2022 Annual Comprehensive Financial Report
Deferred Outflows/Inflows of Resources and Unearned Revenues in the fund and basic financial statements at June 30, 2022 are composed of the following:
Fund Financial Statements
Deferred Outflows of Resources
Proprietary Funds Unamortized Bond Refunding Charges Water Resources Fund
1,667,328 $
Pension Deferrals: Water Resources Fund
3,117,151 $
Stormwater Management Fund
555,776 1,540,140 316,282 108,584 136,323 2,054,308
ColiseumFund
Solid Waste Management Fund
Greensboro Transit Advisory Commission Fund
Other Non-Major Enterprise Fund
Internal Service Funds
7,828,564
Current Year Pension Contributions: Water Resources Fund Stormwater Management Fund
1,905,765 339,791 941,611 193,368
ColiseumFund
Solid Waste Management Fund
Greensboro Transit Advisory Commission Fund
66,386 83,345
Other Non-Major Enterprise Fund
Internal Service Funds
1,255,966
4,786,232
OPEB Deferrals: Water Resources Fund
1,494,226 362,636 486,262 153,548
Stormwater Management Fund
ColiseumFund
Solid Waste Management Fund
Greensboro Transit Advisory Commission Fund
61,885 65,934 871,353
Other Non-Major Enterprise Fund
Internal Service Funds
3,495,844
Total Deferred Outflows of Resources
17,777,968 $
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