2003/04/28 SEVENTH MEETING
Monday, APRIL 28, 2003
From 4:30 p.m. to 6:00 p.m.
City Hall, Committee Room #2A & B
Approval of the 2003 4 07 Community Services Committee Minutes as amended.
2) REPORTS
a) MW-2003-80 -
b) MW-2003-86 -
c) R-2003-23 -
d) R-2003-25 -
e) R-2003-28 -
f) R-2003-30 -
g) CD-2003-11 -
h) F-2003-17 -
i) F-2003-18 -
j) F-2003-19 -
k) F-2003-21 -
1) F-2003-22 -
3) NEW BUSINESS
KJster Road ~ Heavy Vehicle Restriction
Temporary School Crossing at North
Leg of Purtage Road at Morrison Sheet
Patrick Cummings Memorial Sports Complex
Tree Removal - TR03-2003
National Amateur Baseball Federation
(NABF)
Policy on Advertising in City Recreation
Facilities
Rehabilitation/Enhancement of City-Owned Property
Lot #163 (Former City Dump Site on Montrose Road)
Process for Revisions to the Municipal Event
Calendar and Allocation of Bingo Events
Development Charges - 2002 Financial
Information
2002 Reserves and Reserve Funds
2002 Capital Accounts
Municipal Accounts
Major Receivables Quarterly Report
STAFF CONTACT
Ed Dujlvoic
Ed Dujlovic
Adele Kon
Adele Kon
Adele Kon
Adele Kon
Dean Iorlida
Ken Burden
Ken Burden
Ken Burden
Ken Burden
Ken Burden
4) ADJOURNMENT
MINUTES OF COMMUNITY SERVICES COMMITTEE MEETING,
Monday, April 7, 2003, City Hall, Room 2 at 4:00 p.m.
PRESENT:
Chairman Alderman Victor Pietrangelo, Mayor Wayne Thomson,
Alderman Paisley Janvary-Pool, Alderman Shirley Fisher, Alderman
Janice Wing, Alderman Norm Puttick, Alderman Wayne Campbell,
Alderman Kim Craitor, Alderman Carolynn Ioannoni, Alderman Selina
Volpatt, Alderman Art Federow, Alderman Judy Orr.
STAFF:
Colin Ruddell, Dean Iorfida, Ken Burden, Ray Kallio, Karl Dren, Ed
Dujlovic, Sue Forcier, Adele Kon, Todd Harrison, Tony Ravenda, Russ
Stout, Serg Felicetti, Doug Darbyson.
ABSENT:
Alderman Ken Feren, John MacDonald
PRESS:
Corey Larocque, Niagara Falls Review
GUESTS:
Mr. Ed Lustig - Director People Mover Project, Gregg Loane - IBI Group,
Mr. David Schram - David Schram and Associates, Doug Allingham -
Totten Sims Hubicki, Mr. Joe DiCosimo and Mr. Vince DiCosimo -
Hilton Hotel, Mr. Yerich Jr - Skylon, David Maddocks - OLGC, Mr.
Kerrio - NHH, Mr. Jovanovic - Lincoln Motor Inn, Mr. Tom Saks, Mr.
Bob Saks - Renaissance Hotel, Mr. Moratoria.
1) MINUTES
IT WAS MOVED BY ALDERMAN CRAITOR and seconded by Alderman Fisher that the
minutes of the March 31, 2003 meeting be approved.
Motion:
Action:
Carried
Recommendation submitted to Council 2003-04-07
2) PRESENTATION
a)
Mr. Ed Lustig began the presentation giving a brief update of the events that have
occurred to bring Council up to date on the People Mover Project. Mr. Dough Allingham
of Totten Sims Hubicki took over the presentation to go over the technical issue, Mr.
David Schram of David Schram and Associates chimed in to answer any questions on the
People Mover Process. Mr Greg Loann of IBI Group was invited to inform Council of
the Parking Strategy Study. Mr. Lustig informed Council that an Request For
Qualifications (RFQ) would be going out to the public on Wednesday, April 9, 2003 to
invite the private sector to take the risk for some reward. Again it was stressed that this
project was not at the expense of the tax payers.
Community Services Committee 2 April 7, 2003
After a lengthy presentation and a question and answer period,
IT WAS MOVED BY MAYOR THOMSON, seconded by Alderman Fisher that the People
Mover System Presentation be received and filed.
Motion:
Conflict:
Action:
Carried
Alderman Wing - Owns Property with an employee of the NPC
Recommendation submitted to Council 2003-04-14
3) REPORTS
a) MW-2003-66 - Main Street Environmental Assessment
Mr. Moratoria spoke on behalf of owners of the Renaissance Hotel and the Hilton Hotel, bother
property owners have several concerns that they have been able to address. The Main Street EA
from the perspective of the Renaissance Hotel, one of the concerns they have had continuously as
they have gone through various options is the movement left from Stanley Avenue to access
Dixon Street. Dixon is their parking lot and its only access is from Dixon Street. The
Renaissance owners understand the process and it is impossible to accommodate everyone but as
we go through the various, variations of the project there is going to be people who are affected.
Therefore, the Renaissance Hotel went in a cooperative fashion to their neighbours (Hilton
Hotel), they had issues with respect to Fallsview Boulevard, Renaissance had issues with respect
to Fallsview Boulevard. The proposal with respect to the EA which is before Committee tonight
is that the Renaissance has reached an agreement with the Hilton Hotel where by they would
have a mutual access from the southerly portion of the Hilton Hotel property which would then
give access to the Renaissance Hotel's parking lot from Stanley Avenue.
Renaissance Hotel is asking for a right-in and right-out and a left-in off of Stanley Avenue
into this parking lot. It would mean a nominal movement of the proposed island by about
twenty feet (20'). The Renaissance hopes that the City as we go through this process will push
for this change to Option 6. In dealing with the proposed walkway/overpass to access the Casino
property which will have a People Mover Station. The Renaissance Hotel wants to make sure
this goes through as a total package and is not picked apart. The base of the walkway would be
on the Renaissance property. The Renaissance/Hilton Hotels believe that they have solved some
of the City's/Region's problems as we work through this process.
IT WAS MOVED BY ALDERMAN PUTTICK, seconded by Alderman Volpatti that the
Committee authorizes staff to prepare and file Environmental Study Report with Option 6 as the
preferred alternative and that the City proceed as soon as possible in reviewing Main Street from
Stanley Avenue to Murray Street.
Community Services Committee 3
Motion: Carried
Conflict: Alderman Orr - Employed by Casino Niagara
Action: Recommendation submitted to Council 2003-04-14
April 7, 2003
b) MW-2003-75 - Main Street EA - Lincoln Motor Inn
Mr. Jovanovic noted for a matter of record that the numbers requested from the City/Region were
never presented, there was just acknowledgement that what the City/Region had presented earlier
wasn't exact. The final numbers did not come forward to the Main Street BIA and just for the
record Mr. Jovanovic would like to state that he is not very please with some of the processes.
The Main Street EA has to go forward because this is holding up Fallsview Boulevard which is
extremely important. Mr. Jovanoic wants to go on record that there are also issues that are still
there that were not addressed correctly. Option 6 still does not address the needs of the property
owners.
IT WAS MOVED BY ALDERMAN PUTTICK, seconded by Alderman Volpatti that this report
be received and filed.
Motion:
Conflict:
Action:
Carded
Alderman Orr - Employed by Casino Niagara
Recommendation submitted to Council 2003-04-14
c) MW-2003-76 - Casino Road Environmental Assessment
IT WAS MOVED BY ALDERMAN PUTTICK, seconded by Alderman Volpatti that this report
be received and filed.
Motion:
Conflict:
Action:
Carried
Alderman Orr - Employed by Casino Niagara
Recommendation submitted to Council 2003-04-14
4) DEPUTATION
Mr. Terry Welch of 5616 Leonard Avenue - Sea Cadets
IT WAS MOVED BY MAYOR THOMSON, seconded by Alderman Campbell that the City take
legal action to have property cleaned at 5616 Leonard Avenue.
5) NEW BUSINESS
6) ADJOURNMENT- MEETING WAS ADJOURNED at 5:45 p.m.
Community Services Committee 4 April 7, 2003
COMMITTEE-OF-THE-WHOLE
IT WAS MOVED BY ALDERMAN VOLPATTI, seconded by Mayor Thomson to move into
Committee-of-the-Whole.
IT WAS MOVED BY MAYOR THOMSON, seconded by Alderman Volpatti that report MW-
2003-73 be approved.
IT WAS APPROVED BY ALDERMAN IOANNONI, seconded by Alderman Wing that the
update be received and filed and that a full report be brought back to Committee on April 14,
2003.
ADJOURNMENT - meeting was adjourned at 6:00 p.m.
Community Sewic~s Dep~rtment
T ..... ,~,,a . Municipal Works
ne ~,~/o; ~ri~, 4310 Oueen Street
Niogoro Foils lJ~ P.O. ~ox 1023
Conodo ~Niagam Fails, ON . ~E 6x5
~~ web see: ~.c~.nagamfalls.on.~
TeL: (905) 3~-7521
Fax: (905) 35~2354
E-mail: ~ujlovi~d~.niagam~lls.on.~
Ed Du~lovic
~i~ector
April 28, 2003
Alderman Victor Pietrangelo, Chairperson
and Members of the Community Services Committee
City of Niagara Fails, Ontario
Members:
RE: MW-2003-80
Kister Road - Heavy Vehicle Restriction
RECOMMENDATIONS:
It is recommended that:
the existing heavy vehicle restriction on Kister Road be extended southerly to
Progress Street; and,
"No Exit" signs be installed on both sides of Progress Street, west of Kister
Road.
BACKGROUND:
Staffhas been actively working with the Stanley Avenue Business Park Association to alleviate
heavy vehicle tra~J~'lC problems in and around the industrial lands. Several scenarios were
provided to the business association, ranging from additional sign installations to
reconstruction/construction of new facilities. The Business Park Association agreed that the
short term solution to extend the heavy vehicle restriction on Kister Road southerly to Progress
Street was the most beneficial and economical solution at this time.
Advantages to the proposal include:
only truck drivers en route m/from a bona fide destination within the restricted zone
would be exempt from the heavy vehicle restriction;
eliminates concerns relal~l to truck drivers proceeding northbound on Kister Road to the
existing restriction/signs, and then having to reverse back to Progress Street upon
observing the existing prohibited signs at McClive Street;
increased safety for residents by maintaining the heavy vehicle restriction within the
residential area;
Working Together to Serve Our Community
Municipal Works · Fire serv;ces · Parks, Recreation & Culture · Business Development · Building & By-Law Serv/ces
April 28, 2003
-2- MW-2003-80
reduced road maintenance activities by maintaining the restriction through the residential
area, and,
low cost (relocation of signs).
The major disadvantage to the proposal is that heavy vehicle operators would be allowed to
proceed eastbound on Ramsey Road, through the residential area, to exit the industrial park.
Entrance into the industrial park via Ramsey Road would be prohibited. Truck drivers must use
either Progress Street or Don Murie Street to enter the area.
Therefore, it is recommended that the existing heavy vehicle restriction along the entire length of
Ramsey Road be maintained, and that the heavy vehicle restriction on Kister Road be extended
southerly from Ramsey Road to Progress Street (currently to McClive Road). It is also
recommended that "No Exit" signs be installed on Progress Street, at the entrance to the cul-de-
sac. Other non-through roads in the industrial park are signed appropriately.
Long term solutions include, but are not limited to road widths, road surface conditions, truck
accesses/route's and vehicle manoeuvring space. These items will be reviewed on an area wide
basis.
The Committee's concurrence with the recommendations outlined in this report would be
appreciated.
Prepared by:
Karl Dren, C.E.T.
Manager of Traffic & Parking Services
Respectfully Submitted by:
' J_o..hn _MacDonald
Chief Administrative Officer
Approved by:
Ed Dujlovic, P.Eng.
Director of Municipal Works
J. Grubich
S:\TRAFFIC~REPORTSk2003~2003 Community Services~vlw-2003-80.wpd
File: G-lg0-08
Community Services Department
't~e ("~, of ,~, Municipal Work~
Canada ~Niagam Falls, ON ~E 6X5
~~ web site: ~.ci~.niagam~lls,on.~
TeL: (905) 3~-7521
Fax: (905) 3~-23~
E-mail: edujlovi~ci~.niagamfalls.on.~
MW-2003,.86
Ed Dujlovic
Director
April 28, 2003
Alderman Victor Pietrangelo, Chairperson
and Members of the Community Services Committee
City of Niagara Falls, Ontario
Members:
RE: MW-2003-86
Temporary School Crossing at
North Leg of Portage Road at Morrison Street
RECOMMENDATIONS:
I~deffthatg~h~'e~ort be gecei~d for thcj~em~tlon ~~ttee.
BACKGROUND:
The Municipal Parking and Traffic section have been contacted by Cherrywood Acres School
regarding the upcoming closure of the canal bridge on Drummond Road south of Morfison Street
for bridge rehabilitation.
The school indicated that several children will be affected by this closure. Initially, the School
Board indicated that these children might be bused to school, however, staff have since been
informed that busing will not be provided.
In response to this, the Parking and Traffic section has worked closely with the school to determine
the most feasible route for school children. The need for a school crossing guard has been identified
at Portage Road at Morrison Street (west intersection) on a temporary basis for the duration of the
construction. Children walking to Cherrywood School from the south side of the canal, will proceed
to the signalized intersection at Portage and Morrison (east intersection), where they will cross to
the north side of Morrison Street. They will then proceed to Morrison Street and Portage Road
(west intersection) where the temporary crossing guard will be provided. Children will then proceed
to Morrison Street and Drummond Road where crossing guards are currently posted. This will
ensure the safest route for those children affected by the bridge closure.
Signs and markings will be provided at this intersection according to standards. It is anticipated that
the bridge rehabilitation will continue until July, therefore, the crossing guard will be providing
Working Together to Serve Our Community
Municipal Works * Fire Services · Parks, Recreation & Cullum · Business Development · Building & By-Law Services
April 28, 2003 - 2 - MW-2003-86
assistance until the end of this school year (June 2003). There will be no further cost to the
Corporation as the City will utilize existing staff, in the form of school crossing guard rovers. Rovers
are utilized on a daily basis to fill in for guards on a temporary basis.
City Council's concurrence with the recommendations outlined in this report would be appreciated.
Prepared~by:
~?~1 a~rtrno f Traffic & Parklni'Services
Approved by:
Ed Dujlovic
Director of Municipal Works
~espectfully Submitted by:
,John MacDonald
Chief Administrative Officer
S. Wheeler
S:\TRAFFIC~REPORTS~2003X2003 Coiamunity ServicesLMW-2003-86.wpd
File: G-1804)8
Community Services Department
T ..... .~A . Parks, Recreation & Culture
ne c~, aT ~rl~l~. 4310 Queen Street
Niagara FollsV]/p.o. Box 1023
CQnodo .,~ Niagara Falls, ON L2E 6X5
~TI~ web site: www.city,niagarafalls.on.ca
Tel.: (905) 356-7521
Fax: (905) 356-7404
E-mail: akon@city.nia§arafalls.on.ca
R-2003-23
Adele Kon
Director
April28,2003
Alderman Victor Pictrangelo, Chairperson
and Members of Community Services Committee
City of Niagara Falls, Ontmo
Members:
Re: R-2003-23 - Patrick Cummings Memorial Sports Complex
Tree Removal - TR03-2003
RECOMMENDATION:
It is recommended that Tender TR03-2003 for the removal of trees and shrubs from Patrick
Cummings Memorial Sports Complex be awarded to KNM Nurseries Limited of Fenwick, ON, for
a total cost of $70,780.50 including all taxes.
BACKGROUND:
Four (4) bid proposals were received for the removal of approximately eight (8) hectares (20 acres)
of scrub trees and shrubs from the new Patrick Cummings Memorial Sports Complex, in order to
complete Phase I of the Slo-pitch facilities. The results are as follows:
Company:
Total Price including aH taxes
KNM Nurseries
Fenwick, ON
$ 70,780.50
CRL Campbell Construction & Drainage Ltd.
Wainfleet, ON
$ 85,208.38
Touchstone Site Contractors Inc.
St. Catharines, ON
$ 99,863.10
Peninsula Construction Inc.
Fonthill, ON
$173,019.00
Working Together to Serve Our Community
Municipal Works * Fire Sen/ices · Parks, Recreation & Culture * Business Development · Building & By-Law Sen/ices
April28,2003 -2- R-2003-23
FINANCING:
Funding for the tree removal project was approved by City Council through the 2003 Capital
Construction Budget deliberations.
Adele Kon
Director of Parks, Recreation & Culture
Respectfully submitted:
cDonald
ministrative Officer
JD/das
S:\Council\Counci12003\R-2003-23 Patrick Cummings Memorial Sports Complex Tree RemovaLwpd
Community Services Department
Th Ci-- of .-~& . Parks, Recreation & Culture
e ~y ~'~1tr, 4310 Queen Street
Niagara Falls P.O. Box 1023
Canada ~~Niagara Falls, ON L2E 6X5
~~"~! web site: www.city.niagarafalls.on.ca
Tel.: (905) 356-7521
Fax: (905) 356-7404
E-mail: akon@city.niagarafalls.on.ca
R-2003-25
Adele Kan
Director
April28,2003
Alderman Victor Pietrangelo, Chairperson
and Members of Community Services Committee
City of Niagara Falls, Ontario
Members:
Re: R-2003-25 - National Amateur Baseball Federation (NABF)
RECOMMENDATION:
That Mr. Maksinuk of National Amateur Baseball Federation be advised that the ball diamond
improvements will not proceed.
BACKGROUND:
At the April 7, 2003, Council meeting, the letter from Mr. Maksinuk requesting ball diamond
improvements was referred to staff and the Recreation Commission.
In the later part of 2002, Staff met with Mr. Maksinuk to discuss the potential use of City diamonds
by the NABF. At that time, he also asked that three (3) City ball diamonds (Oakes Park - 1 and
Chippawa Lions Park - 2) be renovated. Our preliminary cost estimate was $20,000 per ball
diamond. In the original meeting and during subsequent telephone conversations, Mr. Maksinuk was
advised that funds were not available in the current budget.
In Mr. Maksinuk's letter, he states that he will obtain a Trillium Grant to repay the City for the cost
of renovations. One of the conditions of grant approval is that the organization obtains a lease on
the property. However, this is a condition that could not be met because of the number of groups
who use the ball diamonds. Therefore, the likelihood of obtaining a Trillium Grant is remote.
Staffhas also had discussions with representatives of Greater Niagara Baseball Association, (GNBA)
who is also interested in improvements to two (2) of the ball diamonds at Oakes Park. Staff is
encouraging GNBA to share in the cost of the renovations similar to the financial support that the
City has received from both Girls and Boys Soccer.
Working Together to Serve Our Community
Municipal Works · Fire Services. Parks, Recreation & Culture · Business Development. Building & By-Law Services
April 28, 2003 - 2 - R-2003-25
Director of Parks, Recreation & Culture
Respectfully submitted:
AK/das
Attachment
&\Council\Council 2003kR-2003-25 National Amateur Baseball Federation.wpd
· · I ~tFmLSCL~I(S'0303~IO~._~
]VIareh 10, 2003
The Honorable Mayor Wayne Thomson
And the City Counsel Members
~li$,0ntario. ·
~o~..~ ~ ..~. ~., ,¢.~,.~...,.,~ ,~ ~ ..... · _
,~,..o.. 9.EJa~[~r~ and for all future World SerieS cvents' ~y r[ne
Our orghnizatlon · -
Federation" for th]~as been a member In good ~tandl~lg of the a/Rational Amateur Baseball
past se-zen C/) years. We have worked very hard and diligently to gain the respect
of the "NABF~ and the Baseball community throughout thc USA and Canada, We are well qualified
to host these events as we have proven in lite past.
~rr.e~. y respectfully requesting that the City Of Niagara Falls sees the ' ·
~ #Oakes Park Ba].l.D amend a~xd.the ~C 'nnawn Ll~, o' *~n · ~dom m h~pl~g us,
..............................
ll~ly to the "Trillium ~ad" for the nec~ n .- .
hl~ ~ ..... s ~ ~n~ to reimburse the ~ty Of
.~ [{=.v.~e cos~ et upg~omg the ~elGs. ~ a matter of mter~/ a r
~e · · . . . , count meetm ~th
~ [~9~rector of ~llllum, assu~ed me that ffthe ct~ extended n 5 y~r commitment to
/enf,~ will in turn steeply look at ~snjug a gra~t up to ~5,000,.For Thc facclift~g of
~'~ 6: "~'J also I was told they would help with scoreboards,
" ~?.~, Hghfing etc..
.~Jt~].~,.~lzegade Baseball Organization is reg/stered as a non- r ·
~ ~dreater Nmgara Baseball ~sodafion~ to -a~,-~,- = .... p o~ ~tl?, W? would· al~o I]~ the
r .-.~.p,,v ~,a ulc cven~ Dy nandbng fill the ~nc~sions
and to assist us in any wa}, they they feel comfortable with,
· %/,,,; i! ,'," ,: .....................
A~ I mentioned we are a ~ion-profit organization and after expenses the exeegs revenue ~t'auld I~e
directed t9 nay Source that the city deemed proper.
Thc city of Niagara Fal/s ~vill bcne. tlt from the media ad¥crtlsl~g in the USA, the fami/ies and
.b'aseball fans who w/Il accompany there favorite teams to the city, generating room revenues, and
.~;';~n6~-a~ tourist attractions.
.!?--.,
~ have taken the ~iberty ~f en~es~ng ~ c~y ~f this urgent request ~ng with a fuI~ deseri~en ~f ~ur ~,
u~'g~nization and tournaments aleng with teams nnd there respective cities. ~:
Your favornble consideration to this rr'que~t wlll be greatly appreciated by the "NABF" nod its
massive membership throu~'haut the USA and Canada~
Director aP' NABF" Canadian Operations
1.To Whom it may ednoom;
.The Renegade Baseball Program has been in existence since 1996, we'have beona member in
good standing with the N.A.B.F. for 5 years, we have respect from the baseball community
across. North America.
..2: (William Maksinuk) the founder and CEO of thc Kenegade B~eball Program and is also
Director of the N.A.B.F. Canadian Operations, and sits on the N.A.B.F. Board of dimctors.-The
N.A.B..F. was founded in 1914, making it the oldest standin~ ba*eball organization in North
America, with over. 4000 teams rcgistored..W~ host 4 major tournaments a year, which includes '
th~ N.A.B.F, 1.6 and under Regional qualifi~, and thc most prestigious, the 18 0nd under
World Series. The other 2 are major touw~ment s became of the quality of play which enthuses
many college and pro scoutz to attend which in return bring many requests t.o'participate in. our
events, We hosted the 2002 P~whngs Invitational tournament, ired also the 2002 Rawlings
Canadian Classic. We hosted the 2002 N.A.B.F G~neral m~eting, which was held atflae Niagara'
Falls Hilton, and v~l return in 2004 or 2005, because it vais sa enteltaining week for our
Directors and Members.
'OurorganizationisL_~ ..... -"~ --- "':'_~:k-:zanon-profitorganizationforthemalnpurpose
of obtaining grants to help host intemati~'n~l tournaments. There are also grsats to upgrade
playing facilities in order to mainta/n events, such as the 16 and under ~egional and 18 and under
World Series. Any monies obtained to upgrade the playing facilities (such as the ones at Oaks
and Lions Field in C~nippawa), wouldb¢ submitted to the city as soon as our organization
received thc fuuds from either gove~ment grants (such as the Trillium Fund) corporate
sponsorships, or through the sale of signage on the outfield area, which is accepted by local
bminess~, because of the ekpesure and business the~'ll r~ceive in return for theh' help in
bringing our tournaments and many visitors to the city of Niagara Falls.
Rawlings Invitational - ~lun¢ 19, 20, 21, 22/2003 '
We haYe 20 teams confmned to attend as oi' Decombcr lU 2002, hero are tho narhes and locations
of the teams and a projectext number of visitors including pIayers, coaches, parents e{c. Th/s iS a
very high caliber of play, many of the players go on to play univorslty or professionally.
2 Renegade Baseball
2 Ontario Falcons
2 Ontario Astros
1 Boys o£Summ-.r/Akron, Ohio
1Willonly'Legio~/Wfllionly, Oh/o
I Bollefonto B~ndits/State College Penn
1 ~ac~on Wendy's/Jackson, Michigan -;
2 l~iel&r's choies/Brucksville., Ohio
2 St Louis Thunde~r/St Louis, Missouri
3 .Kalamago6 Maroons/Kalamagoo, Miehigau
1 Seneca Valley Raider~/S~ne~'a Valley Ohio
1 Cincinnati Future Stars/Cineinmafi, Ohio
~'he aver4ge numbex of visitors f6r this limo oi:the season per team are 45, 20 players,4 coaches,
20 fans, which totals 9O0 visitors staying 4 n/ghts and 5 day~ '. -
Rawlings' Canadian Classic- July 3,4,5,6
We have 18 teams comVmmed as of December 1s~ 2002, here are the.names mid locations of the
teams and a projected number of visitors, there will be two more teams added:
2. Renegade Baseball
3 Tearn Ontario
2 Ontario Falcons
1 Ontario Astros
1 Maryland Redbirds, Baltimore Maryland
. I Cincinnati Future Stars, Cincinnati, Ohio
1 Long Island C~rdinals, Long Island, New Y6rk
2 Youth Service, Brooklyn, New York
2 Long Island Tigers/Long Islan.d, New Yolk
1 Bayside Yankees/New York, New York
2 Diamond Devils/Charlotte, North Carolina
The average'number of visitors per team in this tournament is much higher because it's vacation
me. 60 v~s~tors tun~ 20 teams - 1200 visitors staying 4 nights and 5 days.
National Amateur Baseball Federations July 17, 18, 19
16 and Under regional qualifying tournament
This tournament br. ings in l0 teams and they bring in more visitors, since the winner of this
tournament goes on to the 16 and under World Series. There am only 10 lq A.B.F reg/onal.
tournaments in North America and we wotfld like Niagara Falls to be one of thcm. ' '
Here's a list of teams that attended in 2002:
P, enaissanea Amateur Baseball~ De'trait M/cifigan
Eastern New York League
Federations of Amateur Baseball, New YOrk
Greater AkrOn Baseball, Oh/o
Youngstown Class B League, Oh/o'
League B, Kelley Baseball, Pennsylvania
Su.~r E~st Baseball League, New Yark
Team Ontario, Ontario Ca~da
l%ncgades Baseball, Ontario Canada -
Little Ceascrs Amateur Baseball, MicMgan
Need Field upgrade for Wo~ld Series
National Amateur Baseball Federatiou
18 and under World Series July, 31 August 1, 2, 3 2003
Tiffs t.oum, ament is one of the top tournaments in North America for a~y city to host.
experiencing our fn'st World Serie~ in 2002, we felt another top facility was needed in order for
the NABF World Series to stay in Canada. H~o ar0 the teams and cities of all participants from
last yea~' World Series ..
.Renegades Ba*eball, Ontario
Elk City Travelers; Elk City, OK
Fort Wayne Dox, Fort Wayne, In~an~
Grand Slam Diamond~, Wellington, Delaware.
Wh.ite Oaks Batting Praofie~, Whtt Oal~, Peen.
Lexington Dixie, Lexington KY
Huntington Hounds, Huutington Delawa~
Jacl~on 96¢rs, Jaok~on Mississippi
Columbia Reds, Columbia Maryland
Columbus Cobras, Columbus, Ohio
Our organization has just signed a t~o year hgreement with the N.A.B.F to bc thc host ~£
the l $ and under World Series in 2003 and 2004. We are asking Niagara Falls to be a major par~
ofthi~ event for the next 2 years and for many years to come. In return, the city of Niagara falls
will be adveFfised to hundreds of thousands of people across North America. (Mainly in the
U.S.A:) The Wqrld Series and all oux invitational Tournaments will bring in millions of tourist
doll~s to the city and also'the reebgnillon of being the sit~ of'the I~.A.B.F. 18 and under World
Series which brings many advantage~ to the city. '
Community Services Department
T ..... ./va, Parks, Recreation & Culture
ne k. lly o! ~r~. 4310 Queen Street
. ogoro Fo,s , a, P.o. Box lO23
Canoda j,~rm~Niagara Fails. ON L2E 6X5
~TI~ web site: www.city.niagarafalls.on.ca
Tel.: (905) 356-7521
Fax: (905) 356-7404
E-maih akon@city.niagarafalls.on.ca
R-2003-28
Adele Ken
Director
April 28, 2003
Alderman Victor Pietrangelo, Chairperson
and Members of Community Services Committee
City of Niagara Falls, Ontario
Members:
Re: R-2003-28 - Policy on Advertising in City Recreation Facilities
RECOMMENDATION:
That Council approve the attached policy regarding advertising in City Recreation Facilities.
BACKGROUND:
Niagara Falls Minor Hockey requested permission to obtain advertisements from local businesses
to be put on rink boards at the Stamford Arena as a fundraiser.
On March 3, 2003, Council referred this matter to Staff to prepare a policy to address requests of this
nature. (Draft Policy is attached). The draft policy was reviewed by the Recreation Commission on
April 8, 2003 and a motion was passed approving the policy and Niagara Falls Minor Hockey's
request.
Currently, both the Jr. B's and Jr. C' s, through a comprehensive legal agreement with the City have
the authority to sell rink board advertising within the respective arenas they utilize. Therefore, the
request from Niagara Falls Minor Hockey can be supported based on precedence. No other ice user
group has come forward to make a similar request.
~Rec°mmended i~
Director of Parks, Recreation & Culture
AK/das
Attachments
Respectfully submitted:
~~r
S:\Council\Counci12003\R-2003-28 Policy on Advertising in City Recreation Facilities.wpd
Working Together to Serve Our Community
Municipal Works · Fire Services · Parks, Recreation & Culture · Business Development · Building & By-Law Services
DEPARTMENT:
Community Services
PARKS, RECREATION &
CULTURE
DATE EFFECTED:
April 28, 2003
DATE REVISED:
POLICY:
Advertising in City
Recreation Facilities
Report: R-2003-28
SECTION: 1000.47
Page 1 of 1
The City of Niagara Falls has traditionally provided support for our youth groups. In keeping with this
philosophy, consideration will be given to community groups who provide recreational services for our
youth to sell advertising within Parks and Recreation Facilities. In terms of site selection, preference will
be given to groups who are actually using recreation facilities, wherein the advertising is being proposed.
Community groups will be required to submit their request in writing to the Director of Parks, Recreation
& Culture.
The following conditions will apply:
1. The Licensee will enter into a legal agreement with the City.
2. The Licensee will agree to honour any advertising contracts that are already in existence.
3. The Licensee will submit a business plan prior to receiving approval.
4. The form, display, message, content, appearance, location, construction and method of placement
of each advertisement to be placed in recreation facilities must first be approved by the Director
of Parks, Recreation & Culture.
5. The City will have the right, at its expense, to cover over any advertising for the duration of a
special event or tournament.
The Licensee will sell, fabricate, maintain and repair the advertising signs at their own expense.
The City will reserve the right to either, install the advertising signs at a fee or, approve a contractor
to provide this service.
The revenue sharing arrangement will be negotiated.
Each facility will be viewed independently to determine appropriate locations for advertising
signage.
10. The Licensee will provide an annual financial statement satisfactory in form to the Director of
Finance.
The Licensee will provide insurance satisfactory in form to the City Solicitor.
11.
S:\Council\Counci12003\R-2003-28 - Attachment
NIAGARA FALLS MINOR HOCKE 'Y SSOCIATION
February 17, 2003
Mayor Thomson & Members of City Council
'As you are all aware, Niagara Falls Minor Hockey has endured some very trying
times over the last 2 years. Theloss of the concession stand, the retail store
space, the re~hlefions put on our fundraising ability as well as the cost of
protecting our Association's n~me has desecrated our surplus operating funds i
which was and is needed to opemte the Association efficiently throughout each
We would like to ask Your Worship and members of council for approval.to
permit Niagara-Falts-Mino~-Heekey~o~ob t airra~¥e~seme~ttr~frem local
businesses for'the-rinkboax'ds~orO,~,ren-a~."rhe Jr. B's and Jr. C's have
benefited from the advertising revenue that the rink boards at Chippawa Areni
and Niagara Falls Memorial Arena bring them.
In order to keep-registration costs competitive we must find other means tO bring
revenue to our organization. With the Executive obtaining the sponsors, we feel
this would be a viable solution to both the appearance of Stamford Arena and
Niagara Falls Minor Hockers operating budget.
Yours sincerely,
Butch Sacco,
President
6570 Frederica St. ~ Niagara Falls · Ontario · L2G lC9.. Phone: 905-374-2613 · Fax: 905-354-2828
nfmha @ bellnet.ca
Community Services Department
Th .... ,~,,a, . Parks, Recreation & Culture
NIc~clro I-oIIs~,~l~Niagara Falls. ON L2H 1G9
Canada..~~ wel)site: www.city, niagerafa,s.0n.ca
F~x: (goB) 356-7404
E-mail: ekon~}city, ni~gerafalls.on.ca
R-2003-30
Azlele Kon
Director
April 28, 2003
Alderman Victor Pietrangelo, Chairperson
and M~Inbers of Community So. vices Committee
City of Niagara Falls, Ontario
Members: Re: 2003-30 - Rehabilitation/Enhancement of City Owned Property Lot
# 163 (Former City Dump on Montrose Road)
That Council endorse the following six (6)recommendations with re,~ect to mhabilita, t/on and
enhancement work on the west side property.
I. That site enhancemenVrehabilitation work continues as per the objectives of the IMS
proposal that was a~cepted by Council on February 17, 2003.
2. That considc~tion be given to designating the part of this site that was the former City dump
site into parkland.
3. That the landfill be capped to accepted engineering standards.
4. That a healthy, sustainable vegetation buffer be established on this proper'o/bordering the
areas adjacent to residential homes at an estimated cost of $$0,000.
That a park development committe~ consisting of local residcnts be established.
That thc cost to furthercnhancc thc former landfill bc rcfcrred to thc 2004 Capital
Construction Budget~
The following report has been prepared for Council's consideration in response to concerns
expressed by rcaidcntial neighbours to the north and west of the former City dump where work has
commenced on thc rehabilitation and enhancement of this property.
Working Together to Serve Our CommuniO~
Municipal Works · Fire Services · Parks, Recreation & Culture . Business Development · Building & By-Law Services
April 28, 2003 - 2 - R-2003-30
BACKGROUND:
The City invited a public private partnership to assist the City with the preparation of the site.
Because of the close relationship of this 23-acre parcel of land with the 77-acre City-owned property
on the West side of Montrose Road, it was felt that there may be an opportunity to find a number of
efficiencies in site preparation to prepare the Community Centre site in a more cost effective manner.
The IMS proposal to move soils from the Community Centre site to the old dump site was estimated
to cost $1.2 million. The approximate cost to haul the soil to another site would be as much as $4
million. The proposal resulted in an approximate savings of $3 million for the required work.
Council endorsed the recommendation of Report MW-2003-40 dated February 17, 2003 to partner
with Integrated Municipal Services (IMS) on the development of the Community Centre site. The
IMS approach to the preparation of these two sites includes four major components.
Preparation, including clearing, grabbing, tree removal and grading, of the Community
Centre site (East Side property) including the removal of excess spoils from the East Side
to the West Side.
Clearing, grabbing and removing trees on the West Side to allow material from the East Side
to be deposited and graded.
The harvesting of commercially valuable rock from the south section of the West Side
property.
The further grading and shaping of the West Side property to establish 25-30 acres of
commercially valuable land suitable for future sale and/or development.
Council, at its February 17, 2003 meeting authorized staff to negotiate with IMS to create a two-
stage agreement that would:
· Require IMS to begin work immediately on the East Side so that the necessary background
studies in support of the Community Centre and the Skate Park construction can begin as
soon as possible.
· Allow the recovery of rock on the East and West Side by IMS for use on the Community
Centre site and for sale to produce revenue.
· Provide the City with flexibility to defer a final decision on the development of the 25-30
acres on the West Side until a decision is made on the intended use and development
potential on this site. Moreover, the agreement should provide for a flexible payment
schedule.
In addition, movement of soils across Montrose Road to the old dump site presented the City with
an additional benefit to cap the old dump site. The dump, which comprised the northern portion of
the site (approximately 40 acres) was closed in 1967, but was never provided with a f'mal cover. A
visual inspection of the site has revealed a number of fairly large sections of the site where garbage
has remained uncovered. Covering of these areas, and indeed a proper capping of the site, would
be a responsible initiative that would eventually be required. It is estimated (by LMS) that such work,
if the City chose to undertake it at a later date, could require an additional expense of $2 million.
By doing the capping now, with available excess soils, the City could complete two required tasks
simultaneously and at less expense. The realized savings of capping the landfill now, using available
soils from the Community Centre site and not tracking soils off site, is as much as $5 million.
April 28, 2003 - 3 - R-2003-30
PubHcMeefing
A public meeting was held on Thursday, April 24, 2003 to review the work that was being done on
this property, the necessity of doing the work, and to respond to the concerns and questions that
neighbouring residents might have about the project. A number of concerns were expressed by the
residents but, the two concerns that were repeatedly raised were:
1. The status of the property as "surplus land".
The removal of trees along Chamwood Avenue would effectively remove a visual and
aesthetic buffer between the homes of residents and the former dump site.
Council has declared the property in question surplus land. As such, the land could be sold to
private interests for development. The condition of the approximately 40-acre area of the property
that was the former dump may never be suitable for any development, however, the fact that the land
could be sold is of concern to area residents. They have requested that the section of the property
that is the old dump site, and would have limited commercial value, be designated as parkland. This
would require the section of the property that is the old dump site to be severed from the southern
portion of the lot, which would still have some commercial value and should be retained as "surplus
land".
The trees in this area have been largely removed because the area was required for fill areas to
complete the project. Healthy specimens immediately adjacent to the overland flow route were
maintained, but other invasive species and trees in poor health were removed. Residents have
requested the re-establishment of a buffer area with healthy, sustainable new plantings. If the land
was to be designated parkland, this would be a logical and natural step in the future development of
the property as a park. The cost of planting a buffer zone of approximately 50 feet along Chamwood
Avenue is estimated as much as $50,000.
Recommended by:
DAffelc~cKr°o~ Pa~s,'~iC~ileation & Culture
Respectfully Submitted: I /
~//~°h il~e f~CmDi°n~Jrda t i v e Officer
SH/das
The City of ~j~.
Niagara Falls JJJ
I-
Corporate Services Department
Clerk's Division
4310 Queen Street
P.O. Box 1023
Niagara Falls, ON L2E 6X5
web site: www.city.niagarafalls.on.ca
Tel.:
Fax:
E-mail:
(905) 356-7521
(905) 356-7404
diorfida@city.niagarafalls.on.ca
CD-
Dean Ioffida
City Clerk
May 12, 2003
His Worship Mayor Wayne Thomson
and Members of the Municipal Council
City of Niagara Falls, Ontario
Members:
Re: CD-2003-
Amendment to the Municipal Event Calendar and Allocation of Bingo Events.
RECOMMENDATION:
That the event calendar be amended to change the number of bingo events conducted at
10:00 p.m. to 12:00 midnight (referred to as the late night time slot) on Saturday and
Sunday. The change to reduce the number of events from two per day to one per day.
That events be allocated to these organizations from the 7:00 p.m. bingo time slots at both
the Delta Monte Carlo and Bingo Country bingo halls.
The allocation be as follows: The 7:00 p.m. time slot Monday through Saturday at both bingo
halls have one (1) bingo event per quarter, per day set aside for allocation to the displaced
organizations. This amounts to four (4) events per year for each day.
4. That this change be effective June 1, 2003 and the attached schedule of events be approved.
5. That the municipal policy be amended to reflect these changes.
BACKGROUND:
On April 22, 2003 the City of Niagara Falls was advised by the Delta Monte Carlo and Bingo
Country bingo halls of changes the halls were making to their operations. As of May 17, 2003 Bingo
Country will no longer be conducting a 10:00 p.m. (referred to as the late night time sloO on
Saturday and Sunday. The Delta Monte Carlo will no longer be conducting a 9:45 p.m. (referred
Working Together to Serve Our CommuniO~
Clerks Finance · Human Resources · Information Systems · Legal · Planning & Development
-2 - CD-
to as the late night time slot) on Monday and Tuesday. The Monday and Tuesday late night bingo
events will move to Bingo Country and be operated there.
There has been a decline in the bingo market across the Province. Estimates range from a 20%
reduction to as high as a 40% reduction. The City of Niagara Falls experienced a 13% reduction in
2002.
At the present time the bingo event calendar for the late night time slots is as follows:
Bingo Country
Delta Monte Carlo
Monday
Tuesday
Wednesday 1
Thursday 1
Friday 1
Saturday 1
Sunday 1
The proposed change is as follows:
Bingo Country
Delta Monte Carlo
Monday 1
Tuesday 1
Wednesday 1
Thursday 1
Friday 1
Saturday
Sunday
The bingo event calendar is a municipal policy adopted by Council on May 30, 1988 as outlined in
report CD-88-26, titled Bingo Operations in Niagara Falls. At that time the City introduced the
event calendar, there were four bingo halls in the City of Niagara Falls. It was determined that by
limiting the number of events that could occur at any given time, the opportunity for profit would
be increased. Since 1988, the event calendar has been amended at least twenty times, as market
forces dictated. (In all instances, no organization conducting bingo ceased to operate bingo).
Where events were reduced or eliminated, those organizations were placed into the market, through
the introduction of new events or reallocation of existing organizations' number of events.
A major change occurred in 1999. Two (2) of the four (4) bingo halls operating closed in November.
A number of organizations were displaced as a result of the closures. The City undertook to assure
that these organizations were able to continue to access bingo events. This involved the introduction
of new times slots and reduction in the number of events organizations conducted.
At this time, with the changes being made by the bingo halls, seven organizations operating bingo
will see a disruption or cancellation of their bingo events. They are as follows.
-3 - CD-
Russell Masterson Amateur Athletic Assoc. -
Chippawa Volunteer Firefighters Assoc.
St. Antoine Church
NF Volunteer Firefighters Station #6
Bi-weekly Monday late night Delta Monte Carlo
Bi-weekly Monday late night Delta Monte Carlo
Bi-weekly Tuesday late night Delta Monte Carlo
Bi-weekly Tuesday late night Delta Monte Carlo
The above organizations will be permitted to move from the Delta Monte Carlo to Bingo Country
in the same time slot and day as they currently operate.
Italo Canadian Centennial Club
Niagara Falls Aero-cats Gymnastics
Niagara Falls Girls Soccer Club
- Weekly Saturday late night Bingo Country
- Bi-weekly Sunday late night Bingo Country
- Bi-weekly Sunday late night Bingo Country
The above events have been cancelled, therefore the above organizations will no longer have any
bingo events after May 17, 2003.
In order to allow these organizations continued access to the bingo market, there needs to be some
event reallocation. Staff needed to find events for these organizations to operate, so the can continue
to derive revenue from bingo. At the present time, 89 organizations conduct bingo in the City of
Niagara Falls.
As there are no events currently available for the displaced organizations, Staff reviewed the number
of events each organization is currently operating. At the present time, weekly bingo licences are
issued for the 12:30 p.m. (referred to as the afternoon time slot) and the 7:00 p.m. (referred to as
the evening time slot). Since the early 1990's, no new organization in the bingo industry has been
issued a weekly bingo licence, as there are not enough events to permit this.
In order to provide the Italo Canadian Centennial Club, Niagara Falls Girls Soccer Club and the
Niagara Falls Aero-cats Gymnastics with continued bingo revenue, Staff is proposing that the 7:00
p.m. time slot Monday through Saturday at both the Delta Monte Carlo and Bingo Country bingo
halls have one (1) bingo event per quarter, per day set aside for allocation. This amounts to four (4)
events per year for each day. The Sunday groups are not affected, as for the most part, they are
already conducting bi-weekly bingo events. Staff have attached a chart to show which organizations
would see a reduction in the number of their bingo events in 2003 and 2004.
This allocation would provide twenty-four (24) bingo events at 7:00 p.m. at Bingo Country and
twenty-four (24) bingo events at 7:00 p.m. at the Delta Monte Carlo. These events would be
allocated as follows:
Current # of Events New # of Events
Italo Canadian Centennial Club
Niagara Falls Girls Soccer Club
Niagara Falls Aero-cats Gymnastics
52 24
26 12
26 12
As you can see, those organizations whose events were cancelled, are not being given the same
number as they originally had. There are several reasons for this. One is that the 7:00 p.m. bingo
time slot is the most profitable, so these organizations will generate more per bingo event than
-4 - CD-
previously. The second is that Stafffeel that proposing the reduction of four (4) events per year for
the affected 7:00 p.m. organizations was fair and reasonable and should not cause a major hardship
to any of the organizations.
It is important to understand that organizations conducting 52 bingo events per year (referred to as
a weekly bingo licence) do so primarily because they entered the bingo market in the late 1980's or
early 1990's. At that time there were more events than organizations. Organizations currently
conducting bi-weekly or monthly bingos do so because Staff have restricted the number of events
they may conduct. The majority of these organizations also wish to have more events than they are
permitted.
This is the proposed schedule, however these changes will require five (5) of the seven (7)
organizations to change bingo halls. It would be preferable to see as little disruption as possible, so
Staff will meet with the seven (7) affected organizations. Arrangements may be permitted that
would allow these organizations to remain in their current hall by changing their current scheduled
event. All parties to a proposed change would need to be in agreement and the City would approve
any changes.
Prepared by:
Respectfully submitted:
A. Duerksen
Lottery Licensing Coordinator
John MacDonald
Chief Administrative Officer
Recommended by:
Dean Iorfida
City Clerk
Approved by:
T. Ravenda
Executive Director of Corporate Services
2003
Monday
Tuesday
Wednesday
Thursday
Friday
Saturday
2004
SCHEDULE OF EVENTS TO BE ALLOCATED FOR 2003 AND 2004
THESE EVENTS ARE THOSE TO BE GIVEN UP BY THE 7:00 P.M. ORGANIZATIONS
June 2 September 1
June 3 September 2
July 2 October 1
July 3 October 2
August 1 November 7
August 2 November 1
December 1
December 2
Monday March 1 June 7 September 6
Tuesday March 2 June 1 September 7
Wednesday January 7 April 7 July 7 October 6
Thursday January 1 April 1 July 1 October 7
Friday February 6 May 7 August 6 November 5
Saturday February 7 May 1 August 7 November 6
December 6
December 7
NEW SCHEDULE OF EVENTS FOR 7:00 P.M. ORGANIZATIONS
GROUPS WITH REDUCED EVENTS CURRENT 2003 NEW 2003 EVENTS 2004 EVENTS
EVENTS
Chippawa Lions 52 49 48
Niagara Ten Club 52 49 48
Niagara Youth Orchestra 36 34 32
Fallsview Hose Brigade 52 50 48
St. Lukes Church 52 50 48
Knights of Columbus 26 25 24
Niagara Falls Blind Bowlers 26 25 24
N.F. Labour Charitable Foundation 52 49 48
Navy League 52 49 48
John Howard Society 52 50 48
Stamford Centre Vol. Firemen 52 50 48
Niag. Pen. Cdn. Hungarian Sports Centre 52 50 48
Optimist Club 26 25 24
St. Francis Church 26 25 24
Carlo Bingo
April 22~ 2003
Angela Duerksen
Lottery Licence Co-ordinator
City of Niagara Falls
4310 Queen Street
Niagara Falls, Ontario
L2E 6X5
RE: Event Calendar
Dear Angela,
Please accept this letter as a request for a change to the current event calendar in the City of Niagara
Falls.
As of May 17, 2003, Bingo Country will no longer be conducting a 10:00 pm session on Saturday &
Sunday and Delta Monte Carlo Bingo will no longer be conducting a 9:45 pm session on Monday &
Tuesday. The Monday & Tuesday events will be conducted at Bingo Country.
Therefore, a reallocation of groups and time slots is required for those who will be displaced due to the
above changes.
If you require any further information and/or clarification, please contact me directly at (905) 356-8109.
Sincerely,
Delta Monte Carlo Bingo
General Manager
Bingo CountrY
Connie Dimmer
General Manager
4735 Drummond Rd., Niagara Falls, ON L2E 6C8 · Phone: (905) 356-8109 · Fax: (905) 356-6714
Corporate Services Department
Finance Division
The City of ~1~ 4310 Queen Street
Niagara Falls~l~l~ P.O. Box._1023
Canada ~ Niagara Pails, ur~ LZ~
.~a~lll~l~~' web site: www.city.niagarafalls.on.ca
~ I -- Tel.: (905) 356-7521
Fax: (905) 356-2016
E-mail: kburden@city.niagarafalls.on.ca
F-2003-17
Kenneth E. Burden
Director
April28,2003
Alderman Victor Pietrangelo, Chair
and Members of the Community Services Committee
City of Niagara Falls, Ontario
Members:
Re: F-2003-17-Development Charges
2002 Financial Information
RECOMMENDATION:
That City Council receive and file the attached financial statements regarding Development Charges
for the 2002 fiscal year.
BACKGROUND:
It is a requirement of the Development Charges Act to file with Council a statement disclosing the
receipt and application of all development charges collected under the authority of Part II of the
Development Charges Act, 1997. The required content for this financial reporting is as follows:
Balance as of January 1
· The development charges reserve fund balances as reported on the audited financial
statements for the preceding year.
Development Charges Received or Receivable
These development charges are to be allocated to the specific service to which they are
to be applied.
Development Charges Refunded
· The total of all refunds of development charges, including the interest on the refund
calculated on the basis of the provisions of section 13 of Ontario Regulation 725/89.
Working Together to Serve Our Community
Clerks Finance · Human Resources · Information Systems · Legal Planning & Development
April 28, 2003 -2 - F-2003-17
· The total refunded amount is to be credited to the specific service to which the original
charges had been applied.
Accrued Interest
· The total interest earned on all reserve fund investments shall be shown, as well as the
apportionment of such interest earnings among the various services.
Transfers to Capital Fund
The total of all amounts transferred to the capital fund including all interest earned on
such funds as at the date the amounts are transferred.
The total of the amounts transferred are to be credited to the specific service to which
the original charges had been applied.
Amounts Allocated to Other Services
Indicate the amounts which Council has determined are to be transferred from the
service originally allocated to another service.
Balance at Year's End
The development charge reserve fund balance or balances as reported on the audited
financial statements of the current year.
A summary of the financial statement follows:
Balance as at January 1, 2002
Received Development Charges
Refunded Development Charges
Interest Earned
Transfer to Capital Projects
Balance as at December 31, 2002
$8,091,964
6,969,397
(11,615)
500,036
(414,377)
$15,135,40[
As required by the development charges legislation, capital projects that receive funding from
development charges are required to report the other sources of funding. A summary of the sources
for this total funding is as follows:
New Development Charges By-law
Ontario Grant
Operating Revenue Fund
Reserve Fund
Special Purpose Reserve
Capital Liability Accounts
Total Funding
$414,377
322,590
170,837
222,986
110,628
115,830
$1,357,248
April 28, 2003 - 3 - F-2003-17
Prepared by:
M. Dell-McPhaden
Manager of Accounting
Recommended by:
K.E. Burden
Director of Finance
Approved by:
T. Ravenda
Executive Director of Corporate Services
Respectfully submitted:
~a~!~~cer
CITY OF NIAGARA FALLS
DEVELOPMENT CHARGES
FINANCIAL STATEMENT OF CONTINUITY
FOR THE PERIOD JAN 1 TO DEC. 31,2002
Add: Subtract: Add: Subtract: Allocation:
DEVELOPMENT CHARGES RESERVE FUNDS Opening Received Refunded Interest Transfers Transfers Closing
Sub-Account Purpose/Service Balance Development Development Earned To Capital Between Balance
Jan1/02 Charges Charges Projects Services Dec. 31/02
GENERAL SERVICES - INELIGIBLE (s.s.2.4; s.s 5.3)
Government $153,404
Municipal Works 131,168
General Services Total 284,572
$0 $0 $3,756 $0 $0 $157,16,
0 0 3,211 0 0 134,379
0 0 6,967 0 0 291,539
CITY WIDE SERVICES
Administration 88,652 88,716 280 4,430 34,744 0 146,775
Roads 2,401,069 1,845,583 3,456 152,768 0 0 4,395,964
Transit 42,767 38,640 170 2,199 71,000 0 12,435
Parks & Recreation 709,474 330,651 2,681 43,884 69,405 0 1,011,923
Library 167,515 117,505 978 8,371 0 0 292,414
City Wide Services Total 3,409,477 2,421,095 7,565 211,652 175,149 0 5,859,511
URBAN SERVICES OTC
Water 495,464 111,272 504 32,781 6,902 0 632,111
Sanitary Sewerage 909,950 157,885 675 59,494 8,760 0 1,117,896
Storm Water Managment 1,476,692 268,979 1,164 96,743 15,291 0 1,825,959
Fire 303,579 66,805 277 15,171 1,976 0 383,302
Urban Services OTC Total 3,185,685 604,942 2,619 204,188 32,929 0 3,959,268
TOURIST CORE SERVICES
Water 50,978 166,157 60 3,313 8,731 0 211,658
Sanitaw Sewerage 105,281 343,151 125 6,843 18,031 0 437,120
Storm Water Managment 951,964 3,102,806 1,126 61,872 163,035 0 3,952,482
Fire 104,006 331,245 120 5,197 16,504 0 423,825
Tourist Core Services Total 1,212,230 3,943,359 1,431 77,226 206,300 0 5,025,084
SUBTOTAL RESERVE FUNDS 7,807,392 6,969,397 11,615 493,066 414,377 0 14,843,863
GRANDTOTAL $8,091,964 $6,969,397 $11,615 $500,033 $414,377 $0 $15,135,401
BANK BALANCE R730 (Account #411-14)
BANK BALANCE R740 (Account #63-19)
RECEIVABLES - GST rebate
INVESTMENTS (as at Dec. 31102)
DUE (TO)FROM REVENUE FUND (not proofed)
TOTAL
$291,539
3,684,276
347
8,865,176
2,294,063
$15,_~_~4o~
devchrgcont00 04/11/2003 mdm
Corporate Services Department
Finance Division
The City of ~l~l~. 4310 Queen Street
Niogoro Fclllsll~l~~ P.O. Box 1023
Con --' Niagara Fails, ON L2E 6X5
web site: ~.city.niagarafalls.on.ca
~ I -- Tel.: (905) 356-7521
Fax: (905) 356-2016
E-mail: kburden~ci~.niagarafalls.on.ca
F-2003-18
Kenneth E. Burden
Director
April28,2003
Alderman Victor Pietrangelo, Chair
and Members of the Community Services Committee
City of Niagara Falls, Ontario
Members:
Re: F-2003-18 - 2002 Reserves and Reserve Funds
RECOMMENDATION:
That the Community Services Department review and approve the 2002 transfers to reserves and
reserve funds.
BACKGROUND:
Attached is a copy of the reserves and reserve funds for 2002 showing the balances at January 1,
2002, the amounts to be added, the amounts used in 2002, and the balances at December 31,
2002.
RESERVES
When reserves are created, the amounts are appropriated from net revenue in the same year and
then used for those same purposes in a subsequent year. While reserves may be established for
any municipal purpose, the most common are as follows:
1. Reserve for working funds
In most municipalities, accounts have to be paid before taxes, grants and other revenues
become available, including revenues still to be collected for the previous year.
A municipality can obtain a short4erm loan to meet this need, but borrowing incurs interest
charges. In order to reduce and, if possible, avoid short-term borrowing, a working fund
reserve is one financial management technique that can be helpful. It is also a cash
management device to enhance cash flow.
Working Together to Serve Our Communi02
Clerks Finance · Human Resources · Information Systems Legal Planning 8, Development
April 28, 2003 - 2 - F-2003~18
2. Reserve for contingencies
Such a reserve is established in anticipation of unknown expenditures or liabilities such as
emergency repairs, damage claims, etc. Ifa reserve for contingencies is not created, it could
have a significant effect on the future tax levy of the municipality should the liability
actually materialize.
3. Reserve for equipment replacement
Major items of equipment have to be replaced on a regular basis. In a municipality, such a
reserve eliminates the need to levy for the full cost of the equipment in the year of
acquisition. This avoids the resulting fluctuation in the tax levy from year to year.
RESERVE FUNDS
A reserve fund differs from a reserve in that reserve fired assets are segregated and restricted to
meet the purpose of the reserve fund. There are two types of reserve funds: obligatory reserve
funds and discretionary reserve funds.
Obligatory reserve funds are to be used solely for the purpose prescribed for them by Statute.
· Park Purpose
· Municipal Parking
· Development Charges
Discretionary reserve funds may be used for a number of different purposes. Some examples
of these are:
· Future expenditures for capital projects
· Debt retirement
· Levy or user fee stabilization
· Promotion of special projects
Prepared by:
M. Dell-McPhaden
Manager of Accounting
Recommended by:
K.E. Burden
Director of Finance
Approved by:
T. Ravenda
Executive Director of Corporate Services
Respectfully submitted:
~°h~ n i~l~sa lt[da t i v e Officer
CITY OF NIAGARA FALLS
RESERVES AND RESERVE FUNDS
RESERVES
Special Purposes
Working Capital
Watermain improvements
Metering Program
TOTAL RESERVES
RESERVE FUNDS
(Setasideby Council)
Development Charges
Development Charges bylaw 99-144
Collins/Toby - Debenture 98-2001
Erwin/Bamett - 40 yr licence agreeme
Long - 40 yr licence agreement
Terrio - 40 yr licence agreement
Sick Leave Liability
SkatePark development
G.N.S.C.A. - Building Fund
G.N.S.C.A. - Trip Account
L.L. Battlefield Debenture 98-2001
Workers Compensation
Fire Stn #5 -Willoughby - Mtg fund
NF Hydro - Debenture #8416-96
Recreation Trail Development
2% Prklnd Dedictn - Chippawa
2% Prklnd Dedictn - River Road
2% Prklnd Dedictn -Whirlpool
2% prklnd Dedictn - Lundy's Lane
2% Prklnd Dedictn - Fallsview
2% Prklnd Dedictn - Ctiffon Hill
Capital/Operating Fund
Tree Planting - Developers
Sale of John Allan Park
Park Development
Sewer and Water Levies
Expansion and Renewal
Conrail Drainage
Prepaid Work Proj's. Contributions
Sidewalk Construction
Future Municipal Works
Lot Drainage
Library Special Projects
Library Property Maintenance
Library Automation Fund
Sanitary (Recycling Surplus)
Sports Fnd - new equip/program
Projs - Special Needs' Children
OPENING
JAN1/02
7,748,679
265,000
5,800
42,763
8,062,2_42
OPERATING OPERATING CAPITAL TOTAL
ADDITIONS USES USES USES
4,781,3401 613,710 915,634
1,529,344
0
0
0
CLOSING
DEC. 31/02
11,000,675
265,000
5,800
42,763
4,781,340 6~3 7~0_ 915,634 1 ,_5. 29.=~3_4.~__~ =~ ~ 3~3=8.=
11,314,238
284,572 6,967I
7,807,392 7,450,848[
60,265I
25,745[
12,8731
19,504i
290,000i
1,0301
5,468
12,591
99,104 2,420i
150,000 208,091i
154,492 9,226
679,488 43,164
25,641 17,151~
o
o
0
120,716 11,963i
122,186 7,412!
53,265 98,601
598,186 280,1071
6,131 2,850!
59,853 1,462!
107,976 4,851
930,707 62,584~
143,561 89,5341
443,757 28,550i
1,774,846 119,732I
197,339 11,462
578,519 38,484
117,454 7,2971
279,357 7,712I
98,571 35,107i
317,045 33,590
280,770 15,713
4,000 98[
12,595
0
414,377 414,377
0
644 644
322 322
488 488
9,910 9,91
16,691 16,691
143,975 143,975
21,729
449,770 449,77
0
26,130 47,859
40,436 40,436
23,236 43,371 66,608
109,810 109,810
0
0
15,447,523
291,539
14,843,862
60,265
25,101
12,551
19,016
290,000
1,030
5,468
12,591
91,614
358,091
147,028
578,677
42,792
0
0
0
132,679
129,598
151,866
428,523
8,981
13,456
112,827
993,291
233,095
472,307
1,894,578
208,801
617,003
124,751
246,633
67,070
240,825
296,483
4,098
RESERVE FUNDS
(Set aside by Legislation)
Park Purpose (Planning Act) 14,665
Municipal Parking 909,996
TOTAL RESERVE FUNDS
308: 0~ 12,903
9,022,757 367,240 933,649 1,300,889 23,169,392
23,169,392
0
11,080
73,068
121,272i
194,340
87,733
1,020,188
11,080
924,661 11,080 0 11,080 1,1~7~!
16,372,184 9,2__~7,097 378,3~20 933,649 j~Jl,969 24,277,31~.[
24,277,312
SUMRES00 1 04/23/2003 mdm
Corporate Services Department
~a Finance Division
The Cily of IJ'~l~ 4310 Queen Street
Niagara FallsWl~.,~lll' P.O. Box 1023
~~"Canada"~"~ ~ Niagara Falls, ON L2E 6X5
~~1~ web site: www.city, niagarafalls.on.ca
Tel.: (905) 356-7521
Fax: (905) 356-2016
E-mail: kburden@city.niagarafalls.on.ca
F-2003-19
Kenneth E. Burden
Director
April 28, 2003
Alderman Victor Pietrangelo, Chair
and Members of the Commtmity Services Committee
City of Niagara Falls, Ontario
Members:
Re: F-2003-19 - 2002 Capital Accounts
RECOMMENDATION:
For the information of the Community Services Committee.
BACKGROUND:
Attached is a copy of the capital account summary by department for 2002. These capital projects
are carryovers fi.om previous years and new projects started in 2002. Approval for the projects is
from the annually-approved Capital Projects Budget and from Council approvals during the year.
Opening Balance
In the opening balance column, the bracketed amounts had outstanding costs as at the
end of 2001 and the non-bracketed amounts required funding as at the end of 2001.
Revenue for 2002
Revenue for 2002 came fi.om the following sources:
Operating Accounts
Reserve and Reserve Funds
Local Improvements
Grants
Outside Agencies
Debt
$8,925,611.00
3,152,194.00
38,815.00
1,096,054.00
1,904,624.00
2,897,029.00
$18,014,327.00
Working Together to Serve Our Community
Clerks Finance Human Resources Information Systems · Legal Planning & Development
April 28, 2003 - 2 - F-2003-19
Expenses for 2002
The expenses are authorized and approved invoices submitted to accounts payable
for payment.
Closing Balance
The credit balance column totalling $5,767,310.19 reflects fimded projects that still
have outstanding expenditures.
The debit balance column totalling $16,842,658.15 reflects unfunded projects. The
funding sources for these are:
Debentures
Reserves
Local Improvements
Outside Agencies
Operating Accounts
$ 324,699.00
618,525.00
121,128.00
821,742.00
14,956,564.00
$16,842,658.00
This report is intended to provide general information for the 2002 capital account activity.
Prepared by:
M. Dell-McPhaden
Manager of Accounting
Approved by:
T. Ravenda
Executive Director of Corporate Services
Recommended by:
K.E. Burden
Director of Finance
Respectfully submitted:
mDi°n~saJrdat iv e Officer
CITY OF NIAGARA FALLS
Summary of Capital Account Activity
for the year 2002
ACCOUNT
GENERAL C 001
FIRE C 002
ROADWAYS C 008
TRANSIT C 010
SANITARY SEWERS C 016
STORMS SEWERS C 017
WATERWORKS C 018
LANDFILL C019
CEMETERY C 028
PARKS & RECREATION C 037
LIBRARY C 038
BUSINESS DEVELOPMENT C 042
Grand Totals
OPENING
BALANCE
Jan.01/02
14,136,193
(4,576
330,159
(30,000
(275,868
(164,494
2,070,847
367,080
(53,470
2O2,854
0
(58,786)
16,519,941
2002 2002
Revenue Expenses
1,913,930 390,362
438,922 431,330
5,919,716 1,178~738
891,988 921,988
2,186,603 3,568,391
747,209 1,327,128
3,033,743 2,702,262
766,000 235,226
23,590 105,332
1,434,376 1,029,620
593,371 593,371
64,878 85,956
18,014,327 12,569,734
SUBTOTAL OF ACCOUNTS
DEBIT CREDIT
BALANCE BALANCE
Dec.31/02 Dec.31/02
CLOSING
BALANCE
Dec.31/02
12,612,625 0 12,612,625
0 (12,168 (12,168)
262,102 (4,672,922 (4,410,819)
0 0 0
1,105,921 0 1,105,921
462,796 (47,370 415,425
2,081,700 (342,333 1,739,367
0 163,695~ (163,695)
60,960 (32,688t 28,273
224,301 (426,203)i (201,902)
0 (69,93~)' 0
32,253 (37,678)
16,842,658 5,767,310)I 11,075,348
02FIRS5 1 04/17/2003 mdt
Corporate Services Department
~. Finance Division
1'he City of IJ'~l~ 4310 Queen Street
Niagara Fallsl~ll~ P.o. Box 1023
___..~~~.~l~,~rm ~1~ Niagara Falls, ON L2E 6X5
Cuf~~~I~ web site: www.city, niagarafalls.on.ca
/el.: (90§) 356-7521
Fax: (@05) 356-2016
fi-maih kburden@eity, niagarafalls.on.ca
F-2003-21
Kenneth E. Burden
Director
April 28, 2003
Alderman Victor Pietrangelo, Chair
and Members of the Community Services Committee
City of Niagara Falls, Ontario
Members:
Re: F-2003-21 - Municipal Accounts
RECOMMENDATION:
That the Community Services Committee approve the municipal accounts totalling $2,523,154.32
for the period ending April 28, 2003.
BACKGROUND:
The accounts have been reviewed by the Director of Finance and the by-law authorizing payment
is listed on tonight's Council agenda.
Recommended by:
K. E. Burden
Director of Finance
Respectfully submitted:
cc/ Chief Ad~°ii:Tsa~rdative Officer
T. Ravenda
Executive Director of Corporate Services
Working Together to Serve Our Community
Clerks Finance Human Resources Information Systems Legal Planning & Development
CITY OF NIAGARA FALLS
BY-LAW NO. 2003-
A by-law to authorize the payment of $2,523,154.32 for General Purposes.
THE COUNCIL OF THE CORPORATION OF THE CITY OF NIAGARA FALLS ENACTS AS FOLLOWS:
That the City Treasurer is hereby authorized and directed to pay the
following disbursements for the period ending April 28, 2003.
SUPPLIER NAME CHEQUE NO. SERVICE AMOUNT
1238956 ONTARIO INC 275057
1456551 LTD COUNTRY CORNER 275174
407 ETR EXPRESS TOLL ROUT 275058
ACTION CORPOR3%TION 275059
ADT SECURITY SERVICES 275060
ADVANCE TOWING 275061
AIR CARE SERVICES 275062
AIR LIQUIDE CANADA INC 275063
ALFIDOME CONSTRUCTION 275064
ALFIDOME CONSTRUCTION 275175
ALL SAINTS CHURCH 275065
RV ANDERSON ASSOCIATES LIMITED 275066
ANDERSON R3~Y 275067
ANTONIO CHUCK 275176
~u%~LARK REFRESHMENT SERVICES 275068
AUTOGRAPHIX 275177
BAIN PRINTING 275178
BARBER GLASS INDUSTRIES INC 275179
BARCLAY & TODD'S 275069
BARCLAY & TODD'S 275180
BCE EMERGIS INC 275070
BCE EMERGIS INC 275181
BEATTIES BASICS 275071
BELL CA~ADA 275072
BELL C~%NADA 275182
BELL CANA. DA 275073
BELL CANADA 275183
BELL MOBILITY 275184
BELL MOBILITY PAGING 275185
BEST PASTA PLACE 275074
BOBCAT OF H~ILTON LTD 275186
BOLIBRUCK BOB 275187
BOLIBRUCK BOB 275188
BOOKSHELF BINDERY LTD 275189
BORDEN LADNER GERVAIS 275075
BRINKS CANADA LTD 275190
BUNTIN REID 275076
BURKE PATRICK 275077
CANADIAN DOOR DOCTOR 275191
CANADA LAW BOOK INC 275192
CANADIAN LINEN AND UNIFORM 275078
CANADIAN NATIONAL 275079
CANADIAN NIAGARA HOTELS INC 275193
CANADIAN RED BOOK 275080
CANTEC SECURITY SERVICES 275194
C~d{SWELL 275195
CARTER CA2~ & TRUCK RENTAL 275196
C~L~MBERS EMMA 275081
CN3LRLES JONES INDUSTRIAL 275197
CONSULTING SERVICES
MEETING EXPENSE-ENG
MILEAGE-VARIOUS
WEBSITE-IS
SECURITY CITY HALL
TOWING-VARIOUS
BUILDING MAINTENANCE-ARENAS
OXYGEN CYLINDERS-ARENAS
REPAIRS-MUN WORKS
WATER MAINS-MUN WORKS
RENTAL FEE-PARKING/TRAFFIC
ENGINEERING FEE~MUN WORKS
REIMBURSEMENT-FIRE
MILEAGE-APR/2003
OFFICE SUPPLIES-VARIOUS
LETTERING-VARIOUS
OFFICE SUPPLIES-VARIOUS
BUILDING MAINTENANCE-ARENAS
OFFICE SUPPLIES-AP~ENAS
OFFICE SUPPLIES-ARENAS
INTERNET CHARGES-IS
INTERNET CHARGES-IS
OFFICE SUPPLIES-MUSEUM
TELEPHONE CHARGES-VARIOUS
TELEPHONE CHA~qGES-VARIOUS
TELEPHONE CHA-RGES-VARIOUS
DAMAGED SERVICE CLaIM-LEGAL
CELLUi~ CHARGES-VARIOUS
PAGER SERVICES-PARKING/TRAFFIC
CATERING-COUNCIL
EQUIPMENT-P/LRKS/REC
PETTY CASH REIMBURSEMENT
CONFERENCE FEES-PARKS/REC
BOOK BINDING-LIBP. ARY
PROFESSION~_L SERVICES-LEGAJ~
SECURITY-FINANCE
OFFICE SUPPLIES-VARIOUS
REPLENISH PETTY CASH-FIRE
BUILDING MAINTENANCE-VARIOUS
BOOK PURCHASE-LIBRARY
SAFETY MATS-VARIOUS
RAILWAY CROSSINGS-VARIOUS
CONVENTION DEPOSIT-LEGAL
BOOK PURCHASE-LIBR~Y
SECURITY-LIBP. ARY
BOOK PURCHASE-LEGAL
VEHICLE LEASE-BLDG
PETTY CASH-MUSEUM
HARDWARE-STORES
35,436.54
48.15
24.20
6,244.52
83.59
32.10
3,370.64
89.13
20,292.00
15,625.31
50.00
732.95
75.42
31.12
33.50
69.00
460.00
1,585.29
40.60
115.59
75.25
75.25
488.71
507.15
333.42
57.50
217.53
782.53
60.08
250.00
2,535.75
584.35
145.00
404.41
8,483.70
782.79
111.57
104.82
4,322.80
350.69
268.62
2,753.52
500.00
201.25
71.82
140.32
723.35
163.23
179.34
Page t of 4
CIMCO REFRIGER3kTION
CIT FINANCIAL LTD
CITY OF NIAGARA PALLS
CITY OF NIAGAR3k FALLS
CITY OF NIAGARA FALLS
COGECO CABLE CANADA INC
COGECO CABLE CA/~ADA INC
COLLINSON JACK
COMMERCIAL CLEANING SERVICE
COMMERCIAL AIR SERVICES INC
COMMISSIONAIRES
COMMUNITY RESOURCES CENTRE
COMPUTER MEDIA GROUP
COPYMAN PRINT SHOP
COPyMAN PRINT SHOP
COUTTS LIBR3%RY SERVICES LTD
COUTTS LIBP3kRY SERVICES LTD
CRAWFORD ADJUSTERS CANADA
CULLIGAN
CUPE LOCAL 133
CUPE LOCAL 133
DAILY COMMERCI;kL NEWS
DAILY COMMERCIAL NEWS
DAVEY TREE EXPERT CO
DELL COMPUTER CORPORATION
DESIGN ELECTRONICS
DIAMOND CONTRACTORS
DIRECT IT CANADA INC
E3 LABOR3kTORIES
E & E PROCESS INSTRUMENTATION
ENBRIDGE
ENBRIDGE
ERES CONSULTANTS
FAHERTY DAMIAN
FALLS WHOLESALE LTD & ZIPPO
FIRE MONITORING OF CANADA
FIRST VANCOUVER FINANCE
FIRST VANCOUVER FINANCE
FRAMES UNLIMITED
FUELMAKER CORPOP~ATION
GALT KNIFE CO LTD
G & K SERVICES CANADA INC
GLADDING SALES AGENCY LTD
GLADDING SALES AGENCY LTD
GOLIA COLOR CENTRE
GRAyBAR ELECTRIC LTD
GREATER NIAGARA GENER3kL HOSPITAL
GROUND AERIAL MAINTENANCE
GT FRENCH PAPER LIMITED
PLARDY LAURA
HARRISON TODD
HECO
HECO
HIEBERT JAKE
HOCO LIMITED
HOLIDAY MEDIA INC
IOANNONI CAROLYNN
JACK W HARPER CONST
JONES LARRY
J P H~ILL & SON LTD
KERRY T HOWE ENGINEERING
KERRY T HOWE ENGINEERING
KNOWBUDDY RESOURCES
LAFARGE CANADA INC
LEAK JAN
LIBRARY SERVICES CENTRE
LINDSAY PRESS
THE LUNDY'S LANE HISTORIC
275082
275198
275083
275199
275200
275084
275201
275202
275085
275086
275087
275088
275203
275089
275204
275090
275205
275091
275206
275092
275207
275093
275208
275094
275209
275210
275211
275096
275212
275213
275097
275214
275098
275099
275100
275101
275102
275215
275216
275217
275103
275104
275105
275218
275106
275107
275219
275108
275109
275220
275110
275111
275221
275222
275223
275224
275225
275226
275114
275115
275116
275227
275117
275118
275119
275120
275228
275229
BUILDING MAINTENI~NCE-AMENAS
LEASE-ARENAS
REPLENISH LEGAL ACCOUNT MAR/2003
PAYROLL REMITTANCES
REPLENISH PETTY CASH-FINAJ~CE
CABLE SERVICE-LIBP~Y
CABLE SERVICE-VARIOUS
MILEAGE-MAR-APR/2003
CLEANING SERVICE-VARIOUS
BUILDING MAINTENANCE LIBR3kRY
COMMISSIONAIRE SERVICE-VARIOUS
RENT-PARKS/REC
COMPUTER SUPPLIES-VARIOUS
OFFICE SUPPLIES-MUSEUM
OFFICE SUPPLIES-VARIOUS
BOOKS-LIBRARY
BOOKS-LIBRARY
INSURANCE CLAIMS-LEGAL
WATER-MUSEUM
UNION DUES
UNION DUES
ADVERTISING-MUN WORKS
ADVERTISING-VARIOUS
LAWN WORK-PARKS/REC
COMPUTERS-VARIOUS
SECURITY-CITY HALL
SERVICE DEPOSIT REFUND
COMPUTER MAINTENkNCE-NK~N WORKS
WATER TESTING-MUN WORKS
EQUIPMENT-MUN WORKS
NATUR3kL GAS-VARIOUS
NATURAL GAS-MUSEUM
CONSULTANT FEE-MUN WORKS
REFUND LOT GRADING DEPOSIT
CONCESSION SUPPLIES-ARENAS
FIRE MONITORING-VARIOUS
MATERIALS-MUN WORKS
MATERIALS-MUN WORKS
PICTURE FRAMES-LIBRARY
REPAIRS-ARENAS
ICE MAINTENANCE-ARENAS
PROTECTIVE CLOTHING-PRINT SHOP
PLUMBING SUPPLIES-VARIOUS
PLUMBING SUPPLIES-~3N WORKS
CARPET-MUSEUM
ELECTRICAL SUPPLIES-VARIOUS
PAYROLL REMITTANCES
STREET LIGHTING-MUN WORKS
JANITORIAL SUPPLIES-LIBRARY
CLEANING-MUSEUM
MILEAGE-FLOR/2003
BUILDING MAINTENANCE~ARENAS
BUILDING MAINTENANCE-ARENAS
MILEAGE-APR/2003
REFUND SIGN PER~IT FEE
ADVERTISING-MUSEUM
REIMBURSEMENT-TUITION FEES
SERVICE DEPOSIT REFUND
TRAINING REIMBURSEMENT-FIRE
WORK CLOTHING-VARIOUS
SANITARY SEWERS-PRTN WORKS
SANITARY TRUNK-~KJN WORKS
BOOKS-LIBR~Y
GRA~I~%R "A" STONE
REIMBURSEMENT
VIDEOS-LIBR~Y
OFFICE SUPPLIES-PARKS/REC
PUBLICATIONS-MUSEUMS
Page 2 of 4
1,206.96
1,227.00
21,853.86
581.94
203.15
70.02
224.70
442.98
14,035.22
471.50
586.39
13.80
27.60
62.83
292.68
362.50
19.55
2,652.05
2,635.79
543.99
1,277.50
393.76
4,481.57
8,774.18
750.00
1,605.00
1,294.87
2,639.25
34,376.96
4,917.28
14,209.38
1,000.00
208.33
587.37
2,184.19
2,227.53
235.75
678.50
151.80
71.60
649.75
362.00
188.42
89.40
21,644.19
587.28
123.00
138.48
1,730.36
1,208.31
20.22
42.50
240.75
83.30
750.00
895.57
7,342.98
65,026.42
2,633.52
272.94
949.47
74.90
9,446.66
59.80
38.50
MJM/CMA JOINT VENTURES ARCHITECTS
MAPLE LEAF COLLISION CENT
MARINEI~ OF CANADA
MATREX COMPANY
MAXXAM ANALYTICS INC
AL MCGREGOR COMMUNICATION
ME OLSEN TITLES INC
METRO COLLISION SERVICES
MICROFILM EQUIPMENT SERVICES
MINISTER OF FINANCE
MINISTRY OF ATTORNEY GENERAL
MINISTRY OF ATTORNEY GENEt~AL
MINISTER OF FINANCE
MINISTER OF FINANCE
MINISTER OF FINANCE
MISSISSAUGA BUSINESS TIME
MODERN LANDFILL INC
MOORE CORPORATION LIMITED
MTC LEASING INC
NIAGARA.COM
NIAGA-93% CREDIT L~NION
NIAGA~A CREDIT UNION
NIAGARA FALLS h"JMANE SOCIETY
NIAGARA FALLS HUMl%NE SOCIETY
NIAGARA FALLS HL~E SOCIETY
NIAGARA FALLS HYDRO
NIAGARA FALLS HYDRO
NIAGARA FALLS IGA
NIAGARA FALLS PUBLIC LIBRARY
NIAGA~kA FALLS PROFESSIONAL FIRE
NIAGAP~A FALLS PROFESSIONAL FIRE
NIAGARA FALLS TOURISM
NORJOHN LTD
OACA
OMFPOA NIAGARA CHAPTER
ONTANIO ASSOCIATION OF FIRE CHIEFS
OWENS STEPHEN
PAULA BERKETO
PENINSULA PEST CONTROL LTD
PRATA GUY
PRINT BY NITE
PROJECT SHARE
PROVINCIAL CONSTRUCTION
PUROLATOR COURIER
PUROLATOR COURIER
tLAVENDA TONY
RECEIVER GENERAL
RECEIVER GENERAL
THE REGIONAL MUNICIPALITY OF NIAG
THE REGIONAL MLrNICIPALITY OF NIAG
RIDGEMOUNT QUARRIES LIMITED
ROBERT BENEVENTO ROOFING
ROGERS WIRELESS INC
ROGERS MEDIA
RONALD C ELLENS APPRAISAL
ROSS PHILIP
ROUCHKOV VENTZISLAV
ROYAL BANK
RUDAN HOLDINGS LTD
SCHOL~.R'S CHOICE MOYER
SCOTIABANK
SCOTIANANK
SEYMOUR MONIKA
SINGULJ%R PRODUCTIONS LIMITED
SOFTCHOICE CORPORATION
ST CATHA~INES BUSINESS MACHINES
SUN LIFE OF CANADA
SLrNOCO INC
275121
275122
275123
275230
275231
275232
275124
275233
275125
275234
275126
275235
275127
275236
275237
275128
275129
275130
275131
275132
275133
275238
275134
275239
275240
275135
275241
275136
275242
275137
275243
275244
275245
275138
275139
275140
275141
275246
275142
275247
275248
275249
275250
275143
275251
275144
275145
275252
275146
275253
275147
275148
275254
275149
275150
275151
275152
275255
275153
275154
275256
275257
275155
275258
275156
275259
275260
275261
NEW COMMUNITY CENTRE-PARKS/REC 63,936.66
VEHICLE REPAIRS-G/LqAGE 2,167.81
SERVICE DEPOSIT REFUND 750.00
COLD PATCH ASPHALT 712.91
WATERANALYSIS-SERVICE CENTRE 105.93
VIDEOS-MUSEUMS 117.30
TITLE SEARCHES-LEGAL 366.98
VEHICLE REPAIRS A/qD PARTS-G~L~3~GE 6,658.50
EQUIPMENT SERVICE CALL-LIBRARY 563.45
PAYROLL REMITTANCE 200.00
PAYROLL REMITTANCE 1,170.86
PAYROLL REMITTANCE 1,170.86
PST REMITTA/~CE FOR JAN-M3LR/2003-ARENAS 3,169.44
PAYROLL REMITTANCE 37,215.48
PST REMITTANCE-MAR/20003-FINANCE 213.89
APRIL ADVERTISING-BUS DEVEL 619.26
CONTRACT SERVICES-VARIOUS 851.27
EQUIPMENT SERVICE AGREEMENT 2,583.92
TELEPHONE SYSTEM-ARENAS 277.87
INTERNET SERVICES-CITY 455.29
PAYROLL REMITTA~NCES 14,344.00
PAYROLL REMITTANCES 14,374.00
MARCH/2003 DOG TAGS 160.00
CONTRACT SERVICES-STREETS 870.00
MAY/2003 CONTP~ACT SERVICES 30,083.33
WATER CHARGES-VARIOUS 1,582.79
ELECTRICITY CHARGES-VARIOUS 5,672.01
CANADA DAY COMMITTEE MEETING 27.56
REIMBURSEMENT FOR PETTY CASH 433.73
UNION DUES 2,604.69
UNION DUES 2,604.69
GRANT-MAY/2003 80,416.67
ASPP=ALT PATCHING 2,090.22
MEMBERSNIP RENEWAL-PLANNING 170.00
MEMBERSHIP DUES-FIRE 50.00
REGISTRATION FEES-FIRE 885.00
REIMBURSEMENT FOR PARKING INFRACTION 15.00
STREETSCAPE PLJ~N-PANKS/REC 7,436.61
CONTRACT SERVICES-VARIOUS 221.49
MILEAGE-APR/2003 33.06
GNGH CIRCLE TREK EVENT-PA~RKS/REC 945.00
GRA~-MAY/2003 7,916.67
TRUNK STORM SEWER-HUN WORKS 365,520.24
COURIER CHA-qGES~VARIOUS 101.49
COURIER CHA-RGES-VARIOUS 180.98
MILEAGE-APR/2003 42.01
PAYROLL REMITTANCE 167,356.53
PAYROLL REMITTANCE 171,181.33
DEVELOPMENT CHARGES 758,127.34
SIGN PURChASE-TRAFFIC 8,980.55
GP~LAR "A" STONE 56.86
SNOW REMOVAL-VARIOUS 898.80
WIRELESS CHARGES-~K/N WORKS 61.90
SUBSCRIPTION~ENG 149.00
APPP~AISAL SERVICE-PLAkrNING 3,820.00
TRAINING REIMBL~RSEMENT-FIRE 129.11
REIMBURSE PARKING INFRACTION 20.00
CONTINGENCY-MAY/2003 1,141.67
APPP~AISAL FEES-PLAAFNING 992.00
EDUCATIONAL SUPPLIES-LIBP~Y 440.11
US DRAFT-RECORDED BOOKS-LIBP~Y 671.91
PAYROLL REMITTANCES 552.00
PURCHASE REIMBURSEMENT-LIBPJ~RY 26.75
P/LRADE FLOAT-PARKS/REC 1,385.75
CD ROM-LIBRARY 834.48
OFFICE SUPPLIES-CLERKS 300.18
MAWR/2003 PREMIUMS 194,684.63
FUEL-FIRE 612.21
Page 3 of 4
SUPERIOR PROPANE INC 275157
SUPERIOR PROPANE INC 275262
T & C HOLDINGS 275263
TECHNICAL STANDARDS & SAFETY 275158
TELUS INTEGRATED COMMUNICATIONS 275159
TELUS MOBILITY 275160
TELUS MOBILITY 275264
TELUS NATIONAL SYSTEMS IN 275161
THE BUSINESS LINK NIAGAP. A LTD 275162
THE CAMERA PLACE FOTO SOURCE 275265
TNE FU3MPERY GROUP 275163
THE MBTW GROUP 275164
THE PEPSI BOTTLING GROUP 275266
THE REVIEW 275165
TORBRAM ELECTRIC SUPPLY 275267
UNITED WAY 275268
UNITRADE ASSOCIATES 275269
VADIM COMPUTER MANAGEMENT 275167
VADIM COMPUTER MANAGEMENT 275270
VALUE ADDED SYSTEMS INC 275271
V GIBBONS CONTR3~CTING LTD 275168
WALKER BROTHERS ASPHALT 275272
WALKER BROTHERS QUARRIES 275169
WATT DAVID 275170
WEAVER WENDY 275171
WELLAND COUNTY LAW ASSOCIATION 275273
WILLIAMS WOODWORKING CUSTOM 275274
WINDSOR KEVIN 275275
WINGER TERRI 275172
WOMEN'S PLACE OF SOUTH NIAG/L~A 275276
WRIGHT FUELS INC 275173
YMCA 275277
YWCA 275278
FUEL-ARENAS 8.63
PROPANE USAGE-ARENAS 74.76
STAMFORD CENTRE RENTAL-LIBRArY 2,660.29
LICENCE RENEWAL-CORONATION 100.00
CELLULJ%R CHA~qGES-CITY 488.75
VEHICLE BATTERY ADAPTER-CITY 36.79
CELLUI~ CHARGES-VA~RIOUS 1,321.64
TELEPHONE SYSTEM-CITY HALL 515.20
ADVERTISING-BUS DEVEL 236.74
PHOTOGRAPHY SUPPLIES-VARIOUS 2,076.23
CD PURCHASE 35.00
PROFESSIONAL SERVICES-PLANNING 3,210.00
CONCESSION SUPPLIES-ARENAS 188.60
PUBLIC AIqNOUNCEMENTS-VARIOUS 549.30
ELECTRICAL SUPPLIES-STORES 258.89
PAYROLL REMITTANCES 1,470.00
BOOKS-LIBRARy 220.51
TRAVEL EXPENSES-TRAINING-FINANCE 18,970.69
DATA CONVERSION-IS 1,114.06
NEW EQUIPMENT-CITY HALL 27,772.50
SEWERS-MUN WORKS 77,089.26
ASPHALT MATERIALS-STREETS 2,974.00
GRANULAR "A" STONE 1,150.60
MILEAGE-MAR/2003 241.24
TAX OVERPAYMENT REFUND 608.08
MEMBERSHIP DUES-LEGA3~ 53.50
INSTALL CABINETS-PARKING/TRAFFIC 1,201.86
MILEAGE-JAN-MAR/2003 165.60
PLAR/2003 WAGES 65.00
GRANT~MAY/2003 2,083.33
FUEL-STORES 30,939.74
PAYROLL REMITTANCE 8,104.66
GR3~T-MAY/2003 7,083.33
$2,523,154.32
PAYABLE TOTAL:
PASSED THIS 28~ DAY OF APRIL, 2003.
DEA/~ IORFIDA, CITY CLERK
WAi'NE THOMSON, MAYOR
FIRST READING: , 2003.
SECOND READINg: , 2003.
THIRD READING: , 2003.
Page 4 of 4
Corporate Services Department
Finance Division
4310 Queen Street
P.O. Box 1023
Niagara Fails, ON L2E 6X5
web site: www.city.niagarafalls.on.ca
Tel.:
Fax:
E-mail:
(905) 356-7521
(905) 356-7404
kburden@city.niagarafalls.on.ca
April28,2003
F-2003-22
Kenneth E. Burden
Director
Alderman Victor Pietrangelo, Chair
and Members of the Community Services Committee
City of Niagara Falls, Ontm-io
Members:
Re: F-2003-22 - Major Receivables Quarterly Report
RECOMMENDATION:
For the information of the Community Services Committee.
BACKGROUND:
The following is a quarterly report of Tax, Utility and Sundry Receivables to March 3 pt, 2003.
Tax Balances
Current Taxes 2003 2002
Percentage Collected 51% 50%
Levy to Date $60,199,883. $52,351,083.
Collections $30,539,506. $26,178,262.
Balance $29,660,377. $26,172,821.
Tax Arrears 2003 2002
Percentage Collected 20% 32.8%
Opening Balance $12,243,780. $14,655,133.
Collection $ 2,488,806. $ 4,807,165.
Balance $ 9,754,974. $ 9,847,968.
Total Unpaid Taxes
$39,415,351.
$ 36,020,789.
}Forking Together to Serve Our Community
Clerks Finance · Human Resources Information Systems · Legal · Planning & Development
April 28, 2003 - 2 - F-2003-22
Water Arrears 2003
Total $142,664.
The amounts above do not reflect any water billing conducted by Niagara Falls Hydro. All
outstanding arrears will be transferred to the corresponding tax accounts. Any unpaid water arrears
billed by Niagara Falls Hydro will also be transferred to the tax roll.
Prepared by:
L. Antonio
Coordinator of Tax & Receivables
Sundry Receivables 2003 2002.
Accounts Receivables $92,615. $711,484.
Unpaid accounts are being actively pursued by staff. Delinquent accounts are charged 1-1/4%
interest per month.
Respectfully submitted
~mDi°nn~/sal~er
Recommended by:
K. E. Burden
Director of Finance Division
Approved by:
T. Ravenda
Executive Director of Corporate Services