June 30,1996
(Amounts in thousands unless otherwise stated)
Interfund receivable and payable balances at June 30, 1996, were as follows:
Fund | Interfund Receivables | Interfund Payables |
---|---|---|
General | $ 13,840 | $335,755 |
Special Revenue: | ||
Transportation | 13,312 | 730 |
Workers' Compensation | 335 | 129 |
Banking | - | 180 |
Consumer Counsel & Public Utility Control |
- | 148 |
Insurance | - | 146 |
Criminal Injuries | 340 | - |
Regional Market | - | 9 |
Soldiers, Sailors, & Marines | 400 | 342 |
Employment Security | 1,851 | 979 |
Lottery & OTB | - | 46 |
Grant and Loan Programs | - | 11,188 |
Environmental Programs | 7,261 | 223 |
Housing Programs | - | 76 |
Other | 4,532 | 131 |
28,031 | 14,327 | |
Debt Service | - | 7,087 |
Capital Projects: | ||
State Facilities | 253,523 | 7,919 |
Infrastructure | 25,892 | 828 |
Transportation | - | 44 |
279,415 | 8,791 | |
Enterprise: | ||
Rental Housing | - | 671 |
Bradley | - | 1,777 |
Other | - | 11 |
- | 2,459 | |
Internal Service: | ||
Correction Industries | 231 | 7 |
Administrative Services | 3,918 | 10,986 |
4,149 | 10,993 | |
Expendable Trust: | ||
Employment Security | 1,082 | 8,365 |
Nonexpendable Trust: | ||
Clean Water | - | - |
Soldiers, Sailors, & Marines | - | 399 |
Other | 3 | 62 |
3 | 461 | |
Pension Trust: | ||
State Employees | 4,350 | 2,466 |
Probate Judges | - | 1,022 |
4,350 | 3,488 | |
Agency: | ||
Payroll & Fringe Benefit | 2,247 | - |
Receipts Pending Distribution | - | 12,289 |
Other | 3,111 | - |
5,358 | 12,289 | |
Higher Education & University Hospital: | ||
Current Unrestricted | 57,062 | 3,813 |
Current Restricted | 24 | 1,576 |
Hospital Funds | 1,402 | 3,562 |
Endowment & Similar Funds | - | 1 |
Plant Funds | 52,119 | 44,621 |
Agency Funds | 10 | - |
110,617 | 53,573 | |
Component Units: | ||
Ct. Development Authority | 10,540 | - |
Ct. Innovations | 860 | - |
Ct. Health & Educational | ||
Facilities Authority | 44,580 | 45,237 |
55,980 | 45,237 | |
Totals | $502,825 | $502,825 |