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i <br />1 <br />1 <br />1 <br />1 <br />1 <br />1 <br />1 <br />t <br />1 <br />1 <br />1 <br />1 <br />1 <br />CITY OF LINO LAKES, MINNESOTA <br />STATEMENT OF CASH FLOWS - PROPRIETARY FUNDS <br />Year Ended December 31, 2010 <br />Statement 9 <br />Cash flows from operating activities: <br />Cash receipts from customers <br />Cash paid to suppliers <br />Cash paid to employees <br />Net cash flows from operating activities <br />Cash flows from noncapital financing activities: <br />Net transfers <br />Net cash flows from noncapital financing activities <br />Cash flows from capital and related financing activities: <br />Principal paid on revenue bonds <br />Collection of special assessments <br />Interest and paying agent fees on revenue bonds <br />Net cash flows from (used) by capital and related <br />financing activities <br />Cash flows from investing activities: <br />Interest on investments <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 to net cash <br />from operating activities: <br />Operating income <br />Adjustments to reconcile operating income to <br />net cash flows from operating activities: <br />Depreciation <br />Change in assets and liabilities: <br />Decrease (increase) in receivables <br />Decrease (increase) in prepaid items <br />Decrease (increase) in inventory <br />Increase (decrease) in payables <br />Net cash flows from operating activities <br />Noncash investing, capital, and financing activities: <br />Capital asset contributions from government <br />The accompanying notes are an integral part of these basic financial statements. <br />32 <br />Water <br />Sewer <br />Total <br />2010 <br />$ 1,104,291 $ 1,490,913 $ 2,595,204 <br />(419,725) (863,689) (1,283,414) <br />(171,142) (172,792) (343,934) <br />513,424 454,432 967,856 <br />(34,061) <br />(34,061) <br />(375,000) <br />17,164 <br />(36,344) <br />(394,180) <br />37,249 <br />122,432 <br />3,432,696 <br />$ 3,555,128 <br />(34,061) <br />(34,061) <br />(694) <br />(694) <br />67,521 <br />487,198 <br />5,750,402 <br />$ 6,237,600 <br />(68,122) <br />(68,122) <br />(375,000) <br />16,470 <br />(36,344) <br />(394,874) <br />104,770 <br />609,630 <br />9,183,098 <br />$ 9,792,728 <br />$ 76,730 $ 31,371 $ 108,101 <br />426,861 <br />17,070 <br />233 <br />15,299 <br />(22,769) <br />$ 513,424 <br />445,956 <br />872,817 <br />(7,306) 9,764 <br />2 235 <br />15,299 <br />(15,591) (38,360) <br />454,432 $ 967,856 <br />$ 57,200 $ 18,000 $ 75,200 <br />