Lincoln Trail Libraries System
Automation Fund
For the Month Ending July 31, 2007
ASSETS
CURRENT ASSETS
Cash $102,466
Certificates of Deposit/Money Market 813
Due From Related Parties 7,567
Accounts Receivable (Due from Related) 95,517
Prepaid Expenses 31,242
------------
   Total Current Assets 237,606
PROPERTY, PLANT AND EQUIPMENT
Building and Improvements 2,645
Equipment 621,132
Accumulated Depreciation (519,114)
------------
   Total Property, Plant and Equipment 104,664
------------
TOTAL ASSETS $342,269
 ======
LIABILITIES & FUND BALANCES
LIABILITIES
Accrued Liabilities 197
Compensated Absences 16,495
------------
TOTAL LIABILITIES 16,691
FUND BALANCES
Designated Fund Balances 121,153
Contributed Capital 84,441
Retained Earnings 45,450
Net Profit/(Loss) 74,534
------------
TOTAL FUND BALANCES $325,578
------------
TOTAL LIABILITIES & FUND BALANCES $342,269
 ======