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HomeMy Public PortalAboutMarch (FY24) Cash FlowMARCH 2024 YTD Cash flows from operating activities: Received from customers 361,228,269$ Paid to employees for services (79,028,780) Paid to suppliers for goods and services (109,135,689) Net cash flows from operating activities 173,063,800 Cash flows provided by non-capital financing activities: Taxes levied and collected 42,141,878 Cash flows from capital & related financing activities: Proceeds from capital grants 3,904,923$ Proceeds from issuance of debt 174,835,621 Premium and (Discount) on sale of bonds - Principal paid on debt (37,422,300) Interest and fees paid on debt (36,293,565) Interest received on bond proceeds to be used for capital improvements - Payments for capital assets (300,612,715) Proceeds from sale of capital assets 72,138 Proceeds received from other organization for their contribution to construction of treatment plant 577,348 Proceeds from insurance on destroyed capital assets - Build America bond tax credit 821,428 Net cash used in capital and related financing activities (194,117,122) Cash flows from investing activities: Purchase of investments (263,248,200)$ Proceeds from sale and maturity of investments 219,397,070 Investment income 7,727,283 Proceeds from rents 266,478 Net cash provided by investing activities (35,857,369) Net decrease in cash and cash equivalents (14,768,813) Cash and cash equivalents at beginning of year 49,187,146 Cash and cash equivalents at end of period 34,418,333$ METROPOLITAN ST. LOUIS SEWER DISTRICT STATEMENT OF CASH FLOWS FOR THE PERIOD ENDING MARCH 2024 (UNAUDITED)