COS Financial Plan 2018 - 2022
CONSOLIDATED FINANCIAL SUMMARY—SIGNIFICANT CHANGES
(in thousands) EXPENDITURES
Departmental Expenditures Mayor, Council & Grants
…………………………………………. …………………………………………. …………………………………………. …………………………………………. …………………………………………. …………………………………………. …………………………………………. …………………………………………. …………………………………………. …………………………………………. …………………………………………. …………………………………………. …………………………………………. …………………………………………. …………………………………………. ………………………………………….
$
334
City Manager
1,806 1,938 4,419
Finance
Corporate Services
Investment & Intergovernmental Relations
344
Fire
7,536
RCMP
27,340
Engineering Services
2,563
Parks, Recreation & Culture Surrey Public Library Planning & Development Operating Contingency Council Initiative Fund
24,634
3,284 4,840
24
-
Utilities
44,956 19,145 11,402
Other Entities Amortization
154,565
Fiscal Services
14,423
Capital Expenditures
14,424
Internal Borrowing
21,067
Transfers
82,038
Interest Allocated to Appropriate Surplus
244
Total Change in Expenditures
$ 286,761
2022 BUDGET
$
-
the future lives here.
2018-2022 Financial Plan
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