Cr'!CIAL Ft~.[COPY. DONOTSL'NDour. (Xerox copiesfromthis cowar~i~,ce TOWNOFWH ITECASTLE, FINANCIALREPORT. September30,I97
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1 DONOTSL'NDour Cr'!CIAL Ft~.[COPY (Xerox copiesfromthis cowar~i~,ce TOWNOFWH ITECASTLE, FINANCIALREPORT September30,I97 Underprovisionsofstate;aw,th~s reportisapublicdocumf~nt.a copyofthereporthasbensubmittedtotheaudited,oreviews.d, entityandotherapropri~,ter:.'l:',ic of,~;c!als.",'hereportisavailabi~;or publicinspecticnatheb~,.ton Rcdge,'.~ficeoftheLegis!ativeAuditorand,whereaprog,riate,athe oficeoftheparishclerkofcourt. ReleaseDatei~'i~t~2.5~ajg~
2 TOWNOFWHITECASTLE,LOUISIANA TABLEOFCONTENTS INDEPENDENTAUDITORS'REPORT GeneralPurposeFinancialStatements(CombinedStatements- September30,197 Overview) CombinedBalanceShet-AlFundTypesandAcountGroups CombinedStatementofRevenues,ExpendituresandChangesin A-l FundBalances-AlGovernmentalFundTypes A-2 CombinedStatementofRevenues,ExpendituresandChangesin FundBalances-Budget(GAPBasis)andActual-Al A-3 CombinedStatementsofRevenues,ExpensesandChangesin GovernmentalFundTypes RetainedEarnings-AlProprietaryFundTypes A-4 CombinedStatementsofCashFlows-AlProprietaryFundTypes A-5 FinancialStatementsofIndividualFundsandAcountGroups NotestoFinancialStatements A-6 GeneralFund BalanceShet StatementofRevenues,ExpendituresandChangesinFund StatementofDepartmentalExpenditures-Budget(GAPBasis) Balance-Budget(GAPBasis)andActual andactual B-2 BB-1 SpecialRevenueFunds CombiningBalanceShet CombiningStatementofRevenues,ExpendituresandChanges CC-1C-2 StatementofRevenues,ExpendituresandChangesinFund infundbalances Balance-Budget(GAPBasis)andActual-SalesTax Fund
3 TABLEOFCONTENTS(Continued) FinancialStatementsofIndividualFundsand AcountGroups(continued) SpecialRevenueFunds(Continued) StatementofRevenues,ExpendituresandChangesinFund Balance-Budget(GAP)BasisandActual-Section8 C-3 DebtServiceFunds CombiningBalanceShet CombiningStatementofRevenues,ExpendituresandChanges infundbalances D CapitalProjectFund BalanceShet StatementofRevenues,ExpendituresandChangesinFundBalance E-1 E 4041 Proprietary(Enterprise)Funds CombiningBalanceShet CombiningStatementofRevenues,ExpensesandChangesin CombiningStatementofCashFlows CombiningStatementofOperatingExpenses RetainedEarnings FF-I 4345 F-2F GeneralFixedAsetsAcountGroup StatementofGeneralFixedAsets G 49 GeneralLong-TermDebtAcountGroup CombiningStatementofGeneralLong-TermDebt SCHEDULES(SuplementaryFinancialInformation) Page53 51 OperatingTransfers CombinedScheduleofBondedDebt PublicImprovementBonds,Series192,DatedMarch1, SewerRevenueBonds,DatedMay25,194 SewerageCustomers 5657 InsuranceinForce 58 SPECIALINDEPENDENTAUDITORS'REPORTS ReportonComplianceBasedonanAuditofGeneral-PurposeFinancial StatementsPerformedinAcordancewithGovernmentAuditing Standards 60 ReportonInternalControlStructureBasedonanAuditofGeneral- PurposeFinancialStatementsPerformedinAcordancewith GovernmentAuditingStandards
4 INDEPENDENTAUDITORS'REPORT TheHonorableMayorand MembersoftheBoardofAldermen TownofWhiteCastle,Louisiana combining,individualfund,andacountgroupsfinancialstatementsofthetownofwhite Wehaveauditedtheacompanyingeneralpurposefinancialstatementsandthe CASTLE,LOUISIANAasofandfortheyearendedSeptember30,197,aslistedinthe acompanyingtableofcontents.thesefinancialstatementsaretheresponsibilityofthe TOV~q~'smanagement.Ouresponsibilityistoexpresanopiniononthesegeneralpurpose financialstatementsbasedonouraudit. GovernmentAuditingStandards,isuedbytheComptrolerGeneraloftheUnitedStates.Those Weconductedourauditinacordancewithgeneralyaceptedauditingstandardsand standardsrequirethatweplanandperformtheauditobtainreasonableasuranceabout whetherthefinancialstatementsarefreofmaterialmistatement.anauditincludesexamining, onatestbasis,evidencesuportingtheamountsandisclosuresinthegeneralpurposefinancial statements.anauditalsoincludesasesingtheacountingprinciplesusedandsignificant estimatesmadebymanagement,aswelasevaluatingtheoveralfinancialstatement presentation.webelievethatourauditprovidesareasonablebasisforouropinion. inalmaterialrespects,thefinancialpositionofthetownofwhitecastle, Inouropinion,thegeneralpurposefinancialstatementsreferedtoabovepresentfairly, LOUISIANAasofSeptember30,197,andtheresultsofitsoperationsandcashflowsofits proprietaryfundtypesfortheyearthenendedinconformitywithgeneralyaceptedacounting principles 681Jef[ersonlhghway~BatonRouge~LA70806*Busines(504) *Facsimile:(504) RailroadAvenue*Donaldsomile,LA70346*Busines(504)473-'~719 AnindependentmemberofBKRInternational
5 financialstatementsreferedtoabove,presentfairly,inalmaterialrespects,thefinancial Inouropinion,thecombining,individualfi.md,andacountgroupsgeneralpurpose positionofeachoftheindividualfundsandacountgroupsofthetownofwhite CASTLE,LOUISIANAasofSeptember30,197,andtheresultsofoperationsofsuchfunds andthecashflowsofindividualproprietaryfundtypesfortheyearthenendedinconformity withgeneralyaceptedacountingprinciples. January7,198,onourconsiderationoftheTOWN'sinternalcontrolstructureandonits InacordancewithGovernmentAuditingStandards,wehavealsoisuedreportsdated compliancewithlawsandregulations. financialstatementstakenasawholeandonthecombiningandindividualfundandacount Ourauditwasmadeforthepurposeoforminganopiniononthegeneralpurpose groupsfinancialstatements.theacompanyingfinancialinformationlistedaschedulesand isnotarequiredpartofthefinancialstatementsofthetownofwi-itecastle, statisticalinformationinthetableofcontentsispresentedforpurposesofaditionalanalysisand LOUISIANA.Suchinformationhasbensubjectedtotheauditingproceduresapliedinthe auditofthegeneralpurpose,combiningandindividualfundandacountgroupsfinancial purposefinancialstatementsandthefinancialstatementsofeachoftherespectiveindividual statementsand,inouropinion,isfairlypresentedinalmaterialrespectsinrelationtothegeneral fundsandacountgroupstakenasawhole. financialreportinwhichweexpresedanunqualifiedopiniononthegeneralpurpose, ThefinancialstatementsfortheyearendedSeptember30,196,weretakenfromthat combining,individualfundandacountgroupsfinancialstatementsofthetownofwhite CASTLE,LOUISIANA. BatonRouge,Louisiana January7,198
6 ALFUNDTYPESANDACOUNTGROUPS TOWNOFWHITECASTLE,LOUISIANA COMBINEDBALANCESHET September30,197GovernmentalFundTvnes Cashandcashequivalents lnves~lonts,atcost ASETS General~ Special Debt Capital Acountsreceivable,net 3,593$ Service Proiet Duefi'omothergovernments Duefromotherfunds Prepaidinsurance Restrictedcash 149,419 29,583$ 748,218 4,052 14,0 70,96$ 208,010 64,754 Inventories,atcost Generalfixedasets Fixedasets,net Availableindebtservicefund Amountobeprovidedforeth'ementof generalong-termdebt Totalasets Acountspayable Contractspayable LIABILITIES 23,031$ Payrolandotheracruedliabilities Duetotherfunds 30,825 Customerdeposits -$ 72,051 Deferedrevenue Curentportionoflong-termdebt 6,61 Long-termdebt Totaliabilities 72,051 Contributedcapital Fromunicipality FUNDEQUITY Investmentingeneralfixedasets Fromparish Retainedearnings Fromfederalgrant Reserved-debtextinguishment Reserved-property,repairsandreplacement Fundbalance Designated-subsequentyear'sexpenses Unreserved Reserved-debtservice Designated-subsequentyear'sexpenditures Undesignated Totalfundequity 162,194 Totaliabilitiesandfundequity 129,1561,025, ,012~1,091,853$214~96~272,764, 862,98 214,96 214,96 20,713
7 Proprietary FundTvaeGeneral EnterpriseFixedAsetsLong-termDebt]97 AcnuntGrouo General (MemorandumOnlv~ Totals 153,750$ ,72 45,385 -$ -$ 1,594,0 62,646$ 45,385 7,386 4,052 1,293,9 518, ,419 45,76 9,123 2,853,595 6,639 7,386 53,57 2,419,976 9,123 6, ,96 2,419, ,195 9,947 2,853,595 4, ,301,740 2,94,275 1,210,1061,210, , ~;2, ~; $ ~;8,578,47 49,250$ -$ -$14,32$ 149,419 21,545 52,370 74,298 64, ,419 59,076 1,283,17 971,76 26,34 64,803 27,327 26,34 6,61 62,492 9,947 1,425,0722, , ,210, , ,419,976 1,210, ,730 2,419,976 16,50 1,254,93 150,730 13, ,529 19,979 13,379 2,301,740 16,50 16,73 19, ,529 16,73 35,16 35,310 9, , , , ,419,976 1,192,867 6, , , , ,650~ $1,425,072~ $ NotesonExhibitA-6areanintegralpartofthistatement 4 ExhibitA-1
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9 TOWNOFWHITECASTLE,LOUISIANA COMBINEDSTATEMENTOFREVENUES,EXPENDITURES,ANDCHANGESIN ALGOVERNMENTALFUNDTYPES FUNDBALANCE-BUDGET(GAPBASIS)ANDACTUAL FortheyearendedSeptember30,197 Variance REVENUES Favorable Taxes Lncenseandpermits lntergovemental $45,164$ i~lpd~et Actual(unfavorable) Fines Other 19,302 21,50 6,80 EXPENDITURES Totalrevenues ,82 14,072 6,816 2,985 $619 Variance Favorable (2,480) 16 $ lsud~et Actual~unfavorable) 1, ,285 $ 781,407 $ (7,878) ~ ,28~ _ Generalgovemem Publicsafety Stretsandsanitation 208,139 Pubhchealth 387,84 Recreation 126,628 Debtservice 31, ,68 408, ,06 34, ,391 3,451 13,4381 (3,859) (7,78) 23,91 25,014 (1,023) Totalexpenditures Exces(deficiency)ofrevenues OTHERFINANCINGSOURCES(USES) overexpenditures t )(~ f Operatingtransfersin Operatingtransfersout 549,869549,869 f ( Totalotherfinancingsources(uses) ~ Exces(deficiency)ofrevenuesover FUNDBALANCE expendituresandothersources(uses)i; Beginingofyear Endofyear 1,
10 BudgetActual(unfavorable] DebtServiceFundVariance Favorable $ $ $ 6, , (34) f~4) 185, J168,549 (8.296~(17,373) NotesonExhibitA-6areanintegralpartofthistatement. 7
11 TOWNOFWHITECASTLE,LOUISIANA ExhibitA-4 ALPROPRIETARYFUNDTYPES COMBINEDSTATEMENTOFREVENUES,EXPENSES ANDCHANGESINRETAINEDEARNINGS FortheyearsendedSeptember30,197and196 OPERATINGREVENUES (MemorandumOnly) Chargesforservices 197 Totals Penalties Other 605, ,654 OPERATINGEXPENSES Totaloperatingrevenues 3,381 $628,82 18,030 2,952 GasDepreciation FieldAdministration 151, ,108 9,935 Totaloperatingexpenses 139, ,897 la7,3a 87,961 20,838 NONOPERATING Operatingincome 3,574 4,74 Interestincome Interestexpense Totalnonoperating (50,580) 30,06 24,06 OPERATINGTRANSFERS Incomebeforeoperatingtransfers (20,523) (51,808) 13,051 {27,802~ 16,972 Operatingtransfersout Depreciationtransferedtocontributedcapital Netlos (63,70) (50,649) (86,0) (69,028) RETAINEDEARNINGS Netdecreaseinretainedearnings (6,39) 4,310 42,697 (26,31) Beginingbalance Endingbalance NotesonExhibitA-6areanintegralpanofthistatement 8
12 TOWNOFWHITECASTLE,LOUISIANA ALPROPRIETARYFUNDTYPES COMBINEDSTATEMENTOFCASHFLOWS FortheyearsendedSeptember30,197and196 CASHFLOWSFROMOPERATINGACTIVITIES opemt~income Adjustments1operatingincome: Depreciation Changeinoperatingasetsandhabilities. Acotmtsreceivable Inventories Customerdeposits Prepaidinstance Acotmtspayableandacruedexpenses Netcashprovidedbyoperatingactivities CASHFLOWSFROMNON-CAPITALFINANCINGACTIVITIES Duetotherfunds Duefromothergovernments Operatingtransfersom Netcashprovided(used)bynon-capitalfinancingactivities CASHFLOWSFROMCAPITALANDRELATEDFINANCINGACTIVIJr.;S Decreaseincontractspayable Con~butedcapital Acquisilaonand~onst.t~tionofcapi~'ilasets Interestexpense Repa)~entofsewerevenuebonds Netcashusedbycapitalactivities CASHFLOWSFROMINVESTINGACTIVITIES Purchaseofcertu~cateofdepomt Interestincome Nelcashprovided(used)byinvestingactivities Decreaseincashandcashequivalents CASHANDCASHEQUIVALENTS Beginingofperiod ExhibitA-5 Totals orandum 197 3, , , (59,076) (60,902) (50,589) (25,052) $ 4,74 148,897 (4,396) 1,632 2, , ,046 (86,o) (120,970) 157,256 (105,57) (51,808) (23,83) (195,619) (14,912) (26,497) 30,06 (295,278) 24,07 3,569 (271,271) (21,834) (84,521) $252,873$ 274,707 NotesonExhibitA-6areanintegralpartofthistatement 9
13 TOWNOFWHITECASTLE,LOUISIANA ExhibitA-6 NOTESTOFINANCIALSTATEMENTS NOTE1-SUMARYOFSIGNIFICANTACOUNTINGPOLICIES Statementpresentation ThefinancialstatementsoftheTownofWhiteCastle,Louisiana(theTown)haveben preparedinconformitywithgeneralyaceptedacountingprinciplesasapliedto governmentalunits.thegovementalacountingstandardsboard(gasb)isthe aceptedstandardsetingbodyforestablishingovernmentalacountingandfinancial reportingprinciples.themoresignificantacountingpoliciesofthetownaredescribed below. Reportingentity' Forfinancialreportingpurposes,theTownincludesalfundsandacountgroupsthatare controledbyordependentonthetown'sexecutiveorlegislativebranches(themayororthe BoardofAldermen,respectively).ControlbyordependenceontheTownisdeterminedon thebasisofbudgetadoption,taxingauthority,outstandingdebtsecuredbyrevenuesor generalobligationsofthetown,obligationsofthetowntofinanceanydeficitsthatmay ocur,oreceiptofsignificantsubsidiesfromthetown. ThefolowingorganizationisnotpartoftheTownandthusisexcludedfromthe acompanyingfinancialstatements: WhiteCastleHousingAuthority WhiteCastleHousingAuthority's(theAuthority)operatingandcapitalexpenditures, includingdebtservice,arefinancedfromfederalgrantsandtenantrentals.thetown hasnoinvolvementinthedeterminationoftheauthority'sbudget,rentalrates,orany obligationfortheauthority'soutstandingdebt.financialtransactionsbetwenthetown andtheauthority,reportedintheacompanyingfinancialstatements,reflectcontractual agrementsbetwenthepartiesfortheprovisionofspecificservicesbythetownforthe Authority. Estimates Thepreparationofinancialstatementsinconformitywithgeneralyaceptedacounting principlesrequiresmanagementomakestimatesandasumptionsthatafecthereported amountsofasetsandliabilitiesandisclosureofcontingentasetsandliabilitiesathedate ofthefinancialstatementsandthereportedamountsofrevenuesandexpensesduringthe reportingperiod.actualresultscouldiferfromthosestimates. 0
14 ExhibitA-6 NOTE1-SUMARYOFSIGNIFICANTACOUNTINGPOLICIES(CONTINUED) Continued Fundacounting TheTownusesfundsandacountgroupstoreportonitsfinancialpositionandtheresultsof itsoperations.fundacountingisdesignedtodemonstratelegalcomplianceandtoaid financialmanagementbysegregatingtransactionsrelatedtocertaingovernmentfunctionsor activities. Afundisaseparateacountingentitywithaself-balancingsetofacounts.Anacount group,ontheotherhand,isafinancialreportingdevicedesignedtoprovideacountabilityfor certainasetsandliabilitiesthatarenotrecordedinthefundsbecausetheydonotdirectly afectnetexpendableavailablefinancialresources. FundsoftheTownareclasifiedintotwocategories-governmentalandproprietary.Each category,inturn,isdividedintoseparate"fundtypes." GovernmentalFundTypes GeneralFund-ThegeneralfundisthegeneraloperatingfundoftheTown.Itisusedto acountforalfinancia/resourcesexcepthoserequiredtobeacountedforinanotherfund. SpecialRevenueFunds-Specialrevenuefundsareusedtoacountfortheprocedsofspecific revenuesources(otherthanmajorcapitalprojects)thatarelegalyrestrictedtoexpendituresfor specifiedpurposes. DebtServiceFunds-Debtservicefundsareusedtoacountfortheacumulationof resourcesfor,andthepaymentof,generalong-termdebtprincipal,interestandrelatedcosts, CapitalProjectsFunds-Capitalprojectsfundsareusedtoacountforfinancialresourcesto beusedfortheacquisitionofconstructionofmajorcapitalfacilities(otherthanthosefinanced byproprietaryfunds). ProprietaryFundTypes Proprietaryfundsareusedtoacountforactivitiesimilartothosefoundintheprivatesector, wherethedeterminationofnetincomeisnecesaryorusefultosoundfinancialadministration. Proprietaryfundsdiferfromgovernmentalfundsinthatheirfocusisonincomemeasurement, which,togetherwiththemaintenanceofequity,isanimportantfinancialindicator.proprietary fundsinclude:
15 ExhibitA-6 Continued NOTE1-SUMARYOFSIGNIFICANTACOUNTINGPOLICIES(CONTINUED) AcountGroups AcountgroupsareusedtoestablishacountingcontrolandacountabilityfortheTown's fixedasetsandgeneralong-termdebt.thefolowingaretheacountgroupsofthetown: GeneralFixedAsetsAcountGroup-Thisgroupofacountsrepresentsasumaryofthe fixedasetsofthetown.capitalexpendituresarerecordedasexpendituresinthe governmentalfundtypesathetimeofpurchaseandaresubsequentlyrecorded,atcost,for controlpurposes,inthegeneralfixedasetsacountgroup. Inacordancewithgeneralyaceptedacountingprinciplesforgovernmentalentitieș depreciationisnotrecordedongeneralfixedasets. GeneralLong-TermDebtAcountGroup-Thisgroupofacountsrepresentsasumaryof thelong-termdebtofthetown. Basisofacounting Basisofacountingreferstowhenrevenuesandexpendituresorexpensesarerecognizedand reportedinthefinancialstatements.basisofacountingrelatestothetimingofthe measurementsmade,regardlesofthemeasurementfocusaplied. Governmentalfundsaremaintainedonthemodifiedacrualbasisofacounting.Revenues arerecognizedintheacountingperiodinwhichtheybecomeavailable(colectiblewithinthe curentperiod)andmeasurable(amountcanhedetermined).expendituresarerecognizedin theacountingperiodinwhichtheliabilityisincured,ifmeasurable,exceptforunmatured interestongeneralong-termdebtwhichisrecognizedwhendue. Themodifiedacrualbasisofacountingasapliedtothemajorsourcesofrevenueisas folows: Advaloremtaxesandtherelatedstaterevenuesharing(whichisbasedonpopulationand homesteadsinthetown)arerecordedintheyearthetaxesareasesed.advaloremtaxes areasesedonacalendaryearbasis,becomedueonnovember15thofeachyear,and becomedelinquentafterdecember31st.thetaxesaregeneralycolectedindecemberofthe curentyearandjanuaryandfebruaryofthefolowingyear. StateaidandgrantsarerecordedasrevenuewhentheTownisentitledtothefunds,generaly corespondingtowhengrantrelatedcostsareincuredbythetown. Salestaxesarerecogmzedwhencolectedbytheintermediarycolectingovernment 2
16 .ExhibitA-6 NOTE1-SUMARYOFSIGNIFICANTACOUNTINGPOLICIES(CONTINUED) Continued Basisofacounting(Continued) Interestincomeoninvestmentsisrecordedwheninvestmentsmatureandincomeisreceived Noacrualismadeatyearend. Alproprietaryfimdsareacountedforonaflowofeconomicresourcesmeasurementfocus andadeterminationofnetincomeandcapitalmaintenance.withthismeasurementfocus,al asetsandaliabilitiesasociatedwiththeoperationofthesefundsareincludedonthe balanceshet.theproprietaryfundsusetheacrualbasisofacountingandapliesal aplicablefasbpronouncementsinacountingandreportingforitsproprietaryoperations. Revenuesarerecognizedwhenearned,andexpensesarerecognizedathetimeliabilitiesare incured. Cashandcashequivalents Aconsolidatedbankacounthasbenestablishedintowhichmostmoniesaredepositedand fromwhichmostdisbursementsaremade.inadition,investmentpurchasesarechargedand maturitiesaredepositedtotheconsolidatedbankacount.thepurposeofthisconsolidation ofbankacountsistoprovideadministrativeficiencyandtomaximizeinvestmentearnings. Theacountentitled"Cashandcashequivalents"isthereforecomposedofafund'sprorata shareofthecashbalanceintheconsolidatedcashacountaswelasitsproratashareofcash certificatesofdepositwithmaturitiesofthremonthsorles.eachfundsharesproratathe investmentearningsacordingtoitsaveragecashbalance. Inadition,separateacountshavebenestablishedforcertaindebtservicefundsasrequired bybondresolutionandcompliancelaws.thetownalsohasanimprestacountfor disbursementsofpayrol. Investments,whicharetimecertificatesofdepositwithmaturitiesinexcesofthremonths, arestatedatcost,whichismarketvalue. Inventories Inventoriesarestatedatcostwhichaproximatesmarketvalue,usingthefirst-in,first-out method. Acountsreceivable Uncolectibleamountsdueforadvaloremtaxesandothereceivablesarerecognizedasbad debtsthroughtheuseofanalowanceacountoraredirectlychargedofathetime informationbecomesavailablewhichindicatesthatheparticulareceivableisnotcolectible.
17 ExhibitA-6 NOTE1-SUMARYOFSIGNIFICANTACOUNTINGPOLICIES(CONTINUED) Continued Generalfixedasets Generalfixedasetsarenotcapitalizedinthefundsusedtoacquireorconstructhem. Instead,capitalacquisitionandconstructionarereflectedasexpendituresingovernmental funds,andtherelatedasetsarereportedinthegeneralfixedasetsacountgroup.property acquiredthroughdonationsisrecordedatitsestimatedfairvalue. Thecostsofnormalmaintenanceandrepairsthatdonotadtothevalueoftheasetor materialyextendasetlivesarexpensed.improvementsarecapitalized. Publicdomain("infrastructure")generalfixedasetsconsistingofroads,bridges,curbsand guters,stretsandsidewalks,drainagesystemsandlightingsystemsarenotcapitalized,as theseasetsareimovableandofvalueonlytothegovernment. Depreciationhasnotbenprovidedongeneralfixedasets,norhasinterestbencapitalized Property,plant,equipmentandepreciation-proprietaryfunds Property,plantandequipmentusedbytheproprietaryfundsarestatedatcost.Interestcosts incureduringconstructionperiodsarecapitalized.depreciationhasbenprovidedoverthe estimatedusefulivesoftheasetsusingthestraight-linemethod.thestimatedusefulives areasfolows: Distributionsystems Meters 10-50years Machineryandequipment 5-20years 3-10years Compensatedabsences AlfultimemployesoftheTownarentitledtoanualvacationandsickleavewithpay. Vacationleaventitlementdoesnotcaryoverfromoneyeartoanother.Employesareable "toacrueunusedsickleavewithoutlimitation;however,thetownisonlyliabletopaytoan employewhowasemployedbythetownpriortojanuary1,1982,anyunusedsickleavenot toexced(60)daysuponretirement.vacationandsickleavepaymentsareincludedin expendituresforgovernmentalfundtypeswhenthepaymentsaremadetoemployes;the estimatedcomitmentforcompensatedabsencesforgovernmentalfundsisreportedinthe generalong-termdebtacountgroup. TheTown'spolicyistopresentonanacrualbasisinitsproprietaryfundstheamountof earnedbutunusedsickleavestimatedtobepayableuponretirement. 14
18 ExhibitA-6_ NOTE1-SUMARYOFSIGNIFICANTACOUNTINGPOLICIES(CONTINUED) Continued Reservesandesignationsofequity Someportionsofundbalanceand/oretainedearningsarereservedtoindicatethataportion ofequityislegalyrestrictedtoaspecificfutureuseandisnotavailableforapropriationor expenditure. Designatedportionsofundbalanceand\oretainedearningsindicatetentativefuture spendingplans,whichmaybechangedandaresubjectosubsequentauthorizationbefore expenditurescanbemade.thetownhasmadethefolowingreservesandesignationsof equity:(a)"reservedfordebtservice"isthatportionofundbalancewhichwilbeusedfor thepaymentofgeneralong-termdebtprincipalandinterest,(b)"designatedforsubsequent years'expenditures"isthatportionofundbalancewhichasbenearmarkedtomakeupthe folowingyears'budgets,and(c)reservedretainedearningsmadeforfutureproperty,repairs andreplacements. Transfers Advancesbetwenfundswhicharenotexpectedtoberepaidareacountedforastransfers. Inthosecaseswhererepaymentisexpected,theadvancesareacountedforthroughthe variousinterfundacounts. Budgetpolicyandbudgetaryacounting AproposedbudgetispreparedandsubmitedtotheMayorandBoardofAldermenpriorto thebeginingofeachfiscalyear.abudgetsumaryandnoticeofapublichearingis publishedwiththepublichearingbeingconductedpriortothecomencementofthebudget year. Theanualoperatingbudget,preparedonthemodifiedacrualbasis,coversthegeneral, specialrevenueandebtservicefunds;anoperatingbudgetforthecapitalprojectfundwas notpreparedfortheyearendedseptember30,197.athendofthefiscalyear,unexpended apropriationsautomaticalylapse.budgetamendmentsareaprovedbytheboardof Aldermenandareincludedinthefinancialstatements. Thefinancialtransactionsofthedebtservicefundsarecomparabletothebudgetedrevenues, expendituresandotherfinancingsources(uses)adoptedbytheboardofaldermen. Acordingly,individualbudgetcomparisonsarenotpresentedinthisfinancialreport. Inconectionwithbudgetpreparation,aportionoftheunreservedfxmdbalanceofan individualfundmaybedesignatedforexpendituresofthesubsequentyear.suchdesignation representsthextentowhichthefundbalanceisusedtobalancethesubsequentyear's operatingbudgetofthatfund,asreflectedinthelegalyadoptedbudget. 15
19 ExhibitA-6 NOTE1-SUMARYOFSIGNIFICANTACOUNTINGPOLICIES(CONTINUED) Continued Comparativetotaldata Comparativedatafortheprioryearhavebenpresentedincertainacompanyingfinancial statementstoprovideanunderstandingofchangesinthetown'sfinancialpositionand operations. Totalcolumnsoncombinedstatements Statementofcashflows Forpurposesofthestatementofcashflows,liquidinvestmentsofthenterprisefunds, excludingrestrictedasets,withamaturityofthremonthsorlesareconsideredtobecash NOTE2-CASHANDINVESTMENTS equivalents. TheTownmayinvestinUnitedStatesbonds,treasurynotes,orcertificatesofdepositofstate banksorganizedunderthelawsoflouisianandnationalbankshavingtheirprincipalofice inthestateoflouisianaorotherqualifyingfederalyinsuredinvestments. Atyearend,theTown'scashandrelatedinvestmentbalances,includingrestrictedcash, totaled$2,315,769andtherelatedbankbalanceswere$2,315,548.thebankbalancesatyear endweresecuredbyfederaldepositoryinsuranceof$20,0andbycolateralheldby custodialbanksinthetown'sname. ThecolateralpledgedatSeptember30, investmentsasfolows: 197,wasintheformofstatutoryaproved NOTE3-DUEFROMOTHERGOVERNMENTS U.S.Agency $2,370,490 Par Value DuefromothergovernmentsatSeptember30,197,consistsofthefolowing NOTE4-ADVALOREMTAXES ParishofIbervile,Louisiana-SalesTax FortheyearendedSeptember30,197,taxesof7.0milsforthegeneralfundwereleviedon propertywithasesedvaluationstotaling$3,023,50;taxesleviedwere$21,031. 6
20 ExhibitA-6 NOTE5-FIXEDASETS Continued Generalfixedasets AsumaryofchangesingeneralfixedasetsfortheyearendedSeptember30,197,isas folows: Begining ofyearaditions Net Endof Land Year Buildingsandimprovements Improvementsotherthanbuildings $252,26 935,394 Equipment 359,170 Totals 754,910 $252,26 982, , ,034 Proprietaryfundfixedasets Asumaryofchangesinproprietaryfundfixedasetsfortheyearended 197,isasfolows: Begining Net September30 Land Distributionsystems Meters $40,58 ofyear Machineryandequipment 4,28,723 63,985 Constructioninprogres 75,15 28,738 Endof 7,59 $40,58 Year 1,858 4,257,461 2,746 71,54 7,013 2,746 Lesacumulatedepreciation 4,408,451$60,9014,469,352 NOTE6-LONG-TERMDEBT Totals Debtoutstanding Thefolowingisasumaryoflong-termdebtlzansactionsoftheTownfortheyearended September30,197 Begining ofyearaditionsretirements Endof Year Publicimprovementbonds CertificatesofIndebtednes $1,185,0$ $ 75,0$ Revenuebonds Acumulatedsickpaybenefits 1,023,15230,0 24,687 25,052 1,10,0 30,0 98,10 Totals $2,232,839$301,219$ 10,86 $2,423,172 17
21 NOTE6-LONG-TERMDEBT(CONTINUED) Long-termdebtpayableatSeptember30,197,iscomprisedofthefolowing GeneralLong-TermDebt PublicImprovementBond $1,40,0PublicImprovementBondsecuredbyapledge andedicationofthe2/3%salesandusetaxleviedand colectedbytheparishoflbervileandalocatedtothe TowndueinanualinstalmentsthroughMarch1,207 interestvaryingfromat5.9%-9%. CertificateofIndebtednes $30,0CertificateofIndebtednesecuredbyapledgeand dedicationofanualrevenuesdueinanualinstalments throughjune1,207;interestat6% EnterpriseFund RevenueBonds $1,07,50SewerBondsecuredbyapledgeandedication ofsewerevenuesdueinmonthlyinstalmentsthrough May25,2019,interestat5%. AcumulatedSickPayBenefits Totalong-termdebt Debtservicerequirementstomaturity ExhibitA-6 Continued $1,10,0 30,0 TheanualrequirementstoamortizedebtoutstandingatSeptember30,197,including interestpaymentsof$1,138,235,areasfolows: Public Improvement Bonds $147, ,95 147,70 151,85 150, Certificate of Indebtednes $37,70 40,620 41,180 40,620 41,0 202,860 Sewer Revenue Bonds 75,641 75,641 75,641 75,641 75,641 1,256,17 261, , , ,16 267,089 2,21,102 $1,507,973$403,980$1,634,382$3,546,35 18
22 NOTE6-LONG-TERMDEBT(CONTINUED) ExhibitA-6 Continued ThefolowingtableindicatesunmaturedinterestoutstandingatSeptember30,197,andthe amountswhichcanbepresumedtoberequiredinfutureyearsforetirementofbothoutstandingdebtandinterestwhichwilbecomedueandpayableovertheremaininglifeofthe variousdebtisues: Amountobe providedforunmatured GeneralLong-Interest TermDebtCoupons Total Publicimprovementbondsto beretiredfromproceds ofsalestax $907,67$397,973$1,305,650 CertificateofIndebtednes toberetiredfromexces revenues 287, , ,37 Acumulatedsickpaybenefits toberetiredfromexces revenues InterestexpenseforaldebtasofSeptember30,197,was$124,29 Totals Bondrestrictions SalesTaxBonds UnderthetermsoftheindentureauthorizingtheisuanceofPublicImprovementBondsalocatedtotheTown,arepledgedandedicatedforthestablishmentandmaintenanceofthe Series192,procedsofthe2/3%salesandusetax,colectedbytheParishofIbervile,and folowingbondfunds: 1.APublicImprovementBond-Series192SinkingFundistobeusedforthepaymentof theprincipalandinterestonoutstandingbondsastheybecomedueandpayable.monthly paymentsaretobequaltothesumofone-sixthofinterestfalingdueonthenextinterest paymentdateandone-twelfthofprincipalfalingdueonthenextprincipalpaymentdate. 19
23 ExhibitA-6 NOTE6-LONG-TERMDEBT(CONTINUED) Continued SalesTaxBonds(Continued) 2.APublicImprovementBond-Series192SalesTaxBondReserveFundistobeused solelyforthepurposeofpayingprincipalandinterestonbondspayablefromthebond SinkingFund,astowhichtherewouldotherwisebedefault.Requirementsforestablishmentofthefundhavebenmetandnofurtherpaymentsaretobemade. CertificateofIndebtednes Inacordancewiththetermsoftheindentureauthorizingtheisuanceofthecertificateof indebtednes,excesrevenuesareusedforthestablishmentofthe197certificateof indebtednesinkingfund.thesinkingfundisusedforthepaymentofprincipalandinterest onoutstandingdebtasitbecomesdueandpayable.monthlypaymentsarequaltothesumof one-sixthofinterestbecomingdueonthenextinterestpaymentdateandone-twelfthof principalbecomingdueonthenextprincipalpaymentdate. SewerRevenueBonds InacordancewiththeindenturegoverningSewerageUtilityFundRevenueBonds,cashis periodicalydepositedintoacountsadministeredbyatrustebank.thesebondsareadirect liabilityofthesewerageenterprisefundtobeservicedbythearningsfromthefund. Depositsaremadetothesetrustacountsinacordancewiththerequirementsofeach. I.TheSewerSystemRevenueFundrequiresalrevenuederivedfromitsoperationstobe depositedinabankwhichisamemberofthefederaldepositinsurancecorporationas longasanyofthebondsareoutstanding.requiredtransfersaremadeonamonthlybasis 2.TheSewerRevenueBondFundrequiresmonthlyfundtransfersfromthesewersystem todesignatedtrustacounts, revenuefundtoprovidepaymentofthenextmaturinginterestandprincipaloftherevenue 3.TheSewerRevenueBondFundrequiresmonthlytransfersof$315totheSewerRevenue bonds. BondReserveFunduntilthefundshalequal$75,641.Thisfundisrestrictedtopayment ofprincipalandinterestincaseofdefault. 4.TheSewerDepreciationandContingencyFundrequiresmonthlytransfersof$323.The fundisrestrictedtopaymentsforunusualorextraordinarymaintenance,repairs, replacement,andextensionsandimprovementswhichwileitherenhanceitsrevenue producingcapacityorprovideimprovedservice.itwilalsobeusedtopayprincipaland interestiftherearenotsuficientfundsinthesewerrevenuebondfund,orsewer RevenueBondReserveFund. TheTownofWhiteCastlehascompliedwiththeaboveconditions. 20
24 NOTE7-DEDICATEDREVENUES ExhibitA-6 Continued ProcedsoftheIbervileParishsalesandusetaxwerededicatedtothefolowingpurposesas ofseptember30,197: Opening,constructing,paving,andimprovingstrets,sidewalks,roadsandaleys; constructingbridges;purchasingorconstructingwaterworks,sewers,drains,drainage canals,pumpingplants,seweragedisposalworks,lightandpowerplants,gasplants, hals,jails,firedepartmentstations,hospitals,auditoriums,publicparks,natatoriums, libraries,docks,wharves,riverterminalsandotherpublicbuildings,includingthe necesaryequipmentandfurnishingsthereof;orforanyoneormoresuchpurposes. Consistentwiththisdedication,transfersfromthesalestaxfundarebeingusedtoretirethe PublicImprovementBonds-Series192.SeNote6. NOTE8-SEGMENTSOFENTERPRISEACTIVITIES Threservices,gas,water,andsewerage,areprovidedbytheTownandarefinancedbyuser charges.thesignificantfinancialdatafortheyearendedseptember30,197,forthoseservicesareasfolows: Operatingrevenues Depreciation Operatingincome(los) Operatingtransfersout Netincome(los) Asets Long-termdebt Networkingcapital Fundcapital NOTE9-RETIREMENTPLANS Gas WaterworksSewerage Utility Utility Utility Total $274,056 1,016 48,251 (63,70) (5,569) 39,73 137, ,894 $143,349 23,692 (702) ThemployesoftheTownarecoveredunder (SocialSecurity).TheTown'scontributionswere fortheyearendedseptember30,197. 9,603 50, , ,374 $210,401 16,873 (13,975) (54,683) 2,769,27 98,10 152,961 1,698,265 $627, ,581 3,574 (63,70) (50,649) 3,659,650 98,10 460,384 2,376,53 thefederalinsurancecontributionsact $37,953andtaxablepayrolwas$485,874 QualifyingTownemployesaremembersintheMunicipalEmployes'RetirementSystemof thestateoflouisianandcontribute5.0%oftheirwagesthroughpayrolwitholdings.the Towncontributedanaditional3.25%ofthemployes'wagesforthethrequartersended June30,197,and2.75%ofthemployes'wagesforthequarterendedSeptember30,197. Totalexpenditureswere$8,150forthefiscalyear. 2
25 ExhibitA-6 NOTE9-RETIREMENTPLANS(CONTINUED) Continued QualifyingpolicemenoftheTownaremembersofthePoliceRetirementSystemoftheState oflouisianandcontributed7.5%oftheiranualwagesthroughpayrolwith_holdings.the Towncontributedanaditional9%ofthemployes'wages.TheTown'scontributiontothe plantotaled$7,315basedon$81,414ofeligiblewagesfortheyearendedseptember30, 197.TheamountsarepaidtotheRetirementSystemwhichisresponsibleforadministering theplanandistributingbenefits. NOTE10-INTERFUNDRECEIVABLEANDPAYABLEBALANCES InterfundbalancesatSeptember30,197,wereasfolows nterfund GeneralFund GasUtilityFund WaterworksUtilityFund $41,650$ SewerageUtilityFund 40,570 67,19 EnterpriseFunds GasUtilityFund WaterworksUtilityFund GeneralFund GeneralFund 41,650 SewerageUtilityFund 40,570 GeneralFund 67,19 NOTE1-COMPENSATIONTOGOVERNINGBODY TheTowncompensateditsMayorandmembersoftheBoardofAldermenasfolows Mayor BoardofAldermen MauriceBrown BarbaraO'Bear $9,407 JohnDeseles 3,79 SteveDoiron 3,309 HaroldSchexnayder 3,79 ErnestAlen 2,350 3,79
26 ExhibitA-6 NOTE12-COMITMENTSANDCONTINGENCIES Continued Constructioncontract AtSeptember30,197,theTownhadoutstandingcomitmentsresultingfromconstruction andengineringcontractsofaproximately$30,0. Waterevenuebonds OnSeptember8,197,theTownenteredintoaloanresolutionwiththeFarmersHome Administrationwhichauthorizedtheincurenceofindebtednesof$230,0payableover40 yearsat5%peranum.thedebtisfortherehabilitationofthetown'swatertankandsysteṃ Litigation AsuitarisingfromoperationsofthepolicedepartmentispendingagainstheTown.Thecase iscoveredbyinsurance;however,theultimatefectofsuchlitigationearmotbeascertained athistime.itistheopinionoftownmanagementhatheultimateresolutionofsuch litigationwilnothaveamaterialefectonthefinancialpositionofthetown.thetownis vigorouslydefendingthismater. NOTE13-SUBSEQUENTEVENTS SubsequentoSeptember30,197,theTownawardedconstructioncontractsof aproximately$216,30forservicesrelatingtotherehabilitationofthetown'swatertank andsystem.
27 GENERALFUND acountforalfinancialresources TheGeneralFundisusedto excepthoserequiredtobeacountedfor inanotherfund. 24
28 ExhibitB TOWNOFWHITECASTLE,LOUISIANA GENERALFUND BALANCESHETS September30,197and ASETS Cashandcashequivalents Duefromotherfunds $ 149,419 3, , Totalasets LIABILITIES Acountspayable Payrolandrelatedpayables $23,031 30,825 25, Totaliabilities 37,178 FUNDBALANCE Designated-subsequentyear'sexpenditures Undesignated ,40 8,797 Totalfundbalance Totaliabilitiesandfundbalance NotesonExhibitA-6areanintegralpanofthistatement 25
29 26 (Continued) ExhibitB-1 TOWNOFWHITECASTLE,LOUISIANA STATEMENTOFREVENUES,EXPENDITURES,ANDCHANGESIN GENERALFUND FUNDBALANCE-BUDGET(GAPBASIS)ANDACTUAL FortheyearendedSeptember30,197 Variance- Budget Actual(unfavorable)Actual 196 REVENUES TaxesAdvalorem Publicutilityfranchise 21,0$ Licenseandpermits CableT.V.franchise 20,464 3,70 21,031$ 20,464 31$ 4,28 58 ~ 21,247 19,947 4,01 6,80 6,816 16(2) 5,940 Intergovernmental Tobaco Recreation 1,0 Ber 67,202 Videopoker 4,60 10,98 50,0 Fireinsurance 17,0 3,572 (17,202) 10,98 Fines Localhousingauthority 14,0 5,50 16,382 (1,028) 27,50 15,870 (5,50) (618) 17,027 7,353 1,870 5,427 21,50 2,985 1,485 13,548 27,908 OtherLeaseandroyalty Interest 4,036 Miscelaneous ,036 10,036 (80) ,015 Totalrevenues 267~259$246,478$(20,781)$27,406
30 ExhibitB-I TOWNOFWHITECASTLE,LOUISIANA Continued STATEMENTOFREVENUES,EXPENDITURES,ANDCHANGESIN GENERALFUND FUNDBALANCE-BUDGET(GAPBASIS)ANDACTUAL FortheyearendedSeptember30, Variance- EXPENDITURES Budget Actual(unfavorable)Actual 196 Generalgovernment Publicsafety 208,139 Stretsandsanitation 387,84 204,68 Publichealth 126,628 Recreation 31,10 408,275(20,391) 3, , ,06(13,438) 257, ,959 (3,859) 140,491 49,40 (7.78) 5,218 Totalexpenditures ,428(42,015)670,379 Excesofexpendituresoverevenues (528,154)(590,950)(62,796)(42,973) OTHERFINANCINGSOURCES(USES) Operatingtransfersin , Exces(deficiency)ofrevenuesover expendituresandothersources(uses) 28,957 FUNDBALANCE Beginingofyear 170, Endofyear NotesonExhibitA-6areanintegralpartofthistatement. 27
31 TOWNOFWHITECASTLE,LOUISIANA GENERALFUND STATEMENTOFDEPARTMENTALEXPENDITURES BUDGET(GAPBASIS)ANDACTUAL GENERALGOVERNMENT Salaries Payroltaxes Municipalretirement Employe'sinsurance Insurance Acounting Legalfes Generalfixedasets Maintenance-building Publishing Oficesuplies Duesandsubscriptions Coroner'sfe Telephone Travel Printing CouncilonAging Comisioners Drugtesting Maintenancecontracts Apraisals Other Totalgeneralgovernment RECREATION Capitaloutlay Utilities Other Totalrecreation PUBLICHEALTH FortheyearendedSeptember30, ,90$ 5,30 1,54 27,310 4,30 1,0 20,0 7,50 8,20 5,70 1, ,80 0, ,825 1,50 3,414 4,023 1,52 2,432 4,439 8,974 19,853 7,491 8,627 5,730 1,879 1,6750 4, ,512 1,5098 2,09650 ExhibitB-2 Variancefavorable 196 (unfavorable)actual (1,514)$ 1,272 4,878 (139) 2, (427)(30)2134 (750) (635) (431)65O (687) (1,5o) 1,402 (2,096) (50) 28,183 4, ,816 46,742 20,728 21,231 31,48 1,579 4,951 1,76 2,647 4,687 4,648 8, ,243 1,50 I80 10,086 1,714 9,080 41,62 48, (6,837) (15) (826) 28 (Continued)
32 ExhibitB-2 TOWNOFWHITECASTLE,LOUISIANA Continued STATEMENTOFDEPARTMENTALEXPENDITURES GENERALFUND BUDGET(GAPBASIS)ANDACTUAL Forthe)'earendedSeptember30,197 PUBLICSAFETY Budget Actual(unfavorable)Actual Variance- 196 PoliceSalaries Payroltaxes 24,425 Municipalretirement 19,130 Employe'sinsurance 9, ,575 Generalfixedasets Maintenance-vehicle 37,40 18,657 Fieldsuplies 32,40 7,896 (17,150) 37, ,530 30,420 Clothing 6,343 1, ,018 6,013 Printing Jailhouse Drugtesting 6,20506, ,527 4,931,051 (6,027) 1,980(143) 3,461 9,101 6,569 Maintenance-building Vehiclefuel 3,8060O750 3, ,195(201)(90)02) 2,7451,3563,017 Duesandsubscriptions Travel 5, ,715 Telephone Maintenancecontracts Other 5, , (145)153 Volunterfire Totalpolice 354,284 4, ,680 6,945 (20.396) (1,960) 250,042 6,517 Truckandequipment Materialsandsuplies 3.60 Vehiclefuel Telephone Other 2, ,232 (189) (327) (71) Totalvolunterfire 7,149 Totalpublicsafety 387,84 3,60 408,275 3,595 (20.391) 5 257,191 7, (Continued)
33 ExhibitB-2 TOWNOFWHITECASTLE,LOUISIANA Continued STATEMENTOFDEPARTMENTALEXPENDITURES GENERALFUND BUDGET(GAPBASIS)ANDACTUAL FortheyearendedSeptember30,197 STRETSANDSANITATION Budget Actual(unfavorablelActual Variance- 196 Salaries Employe'sinsurance Payroltaxes 52,50 Municipalretirement 13,70 Maintenance-equipment 4,020 13,651 5,617 Maintenance-stret Maintenance-vehicle 1, ,179 (3,17)49 58,657 1,359 Utilities Vehiclefuel 4,5070O 1,172 (159) 457 3,479 45,0 Enginering 2,137 49,392 8, ,947 (3,982)10 (972) 3819 Rentals Drainagerepairs Sidewalkrepairs Chemicals 50 1,543 (4,392) Drugtesting Other 151,50 (1,543) ,84 8, , , ,459 Totalstretsandsanitation 35o Totalexpenses $795~ , ,06 151, (82) 1,68532t (56) 837~428 $(42,015) (13.438"~ 140, $670,379 NotesonExhibitA-6areanintegralpartofthistatement 30
34 SPECIALREVENUEFUNDS SpecialRevenueFundsareusedtoacount thatarelegalyrestrictedto forspecificrevenues expenditureforspecifiedpurposes.
35 TOWNOFWHITECASTLE,LOUISIANA ExhibitC SPECIALREVENUEFUNDS COMBININGBALANCESHET September30,197 SalesTax Fund Section8 197 Total 196 ASETS Cashandcashequivalents Investments,atcost Duefromothergovernments $232,92 748,218 6,61$29,583$190,834 4, ,218 4, ,724 53,57 Totalasets $1~025~192$6~61~1~091~853~; LIABILITIES Deferedincome Totaliabilities $ $ 6,61$6,61$53,212 FUNDBALANCE Designated-subsequentyear'sexpenditures162,194 Undesignated 862,98 Totalfundbalance Totaliabilitiesandfundbalance 1,025, , ,98 873,923 NotesonExhibitA-6areanintegralpartofthistatement 32
36 TOWNOFWHITECASTLE,LOUISIANA ExhibitC-I COMBININGSTATEMENTOFREVENUES,EXPENDITURES SPECIALREVENUEFUNDS ANDCHANGESINFUNDBALANCES FortheyearendedSeptember30,197 REVENUES SalesTax Intergovernmental IbervileParishsalestax Stategrant HUDreceipts 757,672$ -$757,672$728,713 23,735 23,735 21,262 1,978 OtherInterest EXPENDITURES Totalrevenues 797,691 25,01482, Publichealth Rentandutilityasistance Administrative 2,987 Totalexpenditures 2,027 2,987 2,027 21,262 1,469 1,020 Excesofrevenuesover expenditures 797, , ,90 OTHERFINANCINGUSES Operatingtransfersout Excesofrevenuesoverexpenditures (6-16,42) FUNDBALANCE andotherfinancinguses 151, ,269 27,374 Beginingofyear Endofyear 873,923 NotesonExhibitA-6areanintegralpartofthistatement, 3
37 TOWNOFWHITECASTLE,LOUISIANA ExhibilC-2 STATEMENTOFREVENUES,EXPENDITURES,ANDCHANGESIN SALESTAXFUND FUNDBALANCE-BUDGET(GAPBASIS)ANDACTUAL FortheyearendedSeptember30,197 7 Variance- (unfavorable)actual 196 REVENUES Intergovernmental IbervileParishsalestax 752,10$757,672$ 5,572$728,713 OtherInterest ,019 30,019 29,187 Totalrevenues 762,10 797,691 35, ,90 OTHERFINANCINGUSES Operatingtransfersout (65,268) ('646,42) 18,846 (530,526) Excesofrevenuesoverexpenditures andotherfinancinguses 27,374 FUNDBALANCE Beginingofyear ,549 Endofyear $1~025~192 $873~923 NotesonExhibitA-6areanintegralpartofthistatement. 34
38 ExhibitC-3 TOWNOFWHITECASTLE,LOUISIANA SECTION8 STATEMENTOFREVENUES,EXPENDITURES,ANDCHANGESIN FUNDBALANCE-BUDGET(GAPBASIS)ANDACTUAL FortheyearendedSeptember30, REVENUES Budget Actual(unfavorable)Actual Variance- 196 Intergovementa HUDreceipts 37,185$23,735$(13,450)$ 1,978 OtherInterest Totalrevenues 37,185 25, (12,171) 1,279 2, EXPENDITURES RentandutiliD,asistance Administrative 2,329 Totalexpenditures 1,62 2,987 2,027 (658) (365) 1,469 1,020 Exces(deficiency)ofrevenuesover FUNDBALANCE expenditures Beginingofyear Endofyear NotesonExhibitA-6areanintegralpartofthistatement 35
39 DEBTSERVICEFUNDS DebtServiceFundsareusedtoacountfor theacumulationofresourcesfor, generalong-termdebtprincipalandinterest, andthepaymentof, 36
40 ExhibitD TOWNOFWHITECASTLE,LOUISIANA DEBTSERVICEFUNDS COMBININGBALANCESHET September30, Sinking192Reserve PublicImprovementBonds SalesTaxBonds Certificateof ASETS Fund Fund Indebtednes 197Sinking Fund 197 Total 196 Cashandcashequivalents Investments,atcost $58,323$ 14,0 $ 12,643$ 14,0$ ,96 14Z0 Totalaset $58.323$14~0$ 12~643$214~96$ FUNDBALANCE Reserved-debtservice NotesonExhibitA-6areanintegralpartofthistatement 37
41 ExhibitD-1 TOWNOFWHITECASTLE,LOUISIANA DEBTSERVICEFUNDS COMBININGSTATEMENTOFREVENUES,EXPENDITURESAND CHANGESINFUNDBALANCES FortheyearendedSeptember30,197 REVENUES 192Sin~ng PublicImprovementBonds F~n0 SalesTaxBonds 192Reserve Fund Certificateof EXPENDITURES OtherInterest Indebtednes 197Sin~ng Fund Debtservice Principalretirement Interestandfiscalcharges 75,0 Totalexpendirares 74,863 75, Exces(deficiency)ofrevenuesover expenditures OTHERFINANCINGSOURCES(USES) Operatingtransfersin Operatingtransfersout (8,296) 12, ,549 (8,296) 152,687 Totalotherfinancingsources(uses) 15,982 (8,296) 12, ,25~ (8,086) Excesofrevenuesoverexpenditures 14,601 FUNDBALANCE andotherfinancingsources(uses) (6,19) 8,296 (12,567) (10,390) 6,728 Beginingofyear Endofyear 52,204 14,0 NotesonExhibitA-6areanintegralpanofthistatement 38
42 CAPITALPROJECTSFUND TheCapitalProjectsFundisusedtoacountfortheproceds ofabondisueforthepurposeofstretandrainage improvementsinwhitecastle.suchexpenditures aretobefundedwiththeprocedsofpublic improvementbonds. 39
43 TOWNOFWHITECASTLE,LOUISIANA CAPITALPROJECTFUND BALANCESHET September30,197 ASETS Cashandcashequivalents Investments,atcost Totalasets LIABILITIES FUNDBALANCE Acountspayable Undesignated Totaliabilitiesandfundbalance ExhibitE $64, , NotesonExhibitA-6areanintegralpartofthistatement 40
44 ExhibitE-1 TOWNOFWHITECASTLE,LOUISIANA CAPITALPROJECTFUND STATEMENTOFREVENUES,EXPENDITURES,ANDCHANGESIN FUNDBALANCE-ACTUAL FortheyearendedSeptember30,197 REVENUES OtherInterest EXPENDITURES Capitalprojects Contractpayments Enginering Profesional Totalexpenditures Exces(deficiency)ofrevenuesover OTHERFINANCINGSOURCES Expenditures Procedsfromlong-termdebt Excesofrevenuesoverexpenditures FUNDBALANCE andotherfinancingsources Beginingofyear Endofyear NotesonExhibitA-6areanintegralpartofthistatement 41 68,059 29,165 3,946 (9,287) 20,713
45 PROPRIETARY(ENTERPRISE)FUNDS toacountforoperationsthataresimilarto Proprietary(Enterprise)Fundsareused privatebusinesenterprises.theintentis thathecostsofprovidingservicestothe generalpubliconacontinuingbasisbe financedthroughusercharges. 42
46
47 oir~oc
48 TOWNOFWHITECASTLE,LOUISIANA ExhibitF-1 COMBININGSTATEMENTOFREVENUES,EXPENSES ENTERPRISEFUNDS ANDCHANGESINRETAINEDEARNINGS FortheyearendedSeptember30,197 OPERATINGREVENUES UtilityFundUtilityFundUtilityFund197 GasWaterworksSewerage Total 196 Chargesforservices Penalties Other $ OPERATINGEXPENSES Totaloperatingrevenues 18,6541,~18 $141,941$210,246$605,71 18,654$ ,0~ GasDepreciation FieldAdministration 69,752 9,935 Totaloperatingexpenses , , , , , , ,897 87,961 20,838 NONOPERATING Operatingincome(los) Interestincome Interestexpense ,305 9,81 30,06 Totalnonoperating (50.589~ 24,06 ( Income(los)beforeoperatingtransfers 58,131 9, ,603 (40.70g~(20.523~ (54,683)13,051 ( OPERATINGTRANSFERS Operatingtransfersout Depreciationtransferedtocontributedcapital Netincome(los) (5,569) 9,603 (54,683) {63.701~860~ (50,649)(69,028) RETAINEDEARNINGS Netdecreaseinretainedearnings (5,569) 9,603 (10,373) (6,39)(26,31) Beginingbalance Endingbalance , NotesonExhibitA-6areanintegralpanofthistatement 45
49 2
50 TOWNOFWHITECASTLE,LOUISIANA ExhibitF-3 ENTERPRISEFUNDS COMBININGSTATEMENTOFOPERATINGEXPENSES FortheyearendedSeptember30,197 EXPENSE GasWaterworksSewerage Total G~ Depreciation $9.935~; UtilityFundUtilityFundUtilityFund ,016 23,692 $ $9.935$87, ,897 FieldSalaries Payroltaxes Municipalretirement 52,56 Employes'insurance 4,834 Maintenance-equipment 1,850 42,906 Chemical Truck 2,597 4,3201,708 23,46 2,73 Fieldsuplies 1,390 2,698 1,050 18,908 Uncolectible Oxidationpond ,92 5,267 I1,927 2,36 4,608 I10,040 8,703 5,267 1,242 Enginering 7, ,567 29,015 7,631 17,741 5,592 12,036 3,97 Drugtesting Other 2, ,935 12, ,749 3, , , ,121 Administration Totalfield 69,752 2,283 79, ,84920~3,]08 943,3,903 10, ,838 Salaries Employebenefits Insurance 12,360 Oficesuplies 10,925 12, ,0 36,360 Uncolectible Computerservice Utilities Telephone 4,07 9, ,208 9, ,012 4,07 6,715 10, ,140 1,7 36,360 4,07 2,108 16,047 1,758 36,3 1,794 12,231 3,47 23,74 FuelPrinting 6,68 31,583 1,828 7,323 6,343 Duesandsubscriptions Travel Vehiclemaintenance 2, Profesional ,64 2, ,92 1,537 2, ,485 5,246 1, Totaladministration 45,102 40, laT,3a 8,47 12,293 Totaloperatingexpenses NotesonExhibitA-6areanintegralpartofthistatement 47
51 GENERALFIXEDASETSACOUNTGROUP Thisacountgroupisusedto establishacountingcontrolandacountability forthetown'sgeneralfixedasets. 48
52 ExhibitG TOWNOFWHITECASTLE,LOUISIANA STATEMENTOFGENERALFIXEDASETS September30,197 GENERALFIXEDASETS Land Buildings 252,26 Improvementsotherthanbuilding 982,506 Equipment 359, $2,419,976$2,301,740 INVESTMENTSINGENERALFIXEDASETS Generalobligationbonds Salestaxrevenues $34,062$ Federalrevenuesharing 386,036 Generalfund 85,76 386,036 34,062 Staterevenuesharing 871,167 Specialrevenuefunds 17, ,931 85,76 Stategrant 59,823 Capitalprojectsfund 191,478 59,823 17,397 Donation 236, , ,478 38,10 Total $2,419,976$2,301,740 NotesonExhibitA-6areanintegralpartofthistatement. 49
53 GENERALONG-TERMDEBTACOUNTGROUP acountforunmaturedgeneralong-termliabilities Thisacountgroupisusedto ofthetownexceptforthosein theproprietaryfunds. 50
54
55 SUPLEMENTARYFINANCIALINFORMATION 52
56 Schedule! TOWNOFWHITECASTLE,LOUISIANA OPERATINGTRANSFERS FortheyearendedSeptember30,197 To Transfers From GeneralFund: SalesTaxFund GasUtility 486,169 63,70 SpecialRevenueFunds: SalesTaxFund 192SalesTaxSinkingFund 197SalesTaxSinkingFund 147,686 GeneralFund 486,169 12,567 DebtServiceFunds: 192SalesTaxSinkingFund SalesTaxFund 192SalesTaxReserveFund 147,686 8, SalesTaxSinkingFund 192SalesTaxSinkingfund 8,296 SalesTaxFund 12,567 EnterpriseFunds: GasUtilityFund GeneralFund 63,70 Totals $718,418$718,418 53
57
58 Total TOWNOFWHITECASTLE,LOUISIANA BONDEDEBT PublicImprovementBonds,Series192,DatedMarch1,192 InterestPayableMarch1andSeptember1ofEachYear September30,197 Interest Rate 5.9~o6% 6.1% 6.2% 6.3% 6.4% 6.5% 6.5% 6.5% 6.5% YearlvPayments $80,0 85,0 90,0 10,0 105,0 10,0 120,0 130,0 140, $67,905 62,95 57,70 51,85 45,47 38,620 31,20 23,075 14,30 4~ OriginalisuedatedMarch1,192,for$1,40,0.Payingagent,FirstNationalBankofComercein NewOrleans,Louisiana. Thisobligationwasincuredforthepurposeofconstructing,acquiringand/orimprovingstrets,stret lightingandsidewalks,andamunicipalpoliceandjailbuilding. ThebondsaresecuredbyanirevocablepledgeandedicationoftheTown'salocationoftheavailsof procedsofthespecialtwo-thirdsofonepercent(2/3%)salesandusetaxleviedandcolectedbythe ParishofIbervile,StateofLouisiana. 5
59 O TOWNOFWHITECASTLE,LOUISIANA BONDEDEBT SewerRevenueBonds,DatedMay25,194 PrincipalandInterestPayableonthe25thDayofEachMonth September30,197 Interest Rate 5% 5%5%5%5% 5% 5%5%5%5%5%5%5%5%5%5%5%5%5%5%5%5% Totals YearlyPa,ment $26,35 27,681 29,098 30,586 32,150 3,796 35,524 37,342 39,253 41,261 43,372 45,590 47,923 50,375 52,953 5,62 58,509 61,503 64,650 67,957 71,43 45,147 $49,307 47,960 46,543 45,05 43,491 41, ,29 36,38 34,380 32,269 30,051 27,718 25,26 2,68 19,979 17,132 14,138 10,91 7,684 4,20874 $75,641 75,641 75,641 75,641 75,641 75,641 75,641 75,641 75,641 75,641 75,641 75,641 75,641 75,641 75,641 75,641 75,641 75,641 75,641 75,641 75,641 45,92 Schedule4 Bonds Outstanding $ , ,986 84,40 852, , , ,58 706,35 65, , ,12 528,189 47, , ,19 310, , ,537 16,580 45,147 OriginalisuedatedMay25,194,for$1,07,50,Payingagent,FarmersHomeAdministrationin Hamond,Louisiana. Thisobligationwasincuredforthepurposeofconstructingawastewatertreatmentfacilityandsewer forcemain. Paymentsofprincipalandinterestonbondsaresecuredbyandpayablesolelyfromrevenuesgeneratedby sewerfes.
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