2016-2020_Financial_Plan_Web
Consolidated Financial Summary—Departments
2014
2015
2015
2016
2017 PLAN
2018 PLAN
2019 PLAN
2020 PLAN
NET DEPARTMENTS
ACTUAL ACTUAL BUDGET BUDGET
Restated
Restated
Mayor, Council & Grants
$
2,612 5,171
$
2,871 5,367
$
2,880 5,138
$
3,023 6,299
$
3,042 6,605
$
3,060 6,805
$
3,107 7,322
$
3,155 7,846
City Manager
Finance & Technology
23,629
26,904
27,307
29,242
29,884
30,631
31,586
32,560
Human Resources
3,355
3,638
3,589
3,711
3,764
3,817
3,999
4,190
Fire
55,697 115,163
57,305 124,297
57,306 124,597
57,630 138,769
59,253 145,863
60,966 151,706
62,689 158,381
64,455 165,444
RCMP
Engineering Services
1,028
209
1,322
1,436
1,606
1,642
1,855
2,079
Parks, Recreation & Culture Planning & Development
43,176
50,400
51,321
54,255
55,615
56,617 10,016 15,263 13,535 (2,158) 34,811 (1,931) (5,503)
59,620 10,205 15,837 14,193 (2,213) 36,350 (2,632) (5,606)
63,524 10,403 16,431 14,385 (2,284) 36,920 (3,416) (7,445) (1,737) (14,570)
7,768
4,878
9,028
9,800
9,941
14,809 13,169 (1,860) 33,725
15,088 13,350 (4,100) 34,264 (1,263) (5,403)
Surrey Public Library Drainage Operations
12,056 19,287 (1,064) 31,723
14,554 12,898
14,706 15,104 (1,209) 31,395
Parking Authority
(870)
Roads & Traffic Operations
35,256 (4,431) (10,163)
Sewer Operations
2,461
(782)
(646)
Solid Waste Operations Surrey City Energy Water Operations Amortization Expense Operating Contingency
(7,692)
(5,964)
(5,291)
180
(85)
469
203
21
(316)
(763)
(10,480) 108,440
(11,074) 116,837
(4,111)
(7,882)
(8,692)
(10,417) 122,034
(12,493) 124,992
114,322
116,775
119,232
126,416
743
743
743
743
664
-
2,042
743
413,174 $
428,791 $
448,460 $
467,910 $
478,812 $
491,321 $
507,171 $
519,098 $
ACCOUNT SUMMARY
Revenues Sales and Services
(196,429) $
(207,477) $
(217,460) $
(230,358) $ (33,867) (264,225)
(251,492) $
(258,747) $
(275,595) $
(292,804) $
Grants, Donations and Other
(35,226) (231,655)
(46,322) (253,799)
(34,543) (252,003)
(34,203) (285,695)
(34,548) (293,295)
(35,347) (310,942)
(36,169) (328,973)
Expenditures Salaries and Benefits
216,076 440,121
225,921 452,436
236,031 464,093
248,411 482,411
251,932 502,043
254,999 519,808
263,419 540,927
273,521 559,021
Operating Costs
Targeted Departmental Savings
-
-
-
(4,282) 63,721 (78,974) (7,388)
(4,090) 65,383 (79,781) (7,470)
(3,909) 66,688 (80,608) (7,555)
(3,737) 68,455 (82,594) (7,642)
(3,572) 70,271 (84,629) (7,731)
Internal Services Used
61,697
75,787
59,784
Internal Services Recovered
(75,823) (10,550)
(82,712) (12,296)
(73,449) (7,160)
External Recoveries
631,521
659,136
679,299
703,899
728,017
749,423
778,828
806,881
Net Operations Total
399,866
405,337
427,296
439,674
442,322
456,128
467,886
477,908
Transfers Transfer From Own Sources Transfer To Own Sources
(20,465)
(18,538)
(14,093)
(14,857)
(15,056)
(15,961)
(15,472)
(15,690)
33,773 13,308
41,992 23,454
35,257 21,164
43,093 28,236
51,546 36,490
51,154 35,193
54,757 39,285
56,880 41,190
413,174 $
428,791 $
448,460 $
467,910 $
478,812 $
491,321 $
507,171 $
519,098 $
2016-2020 FINANCIAL PLAN
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