2020 Comprehensive Annual Financial Report
CITY OF SHAKOPEE
NOTES TO THE FINANCIAL STATEMENTS DECEMBER 31, 2020
NOTE 4 – DEPOSITS AND INVESTMENTS (CONTINUED)
A. Deposits (Continued)
$ As of December 31, 2020, the City had the following deposits:
City Deposits Component Unit Deposits
7,361,716 8,854,061
Total Deposits
$
16,215,777
B. Investments As of December 31, 2020, the City held the following investments:
Years to Maturity
Less than One Year
Moody's Rating
Value
1-5 Years
5-10 Years
10-15 Years
Concentration
Pooled Investments:
Money Market Fund Certificate of Deposit
$
5,272,792 7,790,401
$
3,252,525 5,272,792
$
4,537,876
$
- -
$
- -
12.69% 8.59%
NR NR
-
Agencies
FFCB FHLB
1,504,200
1,004,300
499,900
- - - - -
- - - - -
2.45% 0.54% 1.63% 6.96% 1.65% 11.26% 0.49% 2.90% 1.06% 12.81% 36.97%
AAA AAA AAA AAA AAA
329,293 999,805
329,293
-
FHLMC FNMA
- - -
999,805
4,272,367 1,012,810
4,272,367 1,012,810
TVA
Agencies- Mortgage Backed
FHLMC FNMA
1,782,294 6,912,783
458
71,112
804,251
906,473
NR NR NR
- -
- -
1,712,283
5,200,500
SBA
298,347
298,347
-
Agency Discount Notes
FHLB
649,981
649,981 2,228,508 6,503,695
- 4,317,325 15,100,632
-
- - -
NR
US Treasury Notes Municipal Bond
7,860,219 22,693,574
1,314,386 1,089,247
AAA-AA3
AAA
Total Investments
$
61,378,866
$
19,241,552
$
30,811,827
5,218,514 $
$
6,106,973
As of December 31, 2020, the City held the following restricted cash for unspent bond proceeds:
Years to Maturity
Less than One Year
Moody's
Value
1-5 Years
5-10 Years
10-15 Years
Concentration
Rating
Money Market Fund Agency Discount Notes FHLB Non-Pooled Investments:
3,769,321
3,769,321
-
-
-
79.03%
NR
999,970
$
999,970
$
-
$
-
$
-
20.97%
NR
Total Investments
$
4,769,291
$
4,769,291
$
-
$
-
$
-
As of December 31, 2020, the component units had the following investments:
Years to Maturity
One Year Less than
Moody's
Value
1-5 Years
5-10 Years
10-15 Years
Concentration
Rating
Pooled Investments:
4M Fund
$
5,000,000 12,005,111 24,831,941 1,486,200 11,638,822 7,811,128 459,899
$
5,000,000 12,005,111 24,831,941 1,486,200 4,347,928 3,275,407 459,899
$
- - - - -
$
- - - - - - -
$
- - - - - - -
7.91% 18.99% 0.73% 2.35% 18.41% 39.26% 12.35%
NR NR NR NR
4M Term Series 4M Plus Fund
Money Market Fund
Brokered CDs US Treasuries US Agencies
N/A N/A
4,535,721 7,290,894
AAA
Total Investments
$
63,233,101
$
51,406,486
$
11,826,615
$
-
$
-
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