2025 Annual Comprehensive Financial Report
CITY OF SHAKOPEE
STATEMENT OF CASH FLOWS - PROPRIETARY FUNDS
For the Year Ended December 31, 2025
Business-Type Activities - Enterprise Funds
Governmental Activities - Internal Service Funds
Storm Drainage
Sewer
Refuse
Total
CASH FLOWS - OPERATING ACTIVITIES Receipts from Customers and Users
$ 5,175,235
$ 1,190,753
$
90,000
$ 6,455,988
$ 5,546,270
Receipts from Interfund Services
-
-
- - -
-
355,349
Payments to Suppliers Payments to Employees
(3,797,069) (513,717)
(724,612) (681,694)
(4,521,681) (1,195,411)
(1,756,575)
-
Net Cash Flows - Operating Activities
864,449
(215,553)
90,000
738,896
4,145,044
CASH FLOWS - NONCAPITAL FINANCING ACTIVITIES
Payment Received (Paid) on Interfund Loan
- -
237,615 122,976
- - - - - -
237,615 122,976 33,984 (33,984)
(110,000)
Grants for Operating Purposes Receipts from Interfund Services Payments for Interfund Services Interest Paid on Interfund Loan
- - -
33,984
- -
- - -
(33,984)
(371)
(371)
(11,000) 475,000 (350,000)
Transfer from Other Funds Transfer to Other Funds
-
-
(200,000)
(200,000)
(400,000)
Net Cash Flows - Noncapital Financing Activities
(166,016)
160,220
(33,984)
(39,780)
4,000
CASH FLOWS - CAPITAL AND RELATED FINANCING ACTIVITIES Trunk Charges
384,752 142,848
1,237,987
- - - - - -
1,622,739
- -
Capital Related Special Assessments
-
142,848 100,000 (10,783) 105,000
Capital Grant
- -
100,000 (10,783)
49,313
Principal paid on Leases and SBITA Proceeds from Disposal of Capital Assets
(211,647)
7,000
98,000
100,830
Acquisition of Capital Assets
(446,919)
(688,861)
(1,135,780)
(3,144,818)
Net Cash Flows - Capital and Related Financing Activities
87,681
736,343
-
824,024
(3,206,322)
CASH FLOWS - INVESTING ACTIVITIES Interest Received (Loss)
335,258
765,359
257
1,100,874
1,132,802
Net Cash Flows - Investing Activities
335,258
765,359
257
1,100,874
1,132,802
1,121,372
1,446,369
56,273
2,624,014
2,075,524
Net Change in Cash and Cash Equivalents
CASH AND CASH EQUIVALENTS Beginning of Year
6,165,393
13,343,472
-
19,508,865
21,019,315
$ 7,286,765
$ 14,789,841
$
56,273
$ 22,132,879
$ 23,094,839
End of Year
The Notes to the Financial Statements are an integral part of this statement.
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