2018 - 2022 Financial Plan Online Interactive
2018 CAPITAL PROGRAM PROPERTY ACQUISITIONS & BUILDINGS
(in thousands)
2018
DCC
OTHER
OPERATING EXTERNAL REVENUE SOURCES
DEBT
RESERVE
RESERVE
2018
PROPERTY ACQUISITION
FUNDS
FUNDS BUDGET
2017 Program General Corporate Cranley Drive
$
-
$
- - -
$
- - -
$
- - -
$
15
$
15
Sundry & Contingency
676 676
-
676 691
15
Parks, Recreation & Culture Services Parkland Acquisition
987 987
- -
- -
31,908 31,908
21,043 21,043
53,938 53,938
$
1,663
$
-
$
-
31,908 $
21,058 $
54,629 $
,
BUILDINGS 2017 Program General Corporate Corporate Renovations
$
2,654 2,654
165 165
$
987 987
$
- -
$
- -
$
3,806 3,806
Library Services Cloverdale Library Renovation
- -
- -
2,250 2,250
- -
- -
2,250 2,250
Parks, Recreation & Culture Services Clayton Community Centre Cloverdale Sport & Ice Complex
- -
- - - -
9,750
- - - - - - - - - - - - - - -
- - - - - - - - - - - - - - -
9,750
29,000
29,000
Cultural Corridor - Art Space at City Centre Phase 2
500
-
500
Addiitonal Parking at Grandview Pool
- - - - -
1,800 4,000
1,800 8,740
Museum Expansion
4,740
North Surrey Sport & Ice Complex
- -
16,500 10,000
16,500 10,000
Performing Arts Space Feasibility & Land Acquisition
Renovations - Civic Facilities South Surrey Art Gallery & Café
500
- -
500 250 365 800
250
- - -
Strawberry Hill Hall/RA Nicholson Park Surrey Nature Centre Improvements
- -
365 800
750
5,240
72,215
78,205
Protective Services RCMP Cell Block/Exhibit Enhancement
3,000
- - -
-
3,000 3,000 6,000
RCMP District Office Relocation
-
3,000 3,000
3,000
$
6,404
$
5,405
78,452 $
$
-
$
-
90,261 $
the future lives here.
2018-2022 Financial Plan
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