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8G Consent 2021 0216
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8G Consent 2021 0216
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2/11/2021 10:47:32 PM
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CM City Clerk-City Council
CM City Clerk-City Council - Document Type
Agenda
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2/16/2021
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CITY OF SAN LEANDRO <br />Comprehensive Annual Financial Report <br />For the Year Ended June 30, 2020 <br />Table of Contents <br />ii <br />FINANCIAL SECTION (Continued) <br />Index to Notes to Basic Financial Statements ............................................................................................. 41 <br />Notes to Basic Financial Statements ........................................................................................................... 42 <br />Required Supplementary Information: <br />Schedule of Changes in the Net Pension Liability and Related Ratios ............................. 92 <br />Schedule of Contributions – Miscellaneous Plan ............................................................. 93 <br />Schedule of the Plan’s Proportionate Share of the Net Pension Liability and <br /> Related Ratios as of the Measurement Date ................................................................... 94 <br />Schedule of Contributions – Safety Plan .......................................................................... 95 <br />Schedule of Changes in the Net OPEB Liability and Related Ratios ............................... 96 <br />Schedule of Contributions – Single-Employer Plan ......................................................... 97 <br />Schedule of Revenues, Expenditures and Changes in Fund Balances – Budget and <br /> Actual – General Fund .................................................................................................... 98 <br />Notes to Required Supplementary Information ................................................................ 99 <br />Supplementary Information: <br />Schedule of Revenues, Expenditures and Changes in Fund Balances – Budget and <br /> Actual – Capital Improvement Capital Projects Fund .................................................. 102 <br />Non-Major Governmental Funds: <br />Combining Balance Sheet ............................................................................................... 106 <br />Combining Statement of Revenue, Expenditures and Changes in Fund Balances ......... 110 <br />Schedule of Revenues, Expenditures and Changes in Fund Balances – Budget and <br /> Actual – Non-Major Governmental Funds ................................................................... 114 <br />Non-Major Enterprise Funds: <br />Combining Statement of Net Position ............................................................................ 138 <br />Combining Statement of Revenues, Expenses, and Changes in Net Position ................ 139 <br />Combining Statement of Cash Flows ............................................................................. 140 <br />91
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