CAnFR 2017 Full Report
Consolidated Financial Statements
Schedule 2
Schedule of Change in Capital Funds For the year ended December 31, 2017
Actual 2017
Budget
Actual 2016
2017
Revenue Subdivision infrastructure contributions
$ 16,725,863 $ 20,000,000 $ 39,062,791
Government transfers
616,699
4,439,867 42,789,766 2,078,184
770,939
Development fees
7,412,371
16,470,744
Other capital contributions
129,719
419,127
Disposal of tangible capital assets
(2,668,693) 22,215,959
(4,014,982) 52,708,619
-
Total Revenue
69,307,817
Expenses
Amortization Total Expenses
20,585,216 20,585,216
19,780,000 19,780,000
18,209,180 18,209,180
Annual Surplus
1,630,743
49,527,817
34,499,439
Internal Transfers Transfers and principal payments from revenue funds
6,317,213 10,013,587
12,722,488 46,849,285
7,851,339 10,019,157
Transfers from reserves
Increase in capital funds
17,961,543
109,099,590
52,369,935
Capital funds 2 beginning of the year
950,534,751
950,534,751
898,164,816
Capital funds 2 end of the year (Note 14)
$ 968,496,294 $ 1,059,634,341 $ 950,534,751
City of Maple Ridge - 2017 Annual Report Page 59
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