2020 Comprehensive Annual Financial Report
Schedule 71
Internal Service Funds Schedule of Changes in Long-Term Debt For the Fiscal Year Ended June 30, 2020
Debt
Debt
Outstanding June 30, 2019
Outstanding June 30, 2020
Additions
Retirements
Equipment Services: Compensated Absences Technical Services: General Obligation Bonds
$
206,896
$
182,681
$
171,653
$
217,924
476,718 8,758,227
476,718 1,115,112
Capital Leases
7,643,115
Compensated Absences
58,162
43,259
41,540
59,881
Total Technical Services
9,293,107
43,259
1,633,370
7,702,996
Information Systems: Capital Leases Compensated Absences
4,247,944 135,941
4,385,065 107,402
2,701,499 100,972
5,931,510 142,371
Total Information Systems
4,383,885
4,492,467
2,802,471
6,073,881
Graphic Services: Compensated Absences
31,059
25,090
26,564
29,585
Guilford Metro Communications: Capital Leases
571,571 530,378
280,436 266,992
291,135 587,986
Compensated Absences
324,600
Total Guilford Metro Communications
1,101,949
324,600
547,428
879,121
Employee Risk Retention: Compensated Absences General Risk Retention: Compensated Absences
34,922
41,604
31,991
44,535
2,126
1,294
1,124
2,296
Capital Leasing: Master Equipment Lease Agreement
2,450,400
620,910
1,829,490
Total Internal Service Funds
$
17,504,344
$ 5,110,995
$
5,835,511
$
16,779,828
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