City of Courtenay Annual Report 2021
The Corporation of the City of Courtenay
Consolidated Schedule Of Accumulated Surplus & Reserves - Schedule 2 Year ended December 31, 2021
2021
2020
Surplus Invested in Tangible Capital Assets General Operating Fund General Capital Fund Water Utility Operating Fund Water Utility Capital Fund Sewer Utility Operating Fund Sewer Utility Capital Fund
$160,673,223
$151,448,746
12,501,874 1,112,772 4,822,489
7,804,685 1,216,307 3,857,366
108,869
108,869
3,671,054
3,221,528
21,706
21,706
Gaming Fund
1,876,417
1,683,464
Total Surplus
$184,788,404
169,362,671
Reserves General Fund Reserves: Machinery and Equipment
2,358,700
1,656,316
Land Sale
780,085
778,916
New Works and Equipment
4,055,274 3,051,945
3,547,179 2,550,961 2,005,246
New Works - Community Gas Tax Funds (Note 5) New Works - Covid-19 Restart Grant (Note 6)
159,500 869,859 104,682 122,578 311,723 771,211 319,870
General Asset Management Reserve
697,285 104,525 61,224 311,255 511,413 319,390 876,475 94,690 563,386
Risk Reserve Public Parking
Parkland Acquisition
Police Contingency Reserve
Assessment Appeal Housing Amenity
1,012,922
Tree Reserve
120,052 669,693
Amenity
14,708,094
14,078,261
Water Utility Reserves: Water Utility
1,734,832 1,038,778
1,742,065 1,037,014
Water Asset Management Reserve
Machinery and Equipment
311,891
281,448
3,085,501
3,060,527
Sewer Utility Reserves: Sewer Utility
843,982
566,687
Sewer Asset Management Reserve
1,946,031
2,397,909
Machinery and Equipment
722,180
646,159
3,512,193
3,610,755
Total Reserves
21,305,788
20,749,543
ACCUMULATED SURPLUS (Statement A)
$206,094,192
$190,112,214
City of Courtenay | 2021 Annual Report
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