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CITY OF PARIS, TEXAS Statement 3 <br />Balance Sheet - Governmental Funds (Continued) <br />September 30, 2024 <br />Amounts reported for governmental activities in the statement of net position are different because: <br />Fund Balances - Total Governmental Funds $ 38,273,466 <br />Amounts reported for governmental activities in the statement of net position are different because: <br />Capital and right -to -use assets used in governmental activities are not financial resources and, therefore, <br />are not reported in the funds. (Net of Accumulated Depreciation/Amortization) 41,341,902 <br />Other long-term assets are not available to pay for current period expenditures and, therefore, <br />are deferred or not reflected in the funds. 719,013 <br />Long-term liabilities, including bonds payable and accrued interest, are not due and payable in the <br />current period and, therefore, are not reported in the funds. <br />Included in noncurrent liabilities is the recognition of the City's proportionate share of the net pension asset <br />required by GASB 68 in the amount of $1,577,043, a Deferred Outflow of Resources in the amount of <br />$3,193,734, and a Deferred Inflow of Resources in the amount of $1,051,786. This amounted to an increase <br />in Net Position of $3,718,991. (34,540,598) <br />Included in noncurrent liabilities is the recognition of the City's proportionate share of the total OPEB liability <br />required by GASB 75 in the amount of $3,641,104, a Deferred Outflow of Resources in the amount of <br />$477,043, and a Deferred Inflow of Resources in the amount of $1,066,319. This amounted to a decrease <br />in Net Position of $4,230,380. 3,718,991 <br />Net Position of Governmental Activities <br />21 <br />(4,230,380) <br />$ 45,282,394 <br />