Financial Annual Report 2016
NOTESTOTHE CONSOLIDATED FINANCIAL STATEMENTS  CITY OF SURREY
For the year ended December 31, 2016, with comparative figures for 2015 [in thousands of dollars]
22. SEGMENTED INFORMATION (CONTINUED)
Parks, Recreation and Culture
Police Services
General Government
Roads & Traffic Safety
Water Fire Services
Sewer
REVENUES Taxation, grants-in-lieu, assessments Collections for other authorities
$
- - - - - -
$
- - -
$ 591,684
$ 22,801
$
113
$
- - - - - - -
$ 2,244
(284,725) 306,959
-
-
-
Taxation revenue
22,801
113
2,244
Sales of goods and services Development cost charges Developer contributions
1,318
27,116
24,228 61,260 26,894 15,452
97
71,091
1,987
48,015
-
-
-
-
138
95,055
2,780
9,841
Investment income
19
-
544
375
Transfers from other governments
6,438
389
6,143
8,596
-
-
Other
100
2,298
52,725 493,661
-
1,016
20
464
7,856
29,960
126,549
75,544
2,007
60,939
EXPENSES Salaries and benefits
23,591 121,149
54,491
36,169
5,081
- -
54,293
- -
RCMP contracted services
-
-
-
-
Consulting and professional services Telephone and communications Regional district utility charges
948 390
4,380
3,936 1,070
2,524
490
86
592
262
36
12
162
25
-
-
-
-
43,555
-
33,515
Utilities
438
3,832
34 23
4,325
561
342
1,926
Garbage collection and disposal Maintenance and small equipment
9
162
104 227
-
17
-
62
6,984
4,441 3,841
213
760
117
Insurance and claims Leases and rentals Supplies and materials Advertising and media Grants and sponsorships
-
3
-
-
12
-
881 419
915
311
962
153 936
5
318
7,883
2,763
3,781
1,992
1,545
3
517 483
353
34
5
13
- -
- -
3,607
-
-
-
Contract payments
3,875 2,228
591
7,227
2,764
376 805
2,866
Other
694
3,308
205
727
193
Cost recoveries, net
(1,441)
108
(4,469)
5,534
8,194
(518)
2,388
Interest on debt
-
-
8,097 1,506
- -
-
- -
-
Other interests and fiscal services
12
338
(22)
2
Amortization expense
1,224
16,249 102,710
14,651 80,232
36,896 66,936
9,559
1,838
11,609 55,096
148,379
67,147
60,183
Excess (deficiency) of revenues over expenses Transfer from (to) operating funds Transfer from (to) reserve funds Transfer from (to) capital funds
(140,523)
(72,750)
413,429
59,613
8,397
(58,176)
5,843
- - -
150 269
(59,671) (41,026)
32,782 24,238
3,614 3,572
-
9,280 8,448
(1,297)
(1,342)
63,734
(22,130)
(10,178)
-
(8,506)
Annual surplus (deficit)
$ (140,523) $ (73,673) $ 376,466
$ 94,503
$ 5,405
$ (59,473) $ 15,065
68
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