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Council Meeting/Documents/Financial Plan Bylaw No. 1118, 2023 Schedule 'B' - Consolidated Capital Plan
Appendix

Financial Plan Bylaw No. 1118, 2023 Schedule 'B' - Consolidated Capital Plan

July 18, 2023Page 3422 sections

Capital plan schedule outlining sources of revenue and expenditures for municipal capital projects from 2023 to 2027.

1 CALL TO ORDER- Mayor Tobias called the meeting to order at 7:00p.m.
2024 total capital expenditures: $21,386,0052023 transportation services expenditure: $3,230,400Proceeds from borrowing in 2024: $12,800,000

Financial Plan Bylaw No. 1118, 2023

Schedule 'B'

Page 342

Consolidated Capital Plan

For the years 2023 to 2027

Capital sources of revenue 2023 2024 2025 2026 2027
Government grants and transfers 228,100 3,487,529 - 666,666 -
Contributions from developers and others 681,255 1,127,405 594,235 1,795,610 17,210
Other revenue 39,000 - - - -
Proceeds from borrowing - 12,800,000 - - -
Transfers from reserves 1,515,220 502,900 1,202,450 430,000 81,700
Transfers from surplus 4,199,695 3,468,171 1,899,940 336,724 230,090
6,663,270 21,386,005 3,696,625 3,229,000 329,000
Capital expenditures 2023 2024 2025 2026 2027
General government services 631,400 83,700 47,500 69,000 69,000
Protective services 481,720 14,269,200 19,200 - -
Transportation services 3,230,400 5,823,225 2,588,925 1,030,000 30,000
Environmental health services 971,500 107,000 500,000 1,840,000 35,000
Parks services 1,348,250 1,102,880 541,000 290,000 195,000
6,663,270 21,386,005 3,696,625 3,229,000 329,000
Page 342
Extracted from: 2023 07 18 Council Agenda - Agenda - Pdf