2025 Annual Report-final June 4

FINANCIAL STATEMENTS

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

$ 48,279,360 $ 19,523,840 $ 201,590,269 $ 220,522,351 $ 72,507,849 $ 1,760,145,604 5,177,721 3,040,891 6,636,009 9,939,506 3,407,163 53,972,339 (3,470,644) (647,056) (1,386,364) (1,337,974) (299,595) (10,391,348) 49,986,437 21,917,675 206,839,914 229,123,883 75,615,417 1,803,726,595

22,528,371 2,825,948 (2,472,684) 22,881,635

12,573,031 1,465,787

50,705,403 3,141,542

63,654,679 3,100,341

26,585,755 3,342,198

495,795,655 30,785,559

(611,118)

(739,431)

(491,279)

(247,132)

(6,901,069)

13,427,700

53,107,514

66,263,741

29,680,821

519,680,145

$ 27,104,802 $ 8,489,975 $ 153,732,400 $ 162,860,142 $ 45,934,596 $ 1,284,046,450

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

City of Maple Ridge - 2025 Annual Report | 73

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