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2009/01/19CORPORATE SERVICES COMMITTEE AGENDA FIRST MEETING Monday, January 19, 2009 Council Chambers - 6:00 p.m. 1. Minutes of the December 15, 2008 Meeting 2. Reports Staff Contact R-2009-O1 Denyse Morrissey Playing Field Fees and Reducing Direct Tax Payer Subsidization 3. Capital Budget Workshop Overview Presentation Todd Harrison 4. 2009 General Purposes Budget Priority Exercise Document Ed Dujlovic 5. New Business 6. Adiournment REMINDER: PLEASE BRING YOUR 2009 BUDGET BINDER TO THE MEETING __ Niagara~aIIs MINUTES OF CORPORATE SERVICES COMMITTEE Eleventh Meeting, Monday, December 15, 2008, Council Chambers, 6:10 P.M. PRESENT: Mayor Ted Salci, Councillor Victor Pietrangelo, Chair; Councillor Jim Diodati, Shirley Fisher, Vince Kerrio, Bart Maves, Wayne Thomson and Janice Wing and Carolynn loannoni STAFF: Ed Dujlovic, Ken Burden, Dean lorfida, Ken Beaman, Denyse Morrissey, Alex Herlovitch, Todd Harrison, Geoff Holman, Karl Dren, Lee Smith, John Castrilli, Trent Dark, Serge Felicetti, Cynthia Roberts and Lisa Wall. PRESS: Corey Larocque, Niagara Falls Review Lori Sherman, Niagara This Week 1. MINUTES It was ORDERED on the motion of Mayor Salci and seconded by Councillor Maves that the minutes of the December 1, 2008 meeting be adopted as recorded. Motion: Carried Unanimously Action: Recommendation submitted to Council December 15, 2008. 2. REPORTS: BBS-2008-06 Indexing of Building Permit Fees Effective January 1, 2009 MOVED by Councillor Kerrio, seconded by Councillor Maves that Council approve the increase in Building Permit Fees in accordance with the requirements to Bill 124 by 8% effective January 1, 2009. Motion: Carried Unanimously Action: Recommendation submitted to Council December 15, 2008. -2- PD-2008-115 Proposed Changes to Planning Application Fees MOVED by Councillor Kerrio, seconded by Councillor Maves that the proposed increases of the Planning Application Fees, as outlined in Appendix 1, be phased in with 25% occurring January 1, 2009, 25% occurring January 1, 2010, 25% occurring January 1, 2011 and the remaining 25% occurring January 1, 2012; commencing in 2010, staff will report annually to Council on any further changes required to the planning application fees; that a notice be placed in the local newspaper informing the public of the change in fees for planning applications. Motion: Carried Conflict: Councillor Thomson, Councillor laonnoni, Councillor Wing Action: Recommendation submitted to Council December 15, 2008. BDD 2008-04 OPG Marketing Fund MOVED by Councillor Thomson, seconded by Mayor Salci that Council allocate the $80,000 interest accrued in the OPG marketing fund account as follows: $15,000 toward the December 2009 Olympic Torch Celebration -December 2009; $10,000 toward the Boundary Waters Treaty 100 Celebration -June 2009; $55,000 toward the New Year's Eve television broadcast to be spent in 2009 and 2010. Motion: Carried Unanimously Action: Recommendation submitted to Council December 15, 2008 CD-2008-14 Review of Events and Activities Downtown in 2008 MOVED by Councillor Wing, seconded by Councillor laonnoni that the funding request by Dr. Lococo be received and filed and that staff review CIP (Community Improvement Plan) application. Motion: Carried Unanimously Action: Recommendation submitted to Council December 15, 2008 MOVED by Mayor Salci, seconded by Councillor Thomson that Celebrate Old Downtown submit a master plan for events for 2009. Motion: Carried Opposed: Councillor Wing Action: Recommendation submitted to Council December 15, 2008 3. ADJOURNMENT: MOVED by Councillor Maves seconded by Councillor laonnoni that the regular meeting of the Corporate Services Committee be adjourned at 7:50 p.m. Motion: Carried Unanimously January 19, 2009 ~~~! N11~~Y'~~~[~IS c,t~ Boa Councillor Victor Pietrangelo, Chair and Members of Corporate Services Committee City of Niagara Falls, Ontario Members: Re: R-2009-01 -Playing Field Fees RECOMMENDATION: That playing field fees be developed for implementation in 2009. BACKGROUND: R-2009-01 Municipalities are the traditional deliverers of recreation services to the local residents. Naturally over time, there is a demand for increased programs and services. Recreational services, especially in our community, have often not been charged for and, therefore, subsidized by the taxpayer. Given the challenges faced with the 2009 budget, and what is anticipated to be a similar financial situation in future years, Council directed staff to review potential new revenue sources. Now may be the time to start incrementally implementing some user fees associated with recreation services. Such fees were anticipated in the Council-approved, "City of Niagara Falls Strategic Plan for the Provision of Parks, Recreation, Arts and Culture". The plan stated the following in regards to user fees: User Fees "Although Niagara Falls charges fees for a number of recreation services, it does not have a comprehensive user fee policy that provides a rationale for a full range of user fees and charges, ora documented strategyforrevenue enhancement. Similarly, fees are charged for some services while others (e.g., playing fields) require no fees for use, which reflects inconsistencyin fhe use offees. Increasingly, municipalleisureauthnrities are beingasked to provide expanded and improved services without resources from senior levels of government. Capital grants from Province of Ontario for recreation facility development were common place in Ontario for the past 20 years and contributed to the current supply of recreation and cultural facilities in most communities. Grants of this type are not longer available. Similarly, operating grants and special program grants are rare and changes in legislation (e.g., the revised Development Charges legislation) make it increasinglydifficult to access non-municipal funds for parks, culture and recreation facilities and programs. The full cost of leisure services is now largely the responsibility of the local municipality. This shift in responsibility is, of course, accompanied by a continued resistance among local taxpayers to increases in their assessments for municipal services s rtM k.. _` _^ , f. .y WOYfzlYlg TOgEtfZCY l0 SCYV2 ~llY L'OritrilllriLlJ7 Community Services Department Parks, Recreation & C ~_ ._ .~...nr~t_.~._~. .vt~ss~`' ~. _ _. wwty..~.ssucasa~ay~ January 19, 2009 - 2 - R-2009-01 For municipalities, therefore, the challenge is to generate a large share of capital and operating funds from sources other than the local tax base without restricting the community's access to essential leisure services. To accomplish this, municipalities require effective user fee policies and a more aggressive approach to securing alternative revenue sources. Such a policy should be developed with the objective of maximizing revenues without restricting access to parks and recreation services. Parks and Recreation Ontario has developed guidelines formunicipalitiesgreparing user fee policies with this objective in mind. The Parks, Recreation and Culture Department should use these guidelines to prepare a detailed user fee policy for all facilities, including outdoor playing fields, to maximize revenues from users. A key component of the user fee policy should be consisfency in its application. Consequently, the policy should apply equally to all indoor and outdoor facilities. While fees may vary, there is no reason why user fees would not apply to all municipal recreation facilities." 2009 & Future PRC Budgets -Potential Revenue Generation The 2009 draft operating budget includes the cost to provide seasonal sport playing fields at approximately $792,000. The majority of the City's field budget is currently funded by the tax payer and represents 1.8% of the tax levy. With Council's approval, the municipality has implemented user fees for the new artificial turf field, which expected to generate an income of $20,000. It is appropriate and fiscally responsible for the prime beneficiaries and, arguably, the exclusive users of the fields to be charged and contribute toward the cost of this recreational service. Attached is a chart of other municipalities, which charge playing field fees. Some municipalities of similar size to Niagara Falls are generating in the $80,000 to $100,000 range per year from basic field fees. Additional revenue could also be generated by charging out-of-town user groups a 50% surcharge. Out-of-town groups are generally defined as those which do not pay any City of Niagara Falls property taxes. As staff is currently scheduling and coordinating all field bookings and permits, there would be minimal additional expenses related to administration if user fees were implemented. Implementation Plan The implementation plan for new Playing Field User Fees would include the following steps: • A report presented to City Council outlining and recommending proposed fees by the end of February 2009. • Adult resident and non-resident organizations, out of town and special event playing field fees to being implemented in the 2009 spring/summer season. • Local youth playing field fees to be prepared for Council's consideration by the end of June 2009 for implementation in the 2010 spring/summer season. • Staff meet with applicable user groups to discuss and outline the implementation plan. January 19, 2009 - 3 - R-2009-01 User Fee Policy: Identified as Beneficial As indicated, a comprehensive User Fee Policy would be beneficial. It would apply equally to all indoor and outdoor facilities with the objective of maximizing revenues without restricting access to parks and recreational services. A Draft User Fee Policy (Attachment 2) is provided for information purposes at this time. This policy will be developed around five guiding principles, which relate to the provision of services: healthy living, quality, diversity, affordability and accessibility. It is intended as a general guideline thatwould help provide a consistent approach in the allocation of costs, setting of fees and delivering of recreational services. Reccmmended by: Approved by: Attachments: ,~~~~~ ~Denyse Morrissey, D'rectoi z~ ~~`~~ of Parks, Recreation & Culture Ed Dujlovic, ~xascutive Director of Community Services V:12009COUNCIL12009 01 261R-2009-01-Playing Field Fees.wpd r t+ C C~ C U (6 .r .r Q d 7 N d LL N d d LL C d ~ Z Z N } N } N } N } Z N } Z N } N } N } Z Z N } Z C 7 O F d N = U N N N N N N N N N N N N N N N N N N N N N N N N N N N N N N N N J Y C d p N N N N N N N N N N N N N N N N Z } } } } } } } } } } } } } } } d c 0 z w c O N N N N N N N N N N N N N N N N N N N N N Ul N U1 N N N N N N ~ Z } } } } } } } } } } } } } } } . N d O r ~ O Y M 0 V' ^ ~ r N J in 0 ~ ~ ~ N O M ~ ~ ~ N ~ ~ O O N ~ " ~ V' (O N N ~ ~ L ~ `--' ~ ~ ~ _ CD ~ ~ O N v N ~ 0 ~ C O ~ C v N (O ~ ~ ~rj W (O ~. f0 ~ ~ N ~ 0 C N N ~. lD W ~ 'a C O N (p O N ~ O C Y ~ = f0 Ol fO ~ p ~ U O 0 (p - O U C _m = ~ U ~ ~ ' O N ~ O ~ lD C ~ C R Q Z LL ~ N s - > J Z Q. p 0 U ~ o O i ] J ] - p F 0 0 0 .. O L J p 0 0 V O c 0 0 0 c c c O c C O O c 0 0 7 ~ ~ U O F ~- U ~= U ~- U 0 F- 0 f- O F- ~- U O F O F ~`-' U =' U O F '= U '= U N X O O N U1 U7 0 z T N U N N W N N C N L U Q O OJ O O N O O N U O U PARKS, RE( & CULTURE 1. POLICY PURPOSE POLICY: User Fee Policy Report: R-2009-01 SECTION: 1000. Page 1 of 2 The City of Niagara Falls Parks, Recreation & Culture User Fee Policy is intended as a general mechanism for effectively allocating and recovering the cost of service, and the extent of tax payer subsidy dedicated to operating recreational facilities and services. It is intended to provide a consistent approach to setting user fees and to ensure a reasonable and equitable proportion of the costs to deliver recreation services, facilities and parks are recovered through user fees. The setting of user fees takes into consideration who benefits from the service which can include the general public, the individual, an organization, non residents, or a private for profit user such as a business. 2. STATEMENT OF GUIDING PRINCIPLES The City of Niagara Falls Parks, Recreation & Culture is committed to providing its residents with a range of recreational opportunities and parks services to improve health and quality of life. People of all ages and abilities cui access a variety of physical and non-physical activities at the City's facilities and parks. Parks, Recreation & Culture will continue to investigate potential new sources of revenue (e.g. grants, partnerships, alliances and new services) and support appropriate funding efforts of groups and organizations to help offset the costs to the municipality in providing services and operating facilities. The following guiding principles relate to the provision of services that address healthy living, quality, diversity, affordability and accessibility. The City ofNiagara Falls is committed to ensuring that all user fees for facilities and services be set in accordance with the following guiding principles: • Healthy Living To provide a range of recreational and cultural opportunities, facilities and services for residents of all ages and abilities to help faster healthy lifestyle in the community and active living. • Quality To provide services that reflect the highest reasonable level of customer service and facility maintenance. ATTACHMENT2 ~~ ~~'~` • Diversity To provide a range of services that reflect the diversity of needs and interest in our community. To encourage cross-cultural participation and programs to include activities of interest to Niagara Falls' diverse community. • Accessibility To ensure programs and services are provided in safe and comfortable environments. To remove physical, financial, gender, social and cultural barriers that may prevent Niagara Falls residents from participating in programs and entry into our facilities. To actively develop flexible programs and services to meet the changing needs recreational trends and interests in the community. • Affordability To recognize the importance ofpartnerships and the importance of facilitating new product development, particularly in the area of sports and recreational tourism. To ensure the most effective use of City resources to maximize all opportunities for partnership development, sponsorship and grant development and fiscal responsibility. To allocate its limited resources and municipal subsidy to those users designated most in need which could low-income households, children and youth, seniors and special populations. User fees should take into consideration Niagara Falls' social and economic circumstances and values. 3. REVIEW OF FEES Recreation and parks user fees can represent a significant revenue to the City of Niagara Falls to recover costs and thereby offset the direct subsidy by the taxpayer. User fees will be subject to be review on a minimum of an annual basis. The review will include the consideration of the overall base cost of services which would include program costs, facility costs, and the administrative support costs. It will also take into consideration the operational mandate of Parks, Recreation & Culture, the broader fiscal environment of the City ofNiagaraFalls, the Niagara Region. __c~ 2009 General Purposes Budget Niagara,Falls Priority Exercise At their meeting on Monday, December 1, 2008, Council directed staff to provide recommendations on General Purposes Budget priorities for 2009, in a manner similar to that undertaken through the 2008 Capital Budget Prioritization Exercise. A seven point priority setting framework was developed to assist staff in selecting General Purpose Budget priorities. The framework included the following criteria: • Legislated or Mandated Program • Relationship to Council Strategic Priorities • Health, Safety and Risk Concerns • Availability of External Funding or User Fee Support • Concerns regarding Operational Impact • Impact on Quality of Life • Economic Development Impact The General Purposes Budget is organized by Responsibility Centres -groupings of like • activities or programs within a division. Staff reviewed and rated each General Purposes Responsibility Centre according to this criteria. As a result, staff was able to group the Responsibility Centres into three levels of priority: high (green), medium (yellow) and low (orange). The attached chart provides the summarized results of the priority exercise. Prioritization of Responsibility Centres helps to ensure that resources are more efficiently allocated toward common corporate objectives. Council must, of course, then balance these priorities against the community's ability to pay. These pages can be inserted into the General Purposes Budget Binder, following the index of each major section. • City Council, Committees, Boards and Services General Purposes Budget 2009 -Priority Exercise • High Medium Low - Responsibility Centre Description Account Total Expenditure Number Budget To provide for expenses of the ayor and Members of Council (Tab 2- 1) dernocrahc elected representatives of the 111000 $362.657 Municipality Office of Mayor and Council Support Tab 2-2 ( ~ io Prowde administrative resources to 112000 $284 805 the Mayor . creation Conuradtee (Tab 2-3) 113005 $14,50F3 s and Culture Committee {Tab 2-4'. 113010 $tU,800 I o provide system to deal wdh rrnnor Committee of Ad~ustment Tab 2-5 l ( } changes to zoning regulations and 113015 575 806 subdivide individual lots for , ;levrrlo!)rni'nt iic m the Crty (Tab 2-6) 1 13030 $28,00 its and Eirkeways Committee (Tab 2-7) 113040 53.6 ,yur's Youth Advrsnry Committee (Tab 2-8a To provrcle resources to a carnrnrttee of 113050 $1 5 LUUnGI . +rr Governments and Su ort (Tab 2-`-.ii pp TO F'r°vrde rlrants to various 1 t 9000 $23 6 oryarnzaUons rn the community , to contract wdh a servrct provider to Animal Control Services (Tab 2-10) enforce the animal control by-law and 229000 $702,542 provide shelter services This service offers City residents in need of specialized transportation the ability to Niagara Chair-a-Van Services (Tab 2-11) travel throughout the City For medical, 333000 5473,880 educational, recreational and employment (;;n(~i,~~.>~~, ara Drstnct Arr or1 Services Tab 2-121 p ( To fund the Reyranal Hrrport per 361000 589 29: agreement with Reyron of Niagara , ara Genera! Hosprtal Foundation (Tab 2-13i i"o provide a grant to Hosprtal Foun(iatron >11000 5100.QU ohn Arnbul,rnce Nrayara (Tab 2-141 To provrcle grant to Organization 5L 1000 S40 10 sect Share - Pernussive Grant (Tab 2-15) To provide grant to orgarnzalron E~10001 $314,10 r~Vomc~n's f~laa= -South Niagara - I'~arnussive Grant rTab 2-161 To provide grant to oryanitahon 010002 535,00 YWCA - Permissive Gr.-~nt {Tab 2-1, j To provrcle grant to organization Eit00i73 $66.75: !City Council, Committees, Boards and Services High General Purposes Budget 2009 -Priority Exercise Medium Low Responsibility Centre Description Account Total Expenditure Number Budget Niagara Falls Ubrary Services (Tab 2-18) 7o provrde grant to oryanizaGon 740000 53.913,205 Museum Services (Tab 2-19} To provide grant to organization 752001 $548.187 To provide advice to Council and t1~lunicipal f leritaga Gomntittee (Tab 2 20j residents on matters of architectural 8130UU 415 519 herdage and administer grant , prayram iAdministrative Services General Purposes Budget 2009 -Priority Exercise High _~ Medium Low - Responsibility Centre Description Account Total Expenditure Number Budget Chief Administrative Officer To control and manage the administration of Chief Administrative Officer & Support, (Tab the City's government, affairs and all 3-1] Municipal Divisions in accordance with the 120000 $395,695 relevant provisions of the Municipal Acl and all other statutes in force. To control and manage the administration of Community Service Directors 8~ Support, the City's Community Service Divisions in [Tab 3-2] accordance with the relevant provisions of 122005 $246,882 the Municipal Act and all other statutes in Force. Executive Director of Corporate Services To control and manage the administration of Executive Director of Corporate Services 8~ the City's Corporate Service Divisions in Support [Tab3-3] accordance with the relevant provisions of 121010 5173,382 the Municipal Act and all other statutes in force. Labour and Employee Relation Services To fund salarieslbenefits of dept ,the cost of (Tab 3-4) office materials, recruitment advertising and 142005 $418,651 HR staff conferences Staffing and Compensation Services (Tab 3- To fund vacation/sick leave payments, 5) terminations, retiree benefits, legal costs and 142010 52,263,500 ne oliation settlements WSIB, Health, Safety, Sick Services To fund salarieslbenefits of safely dept and 142015 $788 875 (Tab 3-6) the cost of WSIB payments , Training and Development Services (Tab 3- To fund training and development and 7) corporate tuition program 142020 $140,000 To fund Employee Assistance Program, Employee Benefit Services (Tab 3-8) Employee Recognition NighUAwards and 142025 $45,000 Satisfaction Surve Payroll Services (Tab 3-9) To fund salarieslbenefits of payroll dept 142040 $130.623 City Clerk Election Services (Tab 3-10] To reserve funds for 2010 election 115000 $30,000 Statistics and Records Services (Tab 2-11) To provide licensing, record keeping services 131010 $1 138 1190 of the municipality, and Council services , , • Administrative Services General Purposes Budget 2009 -Priority Exercise • High - Medium Low - Account Total Responsiblliry Centre Description Number Expenditure Budget City Solicitor Corporate Legal Services (Tab 3-12) To provide legal services For the City. 124000 $724,410 Insurance Claim Services (Tab 3-13} To oversee investigation of insurance ' 132015 $280,000 claims by the City s adjuster. Insurance Policy Services (Tab 3-14) General insurance premiums 132025 $110,635 Ci Treasurer To fund 2009 planned debt issues and to Debt and Investment Services {Tab 3-15) fund long term costs of general government 123005 $448,772 debt issues Auditing Services (fab 3-16) To fund External Audit services 123010 $60,000 Property Taxation (Tab 3-17) To provide resources to bill, collect property 125005 S246,828 taxes for the City, Region and School Boards Taxation Services for Fees (Tab 3-21) To provide specialized lax services to 125035 $174,997 residents as requested Revenue and Receivable Services {Tab 3- To Fund Administrative staff for Finance and 133005 $493,618 22) Revenue Accounting and Reporting Services (Tab 3- To Fund Administrative staff For Accounting 133010 $399,632 23) staff Director of Information Services To provide support personnel for all aspects Information Software Services (fab 3- 24J of IS responsibilities To provide internal/external application 143010 $1,561,500 support Information Hardware Services [Tab 3- 25) To provide computer/office equipment To 143020 $279,700 provide operation support/supplies To provide communication and security Data, Voice, Communication Service [Tab 3- equipment 143030 $501,300 26] To provide operation supportlsupplies To provide access to external services Ottrer Curporate hAanayement & Support. To provrde general and project rnarrayement services anil make provision for general 12~J000 $1,715,58: (Tab 3-2'] rurpurate matters l)I'(i Lununurnly Inyr.ict r~yreemunt, ~ I ati 3~ I u man,iyu Uit: use of unc Ume funchny 129001 S270 000 28] provided by Ontario Power Generation , People Mover [Tab 3-29] To provide project management services 129100 583,100 Administrative Services General Purposes Budget 2009 -Priority Exercise High Medrum Low Account Total Responsibility Centre Description Expenditure Number Budget Other General C~avernment Services, [Tab 3- To make provision for general govNrnmenl Iy0000 X3.000 30] matters utcludutg Irvestock claims • C7 • L' Fire Services, Building and By-law Services General Purposes Budget 2009 -Priority Exercise Fire Services High Medium Low Account Total Responsibility Centre Description Expenditure Number Budget Emargency response for fire. medical. rescue Fire Suppression Services i Tab 4-1) wnrch includes protective egwpment. vehicle 211000 512.a;4.5a- maintenance Training program development. delivery Fire Training Services (Tab 4-2) matanals. training courses mcludrng Train the 212000 $314,055 Trainer Fire Prevention Services (Tab 4-3) t_egrslate;f mandates for Irre sarety public 213000 S743.249 aducaUOn rn the commund, Fne Safety Vdtage Fire CommurnC2Uon Services (Tab 4-4) Dispatch operations radio maintenance licenses 214000 S474.`l73 Fire FaGhly Sernces (Tab 4-5) Maintenance/repaus to au budding, utilities 215000 S862 152 Administrative fundrons of overall Fire Other Fire Services (Tab 4$) management, Administrative resources 219000 5933.975 uniforms Capdal contributions Emergency fvteasures Sernces t~dnvnrstrttror. or Erneryency Mar,sgement (Tab ~-r) program, rnamtenance upgrades of equipment 230000 St0 500 communicalron supplies training Building & By-Law Services To provide legrslahve services regarding the adntutrstratron of the Building Code Act F3urldmg Inspection Services and I~egulatrons including the review of iTab 4- 8) permit apphcahons. plans, issuance of 221000 51,534.199 perr7lits .collection of fees, urspection services and enforcement as required. To administer and enforce the By-Liars of By-law Enforcement Services the City utclusrve of comp-ault tracking and 1Tab 4-9- follow up, issuance of notices and legal 222000 $529.893 action as required • Municipal Warks Services General Purposes Budget 2009 -Priority Exercise • Hrgh ~ Medium Low Responsibility Centre Description Account Total Expenditure Number Budget Roadwa Services Paved Surface Maintenance Services {Tab 5-1) Asphalt Patching. Crack Sealing, Shoulder 311000 $5 470 820 Repair, Sweeping and Fall leaf Collet;lion . . Unpaved Surface Maintenance Services crab 5-2) Loose top, Base and Shoulder Reparrs' 312000 101 5643 Dust Control . Sidewalk Maintenance Services (Tab 5-3) Concrete Sidewalk and Curb Reparr. Patchrg and Gnndiny 313000 $1,173,424 [)rauruje thldr. Culvert, Maintenance Services Iloadsrde Uitcluny, Culvert I:eplacemc:nl (Tab 5-4) and Erosion Control 314000 $279,237 Parks Trees Maintenance Services (Forestry) (Tab Trimming, Spading, Stumping, Spraying 5-5) and Planting 316000 $693,581 Roadside r~laintenance Servrces (f ab 5-6) Mowing, Grubbing. Litter Control, Guide ,;15000 $662 521 Dail . Other Roadway Services (Tab 5.71 Road Patrol and Supervisory Staff 319000 51.243.363 Winter Control Services Paved Surface Marntenance Services (Tab 5.8) Sanding. Salting, Plowing, Snow Fencuig' 321000 $L 282 030 Snow Removal and Winter Drainage , , Sanding. Salting, Plovnng. Snow Fencuig. Sidewalks Maintenance Servrces {Tab 5-9) Snovr Removal and Winter Damage 323000 5385,048 Repairs Street Lic htinc Services Sheet Lighting Maintenanc;~ Servrces (Tab 5.101 Conlracted Servrces 351000 5407,962 Street Lighting Power Ctraryes (Tab 5-1 11 Electncrty Purchased 352000 $545,000 Enc ineerinc Services Engineenny Adminrslra6on Servrces iTab 5- Administration & Clerical Services Staff 371010 $912 662 12) , Development Servrces (Tab 5-13; Development and Drainage Insp Staff 3'2000 $268,318 Infrastructure Services (Tab 5.14) Infrastructure ~ Asset Management Staff 371040 5262.233 Pro)ect and Construction Servrces (Tab 5-15- Pt~A's, Surveyors and Inspectors 373000 $1.394,688 Fleet, E ui ~rnent, Facilit Services Fleet Services (fab 5-16) Mechanics and Conlracted Services 374000 $3,584,261 Facilit Services Tab 5-17 y ( ) To provide general maintenance to City 375000 $1 561 128 owned facilities , , Municipal Works Services High General Purposes Budget 2009 -Priority Exercise Medium Low Responsibility Centre Description Account Total Expenditure Numbor Budget Environmental Services Storm Sewer System tv{aintenance Services (Tab Storm Sewers. Catch Basin Cleaning 5-18) . Flushing and contributions to capital. 421000 51.620.45Ei ,Waste Collection Regional Charges (Tab 5-19) Region's Contract plus Enhanced Services 441000 $6,627,090 Recycling ColleeUon Services (Tab 5-20) Region's Contract plus Enhanced Services 461000 S142,269 Pest Control Services (Tab 5-21) 229005 ~13,U00 • Transportation Services General Purposes Budget 2009 -Priority Exercise High Medium Low Responsibility Centre Description Account Total Expenditure Number Budget Staff and resources reyurred to repau, mauttaur. clean, and fuel Cily buses. In addition to Transit Maintenance (Tab G- 1) maintaining the municipal fleet, staff are 331010 54.219,348 required to lake training courses to professionally service private coaches on a fee fur service trtsis. Staff and resources required to develop, implement, and monitor transit operations. ~i Supervise, schedule, and (rain personnel Promote. deliver, and manttarn the integrity of Transit Operations (Tab 6-2i the vanous transit fare media available to our 332000 53.423.950 customers. Maintain the safety of staff and customers by ensuring proper health and safety practices are being uttroduced and adhered .too. Budget tun<lury to support the Nrayarr Specialized Transportation Service. This service offers City residents in need of specialized transportation the ability to travel throughout the Region For medical, educational, Niagara Special Transit Funding and employment purposes. The service is 334000 S252 636 (Tab 6- 3) managed by Regional Niagara staff, but . administered by the Red Cross. It was established through a triple majority, which allowed the upper tier municipality to provide services throughout the lower tier municipalities. Utilities required to maintain the Operations Transit Facilities (Tab 6-4) Facility in a safe, comfortable environment. 335000 $118.051 which would allow s1aH to effectively and efficiently perform their respective duties. Staff and resources required to manage personnel and fiscal matters, establish policy, Transit Administration (Tab 6.5) secure funding, address customer concerns, 339000 5353 682 market the services. and assist with the . managcrnent of Nrayart Chair ll-Van specialized hansportahon servra~ Parking Maintenance Services (Tab On street ant/ off street pay parking as well as lots generates revenue and is self supporting • 0- fi) avadaltifity of parking cantnbutes to economic 341000 S6ri4,4i0 Lrv_~dui~n ianl C7 1/14/2009 Transportation Services .General Purposes Budget 2009 -Priority Exercise High ' Mediuill Low Responsibility Contra Description Account Total Expenditure Number Budget Parking Lol #1 (Park/Zimrnerman} {Tab 6 Parkuiy lot yeneiates revenue and is self 7) supporting -availability of parking contributes l0 341101 $6.819 economic development parking lot generates revenue and is self Parking Lot #2 (Park/Erie} (Tab 6-8} supporting -availability of parking contributes to 341102 $13,536 economic development parking lot generates revenue and is set( Parking Lot #3 (Park/St.Clair) (Tab 6-9) supporting -availability of parking contributes to 341103 $11,120 economic development parking lot generates revenue and is self Parking Lot #4 (Ellen) (Tab 6-10) supporting -availability of parking contributes to 341104 $31,300 economic development Parking Lot #5 (CollegelPalmer) Parking lot generates revenue and is self (Tab 6-11) supporting -availability of parking contributes to 341105 $1,950 economic development parking lot generates revenue and is self Parking Lot #6 (Tab 6-12) supporting -availability of parking contributes to 341106 $7,745 economic development Parking Lot #7 (Huron/Ontario) (Tab parking lot generates revenue and is self 6-13} supporting -availability of parking contributes to 341107 $8,630 economic development Parking Lot #8 (HuroNSl.Clair) (Tab Parking lot generates revenue and is self 6-14} supporting -availability of parking contributes to 341108 57,145 economic development Parking Lot #9 (HuroNSt. Lawrence) parking lot generates revenue and is self (Tab 6.15} supporting -availability of parking contributes to 341109 $6,750 economic development parking lot generates revenue and is self Parking Lot #10 (ParklCrysler)(Tab 6-16) supporting -availability of parking contributes to 341110 515,700 economic development Parking Lot #11 (Chippawa Library} (Tab parking lot generates revenue and is self 6 17) supporting -availability of parking contributes to 341111 55,650 economic development Parking Lot #12 (Sylvia Place} {Tab 6-18) parking lot provides parking which contributes 341112 S15,700 to economic development • 1!14/2009 Transportation Services • General Purposes Budget 2009 -Priority Exercise C High Medium Low Responsibility Centre Description Account Total Expenditure Number Budyet Parking Lot #13 (Main) (Tab 6-19) parking lot provtdes parking which contributes 341113 $7 345 to economic development , Parking Lol #14 (Lundy's Lane) (Tab 6-20) parking lot provides parking which contributes 341114 $6 800 to economic development , parking lot generates revenue and is self Parking Lot #15 {McGrail) {Tab 6-21} supporting -availability of parking contributes to 341115 $7,100 economic development Parking Lot #16 (Niagara Falls Rrena) parking lot generates revenue and is self (Tab 6-22} supporting -availability of parking contributes to 341116 $500 economic development Parking Lot #18 (KitchenerlVictoria} (Tab 6 parking lot generates revenue and is self 23) supporting -availability of parking contributes to 341118 $13,740 economic development parking lot generates revenue and is self Parking Lot #19 (City Hall) (Tab 6-24) supporting -availability of parking contributes to 341119 $13,250 economic development Parking Lot #20 {l3enderlPalmer) (Tab 6 parking lot generates revenue and is self 2 ~~ supporting -availability of parking contributes to 341120 $9,800 eccmcxntc: dirvclnhnu~nt Parking Control Services (Tab 6-26) Parking control is partially funded through ticket issuance however safety issues artd `342005 $682 432 enforcement of pay parking impacts the . operation of on street and aff street pay parking To provide for contract services for annual Pavement Marking Program. To provide Traffic Control Services (Tab 6-27) resources and equipment to carry out traffic 342010 $1,046,856 studies to determine appropriate traffic control devices and for school crossing guards To fund all resources and hardware for Traffic Signs {Tab 6-28} installing, maintaining and repairing traffic 342015 $534 676 signs. To fund specific programs related to . Sign Installations. To provide all resources and hardware for Traffic Signals (Tab 6-29) installing, maintaining and repairing traffic 342020 S38G,000 signal equipment 1/14/2009 Transportation Services • General Purposes Budget 2009 -Priority Exercise High Medium Low Responsibility Centre Description Account Number Total Expenditure Budget K.ul~;~~iy f~;LunP.nanc~~ i i~ab ~i :;Oi I o maintain railway hardware .rs {>ur ayreenrenl 3420"">5 SiiO (?00 with (:NKa' re f luctncity Transportation Planning Services (Tab ~_ To fund studies carried out internally and 31 t externally related to short term and long term 342030 5337,079 transportation improvements throughout city • 1114!2009 Parks, Recreation 8~ Culture Services General Purposes Budget 2009 -Priority Exercise High Medium Low Account Total Responsibility Centre Description Expenditure Ntrrnber Budget Director of Parks. Recreation 8~ Culture _ Cemeteries Services Cemeteries Grounds hAauitenance Services (Tab 7-1 ~ care of grounds at all cemetenes (FV, LL. Drummond Hdl etc). floN~er beds. tree planting, 541UU0 :;:> 17,754 and monument restoration Cemeteries Facility Services (Tab 7-2) buildings of cerneterres related costs 543000 543.25 5 Ciunal ~t;rvicas ~ Tab ' :,~ Cemetene internment servrces- ground, niche at all 544000 `~``,, ... ~~.~ 34 cemetenes Cemetery Dev~lot>ment (tab r"-4j section development at FV tar future burial 548000 S84.ti00 needs (r e :2010 single yravesl Cemeteries Other servrces i 1 ab 7-51 adnun of cemetery offrcelcustorner services 549000 $336,260 Parks care of passive parks, playgrounds, trails , arks Grounds Maintenance Services (Tab 7-6) flower bed programs, graffiti removal: grants to 711000 $1,699,947 Optimist, Chippawa Lions etc Parks Facilities (Athletic Fields) Maintenance Services sport fields such as baseball, soccer, football (Tab 7-7) and other fields; park infrastructure costs at field 713000 $791,175 based parks Other Parks Services {Tab 7-8) management labour costs; to capital holding for 719000 5674,Gti9 capital project costs Recreation Programs Niagara calls Arena Proyrarns (Tab 7-9j skate patrol. sec:urrty costs, and material for 722001 534,144 these } 5tamtord~Jack L3eil Arena Programs (Tab 7 10~ skate patrol, security costs, and material for 722002 S10.16:3 these c".ttrppawa Arena Proyrarns (Tab 7 1 1} skate patrol security costs, and material for 722003 j13 595) these tViayara Falls Arena Concessions ('Tab 7-121 labour. product costs for concessron to reset] 722501 S130 185 Stamford~Jack Bet] Arena Concessions (lab 7-13r labour product costs for concessron to resell 722502 541,27U Chrppawa Arena Concessions iTab 7-14) tabour. pradui;t costs for concessron to reset] 722503 53ti.248 ('riots Proyrarns (Tab 7 15j outdoor- pools -seasonal life guards, and related 723000 S29n.284 program costs 1!14!2009 Parks, Recreation 8~ Culture Services General Purposes Budget 2009 -Priority Exercise r~ f. High Medium Low Account Total Responsibility Centre Description Expenditure Number Budget (:ui~nr~tti~m C~~ntr~:• i i;rh ,~ It;l iri~ui~,urr dehv~~ry ,uinunislrahon of the centre ~-?a(it)1 j;~,'r; Q37 r:rst:~ Coronation Centre Cafe r f~ab 7-171 products costs for resell at cafe (cafe rs profit centre) ~ 24501 $9,373 yranis~external transfer to organizations of Other Recreation Programs l fab 7-18) tivhrch S21$,~>00 rs B & G, special events 729000 5293.000 held by other organrzafions rn NFs City Float (Tab 7-19) marntarnedlreparr costs for cdy Float annually 729002 55,000 annual event -largest civic event organrzecf by Canada Day (fab r'-201 Crty -approx 7.000 to 10.000 pariiapants each 729003 523,000 year Santa Claus Parade (Tab 7-21 i held last Sat Nov each year. approxirnalely 729005 515 000 5,000 participants , Sports :^:all of Farne Tab 7-221 ceremony each year held at P,lemorial areno 72900G 55,14`1 Landscape Fieautif~catron (Tab -7•Z4) landscape and green space clesrgn 729003 S 100.000 improvements city wide (projects each year) free program that is offered rn number of park Summer Playground Program (Tab r'-25) sties seasonally. In partnership wiU~ YMCA in 729012 515,800 08 and intended to continue rn 09 } Recreation Facilities Niagara Falls Memorial Arena (Tab 7-26) operating costs for facr6ty: labour, materials, 732001 $864,597 utilities, repairs etc Stamford/Jack Bell Arena } (Tab 7-27 operating costs for facility: labour, materials. 732002 $991,183 utilities, repairs etc Chippawa Arena {Tab 7-281 operating costs for (acility labour, materials. 7:12003 5.,77.21 E; Pool Maintenance Services (Tab 7-29J utilitir,,; rr~lrnn~; ~,,t, operating costs for 5 outdoor pools, splash pads 733000 5463,41ti Coronation Centre Maintenance Seances (Tab 7-30} for approx 2 months materials and uliltlies for centre 734001 $76,485 MacBain Community Centre Maintenance Services (Tab 7- operating costs for centre; includes debUinterest 31) payments of approx 51.06 M of the budge) 734002 51.462,814 mgmUadmin labour for arenasloutdoor pools; Other Recreation Facility Services (Tab 7-32} costs for facilities like Willoughby Town hall, 739000 $574,785 Peterson's Workshop etc 1/14/2009 Parks, Recreation & Culture Services General Purposes Budget 2009 -Priority Exercise High Medium Low Responsibility Centre Description Account Total Expenditure Number Budgel Other Cultural Services (Tab 7-33) external transferslyrants to 3 orgarnzalrons 759000 $65.458 I'nrks fv~,:r~•.ili~.;u `: ~.;ullui~~ Fa,rn,ni~:rn~~nt .i~rrvu.~r; a I,~i, ~~ I'l~f: iiifn~~• r~iuunr,ti.~h~_~~~:I,il~uin ~f ni,i~r~ ~aflii.•.~ 34) at MacF3aui CC %ti 1 UUO ;:it36,t315 Community Development Services (Tab 7-35) staffing/labour for manager and CDC's: program 762000 $483 845 support costs , Landscape Design Services (Tab 7-361 slatting/labour for landscape architects and 763000 $256 173 Im~i~tr.t :~ui~i~uit ,.~~r.h; , • • 1/14/200q Planning Services, Business Development Services General Purposes Budget 2009 -Priority Exercise • • High Medium Low Responsibility Centre Description Account Number Total Expenditure Budyet Cit Planner To fulfill requirements for Official Plan and Zoning By-law documents for economic Planning Services [Tab 8-1] growth and community development. 811000 $1,249,689 To provide Council with recommendations of land use planning matters. To undertake studies to update the Official Zoning Services [Tab 8-2] Plan and Zoning By-law and to implement 812000 $51,500 provincial growth plan. Director of Business Development Services To encourage redevelopment and private sector Cornmurnly Improvement Service -Downtown ( investment 823005 5470.000 Tab 8-3) To encourage community pride and enjoyable experiences To encourage rehabitatation of contaminated sites Community Improvement Service -City Wide (Tab 8 • To encourage redevelopment which lessens the 823006 5185.000 4) need to develop greenfields and costly municipal infrastructure To encourage redevelopment and private sector Community Improvement Service -Main 8~ Ferry investment 823007 $275.000 (Tab 8-5) To encourage community pride and enjoyable experience To promote the City of Niagara Falls as an Business Development Services (Tab 8-6) excellent Business location as well as to 821000 $543.602 encourage the expansion and retention of existing business operatutcl nt the City rJperatmg the illunnnation of the ~:anad~an Niayara Fulls Illumutatron Board -Tourism !Tau 8 Horseshoe & Amencan Falls OperahrnJ since 821006 X36.050 7) 1925 Falls are tllununated rtrghis until 10 pm from Jan-Apr acrd until rrndnight tyre rest of the year Winter Festival of Lights - Tounsrn Development Annual festival of 125 anunated night displays and nullions of sparkling lights The holiday 1321007 33(30 r.7D0 (Tab 8-8) f~strval runs front Nov 9 2009 to Jan g 2010 1!1412009 Planning Services, Business Development Services High General Purposes Budget 2009 -Priority Exercise Medium Low • • Responsibility Centre Description Account Number Total Expenditure Budget Niagara Falls Tourism, the destination marketing Niagara Falls Tourism -Tourism Oevelopmenl (Tab organization for the City of Niagara Falls, is a 8 9) tourism member driven organization providing 821008 $600,000 external marketing, visitor services, travel trade, 8~ meeting incentive travel services. Downto~~m 5peci;~l Events (Tab 8-10) To provicf~ activities that have a positive impact on qualify of Ufe 823008 5100,000 Tc~ encourage p:~SrUve cc~mnnrnrty sprat and enfoyable experiences by f~otlr locals and tourists Partnership between the City of Niagara Falls Business Development and the Ministry of Small Business 8 Consumer Services. The centre Small Business Enterprise Services (Tab 8-11) provides aspiring entrepreneurs and existing 823010 5166.558 small business one on one consulting and educational training and the business resources needed to assist in their development. 1!14!2009