9358-R3_LGP_MechanicFalls_2024AnnualReport
STATEMENT A (CONTINUED) STATEMENT A (CONTINUED)
TOWN OF MECHANIC FALLS, MAINE STATEMENT OF NET POSITION JUNE 30, 2025 TOWN OF MECHANIC FALLS, MAINE STATEMENT OF NET POSITION JUNE 30, 2025
Governmental
Governmental Activities Activities
Business-type
Business-type Activities Activities
Total
Total
LIABILITIES Current liabilities:
LIABILITIES Current liabilities: Accounts payable Accrued expense Accrued liabilities Accrued interest
Accounts payable Accrued expense Accrued liabilities Accrued interest
$
$
51,499 93,216
51,499 93,216
$
$
51,503
51,503
$
$
103,002 93,216
103,002 93,216
-
-
-
-
481 341
481 341
481
481
1,380
1,380
1,721
1,721
Current portion of long-term obligations
Current portion of long-term obligations
124,945 271,040
124,945 271,040
43,064 95,389
43,064 95,389
168,009 366,429
168,009 366,429
Total current liabilities
Total current liabilities
Noncurrent liabilities: Noncurrent portion of long-term obligations: Bonds payable Accrued compensated absences Noncurrent liabilities: Noncurrent portion of long-term obligations: Bonds payable Accrued compensated absences
-
-
43,334 2,313
43,334 2,313
43,334 30,029 140,048 213,411
43,334 30,029 140,048 213,411
27,716 140,048 167,764
27,716 140,048 167,764
-
-
Total noncurrent liabilities Net pension (asset)/liability
Net pension (asset)/liability
Total noncurrent liabilities
45,647
45,647
TOTAL LIABILITIES
TOTAL LIABILITIES
438,804
438,804
141,036
141,036
579,840
579,840
DEFERRED INFLOWS OF RESOURCES Deferred revenues related to leases Deferred inflows related to pension Deferred inflows related to OPEB TOTAL DEFERRED INFLOWS OF RESOURCES DEFERRED INFLOWS OF RESOURCES Deferred revenues related to leases Deferred inflows related to pension Deferred inflows related to OPEB TOTAL DEFERRED INFLOWS OF RESOURCES NET POSITION Net investment in capital assets Restricted: Nonexpendable trust funds NET POSITION Net investment in capital assets Restricted: Nonexpendable trust funds
216,000 15,376
216,000 15,376
- - - -
- - - -
216,000 15,376
216,000 15,376
1,244
1,244
1,244
1,244
232,620
232,620
232,620
232,620
3,813,199
3,813,199
4,190,703
4,190,703
8,003,902
8,003,902
1,755 11,821
1,755 11,821
- - -
- - -
1,755 11,821
1,755 11,821
Expendable trust funds
Expendable trust funds
Grant funds
Grant funds
106
106
106
106
Unrestricted
Unrestricted
3,384,474 7,211,355
3,384,474 7,211,355
439,332 4,630,035
439,332 4,630,035
3,823,806 11,841,390
3,823,806 11,841,390
TOTAL NET POSITION
TOTAL NET POSITION
TOTAL LIABILITIES, DEFERRED INFLOWS OF RESOURCES AND NET POSITION TOTAL LIABILITIES, DEFERRED INFLOWS OF RESOURCES AND NET POSITION
$
$
7,882,779
7,882,779
$
$
4,771,071
4,771,071
$
$
12,653,850
12,653,850
See accompanying independent auditor’s report and notes to financial statements. 14 See accompanying independent auditor’s report and notes to financial statements. 14
80
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