CAFR 2017
Schedule 9
COMBINING BALANCE SHEET Nonmajor Governmental Funds June 30, 2017
PERMANENT
TOTAL
SPECIAL REVENUE
CAPITAL PROJECTS
FUND
NONMAJOR
PERPETUAL
GOVERNMENTAL
ASSETS
FUNDS
FUNDS
CARE
FUNDS
Cash and Cash Equivalents/Investments
$
11,657,498
$
4,540,099
$
$
16,197,597
Receivables: Taxes
81,272
1,511
82,783
Accounts, Notes and Mortgages
25,549,909
25,549,909
Assessments
16,313 1,400
16,313 1,400
Rent
Intergovernmental Internal Receivables Assets Held for Resale
2,602,088 684,975
2,222,862
4,824,950 684,975
95,180
95,180
Restricted Assets: Cash and Cash Equivalents/Investments
22,129,371
2,427,876
24,557,247
Receivables: Accounts, Notes and Mortgages
1,078,540
1,078,540
Total Assets
$
40,575,742
$
30,085,276
$
2,427,876
$
73,088,894
LIABILITIES, DEFERRED INFLOWS OF RESOURCES AND FUND BALANCES
Liabilities:
Accounts Payable
$
247,128 852,601 709,075 92,216
$
30
$
$
247,158 1,922,850 709,075 111,998 5,043,241 1,037,771 5,722,555
Contracts/Retainage Payable
1,070,249
Internal Payables Miscellaneous
19,782
Unearned Grant Revenues
3,199,175
1,844,066
Liabilities Payable from Restricted Assets: Accounts Payable
1,037,771 5,722,555
Contracts/Retainage Payable
Total Liabilities
5,100,195
9,694,453
14,794,648
Deferred Inflows of Resources: Property Taxes Receivable
81,272 32,300
1,511
82,783 32,300 16,313 17,282
Notes and Mortgages Receivable Other Accounts Receivable
16,313 17,282
Prepaid Assessments
148,678
Total Deferred Inflows of Resources
113,572
35,106
Fund Balances:
Non-Spendable: Perpetual Maintenance Assets Held for Resale
2,427,876
2,427,876
95,180 95,180
95,180
Total Non-Spendable Fund Balance
2,427,876
2,523,056
Restricted: Stabilization by State Statute
29,777,498
3,302,802 16,930,920 3,128,941 23,362,663
33,080,300 16,930,920 3,163,184 53,174,404
Debt Covenants
Grantor Requirements: Highway Improvements
34,243
Total Restricted Fund Balance
29,811,741
Committed:
For 911 Program
420,297 479,950
420,297 479,950
For Special Tax Districts
For Neighborhood Development For Economic Opportunity For Cemetery Maintenance
2,308,715 399,601 118,438 4,664,865 8,391,866
2,308,715 399,601 118,438 4,664,865 8,391,866 957,885 4,174,971 5,132,856
For Debt Service
Total Committed Fund Balance
Assigned: Appropriated for Subsequent Year's Expenditures
957,885
For Capital Projects
4,174,971 4,174,971 (7,277,097) 20,355,717 30,085,276
Total Assigned Fund Balance
957,885
Unassigned
(3,799,517) 35,361,975 40,575,742
(11,076,614) 58,145,568 73,088,894
Total Fund Balances
2,427,876 2,427,876
Total Liabilities, Deferred Inflows of Resources and Fund Balances
$
$
$
$
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