.63% 4.16% (2,608) (3,832) 215 672,435 66,939 36,673 685,399 57,999 48,333 (12,964) 8,939 (11,660) 684,685 55,732 41,600 (12,250) 11,206 (4,927) 214,628 (69,413) 1,663,389 1,700,204 (36815) 1,703,188 (39,799) (98,927)1 69,056 ~, ~ I , (232,224) I ~ I (88,361) ~ I , (143,863)1 ~ I (232,443) I ~ 218 I , - -~--I EHGSept2014Comp.xlsx 10/13/14 1:08 PM Hampton Golf Inc. Eagle Harbor Golf Club OPERATING REVENUES Food Non-Alcoholic Beverage Sales Beer and Wine Liquor Sales Discount Programs F&B Other Revenue F&B Total F&B Sales September Actual $ 25,326 $ 2,338 7,751 $ 3,326 $ $ 1,951 $ 580 September Budget 21,176 $ 3,048 $ 5,134 $ 2,727 $ $ 1,250 $ Variance 2014vs. Bud $4,150 ($711) $2,617 $599 $1,951 ($670) Food and B -- -- September Variance 2014 vs. 2013 Last Year $4,062 21,264 $ 2,970 ($632) $ 6,116 $1,634 $ 2,993 $333 $ 1,317 $634 $ 580 $0 $ Y-T-D Actual $ 272,897 $ 28,616 $ 84,091 $ 33,263 $ 16,688 $ 11,887 $ $ $ $ $ $ 15,000 Variance 2014vs. Bud $7,623 ($9,568) $19,782 ($902) $16,688 ($3,113) $ $ $ $ $ $ Y-T-D Last Year 258,937 36,116 79,899 36,233 14,889 12,288 Y-T-D Budget 265,274 38,183 64,309 34,164 - Variance 2014 VS. 2013 $13,960 ($7,500) $4,192 ($2,971) $1,800 ($401) $ 37,37U $ 33,330 $4,U30 $ 32,OUO $4,704 $ 414,Uoo $ 410,93U ($2,860) !Ii 4U8,084 !li0,481 $ 12,423 47.29% $ 10,491 43.31% $1,932 3.98% $ 9,270 39.83% $3,153 7.46% $ 146,699 50.67% $ 131,427 43.31% $15,272 7.36% $ 134,259 47.21% $12,440 3.46% Beer and Wine and Liquor % $ 3,889 36.98% $ 2,995 38.10% $894 -1.13% $ 3,047 34.82% $843 2.15% 50,689 44.99% $ 37,520 38.10% $13,170 6.88% $ 44,921 40.13% $5,768 4.85% Total Cost of Goods Sold % $ 16,312 42.13% $ 13,487 40.71% $2,826 1.43% $ 12,317 37.32% $3,996 4.81% $ 197,388 47.83% $ 168,947 40.71% $28,441 7.12% $ 179,181 43.67% $18,208 4.16% $ $ 13,848 6,629 $ $ 13,733 4,866 $115 $1,764 $ $ 14,007 5,703 ($159) $927 $ 142,801 $ 61,988 $ $ 172,030 60,953 ($29,229) $1,035 $ $ 150,110 67,006 ($7,308) ($5,018) $ 21,U08 $ 19,848 $1,2U9 $ 2U,289 $708 $ 210,077 :ji 247,983 (!!)31,3UO) $ 229,4U3 (!!)12,lZ7) $ 10,000 $ 44.57% 7.65 $ ~UU,04~ (:jiB,9U7j :Ii 1tl~,1~1 $9,007 1.71% $0.73 COST OF GOODS SOLD Food & Non- Alcoholic Beverages % GROSS MARGIN Food & Non- Alcoholic Beverages Beer and Wine and Liquor Total Gross Margin COMPENSATION & EMPL. EXP. As a percentage of Sales Compensation/Round OTHER EXPENSES TO NOTE Supplies Fuel and Oil $ 17,UUU 51.00% 6.76 (!l>344) $ -6.43% $0.89 $ $ :Ii 14,908 45.87% 5.76 $1,098 -1.30% $1.90 $ :Ii 46.28% 6.12 $ $ $ 32,599 9,911 1~1,o;jO 48.10% 5.61 -1.82"10 44.58"10 $0.50 $ 5.39 $ $ 26,996 10,800 $5,603 ($889) $ $ 31,418 8,978 $1,181 $933 $ $ 2,438 1,042 $ $ 2,258 900 $181 $142 $ $ 5,333 940 ($2,895) $102 TOTAL OPERATING EXPENSES As a percentage of Sales $ 20,443 68.08% $ 20,202 75.75% $191 -7.67% $ 20,433 78.00% $1U -9.92% $ 3U3,008 73.31% $ 291,038 69.92% $12,020 3.39% !Ii 270,UOO 66.08% !liJJ,ooJ 7.23% OPERATING INCOME/(LOSS) Margin % $ (4,380) $ $1,U18 $ (!:>,144) -10.ltl'Yo $1!:>8 $ (80,88:'::) $ (:ji43,32l) -1U.04% (4U,oU:'::) -~U.~tlu/o (43,!:>!:>!:» -1U04O% $ 4.U4'Yo (:ji46,2BU) -11.UO% (104) (318) 9,578 21,749 14,032 21,691 (42Z1 31,3Z1 3!:>,t:.::3 (4,454) 58 (4,3901 11.67 $1.55 ROUNDS Member Rounds Guest Rounds TOTAL ROUNDS TOTAL REVENUE/ROUND OPERATING INCOME/ROUND 748 1,766 :'::,014 724 1,452 :'::,170 $ $ 17.17 (2.02) (!:>,4U4) 'Yo -10.~1 -11.14% $ $ 13.26 (2.15) 404tl% (24) (314) 828 1,770 :'::,!:>!:US (;);)l:S1 $3.91 $0.13 $ $ 12.55 (1.98) $4.62 ($0.04) $ $ 13.22 (2.77) $ $ (1.22) -~.~4'10 $ 11,408 22,404 33,81:':: (1,830) (655) (Z,4l:l5) 12.08 $1.13 i I ($1.55) $ (1.20) ($1.57)1 EHGSept2014Comp.xlsx 10/13/14 1:09 PM SIXTH ORDER OF BUSINESS The Crossings at Fleming Island COMMUNITY DEVELOPMENT DISTRICT COMBINED BALANCE SHEET September 30,2014 Governmental Funds Debt Service General Capital Projects Reserve ProE!rieta!)( Funds Golf Fund Waterl Swim & Tennis Totals FY2014 $239,838 $181,027 $2,576,601 $2,236 $3,503 $5,739 $238,985 $93,572 $22,093 $354,650 $1,058,658 $83 Sewer 8§.§ll§.;. $641,133 Cash $247,789 $1,266,814 Petty Cash Accounts Receivable Investments: Operations: State Board $155,786 State Board - Unforeseen Exp $598,043 $1,214,527 $598,043 Series 1999 Op Reserve Reserve Interest Revenue Sinking $12,529 $12,529 $155,845 $155,845 $2 $2 $27,426 $27,426 $6 $6 Series 20008 Interest B Series2000C Revenue C $5,000 $5,000 $47,084 $47,084 Series 2007 RefundiQQ Reserve $983,919 $963,919 Interest $622,871 $622;871 Revenue $635,100 $635,100 Renewal & Replacement $271,240 $271,240 Rate Stabilization $385,117 $385,117 Surplus $531,800 $531,800 Series 2014 - d-1IA-2 Reserve A-1 Interest A-1 $1,049,875 $1,049,875 $197,696 $197,696 $1 $1 Reserve A-2 $401,626 $401,626 Interest A-2 $58,987 Revenue Cost of Issuance - A-1/A-2 $58,987 $21,888 $21,888 Series 2014 - A-3 Reserve A-3 $414,289 $414,289 Interest - A-3 Revenue $77,596 $77,596 $0 $0 Construction - A-3 $1,638,626 $1,638,626 Cost of Issuance - A-3 $9,044 $9,044 Series 2014 - d-4 Reserve A-4 $164,630 $164,630 Interest A-4 RevenueA-4 $13,079 $13,079 $500,019 $500,019 Cost of Issuance - A-4 $20,746 $20,746 $57,728 Inventory Due from General Fund Due from SaT - Boat Storage Rev Due from Golf Course - Loan Due from Golf Course Prepaid Expenses Deposits $0 TOTAL ASSETS $7,040 $7,040 $85,800 $85,800 $42,261 $42,261 $108,454 Due to General Fund - Loan Due to Debt Service Due to Reserve Deferred Income Deposits Payable Accrued Interest Payable - Bonds Accrued Interest Payable - LOC Accrued Principal Payable Maintenance Warranties Line of Credit Payable Loan Payable Bonds Payable - 1999 Bonds Payable - 2007 Ref FUND BALANCES: Assigned for General Fund Restricted for Debt Service Restricted for Capital Projects Restricted for Water Sewer Nonspendable Unassigned TOTAL LIABILITIES & FUND EQUITY & OTHER CREDITS $43,314 $13,475,223 $5,527,032 $19,513,621 $6,169,756 $219,241 $32,478,824 $257,667 $138,706 $42,261 $62,613 $7,040 $479,316 $49,301 $85,800 $10,144 $247,789 $2,964,596 $1,690,305 $20,330 $1,860 $0 $85,800 $0 $0 $217,453 $622,772 $635,000 $5,274 $73,014 $38,223 $9,975 $1,280,871 $0 $895,000 $0 $0 $3,880,000 $26,635,000 $598,043 $101,390 $219,241 $32,478,824 $1,690,305 $217,453 $247,789 $1,673 516 $247,789 ($9,076,997) $2,964,596 -1- $1,690,305 $19,513,621 ($225,896) $6,169,756 $34,714 $0 $111,237 $231,801 $1,903,643 $0 $1,530,000 $5,274 $0 $0 $3,880,000 $26,635,000 $598,043 $2,964,596 $1,690,305 $217,453 $229,254 ($8,166,912) $2,964,596 $229,254 $786,801 $45,144 $19,002,254 $34,714 $4,373 $197,521 $43,893 $35,000 $1,673,516 $68,486 $34,714 $34,714 Fixed Assets LIABILITIES: Accounts Payable Due to General Fund $10,758 The Crossings at Fleming Island COMMUNITY DEVELOPMENT DISTRICT GENERAL FUND Statement of Revenues & Expenditures For The Period Ending September 30, 2014 ADOPTED BUDGET PRORATED BUDGET THRU 9/30/14 ACTUAL THRU 9/30/14 VARIANCE REVENUES: Special Assessment Special Assessment - Direct BoatlRV Storage Fees Interest Income Rental Income $2,319,282 $517,549 $95,000 $2,500 $2,400 $2,319,282 $517,549 $95,000 $2,500 $2,400 $2,645,651 $10,955 $92,794 $1,398 $2,680 $326,369 ($506,595) ($2,206) ($1,102) $280 $2,936,731 $2,936,731 $2,753,478 ($183,253) $21,000 $1,607 $5,000 $1,000 $3,600 $55,000 $9,000 $13,500 $90,600 $1,000 $0 $300 $2,600 $2,100 $56,000 $3,500 $8,000 $7,500 $750 $175 $21,000 $1,607 $5,000 $1,000 $3,600 $55,000 $9,000 $13,500 $90,600 $1,000 $0 $300 $2,600 $2,100 $56,000 $3,500 $8,000 $7,500 $750 $175 $23,200 $1,775 $2,125 $1,300 $0 $57,695 $6,478 $6,340 $90,600 $1,000 $0 $53 $2,423 $3,002 $53,550 $22,823 $7,569 $6,867 $948 $175 ($2,200) ($168) $2,875 ($300) $3,600 ($2,695) $2,522 $7,160 $0 $0 $0 $247 $177 ($902) $2,450 ($19,323) $431 $633 ($198) $0 $696,750 $40,000 $0 $74,400 $8,000 $95,000 $115,000 $418,180 $5,000 $696,750 $40,000 $0 $74,400 $8,000 $95,000 $115,000 $418,180 $5,000 $696,750 $42,820 $14,565 $65,465 $4,006 $87,489 $101,457 $0 $0 $0 ($2,820) ($14,565) $8,935 $3,994 $7,511 $13,543 $418,180 $5,000 $1,734,562 $1,734,562 $1,300,474 Interfund Transfer Out - Golf Course Interfund Transfer Out - Swim & Tennis Interfund Transfer Out - Debt Service $150,000 $1,052,170 $0 $150,000 $1,052,170 $0 $150,000 $876,808 $263,341 TOTAL OTHER $1,202,170 $1,202,170 $1,290,149 TOTAL REVENUES EXPENDITURES: ADMIN/STRA TIVE: Supervisors Fees FICA Engineering Dissemination Agent Arbitrage Attorney Fees Audit Trustee/Banking Fees Management Fees Computer Time Travel & Per Diem Telephone Postage Printing & Binding Insurance Legal Advertising Other Current Charges Property Taxes Office Supplies Dues, Licenses, Subscriptions MAINTENANCE: Landscape Maintenance - Contract Landscape Maintenance - Contingency Facility Management Lake Maintenance Cost Sharing Agreement Facility/Preventative Maintenance Utilities Operating Reserves Security TOTAL EXPENDITURES $434,088 OTHER SOURCES/{USES}: EXCESS REVENUES (EXPENDITURES) $0 $162,855 FUND BALANCE - Beginning $0 $1,451,243 FUND BALANCE - Ending $0 $1,614,098 Page 2 $0 ($175,362) $263,341 $87,979 The Crossings at Fleming Island COMMUNITY DEVELOPMENT DISTRICT RESERVE FUND Statement of Revenues & Expenditures For The Period Ending September 30, 2014 ADOPTED BUDGET PRORATED BUDGET THRU 9/30/14 ACTUAL THRU 9/30/14 VARIANCE REVENUES: Special Assessments - Tax Collector Special Assessments - Direct Invoice Misc. Income $294,322 $65,678 $0 $294,322 $65,678 $0 $335,480 $0 $0 $41,158 ($65,678) $0 TOTAL REVENUES $360,000 $360,000 $335,480 ($24,520) $250,000 $109,750 $250 $250,000 $109,750 $250 $328,250 $0 $218 ($78,250) $109,750 $32 $360,000 $360,000 $328,469 $31,531 $0 $0 $0 $0 $0 $0 $0 $0 EXPENDITURES: Capital Outlay Contingency Other Current Charges TOTAL EXPENDITURES OTHER SOURCES/{USES}: Interfund Transfer In - General Fund TOTAL OTHER $0 $7,011 FUND BALANCE - Beginning $189,171 $240,778 FUND BALANCE - Ending $189,171 $247,789 EXCESS REVENUES (EXPENDITURES) Page 3 The Crossings at Fleming Island COMMUNITY DEVELOPMENT DISTRICT DEBT SERVICE FUND Series 2000 BIC Special Assessment Revenue Bonds Statement of Revenues & Expenditures For The Period Ending September 30, 2014 ADOPTED BUDGET PRORATED THRU 9/30/14 ACTUAL THRU 9/30/14 VARIANCE REVENUES: Special Assessments - Tax Collector Series B Series C Direct Assessments - C Prepayments - B Prepayments - C Misc. Income Interest Income $1,948,094 $3,868,876 $0 $0 $0 $0 $2,000 $1,948,094 $3,868,876 $0 $0 $0 $0 $2,000 $1,853,271 $3,410,062 $22,186 $1,596 $24,898 $163,000 $543 ($94,823) ($458,814) $22,186 $1,596 $24,898 $163,000 ($1,457) $5,818,970 $5,818,970 $5,475,555 ($343,415) Series 20008 Special Call - 11/1 Interest Expense - 11/1 Principal Expense - 5/1 Interest Expense - 5/1 $0 $150,945 $1,640,000 $150,945 $0 $150,945 $1,640,000 $150,945 $5,000 $150,800 $1,640,000 $150,655 ($5,000) $145 $0 $290 Series 2000C Special Call - 11/1 Interest Expense - 11/1 Principal Expense - 5/1 Interest Expense - 8/12 $0 $1,341,449 $1,215,000 $1,341,449 $0 $1,341,449 $1,215,000 $1,341,449 $15,000 $1,341,449 $37,790,000 $2,115,370 ($15,000) $0 ($36,575,000) ($773,921) $0 $0 $764,019 ($764,019) $5,839,788 $5,839,788 $43,972,293 ($38,132,505) $0 $0 $0 $0 $0 $0 $28,648,924 ($1 ,~62,579) $7,149,000 $28,648,924 ($1,262,579) $7,149,000 $0 $0 $34,535,344 $34,535,344 TOTAL REVENUES I EXPENDITURES: Other Debt Service Costs TOTAL EXPENDITURES I OTHER SOURCES/(USES): Interfund Transfer In Interfund Transfer Out Gain on Sale of Investment TOTAL OTHER EXCESS REVENUES (EXPENDITURES) ($20,818) ($3,961,393) FUND BALANCE - Beginning $480,253 $4,013,477 FUND BALANCE - Ending $459,435 $52,084 Page 4 I The Crossings at Fleming Island COMMUNITY DEVELOPMENT DISTRICT DEBT SERVICE FUND Series 2014 A-1/A-2 Sp'ecial Assessment Refunding Bonds Statement of Revenues & Expenditures For ThE? Period Ending September 30,2014 ADOPTED BUDGET PRORATED THRU 9/30/14 ACTUAL THRU 9/30/14 VARIANCE REVENUES: Special Assessments - Tax Collector Special Assessments - Direct Interest Income TOTAL REVENUES $0 $0 $0 $0 $0 $0 $0 $34,714 $6 $0 $34,714 $6 $0 $0 $34,720 $34,720 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $27,073,762 ($25,365,583) $27,073,762 ($25,365,583) $0 $0 $1,708,180 $1,708,180 I EXPENDITURES: Series 2014 A-1 Interest l::xpense - 11/1 Special Call - 5/1 Principal Expense - 5/1 Interest Expense - 5/1 TOTAL EXPENDITURES I OTHER SOURCES/fUSES): Refunding Proceeds Interfund Transfer Out . TOTAL OTHER EXCESS REVENUES (EXPENDITURES) $0 $1,742,900 FUND BALANCE -.Beginning $0 $0 FUND BALANCE - Ending $0 $1,742,900 Page 5 I The Crossings at Fleming Island COMMUNITY DEVELOPMENT DISTRICT DEBT SERVICE FUND Series 2014 A-3 Special Assessment Refunding Bonds Statement of Revenues & Expenditures For The Period Ending September 30, 2014 ADOPTED BUDGET PRORATED THRU 9/30/14 ACTUAL THRU 9/30/14 VARIANCE REVENUES: Special Assessments - Tax Collector Interest Income TOTAL REVENUES $0 $0 $0 $0 $0 $2 $0 $2 $0 $0 $2 $21 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 EXPENDITURES: Series 2014 A-3 Interest Expense - 11/1 Special Call - 5/1 Principal Expense - 5/1 Interest Expense - 5/1 TOTAL EXPENDITURES I OTHER SOURCES/(USES): Refunding Proceeds Interfund Transfer Out TOTAL OTHER $3,506,883 ($3,015,000) $491,883 EXCESS REVENUES (EXPENDITURES) $0 $491,885 FUND BALANCE - Beginning $0 $0 FUND BALANCE - Ending $0 $491,885 Page 6 $3,506,883 ($3,015,000) $491,883 I The Crossings at Fleming Island COMMUNITY DEVELOPMENT DISTRICT DEBT SERVICE FUND Series 2014 A-4 Special Assessment Refunding Bonds Statement of Revenues & Expenditures For The Period Ending September 30,2014 ADOPTED BUDGET PRORATED THRU 9/30/14 ACTUAL THRU 9/30/14 VARIANCE REVENUES: Special Assessments - Tax Collector Interest Income TOTAL REVENUES $0 $0 $0 $0 $0 $1 $0 $1 $0 $0 $1 $1 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $3,048,040 $1,262,581 ($3,632,894) $0 $0 $677,727 I EXPENDITURES: Series 2014 A-3 Interest Expense - 11/1 Special Call - 5/1 Principal Expense - 5/1 Interest Expense - 5/1 TOTAL EXPENDITURES I OTHER SOURCES/{USES): Refunding Proceeds Interfund Transfer In Payment to Escrow TOTAL OTHER EXCESS REVENUES (EXPENDITURES) $0 $677,729 FUND BALANCE - Beginning $0 $0 FUND BALANCE - Ending $0 $677,729 Page 7 $3,048,040 $1,262,581 ($3,632,894) $677,727 I The Crossings at Fleming Island COMMUNITY DEVELOPMENT DISTRICT CAPITAL PROJECTS FUND Series 2014 A-1, A-2 Special Assessment Refunding Bonds Statement of Revenue? & Expenditures For The Period Ending September 30,2014 ADOPTED BUDGET PRORATED THRU 9/30/14 ACTUAL THRU 9/30/14 VARIANCE REVENUES: Interest Income Insurance Proceeds TOTAL REVENUES $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $1,244,350 ($1,244,350) $0 $0 $1,244,350 ~$1 ,244,350~ $0 $0 $0 $0 $1,266,238 $0 $1,266,238 $0 $0 $0 $1,266,238 $1,266, 238 1 $0 I EXPENDITURES: Cost of Issuance - A-1/A-2 TOTAL EXPENDITURES I OTHER SOURCES/(USES): Refunding Proceeds Interfund Transfer Out TOTAL OTHER EXCESS REVENUES (EXPENDITURES) $0 $21,888 FUND BALANCE - Beginning $0 $0 FUND BALANCE - Ending $0 $21,888 Page 8 The Crossings at Fleming Island COMMUNITY DEVELOPMENT DISTRICT CAPITAL PROJECTS FUND Series 2014 A-3 Special Assessment Refunding Bonds Statement of Revenues & Expenditures For The Period Ending September 30, 2014 ADOPTED BUDGET PRORATED THRU 9/30/14 ACTUAL THRU 9/30/14 VARIANCE REVENUES: Interest Income TOTAL REVENUES $0 $0 $6 $6 $0 $0 $6 $61 $0 $0 $0 $26,379 ($26,379) $0 $259,073 ($259,073) $0 $0 $285,452 ~$259,073ll $0 $0 $1,933,117 $1,933,117 $0 $0 $1,933,117 $1,933, 117 1 EXPENDITURES: Improvements Cost of Issuance TOTAL EXPENDITURES OTHER SOURCES/fUSES): Refunding Proceeds TOTAL OTHER EXCESS REVENUES (EXPENDITURES) $0 $1,647,671 FUND BALANCE - Beginning $0 $0 FUND BALANCE - Ending $0 $1,647,671 Page 9 The Crossings at Fleming Island COMMUNITY DEVELOPMENT DISTRICT CAPITAL PROJECTS FUND Series 2014 A-4 Special Assessment Refunding Bonds Statement of Revenues & Expenditures For The Period Ending September 30,2014 ADOPTED BUDGET PRORATED THRU 9/30/14 ACTUAL THRU 9/30/14 VARIANCE REVENUES: Interest Income TOTAL REVENUES $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $151,214 ($151,214) $0 $0 $151,214 ~$151,214~1 $0 $0 $0 $0 $176,960 ($5,000) $176,960 ($5,000) $0 $0 $171,960 $171,960 I EXPENDITURES: Cost of Issuance TOTAL EXPENDITURES OTHER SOURCES/{USES): Refunding Proceeds Interfund Transfer Out TOTAL OTHER EXCESS REVENUES (EXPENDITURES) $0 $20,746 FUND BALANCE - Beginning $0 $0 FUND BALANCE - Ending $0 $20,746 Page 10 I The Crossings at Fleming Island COMMUNITY DEVELOPMENT DISTRICT WATER/SEWER FUND Statement of Revenues & Expenditures For The Period Ending September 30, 2014 ADOPTED BUDGET PRORATED THRU 9/30/14 ACTUAL THRU 9/30/14 VARIANCE REVENUES: Water Revenue Wastewater Revenue Reuse Water Revenue Admin Fees for W/S Operation Debt Service Recovery Fee InteresUMisc. Income TOTAL REVENUES $926,000 $1,680,000 $703,000 $105,000 $1,952,000 $10,000 $926,000 $1,680,000 $703,000 $105,000 $1,952,000 $10,000 $865,431 $1,698,412 $598,793 $95,630 $1,987,392 $6,276 ($60,569) $18,412 ($104,207) ($9,370) $35,392 ($3,724) $5,376,000 $5,376,000 $5,251,934 ($124,066) $1,000 $1,200 $1,000 $32,000 $5,800 $8,000 $45,300 $500 $500 $1,000 $500 $40,000 $1,000 $300 $10,000 $1,000 $1,200 $1,000 $32,000 $5,800 $8,000 $45,300 $500 $500 $1,000 $500 $40,000 $1,000 $300 $10,000 $0 $1,200 $1,200 $18,319 $4,175 $7,898 $45,300 $458 $0 $772 $0 $38,249 $0 $0 $12,558 $1,000 $0 ($200) $13,681 $1,625 $102 $0 $42 $500 $228 $500 $1,751 $1,000 $300 ($2,558) $62,000 $7,500 $1,010,000 $1,680,000 $137,500 $25,000 $25,000 $5,000 $10,000 $62,000 $7,500 $1,010,000 $1,680,000 $137,500 $25,000 $25,000 $5,000 $10,000 $44,365 $2,160 $936,356 $1,698,412 $131,021 $3,291 $24,305 $300 $2,511 $17,636 $5,340 $73,644 ($18,412) $6,479 $21,709 $695 $4,700 $7,489 $3,110,100 $3,110,100 $2,972,849 $137,251 EXPENDITURES: ADMINISTRA TlVE: Engineering Arbitrage Dissemination Agent Attorney Fees Annual Audit Trustee Fees Management Fees Computer Time Travel & Per Diem Postage Printing & Binding Insurance Legal Advertising Office Supplies Other Current Charges WATERIWASTEWATER: Service Charges Meter Expenses Purchased Water Purchased Wastewater Purchased Reclaimed Water Repairs & Maintenance Electric Capital Outlay Contingency TOTAL EXPENDITURES Net Income before Debt Service $2,265,900 $2,279,086 DEBT SERVICE: Principal Expense Interest Expense TOTAL EXPENDITURES EXCESS REVENUES (EXPENDITURES) $635,000 $1,245,544 $635,000 $1,245,544 $635,000 $1,245,544 $0 $0 $1,880,544 $1,880,544 $1,880,544 $0 $385,356 FUND BALANCE - Beginning FUND BALANCE - Ending $398,542 $0 ($9,258,086) $385,356 ($8,859,544) Page 11 The Crossings at Fleming Island COMMUNITY DEVELOPMENT DISTRICT GOLF FUND Statement of Revenues & Expenditures For The Period Ending September 30, 2014 ADOPTED BUDGET PRORATED BUDGET THRU 9/30/14 ACTUAL THRU 9/30/14 VARIANCE REVENUES: User Fees - Dues Greens/Cart Fees Merchandise/Food/Beverage Sale Rental Revenue Membership Income - Other Fees Miscellaneous Income Interest Income TOTAL REVENUES $378,960 $828,682 $530,000 $18,600 $60,000 $60,600 $2,000 $378,960 $828,682 $530,000 $18,600 $60,000 $60,600 $2,000 $353,505 $728,321 $518,718 $16,222 $50,530 $42,213 $1,500 ($25,455) ($100,361) ($11,282) ($2,378) ($9,470) ($18,387) ($500) $1,878,842 $1,878,842 $1,711,009 ($167,833) COST OF GOODS SOLD: Cost of Goods Sold GROSS PROFIT $265,000 $265,000 $278,344 ($13,344) $1:613,842 $1,613,842 $1:432,665 ($181,177) $685,400 $0 $118,708 $1,900 $0 $2,250 $350 $10,800 $6,600 $9,400 $0 $68,500 $9,600 $37,600 $9,600 $58,000 $3,900 $720 $300 $81,000 $41,800 $13,000 $6,000 $5,500 $2,400 $8,000 $44,500 $16,000 $2,000 $1,500 $0 $34,500 $37,000 $86,400 $193,500 $16,200 $23,000 $19,100 $17,575 $27,600 $685,400 $0 $118,708 $1,900 $0 $2,250 $350 $10,800 $6,600 $9:400 $0 $68,500 $9,600 $37,600 $9,600 $58,000 $3,900 $720 $300 $81,000 $41,800 $13,000 $6,000 $5,500 $2,400 $8,000 $44,500 $16,000 $2,000 $1,500 $0 $34,500 $37,000 $86:400 $193,500 $16,200 $23,000 $19,100 $17,575 $27,600 $671,821 $2,633 $118,653 $2,493 $123 $1,295 $160 $5,958 $3,972 $8,917 $1,857 $76,032 $17,426 $34,486 $20,055 $66,772 $3,733 $243 $55 $69,644 $37,873 $10,280 $7,839 $3,384 $2,149 $7,411 $35,807 $15,284 $863 $2,299 $274 $30,993 $31,004 $86,400 $189,536 $16,914 $19,441 $19,100 $12,608 $27,600 $13,579 ($2,633) $55 ($593) ($123) $955 $190 $4,842 $2,628 $483 ($1,857) ($7,532) ($7,826) $3,114 ($10,455) ($8,772) $167 $477 $245 $11,356 $3,927 $2,720 ($1,839) $2,116 $251 $589 $8,693 $716 $1,137 ($799) ($274) $3,507 $5,996 $0 $3,964 ($714) $3,559 ($0) $4,967 $0 $1,700,203 $1,700,203 $1,663,389 EXPENDITURES: Operating Expenses: Salaries Commisions & Bonus Employee Expenses Employee Uniforms Automobile Expenses Travel & Per Diem Training Janitorial Expense Janitorial Supplies Tournaments & Events Promotional Activities Centralized Services Course & Grounds Maintenance Repairs - Equipment Repairs - Buildings Operating Supplies Office Supplies Postage Printing & Reproduction Utility Services Gas/Oil/Propane Refuse & Potables Telephone Other Contractual Services Music & Cable Service Dues and Subscriptions Chemicals Sand, Seed & Dressing Small Tools Licenses/Permits Cash Short/Over Trustee Fees Fertilizer - Course Management Fees - Hampton Golf Rentals & Leases Insurance Other Current Charges Management Fees - GMS Attorney Fees Lake Maintenance TOTAL EXPENDITURES Net Income before Non-Operating Expenses ($86,361) $36,814 ($230,724) Non-Operating Expenses: Interfund Transfer In Other Income Prinicpal Expense Interest Expense Capital Expenses Other Expenses Bond Assessment Interest on Loan/LaC TOTAL NON-OPERATING EXCESS REVENUES (EXPENDITURES) $150,000 $0 ($250,000) ($312,510) ($40,000) ($10,000) ($48,181) ($145:497) $150,000 $0 ($250,000) ($312,510) ($40,000) ($10,000) ($48,181) ($145:497) $150,000 $2,504,889 ($235,000) ($312,510) ($2,800) ($8,500) $0 $0 $0 ($2,504,889) ($15,000) $0 $37,200 $1,500 $48,181 $145,497 ($656,188) ($656,188) $2,096,079 ($2,287,511 ) ($742,549) FUND BALANCE - Beginning FUND BALANCE - Ending $0 ($742,549) Page 12 $1,865,355 ($2,091,251 ) ($225,896) The Crossings at Fleming Island COMMUNITY DEVELOPMENT DISTRICT SWIM & TENNIS FUND Statement of Revenues & Expenditures For The Period Ending September 30,2014 ADOPTED BUDGET PRORATED BUDGET THRU 9/30/14 ACTUAL THRU 9/30/14 VARIANCE REVENUES: $110,000 $160,000 $18,000 $105,000 $0 $110,000 $160,000 $18,000 $105,000 $0 $113,462 $152,197 $17,627 $95,809 $0 $3,462 ($7,803) ($373) ($9,191) $0 $393,000 $393,000 $379,095 ($13,905) $58,800 $58,800 $63,302 ($4,502) $334,200 $334,200 $315,793 ($9,402) $646,400 $129,370 $3,985 $1,000 $160,000 $42,000 $50,000 $22,600 $24,700 $40,800 $18,200 $11,000 $5,840 $600 $101,800 $29,000 $56,000 $2,300 $3,575 $0 $500 $36,000 $700 $0 $646,400 $129,370 $3,985 $1,000 $160,000 $42,000 $50,000 $22,600 $24,700 $40,800 $18,200 $11,000 $5,840 $600 $101,800 $29,000 $56,000 $2,300 $3,575 $0 $500 $36,000 $700 $0 $603,584 $118,771 $3,239 $0 $151,771 $26,000 $61,287 $18,541 $24,339 $36,233 $16,870 $10,969 $5,909 $0 $86,241 $24,624 $45,446 $2,516 $1,774 ($384) $0 $36,000 $1,234 $286 $1,386,370 $1,386,370 Interfund Transfer In Other Income Nonrecurring & Capital Expenses $1,052,170 $0 $0 $1,052,170 $0 $0 $876,808 $801 ($1,020) ($175,362) $801 ($1,020) TOTAL NON-OPERATING $1,052,170 $1,052,170 $876,589 ($175,581) User Fees Lesson Income Tennis CDD Lesson Income Merchandise/Food/Beverage Sale Roster & League Fees/Misc. Income TOTAL REVENUES COST OF GOODS SOLD: Cost of Goods Sold GROSS PROFIT EXPENDITURES: 0l2.erafing EXl2.enses: Salaries Employee Expenses Employee Education & Training Travel & Per Diem Lessons Paid Out Promotional Activities Repairs & Maintenance Other Contractual Communications and Freight Customer Service & Advertising Operating Supplies Trustee Fees Office Supplies Printing & Binding Utility Services Gas/Oil/Propane Chemicals Licenses/Permits Books/Publications/Subs/Memberships Cash Short/Over Rentals and Leases Management Fees - Hampton Golf Insurance Taxes TOTAL EXPENDITURES $1,275,251 $42,816 $10,599 $747 $1,000 $8,229 $16,000 ($11,287) $4,059 $361 $4,567 $1,330 $31 ($69) $600 $15,559 $4,376 $10,554 ($216) $1,801 $384 $500 $0 ($534) ($286) $111,119 Non-0l2.erafing IncomelExl2.enses: EXCESS REVENUES (EXPENDITURES) $0 ($80,829) FUND BALANCE - Beginning $0 $182,219 FUND BALANCE - Ending $0 $101,390 Page 13 The Crossings at Fleming Island COMMUNITY DEVELOPMENT DISTRICT GENERAL FUND Statement of Revenues & Expenditures For The Year Ending September 30,2014 ADOPTED BUDGET Oct-13 Nov-13 Dec-13 Jan-14 Feb-14 Mar-14 Apr-14 May-14 Jun-14 Jul-14 TOTAL REVENUES: Special Assessment Special Assessment - Direct BoatlRV Storage Fees InterestlMisc. Income Rental Income TOTAL REVENUES $2,319,282 $0 $95,000 $2,500 $2,400 $0 $0 $7,955 $300 $223 $695,788 $0 $8,030 $105 $223 $1,049,634 $0 $8,030 $100 $223 $236,289 $0 $7,423 $99 $223 $21,788 $0 $8,000 $92 $223 $61,584 $10,955 $7,850 $99 $223 $165,280 $0 $7,786 $97 $223 $39,925 $0 $7,790 $99 $223 $5,208 $0 $7,670 $101 $223 $55,942 $0 $7,610 $102 $223 $313,715 $0 $7,610 $103 $223 $498 $0 $7,040 $102 $223 $2,645,651 $10,955 $92,794 $1,398 $2,680 $2,419,182 $8,478 $704,146 $1,057,987 $244,035 $30,103 $80,711 $173,386 $48,037 $13,202 $63,878 $321,651 $7,864 $2,753,478 $21,000 $1,607 $5,000 $1,000 $3,600 $55,000 $9,000 $13,500 $90,600 $1,000 $0 $300 $2,600 $2,100 $56,000 $3,500 $8,000 $7,500 $750 $175 $1,000 $77 $0 $0 $0 $2,891 $0 $6,340 $7,550 $83 $0 $0 $208 $227 $53,550 $0 $3,756 $0 $20 $0 $800 $61 $0 $0 $0 $2,185 $0 $0 $7,550 $83 $0 $0 $212 $147 $0 $0 $330 $6,867 $26 $175 $1,000 $77 $1,000 $0 $0 $2,555 $0 $0 $7,550 $83 $0 $0 $203 $91 $0 $0 $404 $0 $26 $0 $1,800 $138 $0 $0 $0 $9,744 $0 $0 $7,550 $83 $0 $0 $199 $108 $0 $0 $322 $0 $20 $0 $2,000 $153 $125 $0 $0 $3,565 $0 $0 $7,550 $83 $0 $0 $19 $126 $0 $1,197 $270 $0 $0 $0 $1,000 $77 $0 $0 $0 $3,628 $0 $0 $7,550 $83 $0 $0 $492 $200 $0 $54 $277 $0 $58 $0 $4,000 $306 $1,000 $200 $0 $13,548 $0 $0 $7,550 $83 $0 $14 $268 $147 $0 $142 $424 $0 $20 $0 $2,000 $153 $0 $0 $0 $10,838 $0 $0 $7,550 $83 $0 $0 $422 $211 $0 $5,923 $531 $0 $20 $0 $2,800 $215 $0 $0 $0 $4,980 $0 $0 $7,550 $83 $0 $0 $206 $584 $0 $0 $325 $0 $40 $0 $2,800 $214 $0 $0 $0 $1,880 $6,478 $0 $7,550 $83 $0 $28 $37 $460 $0 $732 $333 $0 $505 $0 $2,000 $153 $0 $100 $0 $0 $0 $0 $7,550 $83 $0 $8 $125 $346 $0 $12,535 $301 $0 $8 $0 $2,000 $153 $0 $1,000 $0 $1,880 $0 $0 $7,550 $83 $0 $3 $30 $356 $0 $2,240 $294 $0 $204 $0 $23,200 $1,775 $2,125 $1,300 $0 $57,695 $6,478 $6,340 $90,600 $1,000 $0 $53 $2,423 $3,002 $53,550 $22,823 $7,569 $6,867 $948 $175 $696,750 $40,000 $0 $74,400 $8,000 $95,000 $115,000 $418,180 $5,000 $58,063 $1,016 $833 $7,760 $0 $196 $8,568 $0 $0 $58,063 $0 $833 $3,230 $0 $7,306 $8,033 $0 $0 $58,063 $250 $833 $9,835 $0 $0 $8,175 $0 $0 $58,063 $1,350 $833 $7,260 $1,808 $3,486 $9,034 $0 $0 $58,063 $900 $833 $0 $0 $1,487 $8,299 $0 $0 $58,063 $20,110 $833 $7,260 $2,199 $5,749 $8,300 $0 $0 $58,063 $1,100 $833 $5,320 $0 $4,730 $9,067 $0 $0 $58,063 $2,629 $833 $4,960 $0 $167 $8,589 $0 $0 $58,063 $5,458 $833 $4,960 $0 $6,344 $9,038 $0 $0 $58,063 $5,808 $833 $4,960 $0 $9,668 $9,504 $0 $0 $58,063 $600 $833 $4,960 $0 $10,227 $9,253 $0 $0 $58,063 $3,600 $5,398 $4,960 $0 $38,130 $5,597 $0 $0 $696,750 $42,820 $14,565 $65,465 $4,006 $87,489 $101,457 $0 $0 $1 734 562 1 1 $152 138 1 $95 902 1 $90 146 1 $101 798 1 $84 670 1 $115 1932 $106 815 1 $102 972 1 $101 478 1 $109 1936 $107 146 1 $131 542 1 $1130014741 $150,000 $1,052,170 $0 $12,500 $87,681 $0 $12,500 $87,681 $0 $12,500 $87,680 $0 $12,500 $87,681 $0 $12,500 $87,681 $0 $12,500 $87,681 $0 $12,500 $87,681 $0 $12,500 $87,680 $0 $12,500 $87,681 $0 $12,500 $87,681 $263,341 $12,500 $0 $0 $12,500 $0 $0 $150,000 $876,808 $263,341 $1,202,170 $100 181 1 $100,181 $100,180 $100 181 1 $100,181 $100 181 1 $100,181 $100,180 $100,181 $100,181 $12,500 $12,500 $1,290 1149 1 ($243,840) $508,063 $867,662 $42,056 ($154,748) ($135,402) ~§~:3,§Om. ($155,115) ($188,457) ($146,239) $202,005 ($136,178) $162,8551 I EXPENDITURES: ADMINISTRA TlVE: Supervisors Fees FICA Engineering Dissemination Agent Arbitrage Attorney Fees Audit Trustee Fees Management Fees. Computer Time Travel & Per Diem Telephone Postage Printing & Binding Insurance Legal Advertising Other Current Charges Property Taxes Office Supplies Dues, Licenses, Subscriptions MAINTENANCE: Landscape Maintenance - Contract Landscape Maintenance - Contingenc Facility Management Lake Maintenance Cost Sharing Agreement Facility/Preventative Maintenance Utilities Operating Reserves Security TOTAL EXPENDITURES OTHER SOURCES/{USES): Interfund Transfer Out - Golf Course Interfund Transfer Out - S&T Interfund Transfer Out - Debt Service TOTAL OTHER EXCESS REV/(EXP) ($517,549) The Crossings at Fleming Island COMMUNITY DEVELOPMENT DISTRICT WATER/SEWER FUND Statement of Revenues & Expenditures For The Year Ending September 30,2014 ADOPTED BUDGET Oct-13 Nov-13 Dec-13 Jan-14 Feb-14 Mar-14 AE!r-14 Ma~-14 Jun-14 Jul-14 AU£l-14 SeE!-14 TOTAL REVENUES: Water Revenue Wastewater Revenue Reuse Water Revenue Admin Fees for W/S Operation Debt Service Recovery Fee Interest/Meter Fees TOTAL REVENUES $926,000 $1,680,000 $703,000 $105,000 $1,952,000 $10,000 $71,194 $136,236 $50,975 $8,008 $164,734 $1,237 $71,274 $141,952 $51,463 $2,456 $164,597 $156 $69,233 $140,638 $47,289 $7,642 $165,088 $657 $68,831 $138,094 $45,038 $9,399 $165,822 $150 $68,752 $141,273 $42,146 $7,927 $165,088 $735 $66,065 $138,943 $42,553 $8,252 $165,592 $151 $67,062 $140,147 $44,784 $7,353 $165,614 $151 $72,548 $144,162 $49,663 $8,373 $165,916 $1,115 $79,116 $148,591 $57,863 $8,177 $166,264 $154 $75,880 $138,196 $54,528 $9,900 $166,198 $1,121 $78,390 $146,244 $54,682 $9,628 $166,203 $7 $77,086 $143,936 $57,808 $8,516 $166,276 $641 $865,431 $1,698,412 $598,793 $95,630 $1,987,392 $6,276 $5,376,000 $432,384 $431,899 $430,547 $427,335 $425,922 $421,556 $425,110 $441,777 $460,164 $445,823 $455,155 $454,263 $5,251,934 1 $1,000 $1,200 $1,000 $32,000 $5,800 $8,000 $45,300 $500 $500 $1,000 $500 $40,000 $1,000 $300 $10,000 $0 $0 $0 $1,193 $0 $5,630 $3,775 $42 $0 $0 $0 $3,187 $0 $0 $1,081 $0 $0 $0 $1,682 $0 $0 $3,775 $42 $0 $130 $0 $3,187 $0 $0 $1,259 $0 $0 $0 $1,682 $0 $0 $3,775 $42 $0 $60 $0 $3,187 $0 $0 $947 $0 $0 $0 $1,682 $0 $0 $3,775 $0 $0 $0 $0 $3,187 $0 $0 $987 $0 $0 $0 $1,682 $0 $0 $3,775 $42 $0 $80 $0 $3,187 $0 $0 $1,063 $0 $0 $0 $1,682 $0 $0 $3,775 $42 $0 $27 $0 $3,187 $0 $0 $913 $0 $0 $0 $1,682 $0 $0 $3,775 $42 $0 $0 $0 $3,187 $0 $0 $0 $0 $0 $0 $1,836 $0 $0 $3,775 $42 $0 $27 $0 $3,187 $0 $0 $1,921 $0 $0 $0 $1,732 $0 $0 $3,775 $42 $0 $89 $0 $12,750 $0 $0 $1,054 $0 $0 $0 $1,732 $4,175 $2,268 $3,775 $42 $0 $152 $0 $0 $0 $0 $1,025 $0 $0 $0 $0 $0 $0 $3,775 $42 $0 $27 $0 $0 $0 $0 $1,194 $0 $1,200 $1,200 $1,732 $0 $0 $3,775 $42 $0 $178 $0 $0 $0 $0 $1,114 $0 $1,200 $1,200 $18,319 $4,175 $7,898 $45,300 $458 $0 $772 $0 $38,249 $0 $0 $12,558 $62,000 $7,500 $1,010,000 $1,680,000 $137,500 $25,000 $25,000 $5,000 $10,000 $3,748 $0 $80,147 $136,236 $11,298 $0 $2,794 $0 $0 ($1,800) $0 $75,290 $141,952 $11,684 $456 $2,634 $0 $560 $3,373 $432 $72,596 $140,638 $10,460 $0 $1,634 $0 $0 $5,111 $432 $70,300 $138,094 $9,968 $1,967 $1,334 $0 $808 $3,658 $0 $70,065 $141,273 $9,636 $0 $787 $0 $0 $4,098 $0 $68,042 $135,943 $9,382 $0 $851 $0 $560 $3,070 $432 $72,426 $143,147 $10,065 $0 $1,564 $0 $0 $4,082 $0 $80,458 $144,162 $11,146 $0 $2,260 $0 $41 $3,877 $0 $87,821 $148,591 $12,896 $0 $2,907 $0 $542 $5,602 $864 $83,501 $138,196 $12,349 $868 $2,400 $0 $0 $5,330 $0 $90,529 $146,244 $8,712 $0 $2,602 $0 $0 $4,216 $0 $85,182 $143,936 $13,424 $0 $2,539 $300 $0 $44,365 $2,160 $936,356 $1,698,412 $131,021 $3,291 $24,305 $300 $2,511 $635,000 $1,245,544 $52,917 $103,795 $52,917 $103,795 $52,917 $103,795 $52,917 $103,795 $52,917 $103,795 $52,917 $103,795 $52,917 $103,795 $52,917 $103,795 $52,917 $103,795 $52,917 $103,795 $52,917 $103,795 $52,917 $103,795 $635,000 $1,245,544 $4,990,644 $405,842 $397,564 $395,538 $394,359 $391,960 $385,214 $396,102 $409,650 $432,789 $413,660 $415,166 $415,550 $4,853,393 $385,356 $26,542 $34,335 $35,009 $32,976 $33,961 $36,342 $29,009 $32,127 $27,375 $32,163 $39,989 $38,713 EXPENDITURES: ADMINISTRA TlVE: Engineering Arbitrage Dissemination Agent AttomeyFees Annual Audit Trustee/Bank Fees Management Fees Computer Time Travel & Per Diem Postage Printing & Binding Insurance Legal Advertising Office Supplies Other Current Charges WATERIWASTEWATER: Service Charges Meter Expenses Purchased Water Purchased Wastewater Purchased Reclaimed Water Repairs & Maintenance Electric Capital Outlay Contingency DEBT SERVICE: Principal Expense Interest Expense TOTAL EXPENDITURES EXCESS REVENUES (EXPENDITURES) I $398,5421 THE CROSSINGS AT FLEMING ISLAND COMMUNITY DEVELOPMENT DISTRICT TAX COLLECTIONS FISCAL YEAR ENDING SEPTEMBER 30,2014 DATE RECEIVED 11119113 11126113 12111113 112114 1121114 2113114 3114114 4116114 5120114 6123114 711114 815114 9119114 GROSS TAX RECEIVED 200,407.84 657,586.46 1,232,917.12 222,039.03 60,092.79 25,613.07 72,031.21 190,056.95 45,111.82 5,813.93 61,201.45 PRIOR YEAR GROSS TAX RECEIVED 32.04 122.26 DISCOUNT & TAX COLLECTOR FEES 12,194.24 38,930.98 72,995.47 12,913.88 2,960.62 1,062.28 2,636.60 3,857.39 914.77 119.77 117.14 242,133.16 237.25 10.17 2,772,988.81 242,524.71 148,596.17 PRIOR YEAR DISCOUNT & TAX COLLECTOR FEES 0.87 3.36 4.23 INTEREST! PENALTIES PRIOR YEAR INTEREST! PENALTIES NET AMOUNT RECEIVED WACH #2447 50.96 111,369.37 103.20 188,213.60 618,655.48 1,159,921.65 209,125.15 57,132.17 24,550.79 69,394.61 186,242.26 44,988.17 5,868.56 63,037.47 353,502.53 498.38 2,699.28 111,518.42 2,981,130.82 11.53 626.37 174.40 1,836.02 45.85 114% GENERAL FUND WELLS #2447 RESERVE FUND WELLS#3920 TOTAL100.00% 167,029.56 549,023.83 1,029,368.77 185,587.45 50,701.76 21,787.52 61,584.03 165,280.10 39,924.61 5,208.03 55,942.40 313,714.69 498.38 21,184.04 69,631.65 130,552.88 23,537.70 6,430.41 2,763.27 7,810.58 20,962.16 5,063.56 660.53 7,095.07 39,787.84 188,213.60 618,655.48 1,159,921.65 209,125.15 57,132.17 24,550.79 69,394.61 186,242.26 44,988.17 5,868.56 63,037.47 353,502.53 498.38 2,645,651.14 335,479.68 2,981,130.82 SPECIAL ASSESSMENT RESERVE i TRANSFER FR WAC (GEN) #2447 TO WACH (RES) #3920 Date Amount Method 19-Nov 6-Dec 13-Dec 30-May 22-Jul 31-Jul 12-Sep $ $ $ $ $ $ $ 25,911.26 85,169.96 159,685.77 17,169.26 660.52 7,095.07 39,787.84 $ 335,479.68 (0.00) $ Wire Wire Wire Wire Wire Wire Wire THE CROSSINGS AT FLEMING ISLAND COMMUNITY DEVELOPMENT DISTRICT TAX COLLECTIONS FISCAL YEAR ENDING SEPTEMBER 30, 2014 DATE RECEIVED GROSS TAX RECEIVED 11/19/13 11/26/13 12/11/13 1/2/14 1/21/14 2/13/14 3/14/14 4/16/14 5/20/14 6/23/14 7/1/14 8/5/14 246,936.47 1,128,604.45 2,386,999.01 404,123.91 113,126.07 48,899.60 132,099.58 229,119.42 83,750.13 12,330.32 117,873.34 TOTALS 4,903,862.30 PRIOR YEAR GROSS TAX RECEIVED 64.88 247.60 DISCOUNT & TAX COLLECTOR FEES 15,206.92 66,813.40 141,310.84 23,480.39 5,564.23 2,045.63 4,934.75 4,682.28 1,696.97 254.00 1.77 6.81 INTERESTI PENALTIES 23.36 1,098.43 369.91 3,536.19 95,695.22 490,251.42 312.48 PRIOR YEAR DISCOUNT & TAX COLLECTOR FEES 265,989.41 8.58 5,027.89 PRIOR YEAR NET AMOUNT INTERESTI RECEIVED PENALTIES WACH #2447 2000 B US BANK #3984 200OC US BANK #2672 94,973.10 435,169.31 920,383.12 156,004.68 44,083.64 19,202.85 52,117.82 92,019.78 34,215.97 5,101.02 225,479.28 231,729.55 1,061,791.05 2,245,688.17 380,643.52 107,561.84 46,853.97 127,164.83 224,523.61 83,485.23 12,446.23 121,409.53 620,035.48 136,756.45 626,621.74 1,325,305.05 224,638.84 63,478.20 27,651.12 75,047.01 132,503.83 49,269.26 7,345.21 121,409.53 620,035.49 231,729.55 1,061,791.05 2,245,688.17 380,643.52 107,561.84 46,853.97 127,164.83 224,523.61 83,485.23 12,446.23 121,409.53 620,035.49 92.85 4,521,888.00 1,853,271.28 3,410,061.74 5,263,333.02 92.85 114%1 TOTAL SPECIALASSESSMENTTRAN$FERSTOREVENUEACCOUNTS Date 11/19/13 12/6/13 12/13/13 12/18/13 1/15/14 2/12/14 3/28/14 6/3/14 7/22/14 7/30/14 8/6/14 TO BE TRANSFERRED Amount Amount $ $ $ $ $ $ $ $ $ 94,973.10 435,169.31 920,383.12 $ $ $ $ 156,004.68 $ 44,083.64 $ 71,320.66 $ 126,235.75 $ 5,101.02 $ $ $ 136,756.45 626,621.74 325,305.05 1,000,000.00 224,638.84 63,478.20 102,698.14 181,773.09 7,345.21 121,409.53 620,035.49 $ 1,853,271.28 $ 3,410,061.74 0.00 (0.00) Method Wire Wire Wire Wire Wire Wire Wire Wire Wire Wire Wire (0.00) A. The Crossings at Fleming Island Community Development District Summarl of Invoices October 16, 2014 Fund Date Check No.s General 9/1-9/30 3235-3258 $ 201,524.66 Reserve 9/1-9/30 122 $ 29,993.44 Wafer/Sewer 9/1-9/30 3006-3078 $ 554,389.04 Swim & Tennis 9/1-9/30 Operating 4884-4898 100021-100067 200000-200009 $ $ $ 18,624.35 32,616.65 9,042.88 2313-2319 7674-7679 100041-100116 200000-200023 $ $ $ $ 655.42 3,739.98 62,070.96 34,916.07 $ 947,573.45 Golf Course 9/1-9/30 Petty Cash Operating ITotallnvoices for Approval Amount AP300R YEAR-TO-DATE ACCOUNTS PAYABLE PREPAID/COMPUTER CHECK REGISTER *** CHECK DATES 09/01/2014 - 09/30/2014 *** CROSSINGS - GENERAL FUND BANK A CROSSINGS - GENERAL CHECK DATE VEND# 9/04/14 00003 9/04/14 00120 9/04/14 00261 9/04/14 00059 9/04/14 00001 9/09/14 00137 9/12/14 00017 9/12/14 00067 ..... INVOICE ..••.•.• EXPENSED TO... DATE INVOICE YRMO DPT ACCT# SUB VENDOR NAME RUN 10/13/14 STATUS AMOUNT SUBCLASS 8/20/14 AUG-14 201408 320-53800-43000 AUG 2014 - ELECTRIC SVCS CLAY ELECTRIC COOPERATIVE, INC * 8/15/14 224508 201408 310-51300-48000 NOTICE OF SP MTG 08/15/14 CLAY TODAY * 8/27/14 P2014080 FY 2015 8/27/14 P2014080 FY 2015 * * 201409 300-15500-10000 INSURANCE 201409 300-13100-10300 INSURANCE EGIS INSURANCE ADVISORS, LLC * 9/02/14 145 SEPT 9/02/14 145 SEPT 9/02/14 145 SEPT 9/02/14 145 SEPT 9/02/14 145 SEPT 9/02/14 145 SEPT 9/02/14 145 SEPT 9/02/14 148 SEPT * •.•• CHECK .•... # AMOUNT 5,685.22 - - - - - - - - - - - - - - 196.80 - - - - 196.80 003236 - - - - - - - - - 50,391.20 21,455.08 - - - - - - - - - - - - - - - - - - 80.98 003238 7,550.00 83.33 * * * * * 116.12 * 71,846.28 003237 80.98 * 14.05 29.74 356.10 3.45 833.33 8,986.12 003239 8/31/14 AUG 14 201408 320-53800-43100 AUG 14 - WATER THE CROSSINGS @ FI CDD C/O CCUA * 9/09/14 09092014 201409 320-53800-34000 REIMB: TV/MOUNTS/BLINDS STEVE ANDERSEN * 8/20/14 10509770 201407 320-53800-41500 JUL 2014 - INTERNET AT&T * CROS --CROSSINGS-- PPOWERS 1 5,685.22 003235 8/26/14 27610021 201408 310-51300-42000 DELIVERIES THRU 08/26/14 FEDEX 201409 310-51300-34000 2014 - MGMT FEES 201409 310-51300-35100 2014 - COMPUTER TIME 201409 310-51300-49000 2014 - RECORD STORAG 201409 310-51300-51000 2014 - OFFICE SUPPLY 201409 310-51300-42000 2014 - POSTAGE 201409 310-51300-42500 2014 - COPIES 201409 310-51300-41000 2014 - TELEPHONE 201409 320-53800-34200 14 LAKE MAINT FEES GMS, LLC PAGE - - - - - - - - - - - - - - 3,492.61 3,492.61 003240 - - - - - - - - - - - - - - 5,610.48 - - - - - - - - - - 5,610.48 003241 75.00 75.00 003242 AP300R YEAR-TO-DATE ACCOUNTS PAYABLE PREPAID/COMPUTER CHECK REGISTER *** CHECK DATES 09/01/2014 - 09/30/2014 *** CROSSINGS - GENERAL FUND BANK A CROSSINGS - GENERAL CHECK DATE VEND# 9/12/14 00059 9/12/14 00062 9/12/14 00184 9/12/14 00116 9/12/14 00018 9/12/14 00115 9/25/14 00017 9/25/14 000'67 9/25/14 00143 9/25/14 00116 ..... INVOICE . . . . . . . . EXPENSED TO... DATE INVOICE YRMO DPT ACCT# SUB VENDOR NAME STATUS RUN 10/13/14 AMOUNT SUBCLASS 9/02/14 27682922 201408 310-51300-42000 DELIVERIES THRU 09/02/14 FEDEX * 9/04/14 3323 201407 320-53800-34000 RPR ELECTRICAL SHORT KAD ELECTRIC COMPANY * 9/01/14 133002 201409 SEPT 2014 LAKE 9/01/14 133002 201409 SEPT 2014 LAKE * 320-53800-46800 MGMT SVCS 300-13100-10300 MGMT SVCS THE LAKE DOCTORS, INC. 2 .... CHECK .•.•• AMOUNT # 26.77 - - - - - - - - - - 26.77 003243 345.00 345.00 003244 * - - - - - - - - - - - - - - 4,960.00 2,300.00 7,260.00 003245 9/05/14 188471 201409 320-53800-46300 TRIM ALL TREES 9/08/14 648324 201409 320-53800-46300 REMOVE TREES OUT ON A LIMB * 9/05/14 5166 201409 320-53800-34000 SERVICES ON 09/05/2014 TREE AMIGOS * 8/20/14 7222 201408 320-53800-34000 TRIM PALM TREES TREE TECH TREE SERVICE, INC. * 2/11/14 02-11-20 201402 320-53800-34000 BOAT STORAGE REMOTES 9/17/14 09-17-20 201409 320-53800-34000 ICE MACHINES 9/24/14 09-24-20 201409 320-53800-34000 TRASH CANS STEVE ANDERSEN * 9/20/14 10509770 201408 320-53800-41500 SEP 2014 INTERENET AT&T * 9/19/14 186 201409 320-53800-34000 HOSE ASSEMBLY LIVING WATERS AERATION * 2/03/14 343965 201402 320-53800-46300 WORKED ON BACK POOL * CROS --CROSSINGS-- PPOWERS PAGE * - - - - - - - - - - - - - - 1,000.00 400.00 1,400.00 003246 - - - - - - - - - - - - - - 1,275.00 1,275.00 003247 - - - - - - - - - - - - - - 6,750.00 6,750.00 003248 - - - - - - - - - - - - - - 507.00 * 10,313.80 * 3,129.00 - - - - - - - - - - 13,949.80 003249 75.00 - - - - - - - - - - 75.00 003250 315.70 315.70 003251 - - - - - - - - - - - - - - 950.00 AP300R YEAR-TO-DATE ACCOUNTS PAYABLE PREPAID/COMPUTER CHECK REGISTER *** CHECK DATES 09/01/2014 - 09/30/2014 *** CROSSINGS - GENERAL FUND BANK A CROSSINGS - GENERAL CHECK DATE VEND# 9/25/14 00013 9/25/14 00071 9/25/14 00073 ..... INVOICE . . . . . . . . EXPENSED TO... DATE INVOICE YRMO DPT ACCT# SUB VENDOR NAME STATUS AMOUNT SUBCLASS PAGE 3 .... CHECK ..... AMOUNT # 1,250.00 9/23/14 758355 201409 320-53800-46300 REOMVED WILLOW TREES OUT ON A LIMB * 1/13/14 4970 201401 310-51300-31300 DISSEMINATION FEES PRAGER, SEALY & CO., LLC * 9/22/14 1066 201409 320-53800-34000 PRESSURE WASHED WALL RIVERSIDE MANAGEMENT SERVICES, INC. * 9/19/14 7775 201409 320-53800-34000 PARK INSPECTIONS 9/23/14 7776 201409 320-53800-34000 REPAIRS 09-23-2014 9/23/14 7777 201409 320-53800-34000 FAIRWAY RIDGE REPAIRS 9/23/14 7778 201409 320-53800-34000 WATERFRONT PARK REPAIRS SOUTHERN RECREATION, INC. * 425.00 * 3,180.00 * * 2,024.00 2,200.00 003252 - - - - - - - - - - - - - - 1,000.00 1,000.00 003253 - - - - - - - - - - - - - - 4,600.00 4,600.00 003254 - - - - - - - - - - - - - - - 100.00 5,729.00 003255 9/25/14 00018 9/18/14 5208 201409 300-15500-10000 OCT 2014 MAINTENANCE SVCS TREE AMIGOS 9/25/14 00018 9/22/14 5225 201409 320-53800-34000 ISNTALLED 2 HP PUMPS TREE AMIGOS * 9/30/14 65-01888 201409 300-21700-10000 3RD QTR 2014 TAXES DUE UNITED STATES TREASURY * 9/25/14 00063 RUN 10/13/14 * - - - - - - - - - - - - - - 58,062.50 58,062.50 003256 - - - - - - - - - - - - - - 1,522.00 1,522.00 003257 - - - - - - - - - - - - - - 1,040.40 1,040.40 003258 TOTAL FOR BANK A 201,524.66 TOTAL FOR REGISTER 201,524.66 CROS --CROSSINGS-- PPOWERS AP300R YEAR-TO-DATE ACCOUNTS PAYABLE PREPAID/COMPUTER CHECK REGISTER *** CHECK DATES 09/01/2014 - 09/30/2014 *** CAPITAL OUTLAY - RESERVE FUND BANK C CAPITAL OUTLAY CHECK DATE VEND# 9/25/14 00001 ..... INVOICE . . . . . . . • EXPENSED TO... DATE INVOICE YRMO DPT ACCT# SUB VENDOR NAME STATUS RUN 10/13/14 AMOUNT SUBCLASS 9/19/14 149 201409 320-53800-60000 FY 2014 PROJECT MGMT SVCS GMS, LLC * PAGE 1 ..•• CHECK ..... AMOUNT # 29,993.44 29,993.44 000122 TOTAL FOR BANK C 29,993.44 TOTAL FOR REGISTER 29,993.44 CROS --CROSSINGS-- PPOWERS AP300R YEAR-TO-DATE ACCOUNTS PAYABLE PREPAID/COMPUTER CHECK REGISTER *** CHECK DATES 09/01/2014 - 09/30/2014 *** CROSSINGS - WATER/SEWER BANK B CROSSINGS - W/S CHECK DATE VEND# 9/04/14 01903 ..... INVOICE . . . . . . . . EXPENSED TO... DATE INVOICE YRMO DPT ACCT# SUB VENDOR NAME STATUS * 9/04/14 01905 9/02/14 00268844 201409 300-11500-10000 UTILITY REFUND SARA BUCKLIN * 9/04/14 00002 8/31/14 15521 201408 320-53600-43100 AUG 2014 - WATER 8/31/14 15521 201408 320-53600-43200 AUG 2014 - SEWER 8/31/14 15521 201408 320-53600-43300 AUG 2014 - RECLAIM WATER 8/31/14 15521 201408 320-53600-34300 AUG 2014 - SVC CHRG CLAY COUNTY UTILITY AUTHORITY * 8/20/14 AUG-14 201408 320-53600-43000 AUG 2014 - ELECTRIC SVCS CLAY ELECTRIC COOPERATIVE, INC * 9/04/14 09042014 201409 300-15100-00600 EXCESS TXFER TO RATE ACCT CROSSINGS AT FLEMING ISLAND CDD * 9/04/14 09042014 201409 300-15100-00200 SEPT 2014 - INTEREST THE CROSSINGS AT FLEMING ISLAND CDD * 9/04/14 09042014 201409 300-15100-00300 SEPT 2014 - PRINCIPAL THE CROSSINGS AT FLEMING ISLAND CDD * 8/28/14 00235912 201408 300-11500-10000 UTILITY REFUND DONNA DENNISON * 8/27/14 P2014080 201409 300-15500-10000 FY 2015 INSURANCE EGIS INSURANCE ADVISORS, LLC * 8/19/14 27536051 201408 310-53600-42000 DELIVERIES THRU 08/19/14 FEDEX * 9/04/14 01262 9/04/14 00115 9/04/14 00300 9/04/14 01891 9/04/14 00261 9/04/14 00059 AMOUNT SUBCLASS 9/02/14 00508937 201409 300-11500-10000 UTILITY REFUND SARA & JONATHAN BROWN 9/04/14 00003 RUN 10/13/14 CROS --CROSSINGS-- PPOWERS PAGE 1 .... CHECK ..•.. AMOUNT # 9.47 - - - - - - - - - - 9.47 003006 70.83 - - - - - - - - - - 70.83 003007 90,528.62 * 146,243.51 * * 8,712.32 5,330.00 250,814.45 003008 - - - - - - - - - - - - - - 2,601.51 2,601.51 003009 - - - - - - - - - - - - - - 59,538.00 59,538.00 003010 - - - - - - - - - - - - - - 103,795.34 103,795.34 003011 - - - - - - - - - - - - - - 52,916.66 - - - - 52,916.66 003012 - - - - - - - - 526.81 526.81 003013 35,993.72 35,993.72 003014 26.77 26.77 003015 AP300R YEAR-TO-DATE ACCOUNTS PAYABLE PREPAID/COMPUTER CHECK REGISTER *** CHECK DATES 09/01/2014 - 09/30/2014 *** CROSSINGS - WATER/SEWER BANK B CROSSINGS - W/S CHECK DATE VEND# 9/04/14 00001 ..... INVOICE . . . . . . . . EXPENSED TO... DATE INVOICE YRMO DPT ACCT# SUB VENDOR NAME STATUS SUBCLASS RUN 10/13/14 AMOUNT 9/02/14 146 201409 310-53600-34000 SEPT 2014 - MGMT FEES 9/02/14 146 201409 310-53600-35100 SEPT 2014 - COMPUTER TIME GMS, LLC * 3,775.00 * 41. 67 9/04/14 01893 8/25/14 00518855 201408 300-11500-10000 UTILITY REFUND AILEEN GOLDSTEIN * 9/04/14 01894 9/02/14 00505576 201409 300-11500-10000 UTILITY REFUND BARBARA GRUDEN * 8/27/14 00514097 201408 300-11500-10000 UTILITY REFUND I ON REAL ESTATE & INVESTMENTS, LLC * 8/29/14 00164959 201408 300-11500-10000 UTILITY REFUND KARl & JAMES JELSMA * 9/04/14 01898 8/29/14 00501503 201408 300-11500-10000 UTILITY REFUND MICHAEL JONES * 9/04/14 01902 8/22/14 00519432 201408 300-11500-10000 UTILITY REFUND GARY KRUMPSKY * 9/02/14 00264024 201409 300-11500-10000 UTILITY REFUND TRAVIS NEWCOME * 8/29/14 00497105 201408 300-11500-10000 UTILITY REFUND TODD ROBINSON * 9/02/14 00504631 201409 300-11500-10000 UTILITY REFUND CARID SCOVILL * 8/29/14 00509618 201408 300-11500-10000 UTILITY REFUND LIZA ALEMAN SICKLES * 9/04/14 01718 9/04/14 01895 9/04/14 01904 9/04/14 01899 9/04/14 01906 9/04/14 01892 CROS --CROSSINGS-- PPOWERS - - - - - - - - - - PAGE 2 •••. CHECK ..... AMOUNT # 3,816.67 003016 85.64 - - - - - - - - - - 85.64 003017 75.33 - - - - - - - - - - 75.33 003018 98.23 - - - - - - - - - - 98.23 003019 13.44 - - - - - - - - - - 13.44 003020 71.49 - - - - - - - - - - 71.49 003021 187.09 187.09 003022 - - - - - - - - - - - - - - 70.83 - - - - - - - - - - 70.83 003023 84.99 - - - - - - - - - - 84.99 003024 52.83 - - - - - - - - - - 52.83 003025 84.99 84.99 003026 AP300R YEAR-TO-DATE ACCOUNTS PAYABLE PREPAID/COMPUTER CHECK REGISTER *** CHECK DATES 09/01/2014 - 09/30/2014 *** CROSSINGS - WATER/SEWER BANK B CROSSINGS - W/S CHECK DATE VEND# 9/04/14 01896 9/04/14 01900 9/04/14 01897 9/04/14 01901 9/09/14 01907 9/09/14 01908 9/09/14 01909 ...•. INVOICE • . . . . . . . EXPENSED TO... DATE INVOICE YRMO DPT ACCT# SUB VENDOR NAME STATUS RUN 10/13/14 AMOUNT SUBCLASS 8/29/14 00105722 201408 300-11500-10000 UTILITY REFUND SCOTT STACY * 8/29/14 00262476 201408 300-11500-10000 UTILITY REFUND THERESA STEVENS * 8/29/14 00279134 201408 300-11500-10000 UTILITY REFUND PATRICK TRAHAN * 8/29/14 00285989 201408 300-11500-10000 UTILITY REFUND JIMMY VANSOEST * 8/18/14 00283595 201408 300-15500-10000 UTILITY REFUND HOWARD MITCHELL BARRETT * 8/15/14 00519417 201408 300-15500-10000 UTILITY REFUND LINDA BOGARD * 8/13/14 00500514 201408 300-15500-10000 UTILITY REFUND KIMBERLY BUCKINGHAM * PAGE 3 .... CHECK ..... AMOUNT # 72.09 - - - - - - - - - - 72.09 003027 83.73 - - - - - - - - - - 83.73 003028 84.99 - - - - - - - - - - 84.99 003029 221.49 - - - - - - - - - - 221.49 003030 21.12 - - - - - - - - - - 21.12 003031 133.08 - - - - - - - - - - 133.08 003032 36.56 36.56 003033 ------- 9/09/14 01910 9/09/14 01911 9/09/14 00210 9/09/14 01912 9/09/14 00778 8/20/14 00520030 201408 300-15500-10000 UTILITY REFUND PAULA BURCH * 8/13/14 00499658 201408 300-15500-10000 UTILITY REFUND VANESSA CARO-MORALES * 8/20/14 00513466 201408 300-15500-10000 UTILITY REFUND CENTURY 21 ATKINS REALTY, INC. * 8/15/14 00502707 201408 300-15500-10000 UTILITY REFUND SHANNON CLAY * 8/20/14 00502632 201408 300-15500-10000 UTILITY REFUND DREES HOMES OF FLORIDA,INC. * CROS --CROSSINGS-- PPOWERS 8.70 ------- 8.70 003034 33.19 - - - - - - - - - - 33.19 003035 133.08 133.08 003036 - - - - - - - - - - - - - - 121.80 121. 80 003037 - - - - - - - - - - - - - - 159.82 159.82 003038 AP300R YEAR-TO-DATE ACCOUNTS PAYABLE PREPAID/COMPUTER CHECK REGISTER *** CHECK DATES 09/01/2014 - 09/30/2014 *** CROSSINGS - WATER/SEWER BANK B CROSSINGS - W/S CHECK DATE VEND# 9/09/14 01922 .••.. INVOICE . . . . . . . . EXPENSED TO... DATE INVOICE YRMO DPT ACCT# SUB VENDOR NAME SUBCLASS STATUS 8/20/14 00508012 201408 300-15500-10000 UR BEVERLY DUBIS * 9/09/14 01350 8/15/14 00519210 201408 300-15500-10000 UTILITY REFUND FLORIDA NETWORK LLC * 9/09/14 01662 8/20/14 00512783 201408 300-15500-10000 UTILITY REFUND IH3 PROPERTY FLORIDA LP * 8/15/14 00519056 201408 300-15500-10000 UTILITY REFUND D. JOE LYDICK * 8/20/14 00166727 201408 300-15500-10000 UTILITY REFUND CRAIG MCLAURIN * 9/.09/14 01914 8/13/14 00280732 201408 300-15500-10000 UTILITY REFUND TRISTA MILLER * 9/09/14 01920 8/20/14 00497634 201408 300-15500-10000 UTILITY REFUND JUSTIN ODONOGHUE * 8/15/14 00184868 201408 300-15500-10000 UTILITY REFUND KIMBERLY L PAROLA * 8/18/14 00241222 201408 300-15500-10000 UTILITY REFUND JACQUELINE SCHRADER * 8/18/14 00260212 201408 300-15100-10000 UTILITY REFUND HOWARD STEINWANDEL * 9/09/14 01918 8/19/14 0496373 201408 300-15500-10000 UTILITY REFUND CORNELIUS SUAREZ * 9/09/14 01921 8/20/14 00508268 201408 300-15500-10000 UTILITY REFUND JAMES WHITCHURCH 9/09/14 01913 9/09/14 01919 9/09/14 01915 9/09/14 01916 9/09/14 01917 RUN 10/13/14 AMOUNT ...• CHECK •••.. AMOUNT # 3.46 003039 44.82 - - - - - - - - - - 44.82 003040 87.96 - - - - - - - - - - 87.96 003041 53.27 - - - - - - - - - - 53.27 003042 27.61 - - - - - - - - - - 27.61 003043 51.19 - - - - - - - - - - 51.19 003044 52.79 - - - - - - - - - - 52.79 003045 60.98 - - - - - - - - - - 60.98 003046 34.62 - - - - - - - - - - 34.62 003047 113.09 - - - - - - - - - - 113.09 003048 23.37 23.37 003049 ------- CROS --CROSSINGS-- PPOWERS 4 3.46 ------- * PAGE 6.55 6.55 003050 AP300R YEAR-TO-DATE ACCOUNTS PAYABLE PREPAID/COMPUTER CHECK REGISTER *** CHECK DATES 09/01/2014 - 09/30/2014 *** CROSSINGS - WATER/SEWER BANK B CROSSINGS - W/S CHECK DATE VEND# 9/09/14 01140 ..... INVOICE . . . . . . . . EXPENSED TO... DATE INVOICE YRMO DPT ACCT# SUB VENDOR NAME STATUS 8/13/14 00519653 201408 300-15500-10000 UTILITY REFUND LANA L WIMBERLY * 9/09/14 00280076 201409 300-11500-10000 UTILITY REFUND RYAN BALDWIN * 9/09/14 516866 201409 300-11500-10000 UTILITY REFUND CLAY COUNTY UTILITY AUTHORITY * - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - 9/12/14 00002 9/12/14 01927 9/12/14 01924 9/09/14 00240661 201409 300-11500-10000 UTILITY REFUND ANNE JOHNSON * 9/08/14 00284226 201409 300-11500-10000 UTILITY REFUND ALYSON KLIDIES * 9/09/14 00519800 201409 300-11500-10000 UTILITY REFUND GARY SCHULTE * - - - - - - - - - - - - - - - - - - - - - - - - - - - - - 9/12/14 00786 - - - - - - - - - - - - - - - - - - - - - - - - - 9/12/14 01928 - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - 9/09/14 509107 201409 300-11500-10000 UTILITY REFUND MICHAEL SPEER - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - 9/12/14 01923 * 9/08/14 00498677 201409 300-11500-10000 UTILITY REFUND RONALD WILLIAMS * - - - - - - - - - - - - - - - - - - - - - - - - - - - - - 9/12/14 01929 9/08/14 09082014 201409 300-11500-10000 UTILITY REFUND JOHN WOOD - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - 9/25/14 01932 9/25/14 01933 * 9/09/14 00510288 201409 300-11500-10000 UTILITY REFUND HEATHER WATKINS - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - 9/12/14 01925 AMOUNT SUBCLASS - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - 9/12/14 01926 RUN 10/13/14 9/18/14 00519691 201409 300-11500-10000 UTILITY REFUND CARA BYINGTON - - - - - - - - - - - - - - - - - - - - - - 9/17/14 00252251 201409 300-11500-10000 UTILITY REFUND CARIS CAUTHEN CROS --CROSSINGS-- PPOWERS * * PAGE 5 ..•• CHECK ..... AMOUNT # 3.11 - - - - - - - - - - 3.11 003051 18.23 - - - - - - - - - - 18.23 003052 57.38 - - - - - - - - - - 57.38 003053 51.43 - - - - - - - - - - 51. 43 003054 42.90 - - - - - - - - - - 42.90 003055 29.14 - - - - - - - - - - 29.14 003056 60.51 - - - - - - - - - - 60.51 003057 57.91 - - - - - - - - - - 57.91 003058 38.91 - - - - - - - - - - 38.91 003059 86.10 - - - - - - - - - - 86.10 003060 24.61 24.61 003061 * 27.70 27.70 003062 AP300R YEAR-TO-DATE ACCOUNTS PAYABLE PREPAID/COMPUTER CHECK REGISTER *** CHECK DATES 09/01/2014 - 09/30/2014 *** CROSSINGS - WATER/SEWER BANK B CROSSINGS - W/S CHECK DATE VEND# ••... INVOICE . • . . . . . • EXPENSED TO... DATE INVOICE YRMO DPT ACCT# SUB VENDOR NAME STATUS 9/18/14 00520555 201409 300-11500-10000 UTILITY REFUND CHERYL COOK * 9/25/14 01262 9/16/14 09-16-20 201409 300-15100-00600 EXCESS TXFER CROSSINGS AT FLEMING ISLAND CDD * 9/19/14 00517291 201409 300-11500-10000 UTILITY REFUND DISCOVER REALTY * 9/16/14 2-782-55 201409 310-53600-42000 DELIVERIES THRU 9.16.2014 FEDEX * 9/10/14 00519210 201409 300-11500-10000 UTILITY REFUND FLORIDA NETWORK, LLC * 9/16/14 00511066 201409 300-11500-10000 UTILITY REFUND JARED GODREAU * 9/24/14 00190364 201409 300-11500-10000 UTILITY REFUND HARDEV GOSWAMI * 9/15/14 22 UTILITY 9/17/14 00516336 UTILITY * 9/25/14 00059 9/25/14 00519 9/25/14 01935 9/25/14 01930 9/25/14 00360 9/25/14 01718 9/25/14 01936 AMOUNT SUBCLASS 9/25/14 01873 9/25/14 01931 RUN 10/13/14 201409 300-11500-10000 REFUND 201409 300-11500-10000 REFUND HARE REALTY, INC. * PAGE 6 .... CHECK ..... AMOUNT # 125.70 - - - - - - - 125.70 003063 - - - - - - - - - 39,989.00 - - - - 39,989.00 003064 36.16 - - - - - - - - - - 36.16 003065 79.95 - - - - - - - - - - 79.95 003066 87.12 - - - - - - - - - - 87.12 003067 111.55 - - - - - - - - - - 111.55 003068 31.95 - - - - - - - - - - 31. 95 003069 106.89 109.13 216.02 003070 9/15/14 23 201409 300-11500-10000 UTILITY REFUND I ON REAL ESTATE & INVESTMENTS, LLC * 9/16/14 00519597 201409 300-11500-10000 UTILITY REFUND MICHAEL SCRANTON * - - - - - - - - - - - - - - 138.89 138.89 003071 - - - - - - - - - - - - - - 122.66 122.66 003072 ------- 9/25/14 01509 9/24/14 00519480 201409 300-11500-10000 UTILITY REFUND MICHELE SHAY CROS --CROSSINGS-- PPOWERS * 6.33 6.33 003073 AP300R YEAR-TO-DATE ACCOUNTS PAYABLE PREPAID/COMPUTER CHECK REGISTER *** CHECK DATES 09/01/2014 - 09/30/2014 *** CROSSINGS - WATER/SEWER BANK B CROSSINGS - W/S CHECK DATE VEND# 9/25/14 01938 ..... INVOICE ..... ... EXPENSED TO ... DATE YRMO DPT ACCT# SUB INVOICE VENDOR NAME 9/12/14 00519431 201409 300-11500-10000 UTILITY REFUND MASHHOOD SIDDIQI 9/25/14 01937 9/15/14 00518259 201409 300-11500-10000 UTILITY REFUND MELISSA TRONCOSO - - - - - - - - - - - - - - - - - - - - - - - - - 9/25/14 01934 - - - - - - - - - - - - - 9/10/14 00504418 201409 300-11500-10000 UTILITY REFUND TP CORPORATE LODGING - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - 9/17/14 00512506 201409 300-11500-10000 UTILITY REFUND JANET WARD * - - - - - - - - - - * 7 .... CHECK ...•• # AMOUNT 53.27 003074 41.53 41. 53 003075 ------- * PAGE 53.27 * 9/15/14 00518860 201409 300-11500-10000 UTILITY REFUND THOMAS A SILVERBLATT - - - - - - - - - - - - - - - - - - - - - - - - - - - - - 9/25/14 01484 AMOUNT SUBCLASS - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - 9/25/14 01729 STATUS RUN 10/13/14 5.63 - - - - - - - - - - 5.63 003076 127.27 127.27 003077 * - - - - - - - - - - - - - - 113.63 113.63 003078 TOTAL FOR BANK B 554,389.04 TOTAL FOR REGISTER 554,389.04 CROS --CROSSINGS-- PPOWERS Eagle Harbor Swim and Tennis Park Check Detail Type Num Bill Pmt -Check Bill 082114-9170 Date N§fwtember 2014 Account Original Amount 09/30/2014 Clay Electric Cooperative, Inc. 10100· Operating - Checking ACCOl 08/21/2014 Clay Electric Cooperative, Inc. 20010· Accounts Payable-Strong Roo 0.00 -716.36 ----------------716.36 Bill Pmt -Check 4884 09/05/2014 Cliff Stearns 10100· Operating - Checking ACCOl Bill clicker refund 09/05/2014 22600 . Key Deposit -75.00 75.00 75.00 Bill Pmt -Check 4885 09/05/2014 Eagle Harbor Golf Club 10100· Operating - Checking ACCOl Bill 516 08/25/2014 69100 . Wages - Administration 69200 . Administration - P/R Taxes 69340 . Admin - Health Insurance -3,960.31 1,538.46 95.19 82.65 69240 . Admin - Workers Comp 107.41 69100 . Wages - Administration 831.47 69200 . Administration - P/R Taxes 63.61 69310· Administration - 401K 20.79 Bill 517 08/25/2014 69340 . Admin - Health Insurance Bill 518 08/25/2014 69340 . Admin - Health Insurance Bill 519 08/28/2014 74320 . Activities - Lifestyles 330.58 82.65 807.50 3,960.31 Bill Pmt -Check 4886 09/05/2014 John Hawley 10100· Operating - Checking ACCOl Bill clicker refund 09/05/2014 22600 . Key Deposit -75.00 75.00 75.00 Bill Pmt -Check 4887 09/05/2014 Patrick Lennon 10100· Operating - Checking ACCOl Bill clicker refund 09/05/2014 22600 . Key Deposit -75.00 75.00 75.00 Bill Pmt -Check 4888 Bill 09/10/2014 Eagle Harbor Golf Club 10100· Operating - Checking ACCOl 09/01/2014 79360 . Accounting & HR Services -2,075.00 1,800.00 703360 . Dues & Subscriptions 125.00 703280 . Graphic Design 150.00 2,075.00 Bill Pmt -Check 4889 09/10/2014 My Alarm Center Bill August 08/01/2014 10100· Operating - Checking ACCOl -132.00 73660 . Alarm Service - Swim 99.00 75660 . Alarm Service -Tennis 33.00 Page 1 of 11 Eagle Harbor Swim and Tennis Park Check Detail September 2014 132.00 Bill Pmt -Check 4890 09/10/2014 The Crossings at Fleming Island CD 10100 . Operating - Checking ACCOl Bill 0831 08/31/2014 -7,610.00 ---------------- 99550· Due From - Boat Storage Re\i 7,610.00 7,610.00 Bill Pmt -Check 4893 09/15/2014 Marie Fitzgerald 10100· Operating - Checking ACCOI Bill refund 09/15/2014 20590 . Wash Account -20.00 20.00 20.00 Bill Pmt -Check 4894 09/19/2014 Taylor Jenkins 10100· Operating - Checking ACCOI Bill reisssue 09/18/2014 64100 . Wages - Lifestyle -141.54 141.54 141.54 Bill Pmt -Check 4895 09/19/2014 Mark Szaks 10100· Operating - Checking ACCOI -64.20 Bill dues 09/19/2014 99550 . Due From - Boat Storage Re\i 64.20 64.20 Bill Pmt -Check 4896 09/25/2014 Eagle Harbor Golf Club 10100· Operating - Checking ACCOI Bill 521 09/05/2014 69100· Wages - Administration 69200 . Administration - P/R Taxes 69340 . Admin - Health Insurance 09/25/2014 95.19 82.65 122.56 69100 . Wages - Administration 912.65 69310 . Administration - 401 K 522 1,538.46 69240 . Admin - Workers Comp 69200 . Administration - P/R Taxes Bill -5,745.96 69100 . Wages - Administration 69.82 22.82 1,538.46 69200· Administration - P/R Taxes 95.19 69340 . Admin - Health Insurance 82.65 69240 . Admin - Workers Comp 125.06 69100 . Wages - Administration 962.73 69200· Administration - P/R Taxes 69310· Administration - 401K 73.65 24.07 5,745.96 Bill Pmt -Check 4897 09/25/2014 HEAD/Penn Raquet Sports 10100· Operating - Checking ACCOI Bill 5192074811 09/01/2014 55100· Tennis Shop - Merchandise -71.06 71.06 71.06 Page 2 of 11 Eagle Harbor Swim and Tennis Park Check Detail September 2014 Bill Pmt -Check 4898 09/29/2014 Tracy Thomas 10100· Operating - Checking ACCOI Bill party refund 09/29/2014 74300 . Patron Events - Lifestyles -12.00 12.00 12.00 Sub-Total 18,624.35 Bill Pmt -Check 100021 09/04/2014 Allgood Pest Solutions 10100· Operating - Checking ACCOI Bill 2568416 08/01/2014 79690 . Pest Control -100.00 100.00 100.00 Bill Pmt -Check 100022 09/04/2014 Blue Ridge Water Company, Inc. 10100· Operating - Checking ACCOI Bill 081614-3477 08/16/2014 73560 . Office Supplies - Swim -31.19 31.19 31.19 Bill Pmt -Check 100023 09/04/2014 HEAD/Penn Raquet Sports 10100· Operating - Checking ACCOI Bill 080714-6412 08/07/2014 75400· Tennis Courts - Repair & Mail -804.13 --_......_-804.13 804.13 Bill Pmt -Check 100024 09/04/2014 Joshua Vissman Bill 080514- 08/05/2014 10100· Operating - Checking ACCOI 55100· Tennis Shop - Merchandise -183.31 105.39 75570 . Postage - Tennis 14.64 75550· Supplies Misc. -Tennis 41.88 75300 . Patron Events - Tennis 21.40 183.31 Bill Pmt -Check 100025 09/04/2014 NIKE USA, Inc. 10100· Operating - Checking ACCOI Bill 0885751662 08/01/2014 55100· Tennis Shop - Merchandise Bill 0885801931-1 08/01/2014 55100· Tennis Shop - Merchandise -51.38 25.69 25.69 51.38 Bill Pmt -Check 100026 09/04/2014 North Florida Sales 10100' Operating - Checking ACCOI -63.75 Bill 15040254 08/27/2014 55100· Tennis Shop - Merchandise 63.75 63.75 Bill Pmt -Check 100027 09/11/2014 Martco 10100· Operating - Checking ACCOI -31.50 Page 3 of 11 Eagle Harbor Swim and Tennis Park Check Detail September 2014 Bill 103462 08/18/2014 73560 . Office Supplies - Swim 31.50 31.50 Bill Pmt -Check 100028 09/11/2014 Pool Tek Services, LLC 10100· Operating - Checking ACCOI Bill 5079 08/01/2014 73460 . Repairs - Pool Equipment 73700 . Chemicals - Pools -892.99 706.63 186.36 892.99 -2,137.50 Bill Pmt -Check 100029 09/11/2014 Poolsure 10100· Operating - Checking ACCOI Bill 1321681 08/13/2014 73700 . Chemicals - Pools 337.50 562.50 Bill 1321682 08/13/2014 73700 . Chemicals - Pools Bill 1321680 08/13/2014 73700 . Chemicals - Pools 562.50 Bill 1321678 08/13/2014 73700 . Chemicals - Pools 675.00 2,137.50 Bill Pmt -Check 100030 09/12/2014 Footloose Entertainment 10100· Operating - Checking ACCOI Bill 750 08/30/2014 74320 . Activities - Lifestyles -350.00 350.00 350.00 Bill Pmt -Check 100031 09/15/2014 Bank of America, Business Card 10100· Operating - Checking ACCOI Bill 081414-3067-1 08/14/2014 63800· Training & Ed. - Swim -4,951.96 124.48 52120· Food - Snackbar - F&B 46.97 73560 . Office Supplies - Swim 21.52 52120· Food - Snackbar - F&B 13.91 73560 . Office Supplies - Swim 6.71 63800 . Training & Ed. - Swim 35.00 73420 . Heating & AlC Repair & Mainl 140.00 52120· Food - Snackbar - F&B 45.93 52120· Food - Snackbar - F&B 26.20 52120· Food - Snackbar - F&B 6.00 63800 . Training & Ed. - Swim 24.69 63800 . Training & Ed. - Swim 17.07 63800 . Training & Ed. - Swim 144.75 74320 . Activities - Lifestyles 63500 . Employee Uniforms - Swim 6.42 286.81 73800 . Safety Equipment - Swim 14.99 52120· Food - Snackbar - F&B 38.99 73400 . Pools - Repair & Maint. 72.75 52120· Food - Snackbar - F&B 26.98 Page 4 of 11 Eagle Harbor Swim and Tennis Park Check Detail September 2014 73400 . Pools - Repair & Maint. 150.35 73560 . Office Supplies - Swim 62.55 63500 . Employee Uniforms - Swim 45.32 63500 . Employee Uniforms - Swim 6.75 52120 . Food - Snackbar - F&B 14.99 74320 . Activities - Lifestyles 54.02 74320 . Activities - Lifestyles 850.23 63500 . Employee Uniforms - Swim 276.27 74320 . Activities - Lifestyles 69.97 74320 . Activities - Lifestyles 28.44 74320 . Activities - Lifestyles 28.44 74320 . Activities - Lifestyles 28.44 74320 . Activities - Lifestyles 53.94 74320 . Activities - Lifestyles 12530 . Prepaid Expenses - Other 53.94 297.00 12530 . Prepaid Expenses - Other 39.54 63800 . Training & Ed. - Swim 49.34 52120· Food - Snackbar - F&B 37.50 63800 . Training & Ed. - Swim 111.15 73560 . Office Supplies - Swim 74320 . Activities - Lifestyles 30.89 399.00 52120· Food - Snackbar - F&B 12.75 63800 . Training & Ed. - Swim 61.22 73480 . Pool Buildings 74320 . Activities - Lifestyles 63800 . Training & Ed. - Swim 27.90 453.68 46.06 52120· Food - Snackbar - F&B 29.90 74320 . Activities - Lifestyles 94.09 74320 . Activities - Lifestyles 101.98 74320 . Activities - Lifestyles 196.14 74320 . Activities - Lifestyles 140.00 4,951.96 Bill Pmt -Check 100032 09/15/2014 Clay County Utility Authority 10100· Operating - Checking Accol -2,340.74 Bill 090414-3973 09/04/2014 73610 . Water & Sewerage - Swim 648.38 Bill 090414-1344 09/04/2014 73610 . Water & Sewerage - Swim 547.30 Bill 090414-3322 09/04/2014 7361 0 . Water & Sewerage - Swim 141.85 Bill 090414-5912 09/04/2014 73610· Water & Sewerage - Swim 215.03 Bill 090414-0387 09/04/2014 75610· Water & Sewerage - Tennis 209.38 Bill 090414-3110 09/04/2014 73610 . Water & Sewerage - Swim 578.80 2,340.74 100033 09/15/2014 Clay Electric Cooperative, Inc. 10100· Operating - Checking Accol Bill 082014-9071 08/20/2014 73600 . Electric - Swim 918.24 Bill 082114-8792 08/21/2014 75600· Electric - Tennis 373.08 Bill 082114-9204 08/21/2014 73600 . Electric - Swim Bill 082214-8909 08/22/2014 73600 . Electric - Swim Bill Pmt -Check -4,803.75 1,715.68 1,796.75 4,803.75 Page 5 of 11 Eagle Harbor Swim and Tennis Park Check Detail Bill Pmt -Check 100034 09/15/2014 DB P R Bill 080814-0932 09/01/2014 September 20~100 . Operating - Checking ACCOl -442.00 79830 . Licenses and Penn its - Admir 442.00 442.00 Bill Pmt -Check 100035 09/15/2014 HEAD/Penn Raquet Sports 10100· Operating - Checking ACCOl Bill 5192091178 08/01/2014 55100· Tennis Shop - Merchandise -215.86 215.86 215.86 Bill Pmt -Check 100036 09/15/2014 Joshua Vissman Bill 082214- 09/01/2014 10100· Operating - Checking ACCOl -73.37 55100 . Tennis Shop - Merchandise 27.87 75460 . Equipment Repair & Maint-Te 35.35 75300· Patron Events - Tennis 10.15 73.37 Bill Pmt -Check 100037 09/15/2014 KAD Electric Company 10100· Operating - Checking ACCOl Bill 3324 09/04/2014 73480 . Pool Buildings -145.00 145.00 145.00 Bill Pmt -Check 100038 09/15/2014 MAC Merritt 10100· Operating - Checking ACCOl Bill 142508-B 08/25/2014 73480 . Pool Buildings -434.78 434.78 434.78 Bill Pmt -Check 100039 09/15/2014 Patterson Medical Supply 10100· Operating - Checking ACCOl Bill 4849709 08/13/2014 73800 . Safety Equipment - Swim -420.20 420.20 420.20 Bill Pmt -Check 100040 09/15/2014 NIKE USA, Inc. 10100· Operating - Checking ACCOl Bill 0885801931 08/01/2014 55100· Tennis Shop - Merchandise -126.00 126.00 126.00 Bill Pmt -Check 100041 09/15/2014 North Florida Sales 10100· Operating - Checking ACCOl Bill 15040252 08/27/2014 52420 . Beer - Snackbar - F&B -272.75 272.75 272.75 Bill Pmt -Check 100042 09/15/2014 PAETEC 10100· Operating - Checking ACCOl Bill 57622554 08/15/2014 79380 . T1 Line -908.28 908.28 908.28 Bill Pmt -Check 100043 09/15/2014 Poolsure 10100· Operating - Checking ACCOl -4,445.39 Bill 1322167 08/28/2014 73700 . Chemicals - Pools 496.64 Bill 1322267 08/31/2014 73700 . Chemicals - Pools 225.00 Bill 1322125 09/01/2014 73700 . Chemicals - Pools 101.25 Bill 1322126 09/01/2014 73700 . Chemicals - Pools 112.50 Bill 1322127 09/01/2014 73700 . Chemicals - Pools 112.50 Page 6 of 11 Eagle Harbor Swim and Tennis Park Check Detail September 201t!700 . Chemicals - Pools Bill 1322128 09/01/2014 Bill 1322123 09/01/2014 73700 . Chemicals - Pools 506.25 Bill 1322124 09/01/2014 73700 . Chemicals - Pools . 506.25 Bill 1322122 09/01/2014 73700 . Chemicals - Pools 562.50 Bill 1322472 09/11/2014 73700 . Chemicals - Pools 585.00 Bill 1322469 09/11/2014 73700 . Chemicals - Pools 450.00 Bill 1322268 09/01/2014 73700 . Chemicals - Pools 450.00 337.50 4,445.39 Check 100043 09/15/2014 Poolsure 10100· Operating - Checking ACCOI 73700 . Chemicals - Pools -337.50 337.50 337.50 Bill Pmt -Check 100044 09/15/2014 Western Natural Gas Co. 10100· Operating - Checking ACCOI Bill 67482 08/28/2014 72620 . Gas - F&B -234.31 234.31 234.31 Check 100045 09/15/2014 Wilson Sporting Goods 10100· Operating - Checking ACCOI 55100· Tennis Shop - Merchandise -212.73 212.73 212.73 Bill Pmt -Check 100046 09/15/2014 Life is Tennis LLC 10100· Operating - Checking ACCOI Bill 19804 08/18/2014 55100 . Tennis Shop - Merchandise -91.06 91.06 91.06 Bill Pmt -Check 100047 09/16/2014 Clay County Utility Authority 10100· Operating - Checking ACCOI -1,476.45 Bill 080514-4152 08/05/2014 73610 . Water & Sewerage - Swim 179.17 Bill 080514-8333 08/05/2014 73610 . Water & Sewerage - Swim 598.05 Bill 080514-3973 08/05/2014 73610· Water & Sewerage - Swim 699.23 1,476.45 Bill Pmt -Check 100048 09/16/2014 Clay Electric Cooperative, Inc. 10100· Operating - Checking ACCOI Bill 082214-9113 08/22/2014 73600 . Electric - Swim Bill 082114-9170 09/01/2014 75600· Electric - Tennis -733.80 17.44 716.36 733.80 Bill Pmt -Check 100049 09/16/2014 Comcast 10100· Operating - Checking ACCOI Bill 090314-1039 09/03/2014 75650 . Telephone - Tennis -148.26 148.26 148.26 Bill Pmt -Check 100050 09/16/2014 Poolsure 10100· Operating - Checking ACCOI -688.75 Bill 1321684 08/13/2014 73700 . Chemicals - Pools 238.75 Bill 1321686 08/13/2014 73700 . Chemicals - Pools 337.50 Bill 1322263 08/31/2014 73700 . Chemicals - Pools 112.50 688.75 Page 7 of 11 Eagle Harbor Swim and Tennis Park Check Detail Bill Pmt -Check 100051 09/16/2014 Welch Tennis Bill 28791 08/26/2014 cJafW~ber 201fb100' Operating - Checking ACCOl 75400· Tennis Courts - Repair & Mail -268.07 268.07 268.07 Bill Pmt -Check 100052 09/17/2014 Maxx Sunglasses 10100· Operating - Checking ACCOl Bill 102316 09/01/2014 55100· Tennis Shop - Merchandise -359.61 359.61 359.61 Bill Pmt -Check 100053 09/17/2014 Pepsi-Cola 10100· Operating - Checking ACCOl -168.87 Bill 81094310 09/01/2014 52220· N/A Beverage - Snackbar- F& 168.87 168.87 Bill Pmt -Check 100054 09/19/2014 Waste Management of Jacksonville 10100· Operating - Checking ACCOl Bill 9186044-2224-9 09/01/2014 73630 . Waste Removal - Swim -226.84 226.84 226.84 Bill Pmt -Check 100055 09/22/2014 Allgood Pest Solutions 10100· Operating - Checking ACCOl Bill 2580810 09/01/2014 79690 . Pest Control Bill 2580825 09/01/2014 79690 . Pest Control -135.00 100.00 35.00 135.00 Bill Pmt -Check 100056 09/22/2014 Baker's Sporting Goods 10100· Operating - Checking ACCOl Bill 217620 09/15/2014 63500 . Employee Uniforms - Swim -544.00 544.00 544.00 Bill Pmt -Check 100057 09/22/2014 Clay County Utility Authority 10100· Operating - Checking ACCOl Bill 090414-4152 09/04/2014 7361 0 . Water & Sewerage - Swim -154.67 154.67 154.67 Bill Pmt -Check 100058 09/22/2014 Clay Electric Cooperative, Inc. 10100· Operating - Checking ACCOl Bill 082214-8719 09/01/2014 73600 . Electric - Swim 20.00 Bill 082214-8990 09/01/2014 73600 . Electric - Swim 748.78 -768.78 768.78 Bill Pmt -Check 100059 09/22/2014 HEAD/Penn Raquet Sports 10100· Operating - Checking ACCOl Bill 5192074811 09/01/2014 55100· Tennis Shop - Merchandise -71.06 71.06 71.06 Bill Pmt -Check 100060 09/22/2014 Joshua Vissman Bill 082214- 09/01/2014 10100· Operating - Checking ACCOl -183.31 75570 . Postage - Tennis 9.90 75570 . Postage - Tennis 4.74 55100· Tennis Shop - Merchandise 54.48 55100 . Tennis Shop - Merchandise 50.91 75550· Supplies Misc. -Tennis 36.11 Page 8 of 11 Eagle Harbor Swim and Tennis Park Check Detail September 201t!550 . Supplies Misc. -Tennis 1.92 75550· Supplies Misc. -Tennis 3.85 75300 . Patron Events - Tennis 21.40 183.31 Bill Pmt -Check 100061 09/22/2014 Martco 10100· Operating - Checking ACCOl Bill 103457 08/15/2014 75560 . Office Supplies - Tennis -31.50 31.50 31.50 Bill Pmt -Check 100062 09/22/2014 Optima Security, Inc 10100· Operating - Checking ACCOl Bill 30677 09/12/2014 73480 . Pool Buildings -15.00 15.00 15.00 Bill Pmt -Check 100063 09/22/2014 Poolsure 10100· Operating - Checking ACCOl Bill 1322262 08/31/2014 73700 . Chemicals - Pools -112.50 112.50 112.50 Bill Pmt -Check 100064 09/22/2014 Strate Welding Supply Co Inc 10100· Operating - Checking ACCOl Bill 137878 09/01/2014 72270 . Janitorial Supplies - F&B -7.17 7.17 7.17 Bill Pmt -Check 100065 09/22/2014 Windstream Communications 10100· Operating - Checking ACCOl Bill 090314-6738 09/03/2014 73650· Telephone - Swim 337.74 Bill 090314-1930 09/03/2014 73650· Telephone - Swim 280.09 -617.83 617.83 Bill Pmt -Check 100066 09/25/2014 KAD Electric Company 10100· Operating - Checking ACCOl -345.00 Bill 3323 09/04/2014 75400 . Tennis Courts - Repair & Mail 345.00 345.00 09/25/2014 Waste Management of Jacksonville 10100· Operating - Checking ACCOl Bill Pmt -Check 100067 Bill 9186046-2224-4 09/01/2014 73630 . Waste Removal - Swim -458.75 458.75 458.75 Sub-Total 32,616.65 Bill Pmt -Check 200000 09/04/2014 Cheney Brothers 10100· Operating - Checking ACCOl -915.10 Bill 05-910946073 08/01/2014 73530 . Locker Room Supplies - Swin 486.82 Bill 05-910976465 08/13/2014 73530 . Locker Room Supplies - Swin 428.28 915.10 Bill Pmt -Check 200001 09/08/2014 Cheney Brothers 10100· Operating - Checking ACCOl Bill 05 910842728 08/23/2014 52120· Food - Snackbar - F&B -662.52 406.95 Page 9 of 11 Eagle Harbor Swim and Tennis Park Check Detail September 20174270 . Janitorial Supplies - F&B 107.90 72510· Paper Supplies - F&B 106.45 72930· Misc. Expenses - F&B 14.76 72530 . Small Wares - F&B 26.46 662.52 Bill Pmt -Check 200002 09/09/2014 Cheney Brothers Bill 05 910826844 08/01/2014 Bill 05910811112 08/11/2014 10100· Operating - Checking ACCOl 52120· Food - Snackbar - F&B -1,032.16 374.83 72270 . Janitorial Supplies - F&B 47.59 72510 . Paper Supplies - F&B 71.72 52220 . N/A Beverage - Snackbar- F& 20.22 72930· Misc. Expenses - F&B 8.14 52120 . Food - Snackbar - F&B 431.07 72270 . Janitorial Supplies - F&B 18.22 52220 . N/A Beverage - Snackbar- F& 20.22 72510 . Paper Supplies - F&B 34.23 72930· Misc. Expenses - F&B 5.92 1,032.16 Bill Pmt -Check 200003 09/11/2014 Cheney Brothers 10100· Operating - Checking ACCOl -2,403.37 Bill 05910789966 08/03/2014 73530 . Locker Room Supplies - Swin 285.77 Bill 05910790115 08/03/2014 73530 . Locker Room Supplies - Swin 311.24 Bill 05-910967635 08/09/2014 52120· Food - Snackbar - F&B 250.09 52220 . N/A Beverage - Snackbar- F& 72270 . Janitorial Supplies - F&B 20.22 119.03 72550 . Operating Supplies-Misc. - F. 13.69 08/13/2014 73530 . Locker Room Supplies - Swin 69.39 05-910997851 08/21/2014 75270 . Janitorial Supplies - Tennis 181.82 05 911016533 08/28/2014 52120· Food - Snackbar - F&B 369.68 72510 . Paper Supplies - F&B 77.08 Bill 05910817079 Bill Bill 52220· N/A Beverage - Snackbar- F& 20.22 73530 . Locker Room Supplies - Swin 101.94 72930· Misc. Expenses - F&B 7.14 1,827.31 Bill Pmt -Check 200004 09/11/2014 Hampton Golf, Inc. 10100· Operating - Checking ACCOl Bill 9164 08/25/2014 69280 . Payroll Processing Fees -22.50 22.50 22.50 Bill Pmt -Check 200005 09/15/2014 Cheney Brothers 10100· Operating - Checking ACCOl Bill 05-910946435 08/01/2014 52120· Food - Snackbar - F&B 1,538.52 Bill 05-910991734 08/19/2014 52120· Food - Snackbar - F&B 500.07 -2,110.65 52220 . N/A Beverage - Snackbar- F& 20.22 72510· Paper Supplies - F&B 22.75 72270 . Janitorial Supplies - F&B 22.18 72930· Misc. Expenses - F&B 6.91 2,110.65 Bill Pmt -Check 200006 09/15/2014 Praxair Distribution Southeast 10100· Operating - Checking ACCOl -13.60 Page 10 of 11 Eagle Harbor Swim and Tennis Park Check Detail Bill PJ02554295 09/01/2014 September 20~550' ------- Operating Supplies-Mise; - Sv 13.60 13.60 Bill Pmt -Check 200007 09/16/2014 Hampton Golf, Inc. 10100· Operating - Checking ACCOl Bill 9129 09/01/2014 89100· Management Fees - Admin. -3,000.00 3,000.00 3,000.00 Bill Pmt -Check 200008 09/2212014 Hampton Golf, Inc. 10100· Operating - Checking ACCOl Bill 9241 09/09/2014 69290 . EPLI Insurance -22.50 22.50 22.50 Bill Pmt -Check 200009 09/2512014 Praxair Distribution Southeast 10100· Operating - Checking ACCOl Bill PJ02569203 09/01/2014 74320· Activities - Lifestyles -12.60 12.60 12.60 Sub-Total TC)"FAL 9,042.88 60,283.88 Page 11 of 11 The Crossings at Fleming Island COD/Eagle Harbor Golf Club Check Detail Type Check Num 2313 Date N~tember 2014 09/02/2014 Dallas Morris Account 10110· In House Checking 72300 . Patron Events - F & B Original Amount -100.00 100.00 100.00 Check 2314 09/02/2014 John Sawyer 10110· In House Checking 72300 . Patron Events - F & B -100.00 100.00 100.00 Check 2315 09/10/2014 John Sawyer 10110· In House Checking 72300 . Patron Events - F & B -100.00 100.00 100.00 Check 2316 09/17/2014 John Sawyer 10110· In House Checking 72300 . Patron Events - F & B -100.00 100.00 100.00 Check 2317 09/25/2014 John Sawyer 10110· In House Checking 72300 . Patron Events - F & B -100.00 100.00 100.00 Check 2318 09/25/2014 Target 10110· In House Checking 72550 . Supplies - F & B Misc. -55.42 55.42 55.42 Check 2319 09/30/2014 John Sawyer 10110· In House Checking 72300 . Patron Events - F & B -100.00 100.00 100.00 Sub-Total Bill Pmt -Check 7674 09/04/2014 AAA Hood Cleanil10100 . Operating - Checking Account Bill 22254 09/01/2014 72460 . Repairs - F & B Equipment 655.42 -275.00 275.00 275.00 Page 1 of 16 The Crossings at Fleming Island COD/Eagle Harbor Golf Club Check Detail September 2014 Bill Pmt -Check 7675 09/04/2014 Eagle Harbor Swi 10100· Operating - Checking Account Bill 239 08/20/2014 79990 . Bank Service Charges -150.69 150.69 150.69 Bill Pmt -Check 7676 09/10/2014 Clay Electric COOl 10100 . Operating - Checking Account Bill 7659105l 08/15/2014 78600 . Electric - Maintenance Bill 7658719-1 08/15/2014 78600 . Electric - Maintenance Bill 7658990-1 08/15/2014 71600· Electric - Cart Bill 7659196l 08/15/2014 79600 . Electric - Clubhouse -2,104.91 1,315.47 20.00 748.78 20.66 2,104.91 Bill Pmt -Check 7677 09/10/2014 Eagle Harbor Swi 10100 . Operating - Checking Account Bill 240 08/31/2014 78650 . Telephone - Maintenance -264.12 264.12 264.12 Bill Pmt -Check 7678 09/11/2014 Innovative 10100· Operating - Checking Account Bill 00001704 08/01/2014 78460 . Repairs - Maint. Equipment -752.38 752.38 752.38 Bill Pmt -Check 7679 09/25/2014 Eagle Harbor Swi 10100· Operating - Checking Account Bill 241 09/16/2014 79990 . Bank Service Charges -192.88 192.88 192.88 Sub-Total Bill Pmt -Check 100041 09/02/2014 Agricredit Accept 10100· Operating - Checking Account Bill 081114--0 08/11/2014 88230 . Leases - Maint. Equipment 3,739.98 -629.63 629.63 629.63 Bill Pmt -Check 100042 09/02/2014 Sysco 10100· Operating - Checking Account Bill 40807145 08/07/2014 72550 . Supplies - F & B Misc. 362.18 79270 . Janitorial Supllies - Admin. 143.09 -581.36 71520· Supplies - Carts 16.79 52110 . Food - Restaurant 59.30 581.36 Page 2 of 16 The Crossings at Fleming Island COD/Eagle Harbor Golf Club Check Detail September 2014 -252.85 ' Bill Pmt -Check 100043 09/03/2014 Champion Brand! 10100· Operating - Checking Account Bill 0753120 08/28/2014 52410 . Beer - Restaurant 56.00 Bill 0752496 08/28/2014 52410 . Beer - Restaurant 196.85 252.85 Bill Pmt -Check 100044 09/03/2014 North Florida Sale 10100· Operating - Checking Account Bill 15040253 08/27/2014 52410 . Beer - Restaurant -544.75 544.75 544.75 Bill Pmt -Check 100045 09/03/2014 Southern Wine & 10100· Operating - Checking Account Bill 4067866 08/27/2014 72550 . Supplies - F & B Misc. -554.00 10.00 52610 . Liquor - Restaurant 544.00 554.00 Bill Pmt -Check 100046 09/04/2014 Alsco 10100· Operating - Checking Account -228.36 Bill LJAC686C 08/15/2014 72520 . Linen Service - F & B 114.18 Bill LJAC6871 08/22/2014 72520 . Linen Service - F & B 114.18 228.36 Bill Pmt -Check 100047 09/04/2014 Jacksonville Hum 10100· Operating - Checking Account Bill H11244 08/01/2014 72460 . Repairs - F & B Equipment -120.00 120.00 120.00 Bill Pmt -Check 100048 09/04/2014 Prize Possession 10100· Operating - Checking Account Bill 236177 08/08/2014 51100 . Golf Shop - Merchandise -363.82 363.82 363.82 Bill Pmt -Check 100049 09/04/2014 Southeastern Bill 9889087 08/12/2014 Pa~ 10100· Operating - ~hecking Account 78560 . Office Supplies - Maint. -218.66 218.66 218.66 Bill Pmt -Check 100050 09/04/2014 Sysco 10100· Operating - Checking Account Bill 40807145 08/07/2014 72550 . Supplies - F & B Misc. 161.58 Bill 40821150 08/21/2014 72550 . Supplies - F & B Misc. 366.31 72510· Paper Supplies - F & B -998.22 20.84 Page 3 of 16 The Crossings at Fleming Island COD/Eagle Harbor Golf Club Check Detail Septem~fo 2~c1dh - Restaurant 449.49 998.22 Bill Pmt -Check 100051 09/04/2014 Partsmaster 10100· Operating - Checking Account Bill 20809275 08/01/2014 78790 . Small Tools - Maintenance -150.46 150.46 150.46 Bill Pmt -Check 100052 09/08/2014 Capital Office Pro 10100· Operating - Checking Account Bill 4791199-( 08/12/2014 71560 . Office Supplies - Pro Shop -191.32 191.32 191.32 Bill Pmt -Check 100053 09/08/2014 Clay Electric COOl 10100 • Operating - Checking Account -3,892.21 Bill 082114-81 08/21/2014 78600 . Electric - Maintenance 60.58 Bill 082214-5€ 78600 . Electric - Maintenance 435.17 Bill 082214-8€ 08/22/2014 08/22/2014 79600 . Electric - Clubhouse 3,396.46 3,892.21 Bill Pmt -Check 100053 09/08/2014 Clay Electric COOl 10100 . Operating - Checking Account Bill 090514-5€ 09/01/2014 78600 . Electric - Maintenance -435.17 435.17 435.17 Bill Pmt -Check 100054 09/08/2014 Cutter & Buck 10100· Operating - Checking Account Bill 92781096 08/01/2014 51100· Golf Shop - Merchandise 750.71 Bill 92781095 08/01/2014 51100· Golf Shop - Merchandise 377.52 -1,128.23 1,128.23 Bill Pmt -Check 100055 09/08/2014 ECOLAB 10100· Operating - Checking Account Bill 5949583 08/21/2014 82300 . Rental Equipment - F & B -140.27 140.27 140.27 Bill Pmt -Check 100056 09/08/2014 John Deere Landt 10100· Operating - Checking Account -2,192.70 Bill 68526888 08/01/2014 78700 . Chemicals - Course 339.93 Bill 68494606 08/01/2014 78700 . Chemicals - Course 911.68 Bill 69249720 08/11/2014 78700 . Chemicals - Course 619.33 Bill 68505491 08/11/2014 78700 . Chemicals - Course 321.76 2,192.70 Bill Pmt -Check 100057 09/08/2014 MAC Merritt 10100· Operating - Checking Account Bill 142508-C 08/25/2014 72460 . Repairs - F & B Equipment -300.00 300.00 Page 4 of 16 The Crossings at Fleming Island CDD/Eagle Harbor Golf Club Check Detail September 2014 Bill Pmt -Check 100058 09/08/2014 Sysco Bill 40811067 08/11/2014 10100· Operating - Checking Account 72550 . Supplies - F & B Misc. 71520 . Supplies - Carts 300.00 -627.77 135.50 90.50 72510 . Paper Supplies - F & B 159.76 52110 . Food - Restaurant 242.01 627.77 Bill Pmt -Check 100059 09/08/2014 Titleist 10100· Operating - Checking Account Bill 2977516 08/14/2014 51100 . Golf Shop - Merchandise -1,175.51 1,175.51 1,175.51 Bill Pmt -Check 100060 09/08/2014 USGA 10100· Operating - Checking Account -14.93 Bill 10033328 08/01/2014 71680· Dues & Subscriptions - Pro Shop 14.93 14.93 Bill Pmt -Check 100061 09/08/2014 Paetec 10100· Operating - Checking Account Bill 57620458 08/15/2014 79380 . T1 Line -988.34 988.34 988.34 Bill Pmt -Check 100062 09/11/2014 Champion Brand~ 10100· Operating - Checking Account Bill 0757870 09/04/2014 52410 . Beer - Restaurant -68.45 68.45 68.45 Bill Pmt -Check 100063 09/11/2014 Cozzini Bros., Inc 10100· Operating - Checking Account -80.00 Bill C1152641 08/18/2014 82300 . Rental Equipment - F & B 40.00 Bill C1182084 09/01/2014 82300 . Rental Equipment - F & B 40.00 80.00 Bill Pmt -Check 100064 09/11/2014 Golf Ventures Inc 10100 . Operating - Checking Account Bill PINV0075 08/14/2014 78460 . Repairs - Maint. Equipment 544.31 Bill PINV0076 08/15/2014 78460 . Repairs - Maint. Equipment 214.18 Bill PINV0076 08/18/2014 78460 . Repairs - Maint. Equipment 86.77 Bill PINV0017 08/18/2014 78460 . Repairs - Maint. Equipment 222.28 -1,067.54 1,067.54 Bill Pmt -Check 100065 09/11/2014 John Deere LandI 10100 • Operating - Checking Account -3,338.46 Page 5 of 16 The Crossings at Fleming Island COD/Eagle Harbor Golf Club Check Detail September 2014 Bill 69182226 08/04/2014 78700 . Chemicals - Course 1,645.46 Bill 69329685 08/18/2014 78700 . Chemicals - Course 253.00 Bill 69346421 08/18/2014 78710 . Fertilizer - Course 1,440.00 3,338.46 Bill Pmt -Check 100066 09/11/2014 Pepsi 10100· Operating - Checking Account Bill 85664006 08/15/2014 52210· N/A Beverage - Restaurant -866.45 866.45 866.45 Bill Pmt -Check 100067 09/15/2014 Bank of America, 10100· Operating - Checking Account Bill 081414-3( 08/14/2014 78410 . Irrigation - Repair & Maint. 78400 . Course - Repair & Maintenance -2,749.33 52.48 695.52 78410 . Irrigation - Repair & Maint. 77.81 78410 . Irrigation - Repair & Maint. 415.73 78410 . Irrigation - Repair & Maint. 20.00 78650 . Telephone - Maintenance 35.33 78410 . Irrigation - Repair & Maint. 62.44 78500 . Supplies - Maintenance 26.43 78500 . Supplies - Maintenance 79500 . Supplies - Clubhouse 3.53 413.00 78410 . Irrigation - Repair & Maint. 48.54 78410· Irrigation - Repair & Maint. 26.71 78410 . Irrigation - Repair & Maint. 13.96 78500 . Supplies - Maintenance 262.98 78410 . Irrigation - Repair & Maint. 245.34 68500 . Employee Uniforms - Maintenance 46.49 78500 . Supplies - Maintenance 15.00 78500 . Supplies - Maintenance 97.65 78500 . Supplies - Maintenance 35.92 78500 . Supplies - Maintenance 56.26 78500 . Supplies - Maintenance 10.48 78470 . Vehicle - Repair & Maintance 87.73 2,749.33 Bill Pmt -Check 100068 09/15/2014 Callaway Golf COl 10100 . Operating - Checking Account Bill 92540149 08/01/2014 51100 . Golf Shop - Merchandise . -182.35 182.35 182.35 Bill Pmt -Check 100069 09/15/2014 Canon Financial ~ 10100· Operating - Checking Account -192.00 Page 6 of 16 The Crossings at Fleming Island COD/Eagle Harbor Golf Club Check Detail September 2014 Bill 14108900 09/01/2014 89200 . Leases - Office Equipment 192.00 192.00 Bill Pmt -Check 100070 09/15/2014 Clay County Utilit 10100· Operating - Checking Account -1,124.27 Bill 090414-3( 09/04/2014 79610 . W?ter & Sewerage - Clubhouse 554.31 Bill 090414-m 09/04/2014 78610· Water - Course 486.23 Bill 090414-1~ 09/04/2014 78610 . Water - Course 83.73 1,124.27 Bill Pmt -Check 100071 09/15/2014 Clay Electric Coo[10100 . Operating - Checking Account Bill 082114-8~ 08/21/2014 78600 . Electric - Maintenance -24.69 24.69 24.69 Bill Pmt -Check 100072 09/15/2014 Com cast 10100· Operating - Checking Account Bill 082314-0' 08/23/2014 79680 . Dues & Subscriptions - Admin. -127.71 127.71 127.71 100073 09/15/2014 Discount TirelAm 10100· Operating - Checking Account Bill 8517353 08/14/2014 78460 . Repairs - Maint. Equipment 455.82 Bill 083114-3( 08/31/2014 78460 . Repairs - Maint. Equipment 458.90 Bill Pmt -Check -914.72 914.72 Bill Pmt -Check 100074 09/15/2014 FootJoy 10100· Operating - Checking Account Bill 5755244 08/01/2014 51100· Golf Shop - Merchandise -139.41 139.41 139.41 Bill Pmt -Check 100075 09/15/2014 Golf Car Services 10100 . Operating - Checking Account Bill 7167 09/01/2014 71460 . Repairs - Carts -21.33 21.33 21.33 Bill Pmt -Check 100076 09/15/2014 Metro-Rooter 10100· Operating - Checking Account Bill 248913 08/18/2014 72630 . Waste Removal -175.00 175.00 175.00 Bill Pmt -Check 100077 09/15/2014 Praxair Distributic 10100· Operating - Checking Account Bill PJ025713 09/01/2014 71550· Supplies - Misc. - Golf -3.18 3.18 3.18 Page 7 of 16 The Crossings at Fleming Island COD/Eagle Harbor Golf Club Check Detail September 2014 Bill Pmt -Check 100078 09/15/2014 Southeastern Tur 10100· Operating - Checking Account Bill 00008946 08/04/2014 88140· Contract Service - Aerification -2,275.00 2,275.00 2,275.00 Bill Pmt -Check 100079 09/15/2014 Sports Turf Irriga110100 . Operating - Checking Account Bill 0072263-1 08/21/2014 78410 . Irrigation - Repair & Maint. -253.94 253.94 253.94 Bill Pmt -Check 100080 09/15/2014 Sysco 10100· Operating - Checking Account Bill 40828201 08/28/2014 52110 . Food - Restaurant Bill 40830037 08/30/2014 52110 . Food - Restaurant -245.74 168.24 77.50 245.74 Bill Pmt -Check 100081 09/15/2014 TCF Equipment F 10100 . Operating - Checking Account Bill 3856760 08/24/2014 88230 . Leases - Maint. Equipment -9,410.98 9,410.98 9,410.98 Bill Pmt -Check 100082 09/15/2014 Titleist 10100· Operating - Checking Account Bill 2984671 08/16/2014 51100 . Golf Shop - Merchandise -41.75 41.75 41.75 Bill Pmt -Check 100083 09/15/2014 Western Natural ( 10100 . Operating - Checking Account Bill 66833 08/21/2014 72620· Gas - F & B -415.84 415.84 415.84 Bill Pmt -Check 100084 09/16/2014 Comcast 10100· Operating - Checking Account Bill 090514-7.1 09/05/2014 79680 . Dues & Subscriptions - Admin. -450.37 450.37 450.37 Bill Pmt -Check 100085 09/16/2014 FootJoy 10100· Operating - Checking Account Bill 5770326 08/01/2014 51100 . Golf Shop - Merchandise -886.84 886.84 886.84 Bill Pmt -Check 100086 09/16/2014 Golf Ventures Inc 10100 . Operating - Checking Account -557.10 Page 8 of 16 The Crossings at Fleming Island COD/Eagle Harbor Golf Club Check Detail September 2014 Bill PINV0069 78460 . Repairs - Maint. Equipment 09/01/2014 557.10 557.10 Bill Pmt -Check 100087 09/16/2014 Nike USA, Inc. 10100· Operating - Checking Account Bill 08797958 09/01/2014 51100· Golf Shop - Merchandise -178.16 178.16 178.16 Bill Pmt -Check 100088 09/16/2014 Waste Manageme 10100· Operating - Checking Account Bill 9183369-; 08/01/2014 72630 . Waste Removal 204.05 Bill 9186047-; 09/01/2014 72630 . Waste Removal 203.70 -407.75 407.75 Bill Pmt -Check 100089 09/16/2014 YP 10100· Operating - Checking Account Bill 080714-0( 09/01/2014 703230 . Directories -465.80 465.80 465.80 Bill Pmt -Check 100090 09/22/2014 Allgood Pest Soil 10100 . Operating - Checking Account Bill 2580779 09/01/2014 79690 . Pest Control 55.00 Bill 2568430 35.00 2580825 09/01/2014 09/01/2014 79690 . Pest Control Bill 79270 . Janitorial Supllies - Admin. -125.00 35.00 125.00 Bill Pmt -Check 100091 09/22/2014 Carbon's Golden 10100· Operating - Checking Account Bill 090814-2; 09/08/2014 52110 . Food - Restaurant Bill INV36038 09/10/2014 52110 . Food - Restaurant -386.75 232.05 154.70 386.75 Bill Pmt -Check 100092 09/22/2014 Champion Bill 0763365 Bill 0763873 09/11/2014 09/11/2014 Brand~ 10100· Operating - Checking Account 5241 0 . Beer - Restaurant 52410 . Beer - Restaurant -269.50 101.50 168.00 269.50 Bill Pmt -Check 100093 09/22/2014 Cintas Fire Prote( 10100· Operating - Checking Account Bill OF615367 09/11/2014 72830 . Licenses and Permits - F & B -304.14 304.14 304.14 Page 9 of 16 The Crossings at Fleming Island COD/Eagle Harbor Golf Club Check Detail Check 100094 Bill 7659105 09/22/2014 Clay ~ EI~P~MA'o 2@~frating - Checking Account 09/24/2014 78600 . Electric - Maintenance -20.66 1,412.65 1,412.65 Bill Pmt -Check 100095 09/22/2014 Golf Ventures Inc 10100 . Operating - Checking Account Bill PINV0076 08/28/2014 78460 . Repairs - Maint. Equipment -671.93 671.93 671.93 -3,678.33 Bill Pmt -Check 100096 09/22/2014 Mechanical Solut 10100 . Operating - Checking Account Bill 071409 09/01/2014 79480 . Repairs - Clubhouse 540.00 Bill 081409 051401 071411 09/08/2014 79480 . Repairs - Clubhouse 79480 . Repairs - Clubhouse 79480 . Repairs - Clubhouse 2,240.36 105.00 792.97 Bill Bill 09/01/2014 09/01/2014 3,678.33 Bill Pmt -Check 100097 09/22/2014 Metro-Rooter 10100· Operating - Checking Account -175.00 Bill FLW34871 09/01/2014 78480 . Building Repairs - Maintenance 175.00 175.00 Bill Pmt -Check 100098 09/22/2014 North Florida Sail 10100 . Operating - Checking Account Bill 15040400 15040323 09/10/2014 Bill 09/03/2014 52410 . Beer - Restaurant 52410 . Beer - Restaurant -682.80 403.00 279.80 682.80 Bill Pmt -Check 100099 09/22/2014 Praxair Distributic 10100· Operating - Checking Account Bill 02524103 02462507 09/01/2014 Bill 09/01/2014 71550 . Supplies - Misc. - Golf 71540 . Supplies - Course -212.06 108.42 103.64 212.06 Bill Pmt -Check 100100 09/22/2014 Southeastern Tur 10100· Operating - Checking Account Bill 00009212 08/26/2014 88140 . Contract Service - Aerification -2,275.00 2,275.00 2,275.00 Bill Pmt -Check 100101 09/22/2014 Southern Wine & 10100· Operating - Checking Account Bill 4101157 09/10/2014 72550 . Supplies - F & B Misc. 52610 . Liquor - Restaurant -668.29 10.00 480.93 Page 10 of 16 The Crossings at Fleming Island COD/Eagle Harbor Golf Club Check Detail Septem~fo 2W1~ - Restaurant 177.36 668.29 Bill Pmt -Check 100102 09/22/2014 Sysco 10100· Operating - Checking Account Bill 40904209 09/04/2014 52110 . Food - Restaurant -172.77 172.77 172.77 Bill Pmt -Check 100103 09/22/2014 Vulcan Materials, 10100· Operating - Checking Account Bill 61133524 09/01/2014 78730 . Sand - Course -524.48 524.48 524.48 Bill Pmt -Check 100104 09/22/2014 Waste Manageme 10100· Operating - Checking Account Bill 091014-2~ 09/10/2014 72630 . Waste Removal -204.05 204.05 204.05 Bill Pmt -Check 100105 09/22/2014 Whaley Food SeJ"l10100 . Operating - Checking Account Bill 3145289 08/28/2014 72460 . Repairs - F & B Equipment -232.25 232.25 232.25 Bill Pmt -Check 100106 09/22/2014 YP 10100· Operating - Checking Account Bill 072714-0( 09/01/2014 703230 . Directories -166.10 166.10 166.10 Bill Pmt -Check 100107 09/22/2014 Pepsi 10100· Operating - Checking Account -1,157.86 Bill 81094311 08/28/2014 52210 . N/A Beverage - Restaurant 515.75 Bill 091814-4~ 09/18/2014 52210 . N/A Beverage - Restaurant 642.11 1,157.86 Bill Pmt -Check 100108 09/22/2014 Communications 10100· Operating - Checking Account Bill 32614 09/10/2014 71650· Telephone - Pro Shop -103.74 103.74 103.74 Bill Pmt -Check 100109 09/25/2014 Agricredit Accept 10100· Operating - Checking Account Bill 12426901 09/10/2014 88230 . Leases - Maint. Equipment -633.75 633.75 633.75 Bill Pmt -Check 100110 09/25/2014 Callaway Golf COl 10100 . Operating - Checking Account -1,072.50 Page 11 of 16 The Crossings at Fleming Island COD/Eagle Harbor Golf Club Check Detail September 2014 Bill 92540615 08/04/2014 51100· Golf Shop - Merchandise 1,072.50 1,072.50 Bill Pmt -Check 100111 09/25/2014 Crystal Springs 10100· Operating - Checking Account Bill 1638010 ( 09/11/2014 71550· Supplies - Misc. - Golf -158.97 158.97 158.97 Bill Pmt -Check 100112 09/25/2014 Praxair Distributic 10100· Operating - Checking Account Bill PJ025692 09/01/2014 71550 . Supplies - Misc. - Golf -114.24 114.24 114.24 Bill Pmt -Check 100113 09/25/2014 Waste Manageme 10100· Operating - Checking Account Bill 9186042-~ 09/01/2014 72630 . Waste Removal -215.49 215.49 215.49 Bill Pmt -Check 100114 09/29/2014 Champion Bill 0768796 09/18/2014 Brand~ 10100· Operating - Checking Account 52410 . Beer - Restaurant -101.50 101.50 101.50 Bill Pmt -Check 100115 09/29/2014 DB P R 10100· Operating - Checking Account Bill 080814-m 08/08/2014 79830 . Licenses and Permits - Admin. 12530 . Prepaid Expenses - Other -1,970.00 985.00 985.00 1,970.00 Bill Pmt -Check 100116 09/29/2014 North Florida Sale 10100· Operating - Checking Account Bill 15040472 09/17/2014 52410 . Beer - Restaurant -597.10 597.10 597.10 Sub-Total Bill Pmt -Check 200000 09/04/2014 Cheney Brothers 10100· Operating - Checking Account Bill 05·91097( 08/11/2014 5.00 72510 . Paper Supplies - F & B 17.40 52110 . Food - Restaurant 05-91097E 08/13/2014 -6,698.00 72550 . Supplies - F & B Misc. 52210· N/A Beverage - Restaurant Bill 62,070.96 72550 . Supplies - F & B Misc. 23.42 947.75 5.00 Page 12 of 16 The Crossings at Fleming Island COD/Eagle Harbor Golf Club Check Detail September 2014 72510 . Paper Supplies - F & B 52110 . Food - Restaurant Bill 05-91098~ 08/15/2014 72550 . Supplies - F & B Misc. 52210 . N/A Beverage - Restaurant 52110 . Food - Restaurant Bill Bill 0591100i 0591101( 08/23/2014 08/26/2014 72550 . Supplies - F & B Misc. 05-91 095~ 08/04/2014 52110 . Food - Restaurant 184.82 36.56 72510 . Paper Supplies - F & B 75.02 96.80 52110 . Food - Restaurant 1,197.89 52110 . Food - Restaurant 1,171.46 72550 . Supplies - F & B Misc. 08/07/2014 15.81 72550 . Supplies - F & B Misc. 72540 . Misc. Serving Equipment 05-91 096~ 359.99 149.38 52210 . N/A Beverage - Restaurant Bill 5.00 51.26 71520· Supplies - Carts 52210· N/A Beverage - Restaurant Bill 45.50 223.33 52110 . Food - Restaurant 52210· N/A Beverage - Restaurant 72550 . Supplies - F & B Misc. 72550 . Supplies - F & B Misc. 46.95 133.72 80.30 1,431.52 66.39 183.89 143.84 6,698.00 Bill Pmt -Check 200001 09/04/2014 Florida Rock IndLJ 10100· Operating - Checking Account Bill 61121603 08/12/2014 78730 . Sand - Course -531.59 531.59 531.59 Bill Pmt -Check 200002 09/04/2014 Gate Fuel Service 10100· Operating - Checking Account Bill 3477377 Bill 3486263 08/07/2014 08/21/2014 78620 . Fuel and Oil - Maintenance 78620 . Fuel and Oil - Maintenance -1,317.72 489.89 827.83 1,317.72 Bill Pmt -Check 200003 09/04/2014 Hampton Golf, Inc 10100· Operating - Checking Account Bill 9207 08/01/2014 703320 . Internet -123.53 123.53 123.53 Bill Pmt -Check 200004 09/08/2014 AAA Hood Cleanil10100 . Operating - Checking Account Bill 22254 08/13/2014 72460 . Repairs - F & B Equipment -275.00 275.00 275.00 Bill Pmt -Check 200005 09/08/2014 Alsco 10100· Operating - Checking Account -114.18 Page 13 of 16 The Crossings at Fleming Island COD/Eagle Harbor Golf Club Check Detail September 2014 Bill LJAC688~ 08/29/2014 72520 . Linen Service - F & B 114.18 114.18 Bill Pmt -Check 200006 09/08/2014 Cheney Brothers 10100· Operating - Checking Account Bill 05-91094E 08/01/2014 Bill 059110H 08/28/2014 72550 . Supplies - F & B Misc. -1,923.33 5.00 52110· Food - Restaurant 205.33 72550 . Supplies - F & B Misc. 115.95 72510· Paper Supplies - F & B 96.92 52210· N/A Beverage - Restaurant 25.63 52110 . Food - Restaurant 1,474.50 1,923.33 Bill Pmt -Check 200007 09/08/2014 Global Golf Sales 10100 • Operating - Checking Account Bill 140999 08/01/2014 71530 . Supplies - Driving Range -151.79 151.79 151.79 Bill Pmt -Check 200008 09/09/2014 Cheney Brothers 10100· Operating - Checking Account Bill 05910871 08/03/2014 -1,544.67 72550 . Supplies - F & B Misc. 111.36 72510· Paper Supplies - F & B 45.53 52210 . N/A Beverage - Restaurant 44.58 52110 . Food - Restaurant 1,343.20 1,544.67 Bill Pmt -Check 200009 09/11/2014 Ag-Pro Companie 10100 • Operating - Checking Account Bill P43734 08/28/2014 78460 . Repairs - Maint. Equipment -48.82 48.82 48.82 Bill Pmt -Check 200010 09/11/2014 Global Golf Sales 10100 • Operating - Checking Account Bill 146094 08/15/2014 51100 . Golf Shop - Merchandise Bill 146211 08/18/2014 51100 . Golf Shop - Merchandise -205.56 143.51 62.05 205.56 Bill Pmt -Check 200011 09/11/2014 Hampton Golf, Inc 10100· Operating - Checking Account Bill 9111 09/01/2014 703600 . Centralized Accounting 3,600.00 79370 . Customer Service Center 1,400.00 703360 . Dues & Subscriptions 703280 . Graphic Design Bill 9134 09/01/2014 -12,750.00 80010 . Management Fees - Hampton 250.00 300.00 7,200.00 12,750.00 Bill Pmt -Check 200012 09/11/2014 Specialty Cigars 110100 . Operating - Checking Account -443.55 Page 14 of 16 The Crossings at Fleming Island COD/Eagle Harbor Golf Club Check Detail September 2014 Bill 103508 08/01/2014 51100· Golf Shop - Merchandise 443.55 443.55 Bill Pmt -Check 200013 09/15/2014 Canon Solutions .10100, Operating - Checking Account Bill 40136899 08/21/2014 89200 . Leases - Office Equipment Bill 40136964 08/22/2014 89200 . Leases - Office Equipment -209.59 153.22 56.37 209.59 Bill Pmt -Check 200014 09/15/2014 Cheney Brothers 10100· Operating - Checking Account Bill 05-910661 08/01/2014 72550 . Supplies - F & B Misc. 86.39 52210 . N/A Beverage - Restaurant 49.16 72510· Paper Supplies - F & B 52110 . Food - Restaurant Bill 05-91098( 08/14/2014 5.00 72510 . Paper Supplies - F & B 58.96 52110 . Food - Restaurant 05-910991 08/21/2014 40.62 1,429.34 72550 . Supplies - F & B Misc. 52210 . N/A Beverage - Restaurant Bill -4,962.33 79.82 1,635.15 72550 . Supplies - F & B Misc. 113.97 79270 . Janitorial Supllies - Admin. 136.70 71520· Supplies - Carts 52210· N/A Beverage - Restaurant 52110 . Food - Restaurant 11.67 130.59 1,184.96 4,962.33 Bill Pmt -Check 200015 09/15/2014 Florida State Golf 10100· Operating - Checking Account Bill 28373 08/21/2014 71680 . Dues & Subscriptions - Pro Shop -121.00 121.00 121.00 Bill Pmt -Check 200016 09/15/2014 Hampton Golf, Inc 10100· Operating - Checking Account Bill 9173 08/26/2014 69290 . EPLI Insurance 69200 . Administration - PIR Taxes 71550· Supplies - Misc. - Golf 69280 . Payroll Processing Fees 79650 . Telephone - Administration -517.40 144.77 41.18 58.85 210.60 62.00 517.40 Bill Pmt -Check 200017 09/16/2014 Cheney Brothers 10100· Operating - Checking Account Bill 05-910981 08/18/2014 -1,303.87 72550 . Supplies - F & B Misc. 41.68 72510 . Paper Supplies - F & B 62.90 52210· N/A Beverage - Restaurant 52110 . Food - Restaurant 11.71 1,187.58 1,303.87 Bill Pmt -Check 200018 09/16/2014 Gate Fuel Service 10100 . Operating - Checking Account Bill 3496005 09/04/2014 78620 . Fuel and Oil - Maintenance -522.59 522.59 522.59 Page 15 of 16 The Crossings at Fleming Island COD/Eagle Harbor Golf Club Check Detail dttB1MwRRA'o 2@~frating - Checking Account 200019 09/16/2014 Global Bill 145725 09/01/2014 51100 . Golf Shop - Merchandise Bill 145859 09/01/2014 51100 . Golf Shop - Merchandise Bill Pmt -Check -842.59 783.78 58.81 842.59 Bill Pmt -Check 200020 09/16/2014 Hampton Golf, Inc 10100· Operating - Checking Account Bill 9240 09/09/2014 703360 . Dues & Subscriptions -33.75 33.75 33.75 Bill Pmt -Check 200021 09/22/2014 Aisco 10100 . Operating - Checking Account Bill LJAC690t 09/12/2014 72520 . Linen Service - F & B -114.18 114.18 114.18 Bill Pmt -Check 200022 09/22/2014 Hampton Golf, Inc 10100· Operating - Checking Account Bill 9163 09/01/2014 69280 . Payroll Processing Fees -37.50 37.50 37.50 Bill Pmt -Check 200023 09/29/2014 Hampton Golf, Inc 10100· Operating - Checking Account Bill 9321 09/01/2014 703320 . Internet -123.53 123.53 123.53 Sub-Total TOTAL 34,916.07 101,382.43 Page 16 of 16 EIGHTH ORDER OF BUSINESS A. The Crossings at Fleming Island CDD Board of Supervisors Meeting Minutes Thursday, September 11,2014 (Please note: This is not verbatim, a CD recording of the board meeting is available on file for review). Board Members Present David Herold, Chairman John Tabor, Vice Chairman Robb Rush, Supervisor Mary Michaels, Supervisor Suzanne Janolino, Supervisor Staff Present Sam Garrison, District Co~nsel, Kopelousos, Bradley & Garrison Jim Perry, District Manager, Government Management Services, LLC Steve Andersen, Operations Manager, Governmental Management Services, LLC Travis Norman, Hampton Golf Charles Petronella, Hampton Golf Tom Raybor, Hampton Golf I - Call to Order Vice Chairman Tabor called the meeting to order at 6:00 p.m. II - Pledge of Allegiance III - Roll Call IV - Public Comment The Crossings at Fleming Island CDD September 11, 2014 v- Public Hearings A. Public Hearing to Consider Adoption of the FY15 Budget 1. Consideration of Resolution 2014-17 Relating to the Appropriations and Adopting the Budget for Fiscal Year 2015 Annual Vice Chairman Tabor opened the public hearing and there being no public present to give comment or testimony the public hearing was closed. District Manager Perry read into the record the final numbers to· fill in the blanks on page 2 of the proposed resolution and noted a change on page one resulting in the finalized adopted resolution, copy of which is attached. Supervisor Janolino moved to approve Resolution 2014-17. motion. Motion passed 4 - 0 B. Supervisor Rush seconded the Public Hearing to Consider Adoption of the Water and Wastewater and Golf Course Enterprise Funds Budget 1. Consideration of Resolution 2014-18 Adopting the Final Water and Wastewater Enterprise Funds Budget for Fiscal Year 2015 Vice Chairman Tabor opened the public hearing to consider adoption of the water and wastewater and golf course enterprise funds budget and there being no public present to give comment or testimony the public hearing was closed. District Manager Perry indicated there were no material changes in the water and wastewater fund and Resolution 2014-18. Supervisor Janolino moved to approve Resolution 2014-18. motion. Motion passed 4 - 0 Supervisor Rush seconded the Chairman Herold joined the meeting in person at this time. 2. Consideration of Resolution 2014-19 Adopting the Final Golf Course Enterprise Fund Budget for Fiscal Year 2015 2 September 11,2014 The Crossings at Fleming Island CDD District Manager Perry indicated the only adjustment to the golf course budget was in relation to the $150,000 transfer, everything else has been updated to reflect the latest from Hampton Golf. Supervisor Janolino moved to approve Resolution 2014-19. Supervisor Michaels seconded the motion. Motion passed 5 - 0 C. Public Hearing to Consider Levying Non-A Valorem Assessments 1. Consideration of Resolution 2014-20 Levying Non-Ad Valorem Assessments for Operation and Maintenance Costs, Road System Water Management System and Other Infrastructure Projects within the District for Fiscal Year 2015 Vice Chairman Tabor opened the public hearing and there being no public present to gIve comment or testimony the public hearing was closed. Chairman Herold moved to approve Resolution 2014-20. Supervisor Rush seconded the motion. Motion passed 4 - 0 VI - Supervisors' Requests Mr. Andersen updated the board on the water slide. VII - Adjournment Hearing no objections the Chairman adjourned the meeting at 6:17 p.m. Secretary/Assistant Secretary ChairmanIVice Chairman 3 B. The Crossings at Fleming Island CDD Board of Supervisors Meeting Minutes Thursday, September 25, 2014 1880 Eagle Harbor Park:way (Please note: This is not verbatim, a CD recording of the board meeting is available on file for review). Board Members Present David Herold, Chairman John Tabor, Vice Chairman Robb Rush, Supervisor Mary Michaels, Supervisor Suzanne Janolino, Supervisor Staff Present Sam Garrison, District Counsel, Kopelousos, Bradley & Garrison by telephone Dave deN agy, District Manager, Government Management Services, LLC Steve Andersen, Operations Manager, Governmental Management Services, LLC Jim Proctor, Tree Amigos Travis Norman, Hampton Golf Charles Petronella, Hampton Golf Mike Choma, Hampton Golf Tom Raymor, Hampton Golf I- Call to Order II - Pledge of Allegiance III - Roll Call IV - Public Comment Several residents of Black Creek raised concerns about speeding on roadways and non-resident use of facilities and drug use at the Creekside dock and parking lot. The management team and September 25, 2014 The Crossings at Fleming Island CDD board indicated these were recurring issues that had been addressed in the past and management would take action to address them and encouraged residents to call the Clay County Sheriff s office. v- Public Hearing to Consider Reallocation of Parking Lot Assessments Resolution 2014-21 Chairman Herold opened the public hearing. District Manager deN agy reviewed the background and purpose of the resolution and after taking public comment the public hearing was closed. Vice Chairman Tabor moved to approve Resolution 2014-21. Supervisor Rush seconded the motion. Motion passed 5 - 0 VI - Management Team Reports A. District Counsel There being none, the next item followed. B. District Manager I Open Items Update There being none, the next item followed. C. District Operations Manager I Monthly Manager's Report Mr. Andersen proposed taking money out of the security line item for random patrols at the three problem areas being Forest Park, Waterfront and Black Creek dock. D. Tree Amigos A copy of the report was included as part of the agenda package. E. Hampton Golf Monthly Report for August 2014 A copy of the report was included as part of the agenda package and Hampton staff outlined the reasons why costs were out of line and the implementation of new software to prevent back invoices in the future. 2 September 25,2014 The Crossings at Fleming Island CDD VII - Financial Reports for August 2014 A. Approval of Check Registers Supervisor Rush moved to approve the September 2014 check register. Supervisor Michaels seconded the motion. Motion passed 5 - 0 VIII - Supervisor's Requests Supervisor Janolino asked if Hampton Golf could provide a golf cart for patrols and was advised that district assets could not be used. Supervisor Janolino stated that the reduction in assessments article, resultant of the recent bond refinancing, was not on the first page of the Eagle Harbor newsletter as requested a number of times. IX - Minutes Approval A. Approval of Minutes of the August 14, 2014 Special Meeting Supervisor Rush moved to approve the minutes of the August 14, 2014 meeting. Supervisor Janolino seconded the motion. Motion passed 5 - 0 B. Approval of the Minutes of the August 28,2014 Meeting Supervisor Michaels moved to approve the minutes of the August 28, 2014 meeting. Supervisor Janolino seconded the motion. Motion passed 5 - 0 xv - Adjournment Hearing no objections the Chairman adjourned the meeting at 7:40 p.m. Secretary/Assistant Secretary ChairmanlVice Chairman 3