Financial Statements

Statement of Net Position

STATEMENT OF NET POSITION as of June 30, 2016 (amounts expressed in thousands)
University of Florida Component Units


2016


2015
Direct-Support Organizations Health Science Center Affiliates Shands Hospital and Others
ASSETS
Current Assets:
Cash and Cash Equivalents (Note 1) $ 383 $ 2,286 $ 14,394 $ 105,049 $ 136,005
Investments (Note 4) 1,288,378 1,247,153 80,238 11,854 484,019
Accounts Receivable, Net (Note 5) 84,941 80,001 138,531 54,149 308,341
Loans and Note Receivable, Net (Note 5) 2,906 2,983 - - -
Due From State (Note 6) 42,690 65,305 - - -
Due From Component Units/University (Note 7) 13,951 20,580 158,567 43,755 82,560
Inventories 4,449 4,580 60 - 29,933
Other Current Assets 3,669 2,765 13,169 1,481 36,516
Total Current Assets 1,441,367 1,425,653 404,959 216,288 1,077,374
Noncurrent Assets:
Restricted Cash and Cash Equivalents (Note 1) 20 14 30,237 - 21,105
Restricted Investments (Note 4) 99,690 95,891 1,585,270 12,650 598,841
Other Noncurrent Investments (Note 4) 147,726 139,276 - - -
Loans and Notes Receivable, Net (Note 5) 38,396 37,993 - - -
Depreciable Capital Assets, Net (Note 8) 1,717,678 1,554,905 182,927 61,836 763,239
Nondepreciable Capital Assets (Note 8) 146,281 241,259 113,794 3,113 293,312
Other Noncurrent Assets 69 70 - 2,900 110,612
Total Noncurrent Assets 2,149,860 2,069,408 1,912,228 80,499 1,787,109
TOTAL ASSETS 3,591,227 3,495,061 2,317,187 296,787 2,864,483
DEFERRED OUTFLOWS OF RESOURCES
Deferred Outflows of Pension Resources (Note 10) 140,766 108,808 - - 122,017
Accumulated Decrease in Fair Value of Interest Rate Swap Agreements - - - - 72,997
Losses on Debt Refunding - - - - 416
TOTAL DEFERRED OUTFLOWS OF RESOURCES 140,766 108,808 - - 195,430
TOTAL ASSETS AND DEFERRED OUTFLOWS OF RESOURCES $ 3,731,993 $ 3,603,869 $ 2,317,187 $ 296,787 $ 3,059,913
LIABILITIES
Current Liabilities:
Accounts Payable $ 72,946 $ 69,001 $ 20,855 $13,503 $255,892
Salary and Wages Payable 38,188 25,588 - 8,166 81,114
Due to Component Units/University (Note 7) 190,128 199,777 74,649 4,954 59,858
Unearned Revenue (Note 11) 56,687 43,316 62,258 40 -
Deposits Held in Custody 11,390 11,910 - 108 -
Other Current Liabilities - - 4,503 2,000 -
Long-Term Liabilities- Current Portion: (Note 12)
Captial Improvement Debt Payable 9,283 8,909 - - -
Bonds Payable - - 5,035 2,081 23,578
Loans and Notes Payable 551 528 14,719 - -
Installment Purchase Agreements Payable 1,790 1,138 - - -
Capital Leases Payable 155 146 - 108 2,739
Compensated Absenses Payable 16,668 11,861 230 - -
Net Pension Liability 5,680 4,709 - - -
Liabilty for Self-Insured Claims - - 23,096 - 4,684
Total Current Liabilities 403,466 376,883 205,345 30,960 427,865
Noncurrent Liabilities: (Note 12)
Capital Improvement Debt Payable 148,820 158,314 - - -
Bonds Payable - - 86,415 28,914 1,091,805
Loans and Notes Payable 10,113 10,664 3,548 8,000 -
Installment Purchase Agreements Payable 2,634 1,921 - - -
Capital Leases Payable 2,509 2,664 - 60 5,449
Compensated Absences Payable 100,642 117,419 3,323 - -
Other Postemployment Benefits Payable 267,706 217,539 - - 3,260
Net Pension Liability 348,066 219,918 - - -
Liability for Self-Insured Claims - - - - 34,347
Other Noncurrent Liabilities 17,954 18,214 46,080 1,006 138,366
Total Noncurrent Liabilities 898,444 746,653 139,366 37,980 1,273,227
TOTAL LIABILITIES 1,301,910 1,123,536 344,711 68,940 1,701,092
DEFERRED INFLOWS OF RESOURCES
Deferred Inflows of Pension Resources (Note 10) 53,791 160,302 - - 62,513
Accumulated Increase in Fair Value of Interest Rate Swap Agreements - - - - 8,822
Gains on Debt Refunding - - - - 2,936
TOTAL DEFERRED INFLOWS OF RESOURCES 53.791 160,302 - - 74,271
TOTAL LIABILITIES AND DEFERRED INFLOWS OF RESOURCES $ 1,355,701 $ 1,283,838 $ 344,711 $ 68,940 $ 1,775,363
NET POSITION
Net Investment in Capital Assets $ 1,674,399 $ 1,615,971 $ 112,487 $ 25,786 $ 143,617
Restricted:
Nonexpendable:
Endowment - - 1,273,854 - 97
Expendable:
Endowment - - 266,525 - 14,082
Loans 38,829 37,424 - - -
Capital Projects 116,885 113,024 - - -
Debt Service 4,811 4,855 - - -
Other 414,880 436,577 173,530 - 156,629
Unrestricted 126,488 112,180 146,080 202,061 970,125
TOTAL NET POSITION 2,376,292 2,320,031 1,972,476 227,847 1,284,550
TOTAL LIABILITIES AND DEFERRED INFLOWS OF
RESOURCES AND NET POSITION

$ 3,731,993

$ 3,603,869

$ 2,317,187

$ 296,787

$ 3,059,913
The accompanying notes are an intergral part of these financial statements.

Statement of Net Position

STATEMENT OF NET POSITION as of June 30, 2016 (amounts expressed in thousands)
University of Florida Component Units


2016


2015
Direct-Support Organizations Health Science Center Affiliates Shands Hospital and Others
ASSETS
Current Assets:
Cash and Cash Equivalents (Note 1) $ 383 $ 2,286 $ 14,394 $ 105,049 $ 136,005
Investments (Note 4) 1,288,378 1,247,153 80,238 11,854 484,019
Accounts Receivable, Net (Note 5) 84,941 80,001 138,531 54,149 308,341
Loans and Note Receivable, Net (Note 5) 2,906 2,983 - - -
Due From State (Note 6) 42,690 65,305 - - -
Due From Component Units/University (Note 7) 13,951 20,580 158,567 43,755 82,560
Inventories 4,449 4,580 60 - 29,933
Other Current Assets 3,669 2,765 13,169 1,481 36,516
Total Current Assets 1,441,367 1,425,653 404,959 216,288 1,077,374
Noncurrent Assets:
Restricted Cash and Cash Equivalents (Note 1) 20 14 30,237 - 21,105
Restricted Investments (Note 4) 99,690 95,891 1,585,270 12,650 598,841
Other Noncurrent Investments (Note 4) 147,726 139,276 - - -
Loans and Notes Receivable, Net (Note 5) 38,396 37,993 - - -
Depreciable Capital Assets, Net (Note 8) 1,717,678 1,554,905 182,927 61,836 763,239
Nondepreciable Capital Assets (Note 8) 146,281 241,259 113,794 3,113 293,312
Other Noncurrent Assets 69 70 - 2,900 110,612
Total Noncurrent Assets 2,149,860 2,069,408 1,912,228 80,499 1,787,109
TOTAL ASSETS 3,591,227 3,495,061 2,317,187 296,787 2,864,483
DEFERRED OUTFLOWS OF RESOURCES
Deferred Outflows of Pension Resources (Note 10) 140,766 108,808 - - 122,017
Accumulated Decrease in Fair Value of Interest Rate Swap Agreements - - - - 72,997
Losses on Debt Refunding - - - - 416
TOTAL DEFERRED OUTFLOWS OF RESOURCES 140,766 108,808 - - 195,430
TOTAL ASSETS AND DEFERRED OUTFLOWS OF RESOURCES $ 3,731,993 $ 3,603,869 $ 2,317,187 $ 296,787 $ 3,059,913
LIABILITIES
Current Liabilities:
Accounts Payable $ 72,946 $ 69,001 $ 20,855 $13,503 $255,892
Salary and Wages Payable 38,188 25,588 - 8,166 81,114
Due to Component Units/University (Note 7) 190,128 199,777 74,649 4,954 59,858
Unearned Revenue (Note 11) 56,687 43,316 62,258 40 -
Deposits Held in Custody 11,390 11,910 - 108 -
Other Current Liabilities - - 4,503 2,000 -
Long-Term Liabilities- Current Portion: (Note 12)
Captial Improvement Debt Payable 9,283 8,909 - - -
Bonds Payable - - 5,035 2,081 23,578
Loans and Notes Payable 551 528 14,719 - -
Installment Purchase Agreements Payable 1,790 1,138 - - -
Capital Leases Payable 155 146 - 108 2,739
Compensated Absenses Payable 16,668 11,861 230 - -
Net Pension Liability 5,680 4,709 - - -
Liabilty for Self-Insured Claims - - 23,096 - 4,684
Total Current Liabilities 403,466 376,883 205,345 30,960 427,865
Noncurrent Liabilities: (Note 12)
Capital Improvement Debt Payable 148,820 158,314 - - -
Bonds Payable - - 86,415 28,914 1,091,805
Loans and Notes Payable 10,113 10,664 3,548 8,000 -
Installment Purchase Agreements Payable 2,634 1,921 - - -
Capital Leases Payable 2,509 2,664 - 60 5,449
Compensated Absences Payable 100,642 117,419 3,323 - -
Other Postemployment Benefits Payable 267,706 217,539 - - 3,260
Net Pension Liability 348,066 219,918 - - -
Liability for Self-Insured Claims - - - - 34,347
Other Noncurrent Liabilities 17,954 18,214 46,080 1,006 138,366
Total Noncurrent Liabilities 898,444 746,653 139,366 37,980 1,273,227
TOTAL LIABILITIES 1,301,910 1,123,536 344,711 68,940 1,701,092
DEFERRED INFLOWS OF RESOURCES
Deferred Inflows of Pension Resources (Note 10) 53,791 160,302 - - 62,513
Accumulated Increase in Fair Value of Interest Rate Swap Agreements - - - - 8,822
Gains on Debt Refunding - - - - 2,936
TOTAL DEFERRED INFLOWS OF RESOURCES 53.791 160,302 - - 74,271
TOTAL LIABILITIES AND DEFERRED INFLOWS OF RESOURCES $ 1,355,701 $ 1,283,838 $ 344,711 $ 68,940 $ 1,775,363
NET POSITION
Net Investment in Capital Assets $ 1,674,399 $ 1,615,971 $ 112,487 $ 25,786 $ 143,617
Restricted:
Nonexpendable:
Endowment - - 1,273,854 - 97
Expendable:
Endowment - - 266,525 - 14,082
Loans 38,829 37,424 - - -
Capital Projects 116,885 113,024 - - -
Debt Service 4,811 4,855 - - -
Other 414,880 436,577 173,530 - 156,629
Unrestricted 126,488 112,180 146,080 202,061 970,125
TOTAL NET POSITION 2,376,292 2,320,031 1,972,476 227,847 1,284,550
TOTAL LIABILITIES AND DEFERRED INFLOWS OF
RESOURCES AND NET POSITION

$ 3,731,993

$ 3,603,869

$ 2,317,187

$ 296,787

$ 3,059,913
The accompanying notes are an intergral part of these financial statements.

Statement of Revenues, Expenses, and Changes in Net Position

STATEMENT OF REVENUES, EXPENSES, AND CHANGES IN NET POSITION for the Fiscal Year Ended June 30, 2016 (amounts expressed in thousands)
University of Florida Component Units

2015-16

2014-15
Direct-Support Organizations Health Science Center Affiliates Shands Hospital and Others
OPERATING REVENUES
Student Tuition and Fees $ 557,923 $ 522,444 $ - $ - $ -
Scholarhsip Allowances (147,147) (146,206) - - -
Student Tuition and Fees, Net of Scholarship Allowances 410,776 376,238 - - -
Federal Grants and Contracts 407,784 386,876 - - -
State and Local Grants and Contracts 46,649 44,642 - - -
Nongovernmental Grants and Contracts 756,686 744,655 - - -
Sales and Services of Auxiliary Enterprises (Note 13) 125,974 126,085 - - -
Sales and Services of Educational Departments 55,648 52,098 - - -
Sales and Services of Component Units - - 178,740 - -
Hospital Revenues - - - 773,332 1,998,247
Gifts and Donations- Component Units - - 131,050 - -
Royalties and Licensing Fees - Component Units - - 35,913 - -
Interest on Loans and Notes Receivable 1,146 1,092 - - -
Other Operating Revenues 3,649 3,644 10,493 69,191 35,992
Total Operating Revenues 1,808,312 1,735,330 356,196 842,523 2,034,239
OPERATING EXPENSES
Employee Compensation and Benefits 1,882,675 1,811,810 1,319 89,584 870,121
Services and Supplies 546,030 496,362 354,453 144,500 890,177
Utilities and Communications 70,588 67,727 - - -
Scholarships, Fellowships, and Waivers, Net 100,159 83,861 - - -
Depreciation 132,523 134,530 10,961 19,282 89,189
Self-Insured Claims and Expenses - - - - 2,242
Total Operating Expenses (Note 18) 2,731,975 2,594,290 366,733 253,366 1,851,729
Opertaing Income (Loss) (923,663) (858,960) (10,537) 589,157 182,510
NONOPERATING REVENUES (EXPENSES)
Noncapital State Appropriations 674,086 643,570 8,000 - 7,050
Federal and State Student Financial Aid 115,948 115,755 - - -
Noncapital Grants, Contracts, and Gifts 136,928 262,161 - - -
Investment Income 23,544 34,321 (48,620) 663 28,777
Net Increase (Decrease) in the Fair Value of Investments (15,946) (1,144) (3,742) (1,350) 10,478
Investment Expenses (4,047) (3,842) (241) (809) -
Other Nonoperating Revenues 3,417 710 11,494 - 14,298
Gain (Loss) on Disposal of Capital Assets (2,072) (2,384) - 3,182 (121)
Interest on Capital Asset-Related Debt (7,585) (8,584) (1,724) - (22,966)
Other Nonoperating Expenses (5,019) (5,782) (70,090) (565,198) (122,884)
Net Nonoperating Revenues (Expenses) 919,254 1,034,781 (104,923) (563,512) (85,368)
Income (Loss) Before Other Revenues (4,409) 175,821 (115,460) 25,645 97,142
Capital State Appropriations 33,076 54,222 - - -
Capital Grants, Contracts, and Donations 27,594 31,945 - - -
Additions to Permanent Endowments - - 48,592 - -
Total Other Revenues 60,670 86,167 48,592 - -
Increase (Decrease) in Net Position 56,261 261,988 (66,868) 25,645 97,142
Net Position, Beginning of Year 2,320,031 2,488,792 2,039,344 202,202 1,187,408
Adjustment to Beginning Net Position - (430,749) - - -
Adjusted Net Position, Beginning of Year, as Restated 2,320,031 2,058,043 2,039,344 202,202 1,187,408
Net Position, End of Year $ 2,376,292 $ 2,320,031 $ 1,972,476 $ 227,847 $ 1,284,550
The accompanying notes are an intergral part of these financial statements.

Statement of Cash Flows

STATEMENT OF CASH FLOWS for the Fiscal Year Ended June 30, 2016 (amounts expressed in thousands)
University of Florida
2015-16 2014-15
CASH FLOWS FROM OPERATING ACTIVITIES
Tuition and Fees, Net $ 408,000 $ 379,956
Grants and Contracts 1,225,608 1,202,629
Sales and Services of Auxiliary Enterprises 129,456 128,275
Sales and Services of Educational Departments 56,515 53,736
Repayment of Loans and Notes Receivable from Students 6,365 6,218
Interest on Loans Receivable 1,122 1,112
Other Operating Receipts 2,758 3,686
Payments to Employees (1,841,227) (1,788,368)
Payments to Suppliers for Goods and Services (608,830) (558,677)
Payments to Students for Scholarships and Fellowships (100,159) (83,861)
Loans Issued to Students (6,692) (7,432)
Net Cash Used by Operating Activities (727,084) (662,726)
CASH FLOWS FROM NONCAPITAL FINANCING ACTIVITIES
Noncapital State Appropriations 674,086 643,570
Federal and State Financial Aid 115,948 115,755
Noncapital Grants, Contracts, and Gifts 136,928 262,161
Direct Loan Program Receipts 255,279 257,939
Direct Loan Program Disbursements (255,270) (257,939)
Net Change in Funds Held for Others (8,667) 160,120
Other Nonoperating Receipts 567 636
Other Nonoperating Disbursements (4,405) (19,745)
Net Cash Provided by Noncapital Financing Activities 914,466 1,162,497
CASH FLOWS FROM CAPITAL AND RELATED FINANCING ACTIVITIES
Capital State Appropriatons 55,691 34,894
Capital Grants, Contracts, and Donations 27,977 13,565
Proceeds from Sales of Capital Assets 1,717 419
Other Receipts for Capital Projects 2,854 74
Purchase or Construction of Capital Assets (207,523) (200,486)
Prinicpal Paid on Capital Debt and Leases (11,878) (16,182)
Interest Paid on Capital Debt and Leases (7,585) (8,584)
Net Cash Used by Capital and Related Financing Activities (138,747) (176,300)
CASH FLOWS FROM INVESTING ACTIVITIES
Sale of Investments 1,718,279 1,731,427
Purchase of Investments (1,782,829) (2,083,839)
Investment Income 14,018 31,075
Net Cash Used by Investing Activities (50,532) (321,337)
Net Increase (Decrease) in Cash and Cash Equivalents (1,897) 2,134
Cash and Cash Equivalents, Beginning of Year 2,300 166
Cash and Cash Equivalents, End of Year $ 403 $ 2,300
RECONCILIATION OF OPERATING LOSS TO NET CASH USED BY OPERATING ACTIVITIES
Operating Loss $ (923,663) $ (858,960)
Adjustment to Reconcile Operating Loss to Net Cash Used by Operating Activities:
Depreciation Expense 132,523 134,530
Change in Assets, Liabilites, Deferred Outflows of Resources, and Deferred Inflows of Resources:
Receivables, Net (4,702) 14,754
Due From Component Units 6,629 4,558
Inventories 132 110
Other Assets 296 (784)
Accounts Payable 7,360 6,086
Salaries and Wages Payable 12,600 1,415
Unearned Revenue 13,371 13,780
Deposits Held in Custody (477) (243)
Other Postemployment Benefits Payable 50,167 36,849
Compensated Absences Payable (11,970) 3,329
Net Pension Liability 129,119 (107,744)
Pension Deferred Outflows (31,958) (70,708)
Pension Deferred Inflows (106,511) 160,302
NET CASH USED BY OPERATING ACTIVITIES $ (727,084) $ (662,726)
SUPPLEMENTAL DISCLOSURE OF NONCASH OPEARTING, INVESTING, AND CAPITAL AND RELATED FINANCING ACTIVITIES
The following items are recognized on the Statement of Net Position or the Statement of Revenues, Expenses and Changes in Net Position, but are not cash transactions for the Statement of Cash Flows:
Unrealized Loss on Investments $ (15,946)
Acquisition of Equipment under Installment Purchase Agreements $ 3,344
Loss on Disposal of Capital Assets $ (2,072)
The accompanying notes are an intergral part of these financial statements.