ANNUAL FINANCIAL STATEMENTS AND INDEPENDENT AUDITOR’S REPORT City of Moore
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The City of Moore, Oklahoma's annual financial report presents comprehensive financial statements and independent auditor reports for the fiscal year ended June 30, 2021, covering the City, Moore Public Works Authority, and Moore Economic Development Authority. The document includes government-wide and fund-based financial statements organized in sections covering the statement of net position, statement of activities, balance sheets, revenues and expenditures, and proprietary fund statements, along with footnotes spanning pages 30–62. Required supplementary information includes budgetary comparison schedules for the General Fund, MEDA Fund, and Special Revenue Fund, pension information, and other post-employment benefits data. Additional supplementary materials provide combining schedules for non-major governmental funds, Moore Public Works Authority accounts, and a debt service coverage schedule, with statistical tables included on pages 78–90.
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More budgets from Moore Township
- Budget
Moore Township's 2026 budget was proposed on November 10, 2025, and adopted via Resolution 2025-28 on December 19, 2025. The budget projects total fund equity of $11,104,500 as of January 1, 2026, distributed across nine funds including the General Fund ($1,174,500), Highway Aid Fund ($210,500), Land Preservation Referendum Fund ($7,938,100), and Capital Improvement Reserve Fund ($1,500,000). Revenue sources include Real Property Taxes of $2,105,000, Local Enabling Act (Act 511) Taxes of $2,945,800, Intergovernmental Revenue of $851,700, and Licenses & Permits of $123,800. The budget document shows beginning balances and fund transfers totaling $4,486,900 across all funds.
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