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					     South Carolina Association of Community Development Corp.
              Statement of Receipts and Disbursements
                             IDA Program
                           March 31, 2010


BB&T MONEY MARKET ACCOUNT

BEGINNING BALANCE AS OF FEBRUARY 28, 2010                        $   234,470.62
 Draw for Funding                                                $          -
 Disbursements                                                   $    (5,000.00)
 Interest Income                                                 $        24.62
ENDING BALANCE AS OF MARCH 31, 2010                              $   229,495.24




BB&T OPERATING ACCOUNT

BEGINNING BALANCE AS OF FEBRUARY 28, 2010                        $     8,789.36
 Draw for Funding                                                $    25,923.53
 Disbursements                                                   $    (8,839.88)
 Interest Income                                                 $         0.25
ENDING BALANCE AS OF MARCH 31, 2010                              $    25,873.26


FIRST CITIZENS IDA CD

BEGINNING BALANCE AS OF FEBRUARY 28, 2010                        $    43,386.47
 Draw for Funding                                                $          -
 Disbursements                                                   $          -
 Interest Income                                                 $          -
ENDING BALANCE AS OF MARCH 31, 2010                              $    43,386.47


SOUTH CAROLINA COMMUNITY BANK IDA CD

BEGINNING BALANCE AS OF FEBRUARY 28, 2010                        $    44,419.15
 Draw for Funding                                                $          -
 Disbursements                                                   $          -
 Interest Income                                                 $          -
ENDING BALANCE AS OF MARCH 31, 2010                              $    44,419.15
  South Carolina Association of Community Development Corp.
           Statement of Receipts and Disbursements
         MARY REYNOLDS BABCOCK CIF PROGRAM
                        March 31, 2010


CAROLINA FIRST CIF ACCOUNT

BEGINNING BALANCE AS OF FEBRUARY 28, 2010                     $ 126,568.85
 Deposit Receipts                                             $        -
 Disbursements                                                $        -
 Interest Income                                              $      37.63
ENDING BALANCE AS OF MARCH 31, 2010                           $ 126,606.48
  South Carolina Association of Community Development Corp.
           Statement of Receipts and Disbursements
            General and Administrative Unrestricted
                        March 31, 2010


WACHOVIA OPERATING ACCOUNT

BEGINNING BALANCE AS OF FEBRUARY 28, 2010                     $    56,851.72
 Deposit Receipts                                             $     9,426.63
 Disbursements                                                $   (40,786.31)
 Interest Income                                              $          -
ENDING BALANCE AS OF MARCH 31, 2010                           $    25,492.04
  South Carolina Association of Community Development Corp.
           Statement of Receipts and Disbursements
           NSP Activity Administrativie and Delivery
                        March 31, 2010


NSP BANK OF AMERICA

BEGINNING BALANCE AS OF FEBRUARY 28, 2010                     $    4,841.33
 Deposit Receipts                                             $         -
 Disbursements                                                $      (12.00)
 Interest Income                                              $        0.04
ENDING BALANCE AS OF MARCH 31, 2010                           $    4,829.37




NSP BB&T OPERATING ACCOUNT

BEGINNING BALANCE AS OF FEBRUARY 28, 2010                     $   83,681.55
 Deposit Receipts
 Disbursements                                                $ (81,872.44)
 Interest Income                                              $        -
ENDING BALANCE AS OF MARCH 31, 2010                           $   1,809.11
  South Carolina Association of
  Community Development Corp.
    Statement of Receipts and
         Disbursements
    NSP Activity Line of Credit
         March 31, 2010

LINE OF CREDIT BEGINNING BALANCE                                                         $ 33,795.03

                 Type                        Date            Draw             Decrease

NO ACTIVITY (Balance Carried Forward)


Total                                                    $   33,795.03    $         -




AMOUNT DUE FOR LINE OF CREDIT AS
          OF 02/28/10

               Date Paid                    LOC Due      Paid to BB&T   Balance Due
                                                                        $       -
               3/26/2010                $    33,795.03   $     (134.92) $   (134.92)



Total Due                               $    33,795.03   $     (134.92)                  $ 33,660.11

				
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