CAFR FYE 2014
Transcription
CAFR FYE 2014
City of Angleton, Texas CONSOLIDATED BALANCE SHEET GENERAL FUND - SUB-FUNDS September 30, 2014 General Assets Cash and cash equivalents Receivables, net Inventory Prepaids Due from other governments Due from other funds $ Total Assets Liabilities, Deferred Inflows of Resources, and Fund Balances Liabilities: Accounts payable and accrued liabilities Total Liabilities $ $ Deferred Inflows of Resources: Unavailable revenue - property taxes Fund Balances: Nonspendable: Inventory and prepaids Unassigned Total Fund Balances Total Liabilities, Deferred Inflows of Resources, and Fund Balances $ 2,410,181 536,418 837 18,196 8,136 18,000 2,991,768 517,372 517,372 Capital Lease Purchase Community Events $ $ $ 22,462 22,462 5,896 5,896 $ $ $ Downtown Revitalization 4,037 4,037 - $ $ $ 14,658 14,658 - 84,295 - - - 19,033 2,371,068 2,390,101 16,566 16,566 4,037 4,037 14,658 14,658 2,991,768 92 $ 22,462 $ 4,037 $ 14,658 Total General Fund $ $ $ 2,451,338 536,418 837 18,196 8,136 18,000 3,032,925 523,268 523,268 84,295 19,033 2,406,329 2,425,362 $ 3,032,925 93