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 ‐ January 2026
                                                        BOE              Town            Balance

Balance 12/31/24                                     1,665,773.36       300,872.38      1,966,645.75

Employer Contribution*                                                  114,257.93
Sewer & Water                                                             6,309.33
Café                                                     7,114.31

Employee Contributions**                               155,979.12        25,248.62
Interest                                                 3,059.36           913.84
TD Bank Deposit Slip Order                                 (16.91)

Employer HSA contributions                              (3,125.00)       (30,575.00)
Third Party Admininstrator Fees                         (3,986.50)        (1,039.50)

Aegle Capital Stop Loss                                 (1,176.00)          (280.00)
H&M Billing Stop Loss Dec & Jan                       (142,441.74)       (36,175.68)
Aegle Stop Loss Reimb                                   36,747.73

Administrative Costs                                    (7,434.94)        (1,256.49)
Pharmacy Rebates                                       120,533.18
Claims (thru 1/31/25)                                 (699,605.95)       (41,669.51)

Balance 1/31/25                                      1,131,420.02       336,605.92      1,468,025.95



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