Financial Statements from December 31, 1982 of the Resort Municipality of Whistler. Examining the balance sheets of the General Fund, Water Fund, Sewer Fund, and Trust and Reserve Fund of the RMOW, and corresponding statements of operating surplus, equity in capital assets, and operating revenue and expenditure, in addition to including financial notes and a financial schedule.
Insert 001: Memo (July 27, 1982), consisting of correspondence between Gary Raymond and Geoff Pearce in response to RMOW financial particularities noted by Dunwoody & Company's letter (July 13, 1982) in cash receipts, payroll, purchasing, invoicing, reserve funds, uncollectible taxes, long term leases, court of revisions, regional district requisitions, and Section 286 agreement loan.
Insert 002: Memo [1983], consisting of correspondence between Gary Raymond and the Finance Committee in response to RMOW financial particularities noted by Dunwoody & Company's letter (July 13, 1983) in cash receipts, E.D.P. System, Section 286 loan agreement, and general points.