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Total <br />Transfers out(374,031)0(1,714,100)(135,000)(135,000)(2,358,131)(234,023)Principal payments on pension bonds(77,722)(67,218)(16,261)(113,926)(163,366)(438,493)(436,451)Interest payments <br /> on pension bonds(104,292)(90,195)(21,820)(152,873)(219,212)(588,392)(585,656)(165,000)(40,770)Acquisition and construction of capital assets(265,867)(9,310,619)0(3,648,623)(1,524,540)(14,749,649)(2, <br />724,825)Net cash provided by (used for) capital and related financing activities(265,867)(3,834,815)0(3,592,108)(1,524,540)(9,217,330)(2,665,696) <br />(1,189,638)(1,512,466)(1,649,113)(2,907,952)(6,136,784)(13,395,953)(40,114,269)(4,073,095)(3,746,075)(916,964)(6,247,256)(9,013,900)(23,997,290)(11,802,677)(1,403,914)(1,474,455)(1,319,729)(3,691,838 <br />)(3,924,870)(11,814,806)(4,973,363)(573,000)(508,000)(226,000)(870,000)(1,357,000)(3,534,000)(1,622,000) <br />Funds <br />Exhibit 8 <br />continued <br />AmbulanceMunicipalParkingStormwaterWastewaterInternal Service <br />1,362,000Subsidy from grant377,71400185,4970563,211140,812Net cash provided by (used for) noncapital financing activities(178,331)(157,413)(1,752,181)(216,302)(517,578)(2,821,805)246,682Contributions <br /> from other funds and governments05,475,804056,51505,532,3190 <br />48,417,095005,465,350264,899321,2850321,2853,367,621760,5284,758,0393,852,44924,547,65462,446,849 <br />7,955,8209,517,6286,622,95116,318,36844,668,94885,083,71515,560,56405,939,1602,806,22325,286,23759,079,228 <br />Governmental <br />Activities <br />(21,609,265)(21,609,265)271,975(1,636,191)760,528(1,181,121)1,046,226(738,583) <br />Totals <br />12,800 <br />000000436,225716,1732,276,6322,511,1452,601,3223,063,35411,168,626000000000000000000000000119,126131,926 <br />Utility <br />436,22524,990024,990 <br />Utility <br />25,967025,967 <br />00000000 <br />Business-type Activities <br />Enterprise Funds <br />Services <br />1,56401,564 <br />Airport <br />66,60512,80079,405271,97514,904,663 <br />016,540,854 <br />Transport <br />000 <br />Cash paid to MWMC for sewer user and septic hauler fees collected <br />Cash received from MWMC for operating reimbursements <br />Cash flows from capital and related financing activities <br />Principal payments on notes, bonds, and certificates <br />Interest payments on notes, bonds, and certificates <br />Net cash provided by (used for) operating activities <br />Net cash provided by (used for) investing activities <br />Cash received from interfund services provided <br />Cash flows from noncapital financing activities <br />Cash paid to suppliers for goods and services <br />Statement of Cash Flows <br />Repayment of loans and notes receivable <br />Cash paid for central business functions <br />For the fiscal year ended June 30, 2015 <br />Cash paid for interfund services used <br />Cash paid to employees for services <br />Proceeds from sale of capital assets <br />Cash flows from operating activities <br />Cash flows from investing activities <br />Net increase (decrease) in cash <br />Cash received from customers <br />City of Eugene, Oregon <br />Cash, June 30, 2015 <br />(amounts in dollars) <br />Cash, July 1, 2014 <br />Proprietary Funds <br />Interest revenue <br />Transfers in <br />36 <br />