COS Financial Plan 2018 - 2022
CONSOLIDATED FINANCIAL SUMMARY—SIGNIFICANT CHANGES
(in thousands)
2017 ADOPTED BUDGET
$ -
REVENUES Taxation Assessment Growth Taxation Rate Increase
…………………………………………. …………………………………………. …………………………………………. …………………………………………. …………………………………………. …………………………………………. …………………………………………. …………………………………………. …………………………………………. …………………………………………. …………………………………………. …………………………………………. …………………………………………. …………………………………………. …………………………………………. …………………………………………. …………………………………………. …………………………………………. ………………………………………….
$
6,274
15,096
Other Assessment Adjustments
82
Capital Parcel Tax
105
Grants in lieu
1,162 4,929
Taxation - Utilities
27,648
Departmental Revenues City Manager
297
Corporate Services
-
Finance
51
Investment & Intergovernmental Relations
-
Fire
46
RCMP
(33)
Engineering Services
908 654 814
Parks, Recreation & Culture Planning & Development
Surrey Public Library
53
Utilities
10,435
Corporate
(419)
Other Entities
9,285
22,091
Penalties and Interest
(492)
Development Cost Charges
25,468
Investment Income
798
Government Transfers
(17,520)
Lease Revenues
364
Borrowing Proceeds
-
Other Revenue
(710)
$ 57,647
Total Change in Revenue
the future lives here.
2018-2022 Financial Plan
- 79 -
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