| EXHIBIT 7-A | ||||||
| MONTEREY PENINSULA WATER MANAGEMENT DISTRICT | ||||||
| TREASURER'S REPORT FOR JANUARY 2005 | ||||||
| Reclamation | MPWMD | Asset | ||||
| Description | Checking | Money Market | Money Market | Management | L.A.I.F. | Total |
| Beginning Balance | $8,891.00 | $720,836.54 | $620,617.50 | $3,062,429.32 | $104,253.97 | $4,517,028.33 |
| Fee Deposits | 29,015.85 | 134,781.47 | 163,797.32 | |||
| Interest | 699.16 | 529.15 | 4,460.63 | 524.60 | 6,213.54 | |
| Transfer-Money Market to Checking | 497,000.00 | (497,000.00) | 0.00 | |||
| Transfer-L.A.I.F. | 0.00 | |||||
| Transfer to C.A.W.D. | (293,159.00) | (293,159.00) | ||||
| Bank Charges | (77.17) | (77.17) | ||||
| Payroll Tax Debits | (22,268.50) | (22,268.50) | ||||
| Payroll Checks/Direct Deposits | (116,628.21) | (116,628.21) | ||||
| General Checks | (250,610.28) | (250,610.28) | ||||
| Ending Balance | $116,306.84 | $457,392.55 | $258,928.12 | $3,066,889.95 | $104,778.57 | $4,004,296.03 |
| 3/30/2005 | ||||||