Laserfiche WebLink
Current assets <br />Cash and temporary investments <br />Receivables <br />Accounts <br />Total current assets <br />Assets <br />Liabilities and Fund Equity <br />CITY OF RAMSEY <br />Street Light Fund <br />Comparative Balance Sheet <br />As of December 31, 2000 and 1999 <br />Property, plant, and equipment <br />Improvements other than buildings 223,418 170,292 <br />Accumulated depreciation 53,413 42,240 <br />Net property, plant, and equipment 170,005 128,052 <br />Total assets $ 354,067 $ 311,272 <br />Current liabilities <br />Accounts payable $ 2,591 $ 4,632 <br />Deferred revenue 3,600 6,030 <br />Total current liabilities 6,191 10,662 <br />Fund equity <br />Contributed capital 129,383 124,883 <br />Retained earnings <br />Unreserved 218,493 175,727 <br />Total fund equity 347,876 300,610 <br />Total liabilities and fund equity $ 354,067 $ 311,272 <br />Exhibit F -8 <br />2000 1999 <br />$ 162,447 $ 162,913 <br />21,615 20,307 <br />184,062 183,220 <br />