My WebLink
|
Help
|
About
|
Sign Out
Home
Browse
Search
2002-05-22 WS Packet
Centerville
>
City Council
>
Agenda Packets
>
1996-2022
>
2002
>
2002-05-22 WS Packet
Metadata
Thumbnails
Annotations
Entry Properties
Last modified
5/12/2009 7:59:01 AM
Creation date
5/12/2009 7:58:13 AM
Metadata
Fields
Template:
General
There are no annotations on this page.
Document management portal powered by Laserfiche WebLink 9 © 1998-2015
Laserfiche.
All rights reserved.
/
86
PDF
Print
Pages to print
Enter page numbers and/or page ranges separated by commas. For example, 1,3,5-12.
After downloading, print the document using a PDF reader (e.g. Adobe Reader).
View images
View plain text
<br />CITY OF CENTERVILLE, MINNESOTA <br />NOTES TO FINANCIAL STATEMENTS <br />DECEMBER 31, 2001 <br /> <br />Note 3: DETAILED NOTES ON ALL FUNDS AND ACCOUNT GROUPS. CONTINUED <br /> <br />C. Fixed Assets <br /> <br />A summary of changes in general fixed assets (unaudited) for the year ended December 3 1.2001 is as follows: <br /> <br /> Balance <br /> Beginning Balance <br /> of Year Additions End of Year <br />Land and land improvements $ 27 ,450 $ $ 27,450 <br />Buildings 742,728 742,728 <br />Furniture and equipment 688,299 255,406 943,705 <br />Other improvement<; 70.431 70.431 <br />Total 3; I 528.908 $ 255.406 $ 1.7843]4 <br /> <br />The following is a summary of proprietary fund type fixed assets at December 31, 2001: <br /> <br />Total <br />Less accumulated depreciation <br /> <br /> Enterorise Funds <br /> Water Sewer Total <br />$ 1,364,761 $ $ 1,364,761 <br /> 1.683.510 1.683.510 <br /> 1,364,761 1,683,510 3,048,271 <br /> (180.984 ) <337.501) (518.485) <br />$ ] 183777 $ 1 346.009 $ 2.529 786 <br /> <br />Water distribution system <br />Sewer collection system <br /> <br />Net Fixed Assets <br /> <br />D. Deferred Revenue <br /> <br />Deferred revenue at December 31, 2001 is comprised of the following: <br /> <br /> Debt <br /> General Service Enterprise Total <br /> Delinquent taxes $ 29,623 $ $ $ 29,623 <br /> Special assessments <br /> Delinquent 1,233 9,548 10,781 <br /> Deferred 347.410 442.455 789.865 <br /> Total $ 29 623 $ 348 643 $ 452.003 $ 830 269 <br />E. Long-term Debt <br /> <br />General Obligation Bonds. The City issues general obligation bonds to provide funds for the acquisition and <br />construction of major capital facilities. General obligation bonds have been issued for general government <br />activities. <br /> <br />General obligation bonds are direct obligations and pledge the full faith and credit of the City. General <br />obligation bonds currently outstanding are as follows: <br /> <br />-16- <br />
The URL can be used to link to this page
Your browser does not support the video tag.