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FULL PACKET_2010-09-20
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FULL PACKET_2010-09-20
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1/3/2012 3:59:37 PM
Creation date
10/21/2010 9:17:07 AM
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City Clerk
Doc Type
Agenda Packet
Date
9/20/2010
Destruction Year
2015
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<br /> <br /> <br /> <br /> <br /> SANTA ANA EMPOWERMENT CORPORATION <br /> Notes to the Financial Statements (Continued) <br /> June 30, 2010 and 2009 <br /> <br /> All funds for the Empowerment Zone program are received directly by the City then passed through to <br /> the Organization who in turn reimburses subrecipients. The subrecipients' programs have been selected <br /> by the Organization to fulfill the goals stipulated in the approved strategic plan. The City is reimbursed <br /> for its administration costs associated with this agreement. The initial term of the agreement was <br /> through December 31, 2000; thereafter unless cancelled by the Organization through an action of its <br /> Board of Directors, which action shall take place no later than November 30 or any calendar year, the <br /> agreement shall be extended for the succeeding calendar year or until the termination date of the <br /> program. The outstanding advances from the City of Santa Ana were $52,756 and $393,404 at June 30, <br /> 2010 and 2009, respectively. <br /> <br /> (4) PROPERTY AND EQUIPMENT <br /> The Organization's property and equipment consist of the following at June 30: <br /> <br /> 2010 2009 <br /> <br /> Equipment $ 22,884 $ 22,884 <br /> Furniture 30,816 30,816 <br /> <br /> Subtotal 53,700 53,700 <br /> <br /> Less: accumulated depreciation (53,700) (53,700) <br /> <br /> Property and equipment, net of accumulated depreciation $ - $ - <br /> <br /> <br /> (5) GRANT RECEIVABLE <br /> The Organization receives all of its grant revenue from HUD through the City. Grant revenue is <br /> recognized when expenditures are incurred since all monies received are on a reimbursement basis. <br /> The amount due from HUD was $109,608 at June 20, 2010 and $436,029 at June 30, 2009. <br /> <br /> (6) LOANS RECEIVABLE <br /> <br /> On May 3, 2002, the Organization entered into an agreement with Taller San Jose, a subrecipient <br /> organization, whereby the Organization lent Taller San Jose $200,000 for the purchase of property that <br /> will be used for a vocational training program for young at-risk adults. The interest free loan is payable <br /> on July 1, 2009. The principal amount is deemed repaid by $2,353 on the first day of each calendar <br /> month. Taller San Jose is not obligated to make any payments to the Organization as long as the <br /> property is used for the Empowerment Zone program. In the event that the property is put to any other <br /> use than the designated Empowerment Zone program, the remaining principal balance would be <br /> payable in full to the Organization who would then return the funds to HUD. The outstanding balance <br /> was $0 and $2,353 at June 30, 2010 and 2009, respectively. <br /> <br /> <br /> <br /> <br /> 19C.-21 <br />
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