2024 Annual Comprehensive Report
Schedule 14
Enterprise Funds Schedule of Changes in Long-Term Debt and Water Resources Capital Assets For the Fiscal Year Ended June 30, 2024
Debt
Debt
Outstanding July 1, 2023
Outstanding June 30, 2024
Additions
Adjustments
Retirements
Water Resources: Revenue Bonds Revenue BANS Lease Liabilities
$
333,367,488 50,795,451
$ 135,472,397 107,418,657
$
$ 20,274,114 134,612,045
$ 448,565,771
23,602,063
51,186 685,464
44,660
5,910
26,135 332,417
75,621 353,047
IT Subscription Financing Agreements
Compensated Absences
1,707,368
157,781
1,865,149
Total Water Resources
386,606,957
243,093,495
5,910
155,244,711
474,461,651
Coliseum: Limited Obligation Bonds Other Financing Agreements
39,505,000
1,390,000 130,000 176,935
38,115,000
150,000 127,831 205,116 753,349
320,000 315,405
340,000 271,598 138,168 234,608
Lease Liabilities
5,297
IT Subscription Financing Agreements
66,948 518,741
Compensated Absences
Total Coliseum
40,741,296
635,405
5,297
2,282,624
39,099,374
Greensboro Transit Advisory Commission: Compensated Absences
114,559 23,915
4,292 23,002
118,851 39,971
Lease Liabilities
6,946
Total Grensboro Transit Advisory Commission
138,474
27,294
6,946
158,822
Parking Facilities: Limited Obligation Bonds
62,395,000
2,200,000
60,195,000
IT Subscription Financing Agreements
153,329 54,353
56,638
96,691 63,868
Compensated Absences
9,515
Total Parking Facilities
62,602,682
9,515
2,256,638
60,355,559
Solid Waste Management: Accrued Landfill Liability
47,540,223
125,880 201,725
47,414,343
Lease Liabilities
109,744
310,164
218,183
IT Subscription Financing Agreements
3,920
3,920
Compensated Absences
187,465
30,993
218,458
Total Solid Waste Management
47,841,352
341,157
331,525
47,850,984
Stormwater Management: IT Subscription Financing Agreements
18,363 311,407
8,905
9,458
Compensated Absences
29,439
340,846
Total Stormwater Management
329,770
29,439
8,905
350,304
Total Enterprise Funds
$
538,260,531
$ 244,136,305
$
11,207
$ 160,131,349
$ 622,276,694
(a) Total Debt Outstanding is net of premiums, discounts and adjustments.
Capital Assets July 1, 2023
Capital Assets June 30, 2024
Additions
Adjustments
Disposals
Water Resources Capital Assets: Land Construction in Progress Intangible Assets - Easements
$
21,992,096 223,263,532 25,722,406 30,104,397 279,835,126 31,127,825 74,628,709 727,580,480
$
335,450
$
2,900
$
$
22,330,446 352,538,077 26,320,854 30,104,397 279,835,126 31,134,833 74,850,166 735,544,964
131,921,677
2,647,132
598,448
Land Improvements
Buildings
Improvements Other Than Buildings
7,008
Furniture, Fixtures, Machinery and Equipment
556,329 7,969,029
232
335,104
Infrastructure
(568)
3,977
Intangible Assets:
Water Rights, Software
100,490,972
983,868 17,714 (346,398)
101,474,840
Right to Use Lease Assets, net of amort. Right to Use IT Subscriptions, net of amort.
50,662 703,652
5,882
74,258 357,254
Accumulated Depreciation/Amortization
(574,252,971)
(33,354,426)
(30,699)
(334,579)
(607,303,517)
Water Resources Capital Assets, Net
$
941,246,886
$ 108,688,699
$
(22,253)
$ 2,651,634
$ 1,047,261,698
-73
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