NOTICES
PENNSYLVANIA CONVENTION CENTER AUTHORITY
Statements; Net Position; Revenues, Expenses and Changes in Net Position
[43 Pa.B. 6991]
[Saturday, November 23, 2013]
Statements of Net Position
As of June 30, 2013 and 2012
2013 2012 _________________ Assets Cash and cash equivalents $21,758,000 $29,947,762 Receivables, net 3,586,368 6,067,075 Prepaid expenses and other assets 1,140,466 672,626 _________________ Total current assets 26,484,835 36,687,463 Capital assets being depreciated Buildings 754,471,985 754,708,770 Building improvements 2,647,214 2,162,131 Construction-in-progress 3,533,081 5,328,894 Furniture and fixtures 28,367,309 27,686,400 Equipment 131,529,443 128,217,018 Leasehold improvements 2,214,698 2,214,698 _________________ 922,763,730 920,317,911 Less: Accumulated depreciation (224,568,170) (196,202,985) Capital assets not being depreciated Land 993,835 993,835 Fine arts 2,327,254 2,327,254 _________________ Total capital assets, net 701,516,649 727,436,015 Welcome Fund receivable 122,000,000 122,000,000 _________________ Total assets 850,001,484 886,123,478 _________________ Liabilities Accounts payable and other accrued expenses 8,225,853 9,456,580 Operating agreement liability 1,994,712 8,449,445 Unearned income 1,483,169 1,820,149 Current portion of term loan payable 148,416 143,752 Current portion of net OPEB liability 176,279 160,690 _________________ Total current liabilities 12,028,428 20,030,617 Loan payable 123,197,440 123,345,856 Net OPEB liability 3,593,196 3,105,147 _________________ Total liabilities 138,819,064 146,481,620 _________________ Net Position Invested in capital assets 701,516,649 727,436,015 Restricted by Commonwealth of Pennsylvania Operating Agreement 9,665,771 12,205,843 _________________ Total net position $711,182,420 $739,641,858 _________________ _________________ The accompanying notes are an integral part of these financial statements.
Statements of Revenues, Expenses, and Changes in Net Position
for the Years Ended June 30, 2013 and 2012
2013 2012 _________________ Operating Revenues Convention Center events Space license fees $6,672,643 $7,252,750 Commissions 6,550,080 6,639,678 Other 882,193 655,453 _________________ Total operating revenues 14,104,916 14,547,881 Operating expenses 32,074,380 32,009,464 _________________ Operating loss before depreciation (17,969,464) (17,461,583) Depreciation 28,365,185 27,887,824 _________________ Operating loss after depreciation (46,334,649) (45,349,407) Non-Operating Revenue (Expense) Hotel tax income 29,062,461 27,365,574 Interest income 7,843 13,972 Operating agreement revenue (11,828,975) (6,299,518) Interest expense (47,059) (221,009) Grant income 100,000 1,633,068 Welcome Fund loan interest and fee revenue 1,855,415 1,855,415 Welcome Fund loan interest and fee expense (1,855,415) (1,855,415) Other expenses (1,664,898) (3,164,444) _________________ Total non-operating revenue, net 15,632,372 19,327,643 _________________ Decrease in net position before contributions (30,702,277) (26,021,764) Capital contributions 2,242,839 6,596,694 _________________ Decrease in net position (28,459,438) (19,425,070) Net position, beginning of year 739,641,858 759,066,928 _________________ Net position, end of year $711,182,420 $739,641,858 _________________ _________________ The accompanying notes are an integral part of these financial statements.
GREGORY J. FOX,
Chairperson
[Pa.B. Doc. No. 13-2207. Filed for public inspection November 22, 2013, 9:00 a.m.]
No part of the information on this site may be reproduced for profit or sold for profit.This material has been drawn directly from the official Pennsylvania Bulletin full text database. Due to the limitations of HTML or differences in display capabilities of different browsers, this version may differ slightly from the official printed version.