City of Courtenay Annual Report 2021
The Corporation of the City of Courtenay
Consolidated Schedule Of Investments - Schedule 5 For the year ended December 31, 2021
2021
2020
GENERAL OPERATING FUND Cash on Hand GAMING FUND
$36,173,464
$26,041,686
Cash on Hand
1,715,384
1,020,894
Total Cash on Hand and on Deposit
$37,888,848
$27,062,580
GENERAL OPERATING FUND TERM DEPOSITS Municipal Finance Authority, Money Market Fund at fluctuating rate, no maturity date
15,042,244 20,989,374
15,019,377 20,787,987
The Bank of Nova Scotia, various guaranteed investment certificates
Total Term Deposits
36,031,618
35,807,364
TOTAL CASH AND INVESTMENTS
$73,920,466
$62,869,944
77
City of Courtenay | 2021 Annual Report
Made with FlippingBook PDF to HTML5