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Council Meeting/Documents/RESERVE CONTINUITY - WSPRS
Appendix

RESERVE CONTINUITY - WSPRS

January 20, 2026Pages 143–1442 sections

Report on the status and projected balances of equipment replacement and general capital reserves.

10. e) Email dated December 4, 2025 from T. Moore, West Shore Parks & Recreation, Re: 2026 WSPRS Budget Package (motion to approve)
Equipment Replacement ending balance for 2030: $992,731

RESERVE CONTINUITY

Page 143–144

2025 - 2030 Reserve Continuity

Equipment Replacement Reserve General Capital Reserve
2025
Opening Balance $ 355,731 $ 2,550,340
Contributions 247,000 847,581
Less: Expenses (50,000) (1,472,832)
Ending Balance 552,731 1,925,089
2026
Opening Balance 552,731 1,925,089
Contributions 247,000 907,581
Projected Unspent Expenses 316,733
Less: Expenses (25,000) (1,966,020)
Ending Balance 774,731 1,183,383
2027
Opening Balance 774,731 1,183,383
Contributions 272,000 927,610
Less: Expenses (120,000) (1,249,000)
Ending Balance 926,731 861,993
2028
Opening Balance 926,731 861,993
Contributions 272,000 973,195
Less: Expenses (400,000) (1,412,000)
Ending Balance 798,731 423,188
2029
Opening Balance 798,731 423,188
Contributions 272,000 1,020,512
Less: Expenses (50,000) (1,219,000)
Ending Balance 1,020,731 224,700
2030
Opening Balance 1,020,731 224,700
Contributions 272,000 1,069,628
Less: Expenses (300,000) (1,104,000)
Ending Balance $ 992,731 $ 190,328
Page 143–144
Extracted from: 2026 01 20 Council Meeting - Agenda - Pdf