HomeMy WebLinkAboutAnnual Update Document with Footnotes for FYE 2011.pdfAll Numbers in This Report
Have Been Rounded To
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ARTICLE 3, SECTION 30 of the GENERAL MUNICPAL LAW:
1. ***Every Municipal Corporation *** shall annually make a report of its
financial condition to the Comptroller. Such report shall be made by the
Chief Fiscal Officer of such Municipal Corporation ***
5. All reports shall be certified by the officer making the same and shall
be filed with the Comptroller *** It shall be the duty of the incumbent
officer at the time such reports are required to be filed with the
Comptroller to file such report ***
AUTHORIZATION
ANNUAL FINANCIAL REPORT
For The
VILLAGE of Cayuga Heights
County of Tompkins
UPDATE DOCUMENT
For the Fiscal Year Ended 05/31/2011
State of NEW YORK
Office of The State Comptroller
Division of Local Government and School Accountability
Albany, New York 12236
Page 1
VILLAGE OF Cayuga Heights
Financial Information for the following funds and account groups are included in the Annual Financial Report filed
by your government for the fiscal year ended 2010 and has been used by the OSC as the basis for preparing this
update document for the fiscal year ended 2011:
*** FINANCIAL SECTION ***
(A) GENERAL
(FX) WATER
(G) SEWER
(H) CAPITAL PROJECTS
(K) GENERAL FIXED ASSETS
(TA) AGENCY
(W) GENERAL LONG-TERM DEBT
All amounts included in this update document for 2010 represent data filed by your government with
OSC as reviewed and adjusted where necessary.
1) Statement of Indebtedness
2) Schedule of Time Deposits and Investments
3) Bank Reconciliation
4) Local Government Questionnaire
5) Schedule of Employee and Retiree Benefits
6) Schedule of Energy Costs and Consumption
All numbers in this report will be rounded to the nearest dollar.
*** SUPPLEMENTAL SECTION ***
The Supplemental Section includes the following sections:
*** ARRA SECTION ***
The American Recovery and Reinvestment Act (ARRA) section of your Annual Financial Report
is designed to report revenues and expenditures of federal stimulus money
for the current fiscal year ended.
7) Schedule of Other Post Employment Benefits (OPEB)
Page 2
Balance Sheet
(A) GENERAL
Code Description 2010 EdpCode 2011
Assets
Cash 132,581 A200 247,734
Cash In Time Deposits 1,827,873 A201 1,274,398
Petty Cash 355 A210 355
TOTAL Cash 1,960,808 1,522,487
Taxes Receivable, Current 0 A250
TOTAL Taxes Receivable (net)00
Accounts Receivable 0 A380 25,061
TOTAL Other Receivables (net)0 25,061
State & Federal, Other 0 A410
TOTAL State And Federal Aid Receivables 0 0
Due From Other Funds 980 A391 48,988
TOTAL Due From Other Funds 980 48,988
Due From Other Governments 990 A440 63,404
TOTAL Due From Other Governments 990 63,404
Prepaid Expenses 29,699 A480 43,034
TOTAL Prepaid Expenses 29,699 43,034
Cash, Special Reserves 0 A230
TOTAL Restricted Assets 00
TOTAL Assets 1,992,477 1,702,974
OSC Municipality Code 500442300850Page 3
VILLAGE OF Cayuga Heights
Annual Update Document
For the Fiscal Year Ending 2011
Balance Sheet
(A) GENERAL
Code Description 2010 EdpCode 2011
Liabilities
Accounts Payable 276,813 A600 81,272
TOTAL Accounts Payable 276,813 81,272
Accrued Liabilities 0 A601 108,444
TOTAL Accrued Liabilities 0 108,444
Overpayments & Clearing Account -1,752 A690 -58
TOTAL Other Liabilities -1,752 -58
Due To Other Funds 0 A630 5,043
TOTAL Due To Other Funds 0 5,043
Deferred Revenues 0 A691
TOTAL Deferred Revenues 00
TOTAL Liabilities 275,061 194,701
Reserve For Encumbrances 0 A821
TOTAL Reserve For Encumbrances 00
Reserve For Repairs 0 A882
TOTAL Special Reserves 00
Unreserved Fund Balance Appropriated 240,000 A910 360,000
TOTAL Unreserved Fund Balance - Appropriated 240,000 360,000
Unreserved Fund Balance Unappropriated 1,477,416 A911 1,148,273
TOTAL Unreserved Fund Balance - Unappropriated 1,477,416 1,148,273
TOTAL Fund Equity 1,717,416 1,508,273
TOTAL Liabilities And Fund Equity 1,992,477 1,702,974
OSC Municipality Code 500442300850Page 4
VILLAGE OF Cayuga Heights
Annual Update Document
For the Fiscal Year Ending 2011
Results of Operation
(A) GENERAL
Code Description 2010 EdpCode 2011
Revenues
A1001 2,125,2922,050,249Real Property Taxes
TOTAL Real Property Taxes 2,050,249 2,125,292
A1090 5,1584,894Interest & Penalties On Real Prop Taxes
TOTAL Real Property Tax Items 4,894 5,158
A1120 704,541618,710Non Prop Tax Dist By County
A1130 65,50559,011Utilities Gross Receipts Tax
TOTAL Non Property Tax Items 677,720 770,046
A1255 961828Clerk Fees
A1520 1190Police Fees
A15700Charges For Demolition of Unsafe Buildings
A17100Public Works Charges
A2110100Zoning Fees
A21150Planning Board Fees
A2130 37,65732,990Refuse & Garbage Charges
TOTAL Departmental Income 33,918 38,737
A2260 7,6649,139Public Safety Services For Other Govts
A2262 169,778164,819Fire Protection Services Other Govts
TOTAL Intergovernmental Charges 173,958 177,442
A2401 8,02312,196Interest And Earnings
A2410 6,7507,200Rental of Real Property
TOTAL Use of Money And Property 19,396 14,773
A2590 10,7658,050Permits, Other
TOTAL Licenses And Permits 8,050 10,765
A2610 17,88012,971Fines And Forfeited Bail
TOTAL Fines And Forfeitures 12,971 17,880
A2650 1,6250Sales of Scrap & Excess Materials
A2665 7,7299,926Sales of Equipment
A2680 13,2432,320Insurance Recoveries
TOTAL Sale of Property And Compensation For Loss 12,246 22,597
A2705 20,60518,111Gifts And Donations
A2770 4,035223Unclassified (specify)
TOTAL Miscellaneous Local Sources 18,334 24,640
A3001 17,70518,844St Aid, Revenue Sharing
A3005 42,96950,540St Aid, Mortgage Tax
A30400St Aid, Real Property Tax Administration
A30600ST. Aid, Records MgmT.
A3089 30,0002,285St Aid - Other (specify)
A3501 173,4170St Aid, Consolidated Highway Aid
TOTAL State Aid 71,669 264,091
A43890Fed Aid Other Public Safety
A49600Fed Aid, Emergency Disaster Assistance
TOTAL Federal Aid 00
TOTAL Revenues 3,083,406 3,471,421
Page 5 OSC Municipality Code 500442300850
VILLAGE OF Cayuga Heights
Annual Update Document
For the Fiscal Year Ending 2011
Results of Operation
(A) GENERAL
Code Description 2010 EdpCode 2011
Other Sources
A5031 94,90092,000Interfund Transfers
TOTAL Interfund Transfers 92,000 94,900
TOTAL Other Sources 92,000 94,900
TOTAL Detail Revenues And Other Sources 3,175,406 3,566,321
Page 6 OSC Municipality Code 500442300850
VILLAGE OF Cayuga Heights
Annual Update Document
For the Fiscal Year Ending 2011
Results of Operation
(A) GENERAL
Code Description 2010 EdpCode 2011
Expenditures
A11101 40,41638,284Municipal Court, Pers Serv
A111020Municipal Court, Equip & Cap Outlay
A11104 3,9221,868Municipal Court, Contr Expend
TOTAL Municipal Court 40,152 44,338
A12101 13,20013,200Mayor, Pers Serv
A12104 2,2602,429Mayor, Contr Expend
TOTAL Mayor 15,629 15,460
A13204 9,1008,959Auditor, Contr Expend
TOTAL Auditor 8,959 9,100
A13251 16,24815,816Treasurer, Pers Serv
A132520Treasurer, Equip & Cap Outlay
A13254 10,1366,689Treasurer, Contr Expend
TOTAL Treasurer 22,505 26,384
A14101 101,52092,301Clerk,pers Serv
A141020Clerk,equip & Cap Outlay
A14104 12,1525,182Clerk,contr Expend
TOTAL Clerk 97,483 113,672
A142010Law, Pers Serv
A14204 105,657105,905Law, Contr Expend
TOTAL Law 105,905 105,657
A14401 35,19034,956Engineer, Pers Serv
A14404 9201,116Engineer, Contr Expend
TOTAL Engineer 36,072 36,110
A14504 1,1381,359Elections, Contr Expend
TOTAL Elections 1,359 1,138
A146010Records Mgmt, PerS. SerV.
A146020Records Mgmt, Equip & Cap Outlay
A14604 6,5474,458Records Mgmt, Contr Expend
TOTAL Records Mgmt 4,458 6,547
A14804 8,9416,779Public Inform & Services, Contr Expend
TOTAL Public Inform & Services 6,779 8,941
A16201 7,6373,699Buildings, Pers Serv
A162024,340Buildings, Equip & Cap Outlay
A16204 50,77246,919Buildings, Contr Expend
TOTAL Buildings 54,958 58,409
A16401 72,02159,858Central Garage, Pers Serv
A16402 12,1290Central Garage, Equip & Cap Outlay
A16404 65,40061,494Central Garage, Contr Expend
TOTAL Central Garage 121,352 149,550
A165020Central Comm System, Equip & Cap Outlay
A16504 11,7999,662Central Comm System, Contr Expend
TOTAL Central Comm System 9,662 11,799
A16802 3,8420Central Data Process & Cap Outlay
A16804 8,64510,548Central Data Process, Contr Expend
TOTAL Central Data Process 10,548 12,487
Page 7 OSC Municipality Code 500442300850
VILLAGE OF Cayuga Heights
Annual Update Document
For the Fiscal Year Ending 2011
Results of Operation
(A) GENERAL
Code Description 2010 EdpCode 2011
Expenditures
A19104 75,18048,515Unallocated Insurance, Contr Expend
TOTAL Unallocated Insurance 48,515 75,180
A19204 1,8831,883Municipal Assn Dues, Contr Expend
TOTAL Municipal Assn Dues 1,883 1,883
A195040Taxes & Assess On Munic Prop, Contr Expend
TOTAL Taxes & Assess On Munic Prop 0 0
TOTAL General Government Support 586,218 676,655
A31201 670,093637,943Police, Pers Serv
A31202 27,92723,692Police, Equip & Cap Outlay
A31204 40,03634,498Police, Contr Expend
TOTAL Police 696,133 738,056
A34101 13,42415,514Fire, Pers Serv
A34102 26,77131,234Fire, Equip & Cap Outlay
A34104 178,579169,938Fire, Contr Expend
TOTAL Fire 216,686 218,774
A36201 31,59032,841Safety Inspection, Pers Serv
A36204 6711,800Safety Inspection, Contr Expend
TOTAL Safety Inspection 34,641 32,261
TOTAL Public Safety 947,460 989,091
A50101 61,06758,782Street Admin, Pers Serv
TOTAL Street Admin 58,782 61,067
A51101 168,647147,319Maint of Streets, Pers Serv
A51102 24,36524,433Maint of Streets, Equip & Cap Outlay
A51104 137,97778,707Maint of Streets, Contr Expend
TOTAL Maint of Streets 250,459 330,989
A51122 231,879202,629Perm Improve Highway, Equip & Cap Outlay
TOTAL Perm Improve Highway 202,629 231,879
A51421 48,13232,612Snow Removal, Pers Serv
A51422 20,78025,900Snow Removal, Equip & Cap Outlay
A51424 62,13663,579Snow Removal, Contr Expend
TOTAL Snow Removal 122,091 131,048
A51824 36,50738,814Street Lighting, Contr Expend
TOTAL Street Lighting 38,814 36,507
TOTAL Transportation 672,774 791,490
A714040Playgr & Rec Centers, Contr Expend
TOTAL Playgr & Rec Centers 00
TOTAL Culture And Recreation 00
A801040Zoning, Contr Expend
TOTAL Zoning 00
A80204 36,55813,456Planning, Contr Expend
TOTAL Planning 13,456 36,558
A81404 1,5001,515Storm Sewers, Contr Expend
TOTAL Storm Sewers 1,515 1,500
A81601 74,32379,491Refuse & Garbage, Pers Serv
A81602 18,7980Refuse & Garbage, Equip & Cap Outlay
Page 8 OSC Municipality Code 500442300850
VILLAGE OF Cayuga Heights
Annual Update Document
For the Fiscal Year Ending 2011
Results of Operation
(A) GENERAL
Code Description 2010 EdpCode 2011
Expenditures
A81604 67,58859,613Refuse & Garbage, Contr Expend
TOTAL Refuse & Garbage 139,103 160,709
A85101 2,1222,711Comm Beautification, Pers Serv
A85104235Comm Beautification, Contr Expend
TOTAL Comm Beautification 2,946 2,122
A85604 8,28513,375Shade Tree, Contr Expend
TOTAL Shade Tree 13,375 8,285
TOTAL Home And Community Services 170,395 209,174
A90108 92,25250,419State Retirement System
A90158 122,15397,354Police & Firemen Retirement, Empl Bnfts
A90308 107,30094,756Social Security, Employer Cont
A90408 42,89537,750Worker's Compensation, Empl Bnfts
A90508 12,77010,514Unemployment Insurance, Empl Bnfts
A90558 642443Disability Insurance, Empl Bnfts
A90608 400,441404,228Hospital & Medical (dental) Ins, Empl Bnft
TOTAL Employee Benefits 695,464 778,453
A97106 100,000157,000Debt Principal, Serial Bonds
A973060Debt Principal, Bond Anticipation Notes
TOTAL Debt Principal 157,000 100,000
A97107 77,10091,080Debt Interest, Serial Bonds
A973070Debt Interest, Bond Anticipation Notes
TOTAL Debt Interest 91,080 77,100
TOTAL Expenditures 3,320,391 3,621,963
A99509 153,50090,023Transfers, Capital Projects Fund
TOTAL Operating Transfers 90,023 153,500
TOTAL Other Uses 90,023 153,500
TOTAL Detail Expenditures And Other Uses 3,410,413 3,775,463
Page 9 OSC Municipality Code 500442300850
VILLAGE OF Cayuga Heights
Annual Update Document
For the Fiscal Year Ending 2011
(A) GENERAL
Changes in Fund Equity
Code Description 2010 EdpCode 2011
ANALYSIS OF CHANGES IN FUND EQUITY
Fund Equity-Beginning of Year 1,952,424 A8021 1,717,416
Restated Fund Equity - Beg of Year 1,952,424 A8022 1,717,416
ADD - REVENUES AND OTHER SOURCES 3,175,406 3,566,321
DEDUCT - EXPENDITURES AND OTHER USES 3,410,413 3,775,463
Fund Equity-End of Year 1,717,416 A8029 1,508,274
Page 10 OSC Municipality Code 500442300850
VILLAGE OF Cayuga Heights
Annual Update Document
For the Fiscal Year Ending 2011
Code Description
(A) GENERAL
Budget Summary
EdpCode 20122011
Estimated Revenues
Est Rev - Real Property Taxes 2,125,300 A1049N 2,240,083
Est Rev - Real Property Tax Items 6,000 A1099N 6,000
Est Rev - Non Property Tax Items 660,000 A1199N 690,000
Est Rev - Departmental Income 36,250 A1299N 39,500
Est Rev - Intergovernmental Charges 189,000 A2399N 324,430
Est Rev - Use of Money And Property 27,800 A2499N 19,000
Est Rev - Licenses And Permits 12,500 A2599N 9,000
Est Rev - Fines And Forfeitures 25,000 A2649N 13,000
Est Rev - Sale of Prop And Comp For Loss 32,000 A2699N 7,500
Est Rev - Miscellaneous Local Sources 640 A2799N 1,997
Est Rev - Interfund Revenues 94,900 A2801N 99,640
Est Rev - State Aid 241,610 A3099N 17,350
3,451,000 3,467,500TOTAL Estimated Revenues
Appropriated Fund Balance 240,000 A599N 360,000
240,000 360,000TOTAL Estimated Other Sources
3,691,000 3,827,500TOTAL Estimated Revenues And Other Sources
OSC Municipality Code 500442300850Page 11
VILLAGE OF Cayuga Heights
Annual Update Document
For the Fiscal Year Ending 2011
Code Description
(A) GENERAL
Budget Summary
EdpCode 20122011
Appropriations
App - General Government Support 737,800 A1999N 713,564
App - Public Safety 1,036,450 A3999N 1,036,650
App - Transportation 670,620 A5999N 657,400
App - Home And Community Services 228,740 A8999N 281,700
App - Employee Benefits 762,690 A9199N 818,736
App - Debt Service 177,200 A9899N 244,450
3,613,500 3,752,500TOTAL Appropriations
App - Interfund Transfer 77,500 A9999N 75,000
77,500 75,000TOTAL Other Uses
3,691,000 3,827,500TOTAL Appropriations And Other Uses
OSC Municipality Code 500442300850Page 12
VILLAGE OF Cayuga Heights
Annual Update Document
For the Fiscal Year Ending 2011
Balance Sheet
(FX) WATER
Code Description 2010 EdpCode 2011
Assets
Cash 4,040 FX200 21,423
Cash In Time Deposits 55,705 FX201 110,173
TOTAL Cash 59,745 131,596
Water Rents Receivable FX350 24,327
TOTAL Other Receivables (net)0 24,327
Prepaid Expenses FX480 445
TOTAL Prepaid Expenses 0 445
TOTAL Assets 59,745 156,368
OSC Municipality Code 500442300850Page 13
VILLAGE OF Cayuga Heights
Annual Update Document
For the Fiscal Year Ending 2011
Balance Sheet
(FX) WATER
Code Description 2010 EdpCode 2011
Liabilities
Accounts Payable 58,307 FX600 69,506
TOTAL Accounts Payable 58,307 69,506
Accrued Liabilities FX601 4,847
TOTAL Accrued Liabilities 0 4,847
Due To Other Funds FX630 14,123
TOTAL Due To Other Funds 0 14,123
TOTAL Liabilities 58,307 88,476
Unreserved Fund Balance Unappropriated 1,438 FX911 67,892
TOTAL Unreserved Fund Balance - Unappropriated 1,438 67,892
TOTAL Fund Equity 1,438 67,892
TOTAL Liabilities And Fund Equity 59,745 156,368
OSC Municipality Code 500442300850Page 14
VILLAGE OF Cayuga Heights
Annual Update Document
For the Fiscal Year Ending 2011
Results of Operation
(FX) WATER
Code Description 2010 EdpCode 2011
Revenues
FX2140 505,682412,466Metered Water Sales
FX2144 925780Water Service Charges
FX2148 7,6025,292Interest & Penalties On Water Rents
TOTAL Departmental Income 418,539 514,209
FX2401 239433Interest And Earnings
TOTAL Use of Money And Property 433 239
FX2770 16316,726Unclassified (specify)
TOTAL Miscellaneous Local Sources 16,726 163
TOTAL Revenues 435,697 514,611
FX5031Interfund Transfers
TOTAL Interfund Transfers 00
TOTAL Other Sources 00
TOTAL Detail Revenues And Other Sources 435,697 514,611
Page 15 OSC Municipality Code 500442300850
VILLAGE OF Cayuga Heights
Annual Update Document
For the Fiscal Year Ending 2011
Results of Operation
(FX) WATER
Code Description 2010 EdpCode 2011
Expenditures
FX19104 1,330890Unallocated Insurance, Contr Expend
TOTAL Unallocated Insurance 890 1,330
TOTAL General Government Support 890 1,330
FX83204 247,940232,844Source Supply Pwr & Pump, Contr Expend
TOTAL Source Supply Pwr & Pump 232,844 247,940
FX83401 24,50523,640Water Trans & Distrib, Pers Serv
FX83402 22,58923,485Water Trans & Distrib, Equip & Cap Outlay
FX83404 16,47222,759Water Trans & Distrib, Contr Expend
TOTAL Water Trans & Distrib 69,884 63,566
TOTAL Home And Community Services 302,728 311,506
FX90108 2,9791,599State Retirement, Empl Bnfts
FX90308 1,9031,738Social Security, Empl Bnfts
FX90408 761692Workers Compensation, Empl Bnfts
FX90508 226193Unemployment Insurance, Empl Bnfts
FX90558 118Disability Insurance, Empl Bnfts
FX90608 7,1037,413Hospital & Medical (dental) Ins, Empl Bnft
TOTAL Employee Benefits 11,643 12,983
FX97306 75,000Debt Principal, Bond Anticipation Notes
TOTAL Debt Principal 0 75,000
FX97307 22,438Debt Interest, Bond Anticipation Notes
TOTAL Debt Interest 0 22,438
TOTAL Expenditures 315,261 423,257
FX99019 24,90024,000Transfers, Other Funds
FX99509148,835Transfers, Capital Projects Fund
TOTAL Operating Transfers 172,835 24,900
TOTAL Other Uses 172,835 24,900
TOTAL Detail Expenditures And Other Uses 488,096 448,157
Page 16 OSC Municipality Code 500442300850
VILLAGE OF Cayuga Heights
Annual Update Document
For the Fiscal Year Ending 2011
(FX) WATER
Changes in Fund Equity
Code Description 2010 EdpCode 2011
ANALYSIS OF CHANGES IN FUND EQUITY
Fund Equity - Beginning of Year 53,837 FX8021 1,438
Restated Fund Equity - Beg of Year 53,837 FX8022 1,438
ADD - REVENUES AND OTHER SOURCES 435,697 514,611
DEDUCT - EXPENDITURES AND OTHER USES 488,096 448,157
Fund Equity - End of Year 1,438 FX8029 67,892
Page 17 OSC Municipality Code 500442300850
VILLAGE OF Cayuga Heights
Annual Update Document
For the Fiscal Year Ending 2011
Code Description
(FX) WATER
Budget Summary
EdpCode 20122011
Estimated Revenues
Est Rev - Departmental Income 494,180 FX1299N 516,800
Est Rev - Use of Money And Property 700 FX2499N 200
Est Rev-Miscellaneous Local Sources 1,120 FX2799N 0
496,000 517,000TOTAL Estimated Revenues
496,000 517,000TOTAL Estimated Revenues And Other Sources
OSC Municipality Code 500442300850Page 18
VILLAGE OF Cayuga Heights
Annual Update Document
For the Fiscal Year Ending 2011
Code Description
(FX) WATER
Budget Summary
EdpCode 20122011
Appropriations
App - General Government Support 26,850 FX1999N 23,000
App-Home And Community Services 350,000 FX8999N 352,400
App - Employee Benefits 21,550 FX9199N 15,460
App - Debt Service 73,600 FX9899N 100,000
472,000 490,860TOTAL Appropriations
App - Interfund Transfer 24,000 FX9999N 26,140
24,000 26,140TOTAL Other Uses
496,000 517,000TOTAL Appropriations And Other Uses
OSC Municipality Code 500442300850Page 19
VILLAGE OF Cayuga Heights
Annual Update Document
For the Fiscal Year Ending 2011
Balance Sheet
(G) SEWER
Code Description 2010 EdpCode 2011
Assets
Cash 45,527 G200 179,629
Cash In Time Deposits 627,670 G201 924,332
TOTAL Cash 673,197 1,103,961
Sewer Rents Receivable 0 G360
Accounts Receivable 0 G380 1,122
TOTAL Other Receivables (net)0 1,122
Due From Other Funds 243,584 G391
TOTAL Due From Other Funds 243,584 0
Due From Other Governments 0 G440
TOTAL Due From Other Governments 0 0
Prepaid Expenses G480 728
TOTAL Prepaid Expenses 0 728
Cash Special Reserves 0 G230
TOTAL Restricted Assets 00
TOTAL Assets 916,781 1,105,811
OSC Municipality Code 500442300850Page 20
VILLAGE OF Cayuga Heights
Annual Update Document
For the Fiscal Year Ending 2011
Balance Sheet
(G) SEWER
Code Description 2010 EdpCode 2011
Liabilities
Accounts Payable 54,372 G600 68,933
TOTAL Accounts Payable 54,372 68,933
Accrued Liabilities 0 G601 2,991
TOTAL Accrued Liabilities 0 2,991
Due To Other Funds 0 G630 34,821
TOTAL Due To Other Funds 0 34,821
TOTAL Liabilities 54,372 106,745
Reserve For Encumbrances 0 G821
TOTAL Reserve For Encumbrances 00
Reserve For Repairs 0 G882
TOTAL Special Reserves 00
Unreserved Fund Balance Appropriated 8,280 G910 100,000
TOTAL Unreserved Fund Balance - Appropriated 8,280 100,000
Unreserved Fund Balance Unappropriated 854,129 G911 899,066
TOTAL Unreserved Fund Balance - Unappropriated 854,129 899,066
TOTAL Fund Equity 862,409 999,066
TOTAL Liabilities And Fund Equity 916,781 1,105,811
OSC Municipality Code 500442300850Page 21
VILLAGE OF Cayuga Heights
Annual Update Document
For the Fiscal Year Ending 2011
Results of Operation
(G) SEWER
Code Description 2010 EdpCode 2011
Revenues
G1001Real Property Taxes
TOTAL Real Property Taxes 00
G2120 235,494228,506Sewer Rents
G21220Sewer Charges
G21280Interest & Penalties On Sewer Accts
TOTAL Departmental Income 228,506 235,494
G2374 685,629680,760Sewer Serv Other Govts
TOTAL Intergovernmental Charges 680,760 685,629
G2401 4,4253,960Interest And Earnings
TOTAL Use of Money And Property 3,960 4,425
G2590500Permits, Other
TOTAL Licenses And Permits 500 0
G26800Insurance Recoveries
TOTAL Sale of Property And Compensation For Loss 0 0
G2770 11,29214,918Unclassified (specify)
TOTAL Miscellaneous Local Sources 14,918 11,292
G3989 12,34011,040St Aid, Other Home And Comm Serv
TOTAL State Aid 11,040 12,340
TOTAL Revenues 939,684 949,180
G5031243,584Interfund Transfers
TOTAL Interfund Transfers 243,584 0
TOTAL Other Sources 243,584 0
TOTAL Detail Revenues And Other Sources 1,183,268 949,180
Page 22 OSC Municipality Code 500442300850
VILLAGE OF Cayuga Heights
Annual Update Document
For the Fiscal Year Ending 2011
Results of Operation
(G) SEWER
Code Description 2010 EdpCode 2011
Expenditures
G19104 14,1209,210Unallocated Insurance, Contr Expend
TOTAL Unallocated Insurance 9,210 14,120
G19504 206206Taxes & Assess On Munic Prop, Contr Expend
TOTAL Taxes & Assess On Munic Prop 206 206
TOTAL General Government Support 9,416 14,326
G81104Sewer Administration, Contr Expend
TOTAL Sewer Administration 00
G81201 36,48929,350Sanitary Sewers, Pers Serv
G81202 21,03923,485Sanitary Sewers, Equip & Cap Outlay
G81204 7,8639,691Sanitary Sewers, Contr Expend
TOTAL Sanitary Sewers 62,526 65,391
G81301 3,3922,202Sewage Treat Disp, Pers Serv
G81302 2,4199,173Sewage Treat Disp, Equip & Cap Outlay
G81304 535,908522,073Sewage Treat Disp, Contr Expend
TOTAL Sewage Treat Disp 533,448 541,719
TOTAL Home And Community Services 595,975 607,110
G90108 4,8472,135State Retirement, Empl Bnfts
G90308 3,0972,319Social Security , Empl Bnfts
G90408 1,238924Worker's Compensation, Empl Bnfts
G90508 369257Unemployment Insurance, Empl Bnfts
G90558 1911Disability Insurance, Empl Bnfts
G90608 11,5579,895Hospital & Medical (dental) Ins, Empl Bnft
TOTAL Employee Benefits 15,541 21,127
G97106 40,00010,000Debt Principal, Serial Bonds
TOTAL Debt Principal 10,000 40,000
G97107 24,8928,171Debt Interest, Serial Bonds
TOTAL Debt Interest 8,171 24,892
TOTAL Expenditures 639,103 707,455
G99019 105,06768,000Transfers, Other Funds
TOTAL Operating Transfers 68,000 105,067
TOTAL Other Uses 68,000 105,067
TOTAL Detail Expenditures And Other Uses 707,103 812,522
Page 23 OSC Municipality Code 500442300850
VILLAGE OF Cayuga Heights
Annual Update Document
For the Fiscal Year Ending 2011
(G) SEWER
Changes in Fund Equity
Code Description 2010 EdpCode 2011
ANALYSIS OF CHANGES IN FUND EQUITY
Fund Equity - Beginning of Year 386,244 G8021 862,409
Restated Fund Equity - Beg of Year 386,244 G8022 862,409
ADD - REVENUES AND OTHER SOURCES 1,183,268 949,180
DEDUCT - EXPENDITURES AND OTHER USES 707,103 812,522
Fund Equity - End of Year 862,409 G8029 999,067
Page 24 OSC Municipality Code 500442300850
VILLAGE OF Cayuga Heights
Annual Update Document
For the Fiscal Year Ending 2011
Code Description
(G) SEWER
Budget Summary
EdpCode 20122011
Estimated Revenues
Est Rev - Departmental Income 233,730 G1299N 205,590
Est Rev-Intergovernmental Charges 683,424 G2399N 598,620
Est Rev - Use of Money And Property 2,000 G2499N 4,000
Licenses And Permits 1,000 G2599N 500
Est Rev-Miscellaneous Local Sources 846 G2799N 10,290
Est Rev - State Aid 4,000 G3099N 8,000
925,000 827,000TOTAL Estimated Revenues
Appropriated Fund Balance 8,280 G599N 100,000
8,280 100,000TOTAL Estimated Other Sources
933,280 927,000TOTAL Estimated Revenues And Other Sources
OSC Municipality Code 500442300850Page 25
VILLAGE OF Cayuga Heights
Annual Update Document
For the Fiscal Year Ending 2011
Code Description
(G) SEWER
Budget Summary
EdpCode 20122011
Appropriations
App - General Government Support 58,750 G1999N 53,870
App - Home And Community Services 720,450 G8999N 711,650
App - Employee Benefits 27,950 G9199N 23,830
App - Debt Service 58,130 G9899N 64,150
865,280 853,500TOTAL Appropriations
App - Interfund Transfer 68,000 G9999N 73,500
68,000 73,500TOTAL Other Uses
933,280 927,000TOTAL Appropriations And Other Uses
OSC Municipality Code 500442300850Page 26
VILLAGE OF Cayuga Heights
Annual Update Document
For the Fiscal Year Ending 2011
Balance Sheet
(H) CAPITAL PROJECTS
Code Description 2010 EdpCode 2011
Assets
Cash -37,051 H200 -27,680
Cash In Time Deposits -510,821 H201 -8,194
TOTAL Cash -547,872 -35,874
Accounts Receivable H380 133,021
TOTAL Other Receivables (net)0 133,021
State & Federal Receivables 102,000 H410
TOTAL State And Federal Aid Receivables 102,000 0
Due From Other Funds 0 H391 74
TOTAL Due From Other Funds 07 4
Cash Special Reserves 0 H230
TOTAL Restricted Assets 00
Misc Current Assets H489
TOTAL Other 00
TOTAL Assets -445,872 97,221
OSC Municipality Code 500442300850Page 27
VILLAGE OF Cayuga Heights
Annual Update Document
For the Fiscal Year Ending 2011
Balance Sheet
(H) CAPITAL PROJECTS
Code Description 2010 EdpCode 2011
Liabilities
Accounts Payable 9,838 H600 20,270
TOTAL Accounts Payable 9,838 20,270
Accrued Liabilities 0 H601
TOTAL Accrued Liabilities 00
Retained Percentages, Cont Pay 351 H605 351
TOTAL Retained Percentages 351 351
Due To Other Funds 243,584 H630
TOTAL Due To Other Funds 243,584 0
TOTAL Liabilities 253,773 20,621
Reserve For Encumbrances 0 H821
TOTAL Reserve For Encumbrances 00
Reserve For Repairs 0 H882
TOTAL Special Reserves 00
Unreserved Fund Balance Appropriated 26,087 H910
TOTAL Unreserved Fund Balance - Appropriated 26,087 0
Unreserved Fund Balance Unappropriated -725,732 H911 76,600
TOTAL Unreserved Fund Balance - Unappropriated -725,732 76,600
TOTAL Fund Equity -699,645 76,600
TOTAL Liabilities And Fund Equity -445,872 97,221
OSC Municipality Code 500442300850Page 28
VILLAGE OF Cayuga Heights
Annual Update Document
For the Fiscal Year Ending 2011
Results of Operation
(H) CAPITAL PROJECTS
Code Description 2010 EdpCode 2011
Revenues
H2397 133,0210Capital Projects-Other Local Govts
TOTAL Intergovernmental Charges 0 133,021
H24010Interest And Earnings
TOTAL Use of Money And Property 0 0
H27050Gifts And Donations
H2770Unclassified (specify)
TOTAL Miscellaneous Local Sources 0 0
H39890St Aid, Other Home And Comm Serv
H399092,051St Aid, Sewer Cap Proj
TOTAL State Aid 92,051 0
TOTAL Revenues 92,051 133,021
H5031 188,568238,858Interfund Transfers
TOTAL Interfund Transfers 238,858 188,568
H5710Serial Bonds
H5730 230,0001,000,000Bond Anticipation Notes
H5731Bans Redeemed From Appropriations
TOTAL Proceeds of Obligations 1,000,000 230,000
TOTAL Other Sources 1,238,858 418,568
TOTAL Detail Revenues And Other Sources 1,330,908 551,589
Page 29 OSC Municipality Code 500442300850
VILLAGE OF Cayuga Heights
Annual Update Document
For the Fiscal Year Ending 2011
Results of Operation
(H) CAPITAL PROJECTS
Code Description 2010 EdpCode 2011
Expenditures
H16202 90021,113Buildings, Equip & Cap Outlay
TOTAL Buildings 21,113 900
H164020Central Garage, Equip & Cap Outlay
TOTAL Central Garage 00
TOTAL General Government Support 21,113 900
H34102 418,1920Fire, Equip & Cap Outlay
TOTAL Fire 0 418,192
TOTAL Public Safety 0 418,192
H514220Snow Removal, Equip & Cap Outlay
TOTAL Snow Removal 00
H56302 20,8308,909Bus Operations, Equip & Cap Outlay
TOTAL Bus Operations 8,909 20,830
TOTAL Transportation 8,909 20,830
H812020Sanitary Sewers, Equip & Cap Outlay
TOTAL Sanitary Sewers 00
H81302 35,067804,496Sewage Treat Disp, Equip & Cap Outlay
TOTAL Sewage Treat Disp 804,496 35,067
H816020Refuse & Garbage, Equip & Cap Outlay
TOTAL Refuse & Garbage 00
H834021,092,455Water Trans & Distrib, Equip & Cap Outlay
TOTAL Water Trans & Distrib 1,092,455 0
H851020Comm Beautification, Equip & Cap Outlay
TOTAL Comm Beautification 00
TOTAL Home And Community Services 1,896,951 35,067
H971060Debt Principal, Serial Bonds
H973060Debt Principal, Bond Anticipation Notes
TOTAL Debt Principal 00
H971070Debt Interest, Serial Bonds
TOTAL Debt Interest 00
TOTAL Expenditures 1,926,973 474,989
H99019243,584Transfers, Other Funds
H995090Transfers, Capital Projects Fund
TOTAL Operating Transfers 243,584 0
TOTAL Other Uses 243,584 0
TOTAL Detail Expenditures And Other Uses 2,170,556 474,989
Page 30 OSC Municipality Code 500442300850
VILLAGE OF Cayuga Heights
Annual Update Document
For the Fiscal Year Ending 2011
(H) CAPITAL PROJECTS
Changes in Fund Equity
Code Description 2010 EdpCode 2011
ANALYSIS OF CHANGES IN FUND EQUITY
Fund Equity - Beginning of Year 140,003 H8021 -699,645
Prior Period AdJ.- Increase In Fund Equity H8012 699,645
Restated Fund Equity - Beg of Year 140,003 H8022
ADD - REVENUES AND OTHER SOURCES 1,330,908 551,589
DEDUCT - EXPENDITURES AND OTHER USES 2,170,556 474,989
Fund Equity - End of Year -699,645 H8029 76,600
Page 31 OSC Municipality Code 500442300850
VILLAGE OF Cayuga Heights
Annual Update Document
For the Fiscal Year Ending 2011
Balance Sheet
(K) GENERAL FIXED ASSETS
Code Description 2010 EdpCode 2011
Assets
Land 102,401 K101 102,401
Buildings 6,949,328 K102 6,949,328
Machinery & Equipment 4,238,137 K104 4,404,297
Infrastructure 39,734,830 K106 40,337,443
Accum Deprec, Buildings -1,476,839 K112 -1,608,581
Accum Depr, Machinery & Equip -1,678,403 K114 -2,050,289
Accum Deprec, Infrastructure -21,439,951 K116 -22,147,321
TOTAL Fixed Assets (net)26,429,503 25,987,278
TOTAL Assets 26,429,503 25,987,278
OSC Municipality Code 500442300850Page 32
VILLAGE OF Cayuga Heights
Annual Update Document
For the Fiscal Year Ending 2011
Balance Sheet
(K) GENERAL FIXED ASSETS
Code Description 2010 EdpCode 2011
Fund Equity
Total Non-Current Govt Assets 26,429,503 K159 25,987,278
TOTAL Investments in Non-Current Government Assets 26,429,503 25,987,278
TOTAL Fund Equity 26,429,503 25,987,278
TOTAL Liabilities And Fund Equity 26,429,503 25,987,278
OSC Municipality Code 500442300850Page 33
VILLAGE OF Cayuga Heights
Annual Update Document
For the Fiscal Year Ending 2011
Balance Sheet
(TA) AGENCY
Code Description 2010 EdpCode 2011
Assets
Cash 3,918 TA200 -1,748
TOTAL Cash 3,918 -1,748
Due From Other Funds TA391 5,043
TOTAL Due From Other Funds 0 5,043
TOTAL Assets 3,918 3,295
OSC Municipality Code 500442300850Page 34
VILLAGE OF Cayuga Heights
Annual Update Document
For the Fiscal Year Ending 2011
Balance Sheet
(TA) AGENCY
Code Description 2010 EdpCode 2011
Liabilities
Due To Other Funds 980 TA630 118
TOTAL Due To Other Funds 980 118
State Retirement 1,731 TA18 843
Disability Insurance 506 TA19 664
Group Insurance -1,785 TA20 1,270
Income Executions 0 TA23
Guaranty & Bid Deposits 2,485 TA30 400
TOTAL Agency Liabilities 2,938 3,177
TOTAL Liabilities 3,918 3,295
TOTAL Liabilities And Fund Equity 3,918 3,295
OSC Municipality Code 500442300850Page 35
VILLAGE OF Cayuga Heights
Annual Update Document
For the Fiscal Year Ending 2011
Balance Sheet
(W) GENERAL LONG-TERM DEBT
Code Description 2010 EdpCode 2011
Assets
Total Non-Current Govt Liabilities 2,641,980 W129 3,407,879
TOTAL Provision To Be Made In Future Budgets 2,641,980 3,407,879
TOTAL Assets 2,641,980 3,407,879
OSC Municipality Code 500442300850Page 36
VILLAGE OF Cayuga Heights
Annual Update Document
For the Fiscal Year Ending 2011
Balance Sheet
(W) GENERAL LONG-TERM DEBT
Code Description 2010 EdpCode 2011
General Long Term Debt
Bond Anticipation Notes Payable 1,000,000 W626 1,155,000
TOTAL Notes Payable 1,000,000 1,155,000
Compensated Absences 126,980 W687 143,658
TOTAL Other Liabilities 126,980 143,658
Bonds Payable 1,515,000 W628 2,109,221
TOTAL Bond And Long Term Liabilities 1,515,000 2,109,221
TOTAL Liabilities 2,641,980 3,407,879
TOTAL General Long Term Debt 2,641,980 3,407,879
OSC Municipality Code 500442300850Page 37
VILLAGE OF Cayuga Heights
Annual Update Document
For the Fiscal Year Ending 2011
VILLAGE OF Cayuga Heights
Financial Comments
For the Fiscal Year Ending 2011
(H) CAPITAL PROJECTS
Adjustment Reason
Correction of Prior Year Fund EquityAccount Code H8012
Page 38 OSC Municipality Code 500
VILLAGE OF Cayuga Heights
Statement of Indebtedness
For the Fiscal Year Ending 2011
Water and Other Purposes Exempt From Constitutional Debt Limit
Purpose of Issue
Current Interest Rate
EDPCODE Amount
text 5/27/2011
text r System Improvement
text
Month and Year of Issue
Bond Anticipation Note No. 2011000001
Outstanding Beginning of Year
Prior Year Adjustment
Issued During the Fiscal Year
(do not include renewals here)
Paid During the Fiscal Year
(do not include renewals here)
Outstanding End of the Fiscal Year
Final Maturity Date
text
text text
2P18663
text text
2P18665 0
2P18667 925,000
text 5/25/2012
text text
925,000
2.0000
2P18661 0
0text
Purpose of Issue
Current Interest Rate
EDPCODE Amount
text 5/31/2011
text Fire Truck
text
Month and Year of Issue
Bond Anticipation Note No. 2011000002
Outstanding Beginning of Year
Prior Year Adjustment
Issued During the Fiscal Year
(do not include renewals here)
Paid During the Fiscal Year
(do not include renewals here)
Outstanding End of the Fiscal Year
Final Maturity Date
text
text text
2P18663
text text
2P18665 0
2P18667 230,000
text 5/31/2012
text text
230,000
1.6000
2P18661 0
0text
Purpose of Issue
Current Interest Rate
EDPCODE Amount
text 5/28/2010
text r System Improvement
text
Month and Year of Issue
Bond Anticipation Note No. 2010000001
Outstanding Beginning of Year
Prior Year Adjustment
Issued During the Fiscal Year
(do not include renewals here)
Paid During the Fiscal Year
(do not include renewals here)
Outstanding End of the Fiscal Year
Final Maturity Date
text
text text
2P18663
text text
2P18665 1,000,000
2P18667 0
text 5/27/2011
text text
0
2.2500
2P18661 1,000,000
0text
Total Bond Anticipation Note
Outstanding Beginning of Year
Amount
1,000,000
Prior Year Adjustment 0
Paid During Fiscal Year
Outstanding End of Year 1,155,000
*** Bond Anticipation Notes Redeemed
From Bond Proceeds During Fiscal Year 2P18885 925,000
1,000,000
Issued During Fiscal Year 1,155,000
Page 39 OSC Municipality Code 500442300850
VILLAGE OF Cayuga Heights
Statement of Indebtedness
For the Fiscal Year Ending 2011
Water and Other Purposes Exempt From Constitutional Debt Limit
Purpose of Issue
Current Interest Rate
EDPCODE Amount
text 6/21/2010
text hosphorous Treatment
text
Month and Year of Issue
Bond No. 2011000004
Outstanding Beginning of Year
Prior Year Adjustment
Issued During the Fiscal Year
(do not include renewals here)
Paid During the Fiscal Year
(do not include renewals here)
Outstanding End of the Fiscal Year
Final Maturity Date
text
text text
2P18673
text text
2P18675 30,000
2P18677 704,221
text 10/1/2030
text text
734,221
4.2000
2P18671 0
0text
Total Bond
Outstanding Beginning of Year
Amount
0
Prior Year Adjustment 0
Paid During Fiscal Year
Outstanding End of Year 704,221
0
30,000
Issued During Fiscal Year 734,221
Page 40 OSC Municipality Code 500442300850
VILLAGE OF Cayuga Heights
Statement of Indebtedness
For the Fiscal Year Ending 2011
Indebtedness Not Exempt From Constitutional Debt Limit
Purpose of Issue
Current Interest Rate
EDPCODE Amount
text 6/15/2000
text Fire Projects
text
Month and Year of Issue
Bond No. 2001000001
Outstanding Beginning of Year
Prior Year Adjustment
Issued During the Fiscal Year
(do not include renewals here)
Paid During the Fiscal Year
(do not include renewals here)
Outstanding End of the Fiscal Year
Final Maturity Date
text
text text
2P18773
text text
2P18775 50,000
2P18777 605,000
text 6/15/2019
text text
0
6.0000
2P18771 655,000
0text
Purpose of Issue
Current Interest Rate
EDPCODE Amount
text
text
text
Month and Year of Issue
Bond No. 2011000003
Outstanding Beginning of Year
Prior Year Adjustment
Issued During the Fiscal Year
(do not include renewals here)
Paid During the Fiscal Year
(do not include renewals here)
Outstanding End of the Fiscal Year
Final Maturity Date
text
text text
2P18773
text text
2P18775
2P18777
text
text text
2P18771
text
Purpose of Issue
Current Interest Rate
EDPCODE Amount
text 7/28/2005
text TRICKLING FILTERS
text
Month and Year of Issue
Bond No. 2009000001
Outstanding Beginning of Year
Prior Year Adjustment
Issued During the Fiscal Year
(do not include renewals here)
Paid During the Fiscal Year
(do not include renewals here)
Outstanding End of the Fiscal Year
Final Maturity Date
text
text text
2P18773
text text
2P18775 10,000
2P18777 195,000
text 7/28/2025
text text
0
2.0000
2P18771 205,000
0text
Page 41 OSC Municipality Code 500442300850
VILLAGE OF Cayuga Heights
Statement of Indebtedness
For the Fiscal Year Ending 2011
Indebtedness Not Exempt From Constitutional Debt Limit
Purpose of Issue
Current Interest Rate
EDPCODE Amount
text 5/17/2000
text Fire Projects 1
text
Month and Year of Issue
Bond No. 2001000005
Outstanding Beginning of Year
Prior Year Adjustment
Issued During the Fiscal Year
(do not include renewals here)
Paid During the Fiscal Year
(do not include renewals here)
Outstanding End of the Fiscal Year
Final Maturity Date
text
text text
2P18773
text text
2P18775 50,000
2P18777 605,000
text 5/15/2019
text text
0
6.0000
2P18771 655,000
0text
Total Bond
Outstanding Beginning of Year
Amount
1,515,000
Prior Year Adjustment 0
Paid During Fiscal Year
Outstanding End of Year 1,405,000
0
110,000
Issued During Fiscal Year 0
******************************************************************************************************************************************************************************************************************************************************************************
Total of All Indebtedness
Includes Total of Bonds and Notes - Exempt and Not Exempt
Total Bond Amount
Outstanding Beginning of Year 2,515,000
0Prior Year Adjustment
Issued During Fiscal Year 1,889,221
Paid During Fiscal Year 1,140,000
Outstanding End of Year 3,264,221
Page 42 OSC Municipality Code 500442300850
VILLAGE OF Cayuga Heights
Schedule of Time Deposits and Investments
For the Fiscal Year Ending 2011
EDP Code Amount
CASH:
On Hand 9Z2001 $2,746,509.00
Demand Deposits 9Z2011 $0.00
Time Deposits 9Z2021 $0.00
Total $2,746,509.00
COLLATERAL:
- FDIC Insurance 9Z2014 $500,000.00
9Z2014A $3,403,416.00
INVESTMENTS:
- Securities (450)
Book Value (cost) 9Z4501 $0.00
Market Value at Balance Sheet Date 9Z4502 $0.00
9Z4504A $0.00
- Repurchase Agreements (451)
Book Value (cost) 9Z4511 $0.00
Market Value at Balance Sheet Date 9Z4512 $0.00
9Z4514A $0.00
$3,903,416.00
Collateralized with securities held in
possession of municipality or its agent
Collateralized with securities held in
possession of municipality or its agent
Collateralized with securities held in
possession of municipality or its agent
Total
Page 43 OSC Municipality Code 500442300850
Bank
Account
Number
Bank
Balance
Add:
Deposit
In Transit
Less:
Outstanding
Checks
Adjusted
Bank
Balance
*****-1918 $447,364 $0 $171 $447,193
*****-1918 ($815)$0 $5 ($820)
*****-1918 $2,300,710 $0 $0 $2,300,710
Total Adjusted Bank Balance
Petty Cash
Adjustments
Total Cash 9ZCASH *
Total Cash Balance All Funds 9ZCASHB *
* Must be equal
$2,747,083
$355.00
$-929.00
$2,746,509
$2,720,422
OSC Municipality Code 500442300850Page 44
VILLAGE OF Cayuga Heights
Bank Reconciliation
For the Fiscal Year Ending 2011
Include All Checking, Savings and C.D. Accounts
VILLAGE OF Cayuga Heights
Local Government Questionnaire
For the Fiscal Year Ending 2011
Response
Yes
No
Yes
Yes
Does your municipality have a written procurement policy?
Have the financial statements for your municipality been independently audited?
If not, are you planning on having an audit conducted?
Does your local government participate in an insurance pool with other local
governments?
If yes, has your municipality used the results to design the system of internal
controls?
1)
2)
3)
4)
5)
6)
7)
9)
8)
Has your municipality prepared and documented a risk assessment plan?No
Does your municipality have a Capital Plan?No
Does your municipality have a Length of Service Award Program (LOSAP)
for volunteer firefighters?
No
Does your local government participate in an investment pool with other
local governments?
No
Have you had a change in chief executive or chief fiscal officer during the
last year?
Has your Local Government adopted an investment policy as required by
General Municipal Law, Section 39?
Yes
Yes
Page 45
VILLAGE OF Cayuga Heights
Employee and Retiree Benefits
For the Fiscal Year Ending 2011
# of Retirees# of Full
Time
Employees
# of Part
Time
Employees
Total
Expenditures
(All Funds)
Account
Code
Description
715$100,078.0090108State Retirement System
6$122,153.0090158Police and Fire Retirement
$0.0090258Local Pension Fund
21 7$112,300.0090308Social Security
21 7$44,894.0090408Worker's Compensation
Insurance
$0.0090458Life Insurance
21 7$13,365.0090508Unemployment Insurance
21 7$672.0090558Disability Insurance
20$419,101.0090608Hospital and Medical
(Dental) Insurance
$0.0090708Union Welfare Benefits
$0.0090858Supplemental Benefit Payment to
Disabled Fire Fighters
91890 Other Employee Benefits $0.00
Total Full Time Employees:
Total Part Time Employees:
Total
Computed Total From Financial
Section (comparative purposes only)
$812,563.00
$812,563.00
Page 46 OSC Municipality 500442300850
VILLAGE OF Cayuga Heights
Energy Costs and Consumption
For the Fiscal Year Ending 2011
Units Of
Measure
Total VolumeTotal
Expenditures
Energy Type Alternative
Units Of
Measure
gallons$21,081Gasoline
gallons$36,309Diesel Fuel
gallons$Fuel Oil
cubic feet$46,686Natural Gas
kilowatts$142,016Electricity
tons$Coal
Page 47 OSC Municipality 500442300850
VILLAGE OF Cayuga Heights
Schedule of Other Post Employment Benefits (OPEB)
For the Fiscal Year Ending 2011
Annual OPEB Cost and Net OPEB Obligation
Type of Other Post Employment Benefits Plan
Annual Required Contribution(ARC)
Interest on Net OPEB Obligation
Adjustment to Annual Required Contribution
Annual OPEB Expense
Less: Actual Contribution Made
Increase in Net OPEB Obligation
Net OPEB Obligation - beginning of year
Net OPEB Obligation - end of year
Total Other Post Employment Benefits as reported in Accounts 683 in
Financial Section, Current Fiscal Year
Percentage of Annual OPEB Cost Contributed (Actual Contribution
Made/Annual OPEB Cost)
Funded Status and Funding Process
Actuarial Accrued Liability(AAL)
Less: Actuarial Value of Plan Assets
Unfunded Actuarial Accrued Liability(UAAL)
Funded Ratio(Actuarial Value of Plan Assets/AAL)
Annual Covered Payroll (of active employees covered by the plan)
UAAL as Percentage of Annual Covered Payroll
Other OPEB Information
Date of most recent actuarial valuation
Actuarial method used
Assumed rate of return on investments discount rate
Amortization period of UAAL(in years)
.00%
Page 48 OSC Municipality 500442300850
CERTIFICATION OF CHIEF FISCAL OFFICER
and filed by means of electronic data transmission.
Steven Greenberg
Name of Report Preparer if
different than Chief Fiscal Officer
Name
(607) 257-1238 Treasurer
Telephone Number Title
836 Hanshaw Road, Ithaca, NY 1485
Official Address
09/26/2011 (607) 257-1238
Date of Certification Official Telephone Number
, hereby certify that I am the Chief Fiscal Officer ofSteven Greenberg
By entering the personal indentification number assigned by the Office of the State Comptroller to me as
Village of Cayuga Heights , and that the information provided in the annual
I,
the
the Chief Fiscal Officer of the
annual financial report, I am evidencing my express intent to authenticate my certification of the
my signature for use in conjunction with the filing of the 'sVillage of Cayuga Heights
Village of Cayuga Heights , and adopted by me as
and correct to the best of my knowledge and belief., is TRUE
financial report of the Village of Cayuga Heights , for the fiscal year ended 05/31/2011
Village of Cayuga Heights's annual financial report for the fiscal year ended 05/31/2011
Page 49 Municipality Code 500442300850
VILLAGE OF CAYUGA HEIGHTS
NOTES TO FINANCIAL STATEMENTS
YEAR ENDED MAY 31, 2011
A. Summary of Significant Accounting Policies
1. Reporting Entity
The Village of Cayuga Heights is governed by Village Law and other general laws of
the State of New York. The governing body is the Board of Trustees. The scope of
activities included within the accompanying financial statements are those
transactions that comprise Village operations, and are governed by, or
significantly influenced by, the Board of Trustees.
2. Basis of Presentation -- Fund Accounting
Generally Accepted Accounting Principles (GAAP), as well as the New York Uniform
System of Accounts for Villages (NYUSA), require that the accounts of the village
be organized on the basis of funds, which are summarized for reporting by
governmental fund types. Each fund is discrete in that a self-balancing set of
accounts is maintained which comprises assets, liabilities, fund balance,
revenues, and expenditures. In addition, fixed assets and long-term obligations
are accounted for and reported in account groups.
Governmental Fund Types
Governmental funds are those funds used to account for, and
report, the operations of the Village. The acquisition, use, and
balances of financial resources and related assets and liabilities
are reported therein. The measurement focus is the determination
of changes in financial position rather than net income
determination. The following funds and aggregate governmental
fund types are employed in accounting for and reporting Village
operations.
General Fund - The general fund is the principal operating fund of
the Village and is used to account for all financial resources
except those required to be accounted for in another fund.
Special Revenue Funds - Special revenue funds are used to account
for the proceeds of specific revenue sources that are legally
restricted to expenditures for specific purposes. Special revenue
funds included the following funds:
- Sewer - used to account for operating a waste water treatment
system.
- Water Use Fund - used to account for water use collection and
payment to Southern Cayuga Lake Intermunicipal Water Commission
(SCLIWC).
Capital Projects Fund - The capital projects fund is used to
account for and report financial resources used for the
acquisition, or construction or renovation of major capital
facilities or equipment.
- Fiduciary Fund Types
Fiduciary fund types consist of trust and agency funds and are
used to account for and report assets held by the Village in a
trustee capacity or as an agent for individuals, private
organizations, other governments, and/or funds. Agency funds are
custodial in nature (assets equal liabilities) and do not involve
measurement of results of operations.
- Account Groups
Account groups are used to establish accountability for general
fixed assets and general long-term obligations.
General Fixed Asset Group of Accounts - The general fixed asset
group of accounts is used to account for and report all fixed
assets of the Village such as land, buildings, and equipment,
other than those that are reported in a trust fund.
General Long-Term Debt Group of Accounts - The general long-term
debt group of accounts is used to account for, and report,
outstanding long-term indebtedness and other obligations of the
Village. Long-term indebtedness includes obligations such as
bonds and capital notes. Other obligations include unbilled
retirement liabilities, and vested or accumulated vacation and
sick leave.
3. Basis of Accounting - Governmental Fund Types
The modified accrual basis of accounting is employed for governmental fund
types and expendable trust. Revenue is recognized when measurable and
available. Otherwise it is recognized when cash is received. Available means
collectible within the current period or soon enough thereafter to be used to
pay liabilities of the current period. If "Expenditure" is the primary factor
for determining reimbursement under the terms of a grant, revenue is
recognized when the expenditure is incurred. Expenditures are generally
recognized when incurred; general long-term indebtedness, unbilled retirement
liabilities and vested or accumulated vacation and/or sick leave are
recognized as expenditures when due and payable.
4. Budgeting Policies - Governmental Fund Types
General
The Village's policy relating to budgetary information as shown in the
accompanying financial statements is as follows:
- Village administration prepares a proposed budget for approval by the
Board of Trustees.
- Appropriations established by adoption of the budget constitute a
limitation on expenditures and encumbrances that may be incurred.
- The New York Uniform System of Accounts requires that fixed budgetary
control be used for all governmental fund types.
Encumbrances
Encumbrance accounting, under which purchase orders, contracts and other
commitments for the expenditure of monies are recorded in order to reserve
application appropriations, is employed as a control in preventing over
expenditure of established appropriations. Open encumbrances are reported as
a reservation of fund balance since such commitments will be honored through
budget appropriation in the subsequent year. Encumbrances do not constitute
expenditures or liabilities, although in some cases they may in fact reflect a
contractual liability.
5. Property taxes
Real property taxes are levied annually by the Board of Trustees. Uncollected
real property taxes are subsequently enforced by the County of Tompkins. An
amount representing uncollected real property taxes transmitted to the County
for enforcement is paid by the County to the Village no later than the
forthcoming April 1.
6. General Fixed Assets
Land and equipment are valued at cost. Buildings are valued at estimated
original cost as determined primarily by an independent appraisal concern.
The Village engaged Industrial Appraisal Company to determine values for all
fixed assets in 1994-95, and a one-time adjustment was made to incorporate
their results. The Village raised its capitalization threshold for equipment
to $1,000 as of 5/31/2004, and these accounts have been adjusted for this
change. In 2005 estimates were made for the cost of Village “infrastructure”
and the accumulated depreciation thereon. Depreciation is calculated on all
assets with an acquisition cost of at least $25,000.
7. General Long-Term Debt
- General Long-Term Indebtedness
Bonds and capital notes issued for capital projects are recognized when
issued.
8. Pension Plans
The Village participates in the New York State Local Employees' Retirement
System and the New York State Police and Fire Retirement System. Generally,
all employees, expect certain part-time employees, participate in the System.
The Systems are non-contributory for employees who joined the retirement on or
before July 27, 1976. Those who joined after July 27, 1976, with less than 10
years of service credit, contribute 3% of their salary.
Contributions are billed on the basis of estimated salaries paid during the
System's year ending March 31. The amount billed by the Systems in the year
totaled $184,371 and related to the estimated salaries from April 1, 2010 to
March 31, 2011. The contributions are paid in accordance with funding
requirements determined by the Systems' actuaries.
The Systems offer a wide range of plans and benefits which are related to
years of service and final average salary, vesting of retirement benefits,
death and disability benefits and optional methods of benefit payments.
a. Governmental Funds - It is the policy of the Village to fund pension
costs as billed by the Systems.
b. The actuarial present value (APV) of credited project benefits is a
standardized disclosure measure of the accrued pension benefit or
obligation. It is the discounted amount of benefits estimated to
be payable in the future as a result of employee service through
the balance sheet date, computed by attributing an equal benefit
amount including the effects of project salary increase and step
rate benefits to each year and expected future employee service.
Data concerning the actuarial present value of the accumulated plan
benefits, vested plan benefits, and net assets available for
budgets of these plans which are relevant to the Village are not
available since such determinations are made on a statewide basis
and are not for individual participating units.
9. Compensatory Absences
Employees accrue vacation leave based primarily on the number of years
employed, up to a maximum rate of 25 (depending on labor agreement or policy)
days a year, but may accumulate no more than a maximum of 50 days. Upon
separation from service, employees are paid the accrued balance, up to the
maximum amount.
Employees accrue sick leave at the rate of 12 days per year and may accumulate
such credits without limit. Employees who terminate with at least 10 years of
service are paid the balance of this amount in excess of an amount ranging
from 680 to 960, depending on the policy or collective bargaining agreement
and standard work-week, at their final rate of pay. Employees with more than
20 years of service, whose accrual is over the payout level, may have the
overage paid out annually.
Police officers may accrue compensatory time in lieu of overtime, as defined
in the collective bargaining agreement. This amount may be drawn upon,
subject to a monthly contractual limit, at any time, and the balance is paid
upon separation from service at their final rate of pay.
Vested vacation, sick leave, and compensatory time are recorded as a long-term
liability in the long-term debt account group. The liability for compensated
absences increased by $16,678 during the year to $143,658.
10. Post Employment Health Insurance Benefits
In addition to providing pension benefits, the Village of Cayuga Heights
provides a portion of the premiums for health insurance coverage for retired
employees and covered family members during the life of the employee.
Substantially all of the Village of Cayuga Heights’ full-time employees may
become eligible for these benefits if they reach normal retirement age while
working for the Village of Cayuga Heights. Health care benefits are provided
through an insurance company whose premiums are based on the benefits paid
(for the rating pool) during the year. The Village of Cayuga Heights
recognizes the cost of providing benefits by recording its share of insurance
premiums as an expenditure in the year paid.
During the year $105,196 was paid on behalf of 11 retirees and is recorded as
expenditures in the General, Water, and Sewer funds.
11. Indebtedness
Bond Anticipation Notes –
The following balances of bond anticipation notes appear as obligations in the
general long-term debt group of accounts and were outstanding at May 31, 2011
Date of Date of Rate of Balance
Purpose Issue Maturity Interest May 31, 2011
WATER LINES 5/27/2011 5/25/2012 2.00% 925,000
FIRE TRUCK 5/31/2011 5/31/2012 1.60% 230,000
Serial Bonds Payable -
The following balances of serial bond issues appear as obligations in the
general long-term debt group of accounts and were outstanding at May 31, 2011.
Year of Year of Rate of Balance
Purpose Issue Maturity Interest May 31, 2011
Bonds Payable:
FIRE PROJECTS 2000 2019 6.0% 605,000
FIRE PROJECTS 2000 2019 6.0% 605,000
TRICKLING FILT 2005 2024 * 219,000
On June 21, 2010, subsequent to 5/31/2010 the following bond, originally
scheduled for FY2010, was issued:
PHOSPHORUS 2010 2030 4.20% 734,211
* Interest rates varying from 2.059% to 3.969%. The interest rate is further
adjusted by a 50% Environmental Facilities Corporation subsidy and the loan is
subject to a 0.25% annual administrative fee.
B. Summary Disclosure of Significant Contingencies
1. Pending Litigation
There is a pending claim by Verizon, Inc. regarding damage to its underground
facilities. While the Village believes that the claim has no merit, it maintains
sufficient insurance to cover any payment. In the opinion of management there
are no other pending claims against the Village that are expected to have a
material effect on the Village’s finances.