CAnFR 2017 Full Report
Consolidated Financial Statements ________________________________________________________
Schedule 6
Continuity Schedule of Reserves For the year ended December 31, 2017
Balance Dec, 31, 2016
Interest Allocated
Reserve Funds
Local Improvements
$
2,565,270 $
18,613
Equipment Replacement
15,143,197
210,281
Capital Works
10,727,978
150,866
Fire Department Capital Acquisition
8,404,264
121,204
Sanitary Sewer
1,636,239
21,742
Land
278,896
3,884
Total Reserve Funds
38,755,844
526,590
Reserve Accounts
Specific Projects 3 Capital
8,327,760
3
Specific Projects 3 Operating
7,834,360
3
Self Insurance
848,971
11,464
Police Services
7,299,090
96,438
Core Development
1,780,335
25,284
Recycling
2,148,985
27,814
Building Inspections
3,119,544
41,449
Gravel Extraction
762,288
10,511
Community Works (Gas Tax)
3
3
Facility Maintenance
2,441,898
38,805
Snow Removal
473,061
3
Cemetery Maintenance
117,606
3
Infrastructure Sustainability (Town Centre Buildings)
373,206
3
Infrastructure Sustainability (Road Network)
1,673,167
32,443
Infrastructure Sustainability (Drainage)
1,311,875
20,900
Drainage Improvements
807,108
14,290
Critical Infrastructure
203,511
2,679
Infrastructure Grants Contribution
3,557
3
Gaming Revenues
1,336,791
3
Self Insurance (sewer utility)
141,377
3
Self Insurance (water utility)
119,732
3
Specific Projects (sewer utility)
2,319,380
3
Specific Projects (water utility)
2,441,288
3
Total Reserve Accounts
45,884,890
322,077
Total Reserves
$ 84,640,734 $
848,667
City of Maple Ridge - 2017 Annual Report Page 66
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