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Total Adjustments <br />2,»4986 <br />Net Cash Provided by Operating Activities <br />$ 7,237,481 <br />Noncash Investing, Capital, and Financing Activities <br />Adjustment in Estimate of Asset Retirement Obligation <br />$ 167,000 <br />Increase in Deferred Outflow of Resources - Asset Retirement Obligation <br />(167,000) <br />The accompanying notes to the financial statements are an integral part of this statement. <br />27 <br />CITY OF PARIS, TEXAS <br />Statement 10 <br />Statement of Fiduciary Net Position <br />Fiduciary Fund <br />September 30, 2024 <br />Custodial Fund <br />Court Costs <br />and Fees <br />ASSETS <br />Cash and Cash Equivalents $ 17,326 Due from Other Funds <br />640 <br />Total Assets <br />LIABILITIES <br />Accounts Payable to State <br />Total Liabilities <br />NET POSITION <br />Total Net Position <br />17,966 <br />