CAFR 2017
-9- Exhibit A-5
STATEMENT OF REVENUES, EXPENDITURES AND CHANGES IN FUND BALANCES Governmental Funds For the Fiscal Year Ended June 30, 2017
OTHER
TOTAL
DEBT
GOVERNMENTAL
GOVERNMENTAL
GENERAL
SERVICE
FUNDS
FUNDS
Revenues: Taxes
$
203,120,010
$
$
8,027,905
$
211,147,915
Assessments
953
953
Intergovernmental Licenses and Permits Fines and Forfeitures
32,033,180 4,281,430 2,019,877 16,901,319
20,580,196
52,613,376 4,281,430 2,019,877 24,204,933
Charges for Current Services
7,303,614
Investment Income
1,489,938 (408,968) 1,080,970
194,023
1,683,961 (408,968) 1,274,993
Net Increase (Decrease) in the Fair Value of Investments
Total Investment Income
194,023
Miscellaneous
3,457,032
130,519
1,031,988
4,619,539
Total Revenues
261,812,848
1,211,489
37,138,679
300,163,016
Expenditures: Current:
General Government
20,224,131 123,109,020
221,661
889,250
21,335,042 130,577,926 38,862,903 15,857,908 34,952,060 33,074,001 6,130,725 7,723,808 2,042,687 138,194
Public Safety Transportation
7,468,906 28,939,104
9,923,799
Environmental Services
138,194 552,510
Engineering and Building Maintenance
15,305,398 34,952,060 26,571,445
Field Operations
Culture and Recreation
6,502,556 6,009,215 6,768,045
Neighborhood Development
121,510 955,763
Economic Opportunity
Intergovernmental
2,042,687
Debt Service: Principal Retirement
11,612,462 5,574,821
900,000
12,512,462 6,868,225
Interest, Fees on Long-Term Debt
1,293,404
Total Expenditures
233,205,813
17,408,944
59,461,184
310,075,941
Excess of Revenues Over (Under) Expenditures
28,607,035
(16,197,455)
(22,322,505)
(9,912,925)
Other Financing Sources (Uses): Debt Issuances: General Obligation Bonds Issued General Obligation BANs Issued
62,590,000
62,590,000 37,474,308 10,265,798 10,276,032 (72,555,141) 32,497,178 (55,152,033)
37,474,308 10,265,798
Limited Obligation BAN Issued
Premium on Debt
10,500,223 (72,555,141) 21,240,623
(224,191)
Payment to Escrow Agent for Refunding of Debt
Transfers In Transfers Out
6,119,000
5,137,555
(35,935,725)
(19,216,308)
Total Other Financing Sources (Uses)
(29,816,725)
21,775,705
33,437,162
25,396,142
Net Change in Fund Balances
(1,209,690)
5,578,250
11,114,657
15,483,217
Fund Balances - July 1 Prior Period Restatement
77,173,159 (6,365,576) 70,807,583
10,909,425
47,030,911
135,113,495
(6,365,576)
Fund Balances - July 1, (restated)
10,909,425
47,030,911
128,747,919
Fund Balances - June 30
$
69,597,893
$
16,487,675
$
58,145,568
$
144,231,136
The notes to the financial statements are an integral part of this statement.
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