Colchester, Connecticut

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

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Board of Education and Town
                  Monthly Health Insurance Reserve Report
                          Cash Flow Analysis - May 2026
                                             BOE              Town            Balance

Balance 4/30/26                               (9,629.44)     361,279.87        351,650.43

Employer Contribution*                      946,528.98
Sewer & Water
Café April & May                             14,228.62

Employee Contributions**                    154,644.06        24,568.43
Interest                                      1,349.93           449.98

Employer HSA contributions
Third Party Admininstrator Fees               (2,210.00)         (565.50)

Aegle Capital Stop Loss
H&M Billing Stop Loss                       (69,839.16)       (17,082.96)
HM Stop Loss Reimb                          193,485.39

Administrative Costs                         (8,424.00)        (2,046.54)
RX                                           43,052.88
Claims (thru 5/31/26)                      (419,266.79)       (86,827.82)

Balance 5/31/26                             843,920.47       279,775.46      1,123,695.93

* 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
***Reconciled TD Bank Account 7683