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HomeMy WebLinkAbout11-00351 04-25-2011 Financial SummarySEOPW COMMUNITY REDEVELOPMENT AGENCY FINANCIAL REPORT March 31, 2011 ATTACHMENTS 1. COMBINED STATEMENT OF FINANCIAL POSITION — ALL FUNDS 2. COMBINED STATEMENT OF REVENUES AND EXPENDITURES SEOPW CRA Combined Statement of Financial Position March 31, 2011 Assets Cash - Unrestricted 1 Cash Reserved For Projects and Operations 2 Total Assets Liabilities and Fund Balance Account Payables Due to General Operating Fund FY 2010 Audited Fund Balance Current Year Fiscal Year 2011 Total Liabilities and Fund Balance Footnotes: SEOPW $120,000 $28,976,274 $29,096,274 $305,314 $17, 865, 766 $10,925,195 Cash - Unrestricted This represents unspent income carried forward from year to year. Available TIF funds 2 Cash - Reserved For Projects and Operations $29,096,274 SEOPW $120,000 $120,000 This portion of cash includes reserves authorized by the Board for specific uses. These include specific projects and general administrative expenses to ensure continuity of operations. SEOPW CRA Combined Statement of Revenues and Expenditures for the period ended March 31, 2011 SOUTHEAST OVERTOWN PARK WEST FY 2011 FY 2011 FY 2011 APPROVED AS END % of BUDGET OF Mar Budget Variance SUMMARY I REVENUES I TAX INCREMENT REVENUES $6,845,971 $6,845,971 $1 $0 CONTRIBUTION GOVTS-COUNTY $4,865,405 $4,865,405 $1 $0 CHILDREN TRUST FUND CONTRIBUTION $0 $465,702 -$465,702 OTHER REVENUES/CARRYOVER FB 2010 $17,865,766 $20,334 $0 $17,845,432 I TOTAL REVENUES $29,577,142 $12,197,412 $0 $17,379,730 I EXPENDITURES I COMMUNITY REDEV EXPENSES $28,857,142 $966,903 $0 $27,890,239 GENERAL GOVERNMENT $$00,000 $305,314 $1 $294,686 BUDGET RESERVE $120,000 $0 $120,000 TRANSFER INTO FY 2011 TOTAL EXPENDITURES $29,577,142 $1,272,217 $0 $24,427,874 I I REVENUE LESS EXPENDITURES $10,925,195 I I