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Agenda - City of Dallas

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Exhibit A<br />

Maple/Mockingbird TIF District<br />

FY 2011 Annual Report<br />

<strong>City</strong> <strong>of</strong> <strong>Dallas</strong>, Texas<br />

Maple/Mockingbird Tax Increment Financing District Fund<br />

Balance Sheet as <strong>of</strong> September 30, 2011 (Unaudited)<br />

With Comparative Totals for September 30, 2010, 2009, and 2008<br />

2011 2010 2009 2008<br />

Assets:<br />

Pooled cash and cash equivalents $9 $3,482 $0 $0<br />

Interest receivable $10 $18 $0 $0<br />

Total assets $20 $3,500 $0 $0<br />

Liabilities and Fund Balance (Deficit):<br />

Liabilities:<br />

Accounts and contracts payable $0 $0 $0 $0<br />

Advances from developers $0 $0 $0 $0<br />

Accrued interest $0 $0 $0 $0<br />

Due to general fund $68,305 $64,800 $31,247 $0<br />

Total liabilities $68,305 $64,800 $31,247 $0<br />

Fund Balance (Deficit):<br />

Fund Balance (Deficit) ($64,780) ($61,300) ($31,247) $0<br />

Total Liabilities and Fund Equity $3,525 $3,500 $0 $0<br />

$3,505 $0 $0 $0<br />

Maple/Mockingbird Tax Increment Financing District Fund<br />

Statement <strong>of</strong> Revenues, Expenditures and Changes in Fund Balance (Deficit)<br />

For the Period September 30, 2011 (Unaudited)<br />

With Comparative Totals for September 30, 2010, 2009, and 2008<br />

ITD 2011 2010 2009 2008<br />

Revenues:<br />

Tax increment-Governmental $3,476 $0 $3,476 $0 $0<br />

Tax increment-Intergovernmental $0 $0 $0 $0 $0<br />

Interest income $39 $23 $16 $0 $0<br />

Grant from <strong>City</strong> $0 $0 $0 $0 $0<br />

Net increase (decrease) in fair value <strong>of</strong> investments $9 $1 $8 $0 $0<br />

Total revenues $3,525 $25 $3,500 $0 $0<br />

Expenditures:<br />

Administrative expenses $68,305 $3,505 $33,554 $31,247 $0<br />

Non-Capital Outlay $0 $0 $0 $0 $0<br />

Capital outlay $0 $0 $0 $0 $0<br />

Interest and fiscal charges $0 $0 $0 $0 $0<br />

Total expenditures $68,305 $3,505 $33,554 $31,247 $0<br />

Excess (Deficiency) <strong>of</strong> Revenues over Expenditures ($64,780) ($3,480) ($30,054) ($31,247) $0<br />

Fund balance (Deficit) at beginning <strong>of</strong> year<br />

as previously reported $0 ($61,300) ($31,247) $0 $0<br />

Fund balance (Deficit) at beginning <strong>of</strong> year,<br />

as restated $0 ($61,300) ($31,247) $0 $0<br />

Fund balance (deficit) at end <strong>of</strong> year ($64,780) ($64,780) ($61,300) ($31,247) $0<br />

Note: Fiscal year 2010-11 unaudited financial statements are based on the 13th period close numbers and are subject<br />

review by the <strong>City</strong> Controller's Office prior to approval by the <strong>City</strong> Council. In case <strong>of</strong> any material changes, TIF board<br />

will be provided with the updated financial statements.<br />

18

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