Laserfiche WebLink
<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 />Changes in General Long-term Liabilities, During the year ended December 31, 2001, the following changes <br />occurred in liabilities reported in the general long-teem debt account group, <br /> <br /> Balance Balance <br /> January I, December 31, <br /> 2001 Additions Reductions 2001 <br />G,O, Improvement Bonds $ 1,620,000 $ 990,000 $ 230,000 $ 2,380,000 <br />G.O, Revenue Bonds 345,000 35,000 310,000 <br />Capital Lease Payable 166,538 53,806 112,732 <br />Compensated Absences 15.786 1.335 14.451 <br />Total $ 2 147 324 L-22MOO $ 320141 $ 2817183 <br /> <br />The annual service requirements to maturity for all bonds and leases outstanding at December 31, 2001 are as <br />follows: <br /> <br /> G.O. G,O. Capital <br /> Improvement Revenue Lease <br /> Bonds Bonds Payable Total <br />2002 $ 493,577 $ 146,018 $ 60,832 $ 700,427 <br />2003 357,409 141,225 59,035 557,669 <br />2004 398,838 141,248 540,086 <br />2005 203,867 145,853 349,720 <br />2006 207,835 140,123 347,958 <br />Thereafter 1.190.196 373.511 1.563.707 <br />Total 2,851,722 1,087,978 119,867 4,059,567 <br />Less interest (471.722) (177.978 ) (7.135) (656.835 ) <br />Principal $ 2.380 000 $ 910000 $ 112732 $ 3 402 732 <br /> <br />Amounts available for debt retirement. Available fund balance in the debt service funds for repayment of <br />long-term debt totaled $1,341,021 at year end. <br /> <br />Amounts to be provided for debt retirement, This represents future revenue to be generated for debt payments <br />and severance benefits payable, generally including interest earnings, tax increments, scheduled tax levies and <br />deferred (future) special assessment levies. <br /> <br />F. Tax Increment District <br /> <br />The City is the administering authority for the following tax increment financing districts: <br /> <br />District Number 1-4 1-5 <br />Adjusted Original Tax Capacity $ 2,275 $ 968 <br />Current Tax Capacity (Payable 2001) 19.832 1.294 <br />Captured Tax Capacity Retained by the City $ 17557 $ 326 <br />Type of District Development Development <br /> <br />-18- <br />