2024 Annual Comprehensive Report
-22 Exhibit A-8 Page 1 of 4
Statement of Net Position Proprietary Funds June 30, 2024
Enterprise Funds Business-Type Activities -
Solid Waste
Water
Stormwater Management
Resources
Coliseum
Management
ASSETS Current Assets: Cash and Cash Equivalents/Investments
$
43,563,243
$ 8,189,805
$ 33,951,920
$ 6,289,197
Receivables (Net): Taxes Accounts, Notes and Mortgages
22,411,949 1,397,612 241,833 188,726 6,863,182
678,343 66,780 28,479
2,437,212 255,067 140,020 843,676
551,396 27,982 23,136
Intergovernmental
Interest Leases
7,744
Inventories
31,538 49,691 5,595
22,246
Prepaid Insurance Charges
Miscellaneous
1,017
Total Current Assets
74,667,562
8,971,151
37,714,719
6,913,957
Noncurrent Assets: Restricted: Cash and Cash Equivalents/ Investments
90,610,434
7,533,917
4,187,954
1,520,891
Receivables (Net): Assessments Intergovernmental
424,101 503,774 308,751
Interest
34,756
7,585
11,891
Assets Held for Resale Self-Funded Retention Deposits
Note Receivable Lease Receivable Capital Assets: Non-Depreciable: Land
3,537,138
24,488
5,823,713
22,330,446 352,538,077
1,853,504 6,336,727
19,890,083
5,971,264
Construction in Progress
354,881
Intangible Assets: Easements
26,320,854
1,677,897
Depreciable/Amortizable: Land Improvements
30,104,397 279,835,126 31,134,833 74,850,166 735,544,964 (576,542,734) 5,744,570 95,730,270 (30,760,783)
6,825,837
2,741,570 184,541,865
17,656,208 7,809,422
Buildings
1,734
Improvements Other than Buildings Furniture, Fixtures, Machinery and Equipment
358,695
21,327
700,435
24,031,692
1,121,519
Infrastructure
119,049,936 (80,304,492)
Less Accumulated Depreciation
(86,531,705)
(19,770,940)
Intangible Assets:
Software and Licenses
441,548
Water Rights
Less Accumulated Amortization
(441,548)
Right to Use Lease Assets, Net of Accum. Amortization Right to Use IT Subscription Assets, Net of Accum. Amort.
74,258 357,254
270,324 147,903
215,391
9,570
1,953
Total Noncurrent Assets
1,142,645,896 1,217,313,458
63,744,309 72,715,460
155,824,560 193,539,279
14,558,926 21,472,883
Total Assets
DEFERRED OUTFLOWS OF RESOURCES Deferred Bond Refunding Charges
667,119 5,856,053 2,655,390 878,902 10,057,464
Pension Deferrals
1,087,873 493,289 195,208 1,776,370
3,749,540 1,700,205 260,697 5,710,442
589,772 267,428 82,608 939,808
Current Year Pension Contributions
OPEB Deferrals
Total Deferred Outflows of Resources
The notes to the financial statements are an integral part of this statement.
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