2018 Citizen's Report
2018 MAPLE RIDGE FINANCIAL SPOTLIGHT
Capital Additions
Planning; Public Health & Other 0.55%
Protective Services 5.38%
General Government 1.87%
Sewer Utility 8.50%
Transportation 39.08%
Total Capital Additions in 2018: $74,540,940
Water Utility 16.08%
Recreation & Cultural 28.54%
This graph shows the breakdown of the Total Capital Additions by percentage. The chart below represents the investment we made in Capital Assets. Additions to our water system, sewer system, road construction, park acquisitions and development are all examples of Capital Additions.
2018 Capital Additions
$ 29,127,646
39.08%
Transportation
21,276,366
28.54%
Recreation & Cultural
11,983,500
16.08%
Water Utility
6,339,136
8.50%
Sewer Utility
1,394,243
1.87%
General Government
4,007,885
5.38%
Protective Services
412,164
0.55%
Planning; Public Health & Other
Total Capital Additions
$ 74,540,940
%100
Citizen’s Report 2018
19
Made with FlippingBook - Online catalogs