Colchester, Connecticut

march_2024_health_insurance_reserve_report

https://www.colchesterct.org/monthly-financials

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Board of Education and Town
                            Monthly Health Insurance Reserve Report
                                   Cash Flow Analysis - March 2024
                                             BOE              Town            Balance

Balance 2/28/24                           3,136,355.44      (325,521.44)     2,810,834.00

Feb & March Employer*                       640,707.00        90,617.50
March Sewer & Water
March Café Employee Contribution              8,852.07

March Employee Contributions **             157,622.90        20,291.83
March interest                                7,292.22             0.00

Employer HSA contributions                 (109,312.50)          (250.00)
Third Party Admininstrator Fees              (4,217.00)          (903.00)

Administrative Costs                        (71,652.88)      (15,290.74)
Stop loss claims reimbursement
March claims (thru 3/31/23)                (449,253.41)      (53,350.31)

Balance 3/31/24                           3,316,393.84      (284,406.16)     3,031,987.68

* The employer portion is determined at the start of year and divided by 12 so each month
the contribution will be the same.
** Employees portion of the health insurance premium collected for the month