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COUNTY OF HAWAII <br /> Statement of Net Position <br /> June 30,2021 <br /> Primary Government <br /> Governmental Business-type Component <br /> Activities Activities Total Unit <br /> Assets <br /> Current assets: <br /> Cash and cash equivalents(notes 3 and 14) $ 130,962,566 $ 1,251,666 $ 132,214,232 $ 17,119,629 <br /> Restricted cash and cash equivalents(note 3) 172,545,467 44,717 172,590,184 - <br /> Investments(note 3) 4,541,786 - 4,541,786 18,000,000 <br /> Restricted investments(note 3) 54,427,907 - 54,427,907 - <br /> Receivables,net(note 4) 92,286,051 16,792 92,302,843 9,075,781 <br /> Receivable from improvement district <br /> (notes 4 and 10) 117,082 - 117,082 - <br /> Internal balances(note 5) 402,819 (402,819) - - <br /> Inventories 8,321,240 - 8,321,240 1,438,500 <br /> Prepaid expenses 1,169,861 3,188 1,173,049 50,019 <br /> Other 1,477,103 - 1,477,103 - <br /> Totalcurrentassets 466,251,882 913,544 467,165,426 45,683,929 <br /> Investments(note 3) 10,292,113 - 10,292,113 2,000,000 <br /> Restricted investments(note 3) 2,976,795 - 21976,795 - <br /> Restricted cash and cash equivalents(note 3 and 14) - 72,694 72,694 888,225 <br /> Receivable from improvement district,excluding <br /> current portion(notes 4 and 10) 4,094,716 - 4,094,716 - <br /> Capital assets(notes 6,8 and 14): <br /> Utility plant in service,net - - 246,723,859 <br /> Infrastructure assets,net 297,110,815 - 297,110,815 - <br /> Ground and site improvements,net - 40,505 40,505 <br /> Buildings and improvements,net 641,575,608 2,630,029 644,205,637 <br /> Equipment,net 65,571,550 82,786 65,654,336 <br /> Easements,net 11,240,425 - 11,240,425 - <br /> Preliminary survey and investigation charges - - - 5,515,581 <br /> Land and improvements 292,632,722 753,877 293,386,599 5,267,919 <br /> Construction work in progress 74,050,724 - 74,050,724 44,999,376 <br /> Total capital assets,net 1,382,181,844 3,507,197 1,385,689,041 302,506,735 <br /> Total noncurrent assets 1,399,545,468 3,579,891 1,403,125,359 305,394,960 <br /> Total assets 1,865,797,350 4,493,435 1,870,290,785 351,078,889 <br /> Deferred Outflows of Resources <br /> Deferred loss on refunding 4,729,567 - 4,729,567 - <br /> Deferred outflow related to pensions and other <br /> post employment benefits(notes 13 and 14) 204,507,522 204,507,522 10,072,803 <br /> Total deferred outflows of resources 209,237,089 - 209,237,089 10,072,803 <br /> Total Assets and Deferred Outflows of Resources 2,075,034,439 4,493,435 2,079,527,874 361,151,692 <br /> (Continued) <br /> -28- <br />