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HomeMy WebLinkAboutDecember 2012 Financial StmtsCounty of Harnett C o U N T Y Financial Summary Report ` December 31; 2012 General Fund Revenues: Ad valorem taxes Other taxes and licenses Unrestricted intergovernmental Restricted intergovernmental Permits and fees Sales and services Investment earnings Other general revenues Total revenues Expenditures: Current: General government Public safety Environmental protection Transportation Economic and physical development Human services Cultural and recreational Education Debt service: Principal Interest and fees Total expenditures Current Budget Annual Budget (6 months) Y -T -D % Actual to Date Collected $ 53,720,461 26,860,231 $ 35,723,068 66.50% 518,676 - 14,133,123 7,066,562 1,503,360 10.64% $ 40,044 20,022 20,922 52.25% 18,950,752 9,475,376 8,374,423 44.19% (14,909) - 2,420,709 1,210,355 1,342,033 55.44% $ 9,668,975 4,834,488 2,717,050 28.10% 4,856 2,428 1,458 30.02% 2,807,446 1,403,723 1,526,198 54.36% $ 101,746,366 50,873,183 $ 51,208,511 50.33% Actual to Date Current Budget Including Y -T -D % Annual Budget (6 months) Encumbrances Expended $ 12,082,053 6,041,027 $ 7,218,374 59.74% 27,518,571 13,759,286 14,757,273 53.63% 136,066 68,033 65,787 48.35% 186,568 93,284 159,880 85.70% 5,256,046 2,628,023 3,142,289 59.78% 27,648,384 13,824,192 13,637,186 49.32% 1,433,793 716,897 705,114 49.18% 20,950,818 10,475,409 10,475,409 50.00% 6,578,594 3,289,297 4,200,965 63.86% 4,608,881 2,304,441 2,323,236 50.41% $ 106,399,774 53,199,887 $ 56,685,512 53.28% Excess(deficiency) of revenues over (under) expenditures $ Other financing sources (uses): Capital Lease Sources Residual Equity Transfers in Transfers out Appropriated Fund Balance Capital Reserve Contingency Total other financing sources (uses) Y -T -D Fund Balance Increase (Decrease) (4,653,408) (2,326,704) $ (5,477,001) $ 1,165,000 $ 582,500 $ - 1,037,351 $ 518,676 - 434,113 $ 217,057 - (448,421) $ (224,211) - 2,495,182 $ 1,247,591 - (29,817) $ (14,909) - $ 4,653,408 $ 2,326,704 $ - $ - $ - $ (5,477,001) Current Year Encumbrances - General Fund $ 5,739,111 BALANCE SHEET - GENERAL FUND December 31, 2012 Assets: General Fund Cash and investments $21,018,760 Taxes receivable, net 41,016,663 Accounts receivable, net 4,285,225 Due from other funds 27,103 Inventories 60,197 Prepaid Items 797,374 Restricted assets: Cash and cash equivalents 44 Accounts receivable 1,938,751 Capital assets: Land and construction in progress 17,675,339 Other capital assets, net 35,626,187 School debt /assets 90,185,253 Total assets $212,630,895 Liabilities: Current liabilities: Accounts payable and accrued liabilities $179,971 Due to other funds 429,646 Unearned revenues 213,915 Deferred revenues 47,774,886 Current portion of long term debt 6,772,737 Total current liabilities 55,371,155 Non- current liabilities: Non - current portion of long term debt 121,143,966 Other post - employment benefits 5,164,299 Non - current portion of compensated absences 2,419,210 Total non- current liabilities 128,727,475 Total Liabilities $184,098,629 Fund Balances: Reserved for Encumbrances Reserved for Debt Service Fund Balance Total Fund Balances Total liabilities and fund balance 5,739,111 574,024 22,219,131 28,532,266 $212,630,895 Harnett County of Harnett U r Y. Financial Summary Report N R E `" ' `A December 31, 2012 Public Utilities Fund Other financing sources (uses): Transfers in Transfers out Total other financing sources (uses) Excess of revenues and other financing sources (uses) over (under) expenditures and other financing sources (uses) (505,097) (252,548.50) - $ (505,097) (252,549) $ - Current Year Encumbrances - Public Utilities $ 3,385,751 $ 5,885,685 Current Budget Y -T -D % Annual Budget (6 months) Actual to Date Collected Revenues: Charges for services $ 22,107,000 11,053,500 $ 16,156,187 73.08% Water and sewer taps 345,000 172,500 133,920 38.82% Investment earnings 5,000 2,500 145 2.90% Johnston County 3,600 1;800 - 0.00% Other operating revenues 2,258,812 1,129,406 1,293,196 57.25% Sale of Other Assets 1,000 500 - 0.00% Capital Outlay Offset - 0 - 0.00% Fund Balance Appropriated 885,097 442,549 - 0.00% Total revenues $ 25,605,509 12,802,755 $ 17,583,448 68.67% Actual to Date Current Budget Including Y -T -D % Annual Budget (6 months) Encumbrances Expended Expenditures: Operating Expenses $ 19,011,328 9,505,664 $ 10,062,336 52.93% Capital Lease Districts 2,792,620 1,396,310 239,739 8.58% Depreciation Expense - 0 - 0.00% Debt Service: 0 Principal 2,216,099 1,108,050 769,337 34.72% Interest 1,080,365 540,183 626,351 57.98% Total expenditures $ 25,100,412 12,550,206 $ 11,697,763 46.60% Revenue over(under) expenditures $ 505,097 $ 252,549 $ 5,885,685 Other financing sources (uses): Transfers in Transfers out Total other financing sources (uses) Excess of revenues and other financing sources (uses) over (under) expenditures and other financing sources (uses) (505,097) (252,548.50) - $ (505,097) (252,549) $ - Current Year Encumbrances - Public Utilities $ 3,385,751 $ 5,885,685 Harnett County of Harnett U N T Y Financial Summary Report C, '; u ` "' December 31, 2012 Solid Waste Fund Revenues: Solid Waste User Fees Other operating revenues Investment Earnings Solid Waste state taxes Capital Outlay Offset Sale of Other Assets Fund Balance Appropriated Total revenues Expenditures: Operating Expenses Depreciation Expense Debt Service: Principal Interest Total expenditures Revenue over(under) expenditures Other financing sources (uses): Bonds and capital lease issuance Bond Premium Revenue Bonds Payment to Escrow Agent Residual Equity Transfer Transfers in Transfers out Total other financing sources (uses) Excess of revenues and other financing sources (uses) over (under) expenditures and other financing sources (uses) 0:00% $ 5,276,223 2,638,112 $ 2,800,654 53.08% Current Budget Y -T -D % Annual Budget (6 months) Actual to Date Collected $ 5,014,623 2,507,312 $ 2,743,155 54.70% 400 200 177 44.25% 200 100 102 51.00% 259,000 129,500 57,219 22.09% - - - 0.00% 2,000 1,000 - 0.00% 0:00% $ 5,276,223 2,638,112 $ 2,800,654 53.08% Current Year Encumbrances -Solid Waste $ 1,882,661 (854,454) Actual to Date Current Budget Including Y -T -D % Annual Budget (6 months) Encumbrances Expended $ 4,924,915 2,462,458 $ 3,551,517 72.11% - - - 0.00% 65,518 32,759 65,518 1.00.00% 85,790 42,895 38,073 44.38% $ 5,076,223 2,538,112 $ 3,655,107 72.00% $ 200,000 100,000 $ (854,454) (200,000) (100,000) - $ (200,000) (100,000) $ - Current Year Encumbrances -Solid Waste $ 1,882,661 (854,454) HARNETT COUNTY, NORTH CAROLINA BALANCE SHEET- PROPRIETARY FUNDS December 31, 2012 Water & Sewer Fund Assets: Current assets: Solid Waste Fund Cash and cash investments $14,999,486 $1,232,741 Accounts receivable, net 2,229,216 2,766,600 Due from other funds 4,325,953 0 Inventory 513,713 0 Prepaid 0 0 Restricted assets: 0 0 Cash and cash investments, restricted 309,928 14 Amounts to be provided /debt 77,526,912 1,885,057 Total current assets 99,905,207 5,884,412 Non - current assets: Land 1,827,526 912,287 Other capital assets, net 177,265,306 2,429,593 Bond issuance cost, net 722,803 39,148 Total non - current assets 179,815,634 3,381,028 Total assets $279,720,842 $9,265,441 Liabilities: Total Liabilities $80,803,723 Current liabilities: $6,432,637 Fund Balances: Accounts payable and accrued liabilities $224,718 $7,210 Due to other funds 0 0 Unearned revenues 113,389 0 Customer Deposits 1,653,720 0 Deferred Revenues 314,122 2,776,247 Current portion of long term debt 2,216,097 65,517 Total current liabilities 4,522,046 2,848,974 Non - current liabilities: Non - current portion of long term debt 75,000,815 1,885,057 Post Closure Liabilities 1,570,845 Other post - employment benefits 740,420 78,910 Non - current portion of compensated absences 540,442 48,850 Total non - current liabilities 76,281,677 3,583,662 Total Liabilities $80,803,723 $6,432,637 Fund Balances: Reserved Encumbrances 3,385,751 1,882,661 Reserved for Debt Service 309,837 0 GAAP Adjustments 1,536,473 0 Fund Balance 193,685,058 950,143 Total Fund Balances 198,917,119 2,832,804 Total liabilities and fund balance $279,720,842 $9,265,441