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The City of Ashville operates an internal service fund to provide garage space and repairs for all city-owned and operated vehicles. The Central Garage Fund's

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The City of Ashville operates an internal service fund to provide garage space and repairs for all city-owned and operated vehicles. The Central Garage Fund's preclosing trial balance for the current fiscal year is as follows: Credits Debits $132,100 11,300 108,000 59,500 -300, 500 Cash Due from other Funds Inventory of Supplies Land Building Allowance for Depreciation-Building Machinery and Equipment Allowance for Depreciation Machinery and Equipment Vouchere Payable Net Position-Net Investment in Capital Assets Net Position-uncestricted $ 24,100 78,400 14.400 37.100 399,900 214,300 $689, 00 $639,000 The following information, not yet reflected in the preclosing figures above, applies to the current fiscal year 1. Supplies were purchased on account for $110,500; the perpetual inventory method is used. 2 The cost of supplies used during the year was $132,100. A physical count taken as of that date showed materials and supplies on hand totaled $86,400 at cost. 3. Salaries and wages paid to employees totaled $281900, including related costs. 4 Billings totaling $36,000 were received from the enterprise fund for utility charges. The Central Garage Fund paid $32.400 of the amount owed (At the government-wide level record the payable amount as Internal Balances.) 5. Depreciation of the building was recorded in the amount of $11.900; depreciation of the machinery and equipment amounted to $10,800. 6. Billings to other departments for services provided to them were as follows: General Fund Special Revenue Fund $324,000 152, 300 7. Unpaid interfund receivable balances were as follows: Beginning of Year S3, 100 8,200 End of Year $ 3, 600 11,300 General Fund Special Revenue Pund 8. Vouchers payable at year end were $19,100. 9. Closing entries were prepared for the Central Garage Fund (ignore government-wide closing entry). b. Prepare a statement of revenues, expenses, and changes in fund net position for the Central Garage Fund for the period. CITY OF ASHVILLE Central Garage Fund Statement of Revenues, Expenses, and Changes in Fund Net Position For Current Fiscal Year Billing to Departments Operating Expenses Total Operating Expenses Not Position, Beginning Net Position Ending

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