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SCHEDULE 12

UNAUDITED RESERVES,

CONTINGENCIES AND SURPLUS 

CITY OF SURREY

2016

2015

2014

2013

2012

(recast - note 2) (recast - note 2) (recast - note 2) (recast - note 2)

RESERVE FUNDS

Equipment and building replacement

$ 34,325

$ 33,670

$ 35,888

$ 34,836

$ 36,653

Neighborhood Concept Plans

22,648

22,783

23,836

23,545

21,439

Park land acquisition

18,687

9,948

8,876

5,186

2,984

Local improvement financing

16,143

15,689

15,173

14,654

14,273

Capital legacy

15,638

19,486

2,854

23,998

12,757

Environmental stewardship

6,559

6,536

6,448

6,558

6,580

Parking space

1,586

1,535

1,260

1,244

1,226

Water claims

1,338

1,328

1,315

1,299

1,280

Affordable housing

23

23

8

33

18

Municipal land

-

-

-

(1,378)

(8,205)

$ 116,947

$ 110,998

$ 95,658

$ 109,975

$ 89,005

INTERNAL BORROWING

$ (15,040)

$ (23,213)

$ (25,536)

$

-

$

-

UNAPPROPRIATED SURPLUS

General operating fund

$

7,831

$

7,831

$

7,831

$

7,831

$

6,348

Employee future benefits

(6,998)

(6,998)

(6,998)

(6,998)

(6,998)

Water operating fund

3,000

3,000

3,000

3,000

3,000

Sewer operating fund

3,000

3,000

3,000

3,000

3,000

Library Services

(324)

(325)

(325)

(324)

(324)

6,509

6,508

6,508

6,509

5,026

Other Entities:

Surrey City Development Corp

(67,816)

(74,366)

(105,265)

(96,505)

(58,707)

Surrey Homelessness and Housing Society

7,879

8,012

8,212

8,380

8,692

$ (53,428)

$ (59,846)

$ (90,545)

$ (81,616)

$ (44,989)

APPROPRIATED SURPLUS

Infrastructure replacement

$ (22,278)

$ (5,058)

$

6,103

$ 49,376

$ 46,154

Revenue stabilization

16,589

13,989

13,250

12,661

12,661

Self insurance

13,113

15,053

15,982

16,138

14,755

Operating contingency and emergencies

8,782

8,782

8,758

7,042

7,042

Environmental emergencies

7,420

7,420

5,346

2,852

5,928

Prepaid expenses

4,517

3,997

3,962

3,299

2,941

Inventories of supplies

880

857

1,011

1,010

1,030

$ 29,023

$ 45,040

$ 54,412

$ 92,378

$ 90,511

COMMITTED FUNDS

General operating

$ 44,727

$ 33,250

$ 28,353

$ 28,627

$ 30,170

Roads operating and capital

39,157

37,434

26,843

23,781

17,751

Water operating and capital

38,872

38,919

38,406

35,549

37,345

Sewer operating and capital

24,965

28,188

24,232

27,378

29,251

Drainage operating and capital

12,629

15,957

18,779

14,630

13,413

Surrey City Energy operating and capital

3,233

(6,268)

(3,585)

(1,622)

-

Library Services

238

182

198

219

250

$ 163,821

$ 147,662

$ 133,226

$ 128,562

$ 128,180

TANGIBLE CAPITAL ASSETS

(note 12)

$ 8,312,963

$ 8,123,149

$ 7,982,686

$ 7,696,429

$ 7,394,797

Debt funded assets

(177,249)

(182,656)

(171,734)

(158,199)

(86,044)

Total Equity in Tangible Capital Assets

$ 8,135,714

$ 7,940,493

$ 7,810,952

$ 7,538,230

$ 7,308,753

TOTAL ACCUMULATED SURPLUS

$ 8,377,037

$ 8,161,134

$ 7,978,167

$ 7,787,529

$ 7,571,460

For the year ended December 31, 2016, with comparative figures for 2015, 2014, 2013 and 2012

[in thousands of dollars]