Assets
<br />Cash and Cash Equivalents
<br />Investments
<br />Receivables (Net of Allowance
<br />for Uncollectibles)
<br />Inventories
<br />Prepaid Assets
<br />Restricted Assets
<br />Cash and Cash Equivalents
<br />Investments
<br />Due from Other Governments
<br />Land Development Costs
<br />Water Rights (Net of
<br />Accumulated Amortization)
<br />Capital Assets Not
<br />Being Depreciated
<br />Land
<br />Construction in Progress
<br />Capital Assets (Net of
<br />Accumulated Depreciation)
<br />Buildings and System
<br />Improvements Other Than
<br />Buildings
<br />Machinery and Equipment
<br />Infrastructure
<br />Total Assets
<br />Deferred Outflows of Resources
<br />Deferred Outflows Related to Pensions
<br />Deferred Outflows Related to OPEB
<br />Total Deferred Outflows of Resources
<br />CITY OF PARIS, TEXAS
<br />Statement of Net Position
<br />September 30, 2020
<br />Statement 1
<br />The accompanying notes to the financial statements are an integral part of this statement.
<br />13
<br />Component
<br />Primary Government
<br />Unit
<br />Governmental
<br />Business -Type
<br />Economic
<br />Activities
<br />Activities
<br />Total
<br />Development
<br />$ 13,409,243
<br />$ 2,961,149
<br />$ 16,370,392
<br />$ 1,710,816
<br />6,316,983
<br />292,178
<br />6,609,161
<br />2,112,151
<br />4,490,413
<br />2,463,373
<br />6,953,786
<br />330,223
<br />500,495
<br />257,187
<br />757,682
<br />-
<br />53,625
<br />-
<br />53,625
<br />-
<br />117,301
<br />7,775,174
<br />7,892,475
<br />-
<br />341,420
<br />5,242,862
<br />5,584,282
<br />-
<br />1,820,326
<br />-
<br />1,820,326
<br />-
<br />-
<br />-
<br />-
<br />2,210,002
<br />-
<br />3,242,554
<br />3,242,554
<br />-
<br />5,950,108
<br />339,620
<br />6,289,728
<br />-
<br />6,664,407
<br />33,953,797
<br />40,618,204
<br />-
<br />10,496,986
<br />28,270,660
<br />38,767,646
<br />-
<br />2,664,467
<br />-
<br />2,664,467
<br />-
<br />3,784,517
<br />1,114,401
<br />4,898,918
<br />4,022
<br />11,566,617
<br />-
<br />11,566,617
<br />-
<br />68,176,908
<br />85,912,955
<br />154,089,863
<br />6,367,214
<br />1,634,296
<br />171,157
<br />1,805,453
<br />-
<br />334,164
<br />31,764
<br />365,928
<br />-
<br />1,968,460
<br />202,921
<br />2,171,381
<br />-
<br />The accompanying notes to the financial statements are an integral part of this statement.
<br />13
<br />
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