Financial Statements

Statement of Net Position

STATEMENT OF NET POSITION as of June 30, 2017 (amounts expressed in thousands)
University of Florida Component Units


2017


2016
Direct-Support Organizations Health Science Center Affiliates Shands Hospital and Others
ASSETS
Current Assets:
Cash and Cash Equivalents (Note 1) $ 6,810 $ 383 $ 32,472 $ 83,192 $ 85,944
Investments (Note 3) 1,353,225 1,288,378 69,837 45,048 440,834
Accounts Receivable, Net (Note 4) 81,924 84,941 168,309 66,434 350,959
Loans and Note Receivable, Net (Note 4) 3,546 2,906 - - -
Due From State (Note 5) 76,102 42,690 - - -
Due From Component Units/University (Note 6) 15,324 13,951 145,947 39,260 95,892
Inventories 4,258 4,449 208 - 33,784
Other Current Assets 1,884 3,669 16,808 1,654 43,901
Total Current Assets 1,543,073 1,441,367 433,581 235,588 1,051,314
Noncurrent Assets:
Restricted Cash and Cash Equivalents (Note 1) 15 20 35,606 - 32,752
Restricted Investments (Note 3) 91,290 99,690 1,727,889 13,254 560,557
Other Noncurrent Investments (Note 3) 174,163 147,726 - - -
Loans and Notes Receivable, Net (Note 4) 36,945 38,396 - - -
Depreciable Capital Assets, Net (Note 7) 1,822,070 1,717,678 199,639 59,256 837,656
Nondepreciable Capital Assets (Note 7) 70,181 146,281 59,083 6,687 409,186
Other Noncurrent Assets 74 69 - 2,472 87,801
Total Noncurrent Assets 2,194,738 2,149,860 2,022,217 81,669 1,927,952
TOTAL ASSETS 3,737,811 3,591,227 2,455,798 317,257 2,979,266
DEFERRED OUTFLOWS OF RESOURCES
Deferred Outflows of Pension Resources (Note 9) 269,062 140,766 - - 95,035
Accumulated Decrease in Fair Value of Interest Rate Swap Agreements - - - - 49,228
Losses on Debt Refunding - - - - 376
TOTAL DEFERRED OUTFLOWS OF RESOURCES 269,062 140,766 - - 144,639
TOTAL ASSETS AND DEFERRED OUTFLOWS OF RESOURCES $ 4,006,873 $ 3,731,993 $ 2,455,798 $ 317,257 $ 3,123,905
LIABILITIES
Current Liabilities:
Accounts Payable $ 87,596 $ 72,946 $ 22,972 $ 20,732 $ 280,947
Salary and Wages Payable 44,179 38,188 - 8,353 92,213
Due to Component Units/University (Note 6) 172,155 190,128 88,007 7,852 61,913
Unearned Revenue (Note 10) 63,814 56,687 67,367 17 -
Deposits Held in Custody 11,696 11,390 - 129 -
Other Current Liabilities - - 5,516 - -
Long-Term Liabilities- Current Portion: (Note 11)
Captial Improvement Debt Payable 8,917 9,283 - - -
Bonds Payable - - 5,140 2,116 24,065
Loans and Notes Payable 572 551 1,014 - -
Installment Purchase Agreements Payable 1,509 1,790 - - -
Capital Leases Payable 165 155 - 94 1,376
Compensated Absenses Payable 13,469 16,668 323 - -
Net Pension Liability 5,282 5,680 - - -
Liabilty for Self-Insured Claims - - 18,778 - 6,040
Total Current Liabilities 409,354 403,466 209,117 39,293 466,554
Noncurrent Liabilities: (Note 11)
Capital Improvement Debt Payable 138,443 148,820 - - -
Bonds Payable - - 81,275 28,431 1,070,368
Loans and Notes Payable 9,541 10,113 2,534 8,000 -
Installment Purchase Agreements Payable 1,620 2,634 - - -
Capital Leases Payable 2,344 2,509 - 438 5,429
Compensated Absences Payable 105,197 100,642 3,402 - -
Other Postemployment Benefits Payable 316,874 267,706 - - -
Net Pension Liability 559,763 348,066 - - -
Liability for Self-Insured Claims - - - - 27,516
Other Noncurrent Liabilities 17,788 17,954 43,737 - 104,237
Total Noncurrent Liabilities 1,151,570 898,444< 130,948 36,869 1,207,550
TOTAL LIABILITIES 1,560,924 1,301,910 340,065 76,162 1,674,104
DEFERRED INFLOWS OF RESOURCES
Deferred Inflows of Pension Resources (Note 9) 7,330 53,791 - - 29,128
Accumulated Increase in Fair Value of Interest Rate Swap Agreements - - - - 4,171
Gains on Debt Refunding - - - - 2,732
TOTAL DEFERRED INFLOWS OF RESOURCES 7,330 53.791 - - 36,031
TOTAL LIABILITIES AND DEFERRED INFLOWS OF RESOURCES $ 1,568,254 $ 1,355,701 $ 340,065 $ 76,162 $ 1,710,135
NET POSITION
Net Investment in Capital Assets $ 1,729,141 $ 1,674,399 $ 114,969 $ 26,864 $ 187,946
Restricted:
Nonexpendable:
Endowment - - 1,345,945 - 253
Expendable:
Endowment - - 355,998 - 13,161
Loans 39,211 38,829 - - -
Capital Projects 138,334 116,885 - - -
Debt Service 3,399 4,811 - - -
Other 367,131 414,880 137,562 - 170,257
Unrestricted 161,403 126,488 161,270 214,231 1,042,153
TOTAL NET POSITION 2,438,619 2,376,292 2,115,733 241,095 1,413,770
TOTAL LIABILITIES, DEFERRED INFLOWS OF
RESOURCES AND NET POSITION

$ 4,006,873

$ 3,731,993

$ 2,455,798

$ 317,257

$ 3,123,905
The accompanying notes are an intergral part of these financial statements.

Statement of Net Position

STATEMENT OF NET POSITION as of June 30, 2017 (amounts expressed in thousands)
University of Florida Component Units


2017


2016
Direct-Support Organizations Health Science Center Affiliates Shands Hospital and Others
ASSETS
Current Assets:
Cash and Cash Equivalents (Note 1) $ 6,810 $ 383 $ 32,472 $ 83,192 $ 85,944
Investments (Note 3) 1,353,225 1,288,378 69,837 45,048 440,834
Accounts Receivable, Net (Note 4) 81,924 84,941 168,309 66,434 350,959
Loans and Note Receivable, Net (Note 4) 3,546 2,906 - - -
Due From State (Note 5) 76,102 42,690 - - -
Due From Component Units/University (Note 6) 15,324 13,951 145,947 39,260 95,892
Inventories 4,258 4,449 208 - 33,784
Other Current Assets 1,884 3,669 16,808 1,654 43,901
Total Current Assets 1,543,073 1,441,367 433,581 235,588 1,051,314
Noncurrent Assets:
Restricted Cash and Cash Equivalents (Note 1) 15 20 35,606 - 32,752
Restricted Investments (Note 3) 91,290 99,690 1,727,889 13,254 560,557
Other Noncurrent Investments (Note 3) 174,163 147,726 - - -
Loans and Notes Receivable, Net (Note 4) 36,945 38,396 - - -
Depreciable Capital Assets, Net (Note 7) 1,822,070 1,717,678 199,639 59,256 837,656
Nondepreciable Capital Assets (Note 7) 70,181 146,281 59,083 6,687 409,186
Other Noncurrent Assets 74 69 - 2,472 87,801
Total Noncurrent Assets 2,194,738 2,149,860 2,022,217 81,669 1,927,952
TOTAL ASSETS 3,737,811 3,591,227 2,455,798 317,257 2,979,266
DEFERRED OUTFLOWS OF RESOURCES
Deferred Outflows of Pension Resources (Note 9) 269,062 140,766 - - 95,035
Accumulated Decrease in Fair Value of Interest Rate Swap Agreements - - - - 49,228
Losses on Debt Refunding - - - - 376
TOTAL DEFERRED OUTFLOWS OF RESOURCES 269,062 140,766 - - 144,639
TOTAL ASSETS AND DEFERRED OUTFLOWS OF RESOURCES $ 4,006,873 $ 3,731,993 $ 2,455,798 $ 317,257 $ 3,123,905
LIABILITIES
Current Liabilities:
Accounts Payable $ 87,596 $ 72,946 $ 22,972 $ 20,732 $ 280,947
Salary and Wages Payable 44,179 38,188 - 8,353 92,213
Due to Component Units/University (Note 6) 172,155 190,128 88,007 7,852 61,913
Unearned Revenue (Note 10) 63,814 56,687 67,367 17 -
Deposits Held in Custody 11,696 11,390 - 129 -
Other Current Liabilities - - 5,516 - -
Long-Term Liabilities- Current Portion: (Note 11)
Captial Improvement Debt Payable 8,917 9,283 - - -
Bonds Payable - - 5,140 2,116 24,065
Loans and Notes Payable 572 551 1,014 - -
Installment Purchase Agreements Payable 1,509 1,790 - - -
Capital Leases Payable 165 155 - 94 1,376
Compensated Absenses Payable 13,469 16,668 323 - -
Net Pension Liability 5,282 5,680 - - -
Liabilty for Self-Insured Claims - - 18,778 - 6,040
Total Current Liabilities 409,354 403,466 209,117 39,293 466,554
Noncurrent Liabilities: (Note 11)
Capital Improvement Debt Payable 138,443 148,820 - - -
Bonds Payable - - 81,275 28,431 1,070,368
Loans and Notes Payable 9,541 10,113 2,534 8,000 -
Installment Purchase Agreements Payable 1,620 2,634 - - -
Capital Leases Payable 2,344 2,509 - 438 5,429
Compensated Absences Payable 105,197 100,642 3,402 - -
Other Postemployment Benefits Payable 316,874 267,706 - - -
Net Pension Liability 559,763 348,066 - - -
Liability for Self-Insured Claims - - - - 27,516
Other Noncurrent Liabilities 17,788 17,954 43,737 - 104,237
Total Noncurrent Liabilities 1,151,570 898,444< 130,948 36,869 1,207,550
TOTAL LIABILITIES 1,560,924 1,301,910 340,065 76,162 1,674,104
DEFERRED INFLOWS OF RESOURCES
Deferred Inflows of Pension Resources (Note 9) 7,330 53,791 - - 29,128
Accumulated Increase in Fair Value of Interest Rate Swap Agreements - - - - 4,171
Gains on Debt Refunding - - - - 2,732
TOTAL DEFERRED INFLOWS OF RESOURCES 7,330 53.791 - - 36,031
TOTAL LIABILITIES AND DEFERRED INFLOWS OF RESOURCES $ 1,568,254 $ 1,355,701 $ 340,065 $ 76,162 $ 1,710,135
NET POSITION
Net Investment in Capital Assets $ 1,729,141 $ 1,674,399 $ 114,969 $ 26,864 $ 187,946
Restricted:
Nonexpendable:
Endowment - - 1,345,945 - 253
Expendable:
Endowment - - 355,998 - 13,161
Loans 39,211 38,829 - - -
Capital Projects 138,334 116,885 - - -
Debt Service 3,399 4,811 - - -
Other 367,131 414,880 137,562 - 170,257
Unrestricted 161,403 126,488 161,270 214,231 1,042,153
TOTAL NET POSITION 2,438,619 2,376,292 2,115,733 241,095 1,413,770
TOTAL LIABILITIES, DEFERRED INFLOWS OF
RESOURCES AND NET POSITION

$ 4,006,873

$ 3,731,993

$ 2,455,798

$ 317,257

$ 3,123,905
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, 2017 (amounts expressed in thousands)
University of Florida Component Units

2016-17

2015-16
Direct-Support Organizations Health Science Center Affiliates Shands Hospital and Others
OPERATING REVENUES
Student Tuition and Fees $ 587,425 $ 557,923 $ - $ - $ -
Scholarhsip Allowances (155,766) (147,147) - - -
Student Tuition and Fees, Net of Scholarship Allowances 431,659 410,776 - - -
Federal Grants and Contracts 432,731 407,784 - - -
State and Local Grants and Contracts 50,020 46,649 - - -
Nongovernmental Grants and Contracts 793,017 756,686 - - -
Sales and Services of Auxiliary Enterprises (Note 12) 131,406 125,974 - - -
Sales and Services of Educational Departments 55,347 55,648 - - -
Sales and Services of Component Units - - 178,540 - -
Hospital Revenues - - - 805,997 2,097,450
Gifts and Donations- Component Units - - 90,575 - -
Royalties and Licensing Fees - Component Units - - 34,352 - -
Interest on Loans and Notes Receivable 1,013 1,146 - - -
Other Operating Revenues 2,489 3,649 9,055 99,354 33,038
Total Operating Revenues 1,897,682 1,808,312 312,522 905,351 2,130,488
OPERATING EXPENSES
Employee Compensation and Benefits 2,022,323 1,882,675 1,491 91,168 920,577
Services and Supplies 552,130 546,030 347,268 209,807 926,061
Utilities and Communications 71,928 70,588 - - -
Scholarships, Fellowships, and Waivers, Net 106,891 100,159 - - -
Depreciation 137,484 132,523 11,543 8,864 86,571
Self-Insured Claims and Expenses - - - - 4,081
Total Operating Expenses (Note 18) 2,890,756 2,731,975 360,302 309,839 1,937,290
Opertaing Income (Loss) (993,074) (923,663) (47,780) 595,512 193,198
NONOPERATING REVENUES (EXPENSES)
Noncapital State Appropriations 712,106 674,086 8,000 - 7,050
Federal and State Student Financial Aid 116,963 115,948 - - -
Noncapital Grants, Contracts, and Gifts 116,665 136,928 - - -
Investment Income 37,952 23,544 181,833 959 29,989
Net Increase (Decrease) in the Fair Value of Investments 21,100 (15,946) 1,402 1,045 20,661
Investment Expenses (4,141) (4,047) (312) (842) -
Other Nonoperating Revenues 4,243 3,417 10,824 - 7,271
Gain (Loss) on Disposal of Capital Assets (16,481) (2,072) 1,345 5,100 1,318
Interest on Capital Asset-Related Debt (7,146) (7,585) (1,938) - (21,728)
Other Nonoperating Expenses (8,712) (5,019) (53,639) (591,684) (108,539)
Net Nonoperating Revenues (Expenses) 972,549 919,254 147,515 (585,422) (63,978)
Income (Loss) Before Other Revenues (20,525) (4,409) 99,735 10,090 129,220
State Capital Appropriations 59,430 33,076 - - -
Capital Grants, Contracts, and Donations 23,422 27,594 - - -
Additions to Permanent Endowments - - 76,868 - -
Total Other Revenues 82,852 60,670 76,868 - -
Increase in Net Position 62,327 56,261 176,603 10,090 129,220
Net Position, Beginning of Year 2,376,292 2,320,031 1,972,476 227,847 1,284,550
Adjustment to Beginning Net Position (Note 2) - - (33,346) 3,158 -
Adjusted Net Position, Beginning of Year, as Restated 2,376,292 2,320,031 1,939,130 231,005 1,284,550
Net Position, End of Year $ 2,438,619 $ 2,376,292 $ 2,115,733 $ 241,095 $ 1,413,770
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, 2017 (amounts expressed in thousands)
University of Florida
2016-17 2015-16
CASH FLOWS FROM OPERATING ACTIVITIES
Tuition and Fees, Net $ 432,478 $ 408,000
Grants and Contracts 1,276,968 1,225,608
Sales and Services of Auxiliary Enterprises 130,394 129,456
Sales and Services of Educational Departments 56,596 56,515
Repayment of Loans and Notes Receivable from Students 7,707 6,365
Interest on Loans Receivable 986 1,122
Other Operating Receipts 8,992 2,758
Payments to Employees (1,929,267) (1,841,227)
Payments to Suppliers for Goods and Services (612,065) (608,830)
Payments to Students for Scholarships and Fellowships (106,891) (100,159)
Loans Issued to Students (6,896) (6,692)
Net Cash Used by Operating Activities (740,998) (727,084)
CASH FLOWS FROM NONCAPITAL FINANCING ACTIVITIES
Noncapital State Appropriations 712,106 674,086
Federal and State Financial Aid 116,963 115,948
Noncapital Grants, Contracts, and Gifts 116,665 136,928
Direct Loan Program Receipts 258,360 255,279
Direct Loan Program Disbursements (258,369) (255,270)
Net Change in Funds Held for Others (3,284) (8,667)
Other Nonoperating Receipts 568 567
Other Nonoperating Disbursements (7,839) (4,405)
Net Cash Provided by Noncapital Financing Activities 935,170 914,466
CASH FLOWS FROM CAPITAL AND RELATED FINANCING ACTIVITIES
Capital State Appropriatons 26,018 55,691
Capital Grants, Contracts, and Donations 23,392 27,977
Proceeds from Sales of Capital Assets 605 1,717
Other Receipts for Capital Projects 3,660 2,854
Purchase or Construction of Capital Assets (179,220) (207,523)
Prinicpal Paid on Capital Debt and Leases (27,082) (11,878)
Interest Paid on Capital Debt and Leases (7,123) (7,585)
Net Cash Used by Capital and Related Financing Activities (159,750) (138,747)
CASH FLOWS FROM INVESTING ACTIVITIES
Sale of Investments 1,667,452 1,718,279
Purchase of Investments (1,730,107) (1,782,829)
Investment Income 34,655 14,018
Net Cash Used by Investing Activities (28,000) (50,532)
Net Increase (Decrease) in Cash and Cash Equivalents 6,422 (1,897)
Cash and Cash Equivalents, Beginning of Year 403 2,300
Cash and Cash Equivalents, End of Year $ 6,825 $ 403
RECONCILIATION OF OPERATING LOSS TO NET CASH USED BY OPERATING ACTIVITIES
Operating Loss $ (993,074) $ (923,663)
Adjustment to Reconcile Operating Loss to Net Cash Used by Operating Activities:
Depreciation Expense 137,484 132,523
Change in Assets, Liabilites, Deferred Outflows of Resources, and Deferred Inflows of Resources:
Receivables, Net 3,766 (4,702)
Due From Component Units (1,373) 6,629
Inventories 191 132
Other Assets 278 296
Accounts Payable 11,525 7,360
Salaries and Wages Payable 5,991 12,600
Unearned Revenue 7,127 13,371
Deposits Held in Custody (21) (477)
Other Postemployment Benefits Payable 49,168 50,167
Compensated Absences Payable 1,356 (11,970)
Net Pension Liability 211,299 129,119
Pension Deferred Outflows (128,296) (31,958)
Pension Deferred Inflows (46,461) (106,511)
NET CASH USED BY OPERATING ACTIVITIES $ (740,998) $ (727,084)
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 gain on Investments $ 21,100
Acquisition of Equipment under Installment Purchase Agreements $ 692
Loss on Disposal of Capital Assets $ (16,481)
Loss on refunded 2005A Housing Bonds will be amortized over the life of the 2016A refunding Housing Bonds $ (95)
The accompanying notes are an intergral part of these financial statements.