SAVE MILLERS CREEK

SAVE MILLERS CREEK

Financial Statement 2015

Miller’s Creek Special District

Annual Financial Statements

For the Year Ended June 30, 2015

August 22, 2016

The Board of Supervisors

Miller’s Creek Special District

Jacksonville, FL

Dear Members of the Board:

Miller’s Creek Special District (“the District”) was legislatively created on February 10, 2015 by City of Jacksonville ORDINANCE 2014-700-E (“the Ordinance”) with an established fiscal year of July 1st through June 30th. This ordinance requires our district to comply with the State of Florida’s Special District Accountability Program (“the Program”). The Program is composed of a series of individual legislative requirements one of which focuses on financial statements and audits. Section 218.32, F.S., requires that each special district submit an annual financial report even if the district had no revenues or expenses for the fiscal year

Due to the fact that the District was created during the Fiscal Year (“FY”) 2014-2015, we are required to submit an annual financial statement even though we had not yet come together to organize the District and had no revenues or expenses during the fiscal year.

The annual Financial Statements as of June 30, 2015 are presented for our District for the FY2014-2015 in the section entitled Financial Statements in this document.

Sincerely

Christopher G. Rose

Treasurer

Miller’s Creek Special District

FINANCIAL STATEMENTS

Miller’s Creek Special District

Statement of Net Position

June 30, 2015

 TotalASSETS   Current Assets      Bank Accounts      Total Bank Accounts$0.00      Other current assets         Undeposited Funds0.00      Total Other current assets$0.00   Total Current Assets$0.00TOTAL ASSETS$0.00LIABILITIES AND EQUITY   Liabilities   Total Liabilities   Equity      Retained Earnings0.00      Net Revenue0.00   Total Equity$0.00TOTAL LIABILITIES AND EQUITY$0.00

Miller’s Creek Special District

Statement of Activities

For the Year Ended June 30, 2015

 TotalRevenue   Sales   Unapplied Cash Payment Revenue Total Revenue$0.00Gross Profit$0.00Expenditures   Legal & Professional Fees0.00   Other General and Admin Expenses0.00   Shipping and delivery expense0.00   Stationery & Printing0.00Total Expenditures0.00Net Operating Revenue0.00Net Revenue$0.00