City of Surrey 2020-2024 Financial Plan
CONSOLIDATED FINANCIAL SUMMARY—SIGNIFICANT CHANGES
(in thousands)
2020 ADOPTED BUDGET
$
-
REVENUES Taxation General Operating
Assessment Growth Taxation Rate Increase
……………………………… ……………………………… ……………………………… ……………………………… ………………………………
$
14,970 47,309
Other Assessment Adjustments
(400)
Capital Parcel Tax
488 693
Grants in lieu
$
63,060
Utilities
6,246
69,306
Sale of Goods and Services General Operating Corporate
……………………………… ……………………………… ……………………………… ……………………………… ……………………………… ……………………………… ……………………………… ……………………………… ………………………………
2,722
Corporate Services (including Bylaws)
193 849 154 280
Engineering Services
Finance
Fire
Parks, Recreation & Culture Planning & Development
4,289
346 149
Policing Transition Surrey Public Library
-
8,982
Utilities
69,710
Reserves and Capital/Other Entities
-
78,692
Development Cost Charges and Developer Contributions
22,383
Investment Income
546
Transfers from Other Governments General Operating Corporate
……………………………… ……………………………… ………………………………
230
Policing Transition Surrey Public Library
(155)
-
75 42
Utilities
Reserves and Capital/Other Entities
12,267
12,384
Other Revenue General Operating Corporate
……………………………… ……………………………… ……………………………… ……………………………… ……………………………… ………………………………
248 978 272
Corporate Services (including Bylaws)
Engineering Services
Parks, Recreation & Culture Planning & Development
21
2,613
Surrey Public Library
-
4,132 1,030
Utilities
Reserves and Capital/Other Entities
(5,000)
162
Borrowing Proceeds
-
Total Change in Revenue
$ 183,473
81
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