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02/12/2008 BALANCE SHEET FOR CITY OF GLADWIN

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PERIOD ENDED 01/31/2008

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FUND 581 - AIRPORT FUND

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*** ASSETS ***

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581-000-001.000CASH - CHECKING10,811.69

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581-000-002.000CASH - SAVINGS953.11

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581-000-004.000PETTY CASH100.00

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581-000-040.000ACCOUNTS RECEIVABLE1,379.48

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581-000-093.000PREPAID EXPENSES30,413.96

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581-000-110.000INVENTORY13,469.24

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581-000-130.000LAND57,000.00

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581-000-132.000LAND IMPROVEMENTS1,210,754.18

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581-000-133.000ACCUM DEPR LAND IMPROVEMENTS(142,466.72)

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581-000-138.000EQUIPMENT41,589.82

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581-000-139.000ACCUM DEPR EQUIPMENT(29,006.32)

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581-000-158.000CONSTRUCTION IN PROGRESS659,833.00

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TOTAL ASSETS1,854,831.44

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*** LIABILITIES ***

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581-000-202.000ACCOUNTS PAYABLE448.00

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581-000-214.000DUE TO OTHER FUNDS2,411.00

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581-000-214.101DUE TO GENERAL11,818.55

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581-000-283.003HANGAR DEPOSITS2,500.00

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TOTAL LIABILITIES17,177.55

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*** CAPITAL ***

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581-000-366.000RESERVE FOR IMPROVEMENTS926.41

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581-000-390.000FUND BALANCE/RETAINED EARNINGS493,580.75

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581-000-399.000INVESTMENT IN FIXED ASSETS1,208,064.67

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BEG. FUND BALANCE1,702,571.83

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NET OF REVENUES VS. EXPENDITURES135,082.06

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TOTAL CAPITAL1,837,653.89

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TOTAL LIABILITIES AND CAPITAL1,854,831.44