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06-14-2021 Council Packet
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06-14-2021 Council Packet
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11/4/2021 10:53:20 AM
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City Council
Council Document Type
Council Packet
Meeting Date
06/14/2021
Council Meeting Type
Regular
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CITY OF LINO LAKES, MINNESOTA <br />BALANCE SHEET <br />GOVERNMENTAL FUNDS <br />December 31, 2020 <br />333 G.O. <br />Improvement <br />General Fund Note of 2009A <br />Assets <br />Cash and investments $9,496,886 $ - <br />Accrued interest receivable 167,976 - <br />Due from other governmental units 59,417 - <br />Accounts receivable - net 37,606 - <br />Prepaid items 315,224 - <br />Advances to other funds - - <br />Taxes receivable: <br />Due from county 290,917 - <br />Delinquent 131,631 - <br />Special assessments receivable: <br />Due from county - - <br />Delinquent - 280 <br />Deferred 169 2,164,522 <br />Interfund loan receivable - - <br />Total assets $10,499,826 $2,164,802 <br />Liabilities, Deferred Inflows of Resources, and Fund Balances <br />Liabilities: <br />Accounts payable $313,147 $ - <br />Salaries payable 290,014 - <br />Due to other governmental units 64,475 - <br />Advances from other funds - - <br />Retainage payable - - <br />Deposits payable 2,172,668 - <br />Interfund loan payable - - <br />Total liabilities 2,840,304 0 <br />Deferred inflows of resources: <br />Unavailable revenue 131,800 2,164,802 <br />Fund balance: <br />Nonspendable 315,224 - <br />Restricted - - <br />Committed 425,000 - <br />Assigned - - <br />Unassigned 6,787,498 - <br />Total fund balance 7,527,722 0 <br />Total liabilities, deferred inflows of $10,499,826 $2,164,802 <br /> resources, and fund balance <br />The accompanying notes are an integral part of these financial statements. <br />34
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