Copyright & Fair-use Agreement
UNLV Special Collections provides copies of materials to facilitate private study, scholarship, or research. Material not in the public domain may be used according to fair use of copyrighted materials as defined by copyright law. Please cite us.
Please note that UNLV may not own the copyright to these materials and cannot provide permission to publish or distribute materials when UNLV is not the copyright holder. The user is solely responsible for determining the copyright status of materials and obtaining permission to use material from the copyright holder and for determining whether any permissions relating to any other rights are necessary for the intended use, and for obtaining all required permissions beyond that allowed by fair use.
Read more about our reproduction and use policy.
I agree.Information
Digital ID
Permalink
Details
More Info
Rights
Digital Provenance
Publisher
Transcription
b a l a n c e s h e e t (WATER DEPARTMENT) Show hereunder the particulars called for from the respondent’s balance sheet. Assets and other debit accounts (a) Balance at begin$ ning of year (b) 4 Balance at end t of (yce)a r i Change* during $ year (d) 4 101. Fixed capital............................ 111. Cash 1.081 405.27 .2993 391.8-3 19 11-986^56 ********** ********** ********** 113. Accounts receivable .......... 114. Interest and dividends receivable__ __ 24 526,91 L _ 37 813.39 __13.286,48 30 114.9C_ 22 340.51 7 774.39 117. Miscellaneous current assets____ Total current assets ......... ... . 1 136 047.06 3 053-545..23 1917 498,61 121. Investments in affliated companies- ********** * * * * * * * * * * ********** 126. Special deposits................ . . Special miscellaneous a s s e ts ............. 131. Unamortized debt discount, expense ****•*•••• ********** ********** 134. Clearing or apportionment accounts 136. Miscellaneous suspense ~ . Total suspense. ................ . . 143. Treasury securities___________ _____ Total adjustment accounts . 1 1^4 047.08 1 917 498.6 .Liability ami other credit accounts (e) 201. Capital stock______________ 202. Premium on capital stock.. Total stock liability_______ 211. Long-term debt____________ 212. Receiver's certificates_____ 221. Notes payable_____________ 222. Accounts payable_________ 223. Consumers' deposits---------- 224. Matured interest unpaid :____ .— 225. Dividends declared_________________ 226. Matured long-term debt unpaid----- 227. Miscellaneous current liabilities— Total current liabilities____________ 231. Taxes accrued. 232: Interest accrued___ 233. Miscellaneous accrued liabilities- Total accrued liabilities__________ 241. Advanced from a filiated companies 251. Retirement reserve---------------------- 252. Casualty and insurance reserve- 253. Unamortized premium on debt— 254. Sinking fund reserves------------------ 255. Contributions for extensions. 256. Contingency reserve---------------- 257. Miscellaneous reserves----------- Total reserves___________________ L .V ,L ,& W cC o.loans 270. Profit and loss— Surplus. TM.s statem ent i s com piled i n accordance w ith th e re q u est o f I 261. Miscellaneous unadjusted credits-th e P u b lic S e rv ic e Commission o f Nevada and r e p r e se n ts a g en ] o r a l p ic tu r e o f th e w ater departm ent o p e ra tio n s o f th e Las .v e ^ ts Lind and W ater C o ., but does n o t tak e in t o co n sid e ra t io n o b lig a tio n s o f th a t company a s a w hole t o i t s parent companyt Los A n geles and S a lt Lake R .R .C o. , o r t o Union P a c ific h .R .C o . le s s e e o f sa id parent company._______________ ?Increases in black, decreases in red. Total liabilities- Balance at beginning of year $ <D 4 * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * . 49 . 92.9 * 25 49 929.2* * * * * * * * * * ******** ; . 3 W 399 229.21 -41-3 Balance at end of year $ (s) i Change* during year $ (h) <* * * * * * * * * * * **** * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * * ! * * * * * * * * * .....41. < .41.64.8,.76 * * * * * * * * * * 16 5 95.16__ 19 987.80 16 595.1*__ 19 987.8C * * * * * 264 996„9( 1 288 182.33 264 996.90 288 182,33 23 185.41 588 070.3! 1 136 Q47.0ti3 053 545.7j 1 917 498.65 „. ... 8 28.0,47 .8 280*47 ******** 1 ..3.392.62 3 392.62 * * * * ****** ..23 185.41 W O " 188 841.08 < > 123 942.J3C I __ 82-743..51 Annual Report to the State Public Service Commission