PADRE DAM

Padre Dam 2020 Annual Report

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Operating Expenses $4.0M Debt Service $0.9M Capital Outlays $4.7M Fish Stock/Propane $0.1M Park Purchases $0.1M OUTFLOWS Park Fees $6.2M INFLOWS PARK Revenue Park Fees Other Revenues Total Operating Revenues Direct Costs Fish Stock / Propane Park Purchases Total Direct Costs Revenues Available for Operating Expenses Operating Expenses Salary and Wages Employee Benets Professional Services Materials, Supplies, Vehicle and Building Administrative Expenses Utilities Billing Credits Operating Expenses before Depreciation Depreciation / Amortization Operating Income Non-Operating Activity Interest Expense Interest Income Total Non-Operating Activity Change in Net Assets Fund Balances ADD: Depreciation and Amortization Financing DEDUCT: Capital Improvement and Equipment Debt - Principal Cash Generated Beginning Fund Balance Ending Fund Balance $6,177,597 $5,635 $6,183,232 $95,358 $121,364 $216,722 $5,966,510 $1,331,817 $830,546 $296,030 $690,138 $94,372 $807,270 ($13,547) $4,036,626 $953,688 $976,196 ($276,358) $55,852 ($220,506) $755,690 $953,688 $5,005,128 ($4,684,477) ($638,586) $1,391,443 $4,644,367 $6,035,810 $11.2M TOTAL $9.9M TOTAL FY 2020 PARK Audited Financials Transfers in for Capital $5.0M 2020 Annual Report 23

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