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2001/03/19CORPORATE SERVICES COMMITTEE AGENDA SIXTH MEETING Monday, March 19, 2001 Committee Room No. 2 -4:00 p.m. 1. In Camera Session 2. Minutes of March 5, 2001, Corporate Services Meeting 3. Deputation: YMCA Niagara Falls re Loan Repayment 4. Communications: Request for Sponsorship - Youth Challenge International 5. Reports: F-2001-21 - Municipal Accounts 6. 2001 Bud.qet Presentation: · Mayor's Comment · Chairman's Comment · Discussion F-2001-22 - 2001 General Purposes Budget (Refer to Section I of Budget Binder) F-2001-23 - 2001-2005 Capital Projects Budget (Refer to Section 4 of Budget Binder) F-2001-24 - 2001 Municipal Utility Budget (Refer to Section 5 of Budget Binder) MW-2001-23 - Municipal Parking & Traffic Committee 2001 Budget Recommendations 7. New Business Staff Contact Steven Gruninger Ken Burden Ken Burden/ John MacDonald Tom Smith Karl Dren MINUTES CITY OF NIAGARA FALLS CORPORATE SERVICES COMMITTEE FIFTH MEETING MONDAY, MARCH 5, 2001 COMMITTEE ROOM NO. 2 - 5:00 P.M. PRESENT: ABSENT: STAFF: Mayor Wayne Thomson, Aldermen Wayne Campbell, Chair; Klm Craitor, Art Federow, Shirley Fisher, Gary Hendershot, Carolynn Ioannoni, Judy Orr, Victor Pietrangelo, Norman Puttick, Selina Volpatti and Janice Wing Alderman Ken Feren E. Lustig, T. Ravenda, J. MacDonald, E. Dujlovic, A. Kou, R. Kailio, W. Wagg, D. Darbyson, K. Burden, B. Ruddell, J. Daniels IN C~4MERA SESSION The Committee entered an In-Camera Session at 5:00 p.m. and adjourned at 6:05 p.m. The Committee did not rise to report. MINUTES MOVED by Mayor Thomson, seconded by Alderman Hendershot, that the minutes of the February 19, 2001, Corporate Services Committee be adopted as recorded. REPORTS. Motion Carried F-2001-19 - Selection of Budget/General Ledger and Related Financial Systems MOVED by Mayor Thomson, seconded by Alderman Hendershot, that Report F-2001-19 be received for information. Motion Carried F-2001-20 - Municipal Accounts MOVED by Mayor Thomson, seconded by Alderman Hendershot, that the Municipal Accounts totalling $3,870,388.89 for the period ending March 5, 2001, be approved. Motion Carried -2- CORRESPONDENCE MOVED by Mayor Thomson, seconded by Alderman Hendershot, that the thank you letter from AMO be received and filed. Motion Carried ADJOURNMENT There being no further business, the meeting adjourned at 6:lOp. re. YMCA We build strong kids, strong families, strong communities. February 14, 2001 Councillor Wayne Campbell Chair, Corporate Services Committee City of Niagara Falls 4310 Queen Street Niagara Falls, ON L2E 6X5 Dear Councillor Campbell, This letter is in follow-up to a series of conversations we have had with John MacDonald and Ken Burden concerning the outstanding debt the YMCA has with the City of Niagara Falls and our plan to re-pay it. Upon the recommendation of City staff, my purpose herein is to briefly outline this situation and a recommended course of action. The background of this matter is as follows: · The YMCA currently owes the City of Niagara Falls the principal sum of $119,000. This has been significantly reduced from a high of $285,000 in 1991. · The YMCA has an agreement with the City to pay this amount in full over three instalments: 1999: $30,000; 2000: $60,000; 2001:$59,000 · The 1999 instalment was paid. The 2000 instalment of $60,000 is currently due. It is the absolute commitment of the YMCA to pay this amount in full. The purpose of this letter is to formally request that the Corporate Service Committee consider a change to the terms of repayment in consideration of the YMCA's current issues and priorities. In summary, these are as follows: The YMCA is committed to providing the highest quality services to its members. While we have experienced growth over recent years, our operating margins are extremely tight due to the cost of maintaining an aging facility. Significant capital investment as a means to generate new growth has occurred over recent years and has reached its full potential. Our limited resources prevent us from doing more than ensuring the safety, cleaning, maintenance and program standards are met for our membership outside of our commitment to establishing a new YMCA facility in Niagara Falls. The new facility initiative in collaboration with the City and Boy's and Girl's Club is the focus of our revitalization efforts. Currently we are putting substantial resources into this effort and see it as the key strategic priority of our Association for the next three to four years. In 2000/2001 our Association expects to invest over $70,000 in hard costs towards this effort, which in the months to come, we expect to gro~v significantly. YMCA Niagara Falls 4261 Fourth Avenue, Niagara Falls, Ontario L2E 4NI tel 905 356-8760 fax 905 356-8501 www. niagarafallsymca.o~g YMCA Charitable Number 10777 3343 RR0001 Based on these facts, we respectfully request that the City considers and approves a change in our re-payment schedule. In consultation with City staff, we recommend the following scenario: · That repayment of the outstanding debt of $ l 19,000 is suspended until September 2004 which corresponds to the planned opening of the new community centre. · That during this period, the YMCA incurs interest costs on the principal amount of the debt, which the YMCA agrees to pay annually to the City. It is our understanding that we will be required to go before Committee with this request. We are pleased to do this and would welcome any further questions or clarification by yourself or City staff. The City of Niagara Falls has been a great service partner and very patient with us on this matter. We appreciate the support and look forward to strengthening our service to the community thorough ongoing collaboration. Yours truly, Chief Executive Officer Cc~ Dave Jex, Chair, YMCA Board of Directors John McDonald, City of Niagara Falls Joe Mclaughlin, General Manager City of Niagara Falls, C/o Mr. Wayne Thomson, Niagara Falls, Ontario Dear Sir, Greetings! Febmary 2001 My name is Rupa Parakh and I am program that I am presently involved with and how I believe that our city can get involved. Because I was born in Fort Erie and raised in Niagara Falls, I feel a part of two small, supportive local communities. Further, I have been ve~ fortunate in my opportunities thus far and I would l/kc to extend these privileges to help others in our own and other communities. I am currently a fourth year student in the Arts and Sciences Program at McMaster University doing a combined degree in Psychology. I am planning to pursue graduate studies in Health Psychology in order to help others and learn more about critical issues that affect the well being of citizens in oar community. I have been active in various clubs and organizations for many years from which I have developed critical skills that are useful in dealing with others. While in high school at A.N. Myer Secondary, I was actively involved with clubs such as global awareness, model United Nations, and debating. I participated in Kiwanis Music festivals, Optimist Club public speaking competitions and volunteered for many years with the residents at Dorchester Manor Retirement Home. At university, I have provided acadernic counselling and tutoring for students and delivered presentations and public speeches on various topics from academic success to social justice. As well, I am involved with clubs such as the Student International Health Initiative (SIHI) and World University Service of Canada (WUSC), clubs that promotes education and action about development issues. From all of these experiences, I have gained skills and experience, but I have also given back to a number of groups through my actions. Now, I have received the chance to help others in a new and exciting way. I have been accepted to a twelve-month program with Youth Challenge International (YCI). Th/s summer, I will be volunteering amongst small communities in Guyana (South America) for ten weeks. Like Canada, Guyana is structured so that the majority of the population is concentrated in and around one area, in this case the capital Georgetown. Thus, nidiv/duals living in the other, more inaccessible parts of Guyana are often isolat .ed from proper health care, education and communication. Youth Challenge is a non-profit organization that promotes personal, community and global development wtdle offering youth like myself, a chance to develop leadership skills, global education and hands-on problem solving experience. YCI was built-up fi.om the experiences of youth who had participated in programs such as Britain's Operation Drake (1978) and Operation Raleigh (1984). Those projects were vma~i.a~ut ~°~r~sv~de~°~wi~'~a~ ~OoP~PO~_r~_~' to lear~,, a .bot~t s,c!.e.nce, commumty service, and adventure in ~ of,,,,~ ,,,,,,,~. ,~ ~ ~o~, ~anaman youm sturtea tins orgamzat~on (YCI) and applied for funding fi.om the Canadian International Development Agency and other private and public sector donors. YCI's mission is much less adventurous than its predecessors, however, it is equally as challenging: "b ' ' mlding the skills, experiences and confidence of young people and communities to effect positive social change. The program is set up as four Challenges. The First is a rigorous outdoor Selection Da adaptability, flexibility and resourcefulness I have passed that and th,~ ~- ..... y ~,t t~ts · - ...... ~ ttuv~ now enterea me ~econd Challenge: the preparation stage. Since YCI iS prim ,ari~ volunteer based organ/zation, 'Challengers' (accepted youth) are required to raise $3,450 pins the cost of airfare to cover their field project costs, food and board. In addition, we must acquire project-related skills and equipment such as CPR, sw/mming proficiency, physical endurance, first aid knowledge, and at thnes, language requirements. During the Third Challenge, the overseas placement, Challengers hve and work with small teams of volunteers from other countries to complete worthwhile health, construction and environmental projects that the local community has asked for. Past projects include reforestation efforts (Carara ecological reserve in Costa Rica), building roads and bridges to isolated towns, aiding doctors in performing cataract surgery, giving presentations on HIV/A1DS and other health issues, and teaching in schools. The Fourth Challenge helps transform my experiences abroad into positive civic and social action at home. I am requixed to complete at least 100 hours of community service either by imtiating or assisting with programs in the community. Past Challengers have spent this time in a variety of ways such as starting shelters for homeless kids in Vancouver, helping out with local charities and community groups and giving presentations or talks on subjects such as development and the impact of globalization on communities. As a youth, I realize the importance of providing opportunities that allow individuals to grow and reach their potential. However, due to limited opportunities and accessibility for many people in the world, sometimes even basic needs such as clean water and proper health care cannot be met. I know that one small project cannot change things tremendously, but if we all do a small part, hopefully we can imtiate change for the future. Recently, the fandraising efforts for the devastating earthquakes that have hit India and El Salvadgr have shown the power that a community can yield if it pulls together to help others. Hopefully, it is clear that everyone who is involved with this program can benefit from it whether they are the participants, people in the villages where we go, or local.sponsors who help make this a reality. Community support can make it possible for youth like myself to dare to go beyond, strengthen this community spkit globally and make a different. In a world where it is becoming increasingly common to work only for money or self-interest and where volunteerism is steadily declining, I pray that more people, and especially youth, can learn the skills and gain the confidence to collectively take charge of our future. I sincerely hope that the city will consider sponsoring me Ired if you have any questions, please do not hesitate to call me at (905) 374-3067. Ideally I would love to come and speak with your office in person (either before or after the project) and would welcome any oppommity you present. I have included some information on the project and YCI itself for your benefit. Please note that any donations should be made out to Youth Challenge International and that contributions over $25 are tax deductible. Thank you in advance for your time and consideration. Sincerely, Rupa S. Parakh 6980 Coach Drive, Niagara Falls, Ontario, L2G 2Jl Parakhr@mcmaster. ca · The City of Niagara Falls Corporate Services Department Finance Division 4310 Queen Street P.O. Box 1023 Niagara Falls, ON L2E 6X5 web site: www.city.niagarafails.on.ca Tel: (905) 356-7521 Fax: (905) 356-2016 E-mail: kburden@city.niagarafalls.on.ca F-200'1-2'1 Ken Burden Director March 19, 2001 Alderman Wayne Campbell, Chair and Members of the Corporate Services Committee City of Niagara Falls, Ontario Members: Re: F-2001-21 - Municipal Accounts RECOMMENDATION: That Council approve the municipal accounts totalling $1,705,058.84 for the period ending March 19, 2001. 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: Edward P. Lustig Chief Administrative Officer Approved by: T. Ravenda Executive Director of Corporate Services KEB:jd Working Together to Serve Our Community Clerk's Finance Human Resources Information Systems Legal Planning & Development CITY OF NIAGARA FALLS BY-LAW NO. 2001- A by~law to authorize the payment of $1,705,058.84 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 March 19, 2001. CHEQUE NUHBER PAY TO THE ORDER OF AMOUNT PURPOSE 258645 126 SQUADRON AIR CADETS 48.60 258549 1314540 ONTARIO INC 10,103.05 258520 407 ETR - EXPRESS TOLL ROUTE 8.81 258546 461426 ONTA~I0 LIMITED 18,281.10 258548 738055 ONTARIO INC 5,576.82 JAN-DEC/2000 INTEREST PAID-FINANCE ARB #1178433 1317362 MILEAGE-FIRE 442 APPEAL 2000-120.120A, 120B ARB #1297295 258513 A&A POWER TOOL REPAIR 133.37 258392 ACRES & ASSOCIATED ENVIRO LTD 14,721.27 258391 ADVANCED SAFETY PRODUCTS INC 83.11 258382 AFFILIATED CUSTOMS BROKERS LTD 191.53 258670 AIR CARE SERVICES 283.72 258519 AIR CA. RE SERVICES 2,123.87 258507 ALISON'S SPORTS & AWA~P~DS 31.22 258531 ALL STAR FIRE PROTECTION INC 214.00 258526 ANICOM INC. 243.23 258499 ARCHER TRUCK SERVICES LTD 2,009.88 258386 ATHLETICA INC 1,207.84 258550 ATKINSON ROBERT 216.44 258565 AUTOGRAPHIX 310.50 EQUIPMENT MAINTENAMCE-GARAGE CONSULTING FEES-MUN. WORKS PROTECTIVE EQUIPMENT-STORES BROKERAGE FEES-GARAGE BUILDING MAINTENANCE-ARENAS BUILDING MAINTENANCE-ARENAS AWARDS-HUMAN RESOURCES BUILDING MAINTENANCE-ARENAS MAINTENANCE SUPPLIES-MUN. WORKS AUTOMOTIVE PARTS-STORES MAINTENANCE SUPPLIES-ARENAS TAX O/P REFUND VEHICLE LETTERING-FIRE 258404 B.M. AWNINGS 59.76 258540 BALDINELLI LOUIE 107.10 258660 BARCLAY & TODD'S 240.82 258501 BARCLAY & TODD'S 111.75 258536 BATEMAN, DOLORES 85.00 258397 BEATTIES BASICS 1,642.99 258570 BEATTIES BASICS 12,161.60 258383 BELL CANADA 1,495.65 258454 BELL MOBILITY 3,032.10 258560 BELL CANADA 1,462.71 258535 BENCON DESIGN/BUILD LTD 599.34 258577 BETTER SHADE 341.55 258661 BICKLE MAIN INDUSTRIAL SUPPLY 1,154.53 258393 BOB ROBINSON & SON CONST. 599.20 258517 BOLIBRUCK BOB 64.47 258500 BROCK AUTOMOTIVE 44.01 258658 BUNTIN REID 326.70 258495 BUNTIN REID 102.55 258559 BUTTERWORTHS CANADA LTD 155.79 TENT REPAIRS-CEMETERY TRAVEL EXPENSE-BUILDING OFFICE SUPPLIES-VARIOUS OFFICE SUPPLIES-VARIOUS REIMBURSEMENT MILEAGE-FEB/2001 OFFICE SUPPLIES-VARIOUS OFFICE FURNITLrRE-pLANNING TELEPHONE CHARGES-VARIOUS CELLULAR CHARGES-VARIOUS TELEPHONE C~L~RGES-VARIOUS SERVICE DEPOSIT REFUND WINDOW COVERING-pLAITNING MAINTENANCE SUPPLIES-STORES EQUIPMENT RENTAL-FIRE MILEAGE ALLOWANCE-JAN/FEB/2001 AUTOMOTIVE SUPPLIES-GARAGE OFFICE SUPPLIES-VARIOUS OFFICE SUPPLIES-VARIOUS PUBLICATIONS-LEGAL 258456 C.N. WATSON AND ASSOCIATES LTD 6,658.12 258552 CANADA LAW BOOK INC 140.70 258637 CANADIAN MICRO SOFTWARE INC., 10,532.81 CONSULTING SERVICES-MUN. WORKS BOOK PURCHASE-LEGAL COMPUTER SERVICES-MUN. WORKS Page I of 6 258510 258673 258405 258496 258668 258669 258532 258678 258511 258544 258506 2'58576 258675 258567 258574 258615 258580 258657 258639 258562 258667 258547 258679 258530 258676 258666 258514 258557 258691 258545 258529 258467 258542 258388 258523 258656 258643 258493 258674 258490 258677 258534 258512 258561 258528 258568 258538 258684 258551 258569 258515 258663 258504 258683 258685 CANADIAN LINEN & UNIFORM CANRICK MARZENNA CANSWELL CASHWAY BUILDING CENTRES CASTLE pLUMBING & HEATING INC. CELLULAR CONCEPTS CENTRAL TOWING SERVICES CERIDIAN PERFORMANCE PARTNERS CH2M GORE & STORRIE LTD CHAM SHAN TEMPLE CHAMPION ROAD MACHINERY SALES CIT FINANCIAL LTD CITY OF PORT COLBOR/~E CITY OF ST. CATHARINES CITY TREASURER CITY TREASURER CLARICA LIFE INSURANCE COMPANY CLAYDON JEFF COLLINS SAFETY COMMERCIAL PHOTO COPY LTD CONSOIL QUALITY CONTROL CONTE JAMES IN TRUST COOPER LESLIE R COPYMAN PRINT SHOP CRAWFORD ADJUSTERS CANADA CREDIT UNION CENTRAL ONTARIO CSDC SYSTEMS INC CUPE LOCAL 133 CUPE LOCAL 133 D'ABRAMO JOSEPH & BRENDA DARRALL, BOB DAVID SCHRAM & ASSOCIATES DEMKO SUSAN ESTATE OF DEMOL'S TIRE SALES & SERVICE DHL CUSTOMS BROKERAGE LTD. DOUGLAS JAMIE DR. R. M. ROMAN DREN KARL DREW CANADA DUJLOVIC ED DUOCOM E3 LABORATORIES EMERALD ENBRIDGE ENDUP. A CONSTRUCTION LTD. ENGINEERING CONCEPTS NIAGARA ETHERINGTON DAVE EVANS UTILITY SUPPLY LTD EVANS UTILITY SUPPLY LTD FALLS ELECTRIC INC FIRESERVICE MANAGEMENT LTD FLEXO PRODUCTS LTD FLEXO PRODUCTS LTD FORTUNA EVA GABRIELE'S CUSTOM CATERING 246.79 108.95 297.94 221.92 337.00 166.13 32.10 6,259.50 10,129.37 36,466.00 4,715.00 3,182.63 50.00 250.00 1,020.98 780.00 4,137.21 85.58 1,000.58 86.25 560.15 350.60 220.23 46.00 1,784.95 2,808.25 18,472.25 1,817.35 1,844.48 607.13 71.25 8,370.08 265.29 5,636.04 12.40 94.63 300.00 128.18 267.50 197.55 684.25 1,174.06 420.90 33,081.05 548.16 254.13 197.93 652.05 5,858.10 115.56 542.03 1,127.57 838.23 31.52 218.75 Page 2 of 6 SAFETY MATS-V/%RIOUS MILEAGE ALLOWANCE-FEB/2001 pI/BLICATIONS-FIRE BUILDING MATERIALS-VARIOUS OVERPAYMENT-MUN. WORKS CELLULAR EQUIPMENT-VARIOUS TOWING SERVICE-GARAGE CONTRACT SERVICES-H. RESOURCES PROFESSIONAL SERVICES-MUN. WORKS 442 APPEAL 2000-115 EQUIPMENT RENTAL-MUN. WORKS CONTRACT SERVICE-ARENAS SEMINAR FEE-H. RESOURCES TRAINING PROGRAM-FIRE REIMBURSEMENT PETTY CASH-FINANCE SEARCH FEES-LEGAL LTD PREMIUM FOR MARCH/2001 MILEAGE-JAN-FEB/2001 SAFETY SHOES-FIRE OFFICE SUPPLIES-VARIOUS TESTING-MUN. WORKS ARB ~181962 175100 1211015 WATER O/P REFUND OFFICE SUPPLIES-VARIOUS INSUP3%NCE CLAIMS-LEGAL REFUND PAYMENT MADE IN ERROR COMPUTER SERVICES-INFO. SYSTEMS UNION DUES UNION DUES 442 APPEAL 2000-117 MILEAGE ALLOWANCE-JAN-FEB/2001 CONSULTING SERVICES-PARKS 442 APPEAL 2000-107 TIRE SALES & SERVICE-GARAGE BROKERAGE FEES-MUN. WORKS MILEAGE-JAN-FEB/2001 HEALTH SERVICES-H. RESOURCES MILEAGE ALLOWANCE-FEB/2001 WATER TREATMENT PROGRAM-ARENAS MILEAGE ALLOWANCE-FEB/2001 COMPUTER SUPPLIES-VARIOUS WATER TESTING-MUN. WORKS BUILDING MAINTENANCE-FIRE NATURAL GAS CHARGES-VARIOUS STREET LIGHTING-MUN. WORKS ENGINEERING SERVICES-ARENAS MILEAGE ALLOWANCE-FEB/2001 PLUMBING SUPPLIES-MUN. WORKS PLUMBING SUPPLIES-MUN. WORKS ELECTRICAL SUPPLIES-VARIOUS PROTECTIVE CLOTHING-FIRE JANITORIAL SUPPLIES-VARIOUS JANITORIAL SUPPLIES-VARIOUS WATER O/P REFUND CATERING SERVICE-CITY HALL 258680 258533 258396 258389 258563 258681 258401 258573 258665 258672 258525 258394 258503 258626 258648 258395 258564 258390 258488 258686 258541 258433 258622 258613 258616 258431 258414 258579 258502 258421 258649 258640 258464 M93224 258422 258440 258415 258487 258623 258427 258598 258494 258527 258614 258439 258589 258416 258647 M93227 258483 258424 258601 258471 GARLAND M S DR GEORGIAN BAY FIRE & SAFETY LTD GERRIE ELECTRIC WHOLESiLLE LTD GLADDING SALES AGENCY LTD GLADDING SALES AGENCY LTD GOOD JACQUELINE GRAFTON UTILITY SUPPLY LTD. GRAFTON UTILITY SUPPLY LTD. GRAND & TOY GRINNELL FIRE PROTECTION GRINNELL FIRE PROTECTION GROUND AERIAL MAINTENANCE LTD GUILLEVIN INTERNATIONAL INC H&I SERVICES HAM, PAUL ~L~RD ROCK PAVING CO. HECO HECO HICKEY NEAL HICKS MORLEY HAMILTON HOOVER NANCY INDUSTRY CANADA INETT INTERNET SOLUTIONS INFORMATION NIAGARA INTERNET COMMUNICATIONS ISECO INDUSTRIAL SAFETY EQUIP J. W. IVES ENTERPRISES J.J. MACKAY CANADA LTD JACK DOW AUTO SUPPLIES LTD. JOE JOHNSON EQUIPMENT INC JOHNSON, LORI JOUPPIEN J.K. JOUPPIEN J.K. JOUPPIEN J.K. KABAR INDUSTRIES LTD KATCH QUALITY COMMUNICATIONS KAUPP ELECTRIC LTD. KON, ADELE KONE INC. KRAFT GENERAL FOODS INC L. ST. AMAND ENTERPRISES L. WALTER & SONS EXCAVATING L. HALLAHAN EXCAVATING INC LAFARGE CANADA INC. LAFARGE CANADA INC. LATOPLAST LTD. LATOPLAST LTD. LIGHTFOOT, LORI LMCBO SPRING 2001 WORKSHOP M.F.S.I.A. MACKENZIE JOAN MACKENZIE JOAN MALTBY, SUSAN L. 20.00 666.13 986.10 2,833.26 488.44 139.42 44.71 379.57 3,986.45 180.55 198.32 253.92 2,090.67 1,848.05 19.75 14,413.87 260.01 693.36 60.00 6,393.35 251.77 6,297.00 1,437.30 59.00 96.19 110.39 963.98 109.26 25.77 592.10 40.00 2,107.35 2,602.90 9,324.31 362.25 402.50 259.21 127.80 744.21 3,934.33 1,016.50 4,018.92 6,821.25 864.15 551.07 70.38 855.95 88.22 425.00 107.50 1,575.00 750.00 12,840.00 Page3 of 6 CERTIFICATE-FIRE SAFETY SUPPLIES-FIRE ELECTRICAL SUPPLIES-STORES pLUMBING SUPPLIES-VARIOUS PLUMBING SUPPLIES-MUN. WORKS WATER O/P REFUND HARDWARE SUPPLIES-STORES HkRDWARE SUPPLIES-STORES OFFICE SUPPLIES-VARIOUS FIRE PROTECTION-ARENAS EXTINGUISHER MAINTENANCE-FIRE STREET LIGHTING REP-VARIOUS HARDWARE SUPPLIES-FIRE COMPUTER SUPPLIES-VARIOUS MILEAGE-FEB/2001 SALT-MUN. WORKS BUILDING MAINTENANCE-ARENAS BUILDING MAINTENANCE-ARENAS MEAL ALLOWANCE-FEB/2001 PROFESSIONAL SERVICES-LEGAL REFUND SEWER CLEANING-MUN. WORKS LICENCE RENEWAL-GARAGE INTERNET USAGE-INFO.SYSTEMS WORKSHOP-PARKS & REC INTERNET USAGE-INFO. SYSTEMS SAFETY SHOES-FIRE AUTOMOTIVE SUPPLIES-STORES METER pARTS-PARKING AUTOMOTIVE SUPPLIES-FIRE EQUIPMENT PARTS-FIRE WATER O/P REFUND RESTORATION SERVICES-FRALICK'S RESTORATION SERVICES-FRALICK'S RESTORATION-FRALICK'S F~%RDWARE-STORES ANSWERING SERVICES-MUN. WORKS puMP REPAIRS-ARENA MILEAGE-FEB/2001 CONTRACT SERVICES-CITY STEAM -JAN/2001 EQUIPMENT RENTAL-SANITATION CONTRACT SERVICES-STREETS CONTRACT SERVICES-MUN. WORKS GRANULAR "A" STONE GP~ "A" STONE PROTECTIVE WEAR-STORES PROTECTIVE WEAR-STORES MILEAGE-JAN-FEB/2001 LMCBO SPRING 2001 WORKSHOP-BUILD MEMBERSHIP FEES-FIRE CONTRACT SERVICES-STREETS CONTRACT SERVICES-STREETS CONSULTING SERVICES-PARKS 258620 258442 258462 258482 258443 258469 258609 258632 258591 258430 258638 258688 258554 258472 258594 258408 258491 258581 258470 258455 258465 258417 258662 258692 258558 258418 258463 258571 258553 258583 258584 258410 M93225 258603 258411 258687 258628 258621 258398 258606 258409 258634 258484 258543 258458 258608 258617 258610 258593 258646 258477 258460 258412 258605 258498 258607 MARG D HINTON & ASSOC INC MAVES, DIANNE MAXILL INC. MCCAULEY, D. MCGARRY PHOTO MCNAMARA, SUSAN MEOA MICROAGE MICRON HOME IMPROVEMENTS MINISTER OF FINANCE MINISTRY OF AGRICULTURE MINISTRY OF ATTORNEY GENERAL MINISTRY OF ATTOP/qEY GENERAL MINISTRY OF MUNICIPAL MODERN LANDFILL INC MODERN CRANE RENTALS LTD. MONTELEONE, SAM MONTGOMERY BROS. MOTTLEY, SYLVIA MUIR CAP & REGALIA LTD MUNICIPAL ASSOCIATES MY COUNTRY DELICATESSEN NEDCO NF. FIRE FIGHTERS NF. FIRE FIGHTERS NIAGAP. A SHEET METAL NIAGAP~AENGINEERING WEEK NIAGA-~ FALLS HYDRO ELECTRIC NIAGARA CREDIT UNION NIAGARA FALLS HYDRO NIAGA~BLOCK INC NIAGARA RENT-ALL SERVICE LTD. NIAGAP~A REGIONAL INTERNATIONAL NIAGARA TP. ANSIT NIAGAR3% SPRING SERVICE LTD. NIAGARA CREDIT UNION NIAGARA BOOKS & ART NIAGAR3~ CP~ACK SEALING NIAGARA FALLS HYDRO ELECTRIC NIAGARA FALLS HU~ SOCIETY NIAGAR3~ FALLS HYDRO NIAGARA INDUSTRIAL SUPPLIES NORTON, G NORTON ADVANCE CERAMICS O.A.P.S.O. OMERS ONTARIO ASSOCIATION OF ONTARIO TRAFFIC CONFERENCE ONTARIO WATER WELL PACKET WORKS INC., PATTERSON, PAUL PENINSULA DIESEL & EQUIPMENT PENINSULA COMMUNICATION PENNER BUILDING CENTRE PERFECTION PLUS INC PHILIPS ENGINEERING 497.90 90.00 138.03 500.00 82.80 75.00 100.00 333.50 905~22 9,600.00 120.00 1,476.99 1,472.57 8,788.50 548.80 1,966.13 100.00 4,464.59 70.00 169.17 9,375.00 230.00 106.61 2,305.92 2,305.92 132.25 200.00 1,297.72 16,060.00 68,712.30 12.60 362.11 140.00 180,000.00 299.00 16,060.00 493.63 4,682.61 40.90 675.00 89.06 17.37 500.00 182,431.59 1,390.00 10,777.81 200.00 813.20 5,878.31 28,577.50 95.85 1,748.00 229.88 1,139.19 422.65 14,570.76 TITLE SEARCH FEE-LEGAL MILEAGE-FEB/2001 PROTECTIVE WEAR-FIRE FIRE COLLEGE COUNSE CAMERA SUPPLIES-FIRE MILEAGE-FEB/2001 MEMBERSHIP RENEWAL-MUN.WORKS PRINTER-INFO. SYSTEMS WINDOW INSTALLATIONS-ARENAS MARRIAGE LICENCES-CLERKS CONFERENCE-BUILDING PAYROLL REMITTANCES PAYROLL REMITTANCES TAX O/P REFUND CONTRACT SERVICES-VARIOUS EQUIPMENT RENTAL-STREETS REIMBURSEMENT FOR SAFETY SHOES CONTRACT SERVICES-SANITATION MILEAGE-FEB/2001 UNIFORM ACCESSORIES-FIRE ORACLE SOFTWARE-CEMETERY MEETING EXPENSE-MAYOR'S ELECTRICAL PARTS-STORES PAYROLL REMITTANCES PAYROLL REMITTANCES MATERIALS-ARENAS TABLE pURCHASE-MUN. WORKS WATER OVERPAYMENTS TO HYDRO PAYROLL REMITTANCES ELECTRICITY CHARGES-VARIOUS PIT SAN~D-MUN. WORKS EQUIPMENT RENTAL-FIRE BOWLING TOURNAMENT MARCH ALLOCATION AUTOMOTIVE SUPPLIES-GARAGE pAYROLL REMITTANCES PICTORIAL BOOKS-MAYOR'S LIEN HOLDBACK RELEASE WATER O/P REFUND DOG TAG REMITTANCES-FEB/2001 ELECTRICITY CHARGES-VARIOUS MAINTENANCE PARTS-MUN. WORKS FIRE COLLEGE COURSE-FIRE 442 APPEAL 2000-107 ARB #181893 OAPSO TRAINING-BUILDING APRIL PREMIUMS MEMBERSHIP RENEWAL-PLA~VNING MUNICIPAL WORKSHOP-MUN.WORKS LANDFILL REHABILITATION EQUIPMENT-INFO. SYSTEMS WATER O/P REFUND EMISSIONS TESTING-GARAGE SECURITY SYSTEMS-ARENAS LUMBER MATERIALS-CHIPPAWA ARENA CLEANING SERVICES-VARIOUS CONSULTING SERVICES-MUN.WORKS Page 4 of 6 258438 2586T2 258644 258473 258619 258636 258459 258419 258590 258595 258475 258641 258689 258555 258659 258466 258497 258468 258596 258451 258539 258489 258597 258592 258445 258509 258625 258611 258618 258537 M93223 258585 258457 258690 258629 258479 258432 258630 258582 258399 258572 258602 258474 258478 258655 258578 258406 258452 258476 258449 258631 258633 258446 258600 pRAXAIR PROSECUTORS ASSOCIATION OF QL SYSTEMS LIMITED QS2 QUALITY & CONTINUOUS RECEIVER GENERAL OF CANADA RECEIVER GENERAL OF CANADA REGIONAL MUNICIPALITY OF NIAG REGIONAL MUNICIPALITY OF REGIONAL MUNICIPALITY OF NIAG REGIONAL MUNICIPALITY OF RIDGEMOUNT QUARRIES LIMITED RODGERS, G RONALD C ELLENS APPRAISALS INC SCARINGI, VITO SCHLUMBERGER CANADA LIMITED SECURITY LINK SHERWIN-WILLIAMS SIGNATURE SIGNS SPECTP~A PRECISION ST. JOHN AMBULANCE NIAGARA STAMFORD LIONESS CLUB STAMFORD LIONS CLUB STAMFORD LIONESS CLUB STAR COLLISION SERVICE STEED & EVANS SUMLIFE TALK WIRELESS INC TD BANK FINANCIAL GROUP TECH/~ICAL STANDA/~DS & SAFETY TERRAPROBE THE REVIEW THE COMMISSIONAIRES THE COMMISSIONAIRES THE PEPSI BOTTLING GROUP THE RITZ MOTEL CONSTRUCTION TORONTO BLUE JAYS TOTH, STEVE TOTTEN SIMS R/3BICKI ASSOCIATES TOTTEN SIMS HUBICKI ASSOCIATES TOWERTROPOLIS INC., TRACEY J. MIDDLETON COLLINI TRI-MEDIA MARKETING & TRIMAC UNIFORM GROUP INC., THE UNI3M LIFE INSLrRANCE COMPANY URISA 399.82 64.14 569.25 75.00 360.80 40.50 40.50 26.13 235.81 162.64 54.33 4,815.00 139,497.31 137,990.16 4,943.82 201,054.71 8,774.00 350.00 1,311.01 45.00 749.00 141.38 115,913.89 83.59 479.40 580.75 1,569.75 370.00 100.00 470.00 1,769.04 4,420.67 15,928.34 2,358.51 173.66 742.04 110.00 5,583.05 5,345.11 6,229.37 19,066.65 445.50 2,072.00 7,000.00 246.71 9,358.47 14,400.45 1,179.00 685.84 1,016.50 297.08 756.08 3,101.48 60.00 CYLINDER RENTAL-VARIOUS CYLINDER RENTAL-VARIOUS PARKING DISPLAY EQUIPMENT-PARKING MEMBERSHIP RENEWAL-BUILDING PUBLIC AArNOUNCEMENT-LEGAL BOTTLED WATER-LEGAL BOTTLED WATER-VARIOUS COURIER CHARGES-VARIOUS COURIER CHARGES-VARIOUS QUICK LAW SERVICE-LEGAL DEPT WATER OVERPAYMENT REFUND SERVICE TRAINING-N. RESOURCES PAYROLL REMITTAMCES PAYROLL REMITTANCES SIGNAL REPAIRS-TRAFFIC DEBENTURE PAYMENT COLLECTION PROCESS FEES-MUN. WORKS WEST MEADOW PLAN 2 EXT.-pLANNING GRANULAR "A" STONE COURSE MAR.19-FIRE PROFESSIONAL SERVICES-PLANNING MILEAGE-FEB/2001 WATER METER INSTALLATION SECURITY SYSTEM-CITY HALL PAINT SUPPLIES-STORES REFURBISHING SIGN-LEGAL COMPUTER EQUIPMENT-MI/N. WORKS FIRST AID COURSE-FIRE DONATION-CHILI FEST-MAYOR'S EMPLOYEE SOCIAL NIGHT EMPLOYEE'S SOCIAL EVENING VEHICLE REPAIRS & PAINT-GAP, AGE LIEN HOLDBACK RELEASE BENEFITS EXPENSES-H. RESOURCES RADIO REPAIRS-FIRE TAX O/P REFUND LICENCE RENEWAL-CORONATION CENTRE CONTRACT SERVICES-LANDFILL PUBLIC ANNOUNCEMENTS-VARIOUS COMMISSIONAIRE SERVICES-CITY HALL COMMISSIONAIRE SERVICES-MUN. WORKS CONCESSION SUPPLIES-ARENAS AppP~AISAL FEES-PLA~-NING BLUE JAYS TICKETS-MAYOR'S MILEAGE-FEB/2001 CONSULTING SERVICES-MUN. WORKS CONSULTING SERVICES-MUN. WORKS APPRAISAL FEES-pLANNING TAX O/P REFUND MEDIA DESIGN-COMM. SERVICES FUEL-FIRE UNIFORM ApPAREL-FIRE DEC/2000 PREMIUMS-H. RESOURCES MEMBERSHIP DUES-INFO. SYSTEMS Page 5 of 6 258413 258485 258486 258587 M93226 258480 258429 258664 258505 258450 258624 258448 258426 258586 258453 M93228 258420 258588 258652 VINELAND QUARRIES W.H. REYNOLDS WAGG, E. WALKER BROTHERS QU/LRRIES LTD. WATERLOO FIRE DEPARTMENT WATMEC WATT, DAVID WESTBURNE RUDDY ONTARIO WESTBUtANE RUDDY ONTARIO WILLIAMS COMMUNICATIONS WILLIAMS COMMUNICATIONS WILSON, DAN WINGER, TERRY (CARETD~KER) WORK WEAR (HAMILTON) WRIGHT FUELS INC. WSIB WSIB YAP/qELL OVERHEAD DOOR ZAPPITELLI, S & A 8,537.51 4,790.90 202.45 929.23 70.00 1,701.30 81.81 454.25 2,656.04 488.75 211.60 100.00 65.00 64.18 14,739.91 7,591.35 2,912.28 88.54 20.93 GRANULAR "A" STONE BLEACHERS-CHIPPAWAARENA MILEAGE-JAM-FEB/2001 GRANULAR "A" STONE REGISTRATION FEES-FIRE REGISTRATION FEES-pLANNING MILEAGE-FEB/2001 ELECTRICAL PARTS-STORES ELECTRICAL SUPPLIES-STORES TELEPHONE SYSTEM-PLANNING TELEPHONE SYSTEM-CITY REIMBURSEMENT FOR SAFETY SHOES FEB 2001 WAGES CLEANING MATERIALS-PRINT SHOP FUEL-STORE PAYMENTS TO FEB.28/01 PAYMENTS TO FEB 19 DOOR REPAIRS-FIRE WATER O/P REFUND TOTAL $1t705,058.84 PASSED THIS 19th DAY OF MARCH, 2001. E. C. WAG~, CITY CLERK WAYNE THOMSON, MAYOR FIRST READINg: , 2001. SECOND READING: , 2001. THIRD READING: , 2001. Page 6 of 6 The City of ~gara Falls ~dnada Corporate Services Department Finance 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) 356-2016 kburden@city.niagarafalls.on.ca Alderman Wayne Campbell, Chair and Members of the Corporate Services Committee City of Niagara Falls, Ontario March 19, 2001 F-2001-22 Kenneth E. Burden Director Members: Re: F-2001-22 - 2001 General Purposes Budget RECOMMENDATION: That the Corporate Services Committee approve the 2001 General Purposes Budget. BACKGROUND: The Chief Administrative Officer directed Staff to prepare the 2001 General Purposes Budget in compliance with City Council's goal "to make every effort to maintain current levels of service without placing an increased burden on the City's Taxpayers". Staff has cooperatively prepared an operating plan for 2001 that will restrain expenses, increase non-levied revenues, and match taxation revenues to tax-supported services. Staff has prepared a number of operation assumptions to address the several challenges in preparing the 2001 Budget. These assumptions are the building blocks upon which the Budget has been built. Addendum 1 is a summary of the 2001 Budget. The tab sections following provide more information for Revenues and Expenses. REVENUES TAXATION: ASSESSMENT AND TAXATION Since 1998, taxation reform has been implemented through several legislation measures. Along with the original Fair Municipal Finance Act, the Province has passed a number of successive Acts to address the impacts of the reform. Also, the Minister of Finance has issued several regulations to instruct municipalities how to use the new legislation. During the past three years, current value assessment of properties has been introduced and supplemented via the provincially mandated program to cap assessment increases. For 2001, the current value assessment has been updated to a valuation date of June 30, 1999 (previous valuation as of June 30, 1996). Staff has prepared an analysis (see attachment "B") of the assessment roll for 2001 in comparison to the assessment roll for March 19, 2001 - 2 - F-2001-22 the previous year. The overall increase of 12.1% directly relates to the updating of the market values for each of the properties in all of the assessment classes and includes an increase (2.3%) for new assessment. The analysis shows the change in value and in percent for each assessment class. On December 4, 2000, the provincial government passed the "Continued Protection for Property Taxpayers Act" to complete the phase-in of current value assessment. The key elements of the legislation include: - continuing the capping program for Multi-Residential, Commercial and Industrial classes, - implementing the program on an upper tier basis, - eliminating the frozen assessment listing as a basis for calculating maximum taxes, - protecting ratepayers from excessive increases no matter how they were caused, - introducing greater local flexibility to tailor the program to local circumstances, - re-working the rebate program to compliment the tax mitigation program, and - having a well-designed communications and training program. Staffhas prepared the taxation revenue using the November 2000 Assessment Roll for the 2001 taxation year which includes the current value assessment as of June 30, 1999. Staff has used the 1998 Regional tax policy which will necessarily be revised to accommodate the new tax legislation and regulations coming from the province. Staff has also used the Regional theoretical tax ratios to calculate the 2001 total levy for both General and Urban Service Area taxation. The General taxation portion of the total revenue is $27,394,000; approximately $2,938,000 more than 2000. The Urban Service Area taxation portion is $4,141,000; approximately $459,000 more than 2000. The total increase of approximately 12.1% includes tax revenue from assessment growth and a levy increase of $1.9 million (which represents a 6.5% increase in the City's portion of the taxpayers' 2001 Property Tax Billing). This approach will approximate the Council's objective to match the City's taxation revenues to the costs of the tax-supported services. TAXATION: PENALTIES AND INTEREST Effective July I, 1998, the Committee approved a one and one-quarter percent (1-1/4%) per month for the penalty and interest rates. Staffhas estimated a decrease ($270,000) in this revenue due to improved collection of tax arrears and improved economic conditions for taxpayers. Staff will continue to place a high priority on collection of taxes with consideration for taxpayers in payment arrangements. PAYMENTS IN LIEU OF TAXATION Provincial regulations govern the weighted sharing of payment in lieu of taxes paid to municipalities for tax exempt properties. The City's revenue has been conservatively calculated to reflect the migration of revenues from the lower tier to the upper tier. This migration is caused when the Region's tax rate is greater than the City's tax rate. Staff has not included any adjustment to the sharing relationship for 2001. March 19, 2001 - 3 - F-200~-22 Staff has included the new Compensation payment from the Ontario Lottery and Gaming Corporation, OLGC, as per the Reciprocal agreement between the City and the OLGC. These payments are to be received monthly and total $2,600,000 per year. GRANTS AND SUBSIDIES Local Services Realignment included the allocation of the Community Reinvestment Fund (CRF), a provincial grant to assist municipalities with the costs of transferred responsibilities. The City's allocation of $1,395,000 from the CRF is included for 2001. Staffanticipates the successful award of a one-time grant from Ontario Power Generation Co. (formerly a part of Ontario Hydro). However, due to the restructuring of the company and the deregulation of the electricity market, the grant may not be received in the year 2001. Staff has not included the grant due to the continuing uncertainty of its issuance. LICENCES, PERMITS, USER CHARGES, FEES, RENTALS Staff has investigated and prepared reports for the Council's consideration over the past several months. Where applicable, the approved increases to the Schedule of Fees for Services have been incorporated in the various revenue sources. For example, the increased rates for the 2000/2001 arenas' season are included. The most significant revenue impact will be the receipt of building permit fees relevant to the new Casino complex. Staff has conservatively estimated revenues of $2,160,000 over three years, starting in the summer of 2001. Due io the closure of the Montrose Landfill site, the City will no longer receive landfill tipping fees ($1,500,000 for 2000). City Council has approved a new user fee for waste management costs being billed to the City. Much like the water and sewer treatment services, the Region is now fully responsible for garbage and hazardous waste collection, disposal, and recycling. The new waste management fee is an annual charge passed on to the City's ratepayers who directly benefit from this Regional service. The total fees collected will be applied directly to paying the estimated costs of $4,059,600. INVESTMENT INTEREST The Committee has approved the City of Niagara Falls - Revenue Fund Investment Policy. Staff has included an increase of $125,000 in interest revenue through improved cash management and temporary investment. LAND SALES Staffhas included the anticipated proceeds of two land sales. A road allowance property should provide approximately $165,000 and a surplus lot property is expected to net $50,000. March 19, 2001 - 4 - F-2001-22 RESERVE FUNDS, RESERVES AND SURPLUS Staffhas included $200,000 for the purchase of two new Transit buses for Niagara Falls Transit from the City's Capital/Operating reserve fund. During 1999, the Niagara Falls Hydro paid out an outstanding debenture to the City's reserve funds. Staff has included $141,000 of that reserve fund to pay for the 2001 principal and interest payment. During 2000, the Niagara Falls Hydro was converted to an incorporated company. This conversion will provide new revenues to the City as owner of this company. However, due to delays in the deregulation of the electricity market and the uncertainty of provincial regulations, Staff has not included the potential revenue of $2,600,000. Staff has included contributions of reserves to offset specific expenses; for workplace safety insurance ($142,000), and benefits premium ($73,000). SUNDRY REVENUE As per the direction of the Regional Treasurer, Staffhas included a new revenue from the Provincial Offences Act (POA) Inter-Municipal Agreement. The agreement, approved in May 2000, provides a sharing of net revenue with the Region and the other Niagara municipalities. The City's share is approximately 9.6% of the POA revenues to be distributed. REVENUE SUMMARY Staff has examined all sources of revenue to maximize fimding without placing an increased burden on the City's Taxpayers. Despite the permanent loss of landfill tipping fees, total Revenue has increased from the significant gains realized from positive economic factors: taxation/assessment $1.5 million, compensatory revenues from the OLGC, Casino Building Permit fees, other Licence/Permit fees, Arena rentals, Land Sales and the new POA revenues. Taxation Revenue has been further increased by $1.9 million to match the additional costs of tax-supported services. EXPENSES SALARIES, WAGES AND BENEFITS During 1999, a three-year agreement was negotiated and ratified with the Canadian Union of Public Employees, Local 133. Staffhas included the approved 2001 salary/wage rates in the 2001 Budget. The total increase for CUPE and non-union salaries and wages is approximately $583,000. Staff has included a provision for additional complement to address the increasing demand for City services. Staff has also included a provision for contractual agreement with The Niagara Falls Professional Fire Fighters' Association which is presently without a contract for 1999, 2000 and 2001. March 19, 2001 - 5 - F-2001-22 Staffhas examined the costs for employee benefit plans and statutory contributions and has adjusted the costs in the 2001 Budget. Premium costs for benefit plans have increased effective September 1, 2000 for a one-year period. Canada Pension Plan contributions and Employment Insurance contributions have increased from rate increments and salary/wage adjustments. Staff has not included OMERS pension contributions as the contribution holiday will extend to December 31, 2001. Workplace Safety Insurance has significantly increased in costs due to the startup of a new reserve fund for the estimated actuarial liability and the 31% increase in WSIB Administration fees. Staff estimates a total increase of $474,000 for all of the employee benefit costs. MATERIALS AND SERVICES Staffhas included a general inflation rate increase of three pement for the 2001 costs for materials and services. Energy expenses were significantlyincreased (eg. natural gas 16%; gasoline and diesel fuel 37%) according to each of the relevant percent increases. General Insurance expense decreased for the 2001 policy tenn. However, City Council approved additional policy coverage which effectively used the reduction in premiums. Vehicle purchases for 2001 include $675,000 for fleet vehicles and a $250,000 contribution toward a new Fire Track. Waste Management services are estimated to increase by 19.9% due to the loss of the Montrose Landfill and that the Region is now fully responsible for garbage and hazardous waste collection, disposal, and recycling. CAPITAL CONTRIBUTION During 2001, Staff expects to use more long-term financing $3,980,000 ($2,626,000 for 2000) to assist the total operating contribution $2,140,000 ($1,652,000 for 2000) to the Capital Fund. Debenture borrowing will affect future debt obligations, however, the immediate financing will provide the necessary funding for priority capital projects. DEBENTURE DEBTREPAYMENT At December 31, 2000, the total debt outstanding was $4,114,730. During 2001, the contractual repayment of $2,034,620 includes a reduction of $1,694,340 in principal and an interest charge of $340,280. The new borrowings for 2000 Capital expenses will add approximately $398,000 annually to debt repayment. MUNICIPAL GRANTS TO AGENCIES, BOARDS AND COMMISSIONS During November 2000, the Committee received several requests fi:om Agencies, Boards and Commissions for continued funding. Staffhas included moist of these requests in the 2001 Budget. Staffreminds the Committee that the requests were previously referred to "final budget deliberations". The requests are listed under this section and total $6,494,000; a net increase of $199,800 fi.om 2000. March 19, 2001 - 6 - F-2001-22 EXPENSE SUMMARY Staff has examined all expenses to minimize costs without reducing services. Total Expense has increased from the realistic forecasts of inflationary and contractual increases ($2.1 million), additional capital contributions ($844,000), new debenture debt repayment ($398,000) and increases ($199,800) for Municipal Grants. CONCLUSION The Corporate Services Committee's approval of the 2001 General Purposes Budget is appreciated. The 2001 tax rate calculation will be made when the 2000 Surplus from General Purposes is known, and the 2001 Regional tax policy is finalized. Recommended by: K.E. Burden Director of Finance Approved by: T. Ravenda Executive Director of Corporate Services Respectfully submitted: E.P. Lustig Chief Administrative Officer KEB:jd ATTACHMENT 'A' CITY OF NIAGARA FALLS EXPENSE and REVENUE SUMMARY GENERAL PURPOSES BUDGET 2001 BUDGET EXPENSE 2000 BUDGET 2001 BUDGET BUDGET BUDGET $ VARIANCE % VARIANCE COMMUNITY SERVICES Expenditures Revenues Net Expense CITY COUNCIL, MAYOR'S OFFICE, AGENCIES, BOARDS, and COMMISSIONS C, HIEF ADMINISTRATOR'S OFFICE and CORPORATE SERVICES Expenditures Revenues Net Expense 31,764,600 34,049,000 2,284,400 7.2% 8,451,500 10,537,000 2,085,500 24.7% 23,313,100 23,512,000 196,900 0.9% 6,798,400 6,494,000 (304,400) -4.5% 11,832,000 13,395,000 1,563,000 13.2% 1,074,500 1,168,000 93,500 8.7% 10,757,500 12,227,000 1,469,500 13.7% REVENUE TAXATION REVENUE PAYMENTSIN LIEU REVENUE GRANTS AND SUBSIDIES REVENUE OTHER REVENUE 29,891,000 33,018,000 3,127,000 10.5% 4,066,000 6,748,000 2,682,000 66.0% 1,461,000 1,459,000 (2,000) -0.1% 5,451,000 1,008,000 (4,443,000) -81.5% SURPLUS or (DEFICIT) 0 (0) 0 0.0% ATTACHMENT 'B' CITY OF NIAGARA FALLS PROPERTY ASSESSMENT COMPARISON OF ASSESSMENT ROLLS FOR THE 2000 AND 2001 TAXATION YEARS Property Assessment Class 2000 2001 Change Change Assessment Assessment Assessment Assessment Amount Amount Amount Percent Residential/Farm Multi-Residential Commercial Industrial (Residual) Large Industrial Pipeline Farmland Managed Forest 2,916,426,425 3,194,486,123 278,059,698 9.53% 131,058,503 140,553,470 9,494,967 7.24% 1,022,506,120 1,248,376,061 225,869,941 22.09% 82,301,072 63,367,366 (18,933,706) -23.01% 23,287,600 21,439,329 (1,848,271) -7.94% 24,150,200 36,222,300 12,072,100 49.99% 14,494,940 18,745,345 4,250,405 29.32% 249,500 246,800 (2,700) -1.08% TOTALS 4,214,474,360 4,723,436,794 508,962,434 12.08% 37 38 ' 39 41 42 43-45 47 Pg. ref. 5 6 CITY OF NIAGARA FALLS COMMUNITY SERVICES STATEMENT OF EXPENSE 2001 BUDGET COMMUNITY SERVICES OFFICE BUSINESS DEVELOPMENT FIRE SERVICES 7 Administration 8 Training 9 Prevention lo Communications 11 Station No.1 12 Station No.2 13 Station No.3 Station No.4 15 Station No.5 16 Station No.6 Extra Duty Acting Rank 19 Other Wages 2O Fill-in BUILDING and BYLAW SERVICES 21 Building and Inspection 22 By-Law Services and Weed Control 2000 2001 BUDGET BUDGET BUDGET BUDGET $ VARIANCE % VARIANCE 231,000 238,300 7,300 3.2% 236,000 316,700 80,700 34.2% 821,890 938,800 116,910 14.2% 78,200 139,800 61,600 78.8% 334,500 339,700 5,200 1.6% 213,500 222,000 8,500 4.0% 4,713,750 4,756,500 42,750 0.9% 31,300 33,900 2,600 8.3% 26,200 27,200 1,000 3.8% 77,650 87,800 10,150 13.1% 57,650 60,300 2,650 4.6% 58,360 60,000 1,640 2.8% 27,000 27,000 0 0.0% 43,000 50,000 7,000 16.3% 17,000 18,000 1,000 5.9% 55,000 100,000 45,000 81.8% 6,555,000 6,861,000 306,000 4.7% 874,400 851,600 (22,800) -2.6% 215,700 264,400 48,700 22.6% 1,090,100 1,116,000 25,900 2.4% 2 Pg. re£ CITY OF NIAGARA FALLS COMMUNITY SERVICES STATEMENT OF EXPENSE 2001 BUDGET 2000 BUDGET 2001 BUDGET BUDGET BUDGET $ VARIANCE % VARIANCE MUNICIPAL SERVICES 23 Building Division - Properties 24 Road Maintenance 25 Traffic and Crossing Guards 26 Parking Control 27 Service Center Maintenance 28 Sidewalks 29 Road Overhead 3O Road Reconstruction 31 Engineering 32 Garage Operation; Replacement Eqmt. 33 Equipment Maintenance 34 Street Lighting 35 Storm Sewers 36 Waste Management PARKS, RECREATION, CULTURE 37 Cemeteries 38 Community Development & Landscape Design 39 Parks 4O Arenas/Pools Administration 41 Pools 42 Stamford/Jack Bell Arenas 43,44 Niagara Fails Memorial Arena 45 Concessions 46 Chippawa/Willoughby Arena 47 Lions Outdoor Rink 48,49 Special Events 745,300 757,700 12,400 1.7% 3,111,500 3,137,600 26,100 0.8% 802,900 1,034,900 232,000 28.9% 297,000 377,000 80,000 26.9% 637,500 624,500 (13,000) -2.0% 568,200 589,500 21,300 3.7% 681,600 764,900 83,300 12.2% 1,887,600 1,913,300 25,700 1.4% 1,878,300 1,924,400 46,100 2.5% 812,200 987,900 175,700 21.6% 1,051,600 1,077,300 25,700 2.4% 607,000 691,600 84,600 13.9% 1,404,500 1,419,800 15,300 1.1% 3,386,300 4,059,600 673,300 19.9% 17,871,500 19,360,000 1,488,500 8.3% 1,068,200 680 000 1,637 000 287 600 362 500 659 600 539 000 105 500 311 600 34,600 95,400 1,086,700 18,500 1.7% 817,600 137,600 20.2% 1,725,600 88,600 5.4% 334,100 46,500 16.2% 371,600 9,100 2.5% 685,600 26,000 3.9% 563,600 24,600 4.6% 106,600 1,100 1.0% 324,200 12,600 4.0% 36,500 1,900 5.5% 104,900 9,500 10.0% 5,781,000 6,157,000 376,000 6.5% 31,764,600 34,049,000 2,284,400 7.2% TOTAL COMMUNITY SERVICES EXPENSE 3 ref. 5O 51 52 CITY OF NIAGARA FALLS CITY COUNCIL, MAYOR'S OFFICE AGENCIES, BOARDS and COMMISSIONS STATEMENT OF EXPENSE 2001 BUDGET CITY COUNCIL MAYOR'S OFFICE N.F. HUMANE SOCIETY (includes pest control) N.F. TRANSIT COMMISSION NIAGARA C HAIR-A-VAN 3,54 N.F. RECREATION COMMISSION 55,56 N.F. ARTS & CULTURE COMMISSION NIAGARA AIRPORT COMMISSION 57 PERMISSIVE GRANTS N.F. LIBRARY BOARD 58 N.F. BOARD OF MUSEUMS N.F. ILLUMINATION BOARD N.F. TOURISM BUREAU GREATER NIAG. GEN. HOSP. FOUNDATION TOTAL CITY COUNCIL, MAYOR'S OFFICE, AGENCIES, BOARDS, and COMMISSIONS 2OOO BUDGET 200'1 BUDGET BUDGET BUDGET $ VARIANCE % VARIANCE 222,000 235,200 13,200 5.9% 233,000 239,000 6,000 2.6% 333,000 333,000 0 0.0% 1,802,700 1,298,500 (504,200) -28.0% 187,600 198,700 11,100 5.9% 427,250 441,500 14,250 3.3% 12,100 20,100 8,000 66.1% 64,100 76,900 12,800 20.0% 171,500 171,500 0 0.0% 2,145,900 2,271,400 125,500 5.8% 128,250 '137,200 8,950 7.0% 31,000 31,000 0 0.0% 940,000 940,000 0 0.0% 100,000 100,000 0 0.0% 6~798,400 6~494~000 (304,400) -4.5% 4 ref. CITY OF NIAGARA FALLS CHIEF ADMINISTRATOR'S OFFICE, and CORPORATE SERVICES STATEMENT OF EXPENSE 2001 BUDGET 2000 2001 BUDGET BUDGET BUDGET BUDGET $ VARIANCE % VARIANCE 176,000 181,000 5,000 2.8% 59 CHIEF ADMINISTRATOR'S OFFICE CORPORATE SERVICES 60 Administration 61 Finance Services 62 Fiscal Expense 63 Taxation Expense 64 Employee Benefits Expense 65 Human Resources Services 66 Workplace Safety Insurance 67 Modified Work Program Information Services 69 City Clerk Services 70 City Solicitor Services 71 Insurance Claims 72 Planning Services 73 Committee of Adjustment 347,999 367,000 19,001 5.5% 783,600 884,000 100,400 12.8% 1,462,100 2,162,600 700,500 47.9% 963,000 963,000 0 0.0% 4,144,000 4,108,000 (36,000) -0.9% 912,001 909,000 (3,001) -0.3% 0 510,000 510,000 100.0% 75,000 75,000 0 0.0% 758,000 877,500 119,500 15.8% 731,000 833,100 102,100 14.0% 442,300 454,000 11,700 2.6% 160,000 160,000 0 0.0% 868,000 897,500 29,500 3.4% 9,000 13,300 4,300 47.8% 11,656,000 13,214,000 1,558,000 13.4% 11,832,000 13~395~000 1,563,000 13.2% 50,395,000 53p938~000 3~542,999 7.0% TOTAL CAO and CORPORATE SERVICES GRAND TOTAL EXPENSE Z o o o B UJ UJ Z 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 oo 7 o~ 000000000000000000000000000 0000 00000000000~0000000000 o ~ oo~ ~ 0 0 LLI 0 0 o o o °o o~ g LU 0 0 0 0 0 lO o 12 14 LU UJ oooooo~oo~oooo ~ ~ ~ ? ~~ o 0 0 0 0 0 0 0 0 0 0 0 0 0 0 uJ ooooooGooo~Gooo ~ 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 ~ ~ 0 0 0 0 0 0 0 d o ~ ~ 0 0 0 0 0 ~ 0 0 0 0 0 0 0 000000~0000~00 0 O0 000000 0 21 c5 c5 c~ ~ 28 0 0 z ~ ~ q ~ q q q ~ ~ q q ~ q ~ ~ ~ q q q q ~ ~ ~--._ ...... ~ ~ .... 8 24 0000000000 0000000000 25 Z ~°°°°°°° ~ 00000000 o~o 000 °~°~ 26 ILl Z 0 0 0 0 27 28 0 0 LU 0 0 0 CD 0 0 0 ~L 2g 30 o LIJ z 0 0 0 0 IAI o o IAI o ~o o ~o o o o 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 34 Z o° g 0 0 ,'- 36 000000 0 ~ ° ~ ° ° ° ° °~ ° ° ~ ° ° ° ° ° ! 37 113 Ltl o o o o o o o o o o 0 0 o o ~ 0 0 0 38 Z 00000000 o 3g o~ o o 41 0 0 0 0 w ._~ ooo °o nO0~ ~ ooo~oooooooo~ 4-5 o o o o o o o o 8 ° ° ° ,3 ° o 8 4-6 0 o Z 47 00000000 00000000 Ill ~ ~ ~ ~ ~ ~ ~ o o ~ ~ o o ~ ~ o o o 48 0 0 0 0 0 0 0 0 0 0 0 0 0 0 ~ 0 0 0 0 0 0 0 0 0 ~ 0 ~ 0 0 0 0 0 4g z ~ E.B o ~ 52 0 0 I,LI Z Z Z o o 0 0 0 0 0 0 o o o o ~ E o o >- 54- oo 0 0 m UJ 156 CD 0 0 E 60 LIJ oo Z G2 0 0 0 0 00000 O0 oo 0 0 0 z 67 UJ Z I,LI o~ooo~oooooooooooo~oo ~ 0 0 0 ~ 0 0 0 ~ 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 ~ ~0 LIJ Z 7O 0 0 L) Z 72 0 0 '/3 74 o o ~ = ~ ~ 0 0 0 0 0 0 0 0 0 0 0 Z F- 0 0 0 0 --J-- ~ Z m- z ~ Z Z 75 > 5 o o z uJ 5o z ~ 3: ~ 76 -J Z r,, 0 LU 0 0 0 o~ o ~ ~- o ~- z ,~ ~ -~ z z z _ o ~ ~ o ~ >~ o o ~. ~ z ~- ~ o. z z z ~ 0 0 ~ ~ 0 0 0 _ -- 0 0 <<~- ~§ ~o o 77 '78 CITY OF NIAGARA FALLS STATEMENT OF REVENUE 2001 BUDGET pg. ref. TAXATION Property Taxation Penalties and interest on Taxes PAYMENTS IN LIEU Canada Ontario Municipal and Other GRANTS AND SUBSIDIES Canada Ontario Unconditional Ontado Specific Municipal SERVICES 5,6 Licences, Permits and Fees 7 User Rentals and Fees 8 OTHER Sales of Property and Equipment Contributions from Other Funds Contributions from Reserve/Surplus Sundry TOTAL REVENUE 2OOO BUDGET 2001 BUDGET BUDGET BUDGET $ VARIANCE % VARIANCE 28,138,000 31,535,000 3,397,000 12.1% 1,753,000 1,483,000 (270,000) -15.4% 85,400 93,000 7,600 8.9% 3,498,000 6,'187,000 2,689,000 76.9% 482,600 468,000 (14,600) -3.0% 0 0 1,395,000 1,395,000 0 0.0% 45,000 43,000 (2,000) -4.4% 21,000 21,000 0 0.0% 7,651,000 9,785,800 2,134,800 27.9% 1,875,000 1,919,200 44,200 2.4% 30,000 245,000 215,000 716.7% 4,181,600 341,000 (3,840,600) -91.8% 1,233,000 2'15,000 (1,018,000) -82.6% 6,400 207,000 200,600 3134.4% 50,395,000 53,938,000 3,543,000 7.0% CITY OF NIAGARA FALLS TAXATION REVENUE 2001 BUDGET 2000 BUDGET 2001 BUDGET BUDGET BUDGET $ VARIANCE % VARIANCE PROPERTY TAXATION Residential Multi-residential Commercial Industrial Large Industrial Pipeline Farmlands Managed Forests Local Improvements - General - Urban Service Area PENALTIES and INTEREST ON TAXES 15,529,000 17,455,000 1,926,000 12.4% 1,814,000 2,014,000 200,000 11.0% 8,550,000 10,02t,000 1,471,000 17.2% 1,536,000 1,327,000 (209,000) -13.6% 525,500 513,500 (12,000) -2.3% 166,500 185,500 19,000 11.4% 16,700 18,700 2,000 12.0% 300 302 2 0.5% 0 0 0 0 28,138,000 31,535,000 3,397,000 12.1% 1,753,000 1,483,000 (270,000) -15.4% 29,891,000 33,018,000 3,127,000 10.5% TOTAL TAXATION CITY OF NIAGARA FALLS PAYMENTS IN LIEU REVENUE 2001 BUDGET 2O00 BUDGET 2001 BUDGET BUDGET BUDGET $ VARIANCE % VARIANCE CANADA Federal Properties ONTARIO Ontario Highways & P.Works Ontario Housing International Bridges Ontario Hydro Niagara Parks Commission Ontario Lottery Gaming Corp. Niagara College Hospital MUNICIPAL and OTHER Niagara Falls Hydro Region Of Niagara Railways TOTAL PAYMENTS IN LIEU 85,400 93,000 7,600 8.9% 22,700 154,000 131,300 578.4% 380,700 380,000 (700) -0.2% 39,200 28,000 (11,200) -28.6% 1,976,800 2,081,000 104,200 5.3% 1,017,400 886,000 (131,400) -12.9% 0 2,600,000 2,600,000 100.0% 31,100.0 28,000 (3,100) -10.0% 30,100 30,000 (100) -0.3% 3,498,000 6,187,000 2,689,000 76.9% 155,700 17'1,000 15,300 9.8% 165,000 146,000 (19,000) -11.5% 161,900 15'1,001 (10,899) -6.7% 482,600 468,000 (14,600) -3.0% 4,066,000 6,748,000 2,682,000 66.0% 3 CiTY OF NIAGARA FALLS GRANTS AND SUBSIDIES REVENUE 2001 BUDGET 2000 BUDGET 2001 BUDGET BUDGET BUDGET $ VARIANCE % VARIANCE CANADA Canada Day Grant ONTARIO UNCONDITIONAL Community Reinvestment Fund ONTARIO SPECIFIC Aggregate Grants MUNICIPAL Region of Niagara 0 0 1,395,000 1,395,000 0 0.0% 1,395,000 1,395,000 0 0.0% 45,000 43,000 (2,000) -4.4% 45,000 43,000 (2,000) -4.4% 21,000 21,000 0 0.0% 1,461,000 1,459,000 (2,000) -0.1% TOTAL GRANTS and SUBSIDIES 4 CITY OF NIAGARA FALLS SERVICES REVENUE 2001 BUDGET 2OO0 BUDGET 2001 BUDGET BUDGET BUDGET $ VARIANCE % VARIANCE LICENCES, PERMITS, and FEES City Clerk Services Marriage Licences General Licences & Fees Lottery Licences Livestock Loss Claims Miscellaneous Finance Services Hunting Licences Tax Certificates Tax Information Investment Interest Miscellaneous City Solicitor Services Freedom of Information Fees Miscellaneous Building Inspection and Bylaw Services (New) Plumbing Permits Sewer Permits Building Permits Sign Permits Sundry Permits Conditional Permit Agreements Compliance Letters OHRP, RRAP Fees Miscellaneous Weed Control By-Law Convictions 17,000 18,000 1,000 5.9% 77,000 83,000 6,000 7.8% 485,000 447,000 (38,000) -7.8% 2,000 0 (2,000) -100.0% 2,000 1,000 (1,000) -50.0% 583,000 549,000 (34,000) -5.8% 400 300 (100) -25.0% 51,000 59,000 8,000 15.7% 16,000 24,000 8,000 50.0% 200,000 325,000 125,000 62.5% 121,700 61,700 (60,000) -49.3% 389,100 470,000 80,900 20.8% 0 800 800 100.0% 15,400 19,200 3,800 24.7% 15,400 20,000 4,600 29.9% 70,000 65,000 (5,000) 100.0% 50,000 42,000 (8,000) 100.0% 1,800,000 1,364,000 (436,000) 100.0% 25,000 31,000 6,000 100.0% 7,000 5,000 (2,000) 100.0% 100,000 34,000 (66,000) 100.0% 100,000 97,000 (3,000) 100.0% 10,000 4,000 (6,000) 100.0% 0 4,000 4,000 100.0% 7,000 8,000 1,000 100.0% 6,200 5,000 (1,200) 100.0% 2,175,200 1,659,000 (516,200) 100.0% 5 CITY OF NIAGARA FALLS SERVICES REVENUE (continued) 2001 BUDGET 2OOO BUDGET 2001 BUDGET BUDGET BUDGET $ VARIANCE % VARIANCE LICENCES, PERMITS, and FEES (continued) Fire Services Fire Route Signs Fire Highway Calls Alarm Systems Town of Lincoln Dispatch Fire Letter Fees False Alarm Fees (New) Miscellaneous Municipal Works Services Engineering Fees Internal Equipment Rental Driveway Approaches Parking Enforcement Parking Lots Payments in Lieu of Taxes Newspaper Box Fees Tourism Maps Street Lights Landfill Tipping Fees Regional Brokering Waste Management, Pickup & Disposal Fees Miscellaneous Planning Services Environmental Letters Site Plan Fees Planning Applications Sidewalk Cafe Licence Fees Committee of Adjustment Miscellaneous TOTAL LICENCES, PERMITS, and FEES 1 ,ooo 1,ooo (o) -o.o% 22,000 21,000 (1,000) -4.5% 7,800 7,500 (300) -3.8% 33,600 33,600 0 0.0% 8,500 12,000 3,500 41.2% 0 7,400 7,400 100.0% 500 500 0 0.0% 73,400 83,000 9,600 13.1% 425,000 400,000 (25,000) -5.9% 1,930,000 1,955,200 25,200 1.3% 20,000 17,000 (3,001) -15.0% 310,000 310,000 (0) -0.0% 56,000 56,000 0 0.0% 1,000 700 (300) -30.0% 500 300 (200) -40.0% 20,400 12,000 (8,400) .-41.2% 600,000 0 (600,000) -100.0% 900,000 0 (900,000) -100.0% 0 4,059,600 4,059,600 100.0% 65,000 65,000 0 0.0% 4,327,900 6,875,800 2,547,900 58.9% 1,500 1,000 (500) -33.3% 15,000 20,000 5,000 33.3% 50,000 58,000 8,000 16.0% 3,800 3,000 (800) -21.0% 15,000 45,000 30,000 200.0% 1,700 2,000 300 17.6% 87,000 129,000 42,000 48.3% 7,651,000 9,785,800 2,134,800 27.9% 6 CITY OF NIAGARA FALLS SERVICES REVENUE (continued) 2001 BUDGET 2OOO BUDGET 2001 BUDGET BUDGET BUDGET $ VARIANCE % VARIANCE USER RENTALS and FEES Ren~ -Sylvia Place Manet -Leases Cemeteries - Trust Fund Interest and Miscellaneous - Internment (Budal) Charges - Provincial Burial Fees - Marker Charges -Intemment Rights (Lot) Charges Arenas - Stamford/Jack Bell Arena - Niagara Falls Arena - Concessions - ChippawaNVilloughby Arena Pools - F.H. Leslie - S.C.V.F.A. - Prince Charles - Niagara Falls Lions Club Park Revenue Miscellaneous TOTAL USER RENTALS and FEES 8,500 8,500 0 0.0% 12,450 23,100 10,650 85.5% 20,950 31,600 10,650 50.8% 65,000 66,000 1,000 1.5% 268,200 268,200 0 0.0% 0 4,000 4,000 100.0% 33,700 40,000 6,300 18.7% 210,900 204,600 (6,300) -3.0% 577,800 582,800 5,000 0.9% 591,200 614,000 22,800 3.9% 296,450 311,000 14,550 4.9% 140,000 144,300 4,300 3.1% 191,600 202,500 10,900 5.7% 1,219,250 1,271,800 52,550 4.3% 11,000 11,000 0 0.0% 5,000 5,000 0 0.0% 7,000 7,000 0 0.0% 5,000 5,000 0 0.0% 28,000 28,000 0 0.0% 5,000 5,000 0 0.0% 24,000 0 (24,000) -100.0% 1,875,000 1,919,200 44,200 2.4% CITY OF NIAGARA FALLS OTHER REVENUE 2001 BUDGET 200O BUDGET 2001 BUDGET BUDGET BUDGET $ VARIANCE % VARIANCE SALES OF PROPERTY and EQUIPMENT - Land Sales - Equipment Sales CONTRIBUTIONS FROM OTHER FUNDS - Reserve Funds CONTRIBUTIONS FROM RESERVES and SURPLUS - Reserves - Surplus SUNDRY General Government Services Provincial Offences Net Revenue Sharing 0 215,000 215,000 100.0% 30,000 30,000 0 0.0% 30,000 245,000 215,000 716.7% 4,181,600 341,000 (3,840,600) -91.8% 733,000 215,000 (518,000) -70.7% 500,000 0 (500,000) -100.0% 1,233,000 215,000 (1,018,000) -82.6% 500 1,000 500 100.0% 5,900 6,000 100 1.7% 200,000 200,000 100.0% 6,400 207,000 200,600 3134.4% 5,451,000 1,008,000 (4,443,000) -81.5% 50,395,000 53,938,000 3,543~000 7.0% TOTAL OTHER GRAND TOTAL 8 The City of lgara Falls Corporate Services Department Finance Division 4310 Queen Street P.O. Box 1023 Niagara Falls, ON L2E 6X5 web site: www.city.niagarafalls.on.ca Tel: (905) 356-7521 Fax: (905) 356-2016 E-mail: kburden@city.niagarafalls.on.ca March 19,2001 F-2001-23 Ken Burden Director Alderman Wayne Campbell, Chair and Members of the Corporate Services Committee City of Niagara Falls, Ontario Members: Re: F-2001-23 - 2001-2005 Capital Projects Budget RECOMMENDATION: That the Corporate Services Committee approve the 2001-2005 Capital Projects Budget. BACKGROUND: The purpose of a Capital Projects Budget is to provide descriptive details of the Capital Projects for the current budget year and to provide knformation for future Capital Projects. A Capital Projects Budget also indicates the funding requirements and the sources of funds from the General Purposes, Municipal Utility, and Parking Budgets. Capital Contribution and Debt Management: For a guidelines overview of the 2001 to 2005 Capital Projects Budget, Schedule "A" provides the following: Guidelines from the Capital Financing and Debt Management Policy Comparison of Guidelines to the Capital Projects Budget The criteria for calculating the guidelines are indicated in the upper section of the schedule and a comparison to the Capital Projects Budget is reported in the lower section. During 2001, the City will be committed to the payment of $2.3 million for Debt repayment. This amount, when compared to the Debt Repayment Limit of $8.3 million, indicates that the City has a considerable capacity to assume additional Debt financing. The Capital Projects Budget will require debt financing in each of the five years. However, the comparison shows that the City will not exceed the debt repayment limit in each of those years. Working Together to Serve Our Community Clerk's Finance Human Resources Information Systems Legal Planning & Development March 19, 2001 - 2 - F-2001-23 The General Purposes contribution to the Capital Projects Budget does exceed the 2001 maximum guideline by $188,000. However, in each of the following years the contribution remains constant and results in a favourable difference from the guideline maximum. Capital Projects Budget Summary: For the 2001-2005 Capital Projects Budget, Schedule "B" (page 1) provides the overview for Project Costs by Department and the source of the Project funding. The five-year Budget was prepared on the basis that projects would be funded by the General Purposes Budget in the amount of $10.37 million; $46.1 million from Other Funds;S33.9 from New Borrowing. Details of the five-year budget are provided for each department for the Committee's reference (Schedule B, pages 2-9). Annually, Staff reviews and prioritizes the list of Capital Projects and presents them to the Committee in the form of a Capital Projects Budget. Once the financing level has been determined for the current year and estimates prepared for the next four years, then projects are allocated to the year when estimated fimding will be available. This review is repeated each year and, as priorities and funding dictate, projects are undertaken. This process provides the Committee with a yearly opportunity to review and approve the Capital Projects Budget. The recommendation of the Capital Projects 'Budget to City Council by the Corporate Services Committee would be appreciated. Recommended by: K.E. Burden Director of Finance Respectfully submitted: Edward P. Lusti~" ~ Chief Administrative Officer Approved by: T. Ravenda Executive Director of Corporate Services onald "--'Executive Director of Community Services SCHEDULE'A' CITY OF NIAGARA FALLS CAPITAL CONTRIBUTION AND DEBT MANAGEMENT 2001-2005 CAPITAL PROJECTS BUDGET ( '000 of dollars ) GUIDELINES 2001 2002 2003 2004 2005 DEBT REPAYMENT LIMIT Revenue Fund Revenues I $55,349 $55,902 $56,461 $57,026 $57,596 15% Maximum Limit of Revenues 8,302 8,385 8,469 8,554 8,639 GENERAL PURPOSES CONTRIBUTION TO CAPITAL PROJECTS BUDGET Previous Year's Supplemental Taxes 601 613 625 638 651 50% Maximum Contribution of Supplemental Taxe.. 301 307 313 319 325 COMPARISON OF GUIDELINES TO THE 2001 2002 2003 2004 2005 2001-2005 CAPITAL PROJECTS BUDGET DEBT REPAYMENT Existing Debt Repayment $1,893 $1,380 $1,657 $1,718 $3,510 Add: New Debt Repayment 398 602 481 1,794 1,333 Total Debt Repayment 2,291 1,982 2,138 3,512 4,843 Debt Repayment Limit per the Guideline 8,302 8,385 8,469 8,554 8,639 Difference - (under)over the Limit (6,011 (6,403 (6,331 (5,042 (3,797 GENERAL PURPOSES CONTRIBUTION TO CAPITAL PROJECTS BUDGET I ~ Current Year's Contribution $2,140 $2,014 $2,064 $2,064 $2,064 Subtract: Previous Year's Contribution 1,652 2,140 2,014 2,064 ,I 2,064 Difference - increase (decrease) in Contribution 488 (126 50 0 0 Maximum Contribution per the Guideline 301 307 313 319 325 Difference - (under)over the Maximum 188 (433 (263' (319) (325 SCHEDULE'B' CiTY OF NIAGARA FALLS 2001-2005 CAPITAL PROJECTS BUDGET Summary Year 2001 - 2005 After 2005 Capital Projects Project Project Project General Other Debenture Funding Budget Costs Costs Purposes Funding Funding Required To Date To Come Contribution Sources FIRE SERVICES (see page 2) 3,750,000 0 1,200,000 1,250,000 600,000 0 1,900,000 [ MUNICIPAL WORKS (see pages 3 to 5~ 74,385,860 20,956,170 53,392,427 6,820,000130,626,475 21,009,169 1 PARKS, RECREATION & CULTURE 24,263,000 338,022 22,467,128 750,000 12,666,239 9,333,000 1,513,762 (see page 6) CORPORATE SERVICES (see page 7) 2,934,715 1,315,398 1,619,317 1,100,000 1,627,464 0 (0', NIAGARA FALLS TRANSIT (page 8) 3,712,000 0 3,712,000 200,000 213,000 3,299,000 0 NIAGARA FALLS LIBRARY (page 9) 2,538,000 0 883,000 250,000 408,000 225,000 1,655,000 ITOTALS 111,583,575 22,609~590 83,273,872 10,370,000 46,141,178 33,866,169 5,068,763 Page 1 of 9 SCHEDULE'B' CITY OF NIAGARA FALLS 2001-2005 CAPITAL PROJECTS BUDGET Fire Services Year 2001 - 2005 After 200~- Capital Projects Project Project Project General Other Debenture Funding Budget Costs Costs Purposes Funding Funding Required To Date To Come Contribution Soumes New Projects Fire Truck Equipment Pumper 180,000 0 180,000 180,000 0 0 0 Pumper (tdple combination) 350,000 0 350,000 150,000 200,000 0 0 Aerial Truck 1,000,000 0 200,000 850,000 0 0 150,000 Other Equipment Platoon Chief Emergency Vehicle 40,000 0 40,000 40,000 0 0 0 Assistant Chief Emergency Vehicle 30,000 0 30,000 30,000 0 0 0 Fire Station Facilities New station Lundy's Lane/Kalar Rd. 950,000 0 300,000 0 300,000 0 650,000 New station Fallsview Area 1.200,000 0 100,000 0 100,000 0 1,100,000 TOTALS 3,750,000 0 1,200,000 1,250,000 600,000 0 1,900,000 ~Other Fundino Sources: Ielopment Charges Total ~urces 600,000 Page 2 of 9 SCHEDULE'B' CITY OF NIAGARA FALLS 2001-2005 CAPITAL PROJECTS BUDGET Municipal Works Year 2001 - 2005 After 2005 Capital Projects Project Project Project General Other Debenture Funding Budget Costs Costs Purposes Funding Funding Required To Date To Come Contribution Sources Projects in Progress MW96-4 Lyon's Parkway 496,365 496,365 0 0 323,948 0 0 MW96-12 Culvert Rehabilitation 100,000 0 100,000 0 0 0 0 Rural Drainage 100,000 32,000 68,000 0 0 0 0 Victoria Streetscape Project 2,818,498 2,818,498 0 0 181,852 0 (01 Bender Hill Opening/Crossing 3,941,275 3,941,275 0 0 167,862, 0 0 New sidewalk Construction 630,537 438,627 38,739 0 0 0 0 Thorold Stone/DorchestadRolling Acr. 10,116 10,116 0 0 0 10,116 0 Wiltshire - Baker to S.L. 303,070 303,070 0 0~ 0 303,070 0 Zimmerman - Queen to River 430,544 430,544 0 01 0 385,984 0 Huron, Mort]son, Ede, Ellis Reconst. 729,766 729,766 00 ' 34,766 0 0 Montrose Rd. Reconstruction 1,200 1,200 0 0 1,200 0 0 Collins/Toby Rd Reconstruction 505,742 505,742 0 0 310,742 195,000 (0'. Allendale/Buchanan Couplet Sty 14,220 14,220 0 0 14,220 0 (0'. Roads - In Progress Subtotal 10,081,332 9,721,422 206,739 0 1,034,590 894,169 0 Chippawa Pollution Control Plan 96,775 96,775 0 0 38,7751 0 0 Front St. P.S. & San.Elim 45,766 45,766 0 0 45,766 0 0 ]'horold Stone Sanitary Sewer 121,128 121,128 0 0 121,128 0 0 Sanitary Area #11 Tourist Core 57,402 57,402 0 0 57,402 0 0 Sanitary Sewer - In Progress Subtotal 321,071 321,071 0 0 263,071 0 0 MW96-10 Weeping Tile Disconnct 475,674 457,068 18,607 0 0 0 0 High Rate Treatmt Feasblty Study 126,451 126,451 0 0 32,451 0 (0 Tee Creek 197,325 197,325 0 0 78,742 0 0 Frederica & Highland Storm Sewers 447,945 447,945 0 0 105,756 0 0 Storm Sys Serv Study/Hydro Tunnel 34,513 34,513 0 0 9,278 0 (0 Four Mile Creek Drainage 31,197 31,197 0 0 21,741 I 0 (0 Storm Sewer- In Progress Subtotal 1,313,104 1,294,497 18,607 0 247,968 0 (0 MW96-9 Thrld StJMontr-Glen Oak 663,268 489,632 173,636 0 0 0 (0 MW96-6 W-5-2 Drainage Imprvmts 1,433,628 1,433,628 0 0 19,945 0 0 Stan.Ave.W./M, ValleyWay/Morrison 179,085 166,694 12,391 0 0 0 0 Oakwood Dr. Watermain 530,000 530,000 0 0 0 0 0 Garner Rd H20 - McLeod to Brwn 579,347 579,347 0 0 279,347 0 0 Port Robinson Water Connection 155,370 155,370 0 0 155,370 0 0 Watermain Repl. Program 670,928 670,928 0 0 220,928 0 (0 Supply & InstalIWater Meters 4,262,060 4,262,060 0 0 2,342,221 0 0 Cathodic Protection - Watermains 500,000 430,374 69,626 0 0 0 (0 Chippawa Watermain Replacement 11,082 11,082 0 0 11,082 0! 0 Dorchester/Oakwood Watermain 408,595 342,075 66,520 0 0 0 0 Brookfield/Gordon~High/Industdal 290,037 290,037 115,908 0 0 0 0 Buchanan/North - H20 257,953 257,953 0 0 ~ 257,953 0 0 Water- In Progress Subtotal 9,941,353 9,619,179 438,081 0 3,286,846 0 I Page 3 of 9 SCHEDULE'B' CITY OF NIAGARA FALLS 200i-2005 CAPITAL PROJECTS BUDGET Municipal Works Capital Projects New Projects Stanley Avenue Underground - - Main Streeet to McLeod Road FaHsview Trunk Sanitary Sewer Mountain Road Landfill Restoration Robert St. / Hwy 420 Improvements Ontario Power Generation Montrose Rd. - Thorold Stone to ~420 Stanley Avenue Watermain, Valley Way Dropshaft @ Valley Way Storm Sewer Ext. from Dropshaft Main Street Closure EA Drummond Rd Combine Sewer Crossir Prince Edward / Freddca Crossing Metrus / Montrose Business Park Montrose Rd. - Lundy's Ln. to Kinsmen Dunn Street Reconstruction - - Stanley Avenue to Oakes Drive Watermain Improvement Program Chlorine Residual Study/Action Plan Fallsview Trunk Storm Sewer Murray Street Reconstruction - - from NPC to Stanley Avenue Buchanan Avenue Reconstruction - - from Murray Street to Portage Road Improve Signals Buchannan and Murra~ Dixon Street Reconstruction - - from Buchannan to Stanley Portage Road Reconstruction Signal Buchannan/Dixon Intersection Buchanan Avenue Reconstruction - - from Murray Street to Ferry Street Remove Rail Bridge on Murray Sreet Sarah Street CSO MOE Requirements Hydro Canal Bridge Drummond Rd - - Deck Replacement New Sidewalk Construction Weeping Tile Disconnect Program Culvert Replacement Program Rural Drainage Improvements: # 6 Drain Allanport Drain High Rate Treatment & Muddy Run Rolling Acres Storm Outlet across QEW Project Budget 850,00(~ 2,800,000 1,200,000 3,250,000 300,000 2,850,000 250,000 650,000 2,500,000 50,000 75,000 75,000 200,000 1,650,000 150,000 9,500,000 265,000 650,000 700,000 520,000 145,000 235,000 100,000 150,000 770,000 300,000 30,000 500,000 500,000 500,000 500,000 4OO,O0O 117,000 49,000 2,258,000 350,000 Year 2001 - 2005 Project Costs To Date Project Costs To Come 0 850,000 0 2,800,000 0 1,200,000 0 3,250,000 0 300,000 0 2,850,000 0 250,000 0 650,000 0 2,500,000 0 50,000 0 75,000 75,000 200,000 1,650,000 150,000 9,500,000 265,000 650,000 700,000 520,000 145,000 235,000 100,000 150,000 0 770,000 0 300,000 0 30,000 0 500,000 0 500,000 0 500,000 0 500,000 0 400,000 0 117,000 0 49,000 0 2,258,000 0 350,000 General Purposes Contribution 164,00i 1,114,00! 0 650,000 70,000 50,000 0 0 200,000 0 0 0 0 650,000 0 545,000 0 0 94,000 500,000 500,000 500,000 400,000 0 0 0 0 Other Funding Sources 0 2,800,000 1,200,000 400,000 300,000 2,260,000 250,000 0 750,000 0 75,000 75,000 0 1,650,000 50,000 9,500,000 265,000 700,000 520,000 145,000 235,000 100,000 150,000 225,000 300,000 30,000 50,000 0 0 0 0 117,000 49,000 1,258,000 0 Debenture Funding 686,000 0 0 1,736,000 0 590,000 1,880100 100,00 0 0 0 0 0 0 356,000 1,000,00 350,000 After2005 Funding Required 0 0 0 0 0 0 0 0 0 0 0 Page ~of 9 SCHEDULE'B' CITY OF NIAGARA FALLS 2001-2005 CAPITAL PROJECTS BUDGET Municipal Works Year 2001 - 2005 -- After 200-5~ Capital Projects Project Project Project General [ Other Debenture Funding Budget Costs Costs Purposes I Funding Funding Required To Date To Come Contribution Sources New Projects (continued) i Dorchester Road Traffic Study EA and - - Design Thorold Stone to Mountain 4,350,000 0 4,350,000 0 50,000 4,300,000 0 Oakes Dr Sanitary Sewer - - Livingstone to Stanley 250,000 0 250,000 0 ! 0 250,000 0 Drummond Road EA and Design - - Lundy' Lane to McLeod Rd 4,350,000 0 4,350,000 0 50,000 4,300,000 0 Dorchester Road Traffic Study EA and - - Design Lundy's Lane to Morrison 1,675,000 0 1,675,000 654,000 0 1,021,000 0 Portage Road Traffic Study EA - - from Marine Land Pkwyto Chippaw~ 1,675,000 0 1,675,000 500,000 0 1,175,000 0 Mcleod Road Traffic Study and EA - -intersection Kalar Road and - - Improvements to Montrose Road 1,300,000 0 1,300,000 229,000 0 1,071,000 0 Front Street Sanitary Sewer 2,000,000 0 2,000,000 0 500,000 1,500,000 0 Sanitary Sewer Improvement Program 1,740,000 0 1,740,000 0 1,740,000 0 0 lew Projects Subtotal 52,729,000 0 52,729,000 6,820,000 25,794,000 20,115,000 0 TOTALS 74~385~860 20~956,170 53,392,427 6~820~000 30~626,475 21,009,169 General Purooses Contdbuti0n Roads Storm Sewer Municipal Utility Contribution Sanitary Sewer Water Water Meter Short Term Loan Other Fundino Fund[no Sour(;:~; Capital reserves Development Charges Fund Raising from Community Federal Grant Special Purpose Reserves Reserve Funds Regional Funds Pdvate Contributions Local Improvements Business Improvement Areas 2,810,000 4,010,000 6,897,766 9,500,000 2,342,221 2,483,160 1,282,402 0 0 1,200,000 862,000 3,601,515 1,730,000 727,411 0 Totals 6,820,000 30,626,475 Page ~of 9 SCHEDULE'B' CITY OF NIAGARA FALLS 200'1-2005 CAPITAL PROJECTS BUDGET Parks, Recreation and Culture Year 200'1 - 2005 After 2005 Capital Projects Project Project Project General Other Debenture Funding Budget Costs Costs Purposes Funding Funding Required To Date To Come Contribution Sources Proiects in Progress Chippawa Outdoor Pool 900,000 0 0 0 150,000 0 750.000 Community Center YMCNBoys & Girls 18,000,000 42,233 17,957,767 0 10,500,000 7,500,000 (0 LLBattlefleld - Millennium Proj. Phase 1 684,000 144,822 539,179 0 421,688 215,000 47,313 Girls Home for Soccer and SIo-PitchComplex 2,579,000 11,151 2,010,000 0 915,551 1,100,000 563,449 Recreation Trail Millennium Project 370,000 139,817 230,183 10,000 44,000 163,000 153,000 New Projects Stamford Memorial Arena - ! Roof Replacement 75,000 0 75,000 0 75,000 0 0 Ice Resurfacer Storage/Service Area 100,0000 100,000 50,000 50,000 0 0 Parking Lot ImprovementJUpgrade 60,000 0 60,000 30,000 30,000 0 0 J.Bell Arena - Spectator Seat Upgrade 75,000 0 75,000 75,000 0 0 0 F.H. Leslie - Pool Liner 100,000 0 100,000 100,000 0 0 0 - Spray Pad 50,000 0 50,000 50,000 0 0 0 Auto. Lift Gates for 3 Arenas 60,000 0 60,000 0 60,000 0 0 Playground Equipment 180,000 0 180,000 135,000 45,000 0 0 Drummond Hill Cemetery Improvement 300,000 0 300,000 0 85,000 215,000 0 Recreation Trail Development Phase 2 300,000 0 300,000 160,000 0 140,000 0 Maple Street Neighbourhood Park 125,000 0 125,000 125,000 0 0 0 Kalar Road Sports Complex 155,000 0 155,000 15,000 140,000 0 0 Firemen's Park Accessible Playground 150,000 0 150,000 0 150,000 0 0 TOTALS 24,263,000 338,022 22,467,128 750~000 12,666,239 9,333,000 1,513,762 Other Fundino Sources: Community Fund Raising 4,047,395 Federal Grants 233,844 Provincial Grants 7,600,000 Development Charges 140,000 Special Purpose Reserves 165,000 Reserve Funds 45,000 Capital Reserves 435,000 I Total Other Funding Soumes 12,666,239 Page 6 of 9 SCHEDULE'B' CITY OF NIAGARA FALLS 200~1-2005 CAPITAL PROJECTS BUDGET Corporate Services Year 2001 - 2005 After 2005 Capital Projects Project Project Project General Other Debenture Funding Budget Costs Costs Purposes Funding Funding Required To Date To Come Contribution Sources Projects in Progress Montrese Business Park 1,159,715 1,159,715 0 0 1,159,715 0 0 Document Manager Novel/Oracle 160,000 108,432 51,568 0 0 0 (0 Security System - City Hall 140,000 47,251 92,749 0 92,749 0 (0 Municipal Election - 2003 150,000 0 150,000 150,000 0 0 0 New Projects Information Systems E- Commerce System 75,000 0 75,000 0 75,000 0 0 Finance Division Financial Software System 1,250,000 0 1,250,000 950,000 300,000 0 0 ITOTALS 2,934,715 1,315,398 1,619,317 1,100,000 1,627,464 0 (0 Other Funding Sources: 392,749 Capital Reserves / Capital Oper. Restruct. Res. Fd. 1,189,715/ ~_pecial Purpose Reserve #153 75,000 [Total Other Funding Sources 1,627,464 Page 7 of 9 SCHEDULE'B' CITY OF NIAGARA FALLS 2001-2005 CAPITAL PROJECTS BUDGET Niagara Falls Transit Year 2001 - 2005 After 2005 Capital Projects Project Project Project General Other Debenture Funding Budget Costs Costs Purposes Funding Funding Required To Date To Come Contribution Sources New Projects Transit Coaches (2 peryear) 3,712,000 0 3,712,000 200,000 213,000 3,299,000 0 TOTALS 317121000 01 3,712,000 200,000 213,000 312991000 0 Other Fundino Sources: Development Charges Tota Other Funding Sources Page 8 of 9 SCHEDULE'B' CiTY OF NIAGARA FALLS 2001-2005 CAPITAL PROJECTS BUDGET Niagara Falls Public Library Year 2001 - 2005 After 2005 Capitat Projects Project Project Project General Other Debenture Funding Budget Costs Costs Purposes Funding Funding Required To Date To Come Contdbution Soumes New Projects Victoria Avenue Branch Phase II HVAC Replacement 225,000 0 225,000 75,000 25,000 125,000 0 Roof Replacement 150,000 0 150,000 25,000 25,000 100,000 0 Book Security System 100,000 0 100,000 42,000 58,000 0 0 Stamford Branch Carpet Replacement 33,000 0 33,000 33,000 0 0 0 New SouthWest Branch Study 25,000 0 25,000 25,000 0 0 0 Building Facility 700,000 0 350,000 50,000 300,000 0 350,000 Materials, Furniture, Equipment 1,305,000 0 0 0 0 0 1,305,000 ~ TOTALS 2,538,000 0 883,000 250,000 408,000 225,000 1,655,000 Other Funding Sources: 1 Development Charges 3OO,OO0 / Capital Reserves 58,000 / Special Purpose Reserves 50,000[ Total Other Funding Sources 408,000j Page 9 of 9 Corporate Services Department Finance Division 4310 Queen Street P.O. Box 1023 Niagara Falls, ON L2E 6X5 web site: www.city.n[agarafatls.on.ca Tel: (905) 356-7521 Fax: (905) 356-2016 E-maih kburden@city.niagarafalls.on.ca F-2001-24 Ken Burden Director Alderman Wayne Campbell, Chair and Members of the Corporate Services Committee City of Niagara Falls, Ontario Members: Re: RECOMMENDATION: March 19, 2001 F-2001-24 - 2001 Municipal Utility Budget That the Corporate Services Committee approve the 2001 Municipal Utility Budget. BACKGROUND: During the past year, a number of changes were implemented that impact the 2001 Municipal Utility Budget. The majority of the water meter installation program was completed; the Water By-law was updated and now incorporates a water-use billing system; a report on the water infrastructure indicated that considerable capital improvement would be needed to maintain the water distribution system and the transfer of meter reading, water/sewer billing and receipting services to Niagara Falls Hydro was initiated. The 2001 Municipal Utility Budget includes the following: · Adequate funding to maintain the budget at the same total expenditure as 2000. · A reduction in Administration cost ($407,400) due to the transfer of service to Niagara Falls Hydro. · The transfer of meter reading, water/sewer billing and receipting services to Niagara Falls Hydro. · An increase in the discount offered ($495,000) to promote prompt payment, (total will be 5 % for 2001). · A reduction of Regional Costs ($1,069,600) for water purchases and sewage treatment due to reduced water consumption. · An increase in Capital Funding ($685,000) to improve water and sewer infrastructure. I~orking Together to Serve Our Community Clerk's Finance · Human Resources Information Systems Legal Planning & Development March 19, 2001 - 2 - 1:-200'1-24 · Debt Charges for payment of principal and interest on debenture and short-term debt. · Water/Sewer rates and fees per the user-based billing system (see pages 9 to 11). The recommendation of the Municipal Utility Budget to City Council by the Corporate Services Committee would be appreciated. An amendment to By-law 2000-268 has been prepared for Council's adoption should the Municipal Utility Budget be approved. Prepared by: T.W. Smith Manager of Revenue Recommended by: K.E. Burden Director of Finance Respectfully submitted: Edward . Chief Administrative Officer Approved by: T. Ravenda Executive Director of Corporate Services Ill Iii 00000000 0 2 000 0000 0000000 0 000 0000000 000 0 0 0 0 ~ 0 0 0 0 0 0 0 0 0 0 0 0 3 o~ LU UJ Z o o o o o o o o o o o o o o o o o 0 o o o o o o 6 7 9 2001 1. CITY OF NIAGARA FALLS By-law No. 2001- SCHEDULE OF WATER RATES, SEWER RATES, FEES AND CHARGES Service charges: After Due Before Due Date Date 15 mm meter $ 14.65 $ 13.92 monthly 18 mm meter $ 14.65 $ 13.92 monthly 25 mm meter $ 14.65 $ 13.92 monthly 37 mm meter $ 43.95 $ 41.75 monthly 50 mm meter $ 87.90 $ 83.51 monthly 75 mm meter $ 175.80 $ 167.01 monthly 100 mm meter $ 322.30 $ 306.19 monthly 150 mm meter $ 615.31 $ 584.54 monthly 200 mm meter $1,098.77 $1,043.83 monthly Water rates: After Due Before Due Date Date $ .432 $ .410 per cubic metre Flat rates for a private water service not metered by choice or other determination of the City: After Due Before Due Date Date $ 26.18 $ 24.87 monthly. Flat rates for a private water service not metered because of refusal of owner: Service period: After Due Before Due Date Date $ 78.54 $ 74.61 monthly. Minimum of every two months except for the first notice period in 2001. 10. 11. 12. 13. lO Service deposits: Two times the estimated billing for a service period with a minimum of the amount shown in section 3 times four. Sewer rates: (a) Service charge as set out in section 1: 53.5 %; (b) Water rates as set out in section 2: 196.6 % (c) Flat rates as set out in sections 3 and 4: 116.6 % Charge for Installation of Water Service: Actual cost - Deposit required based on estimated costs. Charge for shutting off or turning on supply of water: (a) (b) During normal working hours: Outside normal working hours: $ 30.00/per city employee $ 90.00/per city employee Note: For the purpose of this by-law, normal working hours shall mean Mondays to Fridays ( exclusive of holidays ) between 8:00 a.m. and 4:00 p.m. Charge for meter removal or reinstallation: (a) During normal working hours: (b) Outside normal working hours: Charge for Testing Meter Consumption: Bulk carrier rate for City smd-pipe: (a) (b) As set out in section 1. Service deposit: $30.00 per hour/per city employee $86.00 per hour/per city employee At cost with a deposit of $75.00 Charge for Hydrant/Meter Setup and or Hydrant Inspection: $50 per day based on estimated charges for two billing periods, minimum of $500.00. 14. 15. 16. Use of Water for Construction Purposes: (a) At rates shown in section 1 together with the cost to supply and install a meter. (b) Service Deposit: based on estimated charges for two billing periods; minimum of $500.00. New Meter Installation Costs: (a) For 15 and 18 mm meters - $160.00 ( includes inspection and remoting ) (b) Larger than an 18 mm meter - actual meter cost plus $50 inspection and remoting Effective Date for Water Rates: For reading after March 01, 2001 17. 18. Wet Trap Charge: (a) For 15 mm to 50 mm - $100.00 (b) For 75 mm and greater - $ 400.00 plus materials supplied by City Discount Rate: For charges set out in sections 1, 2, 3 and 4: 5.00% The City of Niagara Fall~ Canada Municipal Parking Operating Budget & Capital Parking Projects February 20, 2001 The Cily'of . ~l~i~ Community Services Department Municipal Works 4310 Queen Street P.O. Box 1023 Niagara Falls, ON L2E 6X5 web site: www. city.niagarafalls.on.ca Ed Dujlovic, P. Eng. Director MW-2001-23 File G-180-14 Tek (905) 356-7521 Fax: (905) 356-2354 E-mail: munwks@city.niagarafalls.on.ca March 19, 2001 Alderman Wayne Campbell, Chairperson and Members of the Corporate Services Committee City of Niagara Falls, Ontario Members: RE: MW-2001-23 Municipal Parking & Traffic Committee 2001 Budget Recommendations o February 20, 2001 RECOMMENDATIONS: It is recommended that the '2001 Municipal Parking Operating and 2001 Capital Parking Projects ', attached, as amended, be endorsed and forwarded to the City Council for approval. BACKGROUND: The Municipal Parking and Traffic Committee, at its meeting of February 20, 2001, considered the matter noted and formulated the recommendation above. The Committee's concurrence with the recommendation outlined in this report would be appreciated. Respectfully submitted by: Kim Craitor, Chairperson, Municipal Parking & Traffic Committee S:WRAFFIC\REPORTS~2001 ~2001 Co.orate Services\MW2001-23 .wpd The Cityof Community Services Department Municipal Works 4310 Queen Street P.O. Box 1023 Niagara Falls, ON L2E 6X5 web site: www.city.niagarafalls.on.ca Ed Dujlovic, P. Eng. Director MW-2001-16 File G-180-14 Tel: (905) 356-7521 Fax: (905) 356-2354 E-mail: munwks@city.niagarafalls.on.ca February20,2001 Alderman Kim Craitor, Chairperson and Members of the Municipal Parking and Traffic Committee, City of Niagara Falls, Ontario Members: RE: MW-2001-16 2001 Municipal Parking Operating Budget and 2001 Capital Parking Projects RECOMMENDATIONS: It is recommended that the '2001 Parking Operating and 2001 Capital Parking Projects; as presented by Staff, be endorsed and forwarded to the Corporate Services Committee for approval. BACKGROUND: The Parking Operating Budget continues to be self sustaining, however, revenues are below the forecasted expectations of last years budget projections. This decrease is attributable to increased competition with private parking lot owners, the removal of 100 on-street parking meters in the Downtown, free parking in some of the Municipal Parking Lots, 50% revenue sharing in Municipal Parking Lot # 18 (Kitchener Street) and the need to adjust our parking rates. 2001 Capitai Parking Project~ The Parking Reserve Fund was established as a self sustaining fund, in which, expenditures are offset by revenues. The fund is dedicated to the maintenance and rehabilitation of parking facilities (on-street meters and off-street parking lots), the purchase of land for the establishment of new parking lots and the construction of major parking facilities. The system is a true user pay system in which only those who use the parking facilities pay, meaning, the general taxpayer does not contribute to the fund in any way. The capital parking project strategies are outlined in the form of the three year funding allocation table illustrated below. Line one illustrates the projected fund balance at the beginning of each year. Line two illustrates the projected revenues that will be realized each year. A total of approximately $785,000.00 will be required over the next three years to rehabilitate (reconstruct) existing lots, therefore, line three illustrates the Capital Works to be undertaken. Line four Operating Budget LU Z Revenues ~ o ~ ~d o o d o ":' "T ,,.. ~ ~ .,-° o o § oooo§~oooooo oooo §§§§§§§§§§~°o°§§~°°oo o ............ ~ ~ pen mm -o 0 §§§ooooo ~8 8818888888 Capital Projects