Magnolia West Community Development District
Financial Statements (Unaudited)
October 31, 2018
Prepared by: Rizzetta & Company, Inc.
magnoliawestcdd.org rizzetta.com
Magnolia West Community Development District
Balance Sheet
As of 10/31/2018
(In Whole Numbers)
General Fund Reserve Fund FundDebt Service
Projects FundCapital
FundsGovernmental
Total
Account GroupAssets
General Fixed
GroupDebt Account
Long-Term General
Assets
Cash In Bank 80,201 0 0 0 80,201 0 0
Investments 242,375 0 97,737 1,615 341,727 0 0
Investments - Reserves 0 33,686 0 0 33,686 0 0
Accounts Receivable 275,511 35,000 49,684 0 360,194 0 0
Accounts Receivable - Other 0 0 0 0 0 0 0
Allowance for Doubtful Accounts 0 0 0 0 0 0 0
Prepaid Expenses 0 0 0 0 0 0 0
Deposits 3,005 0 0 0 3,005 0 0
Due From Other Funds 0 0 0 0 0 0 0
Amount Available in Debt Service 0 0 0 0 0 0 147,421
Amount To Be Provided Debt Service 0 0 0 0 0 0 447,579
Fixed Assets 0 0 0 0 0 3,703,996 0
Total Assets 601,092 68,686 147,421 1,615 818,814 3,703,996 595,000
Liabilities
Accounts Payable 8,972 0 0 0 8,972 0 0
Accrued Expenses Payable 1,032 0 0 0 1,032 0 0
Other Current Liabilities 750 0 0 0 750 0 0
Due To Other Funds 0 0 0 0 0 0 0
Debt Service Obligations- Current 0 0 0 0 0 0 0
Revenue Bonds Payable--Long Term 0 0 0 0 0 0 595,000
Total Liabilities 10,754 0 0 0 10,754 0 595,000
Fund Equity & Other Credits
Beginning Fund Balance 344,858 33,653 97,610 1,615 477,736 3,703,996 0
Net Change in Fund Balance 245,480 35,033 49,811 0 330,324 0 0
Total Fund Equity & Other Credits 590,338 68,686 147,421 1,615 808,060 3,703,996 0
Total Liabilities & Fund Equity 601,092 68,686 147,421 1,615 818,814 3,703,996 595,000
See Notes to Unaudited Financial Statements
Magnolia West Community Development District
Statement of Revenues and Expenditures
001 - General Fund
From 10/1/2018 Through 10/31/2018
(In Whole Numbers)
Annual Budget YTD Budget YTD Actual YTD Variance RemainingBudget
Percent Annual
Revenues
Interest Earnings
Interest Earnings 0 0 73 73 0.00%
Special Assessments
Tax Roll 235,525 235,525 235,526 1 0.00%
Off Roll 39,985 39,985 39,985 0 0.00%
Other Miscellaneous Revenues
Miscellaneous 0 0 463 463 0.00%
Total Revenues 275,510 275,510 276,047 537 (0.19)%
Expenditures
Legislative
Supervisor Fees 4,000 333 600 (267) 85.00%
Financial & Administrative
Administrative Services 3,780 315 315 0 91.66%
District Management 16,800 1,400 1,400 0 91.66%
District Engineer 5,000 417 0 417 100.00%
Disclosure Report 5,000 0 0 0 100.00%
Trustees Fees 3,500 3,500 0 3,500 100.00%
Assessment Roll 5,250 5,250 5,250 0 0.00%
Financial & Revenue Collections
4,000 333 333 0 91.66%
Accounting Services 18,000 1,500 1,500 0 91.66%
Auditing Services 4,000 0 0 0 100.00%
Arbitrage Rebate Calculation 600 0 0 0 100.00%
Public Officials Liability Insurance
2,475 2,475 2,250 225 9.09%
Legal Advertising 1,500 125 0 125 100.00%
Dues, Licenses & Fees 175 175 175 0 0.00%
Miscellaneous Fees 500 42 35 6 92.92%
Website Hosting, Maintenance, Backup
1,200 100 100 0 91.66%
Legal Counsel
District Counsel 15,000 1,250 1,000 250 93.33%
Electric Utility Services
Utility Services 16,000 1,333 1,358 (25) 91.51%
Garbage/Solid Waste Control Services
Garbage - Recreation Facility 2,300 192 184 8 92.01%
See Notes to Unaudited Financial Statements
Magnolia West Community Development District
Statement of Revenues and Expenditures
001 - General Fund
From 10/1/2018 Through 10/31/2018
(In Whole Numbers)
Annual Budget YTD Budget YTD Actual YTD Variance RemainingBudget
Percent Annual
Water-Sewer Combination Services
Utility Services 5,500 458 424 35 92.30%
Stormwater Control
Lake/Pond Bank Maintenance 5,000 417 395 22 92.10%
Other Physical Environment
General Liability & Property Insurance
9,024 9,024 8,204 820 9.08%
Landscape & Irrigation Maintenance Contract
29,518 2,460 2,388 72 91.90%
Irrigation Repairs 3,000 250 0 250 100.00%
Entry Monument & Fence Maintenance
3,500 292 0 292 100.00%
Landscape Replacement Plants, Shrubs, Trees
3,000 250 0 250 100.00%
Miscellaneous Expense 2,000 167 0 167 100.00%
Road & Street Facilities
Amenity Sidewalk Repair & Maintenance
2,000 167 0 167 100.00%
Amenity Parking Lot Repair & Maintenance
2,000 167 0 167 100.00%
Miscellaneous Expense 2,000 167 0 167 100.00%
Parks & Recreation
Amenity Management Staffing Contract
29,888 2,491 2,159 332 92.77%
Cable Phone & Internet 3,000 250 252 (2) 91.60%
Amenity Janitorial Service Contract & Supplies
6,000 500 409 91 93.18%
Amenity Maintenance Contract & Repairs
13,500 1,125 488 637 96.38%
Pool Service Contract - Maintenance & Chemicals
18,500 1,542 1,348 194 92.71%
Pest Control & Termite Bond 2,000 167 0 167 100.00%
Access Control Maintenance & Repair
2,000 167 0 167 100.00%
Athletic Court/Playground Maintenance & Repairs
2,000 167 0 167 100.00%
Miscellaneous Expense 2,500 208 0 208 100.00%
Special Events
Special Events 3,500 292 0 292 100.00%
See Notes to Unaudited Financial Statements
Magnolia West Community Development District
Statement of Revenues and Expenditures
001 - General Fund
From 10/1/2018 Through 10/31/2018
(In Whole Numbers)
Annual Budget YTD Budget YTD Actual YTD Variance RemainingBudget
Percent Annual
Contingency
Capital Outlay 10,000 833 0 833 100.00%
Miscellaneous Contingency 7,000 583 0 583 100.00%
Total Expenditures 275,510 40,881 30,567 10,314 88.91%
Excess Revenues Over (Under) Expenditures
0 234,629 245,480 10,851 0.00%
Excess of Rev./Other Sources Over (Under) Expend./Other Uses
0 234,629 245,480 10,851 0.00%
Fund Balance, Beginning of Period
0 0 344,858 344,858 0.00%
Fund Balance, End of Period 0 234,629 590,338 355,709 0.00%
See Notes to Unaudited Financial Statements
Magnolia West Community Development District
Statement of Revenues and Expenditures
005 - Reserve Fund
From 10/1/2018 Through 10/31/2018
(In Whole Numbers)
Annual Budget ActualCurrent Period
Actual VarianceBudget To
RemainingBudget Percent
Revenues
Interest Earnings
Interest Earnings 0 33 33 0.00%
Special Assessments
Tax Roll 23,333 23,333 0 0.00%
Off Roll 11,667 11,667 0 0.00%
Total Revenues 35,000 35,033 33 0.09%
Expenditures
Contingency
Capital Reserve 35,000 0 35,000 100.00%
Total Expenditures 35,000 0 35,000 100.00%
Excess of Revenues Over/(Under) Expenditures
0 35,033 35,033 0.00%
Excess Of Rev./Other Sources Over (Under) Expend./Other Uses
0 35,033 35,033 0.00%
Fund Balance, Beginning of Period
0 33,653 33,653 0.00%
Fund Balance, End of Period 0 68,686 68,686 0.00%
See Notes to Unaudited Financial Statements
Magnolia West Community Development District
Statement of Revenues and Expenditures
200 - Debt Service Fund
From 10/1/2018 Through 10/31/2018
(In Whole Numbers)
Annual Budget ActualCurrent Period
Actual VarianceBudget To
RemainingBudget Percent
Revenues
Interest Earnings
Interest Earnings 0 125 125 0.00%
Special Assessments
Tax Roll 49,684 49,684 0 0.00%
Total Revenues 49,684 49,809 125 0.25%
Expenditures
Debt Service Payments
Interest 34,684 0 34,684 100.00%
Principal 15,000 0 15,000 100.00%
Total Expenditures 49,684 0 49,684 100.00%
Excess of Revenues Over/(Under) Expenditures
0 49,809 49,809 0.00%
Other Financing Sources (Uses)
Interfund Transfer 0 2 2 0.00%
Transfer From SPE 0 0 0 0.00%
Total Other Financing Sources (Uses) 0 2 2 0.00%
Excess Of Rev./Other Sources Over (Under) Expend./Other Uses
0 49,811 49,811 0.00%
Fund Balance, Beginning of Period
0 97,610 97,610 0.00%
Fund Balance, End of Period 0 147,421 147,421 0.00%
See Notes to Unaudited Financial Statements
Magnolia West Community Development District
Statement of Revenues and Expenditures
300 - Capital Projects Fund
From 10/1/2018 Through 10/31/2018
(In Whole Numbers)
Annual Budget ActualCurrent Period
Actual VarianceBudget To
RemainingBudget Percent
Revenues
Interest Earnings
Interest Earnings 0 2 2 0.00%
Total Revenues 0 2 2 0.00%
Excess of Revenues Over/(Under) Expenditures
0 2 2 0.00%
Other Financing Sources (Uses)
Interfund Transfer 0 (2) (2) 0.00%
Excess Of Rev./Other Sources Over (Under) Expend./Other Uses
0 0 0 0.00%
Fund Balance, Beginning of Period
0 1,615 1,615 0.00%
Fund Balance, End of Period 0 1,615 1,615 0.00%
See Notes to Unaudited Financial Statements
Magnolia West Community Development District Investment Summary
October 31, 2018
Balance as of Account Investment October 31, 2018
Bank of Tampa Money Market Business Money Market $ 242,375
Total General Fund Investments $ 242,375
Bank of Tampa ICS Mutual of Omaha Bank Business Money Market $ 33,686
Total Reserve Fund Investments $ 33,686
US Bank Series 2006 Revenue Fidelity Gov't Port CI III/First Am Gov't Ob Fd Cl Y 21,864$ US Bank Series 2006 Reserve Fidelity Gov't Port CI III/First Am Gov't Ob Fd Cl Y 44,033 US Bank Series 2006 Prepayment Fidelity Gov't Port CI III/First Am Gov't Ob Fd Cl Y 31,835US Bank Series 2006 Bond General Fidelity Gov't Port CI III/First Am Gov't Ob Fd Cl Y 5
Total Debt Service Fund Investments 97,737$
US Bank Series 2006 Deferred Cost Fidelity Gov't Port CI III 1,615$
Total Capital Project Fund Investments 1,615$
Magnolia West Community Development District
Summary A/R Ledger
001 - General Fund
From 10/1/2018 Through 10/31/2018
Invoice Date Customer Name Invoice Number Current Balance
10/1/2018 Clay County Tax Collector FY18-19 235,525.91
10/1/2018 DR Horton, Inc 410-19-01 39,984.96
Total 001 - General Fund
275,510.87
See Notes to Unaudited Financial Statements
Magnolia West Community Development District
Summary A/R Ledger
005 - Reserve Fund
From 10/1/2018 Through 10/31/2018
Invoice Date Customer Name Invoice Number Current Balance
10/1/2018 Clay County Tax Collector FY18-19 23,333.00
10/1/2018 DR Horton, Inc 410-19-01 11,667.00
Total 005 - Reserve Fund
35,000.00
See Notes to Unaudited Financial Statements
Magnolia West Community Development District
Summary A/R Ledger
200 - Debt Service Fund
From 10/1/2018 Through 10/31/2018
Invoice Date Customer Name Invoice Number Current Balance
10/1/2018 Clay County Tax Collector FY18-19 49,683.62
Total 200 - Debt Service Fund
49,683.62
Report Balance 360,194.49
See Notes to Unaudited Financial Statements
Magnolia West Community Development District
Aged Payables by Invoice Date
Aging Date - 9/1/2018
001 - General Fund
From 10/1/2018 Through 10/31/2018
Vendor Name Invoice Date Invoice Number Invoice Description Current Balance
First Coast CMS, LLC 9/1/2018 3914 Amenity Staff, Janitorial, Pool & Maintenance Service 10/18
3,584.00
Poolsure 10/1/2018 131295581590 Water Management 10/18
600.00
The Lake Doctors, Inc 10/1/2018 390204 Lake Maintenance w/Addt'l Lake 10/18
395.00
Department of Economic Opportunity
10/1/2018 72458 Special District Fee FY 18/19
175.00
Yellowstone Landscape 10/1/2018 INV-0000233552 Landscape Maintenance W/ Pond Addition 10/18
2,388.13
Comcast 10/13/2018 8495 74 150 0248350 10/18
Amenity Cable/Phone/Internet 10/18
251.72
Fitness Pro 10/15/2018 17862 Service Request 21616 150.00
Turner Pest Control, LLC
10/15/2018 5475614 Pest Control 10/18 70.00
Clay Electric Cooperative, Inc.
10/24/2018 7213663 10/18 3490 Canyon Falls Amenity 10/18
1,358.00
Total 001 - General Fund
8,971.85
Report Total 8,971.85
Magnolia West Community Development District Notes to Unaudited Financial Statements
October 31, 2018 Balance Sheet
1. Trust statement activity has been recorded through 10/31/18. 2. See EMMA (Electronic Municipal Market Access) at https://emma.msrb.org for Municipal Disclosures and
Market Data. 3. For presentation purposes, the Reserves are shown in a separate fund titled Reserve Fund.
Summary A/R Ledger-Payment Terms
4. Payment terms for landowner assessments are (a) defined in the FY 18-19 Assessment Resolution adopted by the Board of Supervisors, (b) pursuant to Florida Statutes, Chapter 197 for assessments levied via the county tax roll.