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105

SCHEDULE 1

STATEMENT OF FINANCIAL

POSITION BY FUND

SURREY PUBLIC LIBRARY

As at December 31, 2016, with comparative figures for 2015

Operating

Fund

Capital

Fund

2016

2015

FINANCIAL ASSETS

Due from the City of Surrey

(Note 2)

$ 2,052,772

$

-

$ 2,052,772

$ 1,811,571

2,052,772

-

2,052,772

1,811,571

LIABILITIES

Employee future benefits

(Note 3)

2,080,093

-

2,080,093

1,908,872

Deferred revenue

(Note 4)

58,943

-

58,943

45,507

2,139,036

-

2,139,036

1,954,379

NET DEBT

(86,264)

-

(86,264)

(142,808)

NON-FINANCIAL ASSETS

Tangible capital assets

(Note 5)

-

5,299,890

5,299,890

5,418,102

Prepaid expenses

34,799

-

34,799

95,086

34,799

5,299,890

5,334,689

5,513,188

Accumulated Surplus (Deficit)

(Note 7)

$ (51,465)

$ 5,299,890

$ 5,248,425

$ 5,370,380