City of Surrey 2019 Annual Financial Report
SCHEDULE 4 CITY OF SURREY
*** Local Improvement Financing
Deferred Development Charges
Environmental Stewardship Parking Space
Water Claims
Affordable Housing
Reserves Subtotal
$
13,939
$
5,529
$
2,154
$
1,107
$
19
$
86,237
$
277,681 105,804
-
-
-
-
- -
-
58
57
22
11
815
1,837
- -
- -
- -
- -
568
30,582
- -
-
-
58
57
22
11
568
31,397
107,641
344
4
- -
- -
- -
14,296
-
-
(1)
(74,419)
(76,830)
(6,388) (6,044)
(2,480) (2,477)
(965) (965)
(496) (496)
(317) (317)
1
-
(60,122)
(76,830) 308,492
$
7,953
$
3,109
$
1,211
$
622
$
270
$
57,512
$
** Municipal Land Reserve Fund: The City borrows from this Fund to finance specified projects. Principal and interest repayment schedules are based upon reasonable business case plans approved by City Council.
Municipal Land Fund Prior to Borrowing
$ 53,947
Internal Borrowing (to) / from other reserves
-
Principal Repayable, Green Timbers
(15,813)**** (10,798)**** (8,849)**** (2,854)**** (1,454)**** (1,160)**** (1,096)****
Principal Repayable, City Works Yard Expansion Land Loan
Principal Repayable, Other Land Loans
Principal Repayable, City Centre Social Lands Loan
Principal Repayable, Social Housing Loan
Principal Repayable, City Parkway
Principal Repayable, University Drive
Principal Repayable, Bridgeview Ind. Land Loan
(54)****
Funds on Hand for Financing Projects
$ 11,869
**** Total Outstanding Internal Borrowings to fund capital program: Capital Legacy Reserve Fund Principal Repayable Loans
(102,159) (42,078)
Municipal Land Reserve Fund Principal Repayable Loans
Total Internal Borrowings
$ (144,237)
85
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