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ELK RIVER MUNICIPAL UTILITIES <br />ELK RIVER, MINNESOTA <br />COMBINED BALANCE SHEET <br />FOR PERIOD ENDING NOVEMBER 2024 <br />ELECTRIC <br />WATER <br />ASSETS <br />CURRENT ASSETS <br />CASH <br />5,599,803 <br />5,822,103 <br />ACCOUNTS RECEIVABLE <br />3,124,603 <br />5,492,763 <br />INVENTORIES <br />1,746,242 <br />66,147 <br />PREPAID ITEMS <br />255,641 <br />58,894 <br />CONSTRUCTION IN PROGRESS <br />3,281,158 <br />3,348,085 <br />TOTAL CURRENT ASSETS <br />14,007,446 <br />14,787,991 <br />RESTRICTED ASSETS <br />BOND RESERVE FUND <br />1,779,016 <br />0 <br />EMERGENCY RESERVE FUND <br />7,362,685 <br />4,219,152 <br />UNRESTRICTED RESERVE FUND <br />0 <br />0 <br />TOTAL RESTRICTED ASSETS <br />9,141,701 <br />4,219,152 <br />FIXED ASSETS <br />PRODUCTION <br />824,065 <br />17,087,067 <br />LEG PROJECT <br />0 <br />0 <br />TRANSMISSION <br />2,305,024 <br />0 <br />DISTRIBUTION <br />51,039,597 <br />28,171,542 <br />GENERAL <br />24,838,418 <br />1,249,095 <br />FIXED ASSETS (COST) <br />79,007,104 <br />46,507,705 <br />LESS ACCUMULATED DEPRECIATION <br />(36,629,962) <br />(24,375,690) <br />TOTAL FIXED ASSETS, NET <br />42,377,142 <br />22,132,015 <br />INTANGIBLE ASSETS <br />POWER AGENCY MEMBERSHIP BUY -IN <br />21,546,212 <br />0 <br />LOSS OF REVENUE INTANGIBLE <br />6,223,278 <br />0 <br />LESS ACCUMULATED AMORTIZATION <br />(4,119,016) <br />0 <br />TOTAL INTANGIBLE ASSETS, NET <br />23,650,474 <br />0 <br />OTHER ASSETS AND DEFERRED OUTFLOWS <br />690,058 <br />126,311 <br />TOTAL ASSETS <br />89,866,821 <br />41,265,469 <br />LIABILITIES AND FUND EQUITY <br />CURRENT LIABILITIES <br />ACCOUNTS PAYABLE <br />4,937,743 <br />422,358 <br />SALARIES AND BENEFITS PAYABLE <br />805,044 <br />122,406 <br />DUE TO CITY <br />757,985 <br />2,250 <br />DUE TO OTHER FUNDS <br />0 <br />0 <br />NOTES PAYABLE -CURRENT PORTION <br />0 <br />0 <br />BONDS PAYABLE -CURRENT PORTION <br />0 <br />0 <br />UNEARNED REVENUE <br />1,998 <br />455,414 <br />TOTAL CURRENT LIABILITIES <br />6,502,769 <br />1,002,428 <br />LONG TERM LIABILITIES <br />OPEB LIABILITY <br />0 <br />0 <br />LEG PROJECT <br />0 <br />0 <br />DUE TO COUNTY <br />0 <br />0 <br />DUE TO CITY <br />0 <br />0 <br />BONDS PAYABLE, LESS CURRENT PORTION <br />28,205,388 <br />1,555,849 <br />PENSION LIABILITIES <br />2,720,477 <br />500,450 <br />TOTAL LONG TERM LIABILITIES <br />30,925,865 <br />2,056,299 <br />TOTAL LIABILITIES <br />37,428,634 <br />3,058,727 <br />DEFERRED INFLOWS OF RESOURCES <br />836,813 <br />4,937,984 <br />FUND EQUITY <br />CAPITAL ACCOUNT CONST COST <br />1,779,016 <br />0 <br />CONTRIBUTED CAPITAL <br />0 <br />0 <br />RETAINED EARNINGS <br />46,802,217 <br />33,120,013 <br />NET INCOME (LOSS) (THROUGH PREVIOUS MONTH) <br />3,020,141 <br />148,745 <br />TOTAL FUND EQUITY <br />51,601,374 <br />33,268,758 <br />TOTAL LIABILITIES & FUND EQUITY <br />89,866,821 <br />41,265,469 <br />a <br />