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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