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ELK RIVER MUNICIPAL UTILITIES <br />ELK RIVER, MINNESOTA <br />WATER BALANCE SHEET <br />Current Month <br />Change from <br />November 30, 2024 <br />October 31, 2024 <br />Prior Month <br />ASSETS <br />CURRENT ASSETS <br />CASH <br />5,822,103 <br />5,666,528 <br />155,575 <br />ACCOUNTS RECEIVABLE <br />5,492,763 <br />5,586,707 <br />(93,944) <br />INVENTORIES <br />66,147 <br />60,706 <br />5,440 <br />PREPAID ITEMS <br />58,894 <br />57,202 <br />1,692 <br />CONSTRUCTION IN PROGRESS <br />3,348,085 <br />3,260,091 <br />87,994 <br />TOTAL CURRENT ASSETS <br />14,787,991 <br />14,631,233 <br />156,757 <br />RESTRICTED ASSETS <br />EMERGENCY RESERVE FUND <br />4,219,152 <br />4,213,228 <br />5,924 <br />TOTAL RESTRICTED ASSETS <br />4,219,152 <br />4,213,228 <br />5,924 <br />FIXED ASSETS <br />PRODUCTION <br />17,087,067 <br />17,072,086 <br />14,982 <br />DISTRIBUTION <br />28,171,542 <br />28,138,612 <br />32,930 <br />GENERAL <br />1,249,095 <br />1,246,964 <br />2,132 <br />FIXED ASSETS (COST) <br />46,507,705 <br />46,457,662 <br />50,043 <br />LESS ACCUMULATED DEPRECIATION <br />(24,375,690) <br />(24,275,504) <br />(100,186) <br />TOTAL FIXED ASSETS, NET <br />22,132,015 <br />22,182,158 <br />(50,142) <br />INTANGIBLE ASSETS <br />OTHER ASSETS AND DEFERRED OUTFLOWS <br />126,311 <br />126,311 <br />0 <br />TOTAL ASSETS <br />41,265,469 <br />41,152,930 <br />112,539 <br />LIABILITIES AND FUND EQUITY <br />CURRENT LIABILITIES <br />ACCOUNTS PAYABLE <br />422,358 <br />318,771 <br />103,587 <br />SALARIES AND BENEFITS PAYABLE <br />122,406 <br />124,659 <br />(2,254) <br />DUE TO CITY <br />2,250 <br />2,476 <br />(226) <br />UNEARNED REVENUE <br />455,414 <br />455,414 <br />0 <br />TOTAL CURRENT LIABILITIES <br />1,002,428 <br />901,321 <br />101,108 <br />LONG TERM LIABILITIES <br />BONDS PAYABLE, LESS CURRENT PORTION <br />1,555,849 <br />1,556,403 <br />(554) <br />PENSION LIABILITIES <br />500,450 <br />500,450 <br />0 <br />TOTAL LONG TERM LIABILITIES <br />2,056,299 <br />2,056,853 <br />(554) <br />TOTAL LIABILITIES <br />3,058,727 <br />2,958,174 <br />100,553 <br />DEFERRED INFLOWS OF RESOURCES <br />4,937,984 <br />4,937,984 <br />0 <br />FUND EQUITY <br />RETAINED EARNINGS <br />33,120,013 <br />33,120,013 <br />0 <br />NET INCOME (LOSS) (THROUGH PREVIOUS MONTH) <br />148,745 <br />136,760 <br />11,985 <br />TOTAL FUND EQUITY <br />33,268,758 <br />33,256,773 <br />11,985 <br />TOTAL LIABILITIES & FUND EQUITY <br />41,265,469 <br />41,152,930 <br />112,539 <br />56 <br />