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I <br />I <br />I <br />CITY OF ORONO, MINNESOTA <br />Comprehensive Annual Financial Report <br />Table of Contents (continued) <br />COMBINING AND INDIVIDUAL FUND STATEMENTS (CONTINUED) <br />Drug and Felony Forfeiture Fund <br />Statement of Revenue, Expenditures, and Changes in <br />Fund Balance - Budget and Actual (GAAP Basis) <br />Debt Service Funds <br />Combining Balance Sheet <br />Combining Statement of Revenue, Expenditures, <br />and Changes in Fund Balance <br />Capital Project Funds <br />Combining Balance Sheet <br />Combining Statement of Revenue, Expenditures, <br />and Changes in Fund Balance <br />Enterprise Funds <br />Combining Balance Sheet <br />Combining Statement of Revenue, Expenses, <br />and Changes in Retained Earnings <br />Combining Statement of Cash Flows <br />Water Operating Fund <br />Comparative Balance Sheet <br />Comparative Statement of Revenue, Expenses, <br />and Changes in Retained Earnings <br />Comparative Statement of Cash Flows <br />Sewer Operating Fund <br />Comparative Balance Sheet <br />Comparative Statement of Revenue, Expenses, <br />and Changes in Retained Earnings <br />Comparative Statement of Cash Flows <br />Golf Course Operating Fund <br />Comparative Balance Sheet <br />Comparative Statement of Revenue, Expenses, <br />and Changes in Retained Earnings <br />Comparative Statement of Cash Flows <br />FINANCIAL SCHEDULES <br />Comparative Schedule of General Fixed Assets by Source <br />Schedule of General Fixed Assets by Function and Activity <br />Schedule of Changes in General Fixed Assets <br />by Function and Activity <br />Future Property Tax Levies to Retire Bonds <br />Exhibit <br />C-6 <br />D-I <br />D-2 <br />E-1 <br />E-2 <br />F-1 <br />F-2 <br />F-3 <br />F-4 <br />F-5 <br />F-6 <br />F-7 <br />F-8 <br />F-9 <br />F-10 <br />F-11 <br />F-12 <br />1 <br />2 <br />3 <br />4 <br />Page <br />61 <br />62 <br />63-64 <br />65-66 <br />67 <br />68-69 <br />70-71 <br />72 <br />73-74 <br />75-76 <br />77-78 <br />79-80 <br />81 <br />82 <br />83-84 <br />85 <br />86 <br />88 <br />89 <br />90 <br />91 <br />92 <br />93