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NOTE 3 - INTERFUND RECEIVABLES, PAYABLES, AND TRANSFERS (CONTINUED) <br />C. Interfund Transfers <br />Transfers Out <br />GeneralFund <br />Tax.lncrement SpecialRevenue Fund <br />COR Land <br />Pubhc Improvement Revolvmg <br />Capita1Prolects Fund <br />Equipment Revolving C apita l P rolect Fund <br />Fire Station#2 <br />Nonmalor GovernmentalFunds <br />Water Utility P ro pnetary Fund <br />S ewer Utility P ro pnetary Fund <br />Street Light UtilrtyP ro pnetary Fund <br />Recycling UtilrtyPropnetary Fund <br />Storm Water UtilrtyPropnetary Fund <br />Transfers In <br />Pubhc <br />Improvement Equipment <br />2012A Revolving Landfill Revolving Nonmalor <br />GO Improvement Capital Capital Capital Governmental <br />GeneralFund Bond Refund Protect Fund Protect Fund Protect Fund Funds Total <br />119,945 <br />100,000 <br />265,344 <br />280,959 <br />38,000 <br />32,000 <br />17,000 <br />10,000 <br />27,000 <br />1 <br />$ 472,921 $ - <br />322,479 95,851 <br />$ 890,248 $ <br />$ 118,230 <br />521,417 <br />$ 582,555 $ 1,173,706 <br />418,330 <br />87,857 207,802 <br />409,971 509,971 <br />265,344 <br />93,572 93,572 <br />47,094 849,471 <br />38,000 <br />32,000 <br />17,000 <br />10,000 <br />27,000 <br />1 $ 795,400 $ 95,851 $ 639,647 $ 1,221,049 $ 3,642,196 <br />Transfers are used to move revenues from the funds in which they are collected to the funds where they are <br />to be spent in accordance with statutory, budgetary or contractual requirements. Transfers are made in <br />accordance with the budget or as approved by the City Council. <br />NOTE 4 - CAPITAL ASSETS <br />A. Changes in Capital Assets Used in Governmental Activities <br />Balance - <br />Beginning Balance - <br />of Year Additions Completed Deletions End of Year <br />Construction <br />Capital assets, not depreciated <br />Land $ 6,772,024 $ - $ $ $ 6,772,024 <br />Construction in progress 1,681,968 5,747,429 - - 7,429,397 <br />Capital assets, depreciated <br />Buildings and structures 26,636,674 - - - 26,636,674 <br />Improvements other than buildings 11,385,776 - - - 11,385,776 <br />Office equipment 657,196 - - - 657,196 <br />Motor vehicles 3,886,181 77,844 - (84,334) 3,879,691 <br />Machinery and equipment 5,755,478 489,300 - (97,811) 6,146,967 <br />Infrastructure 28,922,328 - - - 28,922,328 <br />Total capital assets 85,697,625 6,314,573 - (182,145) 91,830,053 <br />Less accumulated depreciation on <br />Buildings and structures (5,533,770) (563,268) - - (6,097,038) <br />Improvements other than buildings (3,205,814) (540,906) - - (3,746,720) <br />Office equipment (305,503) (31,723) - - (337,226) <br />Motor vehicles (2,918,018) (227,296) - 84,334 (3,060,980) <br />Machinery and equipment (2,671,599) (378,253) - 97,811 (2,952,041) <br />Infrastructure (7,750,320) (1,134,039) - - (8,884,359) <br />Total accumulated depreciation (22,385,024) (2,875,485) - 182,145 (25,078,364) <br />Net capital assets <br />$ 63,312,601 $ 3,439,088 $ <br />$ - $ <br />66,751,689 <br />73 <br />