CAFR 2017
Schedule 17 Page 2 of 2
Statement of Cash Flows Component Unit For the Fiscal Year Ended June 30, 2008
GREENSBORO TRANSIT AUTHORITY
(continued)
Reconciliation of Operating Loss to Net Cash Provided by Operating Activities: Operating Loss
$
(20,887,040)
Adjustments to Reconcile Operating Loss to Net Cash Used by Operating Activities: Depreciation
2,666,380
Change in Assets and Liabilities: Decrease in Receivables
689,312
Increase in Inventories
(5,971)
Decrease in Intergovernmental Receivables
4,540,544
Increase in Accounts Payable Increase in Annual Leave Accrual Decrease in Miscellaneous Payable
42,156 5,867
(20,099)
Other Receipts
16,874,049 24,792,238
Total Adjustments
Net Cash Provided by Operating Activities
$
3,905,198
-68-
Made with FlippingBook - Online magazine maker