Financial Statements MAR-25

City of Chandler — Regular Meeting (2025-05-13)

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CHANDLER INDUSTRIAL DEVELOPMENT AUTHORITY
STATEMENT OF NET POSITION
ASSETS
CURRENT ASSETS:
Cash in bank
108,770
$           
TOTAL CURRENT ASSETS
108,770
$             
OTHER ASSETS:
Investments
1,386,252
TOTAL OTHER ASSETS
1,386,252
TOTAL ASSETS
1,495,022
$          
LIABILITIES
CURRENT LIABILITIES:
Application deposits
3,000
TOTAL CURRENT LIABILITIES
3,000
TOTAL LIABILITIES
3,000
CAPITAL:
BEGINNING NET POSITION
1,325,396
$        
Year-to-date change in net position
166,626
ENDING NET POSITION
1,492,022
$          
MARCH 31, 2025

CHANDLER INDUSTRIAL DEVELOPMENT AUTHORITY
STATEMENT OF REVENUES, EXPENDITURES, AND CHANGES IN NET POSITION
9 Months Ended
March 31, 2025
OPERATING REVENUES:
     Annual Admin Fees (Intel)
-
$                
140,539
$        
     Other Revenue
-
                  
10,418
            
TOTAL INCOME
-
                  
150,957
          
TOTAL OPERATING REVENUES
-
                  
150,957
          
OPERATING EXPENSES:
     Refunded Admin Fees
-
                  
6,000
              
     Legal Fees
-
                  
7,418
              
     Miscellaneous (Account Analysis
     Settlement Bank Charge, IRS  Filings)
-
                  
190
                 
     Grant Payment
-
                  
9,100
              
TOTAL OPERATING EXPENSES
-
                  
22,708
            
OPERATING INCOME (LOSS)
-
                  
128,249
          
NONOPERATING REVENUE:
     Investment Income (LOSS)-Note 1
5,085
              
38,377
            
TOTAL NONOPERATING REVENUE
5,085
              
38,377
            
NET CHANGE IN NET POSITION
5,085
$            
166,626
$        
Note 1 - Interest Income (Loss) is as follows:
     Realized interest to date
5,085
              
38,377
            
March 31, 2025
March 31, 2025