2016-2020_Financial_Plan_Web
Roads &Traffic Safety—Significant Changes
2015 ADOPTED BUDGET
$
21,950
REVENUES Taxation
…………………………….
$ 3,379
3,379
Sales and Services Digital Signs Revenue
……………………………. ……………………………. …………………………….
(2,500)
Developer Sundry Contributions Other (Provinicial/Translink)
3 2
(2,495)
Total Change in Revenue
884
2016 REVENUE BUDGET
22,834
EXPENDITURES Salaries/Wages & Benefits Salary Rate and Range Increase Overhead, Overtime, Sick Reduction
……………………………. ……………………………. ……………………………. …………………………….
20 29
Reclass Positions
(369)
New Positions
92
(228)
Operating Costs Inventory Increase Economic Increase
……………………………. ……………………………. ……………………………. ……………………………. ……………………………. ……………………………. …………………………….
479
74
Service Level Adjustment
(2,123)
Non Capital items from 10YR Servicing Plan Traffic Signal & Streetlight Maintenance Contract
816
(908)
Transportation Planning Operating Costs
2,242
BC Hydro Rate Increase
199
779
Internal Services Used Increase Department Cost Allocation
…………………………….
(221)
(221)
Internal Services Recovered Capital Recoveries
…………………………….
(595)
(595)
Contribution to Capital Decrease in Capital Funding
…………………………….
3,546
3,546
Transfer To Own Sources Transfer to Reserves Transfer to General Revenue
……………………………. …………………………….
(6,794)
4,397
(2,397)
Total Change in Expenditures
884
2016 EXPENDITURE BUDGET
22,834
2016 BUDGET
$
-
2016-2020 FINANCIAL PLAN
267
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