2021 Annual Comprehensive Financial Report
Schedule 14
Enterprise Funds Schedule of Changes in Long-Term Debt and Water Resources Capital Assets For the Fiscal Year Ended June 30, 2021
Debt
Debt
Outstanding June 30, 2020
Outstanding June 30, 2021
Additions
Adjustments
Retirements
Water Resources: Revenue Bonds Revenue BANS
$
308,782,056
$
$
22,396,982 $
286,385,074 $
2,580,810 1,472,619
34,075,735 1,183,231
36,656,545 1,575,080
Compensated Absences
1,080,770
Total Water Resources
312,835,485
35,258,966
23,477,752
324,616,699
Coliseum: Installment Financing Agreements Limited Obligation Bonds
43,450,000
1,280,000 254,621
42,170,000
Compensated Absences
624,102
190,289
559,770
Total Coliseum
44,074,102
190,289
1,534,621
42,729,770
Greensboro Transit Advisory Commission: Compensated Absences Payable
70,670
56,254
48,832
78,092
Parking Facilities: Limited Obligation Bonds Compensated Absences
29,685,000
35,780,000
65,465,000
39,894
41,599
36,868
44,625
Total Parking Facilities
29,724,894
35,821,599
36,868
65,509,625
Solid Waste Management: Special Obligation Bonds Accrued Landfill Liability Compensated Absences
27,654,593
361,221 89,588
28,015,814
177,596
94,294
172,890
Total Solid Waste Management
27,832,189
450,809
94,294
28,188,704
Stormwater Management: Compensated Absences
311,429
242,112
269,037
284,504
$
25,461,404 $
Total Enterprise Funds
$
414,848,769
72,020,029 $
461,407,394 $
(a) Total Debt Outstanding is net of premiums, discounts and adjustments.
Capital Assets June 30, 2020
Capital Assets June 30, 2021
Additions
Adjustments
Disposals
Water Resources Capital Assets: Land Construction in Progress Intangible Assets - Easements
$
21,506,466 149,154,207 24,471,417 25,647,463 247,017,831 9,518,788 64,555,515 656,214,308 97,412,199 (476,170,120)
$
285,000
$
$
$
21,791,466 130,615,193 24,854,476 26,363,490 268,221,298 31,127,825 68,173,889 682,890,178 98,433,670 (508,044,799)
46,725,273
65,264,287
382,116 736,117
943
Land Improvements
15,105
35,195
Buildings
14,679,077 21,553,789 3,078,223 26,305,497 1,021,471 (32,218,889)
6,524,390
Improvements Other Than Buildings
55,248 909,089 370,373
Furniture, Fixtures, Machinery and Equipment
368,938
Infrastructure
Intangible Assets - Water Rights, Software Accumulated Depreciation/Amortization
(344,210)
Water Resources Capital Assets, Net
$
819,328,074
82,547,674 $
7,875,148 $
65,324,210 $
844,426,686 $
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