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CITY OF RAMSEY <br />Assets <br />Current assets <br />Cash and temporary investments <br />Receivables <br />Delinquent special assessments <br />Deferred special assessments <br />Accounts <br />Due from other governmental units <br />Prepaids <br />Total current assets <br />Noncurrent assets <br />Advances to other Funds <br />Capital assets <br />Land <br />Construction in progress <br />Buildings and structures <br />Improvements other than buildings <br />Machinery and equipment <br />Water and sewer lines <br />Less accumulated depreciation <br />Net capital assets <br />Statement of Net Position <br />Proprietary Funds <br />December 31, 2018 <br />Business -Type Activities - Enterprise Funds <br />Street Light <br />Water Utility Sewer Utility Utility <br />$ 23,762,740 <br />3,617 <br />105,639 <br />443,703 <br />$ 13,631,962 <br />7,015 <br />137,133 <br />479,149 <br />65,059 <br />$ 1,248,170 <br />65,914 <br />24,315,699 14,320,318 1,314,084 <br />635,407 227,475 <br />868,513 - <br />1,944 113 <br />6,058,847 - - <br />1,008,502 775,584 1,135,881 <br />166,603 499,786 - <br />27,385,738 23,361,835 <br />35,490,147 <br />10,337,266 <br />24,637,318 <br />8,209,368 <br />1,135,881 <br />586,116 <br />25,152,881 16,427,950 549,765 <br />Total noncurrent assets 25,788,288 16,655,425 549,765 <br />Total assets 50,103,987 30,975,743 1,863,849 <br />Deferred Outflows of Resources <br />Pension plan deferments <br />95,937 41,037 <br />Total assets and deferred outflows of resources $ 50,199,924 $ 31,016,780 $ 1,863,849 <br />Liabilities <br />Current liabilities <br />Accounts and contracts payable <br />Due to other governmental units <br />Unearned revenue <br />Total current liabilities <br />Non -Current liabilities <br />Net pension liability <br />Total liabilities <br />Deferred Inflows of Resources <br />Pension plan deferments <br />Net Position <br />Investment in capital assets <br />Unrestricted <br />Total net position <br />$ 11,591 $ 4,210 $ 2,636 <br />23,063 9,840 119 <br />34,892 7,742 <br />34,654 48,942 10,497 <br />284,836 123,312 <br />319,490 172,254 10,497 <br />47,756 21,468 <br />25,152,881 <br />24,679,797 <br />49,832,678 <br />16,427,950 <br />14,395,108 <br />549,765 <br />1,303,587 <br />30,823,058 1,853,352 <br />Total liabilities, deferred inflows of resources and <br />net position $ 50,199,924 $ 31,016,780 $ 1,863,849 <br />See notes to basic fmancial statements <br />52 <br />