2024 Annual Report-web FINAL

Schedule of Tangible Capital Assets (continued)

Consolidated Financial Statements

Fleet and Equ i p ment

T echnolo gy

W ate r S y stem Sanita ry S y stem

O the r 3

T otal

$ 43,982,366 $ 17,992,292 $ 199,076,487 $ 206,294,167 $ 67,740,630 $ 1,684,257,451 5,102,099 2,023,908 3,862,819 14,457,453 4,927,394 81,300,188 (805,105) (492,360) (1,349,037) (229,269) (160,175) (5,412,035) 48,279,360 19,523,840 201,590,269 220,522,351 72,507,849 1,760,145,604

20,445,434 2,780,380

11,438,519 1,571,382

48,681,865 2,927,900

60,819,297 2,942,640

23,504,786 3,228,295

469,868,321 29,891,313

(697,443)

(436,870)

(904,362)

(107,258)

(147,326)

(3,963,979)

22,528,371

12,573,031

50,705,403

63,654,679

26,585,755

495,795,655

$ 25,750,989 $ 6,950,809 $ 150,884,866 $ 156,867,672 $ 45,922,094 $ 1,264,349,949

$ 23,536,932 $ 6,553,773 $ 150,394,622 $ 145,474,870 $ 44,235,842 $ 1,214,389,129

City of Maple Ridge - 2024 Annual Report | 73

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