CAFR 2017
-30- Exhibit A-12 Page 3 of 4
Statement of Cash Flows Proprietary Funds For the Fiscal Year Ended June 30, 2017
Business-Type Activities - Enterprise Funds
Solid Waste
Water
Stormwater Management
War Memorial
Resources
Coliseum
Management
(continued)
Reconciliation of Operating Income (Loss) to Net Cash Provided by (Used for) Operating Activities: Operating Income (Loss)
26,082,556 $
$
488,074
(7,504,888) $
$
(794,917)
Adjustments to Reconcile Operating Income (Loss) to Net Cash Provided by (Used for) Operating Activities: Depreciation/Amortization Change in Assets, Deferred Outflows, Deferred Inflows and Liabilities: (Increase) Decrease in Receivables
25,846,982
1,828,457
3,217,207
510,433
(702,156) (20,758) 729,811
(33,821)
(60,937) (19,989) (260,097) 229,227
1,016,744
(Increase) Decrease in Inventories
1,327
(Increase) Decrease in Intergovernmental Receivables
15,160
638
Decrease in Miscellaneous Assets Increase (Decrease) in Accounts Payable Decrease in Contracts/Retainage Payable Increase in Landfill Liability
1,400
(472,271)
402,555
5,492
(68,736)
452,427 (338,215) (33,999) 403,811 47,475 2,086 (13,347)
Increase in Deferred Outflows of Resources -Pensions Decrease in Deferred Inflows of Resources -Pensions Increase in Net Pension Obligation Increase in Accrued OPEB Actuarial Liability Increase (Decrease) in Compensated Absences Payable Decrease in Pollution Remediation Liability Decrease in Intergovernmental Payable Increase in Customer Deposits Payable Increase (Decrease) in Miscellaneous Payable Increase (Decrease) in Other Receipts (Disbursements)
(3,181,119) (317,733) 3,798,070
(600,206) (61,965) 716,623
(1,219,487) (125,223) 1,456,016
447,630 (33,888)
82,978 20,571
29,673
(15,983)
169,326
121,123 3,569,721 6,926,743
243,542
196
Total Adjustments
26,507,436
2,370,352
1,982,240
Net Cash Provided by (Used for) Operating Activities
52,589,992 $
$
2,858,426
$
(578,145)
$
1,187,323
Noncash Investing, Capital and Financing Activities: Lease-Purchase and Other Capital Assets Principal Paid by Other Funds on Debt Obligations Imputed Capitalized Interest
$
$
$
$
1,547,136 2,915,781
Donated Assets
963,342 963,342
89,393 89,393
Total Noncash Investing, Capital and Financing Activities
4,462,917 $
$
$
$
The notes to the financial statements are an integral part of this statement.
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