Page 24 - 2018-2019 MVUAnnual Report
P. 24

CITY OF MORENO VALLEY, CA
                                           Statement of Net Position
                                           Proprietary Funds

                                           JUNE 30, 2019



                                                                                                      Enterprise Fund-
                                                                                                           ELECTRIC

                                           ASSETS
                                           Current Assets:
                      2018/2019
                                              Pooled cash and investments (note 3)                      $17,354,929
                                              Receivables:
                                              Accounts                                                   $3,850,051
                                              Prepaid costs                                                 $25,251
                                              Inventories                                                  $417,905
                                           Restricted:
                                              Cash with fiscal agent (note 3)                           $15,501,854
                                              Total Current Assets                                      $37,149,990
                                           Noncurrent Assets
                                              Capital assets - net of accumulated depreciation          $68,229,297
                                              Total Noncurrent Assets                                   $68,629,297
          FINANCIALS
                                              Total Assets                                             $105,779,287
                                           DEFERRED OUTFLOWS
                                           OF RESOURCES
                                              Deferred outflows of resources related to pensions           $360,121
                                              Deferred outflows of resources related to OPEB                $34,585
                                              Deferred outflows - Utility Network                        $5,146,841
                                              Total Deferred Outflows of Resources                       $5,541,547
                                              Total Assets and Deferred Outflows of Resources          $111,320,834
                                           LIABILITIES
                                           Current Liabilities:
                                              Accounts payable                                           $4,215,929
                                              Accrued interest                                             $456,951
                                              Unearned revenue                                              $25,980
                                              Deposits payable                                           $1,437,899
                                              Compensated absences (note 6)                                $177,263
                                              Self-insurance payable (note 12)                                    -
                                              Bonds, notes, and loans payable (note 6)                    $1,215,243
                                              Total Current Liabilities                                  $7,529,265
                                           Noncurrent Liabilities:
                                              Compensated absences (note 6)                                $118,175
                                              Self-insurance payable (note 12)                                    -
                                              Bonds, notes and loans payable (note 6)                   $57,398,279
                                              Net pension liability                                       $1,838,570
                                              Net OPEB liability                                           $230,098
                                              Total Noncurrent Liabilities                              $59,585,122
                                              Total Liabilities                                         $67,114,387

                                           DEFERRED INFLOWS
                                           OF RESOURCES
                                              Deferred inflows of resources related to pensions             $28,004
                                              Deferred inflows of resources related to OPEB                 $30,517
                                              Total Deferred Inflows of Resources                           $58,521

                                           NET POSITION
                                              Net investment in capital assets                          $25,289,496
                                              Restricted for public purpose programs                      $6,125,796
                                              Unrestricted:                                             $12,732,634
                                              Total Net Position                                        $44,147,926
                                              Total Liabilities, Deferred Inflows of
                                              Resources and Net Position                               $111,320,834
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