City of Surrey's Annual Financial Report 2021
NOTESTOTHE CONSOLIDATED FINANCIAL STATEMENTS CITY OF SURREY
For the year ended December 31, 2020 [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
$
- -
$
- -
$ 709,658
$
30,694
$
(25) $
- -
$
800
Collections for other authorities
(318,704)
-
-
-
Taxation revenue
-
-
390,954 27,888 55,377 25,145 18,448
30,694
(25)
-
800
Sales of goods and services Development cost charges Developer contributions
1,703
10,389
3,008
82,178
3,281
65,820
- - -
-
-
-
- - - -
-
353
104,272
4,721
7,562
Investment income
44
-
513
276
Transfers from other governments
8,225
12,326 2,630 25,742
6,558
11,826
-
23
Other
57
22,061 546,431
463
1,062
(78)
258
9,985
150,263
88,449
3,203
74,739
EXPENSES Salaries and benefits
29,366 129,999
47,123
42,530
6,445
- -
60,526
- -
RCMP contracted services
-
-
-
-
Consulting and professional services Telephone and communications Regional district utility charges
2,322
3,133
2,418
1,353
471
47
194
456
281
798
55
19
161
24
-
-
-
-
52,642
-
50,034
Utilities
577
3,093
37
3,470
537
363
1,927
Garbage collection and disposal Maintenance and small equipment
15
795
9
43
-
25
-
159
7,630
7,554 4,565
188
481
1,571
15
Insurance and claims Leases and rentals Supplies and materials Advertising and media Grants and sponsorships
-
-
-
-
16
-
895 386
725
252
929
917
-
811
6,170
2,522
2,670
2,058
2,541
1,283
6
184 389
183
26
- -
2
- -
-
2,200
-
-
Contract payments
(7)
4,176 1,824
858
6,948
2,743
28
941 882
Other
1,458
4,305 (7,507)
122
22
1,640
Cost recoveries, net
96
253
8,212
9,626
(1,433)
4,120
Interest on debt
-
-
7,718
- -
-
- -
-
Other interests and fiscal services
21
119
41
(23)
(5)
Amortization expense
1,385
19,529
13,902
43,418
9,698
2,179
12,600
167,134
95,424
82,385
73,879
79,191
67,666
72,826
Excess (deficiency) of revenues over expenses Transfer from (to) operating funds Transfer from (to) reserve funds Transfer from (to) capital funds
(157,149)
(69,682)
464,046
76,384
9,258
(64,463)
1,913
- - -
67
(44,277) (31,043)
22,453 26,497 (10,064)
7,226 2,899
-
6,904 2,949
137
(1,317)
(3,978)
52,016
(13,136)
-
(5,677)
Annual surplus (deficit)
$ (157,149) $ (73,456) $ 440,742
$ 115,270
$
6,247
$
(65,780) $
6,089
76
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