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2015 06-15 CC PACKET
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2015 06-15 CC PACKET
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Last modified
6/16/2026 11:13:35 AM
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6/16/2026 11:10:10 AM
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Administration
Code
ADM 00500
Document
PACKET
Destruction
PERMANENT
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CITY OF GEM LAKE, MINNESOTA <br />STATEMENT OF CASH FLOWS <br />PROPRIETARY FUND <br />YEAR ENDED DECEMBER 31, 2014 <br />CASH FLOWS FROM OPERATING ACTIVITIES <br />Cash Received from Utility Customers <br />Cash Payments to Suppliers for Goods and Services <br />Net Cash Provided by Operating Activities <br />CASHFLOWS FROM INVESTING ACTIVITIES <br />Interest on Investments <br />NET INCREASE IN CASH AND CASH EQUIVALENTS <br />Casty and Cash Equivalents - Beginning of Year <br />CASH AND CASH EQUIVALENTS - EN❑ OF YEAR <br />RECONCILIATION OF OPERATING INCOME TO NET <br />CASH PROVIDED BY OPERATING ACTIVITIES <br />Operating Income <br />Adjustments to Reconcile: Operating I ncome: to Net <br />Cash Provided by Operating.Activities, <br />Depreciation <br />Changes in Assets and Liabilities! <br />Accounts Receivable <br />Due. from Other Governments <br />Special Assessments Receivable <br />Prepaid Items <br />Accounts Payable <br />Due to Other Governments. <br />Net Cash. Provided by Operating Activities <br />See accompanying Notes to. Basic Financial Statements. <br />( 14) <br />Sewer <br />utility <br />$ 50;330 <br />(46,771) <br />3.,559 <br />5,833 <br />0,392 <br />371, 072 <br />$ 380,464 <br />$ 1,023 <br />12,456 <br />(2,046) <br />737 <br />2,057 <br />(152) <br />(4) <br />(10.512.) <br />$ 3;559 <br />
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