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2009/04/06 ; CORPORATE SERVICES COMMITTEE AGENDA FIFTH MEETING Monday, April 6, 2009 Council Chambers - 6:00 - 7:00 p.m. 1. 2009 Budgets Staff Contact a) General Purposes Budget Ed Dujlovic Presentation b) Capital Budget Ed Dujlovic Presentation c) Municipal Utility Budget Ken Burden Presentation Report: CPS-2009-02 Ken Burden Municipal Utility Budget, Fees and Charges for Water and Sewer 2. New Business 3. Adjournment REMINDER: PLEASE BRING YOUR 2009 BUDGET BINDERS TO THE MEETING April 6, 2009 CPS-2009-02 I~~~~ara~alls ~nN~~,ti Councillor Victor Pietrangelo, Chair and Members of the Corporate Services Committee City of Niagara Falls, Ontario Members: Re: CPS-2009-02 2009 Municipal Utility Budget, Fees and Charges for Water and Sewer RECOMMENDATION: 1) That the 2009 Municipal Utility Budget be approved, 2) That the 2009 Schedule of Fees and Charges for Water and Sewer be approved and made effective May 1, 2009. BACKGROUND: The Municipal Utility Budget provides forthe revenues and expenditures ofthe City's water and sanitary sewer systems. 2009 Municipal Utility Budget Expenditures Regional Charqes There are recent changes in the Region's billing for water supply. The Regional water billing will change from a total volumetric rate to a partial fixed and partial volumetric charge. This change resulted from a review that focussed on the shortfall of Regional water revenues. The review determined that many of the Region's water costs are fixed, and that a fixed charge would help offset the Region's risk of revenue shortfails. Regional Council Reports CSD 57-2009 is attached for your information to better understand the billing change for water supply. Staff has reviewed the City's history of water and sewer flows and the expected Regional billings. Compared to the 2008 estimates, Regional water billings are expected to increase by 11.5%, and 1.8% for sewer billings. In total, the Regional charges are expected to increase by $1.25 million. Corporate Services Departmei Finance . + ~ <r~ ~I . ~ ' . . . b «300Ca 'b~'u-_ 4~G~D~s ~ • . :_r April 6, 2009 - 2- CPS-2009-02 In 2008, the City experienced a significant shortfall in sewer consumption revenue. The 2008 year experienced significant rainfall which impacted the use of water. Since the sewer consumption revenue is based on water usage, the City's revenues were not sufficient to pay the Regional fixed charges for sewer treatment. For 2009, Staff is recommending a revenue stabilization amount of $678,700. The stabilization will help offset the risk of revenue shortfalls when paying the Region's water and sewer billings. Wages and Benefits Staff has reviewed the expenditure for labour to ensure that sufficient budget is allocated to implement the recommendation from the Environmental Services Delivery review. For 2009, staff has also included a portion of the Infrastructure Services personnel, to reflect the dedicated use of their time for water and sewer projects. The allocation of Infrastructure Services transfers approximately $323,000 from the General Purposes Budget. The total increase for labour costs is approximately $485,000. As Council will recall, the Service Delivery Review for the Water/ Waste Water section (CAO-2008-04) recommended four union positions, to facilitate uninterrupted preventive maintenance, and one new management position, Environmental Services Coordinator, to plan and coordinate the staff and to monitor and maintain performance measurement data and statistics. The increased complement was recommended to reduce the reliance on contracted services at an estimated cost savings of more than $400,000 per year. Debt Principle and Interest Payments During 2009, the payments of interest and principle will be maintained at $236,300. In the capital program, should any of the water and sanitary sewer projects require debt financing, the servicing of the new debt would begin in 2010. Materials and Contracted Services The total increase for materials and contracted services are approximately $520,000. This increase includes the additional expense ($94,900) for the billing and receipting services provided by Niagara Peninsula Energy. Also included are increased expenditures for asphalt patching ($145,000), engineering services ($187,500), system inspections, leak detection, repairs and rehabilitation programs. Rents and Financial Expenses This expenditure includes Tenant Deposit Interest, Uncollectible Accounts, and the Senior's $100. Rebate Program. In 2008, this account included Regional charges for debt servicing; these fixed charges were separate from the Region's billing forwater and sewer. For 2009, these fixed charges will not be billed separately. The costs of approximately $289,700 have been moved from this account to the Regional Charges account. April 6, 2009 - 3- CPS-2009-02 Capital Contribution Capital Contribution provides funding for waterworks and sanitary sewer system construction and maintenance. The same amount of transfers as in 2008 has been included. The water capital contribution is $4,500,000 and the sewer capital contribution is $4,645,000. Staff has developed the 2009 Capital Projects Budget based on a total capital contribution of $9,145,000. Exqenditures Summary For 2009, the total water and sewer costs are estimated at $39,678,600, an increase of $2,557,500 or 6.9% over the 2008 Municipal Utility Budget expenditures. Almost half of the increase is due to Regional Charges. The remaining increase results from the new stabilization amount, labour increases, the transfer of Infrastructure Services, and an increase in contractual services. The Committee may want to consider reducing certain expenditures. Suggested expense items are the stabilization amount, the capital contribution, and contracted services. Such reductions would have an impact on revenue security, capital projects, and annual maintenance programs. For example, a$1,400,000 reduction in expenditures would effectively hold a homeowner's water and sewer bill to a 5% increase over last year. 2009 Schedule of Fees and Charges for Water and Sewer Water and Sewer Consumption Rates The consumption rates are intended to raise sufficient revenues to pay the Regional costs for water supply and sewer treatment. Due to the change in the Region's billing, staff has also included a revenue stabilization amount to help offset the risk of a consumption revenue shortfall. For 2009, the City's water consumption rate would increase to $0.7602 per cubic metre, and the sewer consumption rate would increase to $0.9612 per cubic metre. The following chart shows a history of previous years' consumption rates for water, sewer, and the 2009 proposed consumption rates per cubic metre. Water Sewer Combined Increase Rate Rate Rate 2005 $0.5610 $0.8780 $1.4390 2.42% 2006 $0.5780 $0.8780 $1.4560 1.18% 2007 $0.6024 $0.8544 $1.4568 0.05% 2008 $0.6493 $0.8760 $1.5253 4.70% 2009 $0.7602 $0.9612 $1.7214 12.86% April 6, 2009 - 4- CPS-2009-02 Monthly Service Charqes The monthly service rates are intended to raise sufficient revenues to pay the City's costs to maintain, repair and improve the water and sanitary sewer distribution systems. Both Water and Sewer monthly service charges are calculated by dividing the total costs for each of the distribution systems by the number of water meters. The calculation also factors the meters according to their size, so that a larger meter has a greater monthly charge than a smaller meter. For 2009, the Base monthly water service charge would increase to $23.38, and the sewer service charge would increase to $21.39. The following chart shows a history of previous years' and the 2009 Base monthly service charges. Water Sewer Combined Increase Rate Rate Rate 2005 $20.44 $11.96 $32.40 8.62% 2006 $19.56 $13.82 $33.38 3.02% 2007 $20.07 $18.58 $38.65 15.79% 2008 $21.49 $20.41 $41.90 8.41% 2009 $23.38 $21.39 $44.77 6.90% For comparative purposes, the following chart shows several examples of how the proposed water and sewer rates would impact various ratepayers by meter size and quantity of water used. Meter Estimated Average Annual 2009 2008 Change Size Volume of Water Consumption $ $ $ % Estimated Annual Water and Sewer Charges - Residential 15mm 10 cmlmonth or 120 cmlyear $ 743.86 $ 685.77 $ 58.09 8.47 15mm 15 cmlmonth or 180 cmlyear $ 847.14 $ 777.28 $ 69.86 8.99 16mm 20 cm/month or 240 cm/year $ 950.43 $ 868.80 $ 81.63 9.40 16mm 25 cm/month or 300 cm/year $ 1,053.71 $ 960.31 $ 93.40 9.73 Estimated Annual Water and Sewer Charges - Commercial 25mm 100 cm/month or 1,200 cm/year $ 2,602.95 $ 2,333.00 $ 269.95 11.57 37mm 200 cm/month or 2,400 cm/year $ 5,743.19 $ 5,168.75 $ 574.44 11.11 50mm 360 cm/month or 4,320 cm/year $ 10,660.12 $ 9,605.39 $ 1,054.73 10.98 75mm 1,000 cm/month or 12,000 cm/year $ 27,104.05 $ 24,335.49 $ 2,768.56 11.38 100mm 2,200 cm/month or 26,400 cm/year $ 57,264.81 $ 51,326.00 $ 5,938.81 11.57 150mm 10,000 cm/month or 120,000 cm/year $ 229,131.42 $ 204,140.69 $ 24,990.73 12.24 200mm 13,000 cm/month or 156,000 cm/year $ 308,831.69 $ 275,638.93 $ 33,192.76 12.04 250mm 15,000 cm/month or 180,000 cm/year $ 366,263.57 $ 327,326.39 $ 38,937.18 11.90 April 6, 2009 - 5- CPS-2009-02 Other Fees and Charqes Revenue from other fees and charges will be reduced by $375,000. The reduction resulted from the expiry of the funding from OPG ($100,000), and the canceled transfer of General Purpose funding for Fire Hydrant maintenance. Other fees and charges may experience a slight increase due to the proposed rate increases. Revenue Summarv For 2009, the total water and sewer revenues are estimated at $39,678,600, an overall increase of $2,557,500 or 6.9% over the 2008 Municipal Utility Budget revenues. Most of the increase is the 12.9% increase in volumetric rates for water and sewer to pay the Regional billings. The remaining increase is in monthly service charges, 8.8%forwater and 4.8% for sewer. The service charge increases are to make up for the reduced revenues from OPG and the General Purposes Fund and to pay forthe increased City costs. Attached to the report is the 2009 Schedule of Fees and Charges for Water and Sewer, and the 2009 Budget Statements. Recommended by: ~~i~~'~riP"~/ Ken Burden, Executive irector of Corporate Services Recommended by: ~ ~ t Ed Dujlovic, Executi Director of Community Services Schedule "A" to this amending By-Law No. 2009- CITY OF NIAGARA FALLS SCHEDULE OF RATES, FEES AND CHARGES After Before 1. Service charges: Due Date Due Date 15 mm meter $ 2A.55 $ 23.38 monthly 18 mm meter $ 2A.55 $ 23.35 monthly 25 mm meter $ 24.55 $ 23.38 monthly 37 mm meter $ 73.65 $ 70.14 monthly 50 mm meter $ 147.29 $ 140.28 monthly 75 mm meter $ 294.59 $ 280.56 monthly 100 mm meter $ 540.08 $ 514.36 monthly 150 mm meter $1,031.06 $ 981.96 monthly 200 mm meTer $1,84118 $1,7535~ monthly 250 mm meter $2,577.65 $2,454.90 monthly 2. Water rates: After Before Due Date Due Date $ 0.7982 $ 0.7602 per cubic metre 3. Flat rates for a private water service not metered by choice or other determination o£the City: After Before Due Date Due Date $ 48.49 $ 4619 monthly includes 30m3 ofusage 4. Flat rates for a private water service not metered because of refusal of owner: After Before Due Date Due Date $145.48 $ 138.57 monthly 3 x the rate 5. Billing period: Minimum of one month. 6. Service deposits: Two times the estimated billing for a billing period with a minimum of the amount of $230.00. 7. Sewer rates: (a) Service charge as set out in section 1: 91.5'% (b) Water rates as set out in section 2: 126.4% (c) Flat rates as set out in sections 3 and 4: 108.7% 8. Charge for Installation of Water Service: (a) 3/4" Service: $1,650.00 (b) Over 3/4" Service Actual cost - Deposit required based on estimated cosfs. 9. Charge for shutting off or tuming on supply of water: (a) During normal warking hours: $ 55.00 (b) Outside normal working hours: $ 165.00 Note: For the purpose ofthis by-law, normal working hours shall mean Mondays to Fridays (exclusive of holidays) between 8:00 a.m. and 4:00 p.m. 10. Charge for meter removal or reinstallation: (a) During normal working hours: $ 40.00 per hour/per city employee (b) Outside normal working hours: $ 100.00 per hoiir/per city employee 11. Charge for Testing Meter Consumption: At cost with a deposit of $75.00 12. Bulk carrier rate for CiYy stand-pipe: (a) For Water $.95 per cubic metre Cost plus 25% -4- (b) Seivice deposit: Based on estimated charges far two billing periods, minimum of $500.00. (c) Bulk water card purchase $10.00 13. Use of Water for Construction Purposes: (a) At rates shown in sections 1 and 2 together with the cost to supply and install a metex. (b) Service Deposit: based on estimated charges for two billing periods; minimum of $500.00. 14. Charge for private water service accotmt transfen~ed to taac account: (a) Per transaction fee of $22.00 CITY OF NIAGARA FALLS GL5280 Page : 1 Date : Mar 26, 2009 Time : 2:04 pm Budget Report By Function From Category : 100000 To Category : 823010 Account Code : 15-3-??????-???To : 15-4-??????-?????? 2008 2008 2009 Account Code Account Description ACTUAL FINAL BUDGET FINAL BUDGET VALUES -BUDGET -BUDGET VALUES VALUES 15--> CITY WATER FUND 123010--> AUDITING SRVS 3--> EXPENSE 15-3-123010-040000 CONTRACTED SERVICES 5,000 5,000 5,000 Total EXPENSE 5,000 5,000 5,000 AUDITING SRVS Surplus/Deficit 5,000 5,000 5,000 132015--> INSURANCE CLAIM SRVS 3--> EXPENSE 1 5-3-1 3201 5-030~00 MATERIALS - INSURANCE ClAll 9,524 0 0 Total EXPENSE 9,524 0 0 INSURANCE CLAIM SRVS Surplus/Deficit 9,524 D 0 133005--> REVENUESANDRECV 3-> EXPENSE 153-133005-040000 CONTRACTEDSERVICES 700,135 631,164 726,077 Total EXPENSE 700,135 631,164 726,077 REVENUES AND RECV Surplus/~eficit 700,135 631,164 726,077 142075--> WSIB HEAITH SAFETY SICK SRVS 3•-> EXPENSE 153-142015-030000 MATERIALS 61,000 61,000 61,000 Total EXPENSE 61,000 61,000 61,000 W516 HEALTH SAFETY SICK SRVS Surplusl~eficit 61,000 61,000 61,000 431000--> SYSTEM MAINT WATERWORKS 3--> EXPENSE 153-431000-010DOD LqBOUR 1,283,082 1,510,420 1,648,471 1 53-431 000-01 001 3 EMPLOYEE BENEFITS ALLOCA- 293,965 306,216 395,633 15-3-431000-020000 LONGTERMINTEREST 27,088 27,488 21,967 153-431000-030000 MATERIALS 323,584 427,559 312,292 153-431000-030005 PERSONNEL DEVELOPMENT 0 16,646 18,000 153-431000-030007 ELECTRICITY 15,734 10,000 16,500 153-431000-030009 WATER 5,457 2,000 6,000 CITY OF NIAGARA FALLS GL5280 Pa9e ; z Date : Mar 26, 2009 Time : 2:04 pm Budget Report By Function From Category : 100000 7o Category : 823010 Account Code : 15-3-??????-???TO : 75-4-??????-?????? 2008 2008 2009 Account Code Account Description ACTUAL FINAL BUDGET FINAL BUDGET VALUES -BUDGET -BUDGET VALUES VALUES 15-3-431000-03D011 NATURAL GAS 161 1,000 1,000 153-43100D-030D15 ADVERTISINGlNEWSRELEASE 4,650 26,530 27,486 15-3-431000-030D17 INSURANCE PREMIUMS - SYSTI 68,138 69,820 70,867 15-3-431000-030018 CONFERENCES/CONVENTIONS 6,048 D 0 15-3-031000-040000 CONTRACTED SERVICES 362,652 409,610 501,645 153-431000-050000 RENTS AND FINANCIAL EXPENt 13,159 296,OD2 731,200 153-431000-070000 LONG TERM DEBT PRINCIPAL 99.018 98,718 104,463 153-431000-080002 TO CAPITAL HOLDING 4,500,000 4,500,000 4,500,000 153-431000-090000 INTERNAL RENT 208,555 205,526 2D7,418 Total EXPENSE 7,211,291 7,907,535 7,962,942 4--> REVENUE 15-4-031000-710000 USER FEES ~ -146,800 0 0 15-4-431000-710014 WATER CONSUMPTION FEES - -8,330,564 -9,006,450 -10,244,433 15-4-431000-710015 WATERSERVICEFEES-SYSTE -7,889,347 -8,165,005 -8,798,447 15-4-431000-710016 WATER FLAT RATE FEES - SYS -53,363 0 0 15-4-431000-710017 WATER STAND PIPE FEES - SY~ -52,653 0 -55,024 15-4-431000-710018 WATER TRANSFER AND SHUT ~ -28,620 -25,000 -25,D00 15-4-431000-77000D SALES -43,232 -50,000 0 15-4-431000-790000 OTHER REVENUE -16,124 -364,694 -90,000 Total REVENUE -16,560,703 -17,611,149 -19,212,904 SYSTEM MAINT WATERWORKS SurpluslDeficit -9,349,412 -9,703,614 -11,249,962 4320D0--> REGIONAL CHRGS WATERWORKS 3--> EXPENSE 153-432000-040000 CONTRACTED SERVICES 8,469,430 9,006,450 10,244,433 15-3-432000-050000 RENTS AND FINANCIAL EXPEN; 27,467 0 0 Total EXPENSE 8,496,897 9,006,45D 10,244,433 REGIONAL CHRGS WATERWORKS Surplus/Deficit 8,496,897 9,006,450 10,244,433 - 433000-•> WATER SYSTEMS RESEARCH & DEVMT 3--> EXPENSE 153-433000-010000 LABOUR - WATER SYSTEMS RE 0 0 111.655 153-433000-010013 EMPLOYEE BENEFITS ALLOCA" 0 0 26,797 15-3-4330D0-030000 MATERIALS - WATER SYSTEMS 0 0 60,000 15-3-433000-040D00 CONTRACTED SERVICES - WAl 0 0 15,000 Total EXPENSE 0 0 213,452 WATER SYSTEMS RESEARCH & DEVMT Surplus/Deficit 0 0 213,452 Total CITY WATER FUND -76,856 0 0 CITY OF NIAGARA FALLS GL5280 Page : 1 Date : Mar 26, 2009 Time : 2:05 pm Budget Report By Function From Category : 100000 To Category : 823010 Account Code : 163-??????-???To : 16-4-??????-?????? 2008 2008 2009 Account Code Account Description ACTUAL FINAL BUDGET FINAL BUDGET VALUES -BUDGET -BUDGET VALUES VALUES 16•-> CITY SANITARY SEWER FUND 132015•-> INSURANCE CLAIM SRVS 3--> EXPENSE 163-132015-030000 MATERIALS - INSURANCE CLAII 749 0 0 Total EXPENSE 749 0 0 INSURANCE CLAIM SRVS SurpluslDefcit 749 0 0 142075--> WSIB HEALTH SAFETY SICK SRVS 3--> EXPENSE 163-142015-030000 MATERIALS 23,500 23,500 23,500 Total EXPENSE 23,500 23,500 23,500 WSIB HEALTH SAFETY SICK SRVS SurpiuslDefcit 23,500 23,500 23,500 411000--> SYSTEM MAINT SANITARY SEWER 3--> EXPENSE 163-411000-010000 LABOUR 633,743 658,287 529,658 163-411000-010013 EMPLOYEE BENEFITS ALLOCA- 153,065 117,046 127,118 163-411D00-020000 LONGTERMINTEREST 23,768 24,047 19,255 163-411000-030000 MATERIALS 97,636 255,901 85,000 16-3-411 D00-030017 INSURANCE PREMIUMS - SYSTI 83,260 86,200 87,493 163-411000-039000 SEWER REBATE MATERIALS 1,484 0 0 163-411000-040000 CONTRACTED SERVICES 1,306,620 1,477,787 812,500 163-4110D0-050000 RENTS AND FINANCIAL EXPENt 670 319,853 194,900 163-411000-070000 LONG TERM DEBT PRINCIPAL 85,862 85,861 90,583 163-411000-080002 TO CAPITAL HOLDING 4,645,000 4,645,000 4,645,000 163-411000-090000 INTERNAL RENT 5Q010 91,943 141,779 Total EXPENSE 7,081,118 7,755,925 6,733,286 4-•> REVENUE 16-4-411000-650000 GRANTS -20,000 0 0 16-4-411000-710000 USER FEES -10,510,354 -11,730,523 -12,423,041 i6-4-411000-710010 SEWER SERVICE CHARGES - S -7,462,289 -7,649,425 -8,012,691 16-4-411000-710011 SEWER FLAT RATE CHARGES - -60,678 0 0 16-4-411000-710012 SEWERLATERALCLEANING-: -28,767 -30,000 -30,000 16-4-411000-7900D8 OPG SEWER REVENUE - SYSTE -117,441 -100,000 0 Total REVENUE -18,199,529 -19,509,948 -20,465,732 SYSTEM MAINT SANITARY SEWER Surplus/Deficit -11,118,411 -11,754,023 -13,732,446 CITY OF NIAGARA FALLS G~5280 Page : 2 Date : Mar 26, 2009 Time : 2:05 pm Budget Report By Function From Category : 100000 To Category : 823010 Account Code : 163-??????-???TO : 16-4-??????-?????? 2008 2008 2009 Account Code Account Description ACTUAL FINAL BUDGET FINAL BUDGET VALUES -BUDGET -BUDGET VALUES VALUES 412000--> REGIONAL CHRGS SANITARY SEWER 3-•> EXPENSE 163-412000-040000 CONTRACTEDSERVICES 11,594,428 11,730,523 12,423,041 TotaIEXPENSE 11,594,428 11,730,523 12,423,041 REGIONAL CHRGS SANITARY SEWER Surplus/Defcit 17,594,428 11,730,523 12,423,041 413000--> SANITARY SYSTEMS RESEARCH & DEVMT 3•-> EXPENSE 16-3-413000-010000 LABOUR - SANITARY SYSTEMS 0 0 148,875 16-3-413000-010013 EMPLOYEE BENEFITS ALLOCA- 0 0 35,730 163-413000-030000 MATERIALS - SANITARY SYSTE 0 0 65,000 76-3-413000-D40000 CONTRACTED SERVICES - SAN 0 0 1,030,OOD 16-3-413000-090000 INTERNAL RENT - SANITARY Sl 0 0 6,300 Total EXPENSE 0 0 1,285,905 iANITARY SYSTEMS RESEARCH & DEVMT Surplus/~efcit 0 0 1,285,905 - - - Total CITY SANITARY SEWER FUND 500,266 0 D