2021 Annual Comprehensive Financial Report
Schedule 10 Page 5 of 5
COMBINING BALANCE SHEET (continued) Nonmajor Capital Projects Funds June 30, 2021
TOTAL
COMMUNITY &
NONMAJOR CAPITAL PROJECTS
ECONOMIC
FIRE
HOUSING SERIES 2016
DEVELOPMENT
STATION SERIES 2019
ASSETS
SERIES 2016
FUNDS
Cash and Cash Equivalents/Investments
$
$
$
$
2,092,732
Receivables: Taxes
81,978 3,939
Assessments
Intergovernmental Assets Held for Resale
5,643,687
95,180
Restricted Assets: Cash and Cash Equivalents/Investments
5,668,457
23,091,301
2,300,983
78,484,620
Total Assets
$
5,668,457
$
23,091,301
$
2,300,983
$
86,402,136
LIABILITIES, DEFERRED INFLOWS OF RESOURCES AND FUND BALANCES
Liabilities:
Accounts Payable
$
$
$
$
3,044,768 4,580,740
Contracts/Retainage Payable
Liabilities Payable from Restricted Assets: Accounts Payable
72,632
Contracts/Retainage Payable Unearned Grant Revenues Miscellaneous
327,919
130,815
990,137
4,021,511
Total Liabilities
327,919
130,815
990,137
11,719,651
Deferred Inflows of Resources: Deferred Inflows for Grants Property Taxes Receivable Other Accounts Receivable
959,218
81,978 3,939 26,210
Prepaid Assessments
Total Deferred Inflows of Resources
1,071,345
Fund Balances: Restricted:
Stabilization by State Statute
5,643,686 72,262,386
Debt Covenants
5,340,538
22,960,486
1,310,846
Assets Held for Resale Grantor Requirements:
95,180
Highway Improvements
2,128,091 80,129,343
Total Restricted Fund Balance
5,340,538
22,960,486
1,310,846
Assigned:
2,056,890
For Capital Projects
Unassigned
(8,575,093)
Total Fund Balances
5,340,538
22,960,486
1,310,846
73,611,140
Total Liabilities, Deferred Inflows of Resources and Fund Balances
$
5,668,457
$
23,091,301
$
2,300,983
$
86,402,136
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