City of Surrey's Annual Financial Report 2020
STATISTICAL REVIEW
Reserves, Committed Funds and Surplus (in thousands) continured
Source: City of Surrey Finance Department
2020
2016
2017
2018
2019
Unappropriated Surplus General operating fund
7,831 $
7,831
$
7,831 $
7,831 $
7,831 $
(6,998)
Employee future benefits Water operating fund Sewer operating fund
(6,998)
(6,998)
(6,998)
(6,998)
3,000 3,000 (324) 6,509
3,000 3,000 (324) 6,509
3,000 3,000 (324) 6,509
3,000 3,000 (324) 6,509
3,000 3,000 (324) 6,509
Library Services
Other funds: Surrey City Development Corp
(19,213)
(34,247)
(15,910)
6,834 6,019
(4,841)
3,710
Surrey Homelessness and Housing Society
7,879
7,451
5,748
5
Innovation Boulevard
-
209
48
(9)
7,407 $
(8,989)
$
(19,859) $
(1,741) $
19,410 $
Tangible Capital Assets
9,295,668 $
9,474,308
$
8,312,963 $
8,635,809 $
8,982,600 $
(199,561)
Debt funded assets
(210,818)
(253,184)
(214,782)
(207,326)
Total Equity in Tangible Capital Assets $
9,088,342 $
9,274,747
8,102,145 $
8,382,625 $
8,767,818 $
TOTAL ACCUMULATED SURPLUS
9,339,851 $
9,612,337
$
8,377,037 $
8,664,152 $
9,050,331 $
119
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