City of Surrey's Annual Financial Report 2020
NOTESTOTHE CONSOLIDATED FINANCIAL STATEMENTS  CITY OF SURREY
For the year ended December 31, 2019 [tabular amounts in thousands of dollars]
20. SEGMENTED INFORMATION (CONTINUED)
Parks, Recreation and Culture
Roads & Traffic Safety
Police Services
General Government
Fire Services
Water
Sewer
REVENUES Taxation, grants-in-lieu, assessments
$
- -
$
- -
$ 726,518
$ 30,336
$
(48)
$
- -
$
817
Collections for other authorities
(357,855)
-
-
-
Taxation revenue
-
-
368,663 27,634 76,830 35,431 27,976
30,336
(48)
-
817
Sales of goods and services Development cost charges Developer contributions
1,785
30,804
228
79,692
2,687
62,790
- - -
-
-
-
- - - -
-
166
163,241
3,100
5,429
Investment income
29
-
372
203 205 475
Transfers from other governments
7,073
1,349 2,183
7,854
15,621
(950)
Other
41
36,234
(172)
357
(233)
8,899
34,531
580,622
209,254
82,523
2,454
69,919
EXPENSES Salaries and benefits
28,070 133,335
66,436
41,016
6,970
- -
60,505
- -
RCMP contracted services
-
-
-
-
Consulting and professional services Telephone and communications Regional district utility charges
1,131
5,647
3,883
1,718
505
266 157
550
379
369
925
64
58
26
-
-
-
-
48,760
-
47,715 2,074
Utilities
617
4,653
42 18
3,582
715
377
Garbage collection and disposal Maintenance and small equipment
18 63
570
280 223
-
26
3
8,200
6,682 3,174
359
1,371
129
Insurance and claims Leases and rentals Supplies and materials Advertising and media Grants and sponsorships
-
35
1
-
15
-
957 352
1,051 8,739
343
1,773 3,208
654
1
892
3,329
1,287
2,517
1,434
3
449 748
152
21
4
13
- -
-
2,195 1,107
-
-
-
Contract payments
2
4,330 2,213
8,768 1,026 8,631
3,123
308
878 990
Other
1,158
41,879
67
1,985
Cost recoveries, net
(769)
(137)
(7,184)
10,072
(1,487)
4,445
Interest on debt
-
-
7,778
- -
-
- -
- -
Other interests and fiscal services
23
384
341
(33)
Amortization expense
1,314
18,939
13,847
42,741
9,758
2,250
12,093 71,229
166,653
122,626
119,527
79,006
75,329
68,304
Excess (deficiency) of revenues over expenses Transfer from (to) operating funds Transfer from (to) reserve funds Transfer from (to) capital funds
(157,754)
(88,095)
461,095
130,248
7,194
(65,850)
(1,310)
- - -
-
(61,047) (46,377) 56,327
36,423 33,399 (19,921)
2,043 4,926 (9,592)
-
11,456 4,423 (8,669)
79
(1,297)
(4,995)
-
Annual surplus (deficit)
$ (157,754) $ (93,011) $ 409,998
$ 180,149
$ 4,571
$ (67,147) $ 5,900
76
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