City of Surrey's Annual Financial Report 2020
STATISTICAL REVIEW
Reserves, Committed Funds and Surplus (in thousands)
Source: City of Surrey Finance Department
2020
2016
2017
2018
2019
Reserve Funds (before internal borrowing) Capital legacy
47,847 $
48,981 63,463 29,067 31,227
$
46,120 $
46,534 $
47,329 $
Municipal land
19,284 34,325 22,648 18,687 16,143
22,649 35,659 23,775 26,309 16,591
39,002 32,611 22,521 22,372 17,015
53,947 25,714 28,003 17,408 17,417
Equipment and building replacement
Neighbourhood concept plans
4,651
Park land acquisition
17,803
Local improvement financing Environmental stewardship
6,855 3,089 1,378 1,058 1,108
6,559 1,586 1,338
6,661 2,618 1,345
6,749 2,629 1,351
6,809 2,651 1,362
Parking space Water claims
Affordable housing
23
23
23
591
Capital Projects
-
-
-
-
201,749 $
208,680
$
166,713 $
182,164 $
191,602 $
Internal Borrowing
(144,237) $
(149,909)
$
(64,806) $
(78,695) $
(105,365) $
Committed Funds General operating Roads operating and capital Water operating and capital Sewer operating and capital Drainage operating and capital
82,084 $
172,593 25,360 21,379 15,820 10,608
$
44,727 $
62,960 $
82,374 $
39,157 38,872 24,965 12,629
38,032 38,131 17,921 12,162
14,559 31,728 18,908 11,922
17,020 29,096 18,382
8,918 3,762
3,168
Surrey City Energy operating and capital
3,233
5,777
(79) 235
223
Library Services
238
240
322
159,584 $
249,151
$
163,821 $
175,223 $
159,647 $
Appropriated Surplus (before allocations) Infrastructure replacement
(20,546) $
(9,687) 13,490 12,825
$
(22,278) $
(45,811) $
(28,318) $
Revenue stabilization
16,589 13,113
16,593 12,288
13,490 11,732
13,490 13,253
Self insurance
8,607 7,082 5,352
Operating contingency and emergencies
8,782 7,420 4,517
8,782 7,420 4,375
8,276 7,082 4,197
8,276 7,082 4,577
Environmental emergencies
Prepaid expenses
988
Inventories of supplies
880
929
760
874
27,006 $
38,657
$
29,023 $
4,576 $
17,219 $
118
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