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Bonita Springs Utilities — 2005 Financial Statements

Statements of Cash Flows
For the Years Ended December 31, 2005 and 2004
Bonita Springs Utilities, Inc.
Lee County, Florida

  2005     2004
Cash Flows From Operating Activities
       Net Margins $ 12,104,773 $ 7,269,461
       Adjustments to Reconcile Net Margins to
       Net Cash Provided By (Used in) Operating Activities:
            Depreciation   8,529,289   8,476,072
            Amortization   210,669   175,152
            Loss (Gain)on Sale of Fixed Assets   (70,570)   0
            Changes in Assets - Decrease (Increase) and
            Liabilities - Increase (Decrease):
       
                  Accounts Receivable   (381,129)   (632,897)
                  Inventory   27,352   (102,391)
                  Prepaid Expenses   7,618   (28,782)
                  Other Receivables   (8,839)   2,068
                  Interest Receivable   62,264   12,617
                  Utility Deposits   (365)   (116,465)
                  Interest Payable   (22,131)   222,791
                  Accounts and Retainage Payable   2,040,301   (620,121)
                  Customer Deposits   348,876   256,080
                  Other Current Liabilities   (114,287)   89,019
Total Cash Provided By (Used in) Operating Activities   22,733,821   15,002,604
Cash Flows From Investing Activities
       Capital Expenditures   (29,763,346)   (21,777,103)
Cash Flows From Financing Activities
       Principal Paid on Long-Term Debt   (2,610,000)   (22,580,000)
       Principal Paid on Installment Purchase Obligation   0   (7,133)
       Decrease (Increase) in Restricted Assets   20,313,002   (18,819,610)
       Proceeds From Sale of Fixed Assets   107,163   27,389
       Bond Proceeds, Net   0   57,147,334
       Bond Issue Costs   0   (1,291,652)
Net Cash Provided By (Used in) Financing Activities   17,810,165   14,476,328
Net Increase (Decrease) in Cash and Cash Equivalents   10,780,640   7,701,829
Cash and Cash Equivalents, Beginning of Year   21,666,605   13,964,776
Cash and Cash Equivalents, End of Year $ 32,447,245 $ 21,666,605
Supplemental Schedule of Noncash Activities
       Contributed Assets $ 6,205,495 $  7,293,410
       Net New Deferred Surcharges Receivable $ (329,876)   440,302
Supplemental Disclosures
       Interest Paid $ 7,196,264 $ 5,754,418
       Income Taxes Paid $ 0 $ 0
 
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