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2021 CAFR
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Annual Comprehensive Financial Report
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2021 CAFR
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5/20/2024 10:07:43 AM
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CITY OF RAMSEY <br />Nonmajor Debt Service Funds <br />Combining Balance Sheet <br />Year Ended December 31. 2021 <br />2015A 2015B <br />2011B Refund 2013A 2014A GO Capital GO Street <br />GO Improvement Capital Equipment Capital Equipment Improvement Reconstruction <br />Bonds Certificates Certificates Bond Bond <br />Assets <br />Cash and temporary investments $ 235.274 $ 26.118 $ 32.573 $ 82.529 $ 23.259 <br />Receivables <br />Unremitted taxes 851 1.276 2.340 1.276 <br />Delinquent taxes 672 858 1.989 233 <br />Unremitted special assessments — — — 46 <br />Delinquent special assessments 124 <br />Deferred special assessments 35.063 <br />Total assets <br />$ 235.274 $ 27.641 $ 34.707 $ 86.858 $ 60.001 <br />Liabilities <br />Accounts and contracts payable $ $ $ 100 $ 475 $ 475 <br />Deferred inflows of resources <br />Unavailable revenue - property taxes 672 858 1.989 233 <br />Unavailable revenue - special assessments — — — 35.187 <br />Total deferred inflows of resources 672 858 1.989 35.420 <br />Fund balances <br />Restricted 235.274 26.969 33.749 84.394 24.106 <br />Total deferred inflows of <br />resources and fund balances $ 235.274 $ 27.641 $ 34.707 $ 86.858 $ 60.001 <br />124 <br />
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