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Assets <br />Cash and Cash Equivalents <br />Investments <br />Receivables (Net of Allowance <br />for Uncollectibles) <br />Leases Receivable <br />Inventories <br />Prepaid Assets <br />Net Pension Asset <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 />Right -to -Use Assets, Net of Amortization <br />Total Assets <br />Deferred Outflows of Resources <br />Deferred Outflows Related to Asset <br />Retirement Obligation <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, 2022 <br />Primary Government <br />Governmental Business -Type <br />Activities Activities Total <br />Statement I <br />Component <br />Unit <br />Economic <br />Development <br />$ 13,692,416 <br />$ 14,655,205 <br />$ 28,347,621 <br />$ 2,981,322 <br />8,043,206 <br />745,065 <br />8,788,271 <br />2,131,500 <br />8,465,494 <br />2,732,269 <br />11,197,763 <br />353,246 <br />1,865,100 <br />- <br />1,865,100 <br />- <br />248,423 <br />499,623 <br />748,046 <br />- <br />145,724 <br />- <br />145,724 <br />5,950 <br />- <br />1,021,114 <br />1,021,114 <br />- <br />1,175,869 <br />7,106,204 <br />8,282,073 <br />1,140,288 <br />40,271,285 <br />41,411,573 <br />716,543 <br />- <br />716,543 <br />- <br />- <br />- <br />- <br />3,858,276 <br />- <br />3,171,289 <br />3,171,289 <br />- <br />6,101,909 <br />339,619 <br />6,441,528 <br />1,484,125 <br />41,652,435 <br />43,136,560 <br />9,652,918 <br />23,609,694 <br />33,262,612 <br />2,130,906 <br />- <br />2,130,906 <br />- <br />4,819,859 <br />1,771,306 <br />6,591,165 <br />1,264 <br />16,172,728 <br />- <br />16,172,728 <br />- <br />226,793 <br />- <br />226,793 <br />- <br />76,082,301 <br />137,575,108 <br />213,657,409 <br />9,331,558 <br />- <br />2,707,600 <br />2,707,600 <br />- <br />13,873,084 <br />178,764 <br />14,051,848 <br />485,320 <br />38,529 <br />523,849 <br />14,358,404 <br />2,924,893 <br />17,283,297 <br />The accompanying notes to the financial statements are an integral part of this statement. <br />13 <br />