7969-R3_ML&P_TownOfBuxton_2020-2021_Web
SCHEDULE 1
TOWN OF BUXTON, MAINE
TABLE 1
TOWN OF BUXTON, MAINE NET POSITION JUNE 30, 2021 AND 2020 BUDGETARY COMPARISON SCHEDULE - BUDGETARY BASIS BUDGET AND ACTUAL - GENERAL FUND FOR THE YEAR ENDED JUNE 30, 2019
Variance Positive (Negative)
Actual
Budgeted Amounts
2020
Original
Final
Amounts
2021
(Restated)
Assets: Current Assets Budgetary Fund Balance, July 1 Resources (Inflows): Property taxes Noncurrent Assets - Capital Assets
3,533,550 $
3,533,550 $
3,533,550 $
$
-
6,259,879 $ 8,016,128 14,276,007
5,020,354 $ 8,138,108 13,158,462
11,005,760 1,582,500
11,005,760 1,582,500
10,924,771 1,873,782
(80,989) 291,282 48,957 61,346 81,198 17,374 419,168
Total Assets
Excise taxes
Intergovernmental
795,780 532,900 39,500
795,780 532,900 39,500
844,737 594,246 12 ,698
Deferred Outflows of Resources: Deferred Outflows Related to OPEB Total Deferred Outflows of Resources Charges for services Investment income Miscellan ous reven es
83,452 83,452
78,210 78,210
2,000
2,000
9,374
Liabilities: Current Liabilities Noncurrent Liabilities Charges to Appropriations (Outflows): General government Amounts Available for Appropriation
17,491,990
17,491,990
17,911,158
576,592 1,588,145 2,164,737
549,206 1,887,902 2,437,108
1,817,756 2,231,815
1,854,676 2,325,730
1,75 ,093 2, 80,726
102,583 145,004 27,170 57,914
Total Liabilities Public safety Health and welfare
772,524 127,221
779,857 178,629
752,687 120,715
Deferred Inflows of Resources: Prepaid Taxes Deferred Inflows Related to OPEB Total Deferred Inflows of Resources Net Position: Net Investment in Capital Assets Restricted: Nonexpendable Recreation a d culture Education Public works County tax Unclassified Debt service: Principal Interest
33,281 15,514 48,795
26,782 18,281 45,063
7,423,641 1,139,497
7,423,641 ,203,339
7,423,641 1,0 0,324
-
123,015
418,678 51,407
418,678 58,088
418,678 49,371
-
8,717
6,384,818 55,100 119,298 5,586,711
6,132,866 11,343 166,699 4,443,593
90,000 32,441 300,955
90,000 32,441 338,876
90,000 32,441 2 ,587
- -
Expendable
Unrestricted Capital outlay
39,289 503,692
Total Charges to Appropriations
14,405,935
14,703,955
14,200,263
Total Net Position
12,145,927 $
10,754,501 $
Budgetary Fund Balance, June 30
3,086,055 $
2,788,035 $
3,710,895 $
$
922,860
Utilization of assigned fund balance Utilization of unassigned fund balance
$
-
$
261,020 484,495 745,515
$
- - -
(261,020) $
447,495 447,495
(484,495)
$
$
$
(745,515) $
See accompanying independent auditors’ report and notes to financial statements.
See accompanying independent auditors’ report and notes to financial statements.
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