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Council Meeting/Documents/Financial Plan Amendment Bylaw No. 906, 2014
Bylaw

Financial Plan Amendment Bylaw No. 906, 2014

October 7, 2014Pages 159–1602 sections

The formal bylaw document and financial schedule amending the Town's 2014-2018 financial plan.

1 CALL TO ORDER
Schedule A details revenues and expenses2014 Budgeted taxation: $6,413,001

TOWN OF VIEW ROYAL BYLAW NO. 906

A BYLAW TO AMEND FINANCIAL PLAN BYLAW NO. 887, 2014

The Council of the Town of View Royal, in open meeting assembled, enacts as follows:

  1. The Town of View Royal Bylaw No. 887, cited as “Financial Plan Bylaw No. 887, 2014” is hereby amended as follows:

    a) By deleting Schedule “A” in its entirety and substituting the amended Schedule “A” as attached hereto and forming a part of this Bylaw.

  2. This Bylaw may be cited as “Financial Plan Bylaw No. 887, 2014, Amendment Bylaw No. 906, 2014”

READ A FIRST TIME THIS ______

READ A SECOND TIME THIS ______

READ A THIRD TIME THIS ______

ADOPTED BY COUNCIL, SIGNED BY THE MAYOR AND THE CLERK AND SEALED WITH THE SEAL OF THE TOWN OF VIEW ROYAL THIS ______


MAYOR


CLERK

Page 159–160

Schedule "A"

Town of View Royal

5 Year Financial Plan

For the years 2014 to 2018

2014 Budget 2015 Budget 2016 Budget 2017 Budget 2018 Budget
Revenues:
Taxation 6,413,001 7,261,685 7,332,195 7,570,878 7,677,278
Sales of Services 980,600 892,700 903,400 914,900 863,300
User Fees 1,156,537 1,165,510 1,180,400 1,201,180 1,212,610
Other Revenue 672,002 107,222 107,448 107,700 107,700
Investment Income 65,000 65,000 65,000 65,000 65,000
Penalties and Fines 54,550 54,550 54,550 54,550 54,550
Grants and Contributions 3,341,128 2,214,094 2,018,519 1,991,719 3,615,019
Contributions from Developers and others for capital 73,491 7,500 75,000 - -
12,756,309 11,768,261 11,736,512 11,905,927 13,595,457
Expense:
General Operating Expenditures 9,820,506 9,466,958 9,477,159 9,659,774 9,721,904
Sanitary Sewer Operating Expenditures 815,987 822,170 834,220 852,120 860,820
Interest on Debt 209,963 275,613 274,013 272,613 271,613
Amortization 2,702,200 2,746,500 2,746,500 2,746,500 2,746,500
13,548,656 13,311,241 13,331,892 13,531,007 13,600,837
Annual Surplus/(Deficit) (792,348) (1,542,980) (1,595,380) (1,625,080) (5,380)
Add back: Unfunded Amortization 2,702,200 2,746,500 2,746,500 2,746,500 2,746,500
1,909,852 1,203,520 1,151,120 1,121,420 2,741,120
Capital Expenditures:
General Capital 7,941,888 926,200 765,000 1,511,500 2,436,500
Sanitary Sewer Capital 343,000 - 290,000 - -
8,284,888 926,200 1,055,000 1,511,500 2,436,500
Proceeds from Borrowing (3,315,000) - - (350,000) -
Principal Payment on Debt 293,288 385,470 385,470 385,470 306,470
Trf to Reserve Funds 183,750 183,750 183,750 183,750 183,750
Trf from Reserve Funds (1,137,175) (256,900) (453,100) (589,300) (165,600)
Trf to/(from) Accumulated Surplus (2,334,299) (35,000) (20,000) (20,000) (20,000)
Trf from DCC (65,600) - - - -
(6,375,036) 277,320 96,120 (390,080) 304,620
Financial Plan Balance - - - - -
Page 159–160

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Extracted from: 2014 10 07 Council Agenda