2018 - 2022 Financial Plan Online Interactive
DISTRICT ENERGY BYLAW, 2017, NO. 19409
CITY OF SURREY
Bylaw 19409
Schedule 1
District Energy Operating Financial Plan To establish years 2018 to 2022
2018
2019
2020
2021
2022
PROPOSED FUNDING SOURCES
Revenues from Fees & Charges Departmental Revenue
$
2,232,000
$
2,930,000
$
3,564,000
$
4,625,000
$
6,701,000
TOTAL FUNDING SOURCES
$
2,232,000
$
2,930,000
$
3,564,000
$
4,625,000
$
6,701,000
PROPOSED EXPENDITURES
Municipal Expenditures Surrey City Energy
$
1,601,000
$
2,421,000
$
2,951,000
$
3,497,000
$
4,422,000
TOTAL EXPENDITURES
$
1,601,000
$
2,421,000
$
2,951,000
$
3,497,000
$
4,422,000
PROPOSED TRANSFERS BETWEEN FUNDS
Transfers (from)/to Special Funds
$
(7,542,000)
$
(1,820,000)
$
(2,862,000)
$
(7,484,000)
$
(677,000)
Transfers (from)/to Appropriated Surpl
-
-
-
-
-
Transfers (from)/to Capital
8,173,000
2,329,000
3,475,000
8,612,000
2,956,000
TOTAL TRANSFERS BETWEEN FUNDS $
631,000
$
509,000
$
613,000
$
1,128,000
$
2,279,000
BALANCED BUDGET
$
-
$
-
$
-
$
-
$
-
the future lives here.
2018-2022 Financial Plan
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