9321-R4_ML&P_TownOfBuxton_2024-2025
TABLE 1
TOWN OF BUXTON, MAINE NET POSITION (EXCERPT FROM MANAGEMENT’S DISCUSSION AND ANALYSIS) JUNE 30, 2025 and 2024 SCHEDULE 1 TOWN OF BUXTON, MAINE BUDGETARY COMPARISON SCHEDULE - BUDGETARY BASIS
BUDGET AND ACTUAL - GENERAL FUND FOR THE YEAR ENDED JUNE 30, 2025
2024
2025
(Restated)
Assets: Current Assets
Variance Positive (Negative)
$ 8,865,801
$ 9,280,915
Budgeted Amounts
Actual
Noncurrent Assets - Capital Assets
9,248,595 Final
8,908,210
Original
Amounts
Total Assets
18,114,396 18,189,125
Budgetary Fund Balance, July 1
$ 7,357,343 $ 7,357,343 $ 7,357,343
$
-
Deferred Outflows of Resources: Deferred Outflows Related to OPEB Deferred Outflows Related to Pension Total Deferred Outflows of Resources
Resources (Inflows): Property taxes
73,868 675,843 749,711 2,034,000 1,881,324 818,250 272,500 666,809 1,678,621 2,345,430 10,000
91,697 519,729 611,426
15,645,816 15,645,815
15,739,222 2,236,386 1,944,074
93,407 202,386 62,750 177,884 71,603 68,355 676,385 156,632 155,141 69,852 81,001
Excise taxes
2,034,000 1,881,324 818,250 272,500
Liabilities: Current Liabilities Noncurrent Liabilities Amounts Available for Appropriation Charges to Appropriations (Outflows): General government Total Liabilities Intergovernmental Charges for services Investment income Miscellaneous revenues
996,134
992,135 1,583,937 2,576,072 344,103 78,355
10,000
28,019,233 28,019,232
28,695,617
Deferred Inflows of Resources: Prepaid Taxes Deferred Revenue - ARPA Deferred Inflows Related to OPEB Deferred Inflows Related to Pension Total Deferred Inflows of Resources Net Position: Net Investment in Capital Assets Restricted: Nonexpendable
3,263,602 3,706,638 1,128,358
41,053 3,402,702 3,828,553 1,135,558 168,860 - 149,234 149,237 339,524 1,538,459 537,053
3,246,070 3,673,412 1,065,706 10,206,819 1,461,545
32,366 184,565 158,838 162,227 537,996 87,859
Public safety
Health and welfare Recreation and culture
83,340
Education Public works County tax Unclassified Debt service: Principal
10,206,819 10,206,819
-
1,538,459 537,053
76,914
537,053 49,415
-
91,428
91,428
42,013
8,831,405 60,705 172,085 7,114,958 90,000 9,620 1,521,593
8,237,312 55,100 150,371 7,243,700 90,000 7,249 821,180
90,000 9,620 969,620
-
Interest
2,371
Expendable
Capital outlay
700,413 1,284,337
Unrestricted
$ 16,179,153 15,686,483 $ 21,246,308
Total Net Position Total Charges to Appropriations
21,624,937 22,530,645
Budgetary Fund Balance, June 30
$ 6,394,296 $ 5,488,587 $ 7,449,309 $ 1,960,722
Utilization of assigned fund balance Utilization of unassigned fund balance
$
64,380 $
970,089 898,667
$
- - -
$ (970,089)
898,667
(898,667)
$
963,047 $ 1,868,756
$
$ (1,868,756)
See accompanying independent auditor’s report and notes to financial statements.
See accompanying independent auditor’s report and notes to financial statements.
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