Regular Fire Board Meeting - July 10, 2024

NOTE 9 - DEFERRED OUTLOWS AND INFLOWS OF RESOURCES

Pursuant to GASB Statement No. 63, “ Financial Reporting of Deferred Outflows of Resources, Deferred Inflows of Resources, and Net Position ,” and GASB Statement No. 65, “ Items Previously Reported as Assets and Liabilities ,” the District recognized deferred outflows of resources in the government-wide statements. These items are a consumption of net position by the District that is applicable to a future reporting period. Previous financial reporting standards do not include guidance for reporting those financial statement elements, which are distinct from assets and liabilities. The Apache County Treasurer was unable to supply information regarding the inflows of resources pertaining to property taxes receivable despite repeated attempts to obtain it.

NOTE 10 - CONTINGENT LIABILITIES

Amounts received or receivable from grantor agencies are subject to audit and adjustment by grantor agencies. Any disallowed claims, including amounts already collected, may constitute a liability of the applicable funds. The amount, if any, of expenditures which may be disallowed by the grantor cannot be determined at this time although the government expects such amounts, if any, to be immaterial.

NOTE 11 – ACCUMULATED COMPENSATED ABSENCES

Accumulated unpaid compensated absences are accrued in the Government-Wide Statement of Net Position. The District did not have any unpaid compensated absences at June 30, 2023

The District’s non-vested sick leave on June 30, 2020 was $ 0.

NOTE 12 – CURRENT LIABILITIES

Accounts Payable are liabilities considered due and payable in 60 days or less. Current liabilities are those liabilities payable within one year or less.

Changes in Current Liabilities:

Balance

Balance

June 30, 2019

Additions

Deletions

June 30, 2020

Accounts Payable

$

7,665 1,247 3,758

$

0 0 0 0 0 0

$

2,111 1,488

$

7,231 4,876 7,487

Payroll/Withholding Taxes

Wages Payable

571

Compensated Absences

10,344 24,262 214,388

10,344 24,262 15,650

0 0

IT Service Contract

Warrant Account Overdraft

163,195

Totals

$

261,664

$ 34,606

$ 19,820

$

182,789

37

Made with FlippingBook - Online magazine maker