X hits on this document

169 views

0 shares

0 downloads

0 comments

51 / 61

CITY OF SULPHUR, LOUISIANA

Paving

Paving

Public

Paving

Paving

Projects

Projects

Improvement

Projects

Projects

1992

1993

1993

1996-1999

2000

COMBINING BALANCE SHEET NONMAJOR GOVERNMENTAL FUNDS June 30,2007

Debt Service Funds

ASSETS Cash and cash equivalents Assessments receivable: Current Delinquent Deferred

Total assets

4,721

6,363

33,500

22,745

4,306

13,782

99,470

$

92,548

141,997

135,438

Reserved for debt service Unreserved - undesignated

549

Total fund balance

549

Total liabilities and fund balances

549

LIABILITIES AND FUNDBALANCE

LIABILITIES Cash overdraft Accounts and contractspayable Deferred revenue

Total Liabilities

FUND BALANCE

3,117

3,117

$

$

16,534

16,534

19,651

$

$

  • -

    $

13,615

41,614

13,615

41,614

27,984 100,398

93,824

128,382

93,824

141,997

$

135,438

51

Document info
Document views169
Page views169
Page last viewedSun Dec 11 12:27:30 UTC 2016
Pages61
Paragraphs2526
Words15787

Comments