Public Notice Notice
Official courthouse record · Indexed in NoticeRegistry archive · AI-enriched for research
The North Cache River Drainage District published its March 31, 2026 statement showing total assets of $342,715.79, including cash and two certificates of deposit, with an identical fund balance reported. This is an informational financial statement.
Key Takeaways
- Total assets: $342,715.79 as of March 31, 2026
- Cash on hand: $128,332.95
- Certificate of Deposit #49390: $89,541.29
- Certificate of Deposit #49351: $124,841.54
- Fund balance reported: $342,715.78
- Published
- Category
- Other
What to do next
- 1
Review financial details
District stakeholders should review the March 31, 2026 statement for accuracy and reconcile with bank records.
- 2
Contact district for questions
If numbers seem incorrect, contact the North Cache River Drainage District office or treasurer (contact info not provided in this notice).
Frequently asked questions
- What does this statement show for the North Cache River Drainage District?
- It summarizes assets and the fund balance as of March 31, 2026, totaling $342,715.79 in assets.
- How much cash does the district have?
- The statement lists $128,332.95 in cash.
- What certificates of deposit are listed and their amounts?
- CD #49390 holds $89,541.29 and CD #49351 holds $124,841.54.
The suggestions and answers above are AI-generated for general information only. They can be wrong, and we don't take responsibility for their accuracy. Talk to a qualified professional before acting on them.
Full Notice Text
NORTH CACHE RIVER DRAINAGE DISTRICT STATEMENT OF ASSESTS, LIABILITIES AND FUND BALANCE MARCH 31, 2026 ASSESTS Cash $128,332.95 Certificate of Deposit #49390 89,541.29 Certificate of Deposit #49351 124,841.54 Total Assets $342,715.79 LIABILITIES AND FUND BALANCE Fund Balance $342,715.78 (May 19, 2026)