CAFR 2016
Schedule 5 Page 1 of 3
COMBINING BALANCE SHEET Nonmajor Special Revenue Funds June 30, 2016
STATE
HOTEL/MOTEL OCCUPANCY
HIGHWAY
ECONOMIC
ALLOCATION
CEMETERY
TAX
DEVELOPMENT
ASSETS
Cash and Cash Equivalents/Investments
$
473
$
173,666
$
3,036,888
$
1,157,726
Receivables: Taxes
21,622 831,369
Accounts, Notes and Mortgages
26,870
Assessments
892
Intergovernmental
2,594
5,299
332,909
9,813
Internal Receivables Miscellaneous
Total Assets
$
3,959
$
205,835
$
3,369,797
$
2,020,530
LIABILITIES, DEFERRED INFLOWS OF RESOURCES AND FUND BALANCES
Liabilities:
Accounts Payable
$
$
$
$
Contracts/Retainage Payable
478
Internal Payables
55,000
Miscellaneous Unearned Grant Revenues
Total Liabilities
55,000
478
Deferred Inflows of Resources: Property Taxes Receivable Other Accounts Receivable
21,622
892 892
Total Deferred Inflows of Resources
21,622
Fund Balances: Restricted:
Stabilization by State Statute Grantor Requirements: Culture and Recreation
2,594
32,259
337,709
1,660,375
Total Restricted Fund Balance
2,594
32,259
337,709
1,660,375
Committed:
For 911 Program For Special Tax Districts For Neighborhood Development For Economic Opportunity For Cemetery Maintenance For Culture and Recreation For Debt Service
328,533
171,605
3,032,088 3,032,088
Total Committed Fund Balance
171,605
328,533
Assigned: Appropriated for Subsequent Year's Expenditures
1,493
10,000
Unassigned
(54,527)
Total Fund Balances
(51,933)
205,357
3,369,797
1,998,908
Total Liabilities, Deferred Inflows of Resources and Fund Balances
$
3,959
$
205,835
$
3,369,797
$
2,020,530
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