NOTICES
PENNSYLVANIA CONVENTION CENTER AUTHORITY
Statements; Net Position; Revenues, Expenses and Changes in Net Position
[44 Pa.B. 7992]
[Saturday, December 20, 2014]
Statements of Net Position
as of June 30, 2014 and 2013
2014 2013 ___________________________ Assets Cash and cash equivalents $ 44,883,209 $ 21,758,000 Receivables, net 2,661,606 3,586,369 Operating Agreement Receivable 2,517,124 — Prepaid expenses and other assets 1,091,421 1,140,466 ___________________________ Total current assets 51,153,360 26,484,835 Capital assets being depreciated Buildings 754,480,131 754,471,985 Building improvements 2,853,339 2,647,214 Construction-in-progress 2,786,466 3,533,081 Furniture and fixtures 30,268,277 28,367,309 Equipment 134,304,743 131,529,443 Leasehold improvements 2,214,698 2,214,698 ___________________________ 926,907,654 922,763,730 Less: Accumulated depreciation (253,442,649) (224,568,170) Capital assets not being depreciated Land 993,835 993,835 Fine arts 2,327,254 2,327,254 ___________________________ Total capital assets, net 676,786,094 701,516,649 Welcome Fund receivable 122,000,000 122,000,000 ___________________________ Total assets 849,939,454 850,001,484 ___________________________ Liabilites Accounts payable and other accrued expenses 8,654,288 8,225,852 Operating agreement liability — 1,994,712 Unearned income 1,513,829 1,483,169 Current portion of term loan payable 153,687 148,416 Current portion of net OPEB liability 274,963 176,279 ___________________________ Total current liabilities 10,596,767 12,028,428 Loans payable 123,043,753 123,197,440 Net OPEB liability 3,678,335 3,593,196 ___________________________ Total liabilities 137,318,855 138,819,064 ___________________________ Net Position Invested in capital assets 676,786,094 701,516,649 Restricted by Commonwealth of Pennsylvania Operating Agreement 35,834,505 9,665,771 ___________________________ Total net position $ 712,620,599 $ 711,182,420 ___________________________ ___________________________ 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, 2014 and 2013
2014 2013 ___________________________ Operating Revenues
Convention Center eventsSpace license fees $ 6,232,972 $ 6,672,643 Commissions 6,295,006 6,550,080 Other 909,402 882,193 ___________________________ Total operating revenues 13,437,380 14,104,916 Operating expenses, excluding depreciation 34,101,995 32,074,380 ___________________________ Operating loss after depreciation (20,664,615) (17,969,464) Depreciation 28,874,479 28,365,185 ___________________________ Operating loss after depreciation (49,539,094) (46,334,649) Non-Operating Revenue (Expense) Hotel tax income 29,812,296 29,065,461 Interest income 15,153 7,843 Operating agreement expense (6,682,283) (11,828,975) Interest expense (41,994) (47,059) Grant income — 100,000 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 (1,603,899) (1,664,898) ___________________________ Total non-operating revenue, net 21,499,273 15,632,372 ___________________________ Decrease in net position before contributions (28,039,821) (30,702,277) Capital contributions 29,478,000 2,242,839 ___________________________ Increase/(Decrease) in net position 1,438,179 (28,459,438) Net position, beginning of year 711,182,420 739,641,858 ___________________________ Net position, end of year $ 712,620,599 $ 711,182,420 ___________________________ ___________________________ The accompanying notes are an integral part of these financial statements.
GREGORY J. FOX,
Chairperson
[Pa.B. Doc. No. 14-2658. Filed for public inspection December 19, 2014, 9:00 a.m.]
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