CITY OF EUGENE, OREGON <br />Notes to Basic Financial Statements <br />(4) Detailed Notes on All Funds continued <br />(C) Inten`und Receivables. Payables, and Transfers <br />The composition of interfund receivables and payables at June 30, 2008 is as follows: <br />Receivable fund Payable fund Amount <br />Interfund loans receivable/oavable (current portion of advances <br />Internal service funds Internal service funds $ 209,796 <br />Total interfund loans receivable/payable $ 209,796 <br />Advances to/from other funds <br />Internal service funds Internal service funds $ 220,285 <br />Total advances to/from other funds $ 220,285 <br />The Facilities Services Fund borrowed $1,338,384 from the Fleet Services Fund to pay for various energy <br />retrofit projects. The outstanding balance on June 30, 2008 is $430,081. The current and noncurrent portions <br />of the borrowing are $209,796 and $220,285, respectively. <br />continued <br />53 <br />