CAFR 2017
Schedule 10 Page 1 of 3
COMBINING BALANCE SHEET Nonmajor Special Revenue Funds June 30, 2017
STATE
HOTEL/MOTEL OCCUPANCY
NEIGHBORHOOD DEVELOPMENT
HIGHWAY
ECONOMIC
ALLOCATION
CEMETERY
TAX
DEVELOPMENT
REVOLVING
ASSETS
Cash and Cash Equivalents/Investments
$
34,243
$
196,353
$
4,669,365
$
930,784
$
401,403
Receivables: Taxes
22,408 804,684 10,219
Accounts, Notes and Mortgages
32,300 6,199
Intergovernmental
12,745
360,579
Internal Receivables
Total Assets
$
46,988
$
234,852
$
5,029,944
$
1,768,095
$
401,403
LIABILITIES, DEFERRED INFLOWS OF RESOURCES AND FUND BALANCES
Liabilities:
Accounts Payable
$
$
$
$
$
Contracts/Retainage Payable Internal Payables Miscellaneous Unearned Grant Revenues
Total Liabilities
Deferred Inflows of Resources: Property Taxes Receivable
22,408
Notes and Mortgages Receivable
32,300 32,300
Total Deferred Inflows of Resources
22,408
Fund Balances: Restricted:
Stabilization by State Statute Grantor Requirements: Highway Improvements
12,745
9,221
365,079
1,296,086
34,243 46,988
Total Restricted Fund Balance
9,221
365,079
1,296,086
Committed:
For 911 Program For Special Tax Districts For Neighborhood Development For Economic Opportunity For Cemetery Maintenance
401,403
399,601
118,438
For Debt Service
4,664,865 4,664,865
Total Committed Fund Balance
118,438
399,601
401,403
Assigned: Appropriated for Subsequent Year's Expenditures
74,893
50,000
Unassigned
Total Fund Balances
46,988
202,552
5,029,944
1,745,687
401,403
Total Liabilities, Deferred Inflows of Resources and Fund Balances
$
46,988
$
234,852
$
5,029,944
$
1,768,095
$
401,403
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