City of Surrey Annual Financial Report

NOTESTOTHE CONSOLIDATED CITY OF SURREY  FINANCIAL STATEMENTS

For the year ended December 31, 2019 [tabular amounts in thousands of dollars]

2. ACCOUNTS RECEIVABLE

2019

2018

$

49,316 78,772 23,590 18,025

General and other accounts receivable

$

56,183 56,162 21,731 16,016

Development cost charges

Property taxes

Utility rate charges

4,327 2,630

Due from other authorities

3,967 2,570

MFA debt reserve fund receivable

35

Tax sale properties

18

$

176,695

$

156,647

3. INVESTMENTS

2019

2018

$

398,583

Maturing within one year

$

414,649 125,751 171,720 712,120

59,492

Maturing within two years

154,610 612,685

Maturing within ten years

City investments (a)

303

SCDC investments (b) SHHS investments (c)

6,455 6,517

6,590

531

Government business partnership (d)

444 384

-

Government partnership (e)

$

620,109

$

725,920

55

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