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2018-092A
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2018-092A
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Last modified
12/29/2020 2:09:55 PM
Creation date
6/14/2018 3:19:15 PM
Metadata
Fields
Template:
Official Documents
Official Document Type
Bid
Approved Date
05/15/2018
Control Number
2018-092A
Agenda Item Number
8.F.
Entity Name
Timothy Rose Contracting, Inc.
Subject
43rd Avenue Bridge over IRFWCD South Relief Canal Railing Repair
Project Number
1523
Bid Number
2018043
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12;12 PM Timothy Rose Contracting, Incorporated <br />03/23/18 Balance Sheet <br />Accrual Basis As of February 28, 2018 <br />Page 1 <br />Feb 2.8, 18 <br />ASSETS <br />Current Assets <br />Checking/Savings <br />PNC Operating Account <br />-812,256.17 <br />PNC SWEEP Money Market <br />3,906,222.26 <br />Space Coast C Union Savings <br />24,807.03 <br />Space Coast Credit Union Check <br />50.00 <br />Total Checking/Savings <br />3,118,823.12 <br />Accounts Receivable <br />Accounts Receivable <br />587,160.96 <br />Total Accounts Receivable <br />587,160.96 <br />Other Current Assets <br />Accounts rec adj <br />449,275.50 <br />Costs in excess of billings <br />334,979.00 <br />Invstmnt Morgan Stanley Smith B <br />Cash -Morgan Stanley Investment <br />4,888.64 <br />Equities - Morgan Stanley SB <br />116,425.19 <br />Total Invstmnt Morgan Stanley Smi... <br />121,313.83 <br />Prepaid insurance <br />59,294.70 <br />Total Other Current Assets <br />964,863.03 <br />Total Current Assets <br />4,670,847.11 <br />Fixed Assets <br />Accum Dep - All Assets <br />-2,329,380.79 <br />Construction Equipment <br />1,633,423.26 <br />Ditch Witch JT922 <br />25,700.00 <br />Furniture & Fixtures <br />17,535.66 <br />Ice Machine <br />7,152.00 <br />Locating Equipment <br />20,567.00 <br />Office Equipment <br />34,377.65 <br />Thompson Pump - Erickson Truck <br />67,700.00 <br />Thompson Pumps <br />9,900.00 <br />Vacuum Truck 2004 L7500 <br />22,330.12 <br />Vehicles <br />931,038.78 <br />Total Fixed Assets <br />440,343.68 <br />Other Assets <br />Equipment deposit <br />28,057.94 <br />Security Deposits <br />315.00 <br />Total Other Assets <br />28,372.94 <br />TOTAL ASSETS <br />5,139,563.73 <br />LIABILITIES & EQUITY <br />Liabilities <br />Current Liabilities <br />Accounts Payable <br />Accounts Payable <br />560,849.46 <br />Total Accounts Payable <br />560,849.46 <br />Credit Cards <br />American Express CC <br />525,672.67 <br />Capital One Credit Card <br />204,070.21 <br />PNC Visa # 4490 Control <br />257.25 <br />Total Credit Cards <br />730,000.13 <br />Page 1 <br />
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