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City of Fort Lauderdale
1995 Comprehensive Annual Financial Report


INTRODUCTORY SECTION (19 Pages, 236 KB)

FINANCIAL SECTION (44 Pages, 914 KB)

  • Combined Balance Sheet - All Fund Types and Account Groups
  • Combined Statement of Revenues, Expenditures and Changes in Fund Balances - All Government Fund Types
  • Combined Statement of Revenues, Expenditures and Changes in Fund Balances - Budget and Actual (Budget Basis)
  • Combined Statement of Revenues, Expenditures and Changes in Retained Earnings/Fund Balances - All Proprietary Fund Types and Similar Trust Funds
  • Combined Statement of Cash Flows - All Proprietary Fund Types and Non-expendable Trust Funds

COMBINING AND INDIVIDUAL FUND STATEMENTS
AND SCHEDULES (56 Pages, 196 KB)

General Fund: (6 Pages, 39.3 KB)

  • Schedule of Revenues and Other Financing Sources
  • Schedules of Expenditures and Other Financing Uses

Special Revenue Funds: (10 Pages, 30.6 KB)

  • Combining Balance Sheet
  • Combining Statement of Revenues, Expenditures and Changes in Fund Balances
  • Combining Schedule of Revenues and Other Financing Sources (Budget Basis) Compared to
    Budget - Intergovernmental Revenue, Beach Community Redevelopment Agency and Sunrise Key Safe Neighborhood District Funds
  • Combining Schedule of Expenditures and Other Financing Uses (Budget Basis) Compared to
    Budget - Intergovernmental Revenue, Beach Community Redevelopment Agency and Sunrise Key Safe Neighborhood District Funds

Debt Service Funds: (4 Pages, 13.2 KB)

  • Combining Balance Sheet
  • Combining Statement of Revenues, Expenditures and Changes in Fund Balances
  • Combining Statement of Revenues, Expenditures and Changes in Fund Balances -
    Budget and Actual

Capital Project Funds: (10 Pages, 26.8 KB)

  • Combining Balance Sheet
  • Combining Statement of Revenues, Expenditures and Changes in Fund Balances
  • Schedules of Sources and Uses - General Obligation Construction Fund 1987, Tax Increment Revenue Fund 1992, Excise Tax Fund 1992 and Excise Tax Fund 1993

Enterprise Funds: (12 Pages, 53.2 KB)

  • Combining Balance Sheet
  • Combining Statement of Revenues, Expenses and Changes in Retained Earnings
  • Combining Statement of Cash Flows
  • Schedules of Revenues and Expenses Compared to Budget - Water and Sewer, Sanitation, Parking System, Airport and Stormwater
  • Schedule of Sources and Uses - Water and Sewer Revenue Bond Construction Series 1993B

Internal Service Funds: (6 Pages, 21.3 KB)

  • Combining Balance Sheet
  • Combining Statement of Revenues, Expenses and Changes in Retained Earnings
  • Combining Statement of Cash Flows
  • Schedules of Revenues and Expenses Compared to Budget - City Insurance, Central Services and Vehicle Rental

Trust and Agency Funds: (6 Pages, 19.5 KB)

  • Combining Balance Sheet
  • Combining Statement of Revenues, Expenses and Changes in Fund Balances - Non-expendable Trust Funds
  • Combining Statement of Cash Flows - Non-expendable Trust Funds
  • Combining Statement of Revenues, Expenses and Changes in Fund Balances - Pension Trust Funds
  • Combing Statement of Changes in Assets and Liabilities - Agency Funds

General Fixed Assets Account Group: (2 Pages, 9.56 KB)

  • Schedule of General Fixed Assets by Function and Activity
  • Schedule of Changes in General Fixed Assets by Function and Activity

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