2024 Annual Comprehensive Report
Schedule 10 Page 1 of 4
- 60 COMBINING BALANCE SHEET Nonmajor Capital Projects Funds June 30, 2024 Cash and Cash Equivalents/Investments Receivables: Taxes Rent Intergovernmental Assets Held for Resale Restricted Assets: Cash and Cash Equivalents/Investments Receivables: Accounts, Notes and Mortgages Total Assets Liabilities: Accounts Payable Contracts/Retainage Payable Prepaid Assessments Liabilities Payable from Restricted Assets: Contracts/Retainage Payable Total Liabilities Deferred Inflows of Resources: Unavailable Grant Revenue Unavailable Property Taxes Total Deferred Inflows of Resources Fund Balances: Restricted: Stabilization by State Statute Debt Covenants Grantor Requirements: Highway Improvements Total Restricted Fund Balance Assigned: For Capital Projects Unassigned Total Fund Balances Total Liabilities, Deferred Inflows of Resources and Fund Balances ASSETS LIABILITIES, DEFERRED INFLOWS OF RESOURCES AND FUND BALANCES
STATE
GENERAL CAPITAL
GENERAL CAPITAL
STREET
HIGHWAY
AND SIDEWALK
ALLOCATION
IMPROVEMENTS
IMPROVEMENTS II
$
7,786,196
$
$
205,872
$
27,517,273
233,791
4,480,700
14,276
95,179
5,814,003
$
12,595,866
$
5,814,003
$
205,872
$
27,531,549
$
$
$
$
2,009,058
454,340
41,534
110,412
2,050,592
110,412
4 54,340
3,224,901 233,791 3,458,692
1,255,799
14,276
5,703,591 5,703,591
1,255,799
14,276
5,735,604
205,872
27,062,933
95,179
7,086,582
5,703,591
205,872
27,077,209
$
12,595,866
$
5,814,003
$
205,872
$
27,531,549
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