Loading...
HomeMy WebLinkAboutGrant Related - BOCC (002)GRANT • BOARD OF COUNTY COMMISSIONERS To: Board of County Commissioners From: Janice Flynn, Administrative Services Coordinator Date: January 19, 2022 Re: Authorization for Release of Funds, Dept of Commerce, CDBG CV1 #20- 6221C-111, Reimbursement #18, Subrecipient 01C Request #19 OIC has requested reimbursement regarding the above -referenced grant in the amount of $20,211.66 for October 2022 expenses. Their documentation is attached for review. I am requesting the release of funds for payment to OIC in the amount of $20,211.66. Thank you. A19 VOUCHER FORM Voucher #8 A A MA WASHINGTOW4,5 JAE $ �AGENCY NUMBER 'IDIS P'ROJ8CT,NUAI3E­R­.:.:* C -NT 4 IER E:W OCT DEPARTIMENT OF GOMMEkCE Mt 4 -S59.91 919 7 S4 44 1`0 A19 VOUCHER DISTRIBUTION 1030 107 20-6221 CM1 I I —A ENCYm S VEN O DEPARTMENT OF COMMERCE Submit this form to claim payment for materials, merchandise or services. ATTN: CDBCY-CV 110,71 5. PO BOX 42525 9 Vendor's Certificate., I hereby certify under perjury that the Items and totals listed herein are OLYMPIA, WA 98504-2525 proper charges for materials, merchandise or services furnished to the State of Washington, and that all goods furnished and/or services rendered have been provided without -VENDQFt'Wa rant; Is to 1b hble to.,) .'discrimination ,PR CLAtT,( because of age, sex, marltal status, race, creed, color, national origin, handicap, religion or Vietnam era or disabled veterans status. GRANT COUNTY 7 PO BOX 37 .0 EPHRATA, WA 98823-0037 4� (SIGN IN BLUE INK) -4, 3 01 % S63.13 icroein"t b ,hAn C). (0 'REPOkTI.NG PEF :§]2R=22 (Tinp (DATE) . .................. 7 7 05 Y` , lle'alth` ent 43 C _0 IDIS 7. 77 a 3. �IGINAL e e a n e- ea pn 6 I B -e th 1.1 Ith (6- AMOUNT THIS .APMAINI NG :Act1VIty:ID ;DRIPTIO :. • 0 �4-. — " so U N. M en e an h lall• 144 �t 4;91inty `Obi .9 AG '15 T. .- " �A' t- EQU VEE -.;AN. 01, E r." r .' ALANCE .B .... ....... or d Add or d6lete bod§Otline items as.neo ed. Indudes.CV1 and CV2 OS ppplk6bie' k -ces . ..... .... �n 2.. 3 I an. 8310 2 N A ) �pens A -.Goneral'Admiii t.C6pt E eSr*orr:y 66......6 -23 0 23' 0§ 00 .0. . I 83,11 05Q Nbliesery ces,z b.:Bu 9. Ak- C g Pi $ -3 .9 52�6655` -:67 4.009• 3 lug:i s6slst, P nis 8311 050,P8. once" apne 'mortage utility'.) (0 0 4 -S59.91 919 7 S4 44 1`0 0S, ons ingA.0 ns g u e in (01C) 110,71 5. 1,903 2 76�,` 9 9 1`492.4 5 8C - 6 s sibmte* Adinin. (01C) er.b.on.;erpns A si `:454 k34 6'606*36 10 7 9313 1.8c miq�,OPA, Assis I'Vinancia t oce 0 C $ 4� 25: A 697A -4, 3 01 % S63.13 icroein"t b ,hAn C). (0 000":- 12' . .................. 05 Y` , lle'alth` ent 43 C _0 6. 00 7. 77 a 3. e e a n e- ea pn 6 I B -e th 1.1 Ith (6- 32 -: - 37 -6 0 �4-. — " so U N. M en e an h lall• 144 �t 4;91inty `Obi : 00. .... ....... k -ces . ..... .... �n 2.. 3 8 7-M GL TRANSSUB -CODE .0. MAtTERIWEX �'Sus �013J ACCT T!� . ..... MOUN CR I 622CO320 NZ M., 51UNATUKE Of ACCOUNTMO PREPARER fOR PAYMENT DATE :WARRANT TOTAL­"ri Jennifer Lewis, Program Manager ACCOUNTING APPROVAL FOR PAYMENT DATE 01 42Contract # 20-6221 C-11 Submitted to GC by: OIC OF WASHINGTON Request For Reimbursement 18 October 2022 Grant County's Subrecipient Checklist: State Auditor's Office Audit Procedures for Testing Activities Allowed And Not Allowed, As Published In 2007 Questions to ask before submitting a payment request Was the expenditure or cost: X Made for an allowable activity under the grant guidelines? X Authorized (or not prohibited) under state or local laws or regulations? X Approved by the federal awarding agency, if required? AN/A Allowable per Circular A-87 (June 2004 version), Attachment B, items 1-43? For payroll transactions: X Does the employee's time and effort documentation meet the requirements of Circular A-1 22? XC Allocable to the program? (i.e., was the dollar amount charged to the program relative to the benefits received by the program? Is the federal grantor being charged its fair share of the cost?) X Based on actual costs, not budgeted or projected amounts? X Applied uniformly to federal and non-federal activities (i.e., is the federal government being charged the same amount as if non-federal funds were being used to pay the cost)? X Given consistent accounting treatment within and between accounting periods? (Consistency in accounting requires that costs incurred for the same purpose, in like circumstances, be treated as either direct costs only or indirect costs only with respect to final cost objectives). X Calculated in conformity with generally accepted accounting principles, or another comprehensive basis of accounting, when required under the applicable cost principles? X N6t included as a cost (or used to meet cost sharing rsquii'ements) of other federally -supported activities of the current or a prior period? X Net of all applicable credits? (e.g., volume or cash discounts, insurance recoveries, refunds, rebates, trade-ins, adjustments for checks not cashed, and scrap sales). N/A Not included as both a direct billing and as a component of indirect costs? N/A Properly classified (e.g., some costs may be incorrectly claimed as a direct cost instead of being incorporated as part of the indirect cost rate). X Supported by appropriate documentation? (e.g., approved purchase orders, receiving reports, vendor invoices, canceled checks, and time and attendance records.) Documentation may be in an electronic form.. - - - I.. X Correctly charged to the proper account code and grant period? 1:\DATANONSHARED\ACCOUNTING\Accounting_F,Iiza\Grants Contracts\Grants—Contracts 20222023\500CDBG COVID 19 fund (EB)\2- Bill ings\2022\Subrecipient Checklist. docPage 1 COVID-19 Utility/Rent/Mortgage Subsistence Payments Project Detail Report Grant County CDBG Contract #20-6221C-111 As of 1013112022 On-going COVID Assistance Details Note: No direct paVrrients to clients Client Details Assistance Details " " COVID Eligibility Certification. . " Intake Information Client Address Duplicatlo n of , Total $ Amount Within Benefits: Were Total _ Purchase of Assistance Target " . other sources' Household ' CDBG CMI Order/ Type of Assistance. yP Given Date of Date . Service :. of assistance . Within Target income: Eligible? Approving Payment to 3rd Client Name or Initials or CllentZip Utility/Rent/ $ Monthly . (6 months Assistance Paid Address to Mall Assistance. As Are Y were availabie? Service 0 <50 /o .:; or 2 80% MHI Intake Intake Staff Supervisor Party # Identification # Client Address .Code Mortgage . Payment maximum ) to: ` Assistance Payment y App lication Paid ' or N ' . Y or N Area? Y or N <80% MHI Y.:or N Narrative - Economic impact due to COVID Date/time Name (if applicable) Ann Smith or A.S. or Client 123 Rock Lane, 98502 Rent $ 1,000.00 $ 3,000.00 ABCApartments 1111 Main St. Olympia, 62/2020 Fa�30/2020 Y N Y <50/ y Works in a restaurant and his hours were reduced due to COVID, the still did to -go orders,.so it didn't stopentire) y y' 5/29/20 Anne Shirley Mary Smith 20-?OOOOC #1 Olympia 98502 but was reduced by half. 10:30am X0120 RKT Holdings 10/11/22 ive been struggling during the LLC -Rocket 1050 Woodward Ave Pandemic and it affected there finances, they are Antonia 10/4/2022 Moses Lake, WA 98837 Mortaaae $ 1.135.50 $ 1.135.50 Mortaaae LLC Detroit. MI 48226 10/4/22 Y N Y <50% Y ha -hind -n +hair mortaaae Davment for October 2022 ; family were affected by COVID-19 and 9/6/2022 Medrano Candi Jaeaer rsroKer Solutiions, INC- DBA New 10/25/22 if affected their finances and were unable to make Mattawa, American their mortgage payments for August, September and Antonia 10/19/2022 WA 99349 Mortaaae $ 1.000.00 $ 3.000.00 Financial PO BOX 650076 10/19/22 Y N Y <50% Y October of 2022 8/15/2022 Medrano Candi Jaeger hours were cut and was affected by COVID. 120 W Cataldo Ave 19 and it affected her finances and was unable to Heron Creek STE 100 Spokane, make her rental payment for the month of October Antonia 10/28/2022 Lake. WA 98837 Rental/Subistance $ 1.133.00 $ 1.133.00 Apartments LLC WA 99201 10/28/22 12/6122 Y N Y <50% Y 2022 10/21/2022 Medrano Candi Jaeaer Bayview MSR Opportunity is affected by Covid a few times and it Corp -Lakeview 4425 Ponce De Leon 10/13/22 affected her income from her employer. She hard a Loan Servicing BLVD 5th Fir Coral hard time recovering. This has affected her from Antonia 8/24/2022 Roval Citv. WA 99357 Mortaaae $ 1.345.13 $ 2.130.58 LLC Gables FL 33146 8/24/22 Y N Y <50% Y r,akina her mortaaae Davemnts. I i has been in and out of the hospital with 8/8/2022 Medrano Candi Jeaaer : Windermere Property 324 South Ash Street, Suite A, Moses Lake, 10/25/22 COVID that last few months. He has been unable to work but is feeling better and will be able to return to 10/20/2022 Ephrata. WA 98823 Rental/Subistance $ 1.100.00 $ 3.300.00 Manaaement WA 98837 10/13/22 Y I N Y <50% Y work soon. 10/11/2000 Jeremv LoDez Candi Jaeaer CDBG COVID-19 Microenterprise Assistance Project Detail Report CDBG Contract #20-6221 C-111 As of 10/31/22 Microenterprise Assistance Details CDBG Requirements $ Funding Information Low- and Moderate -Income (LMI) Median Household Income (MHQ What is the Business funding for? Agreement Type of (i.e. payroll, Id # Business Name Business Address City Zip Code Name of Owner Business rent, utilities) C1 •2 U) d Z rn o L 0- "r>+ 0 N c Z L z w ° C1 ° Q. w ° yo $ Amount of o Assistance Funding Type: Loan Terms: Date of Grant or Term, Rate Executed Loan (If applicable) Agreement Project Completion Date G C E Ui �; E°- ° •� .•. � a s 0 M c ° o V co C V z m •� `o 0 w xxxx Example: ABC Cleaners Example: 123 Rock Lane Olympia 98502 Example: Michael Clothes cleaning payroll .Clean Y N 4 $5, 000.00 grant n/a 6/212020 12/30/2020 $ 35, 000.00 5 Y None CDBG Public Services Expenditure Report STATE OF WASHINGTON TON COMMUNITY DEVELOPMENT BLOCK GRANT -CV GRANTS ]SEPT OF COMMERCE HOUSING & SUBSISTENCE TTI : CDBG PROGRAM PO BOX 42525 CET NC TION: I certify that the information on this farm i's a OLYMPIA, WA 98504-2525 true and accurate report of the cash status and that all reported expenditures are properly chargeable to the referenced gram. SUIIRECI PIENT: CDBG CONTRACT NO: Signature:will, OIC OF WASHINGTON 20-622 C-1 I 815 FRUITVALE BLVD REPORT MONTH: Pirinted Name: DEREJE MEKU I . YAKIMA WA 98902 Oct -22 REPORT NUMBER: . Title. CPD 25 Date, 12/8/2022 TOTAL AMOUNT REQUESTED THIS PERIOD: $149,500.95 1. Name of Service Program. DOUSING CDBG CV JICDBGamount requested for these program activities this period. $101699.08 Description of service Program and how low- and. moderate -income (LMI) persons were served this period. Assistance was advertised by radio, print and social media to targeted areas and qualifying households throughout the serve area, 2. Name of Service Program: SUBSISTENCE CDBG CV IFCDBGamount requested for these program activities this period: Description of service program how low- and moderate -income (LMI) persons were served this period: Assistance was advertised by radio, print and social media to targeted areas and qualifying households throughout the service area. 3: Name of Service Program:. ADMIN HOUSING/SUBSISTENCE & OPERATIONS $31801.87 Description of service program hover low- and moderate -income (LMI) persons were served this period: General administration expenses associated with managing Mousing and Subsistence activities oversight and assessments. Indirect admin. STATE OF WASHINGTON DEPT OF COMMERCE ATTN: CDB G PROGRAM PO BOX 42525 OLYMPIA, WA 98504-2525 SUBRECIPIENT: OIC OF WASHINGTON 815 FRUITVALE BLVD YAKIMA WA 98902 TOTAL AMOUNT REQUESTED THIS PERIOD: CDBG Public Services Expenditure Report CDBG CONTRACT NO: 20-6221 -111 REPORT MONTH: Oct -22 REPORT NUMBER: r' 25 $51,710.71 COAUAUNITY DEVELOPM[ENT BLOCK GRANT - CV GRANTS MICRO -ENTERPRISE CERTIFICATION: I certify that the information on this form is a true and accurate report of the cash status and that all reported expenditures are properly chargeable to the referenced grant. Signature: Printed Name: DEREJE MEKURIA Title: CFO Date: 1.2/8/2022 1. Name of Service Program: MICRO -ENTERPRISE JJCDBG amount requested for these program activities this period: Description of service program and how low- and moderate -income (LMI) persons were served this period: Assistace was advertised to Micro -Businesses by radio, print, social media and face-to- face and assisted to finandially qualifying businesses within ffie service areas. 2. Name of Service Program: ADMINISTRATION MICRO -ENTERPRISE jjCDB G amount requested for these program activities this period: $5,710.71 h managing Micro -Enterprise activities Description of service program how low- and moderate -income (LMI) persons were served this period: General administration expenses associated with oversight and assesments. Indirect Admin. 00 030-6 030-6 030-6 030-6 030-6: 030-6: 030.6: 030.6: 030.6: 030-6: 030-6 030.6: 030.6: 030.62-51 030.621030-62-6 030.62-51 030.62-51 030.62-51 030-6 030-0 030.61 030.621030-62-51 030-62-51 030.6: 030.6! 03C�6 030-6 030-U 0304 030-6 030-6, 030-6- 030-6- 030-6, OIC of Washington CDBG CV1 Expense Tracking Summary - 500 Grant Period: 10/01/2020 -12131/2023 20.6221 C-111 ma-mn Prpinn- (V.Tr)R1=R 9W9 DESCRIPTION JACCOUNT I BUDGET YTD EXPENSED (as of 10/31/22) YTD BILLED (as of 09/30/22) BUDGET BALANCE DIFFERENCE (as Of 10/31/22) 05Q PUBLIC SERVICES-SUBSISTENGEPAYMENTS PUBLIC,8EIRVICES ADl1 . 0 )1-662 :6366 2 5 IN 05X HOUSING- ASSISTANCE' C TOTAL PUB ILI C �.S.EkV.1 ,E ADM IN BUD - 367'84 $9 6y 367 84 ADMINISTRATION - INDIRECT (009) $13,064.23 $12,740.52 $323.71 • ADMINISTRATION - DIRECT 008 $317.83 $317.83 $0.00317.83 -($13y064,23) I Sala 5311 $17,449,11 $16,309.07 -.......... $1,140.04, .. . ($117�449,1 11 FICA, OIC Exp 5351 $1,302.27 $1,218.37 $83.90 $1,302,27 L AND I, OIC Share 5352 $102.92 $96,11 $6.81 4.0,02.92) State UCI,OIC Exp 5363 $331.34 $315.15 $16.19 $331 34 PFML 5355 $84.70 $77.83 $6.87 ($04,70)L Disability, OIC Ex 5360 $192.45 $178.25 $14.20 ($1,9245) Medical Insurance, OIC Exp 5361 $1,958.31 $1,770.56 $187.75 , , $1 958,31 Life Insurance, OIC Exp 5362 $76.60 $70.97 $5,63 ($76o60) Pension, OIC Exp, 5363 $1t285.70 $1,205.58 $80.12 ... .......... $1,285.70 Accrued PTO Exp 5364 $1,056.05 $935.84 $120.215 ($11to 6.05) Audit Costs 5402 $85.21 $85.21 10-00($85.211) Website design & Hosting'. 5403 $562.54 $0.00 - ...... $562.54 .......... ..... . ... .. . .... ..... ($562.54) Mileage/Perdlem:-In state 5500 $883.79 $727.78 $156.01:-,- $883.79 ,.,Depreciation Ex Bid ..... . . . ... .. 5601 $19.68 $17.49, $2.190 ' Depreciation ExpEqu1P ... L 5602 $16.67 $13.29 $2.38, VA -0 5*67 ,Space 5611 $96.66 $96,66, $0.00 ($96.66) Utilities 5630 $13.81 $13.81, $0-00 ($13-61) Build Repair/Maint. 5640 $21.02 $21 Y02 $0.00 Consumables 5700 $783.30 $783.30-, $0.00($783 --($21.02 783 30-j Reproduction Supplies 5712 $86.26 $86.26 $0.00$6.26) Equipment -added 5800 $738.98 $738.98 $0.00 Insurance 5910 $85.75 $82.81, $2,94,4000 Liab,ility Insurance 5912 $7.67 $71.67$0.00 ($7.67) Ad,vert1,s,I,n.g_,,.. 5945 $2,250,00 $1,350,00 $9=00 -.0 (,$2 250.00 Communication one/Cell & ISP 5960 $830.63 $830.63 $0.00vs ... ....... ($830*60) Postage 5970. $0.00 $0.00 $0.00 .... . ..... . , $0.00 :.8U8TOTAL 196sU7.84 $43,70,26 - 90948 01,09 .. . .. ... $40 ... 43) 6111,149 $552) G�Y5.12u..,- --- .... ...... . SUPSISTENCE 'PUBLIC SERVICES: P&Y,.- 0, 62 $-,t 3062 .80). . .' ' 7 7 7 TOTAL 'SUBSISTENCE.;PS. PAYME., T$ -.6OU DGET 0,000.00 $150,000.00 Client, Mortgage P,pyment 5618 $23j019.85 $16,753.77 $6,265.08 $,23o01985) Housing Asst/Rent 5619 $15,499.10 $11,066.10 $4,433.00 $15 499.10 Services 5959 $7,392.13 $7,392.13 $0.00 Client Mortgage Payment 5618 $7,573,46 $7,573.46 $0.00 .($70392.13) ($71571,46) Housing Asst/Rent 5619 $42,074,45 $42,074.45 $0.00 SUBTOTAL, $11500,000600 .... . .. .. .. ...... $95,558.99-1 $84$859.91 1 110,6091108' ... ....... .($42,074.45) ----,',$54.441.01, 06X HOUSING INFORMAT'OLN AND,REFERRA1L-$ERV10E$ (030-64,030-- 64-50) OP G COIJ NSE LINO T TALS HOUSINU $1 10,715.59 $1100 15.59 Sala y 5311 $4,946,22 $4,946.22 10.00 ($41946,22) FICA, OIC Exp 5351 $378.27 $378.27 $0.00 ,L AND 11 OIC Share 5352 $25.45 $25.45 $0-00,1- _($378,27) (P514 1:1DATANONSHAREt)ACCOUNTING\Accounting_F-Iiza\Grants_Contracts\Grents_oontracts 202Z_20231500_CDBG COVID 19 fund (EB)12- Billings1202MI)BG (500) -Expense Tracking - Revised 6-24-22 12/8/2022 030-6 030-6 00-6 030-6. 030-6 030-6 030-6, 030-6, 030-6, 030-6. 030.6, 030-6- 030-6, 030-6, 030-64 030-64-51 030-6, 030.6, 030.6, 030-8, 030-6: 030-6: 030-6: 030-6: 030-6: 030-6: 0304 0304 0304 0304 030-6: 030-6: 030-6 030-6: 0304 030-6: 030-6: 030-6 030-6: DESCRIPTION ACCOUNT YTD EXPENSED YTD BILLED BUDGET (as of 10131/22) (as of 09/30/22) BUDGET BALANCE DIFFERENCE (as of 10/31122) State IJCI,OIC Exp 5353 $73.35 $73.35 $0.00 ($713.35 PFML 5355 $31.58 $31,58 $0.00 W.1,01 Disability, OIC,Exp 5360 $51.70 $51.70 $0.00 ($51,70 Medical Insurance, OIC Exp 5361 $256.67 $256.67 $0.00 ($256.67) Life Insurance, OIC Exp 5362 $20.58 $20.58 $0.00 ($20..-58) Pension, OIC Exp 5363 $368.43 $368.43 $0.00 (P68,43). Accrued PTCA EX 5364 $323.49 $323.49 $0.00 ......... ($323.49 Audit Costs 5402 $25.46 $25.46 ... $0.00 . . .......... ($25,46) Credit Reports 5411 $366.60 $366.60 $0.00yj ($366,6` Mileage/Perdi,em:-In state 5500 $1,116.85 $926.47 .$190.38, 16.85) D,epreciation Exp Equip 15602 $2.87 $2.87 $0.00 ($2,87) Consumables 5700 $1,139.54 $1,139.54 $0.00 .. ........ Reproduction Supplies 5712 $54.05 $54.05 $0.00 --.($1j139.64) ($54.05) Equipment -added 5800 $2,568.42 $2,568.42 $0,00 $21568*42) Insurance 5910 $21.31 $21.31 $0.00 Advertising 5945 $5,680.00 $5,680.00 $0.00 ..($21,31) (M680.00) Staff Training 5949 $200.00 $200.00 .... ........ $0.00 I .......... Communication (Telephone/Cell & ISP) 5960 $1,403.29 $1,403.29 ........... $0.00 . . .....($200.00) Postage 5970 $169.01 $169.01 $0.00 ....,.,($10403.29) $169 01 TAL 9. 3.1 ;0 22 4 ..... ........ N '91 9 j.,_32*7 '0 T, A N N' A O . . . ....... . ........ ......... . .... . ... . ..... ........... ....... .... . ........................... . .......... . ....... 11 BG MICROENT:ERPRISE ASSISTANCE -KNt f S Ma• sUG-1-N ,1111 t T. -T iz -N 5 w L, MIC.' S1 S D M IN UDG.E. T $11'51 034. T: TOU ,114;0-�:Ai $151,034.57 ADMINISTRATION - INDIRECT (00.9) $2,644.74 $2,517.26 $127.48 ($23,644474) ADMINISTRATION - DIRECT (008 $49.50 $49.50 $0.00 Salary 5311 $2,591.37 $2,59'1.37$2,591337 .......... ($21591. FICA, .,..OIC...Exp, 5351 $189.04 $189.04�.._ ($189.04), L AND 11 OIC Share 5352 $17.13 K $17.13 State UCI,OIC Exp 5353 $22.86 0. .... .. . ... .. ........... .. . $22.86 ($22.86) PFML 5355 , $18.52 $18.52 ($1.8,52) Disability. OIC. Exp 5360 $40.38 ...... . ... . . $40.38 ($40*38) Medical Insurance, SIC Exp 5361 $642.58) $642.5810 ($642,56). Life Insurance, OIC Exp 5362 $16.05 $16.05 $16.05 Pension,, OLC Exp .5363 $216.08 $216.08_ ($216.08) Accrued PTO 5364 $264.84 4 84 $146 4.4 Audit Costs 5402 $85.21 $85.21 $0.0- 0 __($264*84) q � 085 441.1 Website Design & Hosting, 5403 $562.53 $562.53 - - .-1 Mileage/Perdiem:-In state 5500 $363.35 $286.30 $77.05 0 ----- -($562,,63) ($36336) Consumables 5700 $292.60 $229.47 $63.13 - - ($292.60) Equipment -added 5800 $2,941 b .86 $2,088.62 $853,2410--1 Insurance 5910 $8.43 $0.00 $8.43 .($2,941.80). ($8,43) Advertising 5945 $1,350.00 $1,350.00 $0.00 $133601,00) x $12 w. TOTALNICRO FINANCIAL ASS,1,ST,`I3lJDGjEiT .-.-$50, 000.00 $50,000.00 'Client Mortgage Payment 5618 $0.00 $0.00 $0.00 Housing Asst/Rent 5619 $0.00 $0.00 $0.00 IServices 5959 $25,697.02 $25,697.02 $0.00 ($25,697,02)1 lz\DATANONSHARED\ACCOUNTING\Accounting_Eliza\Grants_Contracts\Grants_Contracts 2M_20231600LCD8G COVID 19 fund (E6)12- Billings12022=BG (500)_Expense Tracking - Revised 6.24-22 12/8/2022 030-6 030-6: 030-6: YTD EXPENSED YTD BILLED BUDGET BALANCE DESCRIPTION ACCOUNTBUDGET (as of 10/31122) (as of 09130122) DIFFERENCE (as Of 10/31/22) -6 ...:. � L a� .. ... ,.: ::Ax T 5 1 .., .,_rx.s.=..... ,... .d.rs',..nn...ur. .., ,.. ... -.... .r., •.., ..v :1u - ..- .. . T .i:r,i .u.f?si�z..txr --, .f .F .,;.:. _A g -g.g.- -.; . . . . ...... `-N Mu M -PRI -9, ROIRA- TOTAL M110. [NIN G`113 W) GET, 0 2) 00.00 Consultant Contract Services 5400 $0,00 $0.00 $0.00 $01.00 Training Materials 5730 1$0.00 .$0,00 $0.00 $0.00 Client Training, 5965 $0.00 $0.00 $0.00 $0.00 Kk Nw"I.Ml: K 0 1Z a -A i. J. `3 710 7 NTS tl p4&13-'03457'� L .. ........ MTTA RA H $- 6 1.\DATANONSHARED\ACCOUNTING\AccounOng_Eliza\Grents_Contracts\Grants_Contracts 202Z_2023\50Q_CDSG COVID T9 fund (EB)V- 8W1nqs\202ZCDBG (800).,4xpenseTracking - Revised 6-24-22 121812022 OIC OF WASHINGTON For User: Eliza Baysin ger RW Expenditure report for: 500 - 500 CDB G CV I Deport year: 10/1/2020 thru 12131/2023 Account 68.17% 62SB PS Subsistence Program Admin 63MC Microenterprise Program Admin 64HS PS Housing Counseling Admn Administration MCF A Micro Financial Assistance PSPA PS Subsistence Payments Report Totals General Ledger System Period ending: -October 2022 —monthly— 68.17% Budget Expenditures Pct Budget $1,779.00 $2,816.22 158.30% $44,475.84 $3,244.00 $4,216.83 129.99% $81,100.02 $3,322.00 $190.38 573% $83,050.74 $2,130.00 $-0.00 0.00% $53250.40 $1,537x00 $0.00 0.00% $38,425.00 $2,562.00 $8,568.50 -334,45% $64,050.00 $14,574.00 $15,791.93 10836% $364,352.00 Billing Adjustment For PrMous Month $451.19 - Admin $1,366AO - Micro Admin $471.56- PS Subsistence Program Admin $2,130.58 - PS Payments $20,211.66 - Revised Billing Total —To Date Expenditures Pct $30,320.42 68.17% $9,622.83 11.87% $19,223.14 23.15% $16,076.30 30.19% $25,697.02 66.88% $95,558.99 149.19% $196,498.70 53.93% Page: Page I of I Date: 1218/2022 Time: 11:19:36 AM Annual budget 1$69,884.84 $127,011.02 $130,117.74 $83,103.40 $60,000.00 $100,000.00 $570,117.00 Unexpended $39,564.42 $117,388.19 $110,894-60 $67,027.10 $34,302.98 $4,441.01 $373618.30 General Ledger System OIC OF WASHINGTON For User: Eliza Ba singer Fund Expenditure report for., 500 - CDBG-CV1 10/l/20-12/31/23 (Fund status: Active) Report year: 10/1/2020 thru 12/31/2023 Period ending: October 2022 _M0nth1y___ Account Budget Expenditures Pct Budget Department: 008 DIRECTADMIN Program: 80 CEO OFFICE Page: Page 1 of 6 Date: 12/712022 Time: 3:38:49 PM -To Date -- Expenditures pet Annual budget Unexpended 5602 DEPRECIATION EXP EQUIP WOO $0.00 0.00% .$0.00 $0.16 0.00% $0.00 5960 COMMUNICATION $0,00 $0.00 0,00% $0.00 $10.17 0.00% $0.00 Total for sub program MOO .. ....... ..... $0.00 0.00% $0.00 $10.33 0.00% . . .... .......... WOO Sub program: 50 FACILITY MAINT 5601 DEPRECIATION EXP BLDG. $0.00 $0.00 0.00% $0.00 5602 DEPRECIATION EXP EQUIP $0,00 $0.00 0.00% $0.00 5611 SPACE $0.00 MOO 0,00% $0.00 5630 UTILITIES $0.00 $0.00 0.00% $0.00 5640 BUILD. REPAIR/MAINT. $0.00 MOO 0.00% $0-00 5910 INSURANCE $0.00 $0.00 0.00% $0.00 5912 LIABILITY INSURANCE $0.00 $0.00 0.00% $0.00 Total for sub program 50 $0,00 $0.00 0.00% $0.00 Total for program 80 $0.00 $0,00 0,00% $0,00 Program: 82 CFO/ FISCAL $0.00 ($27.30) $5.78 0.00% 5602 DEPRECIATION EXP EQUIP $0,00 $0.00 0.00% MOO 5960 COMMUNICATION $0.00 $0.00 0.00% $0.00 Total for sub program $0.00 $0.00 0.00% $0.00 Sub program: .'50 FACILITY MAINT $0.00 ($86.08) $0.38 0.00% 5601 DEPRECIATION EXP BLDG. $0,00 $0,00 0,00% $0.00 5602 DEPRECIATION EXP EQUIP $0.00 $0.00 0.00% $0.00 5611 SPACE $0.00 $0.00 0.00% $0.00 5630 UTILITIES $0.00 $0.00 0.00% -$0.00 5640 BUILD. REPAIR/MAINT. $0.00 $0,00 0.00% MOO 5910 INSURANCE $0.00 $0.00 0.00% $0.00 5912 LIABILITY INSURANCE $0.00 $0.00 0,00% $0.00 $2-41 0.00% $0.00 ($2.41) $0.02 0.00% $0.00 ($0.02) $44.34 0.00% WOO ($44.34) $8.84 0.00% $0.00 ($8.84) $35.96 0.00% $0-00 ($35.96) $0.16 0.00% $0.00 ($0.16) $5.42 0.00% $0.00 ($5.42) $97.15 0,00% $0.00 ($97.15) $107,48 0.00% $0.00 ($107.48) $017 0,00% $0.00 ($0.77) $26.53 0.00% $0.00 ($26.53) $27.30 0.00% $0.00 ($27.30) $5.78 0.00% $0.00 ($5.78)- $0.04 0.00% $0.00 ($0.04) $106.14 0.00% $0.00 ($106.14) $21.16 0.00% $0.00 ($21.16) $86.08 0.00% $0.00 ($86.08) $0.38 0.00% $0.00 ($0.38) $12.97 0.00% .$0.00 ($12.97) General Ledger System OIC OF WASHINGTON For User: Eliza BaysingerPage: Page 2 of 6 Fund Expenditure report for: 500 - CDB G-CVI 1011/20-12131/23 (Fund status: Active) Date., 12/7/2022 Report year: 10/1/2020 thru 12/31/2023 Period ending: October 2022 Time: 3:38:50 PM �Mane hly-- --To Date - Account Budget Expenditures Pct Budget Expenditures Pct Annual budget Unexpended Total for sub program 50 $0.00 $0,00 0.00% MOO $232.55 0.00% $0.00 ($232.55) Total for program 82 --> $0.00 $0.00 0.00% $0.00 $259.85 0.00% $0.00 ($259.85) Total for department 008 -> $0-00 $0.00 0.00% $0.00 $367.33 0-00% $0.00 ($367.33) Department: 009 INDIRECT ADMIN Program: 02 ADMIN. POOL -BASE 5312 SALARY ADM. ALLOCATION $1,321.00 $0-00 0-00% $33,025.40 $9,084.54 27.51% $51,523-40 $42,438.86 5354 P/ -R. T/ X_& BEN. ADI A ALLOC. $554.00 $0.00 0.00% $13,850.00 $4,346.97 31-39% $21,607.00 $17,260.03 5999 NON PERSONNEL ADM. ALLOC. .S255.00 $0.00 0.00% $6,375.00 $21277.46 35.72% $9,973.00 $7,695.54 Total for sub program $2,130.00 $0.00 0.00% $53,250.40 $15,708.97 29.50% $83,103.40 $67,394.43 Total for program 02 4,130.00 $0.00 0.00% $53,250.40 $15,708.97 29.50% $83,103.40 $67,394.43 Total for department 009 $2130.00 $0.00 0.00% $53,250.40 $15,708.97 29.50% $831,103.40 $67,394.43 Department: 030 COVID 19 Program: 62 SUBSISTENCE 5311 SALARIES,WAGES EXPENSE $814.00 a $1,140.04 1<11 0.059y'a $20,350.06 $17,449.11 85.74% $31,759.06 $14,309.95 5351 FICA,OIC EXP $58.00 $83.90 144.66% $1,450.00 $1,302.27 89.81% $2,276.00 $973.73 5352 L AND I,OIC SHARE $7.00 $6.81/ 7.29% $175.00 $102-92 58.81% $302.00 $199.08 5353 STATE UCI(ES),OIC EXP $19.00 $16.19 85-21% $475.00 $331.34 69.76% $778.00 $446-66 5355 PAID FAMILY MEDICAL LEAVE $3,00 in $6.87,r229.00% $75.00 $84.70 112.93% $153.00 $68.30 5360 DISABILITY OIC EXPENSE $13.00 = $14.20 �09.23%$325.00 $192.45 59.22% $512.00 $319.55 5361 MEDICAL INSURANCE,OIG EXP $258.00 '$187-757277% X-112_60% $6450.00 $1,958.31 30.36% $10,069.00 $8,110.69 5362 LIFE INSURANCE,01C. EXP $5.00 $5.63 $125.00 $76.60 61.28% $204.00 $127.40 5363 PENSION,OIC EXP $71.00 $80.12 112.85% $1,,775.00 $1,285.70 72.43% $2,769.00 $1,483-30 5364 ACCRUED PTO EXP $89.00 $120.21 135.07% $2225.00 $1,056.05 47-46% $3,498.00 $2,441.95 54-0-2 AUDIT COSTS 0 WEBSITE DESIGN & HOSTING $25.00$0.00 0.00% $0.00 l 1Z51 0.00% $625.00 $0.00 $85.21 $562-54- 13.63% 0.00% $1,000.00 $0.00 $914.79 ($562.54) 50 TRAVEL t�o A(lo $38.00 365.92% $950.00 $883.79 93.03% $1,500.00 $616.21 5602- DEPRECIATION EXP EQUIPW. $0.00 s0-00 0.00% $0.00 $15-65 0.00% $0.00 ($15.65) Au -1 L) tu tf General Ledger System OIC OF WASHINGTON For User: Eliza Baysinger Fund Expenditure report for: 500 - CDBG-CVI 10/1/20-12/31/23 (Fund status: Active) Report year: 10/1/2020 . thru 12/31/2023 Period ending: October 2022 Total for sub program 60 Total for program 62 Program., 63 MICROENTRPRS 5311 SALARIES,WAGES EXPENSE 5351 FICA,OIC EXP Ai2aunt CLIENT MORTGAGE PYMENT 5353 Budget $641, 00 E enditures $4,135.50 Pct 645.16% Budget $16,025,00 �6 yl Expenditures Pct Annual budget Unexpended $23,019,85 5619 HOUSING ASST/RENT $1,980.15 $128,00 $4,433,00 3463,28% $3,200.00 5700 CONSUMABLES $3,000.00 $76.00 $0.00 0.00% $1,900,00 5712 REPRODUCTION SUPPLIES 0,00% $51.00 $0.00 0.00% $1,275.00 5800 EQUIPMENT ........... * $0.00 $0,00 $0,00 0,00% $0.00 5910 INSURANCE $0.00 $10,00 --,$2.940-A14,40% $250.00 5912 LIABILITY INSURANCE $20,000.00 $15.00 $0,00 0.00% $375,00 5945 ADVERTISING 0,00% $64.00 $900,004406.25% $1,600,00 5949 STAFF TRAINING $41,312.32 $47,00 $0,00 0.00% $1,175.78 5959 SERVICES MOO $512,00 $0,00 0,00% $12,800.00 5960 COMMUNICATION 3.68% $48,00 $0.00 0,00% $1,200.00 5970 POSTAGE $0.12 $7,00 $0.00 0.00% $175.00 Tlaaf for, sub program $2,999,00 10,42% $11,384.72 379.62% $74,975.84 A4Lb.program;. 50 SUBSISTENCE MAINTENANCE $43,653.34 (56013- o E"OR'E'CIATION EXP BLDG. $11.00 $0.00 0,00% $275.00 5602 DEPRECIATIONN EXP EQUIP $0.00 $0.00 0,00% $0.00 5611 SPACE $17,00 $0,00. 0.00% $425.00 5630 UTILITIES $15.00 $0.00 0.00% $375,00 5640 BUILD, REPAIR/MAINT, $15,00 KOO 0.00% $375.00 591,0- INSURANCE $0,00 $0.00 0,00% WOO 5912 LIABILITY INSURANCE $3.00 $0.00 0.00% $75.00 Total for sub program 60 Total for program 62 Program., 63 MICROENTRPRS 5311 SALARIES,WAGES EXPENSE 5351 FICA,OIC EXP 5352 LAND I,OIC SHARE 5353 STATE UCI(ES),OIC EXP $61100 $0.00 0.00% $1,525.00 $3t060:00 $11,384.72 372.05% $76,500.84 Page: Page 3 of 6 Date: 12/7/2022 $2,591.37165,16% 165,16% $39,225.02 Time: 3:38:51 PM To Date - $112,00 $189,043(168.79% $2,800.00 Expenditures Pct Annual budget Unexpended $23,019,85 14165% $25,000.00 $1,980.15 $15,499.10 484.35% $5,000.00 ($10,499.10) $783.30 41.23% $3,000.00 $2,216.70 $86,26 6.77% $2,000.00 $1,913.74 $738.98 0,00% $0.00 ($738.98) $85.63 34,25% $400.00 $314.37 ........... * $0.00 0.00% $600.00 $600.00 $2,250.001 40.63% $2,500-00 $250.00 $0.00 0,00% $1,864.78 $1,864,78 $7,39 .13 57.75% $20,000.00 $12,607.87 $830.63 69.22% $1,900.00 $1,069.37 $0.00 0,00% $300.00 $300.00 $76,072.52 101.46% $117,384.84 $41,312.32 $19,68 7.16% $461.00 $441-32 $0.02 0.00% MOO ($0.02) $96.66 22.74% $667.00 $570.34 $1181 3.68% $586.00 $572.19 $21.02 5.61% $613.00 $591.98 $0.12 0,00% $24.00 $23.88 $7.67e""1023% $149.00 $141.33 $158,98- 10,42% $2,500,00 $2,341.02 $76,231.50 99.65% $119,884.84 $43,653.34 $1,669,00 $2,591.37165,16% 165,16% $39,225.02 $2,591.37 &61% $61,196.02 $58,604.65 $112,00 $189,043(168.79% $2,800.00 $189.04 6.75% $4,386.00 $4,196.96 $14,00 I X, $17.13 X 22.36% $350,00 $17.13 4.89% $581.00 $563.87 $38.00 $22.86 60.16% $950,00 $22.86 2,41% $1,499.00 $1,476.14 General Ledger System OIC OF WASHINGTON For User: Eliza Baysinger Page: Page 4 of 0 Find Expenditure report for: 500 - CDBG-CV1 10/1/20-12/31/23 (Fund status: Active) Date: 12/7/2022 Report year., = 10/1/2020 thru 12/31/2023 Period ending: October 2022 Time: 3:38:51 PM Monthly - -----To Account Budget Expenditures Pct Budget Expenditures Pct Annual budget Unexpended 5355 PAID FAMILY MEDICAL LEAVE $7.00 $13.52 -04.57°Xcco $175.00 $18.52 10.58% - $295.00 V $276.43 -- -- 5360 DISABILITY OIC EXPENSE $25.00 $40.38 61.52% $625.00 $40.38 6.46% $986.00 $945.62 5361 MEDICAL INSURANCE,OIC EXP $497.00 $642.58 129.29% $12,425.00 $642.58 5.17% $19,401.00 $18,758.42 5362 LIFE INSURANCE,OIC EXP $10.00 $16.05 60.50% $250.00 $16.05 6.42% $392.00 $375.95 5363 PENSION,01C EXP $136.00 $216.08 1.,.58.88% $3,400.00 $216.08 6.36% $5,335.00 $5,118.92 5364 5402 ACCRUED PTO EXP AUDIT COSTS Lu $172.00 $264.84 153.98% $44,300.00 $264.84 -6.16% $6,740.00 $5,475.16 -0 $25.00 $0.00. 0.00% 625.00 85.21/13.63% $$� 1000.00 914.7$ $ 9 5403-- 1ftlEBSITE DESIGN & HOSTING $0. 00 112.50 �► � � 0.00 fa $0.00 $562.53/"Z-0.009% $0.00 ($562.53} 5500 TRAVEL $51.00 $77.05..&151.08% $1,275.00 $363.35 28.50% $2,000.00 $11636.65 5618 CLIENT MORTGAGE PYMENT $51.00 $0.00 0.00% $1,275.00 $0.00 0.00% $2,000.00 $2,000.00 5619 HOUSING ASST/FENT k t, $1,435.00 $0.00 0.00% $35,875.00 $0.00 0.00% $56,000.00 $56,000.00 5700 CONSUMABLES $102.00 $0.00 0.00°7 $2,550.00 $292.60 11.47% $4,000.00 $3,707.40 REPRODUCTION SUPPLIES $64.00 $0.00 0.00% $1,600.00 $0.00 0.00% $2,500.00 $2,500.00 EQUIPMENT �s $102.00 $0.00 Y.00% $2,50.00 $2,941.86 115.37 � $4,000.00 $1,058.14800 5910 INSURANCE $10.00 $8.43 84.30% $250.00 $8.43 3.37% $400.00 $391.57 5912 LIABILITY INSURANCE $15.00 $0.00 0.00% $375.00 $0.00 0.00% $600.00 $600.00 5945 AQ;1/.ERTISING $64.00 $0.00 0.00% $1,600.00 $1,350.00 84.38% $2,500.00 $1,150.00 5949 STAFF TRAINING $51.00 $0.00 0.00% $1,275.00 $0.00 0.00% $2,000.00 $2,000.00 5959 SERVICES $51.00 $0.00 0.00% $1,275.00 $25,697.02 2015.45% $2,000.00 ($23,697.02) 5960 COMMUNICATION $48.00 $0.00 0.00% $1,200.00 $0.00 0.00% $1,900.00 $1,900.00 5965 CLIENT TRAINING $51.00 $0.00 0.00% $1,275.00 $0.00 0.00% $2,000.00 $2,000.00 5970 POSTAGE $7.00 $0.00 0.00% $175.00 $0.00 0.00% $300.00 $300.00 Total for sub program ----> $4,707.00 $4,216.83 89.59% $117,675.02 $35,319.85 30.01% $184,011.02 $148,691.17 Sub program. 50 MICRO !MAINTENANCE 5601 DEPRECIATION EXP BLDG. $14.00 $0.00 0.00% $350.00 $0.00 0.00% $553.00 $553.00 5611 SPACE $20.00 $0.00 0.00% $500.00 $0.00 0..00% $800.00 $800.00 5630 UTILITIES $18.00 $0.00 0.00% $450.00 $0.00 0.00% $703.00 $703.00 5640 BUILD. REPAIR/MAINT. $18.00 $0.00 0.00% $450.00 $0.00 0.00% $736.00 $736.00 5910 INSURANCE $0.00 $0.00 0.00% $0.00 $0.00 0.00% $28.00 $28.00 General Ledger System OIC OF WASHINGTON For User: Eliza Baysincger Fund Expenditure report for: 500 - CDBG-C 0/l/20-12/31/23 (Fund status: Active Report year: 10/1/2020 thru 12/31/2023 Perim ending: October 2022 Account 5912 LIABILITY INSURANCE Total fob sub program 50 -> Total for program. 63 --> Program: 64 HOUSING 5311 SALARIES,WAGES EXPENSE 5351 FICA,OIC EXP 5352 LAND I,OIC SHARE 5353 STATE UCI(ES),OIC EXP 5355 PAID FAMILY MEDICAL LEAVE 5360 DISABILITY OIC EXPENSE 5361 MEDICAL INSURANCE,OIC EXP 5362 LIFE INSURANCE,OIC EXP 5363 PENSION,OIC EXP 5364 ACCRUED PTO EXP 5402 AUDIT COSTS 5411 CREDIT REPORTS 5500 TRAVEL 5602 DEPRECIATION EXP EQUIP 5618 CLIENT MORTGAGE PYMENT 5619 HOUSING ASST/RENT 5700 CONSUMABLES 5712 REPRODUCTION SUPPLIES 5800 _EQU IPMI ENT 59810 INSURANCE 5912 LIABILITY INSURANCE 5945 ADVERTISING 5949 STAFF TRAINING 5960 COMMUNICATION 5970 POSTAGE ,-Monthly--- --Budget Expenditures Pct $4.00 $0.00 0.00% $74.00 $0.00 0.00% ---To Date-- Budget ate-Budget Expenditures Pct $100.00 $0.00 0.00% $1,850.00 $0.00 0.00% Page: Fade 5 of 0 Date: 12/7/2022 Time: 3:33:52 P! Annum budget $180.00 $3,000.00 $4,781.00 $4,216.83 88.20% $119,525.02 $35,319.85 20.55% $187,011.02 Unexpended $180.00 $3,000.60 $151,691.17 $1,648.00 $0.00 0.00% $441,200.74 $4,946.22 12.01% $64,294.74 $50,348.52 $118.00 $0.00 0.00% $2,950.00 $378.27 12.82% $4,608.00 $4,229.73 $15.00 $0.00 0.00% $375.00 $25.45 6.79% $611.00 $585.55 $40.00 $0.00 0.00% $1,000.00 $73.35 7.34% $1,575.00 $1,501.65 $7.00 $0.00 0.00% $175.00 $31.58 18.05% $310.00 $278.42 $26.00 $0.00 0.00% $650.00 $51.70 7.95% $1,036.00 $984.30 $522.00 $0.00 0.00% $13,050.00 $256.67 1.97% $20,384.00 $20,127.33 $10.00 $0.00 0.00% $250.00 $20.58 8.23% $412.00 $391.42 $143.00 $0.00 0.00% $3,575.00 $368.43 10.31% $5,605.00 $5,236.57 $181.00 $0.00 0.00% $4,525.00 $323.49 7.15% $7,082.00 $6,758.51 $7.00 $0.00 0.00% $175.00 $25.46 14.55% $300.00 $274.54 $0.00 $0.00 0.00% $0.00 $366.60 0.00% $0.00 ($366.60) $51.00 $190.38 373.29% $1,275.00 $1,116.85/ 87.60% $2,000.00 $883.15 $0.00 $0.00 0.00% $0.00 $2.87 0.00% $0.00 ($2.87) Oooe $153.00 $0.00 0.00% $3,825.00 $7,573.46 198.00% $6,000.00 ($1,573.46) $1',128.00 $0.00 0.00% $28,200.00 $42,074.45 /149.20% $44,000.00 $1,925.55 $89.00 $0.00 0.00% $2,225.00. $1,139.54 51.22% $3,500.00 $2,360.46 $64.00 $0.00 0.00% $1,600.00 $54.05 3.38% $2,500.00 $2,445.95 $102.00 $0.00 0.00% $2,550.00 $2,568.42 100.72% $4,000.00 $1,431.58 $10.00 $0.00 0.00% $250.00 $21.31 8.52% $400.00 $378.69 $15.00 $0.00 0.00% $375.00 $0.00 0.00% $600.00 $600.00 $89.00 $0.00 0.00% $2,225.00 $5,680.00 255.28% $3,500.00 ($2,180.00) $51.00 $0.00 0.00% $1,275.00 $200.00 15.69% $2,000.00 $1,800.00 $48.00 $0.00 0.00% $1,200.00 $1,403.29 116.94% $1,900.00 $496.71 $12.00 $0.00 0.00% $300.00 $169.01 56.34% $500.00 $330.99 General Ledger System OIC OF WASHINGTON For User: Eliza Baysinger Page: Page 6 of 6 Fund Expenditure report for: 500 - CDBG-CV1. 10/l/20-12/31/23 (Fund status: Active) Date: 12/7/2022 Report year: 10/1/2020 thru 12/31/2023 Period ending: October 2022 Time: 3:38:53 PM Unexpended $553.00 $800.00 $703.00 $736.00 $28.00 $180.00 $3,000.00 $111,246.69 $306,591.20 $373,618.30 ­]Wonthly ---To Date— Account Budget Expenditures Pct Budget Expenditures Pct Annual budget Total for sub program $4,529.00 $190.38 4,20% $113,925.74 $68,871.05 60.83% $177,117.74 Sub program: 50 HOUSING MAINT 5601 DEPRECIATION EXP BLDG. $14.00 $0.00 0.00% $350.00 $0.00 0.00% $553.00 5611 SPACE $20.00 $0.00 0.00% $500.00 $0.00 0.00% $800.00 5630 UTILITIES $18.00 $0.00 0.00% $450.00 $0.00 0.00% $703.00 5640 BLALD.._REPAIR/MAINT. $18.00 $0.00 0.00% $450.00 $0-00 0.00% $736.00 5910 INSURANCE $0.00 $0.00 0-00% WOO $0.00 0.00% $28.00 5912 LIABILITY INSURANCE $4.00 $0.00 0.00% $100-00 $0.00 0-00% $180.00 Total for sub program 50 $74.00 $0.00 0.00% $1,850.00 $0.00- 0.00% $3,000.00 Total for program 64 $4,603.00 ($190.38 4.14% $115,075.74 $68871.05 59.85% $180,117.74 Total for department 030 $12,444.00 $15,791.93 126.90% $311,101.60 $180,422.40 57.99% $487,013.60 Fund Totals $14,574.00 $15,791.93 108.36% $364,352.00 $196,498.70 53.93% $570,117.00 Unexpended $553.00 $800.00 $703.00 $736.00 $28.00 $180.00 $3,000.00 $111,246.69 $306,591.20 $373,618.30 Budget Category Admin Admin Admin Adrmn Total Micro Admin Micro Admin Micro Admin Micro Admin Totat Previous Month Expeneses - Billed in October txtperiod year Fundl Deptl Proc SubF Object[ objectname Transactior Transactiol DocumentP txtVenCustName Description AmountDR 5518 CLIENT MORTGAGE 8/31/2022 Voucher 203816 SALARY ADM. 7/22 Admin Pool Salary & Benefits July 2022 500 009 02 5312 ALLOCATION 10/1912022 AJE 142941 Alloc $270.12 Payments Total July 2022 500 009 02 5354 P/R TAX & BEN. ADM 10119/2022 AJE 142941 7/22 Admin Pool Salary & Benefits $129.53 Admin July 2022 500 030 ALLOC. 5500 TRAVEL 7/31/2022 Alloc 204160 July 2022 500 009 02 5999 PERSONNEL ERSO ADM. NON PERSO 10/20/2022 AJE 142960 07/2022 admin pool allocation $5'1.54ALLOC August 2022 500 030 62 5403 HOSTING 11/17/2022 AJE 143168 PS Subsistence Program DEPRECIATION EXP Admin September 2022 $451.19 030 62 5602 EQUIP 10126/2022 WEBSITE DESIGN & 143047 PS Subsistence Program Exp Case/Worthy user/maint Supp August 2022 500 030 63 5403 HOSTING 11117/2022 AJE 143168 Fees 5122-8/22 $450`03 September 2022 500 030 63 5700 CONSUMABLES 11114/2022 -AJE 143145 Tsf PO# 099162 CTP Business 63.13-- $63.13-- Admin Total Solutions Solutions from 541-006 - September 2022 500 030 63 5800 EQUIPMENT 11/14/2022 AJE 143145 Tsf PO# 099162 ODP Business $853.24 Solutions from 541-006 - $1,366.40 Ebv.l, �sMbs;tk � $SlcS.so to b D-,yeJ- gacal' BAYVIEW MSR OPPORTUNITY CORP OPP CORP (V) NICOLE LOPEZ (f) i RAY\/IF=W MRP $2,130.58 $2,'130.58 JeMCok ADJ 7/22 MILEAGE L LOPEZ $16`96 MILEAGE RATE Exp Case/Worthy user/maint Supp Fees 5/22-8/22 9/22 Server Depreciation Exp 9/22 dep exp 815 Fruitvale Bldg $450.03w- $2.38 $2.19 .w- $471.56 $4,419.73 August 20122 500 030 62 5518 CLIENT MORTGAGE 8/31/2022 Voucher 203816 PS Subsistence Payments PYMENT PS Subsistence Payments Total PS Subsistence Program Admin July 2022 500 030 62 5500 TRAVEL 7/31/2022 Voucher 204160 PS Subsistence Program WEBSITE DESIGN & Admin August 2022 500 030 62 5403 HOSTING 11/17/2022 AJE 143168 PS Subsistence Program DEPRECIATION EXP Admin September 2022 500 030 62 5602 EQUIP 10126/2022 AJE 143047 PS Subsistence Program DEPRECIATION EXP Admin September 2022 500 030 r52 50 5601 BLDG. 10/26/2022 AJE 143040 PS Subsistence Proor-am Admin Total - Grand Total Ebv.l, �sMbs;tk � $SlcS.so to b D-,yeJ- gacal' BAYVIEW MSR OPPORTUNITY CORP OPP CORP (V) NICOLE LOPEZ (f) i RAY\/IF=W MRP $2,130.58 $2,'130.58 JeMCok ADJ 7/22 MILEAGE L LOPEZ $16`96 MILEAGE RATE Exp Case/Worthy user/maint Supp Fees 5/22-8/22 9/22 Server Depreciation Exp 9/22 dep exp 815 Fruitvale Bldg $450.03w- $2.38 $2.19 .w- $471.56 $4,419.73