TOWN OF READING, MASSACHUSETTS
MUNICIPAL LIGHT DEPARTMENT
SCHEDULE OF CASH AND INVESTMENTS
5/31/08
SCHEDULE A
PREVIOUS YEAR CURRENT YEAR
UNRESTRICTED CASH
CASH - OPERATING FUND 12,587,794.65 13,179,998.23
CASH - PETTY CASH 3,000.00 3,000.00
   TOTAL UNRESTRICTED CASH 12,590,794.65 13,182,998.23
CASH - CONSTRUCTION FUND 0.00 0.00
CASH - CONSTRUCTION FUND 0.00 0.00
RESTRICTED CASH
CASH - DEPRECIATION FUND 2,744,534.51 3,188,872.86
CASH - CONSTRUCTION FUND 0.00 0.00
CASH - TOWN PAYMENT 1,290,658.75 1,376,265.00
CASH - BOND PAYMENTS 580,415.00 564,542.00
CASH - DEFERRED FUEL RESERVE 3,449,912.83 308,972.26
CASH - RATE STABILIZATION FUND 4,377,828.75 5,040,874.43
CASH - UNCOLLECTIBLE ACCTS RESERVE 28,988.15 28,988.15
CASH - SICK LEAVE BENEFITS 868,423.05 1,066,174.32
CASH - INSURANCE RESERVE 35,251.72 35,251.72
CASH - HAZARD WASTE RESERVE 346,897.19 150,000.00
CASH - CUSTOMER DEPOSITS 485,057.71 494,666.59
CASH - CALPINE 11,279,633.39 0.00
   TOTAL RESTRICTED CASH 25,487,601.05 12,254,607.33
RESTRICTED INVESTMENTS
RATE STABILIZATION * 2,900,000.00 1,400,000.00
SICK LEAVE BENEFITS ** 1,500,000.00 1,500,000.00
   TOTAL RESTRICTED INVESTMENTS 4,400,000.00 2,900,000.00
TOTAL CASH BALANCE 42,478,395.70 28,337,605.56
MAY 2007
*  FED HOME LOAN MTG CORP   2,900,000.00;  DTD 12/26/03; INT 3.50%; MATURITY 12/15/09
** FED HOME LOAN MTG CORP     500,000.00;  DTD 12/26/03; INT 4.00%; MATURITY 12/15/13
   FED HOME LOAN MTG CORP     500,000.00;  DTD 08/26/04; INT 4.00%; MATURITY 08/26/14
   FED HOME LOAN MTG CORP     500,000.00;  DTD 03/10/04; INT 3.50%; MATURITY 03/10/14
MAY 2008
*  FED HOME LOAN MTG CORP   1,400,000.00;  DTD 11/26/07; INT 4.75%; MATURITY 05/06/13
** FED HOME LOAN MTG CORP     500,000.00;  DTD 12/26/03; INT 4.00%; MATURITY 12/15/13
   FED HOME LOAN MTG CORP     500,000.00;  DTD 08/26/04; INT 4.00%; MATURITY 08/26/14
   FED HOME LOAN MTG CORP     500,000.00;  DTD 11/13/07; INT 5.25%; MATURITY 11/13/17