City of Courtenay Annual Report 2021
The Corporation of the City of Courtenay
Consolidated Schedule of Segment Disclosure by Service - Schedule 1 (continued) Year ended December 31, 2021
(Note 12) Page 2 of 3
Environmental Development Services
Recreational and Cultural Services
Public Health & Welfare Services
Water Utility Services
2021
2020
2021
2020
2021
2020
2021
2020
REVENUE Taxation
- - -
- - -
- -
- -
- -
- $1,215,773
1,202,909 7,079,917
Sales of Services
-
7,377,099
Revenue fromOwnSources Government Transfers
619,452 69,402
576,244 69,588
1,049,110
659,500 138,296
406,759
300,417
84,788
64,511
283,570
-
Transfer from Other Funds
-
-
-
-
-
Other Revenue
166,755
149,964
488,000 141,259
-
-
-
Other Contributions
- - -
- - -
114,105
175,534
73,171
927,867
484,667 11,371 277,702
Interest Earned
2,384
6,242
1,838
5,604 1,150
4,983
Gain on sale of TCA
-
-
-
-
Total Revenues
251,543
214,475 1,320,497
766,179
1,510,052
877,721
9,932,481
9,356,983
EXPENSES Salaries and Benefits Goods and Services Amortization Expense
261,901 121,468 40,657
220,078 1,082,067 1,121,195
4,727,108 2,720,656 1,049,754
4,614,311 2,527,101 1,021,205
837,736
900,393
139,555 38,575
691,230
275,340
5,973,871
5,280,017
- -
1,267
536,784
521,187
Debt Servicing
- - -
- - -
-
(33,847) 263,142 15,110
(4,645)
(5,006)
(2,711)
Other Expenditures
434
102,708
328,891
- -
Loss on Disposal of TCA
-
-
-
30,601
Total Expenses
424,026
398,208 1,773,731 1,500,510
8,741,923
8,486,863
7,373,986
6,698,886
ANNUAL SURPLUS (DEFICIT)
$(172,483) $(183,733) $(453,234) $(734,331) $(7,231,871) $(7,609,142) $2,558,495 $2,658,097
City of Courtenay | 2021 Annual Report
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