ADVISORY COUNCIL ANNUAL REPORT

to the

Department of Public Utility Control

Ten Franklin Square

New Britain, CT 06051

 

of the State of Connecticut

 

Twelve-month period ending December 31, 2010

 

Name of Advisory Council

Charter Western Cable Advisory Council

Mailing Address

P.O. Box 87, Newtown, CT 06470

Telephone

 

E-Mail Address

Chairman@cableadvisorycouncil.com

Contact Person

 

Towns Served

Barkhamsted, Bethlehem, Bridgewater, Brookfield, Colebrook, Harwinton, Kent, Monroe, New Fairfield, New Hartford,

 

New Milford, Newtown, Roxbury, Sherman, Southbury, Trumbull, Washington, Winchester, Woodbury

Cable Franchise Holder

Charter Communications Cable Company

 

 

 

Names of Council Members

Titles

Jim Lang

Chairperson (Trumbull rep)

Carmella Amodeo

Vice Chairperson (Newtown BOE)

Carl Braun

Treasurer (Woodbury Rep)

Stephanie O'Rourke

Secretary (Kent -Reg1 BOE)

Jonathan Gibney

Brookfield

John Bell

Kent Rep

 

 

Craig Tunks

Monroe Rep

Meghan Main

Monroe Rep BOE

Ray Juskiewicz

New Fairfield Rep

Bob Bell

New Fairfield Rep

Karen Chance

New Fairfield Rep BOE

George Fletcher

New Milford Rep

Joe Hurley

New Milford Rep

Carl De Voe

New Milford Rep BOE

Eugene Rosen

Newtown Rep

Gregory Davis

Roxbury Rep (Webmaster)

Tom Joyner

Sherman BOE

George Linkletter

Sherman Rep

Pual Katzmark

Southbury Rep

Deborah Cox

Trumbull Rep

Donna Cassidy

Trumbull Rep BOE

 

 

Dina Walker

Winchester Rep

Ron Judson

Woodbury Rep

Charles Cosgriff

Woodbury Rep BOE

 

This report is mandatory per 16-331c of the General Statutes of Connecticut

and 16-333-30 of the Regulations of Connecticut State Agencies


 

 

Council Meeting Dates*

Location

January 12, 2010

Charter Communications offices, Newtown, Ct

March 09, 2010

Charter Communications offices, Newtown, Ct

May 11, 2010

Charter Communications offices, Newtown, Ct

July 13, 2010

Charter Communications offices, Newtown, Ct

September 14, 2010

Charter Communications offices, Newtown, Ct

November 9, 2010

Charter Communications offices, Newtown, Ct

 

 

 

 

 

 

 

 

 

 

 

 

*Attach minutes of meetings

 

SUMMARY OF COUNCIL ACTIVITIES:

Include any comments or concerns not reflected in meeting minutes, including identification of member vacancies (attach sheets if needed)

__________________________________________________________________________ Twelve of the nineteen towns in the Northeast Franchise area currently have representation. We are pleased that our membership has grown over the last two years and attendance is strong. Highlights for this year include work done on the revision of the councils bylaws as well as a grant offering to all local educational channel 17s._____________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________


 

 

Accounting of Financial Activities

Twelve-month period ending December 31, 2010

 

Beginning Cash Balance Jan. 1, 2010 $ 20,352.96

Total Cash received in calendar year

$ 2,166.70

 

Total Cash disbursed in calendar year

$ 1,328.67

 

Ending Cash Balance Dec. 31, 2010

$21,190.99

 

 

REVENUE/INCOME

 

 

Budgeted Actual

Cable Company Cash Contribution

2,000.00

2,000.00

Other Contributions

 

 

Grants

 

 

Dues

 

 

Fundraising

 

 

Interest Income

200.00

166.70

 

 

 

Other

 

 

 

 

Total Revenue/Income

2,200.00

2,166.70

 

 

 

EXPENSES

 

 

Office Supplies

 

Postage

100.00

 

Secretarial

50.00

42.18

Accounting Fees

 

 

Cable Council Workshop

 

Legal Fees

 

 

Grants for Education

 

 

Other Website related

500.00

646.49

Other Taxes

125.00

 

Other Mailbox

150.00

140.00

Total Expenses

925.00

1,328.67

 

 

FINANCIAL NOTES:

 

FINANCIAL NOTES:

Include any Cable Franchise Holder In-Kind Services (attach sheets if needed)

______________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________