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								    City of Roseville, Minnesota 
<br />STATEMENT OF CASH FLOWS 
<br />PROPRIETARY FUNDS 
<br />For the Fiscal Year Ended December 31, 2016 
<br />CASH FLOWS FROM OPERATING ACTIVITIES 
<br />Cash received from customers and users, including deposits 
<br />Cash payments to suppliers for goods and services 
<br />Cash payments to employees 
<br />Other operating revenues 
<br />NET CASH PROVIDED (USED) BY OPERATING ACTIVITIES 
<br />CASH FLOWS FROM NONCAPITAL FINANCING ACTIVITIES 
<br />Transfers Out to Other Funtls 
<br />Subsidy from governmental grants 
<br />NET CASH PROVIDED (USED) BY NONCAPITAL FINANCING ACTIVITIES 
<br />CASH FLOWS FROM CAPITAL AND RELATED FINANCING ACTIVITIES 
<br />Purchase of capital assets 
<br />Subsidy from governmental grants 
<br />Proceeds from sale of capital assets 
<br />NET CASH PROVIDED (USED) IN CAPITAL AND RELATED 
<br />FINANCING ACTIVITIES 
<br />CASH FLOWS FROM INVESTING ACTIVITIES 
<br />Interest received on investments 
<br />Increase (Decrease) in Fair Value of Investments 
<br />NET CASH PROVIDED (USED) BY INVESTING ACTIVITIES 
<br />NET INCREASE (DECREASE) IN CASH AND CASH EQUIVALENTS 
<br />CASH AND CASH EQUIVALENTS, JANUARY 1 
<br />CASH AND CASH EQUIVALENTS, DECEMBER 31 
<br />RECONCILIATION OF OPERATING INCOME (LOSS) TO 
<br />NET CASH PROVIDED (USED) BY OPERATING ACTIVITIES 
<br />Operating Income (Loss) 
<br />Adjustments to Reconcile Operating Income to 
<br />Net Cash Provided (Usetl) by Operating Activities 
<br />Depreciation 
<br />Pension related activity 
<br />Changes in elements affecting cash: 
<br />(Increase) Decrease in Acwunts receivable 
<br />(Increase) Decrease in Special assessments 
<br />(Increase) Decrease in Due from other governmental untis 
<br />(Increase) Decrease in Prepaitl items 
<br />Increase (Decrease) in Accounts payable 
<br />Increase (Decrease) in Accruetl payroll 
<br />Increase (Deaease) in Compensated absences 
<br />Increase (Deaease) in Contracts payable 
<br />Increase (Deaease) in Customer deposits 
<br />Increase (Decrease) in Due to other governmental units 
<br />Increase (Decrease) in Net other postemployment benefits obligation 
<br />Increase (Deaease) in Insurance claim payable 
<br />Total Adjustments 
<br />NET CASH PROVIDED (USED) BY OPERATING ACTIVITIES 
<br />NONCASH INVESTING, CAPITAL AND FINANCING ACTIVITIES 
<br />Increasel(Decrease) in fair market value of investments 
<br />The notes to the financial statements are an integral part of this statement 
<br />Statement 8 
<br />(Page 2 of 2) 
<br />Business-type Activities- Enterprise Funds Governmental 
<br />Activities - 
<br />Storm Solid Waste Internal 
<br />Drainage Recycling Total Service Funds 
<br />1,764,426 337,124 13,519,693 313,020 
<br />(573,873) (444,954) (8,875,392) (405,317) 
<br />(359,567) (29,449) (1,643,612) 114,426 
<br />2,481 15,674 61,392 - 
<br />833,467 (121,605) 3,062,081 22,129 
<br />(100,000) (15,000) (805,000) - 
<br />(154,650) 84,315 (70,335) - 
<br />(254,650) 69,315 (875,335) - 
<br />(1,237,824) (3,491,760) - 
<br />- - 277,055 - 
<br />6,010 - 7,635 - 
<br />(1,231,814) - (3,207,070) - 
<br />5,817 844 37,657 43,902 
<br />(8,456) (902) (46,107) (51,555) 
<br />(2,639) (58) (8,450) (7,656) 
<br />(655,636) (52,348) (1,028,774) 14,473 
<br />981,225 91,017 3,375,114 2,871,384 
<br />325,589 38,669 2,346,340 2,885,857 
<br />470,871 (109,047) 2,057,237 117,701 
<br />440,914 - 1,154,037 - 
<br />36,619 6,105 87,209 - 
<br />(31,820) (20,307) (380,463) - 
<br />- - (52,910) - 
<br />- 1,234 14,401 - 
<br />- - (235,385) - 
<br />4,938 75 33,650 3,476 
<br />2,266 228 10,776 - 
<br />(604) - 7,348 - 
<br />(98,776) - (154,791) - 
<br />- - 61,289 - 
<br />7,531 107 453,570 (6,740) 
<br />1,528 - 6,113 - 
<br />- - - (92,308) 
<br />362,596 (12,558) 1,004,844 (95,572) 
<br />833,467 (121,605) 3,062,081 22,129 
<br />(8,456) (902) (46,107) (51,558) 
<br />39 
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