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CITY OF RAMSEY <br /> Statement of Net Position <br /> December 31,2021 <br /> Governmental Business-Type <br /> Activities Activities Total <br /> Assets <br /> Cash and temporary investments $ 44,214,495 $ 46,419,126 $ 90,633,621 <br /> Receivables <br /> Unremitted taxes 173,525 - 173,525 <br /> Delinquent tines 92,968 - 92,968 <br /> Unremitted special assessments 26,583 - 26,583 <br /> Delinquent special assessments 3,273 15,182 18,455 <br /> Deferred special assessments 445,333 202,813 648,146 <br /> Accounts 595,421 1,643,280 2,238,701 <br /> Interest 266,586 - 266,586 <br /> Internal balances (296,713) 296,713 - <br /> Due from other governmental units 2,371,199 15,882 2,387,081 <br /> Prepaids 36,247 82,458 118,705 <br /> Land held for resale 8,085,951 - 8,085,951 <br /> Capital assets <br /> Not depreciated 7,800,527 1,740,097 9,540,624 <br /> Depreciated 76,405,000 56,274,411 132,679,411 <br /> Total capital assets,net of depreciation 84,205,527 58,014,508 142,220,035 <br /> Total assets 140,220,395 106,689,962 246,910,357 <br /> Deferred outflows ofresources <br /> OPEB plan deferments 87,802 - 87,802 <br /> Pension plan deferments 5,479,282 318,114 5,797,396 <br /> Total deferred outflows of resources 5,567,084 318,114 5,885,198 <br /> Total assets and deferred outflows ofresources $ 145,787,479 $ 107,008,076 $ 252,795,555 <br /> Liabilities <br /> Accounts and contracts payable $ 1,160,381 $ 111,206 $ 1,271,587 <br /> Salaries and benefits payable 335,859 - 335,859 <br /> Accrued interest payable 75,700 - 75,700 <br /> Deposits payable 2,900,601 - 2,900,601 <br /> Due to other governmental units 3,905 70,876 74,781 <br /> Unearned revenue 1,514,706 - 1,514,706 <br /> Long-term liabilities <br /> Due within one year 2,638,482 - 2,638,482 <br /> Due in more than one year 30,267,076 395,230 30,662,306 <br /> Total long-term liabilities 32,905,558 395,230 33,300,788 <br /> Total liabilities 38,896,710 577,312 39,474,022 <br /> Deferred inflows ofresources <br /> OPEB plan deferments 325,258 - 325,258 <br /> Pension plan deferments 6,614,912 364,117 6,979,029 <br /> Total deferred inflows of resources 6,940,170 364,117 7,304,287 <br /> Net Position <br /> Net investment in capital assets 57,322,004 57,940,442 115,262,446 <br /> Restricted for <br /> Road improvements 3,849,568 - 3,849,568 <br /> Debt service 1,184,009 - 1,184,009 <br /> Economic development 1,188,753 - 1,188,753 <br /> Housing and redevelopment 8,148,079 - 8,148,079 <br /> Recreation/community programs 419,568 - 419,568 <br /> Law enforcement programs 44,999 - 44,999 <br /> Tax increment 5,051,777 - 5,051,777 <br /> Unrestricted 22,741,842 48,126,205 70,868,047 <br /> Total net position 99,950,599 106,066,647 206,017,246 <br /> Total liabilities,deferred inflows ofresources and net position $ 145,787,479 $ 107,008,076 $ 252,795,555 <br /> See notes to basic financial statements <br /> 39 <br />