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       Date: 4/7/05                           Lincoln Trail Libraries System               Page: 1
                                                     Balance Sheet
                                                     As Of 2/28/05
                                             For COOPERATIVE SERVICE FUND
                                                                                                   Current
                                                                                                     YTD
               ASSETS
                  CURRENT ASSETS
                  BankIllinois Prime Investment                                                      (37,657.58)
                  BankIllinois Board Checking                                                         (1,625.73)
                  The Illinois Funds-Money Market                                                     26,006.41
                  The Illinois Funds-Prime Funds                                                     150,373.40
                  Due from Related Parties                                                               625.45
                  Inventory                                                                            4,836.16
               Prepaid Expenses                                                                           43.88
               PROPERTY, PLANT AND EQUIPMENT
                  Equipment                                                                           16,714.95
                  Accumulated Depreciation                                                           (16,714.46)

               TOTAL ASSETS                                                                         $142,602.48

               LIABILITIES
                  Accounts Payable                                                                      $331.07
               Accrued Liabilities
                  Compensated Absences                                                                 1,275.49

               TOTAL LIABILITIES                                                                      $1,606.56
               FUND EQUITY
               Designated Fund Balance
                  Appropriated Funds                                                                 110,000.00
                  Retained Earnings                                                                   13,878.42
               Net Profit/(Loss)                                                                     $17,117.50

               TOTAL FUND EQUITY                                                                    $140,995.92

               TOTAL LIABILITIES & FUND BALANCE                                                     $142,602.48