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PJCKER1NG
2020
Capital Budget
As Approved by Council - February 24, 2020
City of Pickering
2020 Approved Capital Budget
Table of Contents
Department
Budget Summaries
Mayor & Council
Office of the CAO Department
Corporate Projects 5192
City Development Department
Building Services 5612
Community Services Department
Facilities
Civic Complex 5700
Dunbarton Pool 5713
Don Beer Arena 5715
Community Centres 5719
Seaton Community Centre 5720
Recreation Complex -Central Core 5731
Recreation Complex -Pool 5733
Recreation Complex -Arenas 5735
Museum 5744
Public Works
Property Maintenance 5311
Roads Equipment 5319
Parks 5780
Fleet Vehicles 5990
Corporate Services Department
Information Technology 5206
By-Law Services 5220
Animal Services 5219
Engineering Services Department
Streetlights & Signalization 5325
Sidewalks 5323
Stormwater Management 5410
Roads Projects 5320
Water Resources & Development Services 5613
Development Projects -(DC Funded) 5321
Finance Department
Finance and Taxation 5203
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77
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86
90
92
94
95
97
100
103
126
128
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134
City of Pickering
2020 Approved Capital Budget
Table of Contents
Fire Services Department
Fire Services 5340
Human Resources Department
Human Resources 5139
Libraries
Library 5800
Forecast 2021-2024
136
137
141
142
143
144
145
Common Budget Terms
Assessment Growth
The additional taxation revenue the City receives from new homes and businesses that
are built each year. This revenue is used to cover the cost of providing services to the
new residents/businesses and for long term financial planning.
Budget Levy
Sometimes referred to as the "Tax Levy", the budget levy is the total of all expenditures
funded by property taxes.
Capital Budget
One time expenditures for major projects (often referred to as "infrastructure") such as
roads, vehicles/equipment, parks, sidewalks, trails, streetlights, storm sewers,
playgrounds and buildings. It includes both the development of new, and the
maintenance/rehabilitation of existing infrastructure.
Current Budget
The expenditures (e.g., wages/benefits, supplies, contracted services, utilities, etc.)
required to deliver the day to day City services. It also includes the revenues that the
City receives (e.g., user fees, interest income, building permit fees, etc.).
Debt
A type of long term loan used as partial financing for major capital projects. The debt,
including interest, is repayable over 5 to 25 years. Debenture debt spreads the project
cost and related tax rate increase over a number of years and ensures that future
taxpayers pay their fair share of capital projects being completed today.
Development Charges
A charge paid by developers to partially pay for the cost of new capital projects required
as a result of growth (e.g., new roads, parks, trails, community centres, fire stations,
etc.). Development charges do not cover the entire cost of a capital project, as
legislation requires municipalities to fund a portion of most projects. In addition, certain
expenditures are exempt from development charges and must be paid entirely by the
municipality.
Common Budget Terms
Reserves/Reserve Funds
Dollars set aside for specific purposes, both current and capital budget items .. There
are two main types of reserves/reserve funds:
Statutory/Obligatory -municipalities are required by legislation to establish certain
reserve funds (e.g., Development Charges, Parkland)
Discretionary -can be established by Council for specific purpose (e.g., Vehicle
Replacement, Rate Stabilization)
City of Pickering
2020 Approved Capital Budget
Reconciliation
Draft Capital Budget as Submitted to Executive
Committee -February 13, 2020
Executive Committee Approved Budget Changes
Add: 5740.2001 New Performing Arts Centre
5740.2002 New Central Library
5740 . .2003 New Senior & Youth Centre
5740.2004 City Centre Bridge Link
· 5740.2005 City Centre Underground Parking Garage
5740.2006 City Centre Relocation of Services
Remove: 5731.2002 Golf Simulator -New
Revised 2020 Approved Capital Budget
1
$
$58,678,005
64,640,000
39,884,000
41,290,000
5,671,000
28,337,000
7,489,000
(70,000) 187,241,000
$245,919,005
City of Pickering
Approved 2020 Capital Budget Overview
Five Year Capital Plan
2020
Classification Budget
Infrastructure Renewal $24,48.0,963
Growth 221 ,438,042
-..
Total $245,919,005
Financing Summary
2020
Budget
Capital Paid from Property Taxes $736,363
Donations 2,250,000
Sale of Property 0
Federal Grants 950,000
Provincial Grants 850,000
External Debt 109,183,580
Internal Loan 1,406,000
Rate Stabilization Reserve -1,527,200
Discretionary Reserve & Reserve Funds 6 ,458,568
Third Party Contribution -Reserve Fund 3,932,940
Parkland -Reserve Fund 970,000
Federal Gas Tax -Reserve Fund 4,713,000
Development Charges -Reserve Fund · 110,591,354
Road & Bridges -Reserve Fund 2,350,000
$245,919,005
2
Five Year
Total
$200,392,505
428,996,666
$629,389,171
Five Year
Total
$7,342,063
2,450,000
2,000,000
4,950,000
850,000
230,346,080
12,922,890
1,704,200
143,289,506
33,944,219
3,409,099
17,411,575
159,319,539
9,450,000
$629,389,171
City · of Pickering
Infrastructure Renewal ·
Approved 2020 Capital Budget Overview
Five Year Capital Plan
2020
Infrastructure Renewal by Program Budget
Mayor $0
Council 0
5700 Civic Complex 1,337,000
5701 Senior Citizens Centre 0
5713 Dunbarton Pool 92,000
5715 Don Beer Arena 120,000
5719 Community Centres 960,000
5731 Rec. Complex-Core 8,166,000
5733 Rec. Complex-Pool 195,000
5735 Rec. Complex-Arenas . 482,000
5744 Museum 310,000
5311 Property Maintenance · 225,000
5319 Roads Equipment . 217,000
5780 Parks 2,120,000
5990 Fleet Vehicles 2,290,000
5206 Information Technology 556,000
5220 By-Law Services 50,000
5325 Streetlights & Signalization 471 ,600
5323 Sidewalks · 200,000
5410 Stormwater Management 175,000
5320 Roads Projects · 4,851,000
5321 Development Projects-(DC Funded) 0
5340 Fire Services 853,363
5800 Library 330,000
5139 Human Resources 480,000
$24,480,963
3
2020-2024
Total
$10,000
60,000
38,648,250
2,250,000
314,000
350,000
25,150,425
13,232,000
1,925,000
5,637,000
2,918,500
4,175,000
1,872,000
22,826,800
7,728,000
1,213,,000
50,000
3,820,400
654,100
3,458,000
33,982,800
13,087,991
7,845,363
8,413,876
770,000
$200,392,505
$65,000,000
$60,000,000
$55,000,000
$50,000,000
$45,000,000
$40,000,000
$35,000,000
$30,000,000
$25,000,000
$20,000,000
$15,000,000
Capital Budget Summary
2011 to 2020
New Fire Station & HQ (Seaton)
New Animal Shelter
CHDRC Renovation
New Operations Centre
LED Streetlights
Frenchman's Bay
Harbour Entrance
1
The approved 2020 Capital Budget includes $187.3 million for the City Centre
project, which includes a new Performing Arts Centre, Central Library and
Senior & Youth Centre. This project is excluded from the above graph for
comparative purposes.
4
City of Pickering
2020 Capital Budget by Financing Source
($245.9 Million)
R - Rate
Stabilization
0.62%
Paid From
Property Taxes
0.30%
Discretionary Reserve &
Reserve Funds
5.58%
RF - Federal
Gas Tax Government
_ 1.92% Grants
0.73%
Other
0.91%
Debt
44.97%
5
Development Charges -
Reserve Fund
44.97%
City of Pickering
Annual Debt Charges for Property Tax _Financed 2020 Capital
Projects
Project# Description Annual 2020
Charges Project Budget
Internal Loan -5 Year
5731 .2006 CHDRC Tenant Relocation $20,000 $91,000
5735.2007 CHDRC Arenas -Delaney & O'Brien Storage Rooms 42,000 190,000
5744.2005 Museum Combination Barn Restoration -Construction 43,000 195,000
5780.2007 South Pine Creek Ravine -Pathway Reconstruction 33,000 150,000
Total Cost of Internal Loan -5 Year $138,000 $626,000
Internal Loan -10 Year
5340.2009 FS #5 Replacement -Design $56,000 $465,000
5715.2001 Don Beer Arena Rink #3 Dehumidifier Replacements 14,000 120,000
5735.2003 CHDRC Delaney Condenser Tower & Structure Replacement 23,000 195,000
Total Cost of Internal Loan -10 Year $93,000 $780,000
Debt-5 Year
5325.2004 Accessible Pedestrian Signals -4 locations $79,000 $360,400
Total Cost of Debt -5 Year $79,000 $360,400
Debt -10 Year
5700.2002 Civic Comp. Backup Generator Replacement -Construction $96,000 $800,000
5731 .2004 CHDRC Tennis Court Flooring Replacement -Construction 72,000 600,000
Total Cost of Debt -1 0 Year $168,000 $1,400,000
Debt -15 Year
5340.2003 Fire Pumper Rescue Replacement $88,000 $1,000,000
5731.2001 CHDRC Tennis Cour:t Roof & Wall Repairs -Construction 42,000 470,000
Total Cost of Debt -15 Year $130,000 $1,470,000
Debt-20 Year
5340.2007 FS #1 New Fire Station & HQ (Seaton) -Construction $204,000 $2,767,180
5340.2018 Seaton North FS -Land 41,000 560,000
5731.2014 CHDRC Lobby & Core Area Renovations -Construction 441,000 6,000,000
Total Cost of Debt -20 Year $686,000 $9,327,180
Debt -25 Year
5740.2001 New Performing Arts Centre $3,414,000 $51,951,000
5740.2002 New Central Library 1,518,000 23,102,000
5740.2003 New Senior & Youth Centre 332,000 5,058,000
5740.2004 City Centre Bridge Link 131,000 1,989,000
5740.2005 City Centre Underground Parking Garage 502,000 7,637,000
5740.2006 City Centre Relocation of Services 453,000 6,889,000
Total Cost of Debt -25 Year $6,350,000 $96,626,000
Grand Total $7,644,000 $110,589,580
,..
u
City of Pickering
Accessibility Capital Projects
2020 Capital Budget and 2021 to 2024 Capital Forecast
Project Description
2020
Diana, Princess of Wales Park -Pathway Construction
Accessible Pedestrian Signals - 4 locations
Whites Road -Asphalt Sidewalk Reconstruction
South Pine Creek Ravine -Pathway Construction
-Glenanna Rd. to 1;3ronte Square
Creekside Park Playground Equipment
Chestnut Hill Developments Rec. Complex Tot Pool Handrails
The Draft 2020 Capital Budget includes two Village Greens and a Community
Park in Seaton which will have accessible paths and other features.
2021
Pickering Heritage & Community Centre Construction
(gross project cost= $21,720,925)
Archives & Library Space Construction
(gross project cost= $6,279,078)
Accessible Pedestrian Signals - 4 locations
Walkway Reconstruction (Construction)
-Between Elvira Crt .. and Bruce Handscomb Memorial Park
Finch Avenue -New Sidewalk Construction
~Southside (east of Valley Farm Rd. to Guild Rd.
Pickering Parkway -New Sidewalk Construction
-North side multi-use trail (Glenanna Rd. to Hydro Corridor)
Pathway Construction (Accessibility to Sports Fields)
-Kinsmen Park -Soccer 2, 3 & 4
Rotary Frenchman's Bay West Park -Washroom Facility.
Rotary Frenchman's Bay West Park Master Plan -Phase 2 & 3
(gross cost= $2,850,000)
(gross cost= $500,000)
Baisden Park -Master Plan Implementation
(gross cost $440,000)
The 2021 Forecast includes a number of Village Greens and Neighbourhood
parks in Seaton which will have accessible paths and other features.
7
$
$
$
$
Accessibility
Project Cost
300,000
360,400
200,600
150,000
45,000
20,000
1,075,400
900,000
300,000
360,400
500,000
200,000
254,100
100,000
250,000
100,000
100,000
3,064,500
City of Pickering
Accessibility Capital Projects
2020 Capital Budget and 2021 to 2024 Capital Forecast
Project Description
2022
Primary Trail Network·
-Seaton T-4/TS
-Seaton T-1
Trail -Hydro Corridor -Liverpool to Whites
Trail -Bayly St. -Waterfront Trail to Go Station
Trail from Creekside Park to SWM pond
Pathway Construction (Accessibility to Sports Fields)
-Alex Robertson Park
Accessible Pedestrian Signals -4 locations
D-2 Kingston Rd. Streetlighting/Sidewalks -Southside
D-1 Kingston Rd. Streetlighting/Sidewalks -Northside
New Sidewalk Installation {Location TBD)
Walkway Reconstruction: Strouds -Sultana Square
Walkway Reconstruction: Foxwood -Beckworth
Walkway Reconstruction: Graceland -St. Mary Park
Walkway Reconstruction: Whites -Cognac
Walkway Reconstruction: Charnwood -Greenvale
Reconstruction of Existing Asphalt Pathways -Seaton Locations TBD
Valleyview Park -Playground Reconstruction
2023
Civic Complex Renovations and Addition -Construction
Bl-I Bayly St. -Sidewalks & Str_eetlights
-Church St. to Hydro Corridor -north and south sides
Trail -Bayly St. from Go Station to Hydro Corridor
Trail -Wharf St. to Sandy Beach Rd.
New Sidewalk Installation (Location TBD)
Accessible Pedestrian ·signals -4 locations
J. McPherson Park -Accessible Pathway Construction
-From parking lot to baseball diamond and to.walkway at Pebble Crt ..
Dunmoore Park Pathway Construction
-From Dunmoore parking lot to Engel Crt .. and Atwood Crs ..
Walkway Reconstruction: Rosebank -Lightfoot
Walkway Reconstruction: Cattail -Dunbarton H.S.
Walkway Reconstruction:Tanzer -Bayshore Tot Lot
CHDRC Elevator Retrofit
DH-24 Brock Rd. -Sidewalks & Streetlights
-Both sides, Forbrock St. to Taunton Rd.
The 2023 Forecast includes a Neighbourhood and a Community Park in
Seaton which will have accessible paths and other features.
8
$
$
$
Accessibility
Project Cost
1·,090,000
360,000
982,100
539,600
230,000
300,000
360,400
694,536
570,000
200,000
125,000
125,000
125,000
125,000
125,000
150,000
120,000
6,221,636
1,000,000
1,162,300
377,700
431,000
200,000
360,400
300,000
.200,000
125,000
125,000
125,000
100,000
25,000
$ 4,531,400
Project Description
2024
City of Pickering
Accessibility Capital Projects
2020 Capital Budget and 2021 to 2024 Capital Forecast
Primary Trail Network
-Seaton T-10
-Seaton T-9
Accessible Pedestrian Signals -4 locations
New Sidewalk Installation (Location TBD)
Pathway Reconstruction -Locations TBD
Pathway Reconstruction Major Oaks Park
Playground Replacement -Chickadee Park
Playground Replacement -Rick Hull Memorial Park
The 2024 Forecast includes a number of Village Greens, Neighbourhood and
Community Parks in Seaton which will have accessible paths and other
features.
$
$
Total $
Accessibility
Project Cost
320,000
140,000
360,400
200,000
300,000
150,000
110,000·
125,000
1,705,400
16,598,336
========
·9
City of Pickering Provincial Funding Grants
Provincial Transportation Initiatives (Tl) Grant-5999.0897.1623
Grant received in summer of 2007 to be used for transportation initiatives
Amount
Available/(Draws)
Amount Received
Funds used in 2008 budget
Year-end Dec 31, 2008
Projects completed / Funds Returned -2009
Year-end Dec 31, 2009
Funds used in 2010 Budget
Projects completed / Funds Returned-2010
Year-end Dec 31, 2010
Projects completed / Funds Returned-2011
Year~end Dec 31, 2011
Funds used in 2012 Budget
Projects completed/ Funds Returned-2012
Year-end Dec 31, 2012
Funds used in 2013 Budget
Year-end Dec 31, 2013
Projects completed / Funds Returned-2015
Year-end Dec 31, 2015
Funds used in 2016 Budget
Projects completed / Funds Returned-2016
Year~end Dec 31, 2016
Projects completed / Funds Returned-2018
Year-end Dec 31, 2018
Projects completed / Funds Returned-2019
Year-end Dec 31, 2019
Budgeted 2020
Projected Dec. 31, 2020
$1,066,500
(855,000)
211,500
215,000
426,500
(247,671)
58,259
237,088
105,177
342,265
(140,000)
29,386
231,651
(70,000)
161,651
124,252.
285,903 .
(220,000)1
4,732
70,635
22,815
93,451
438
93,889
0
$93,889
Municipal Rd & Infrastructure Grant (Provincial Budget) 5999.0898.1623
Grant received in April 2008 to be used for road and bridges
Amount Received
Funds used in 2008 budget
Additional Funding OES19-08 5320.0812
Year-end Dec 31, 2008
Projects completed / Funds Returned-2010 & Prior
Year-end Dec 31, 2010
Projects completed I Funds Returned~2011
. Year-end Dec 31, 2011
Funds used in 2012 budget
' Year-end Dec 31, 2012
Projects completed / Funds Returned-2015
Year-end Dec 31, 2015
Funds used in 2016 Budget
Year-end Dec 31, 2016
Budgeted 2019
Projected Dec. 31, 2020
Total Provincial Grants, Projected Dec. 31, 2020
10
$1,055,505
(885,000)
(100,000)
70,505
248,295
318,800
21,479
340,279
(235,000)
105,279
75,725
181,004
(150,000)
31,004
0
$31,004
$124,893
Mayor & Council Summary
,,
Expenditures
Hardware Replacements
Total Expenditures
Financing
R -Capital Equipment Replacement
Total Financing
City of Pickering
2020
Approved C~pital Budget
11
. Run Date: Mar 12, 2020
2019 2020
Approved Approved
Budget Budget
70,000
70,000
(70,000)
(70,000)
City of Pickering
2020
Capital Budget
Mayor Ryan
Expenditures
6175 Hardware Replacements
2019 2019 2020
Budget YTD Balance
Actuals Remaining
$10,000
$0 $10,000
Total Expenditures $10000 $0 $10,000
Financing
7001 R - Capital Equipment Replacement . ($10,000)
Total Financing) ($10,000)
As per Council Compensation & Communication Policy (Subsection 112.1),
$10,000 is provided for computer hardware, software and telecommunications per
term. As per the policy, these funds can only be spent during the first 40 months
of office. Approximately, $10,000 is remaining to be spent this year.
12
City of Pickering
2020
Capital Budget
----
2019 2019
Budget YTD
K. Ashe, Reg. Coun. Ward 1 Actuals -.. ----··-----
Expenditures
6175 Hardware Rep lacements $10,000 $814
Total Expenditures $10 ,000 $814
Financing --·· ----·· --. ----····-·----
7001 R -Capital Equipment Replacement ($1 0,0 00)
•·----.. -
Total Financing ($10,000)j .. -. -I I
As per Council Compensation & Communication Policy (Subsection 12.1 ),
$10,000 is provided for computer hardware, software and telecommunications per
term. As per the policy, these funds can only be spent during the first 40 months
of office. Approximately, $9, 186 is remaining to be spent this year.
13
..
202 0
Balance
Re maini ng
-·
$9,186
$9 ,186
----·--
----..
--.
City of Pickering
2020
Capital Budget
2019
Budget
B. McLean, Reg. Colin. Ward 2
Expenditures
6175 Hardware Replacements $10,000
2019 2020
YTO Balance
Actuals Remaining
$0' $10,000
Total Expenditures $10,000
$0' $10,000
Financing
7001 R - Capital Equipment Replacement ($10,000}
Total Financing ($10,000)1
As per Council Compensation & Communication Policy (Subsection 12.1),
$10,000 is provided for computer hardware, software and telecommunications per
term, As per the policy, these funds can only be spent during the first 40 months
of office. Approximately, $10,000 is remaining to be spent this year.
14
City of Pickering
2020
Capital Budget
2019 2019 2 02 0
Budget YTD Balance
D. Pickles, Reg. Coun. Ward 3 Actuals Remaining
Expenditures
-• ·-----------··-· ····-------------------
6 175 Hardware Replacements $10,000 $20 5 ·
Total Ex'penditures $10,000 ! $205
Financing -------·· I ------·-~--
7001 R -Capital Eq uipment Replacement ($10,0 00) . -
Tota l F.inancing . ($10,000) --,-
As per Council Compensation & Communication Policy (Subsection 12.1),
$10,000 is provided for computer hardware, software and telecommunications per
term . As per the policy, these funds can only be spent during the first 40 months
of office. Approximately, $9,795 is remaining to be spent this year.
15
I I
$9 ,795
$9,795
--------
------
City of Pickering
'
2020
Capital Budget
2019 2019 2 02 0
Budget YTD Bal ance
M. Brenner, City Coun. Ward 1 Actuals Remaining
Expenditures ---~10,oool ----------·---·-·-
6175 Hardware Rep lacements $3,815 $6,185
Total Expenditures $10,000 $3 ,815 $6,185
Financing I ·---------------··
7001 R - Capital Equipment Replacement ($10,0 00 ) -
---r .
--
.. Total Financin~_ ($10,000)! --I
As per Council Compensation & Communication Policy (Subsection 12 .1 ),
· $10,000 is provided for comput~r hardware, software and telecommunications per
term. As per the policy, these funds can only be spent during the first 40 months
of office . Approximately, $6,185 is remaining to be spent this year.
1 6
I
I
City of Pickering
2020
Capital Budget
2019 2019 202 0
Budget YTD Balance
.~:. Cumming, City Coun. Ward 2 Actuals Rema ining
Expenditures -------------
6175 Hardware Rep lacements $10,000
-~
$3,274 . $6,726
Total Expenditures $10,000 $3,274 1
Financing -----·--· I
7001 R -Cap ital Equipment Replacement ($10,000) I
Total Financing ($10,000) ------~-+
As per Council Compensation & Communication Policy (Subsection 12.1 ),
$10,000 is provided for computer hardware, software and_ telecommunications per
term. As per the policy, these funds can only be spent during the first 40 months
of office. Approximately, $6,726 is remaining to be spent this year .
17
$6,726
----
--------
City of Pickering
2020
Capital Budget
--
2019 2019
Budget YTD
S. Butt, City Coun. Ward _3 Actuals
I --
Expenditures
. --· ------·--· ----·--
617 5 Ha rdware Replacements $10,000 $4,316
Total Expenditures $10,000 $4,316
Financing -----.J. ----. t 7001 R - Capital Equipment Replac ement I ($10,000)i ---
T~tal Financing ! ($10,000)1 -.. I I
As per Council Compensation & Communication Policy (Subsection 12.1 ),
$10,000 is provided for computer hardware, software and telecommunications per
term. As per the policy, these funds can only be spent during the first 40 months
of office . Approximately, $5,684 is remaining to be spent this year,
18
I
2020
Balance
Remain ing
·----
$5,684
$5,684
--------·
--
-
City of Pickering
·2020
Approved Capital Budget
Office of the CAO Dept. Summary
Expenditures ·
Prof/Consulting Fees
Construction· Costs
Other Construction Related Costs
Total Expenditures
Financing
Debt -25 Year
RF DC -Roads & Related
RF DC -Parks & Recreation Services
RF DC -Library
Total Financing
19
Run Date: Mar 12, 2020
2019 2020
Approved Approved
Budget Budget
12,818,000
167,280,000
.7,213,000
187,311,000
(96,626,000)
(600,000)
(68,131,000)
(21,954,000)
(187,311,000)
5192 Corporate Projects
Expenditures
Prof/Consulting Fees
Construction Costs
Other Construction Related Costs
Total Expenditures
Financing
Debt -25 Year
RF DC -Roads & Related
RF DC -Parks & Recreation Services
RF DC -Library
Total Financing
City of Pickering
2020
Approved Capital Budget
20
Run Date: Mar 12, 2020
2019. 2020
Approved Approved
Budget Budget
12,818,000
167,280,000
7,213,000
187,311,000
(96,626,000)
(600,000)
(68,131,000)
(21,954,000)
(187,311,000)
City of Pickering
2020 Approved Capital Budget
~rojects Listing
5192 Corporate Projects
5192 Corporate Projects
5740.2001 New Performing Arts Centre
5740.2002 New Central Library
5740.2003 New Senior & Youth Centre
5740.2004 City Centre Bridge Link
Project Name
5740.2005 City Centre Underground Parking Garage
5740.2006 City Centre Relocation of Services.
Total
21
Run Date: Mar 12, 2020
2020
Project
Budget
64,640,000
39,884,000
41,290,000
5,671,000
28,337,000
7,489,000
187,311,000
City of Pickering
2020
Approved Capital Budget
5192 Corporate Projects
5740.2001 New Performing Arts Centre
1705 Debt-25 Year
6230 Prof/Consulting Fees
Design costs of new Performing Arts Centre and any related fees.
6250 Construction Costs
Construction costs of new Performing Arts Centre and any related
fees.
6260 Other Construction Related Costs
Landscaping costs related to new Performing Arts Centre
7622 RF DC -Parks & Recreation Services
Total 5740.2001 New Performing Arts Centre
5740.2002 New Central Library
1705 Debt-25 Year
6230 Prof/Consulting Fees
Design costs of new C_entral Library and any related fees.
6250 Construction Costs
Construction costs of new Central Library and any related fees.
6260 Other Construction Related Costs
Landscaping costs related to new Central Library
7630 RF DC -Library.
Total 5740.2002 New Central Library
5740.2003 New Senior & Youth Centre
1705 Debt -25 Year
6230 Prof/Consulting Fees
Design costs of new Senior & Youth Centre-and any related fees.
6250 Construction Costs
Construction costs of new Senior & Youth Centre and any related
fees.
6260 Other Construction Related Costs
Landscaping costs related to new Senior & Youth Centre
7622 RF DC -Parks & Recreation Services
Total 5740.2003 New Senior & Youth Centre
5740.2004 City Centre Bridge Link
1705 Debt-25 Year
6230 Prof/Consulting Fees
22
Run Date: Mar 12, 2020
Funding Expense
(51,951,000)
4,637,000
58,000,000
2,003,000
(12,689,000)
(64,640,000) 64,640,000
(23,102,000)
2,761,000
34,514,000
2,609,000
(16,782,000)
(39,884,000) 39,884,000
(5,058,000)
2,865,000
35,824,000
2,601,000
(36,232,000)
(41,290,000) 41,290,000
(1,989,000)
455,000
City of Pickering
2020
Approved Capital Budget
519'2 Corporate Projects
Design costs of an enclosed pedestrian bridge between the new
Central Library and Senior & Youth Centre and any related fees.
6250 Construction Costs
Construction costs of an enclosed pedestrian bridge between the
new Central Library and Senior & Youth Centre and any related
fees.
7622 RF DC -Parks & Recreation Services
7630 RF DC -Library
Total 5740.2004 City Centre Bridge Link
5740.2005 City Centre Underground Parking Garage
1705 Debt -25 Year
6230 Prof/Consulting Fees
Design costs of City Centre underground parking garage and any
related costs.
6250 Construction Costs
Construction costs of City Centre underground parking garage and
any related fees.
7622 RF DC -Parks & Recreation Services
7630 RF DC -Library
Total 5740.2005 City Centre Underground Parking Garage
5740.2006 City Centre Relocation of Services
1705 Debt-25 Year
6250 Construction Costs
7610 RF DC -Roads & Related
Total 5740.2006 City Centre Relocation of Services
Total 5192 Corporate Projects
23
Run Date: Mar 12, 2020
Funding Expense
5,216,000
(1,838,000)
(1,844,000)
(5,671,000) 5,671,000
(7,637,000)
2,100,000
26,237,000
'
(17,372,000)
(3,328,000)
(28,337,000) 28,337,000
(6,889,000)
7,489,000
(600,000)
(7,489,000) 7,489,000
(187,311,000) 187,311,000
City of Pickering
2020
Approved Capital Budget
City Development Dept. Summary
Expenditures
System & Software Upgrade
Total Expenditures
Financing
RF -Building Permit
Total Financing
24
Run Date: Mar 12, 2020
2019 2020
Approved Approved
Budget Budget
500,000
500,000
(500,000)
(500,000)
5612 Building Services
Expenditures
System & Software Upgrade
Total Expenditures
Financing
RF -Building Permit
Total Financing
City of Pickering
2020
Approved Capital Budget
25
Run Date: Mar 12, 2020
2019 2020
Approved Approved
Budget Budget
500,000
500,000
(500,000)
(500,000)
'
5612 Building Services
City of Pickering
2020
Approved Capital Budget
5612.2001 E-Permitting Software -Phase 1
6174 System & Software Upgrade
Implementation of E-permitting software (EPS) to expedite the
collection of taxes, allow developers to obtain more timely
approvals to begin construction, and assist in the collection and
tracking of various development charges in accordance to Bill 108.
Phase 1 consists of purchasing the software for use by Building
Services and to set up the frame work for future growth and
expansion to other departments ..
7506 RF -Building Permit
Total 5612.2001 E-Permitting Software -Phase 1
Total 5612 Building Services
26
Run Date: Mar 12, 2020
Funding Expense
500,000
(500,000)
{500,000) 500,000
(500,000) 500,000
Facilities Summary
Expenditures
Restoration -M.useum Bldg
Furniture & Fixtures
Machinery & ~quipment
Accessibility
Prof/Consulting Fees
Prof/Consult Fees -Seaton
Building Related
Total Expenditures
Financing
Donations
Federal Grants
Debt-10 Year
Debt -15 Year
Debt -20 year
Internal Loan -5 Year
Internal Loan-10 Year
Internal Loan -15 Year
Paid from Property Taxes
R -Rate Stabilization
R -DC's City's Share
R -Dunbarton Pool Surcharge
R -Don Beer Arena Surcharge
R -R/Cmplex Core Surchc1rge
R -R/Cmp.lx Pool Surcharge
R -R/Cmplx Arena Surcharge
R -Facilities
R -Major Equipment
R -Casino
'
City of Pickering
2020
Approved Capital Budget
27
Run Date: Mar 12, 2020
2019 2020
Approved Approved
Budget Budget
280,000
100,000 100,000
468,000 210,000
1,550,000 20,000
120,000 590,000
80,000
22,285,675 10,732,000
24,523,675 12,012,000
(216,000)
(10,081,838) (950,000)
(1,680,000) (1,400,000)
(470,000)
(7,091,765) (6,000,000)
(395,000) (476,000)
(105,000) (315,000)
(150!000)
(235,000) (200,000)
(614,000) (465,000)
(76,500)
(20,000)
(20,000)
(45,000) (25,000)
(18,000) (80,000)
(20,000) (97,000)
(120,000)
(302,000)
(270,000)
Facilities Summary
RF -Third Party Contribution
RF -Federal Gas Tax
RF DC -Parks & Recreation Services
RF DC -Library
RF -Seaton Land Grp FIA
Total Financing
City of Pickering
2020
Approved Capital Budget
28
Run Date: Mar 12, 2020
2019 2020
Approved Approved
Budget Budget
(31,000) (25,000)
(985,000) (587,000)
(2,816,072) (112,830)
(30,870)
(9,800)
(24,523,675) (12,012,000)
5700 Civic Complex
Expenditures
Furniture & Fixtures
Prof/Consulting Fees
Building Related
Total Expenditures
Financing ·
Debt-10 Year
Internal Loan -15 Year
Paid from Property Taxes
R -Rate Stabilization
R -Facilities
R -Major Equipment
RF -Federal Gas Tax
Total Financing
City of Pickering
2020
' Approved Capital Budget
29
Run Date: Mar 12, 2020
2019 2020
Approved Approved
Budget Budget
100,000 100,000
60,000
547,000 1,237,000
707,000 1,337,000
(800,000)
(150,000)
(95,000) (30,000)
(402,000) (210,000)
(120,000)
(177,000)
(60,000)
(707,000) (1,337,000)
5700 Civic Complex
5700 Civic Complex
City of Pickering
2020 Approved Capital Budget
Projects Listing
Project Name
5700.2001 Tower Flat Roof Replacement
5700.2002 Backup Generator Replacement -Construction
5700.2003 Council Chambers Video Display Upgrades
5700.2004 Basement Sump Pump Replacements
5700.2005 Council Chamber Dimmer Rack Replacement
5700.2006 Workstations, Partitions, Tables, Shelving
5700.2008 Condenser Water Pumps Replacement
Total
30
Run Date: Mar 12, 2020
2020
Project
Budget
60,000
800,000
177,000
120,000
30,000
100,000
50,000
1,337,000
City of Pickering
2020
Approved Capital Budget
5700 Civic Complex
5700.2001 Tower Flat Roof Replacement
6500 Building Related
Lifecycle replacement of the flat roof below the clock tower at the
Civic Complex. This roof is original, constructed in 1990.
7021 R -Rate Stabilization
Total 5700.2001 Tower Flat Roof Replacement
5700.2002 Backup Generator Replacement -Construction
1702 Debt-10 Year
6500 Building Related
Lifecycle replacement of existing backup generator, increasing
maximum load capacity to help offset growing demand.
Total 5700.2002 Backup Generator Replacement -Construction
5700.2003 Council Chambers Video Display Upgrades
6500 Building Related
Replace the existing single projector and screen in the Council
chambers with two digital display walls.
7062 R -Major Equipment
Total 5700.2003 Council Chambers Video Display Upgrades
5700.2004 Basement Sump Pump Replacements
6500 Building Related
Lifecycle replacement of basement and garage sump pumps. The
existing pumps are original, installed in 1990.
7055 R-Facilities
Total 5700.2004 Basement Sump Pump Replacements
5700.2005 Council Chamber Dimmer Rack Replacement
2823 Paid from Property Taxes
6500 BuildingRelated
Replacement of the existing dimmer rack, controlling some of
lighting systems in the Council Chambers. The existing system is
non-operational and parts are obsolete.
Total 5700.2005 Council Chamber Dimmer Rack Replacement
5700.2006 Workstations, Partitions, Tables, Shelving
6173 Furniture & Fixtures
31
Run Date: Mar 12, 2020
Funding Expense
60,000
(60,000)
(60,000) 60,000
(800,000)
800,000
(800,000) 800,000
177;000
(177,000)
. (177,000) 177,000
120,000
(120,000)
(120,000) 120,000
(30,000)
30,000
(30,000) 30,000
100,000
5700 Civic Complex
City of Pickering
2020
Approved Capital Budget
Replacement of original and worn furniture, some over 25 years old.
Spare parts are no longer available as original furniture
manufacturer is no longer in business. Includes replacement of
existing furniture in poor repair.
7021 R -Rate Stabilization
Total 5700.2006 Workstations, Partitions, Tables, Shelving
5700.2008 Condenser Water Pumps Replacement
6500 Building Related
Lifecycle replacement of existing water condenser pumps. Also
required to maximize the efficiency of the new chiller.
7021 R -Rate Stabilization
Total 5700.2008 Condenser Water Pumps Replacement
Total 5700 Civic Complex
32
Run Date: Mar 12, 2020
Funding Expense
(100,000)
(100,000) 100,000
50,000
(50,000)
(50,000) 50,000
(1,337,000) 1,337,000
5713 Dunbarton Pool
Expenditures
Building Related
Total Expenditures
Financing
R -Dunbarton Pool Surcharge
RF -Federal Gas Tax
Total Financing
City of Pickering
2020
Approved Capital Budget
33
Run Date: Mar 12, 2020
2019 2Q20
Approved Approved
Budget Budget
20,000 92,000
20,000 92,000
(20,000)
(92,000)
(20,000) (92,000)
5713 Dunbarton Pool
City of Pickering
2020
Approved Capital Budget
5713.2001 Pool Heat Exchanger Replacement
6500 Building Related
Lifecycle replacement of pool heat exchanger: The existing unit
was installed in 1978.
7505 RF -Federal Gas Tax
Total 5713.2001 Pool Heat Exchanger Replacement
5713.2002 Tankless Water. Heater Replacements
6500 Building Related
Lifecycle replacement of tankless water heaters serving change
rooms. The existing units were installed in 2008.
7505 RF -Federal Gas Tax
Total 5713.2002 Tankless Water Heater Replacements
Total 5713 Dunbarton Pool
34
Run Date: Mar 12, 2020-
Funding Expense
62,000
(62,000)
(62,000) 62,000
30,000
(30,000)
(30,000) 30,000
(92,000) 92,000
5715 Don Beer Arena
Expenditures
Machinery & Equipment
Building Related
Total Expenditures
Financing
Internal Loan-10 Year
R -Don Beer Arena Surcharge
RF -Federal Gas Tax
Total Financing
City of Pickering
2020
Approved Capital Budget
35
Run Date: Mar 12, 2020
2019 2020
Approved Approved
Budget Budget
20,000
600,000 120,000
620,000 120,000
(120,000)
(20,000)
(600,000)
(620,000) (120,000)
5715 Don Beer Arena
City of Pickering
2020
Approved Capital Budget
5715.2001 Rink #3 Dehumidifier Replacements
1712 Internal Loan-10 Year
6500 Building Related
Lifecycle replacement of three dehumidifiers and related controls,
components and accessories at rink #3. The existing units were
installed in 2002.
Total 5715.2001 Rink #3 Dehumidifier Replacements
Total 5715 Don Beer Arena
36
Run Date: Mar 12, 2020
Funding Expense
(120,000)
120,000
(120,000) 120,000
(120,000) 120,000
City of Pickering
2020
Approved Capital Budget
5719 Community Centres · Run Date: Mar 12, 2020
2019
Approved
Budget
Expenditures
Machinery & Equipment 20,000
Accessibility 900,000
Prof/Consulting Fees
Building Related 14,130,675
Total Expenditu_res 15,050,675
Fir:iancing
Federal Grants (7,457,838}
Debt ~ 20 year (4,641,765)
Internal Loan -5 Year (115,000}
Paid from Property Taxes (20,000)
R -Rate Stabilization.
R -DC's City's Share
RF -Federal Gas Tax
RF DC --Parks & Recreation Services (2;816,072)
RF DC -Library
Total Financing (15,050,675)
Abbreviations
BHCC
GWCC
MZCC
GALCC
TCC
MZCC
wscc
PHCC
Brougham.Hall Community Centre, 3590 Mowbray St.
Greenwood Community Centre, 3551 Greenwood Rd.
Mt. Zion Community C_entre, 4230 Sideline 6
George Ashe Library and Community Centre, 470 Kingston Rd.
Dr. Nelson F. Tomlinson Community Centre, 4941 Old Brock Rd.
Mt. Zion Community Centre, 4230 Sideline 6
West Shore Community Centre, 101"1-1015 Bayly St.
Pickering Heritage & Community Centre
37
2020
Approved
Budget
500,000
460,000
960,000
(300,000)
(110,000)
(76,500)
(400,000)
(42,630)
(30,870)
(960,000)
City of Pickering
2020 Approved Capital Budget
Projects Listing
5719 Community Centres
Project Name
5719 Community Centres
5719.2002 GALCC RTU-1 Replacement
5719.2007 TCC Multiple RTU and Flat Roof Replacements
5719.2009 GALCC HVAC Rebalancing
5719.2010 PHCC Project Management
5719.2011 PHCC Archeological Survey
5719.2012 TCC Heat Tracing for Gutters
Total
38
Run Date: Mar 12, 2020
2020
Project
Budget
100,000
280,000
20,000
450,000
50,000
60,000
960,000
City of Pickering
2020
Approved Capital Budget
5719 Community Centres·
5719.2002 GALCC RTU-1 Replacement
6500 Building Related
Lifecycle replacement of existing rooftop unit #1 at the GALCC,
serving the common areas. The existing unit is original, and was
installed in 2000. Includes controls upgrades and related work.
7505 RF -Federal Gas Tax
Total 5719.2002 GALCC RTU-1 Replacement
5719.2007 TCC Multiple RTU and Flat Roof Replacements
6500 Building Related
Lifecycle replacement of rooftop HVAC units AC-1, AC-2, AC-3, and
AC-5, as well as the surrounding flat roof at Dr. Nelson F. Tomlinson
Community Centre. All units and the flat roof are original, installed
in 1997.
7505 RF -Federal Gas Tax
Total 5719.2007 TCC Multiple RTU and Flat Roof Replacements
5719.2009 GALCC HVAC Rebalancing
6500 Building Related
HVAC rebalance at George Ashe Library and Community Centre.
Test, adjust, and balance supply air from all HVAC mechanical
equipment.
7505 RF -Federal Gas Tax
Total 5719.2009 GALCC HVAC Rebalancing
5719.2010 PHCC Project Management
1610 Federal Grants
Investing in Canada Infrastructure Program (ICIF)
6230 Prof/Consulting Fees
Project management consulting services to assist with contract
administration for the Pickering Heritage & Community Centre.
Subject to receiving senior government grant funding.
7022 R -DC's City's Share
7622 RF DC -Parks & Recreation Services
7630 RF DC -Library
Total 5719.2010 PHCC Project Management
5719.2011 PHCC Archeological Survey
6230 Prof/Consulting Fees
39
Run Date: Mar 12, 2020
Funding Expense
100,000
(100,000)
(100,000) 100,000
280,000
(280,000)
(280,000) 280,000
20,000
(20,000)
(20,000) 20,000
(300,000)
450,000
(76,500)
(42,630)
(30,870)
(450,000) 450,000
50,000
City of Pickering
2020
Approved Capital Budget
5719 Community Centres
Archeological survey of the proposed site and placement of the
Pickering Heritage & Community Centre.
7021 R -Rate Stabilization
Total 5719.2011 PHCC Archeological Survey
5719.2012 TCC Heat Tracing for Gutters
6500 Building Related
Install heat tracing cables in gutters over main entrance canopy and
other. building exits. Required to help prevent ice dams in newly
installed gutters.
7021 R -Rate Stabilization
Total 5719.2012 TCC Heat Tracing for Gutters
Total 5719 Community Centres
40
Run.Date: Mar 12, 2020
Funding Expense
{50,000)
(50,000) 50,000
60,000
(60,000)
{60,000) 60,000
(960,000) 960,000
City of Pickering
2020
Approved Capital Budget
5720 Seaton Community Centre
Expenditures
Prof/Consult Fees -Seaton
Total Expenditures
Financing
RF DC -Parks & Recreation Services
RF -Seaton Land Grp FIA
Total Financing
41
Run Date: Mar 12, 2020
2019 2020
Approved Approved
Budget Budget
80,000
80,000
(70,200)
(9,890)
(80,000)
City of Pickering
2020
Approved Capital Budget
5720 Seaton Community Centre
5720.2001 Seaton Community Centre -Preliminary Planning & lnve!
6430 Prof/Consult Fees -Seaton
Site plan investigations for the new Seaton Community Centre.
Includes surveys, geotechnical testing and other site-related
investigations.
7622 RF DC -Parks & Recreation Services
7713 RF -Seaton Land Grp FIA
Total 5720.2001 Seaton Community Centre -Preliminary Planning
Total 5720 Seaton Community Centre
42
Run Date: Mar 12, 2020
Funding Expense
80,000
(70,200)
(9,800)
(80,000) 80,000
(80,000) 80,000
5731 Rec.Complex-Core
l=xpenditures
Machinery & Equipment
Accessibility
Prof/Consulting Fees
Building Related
Total Expenditures
Financing
Federal Grants ·
Debt-10 Year
Debt-15 Year
Debt -20 year
Internal Loan -5 Year
Paid from Property Taxes
R -Rate Stabilization
R -R/Cmplex Core Surcharge
R -Major Equipment
RF -Third Party Contribution
RF -Federal Gas Tax
Total Financing
City of Pickering
2020
Approved Capital Budget
43
Run Date: Mar 12, 2020
2019 2020
Approved Approved
Budget Budget
75,000 125,000
650,000
30,000 60,000
6,046,000 7,981,000
6,801,000 8,166,000
(2,450,000) (640,000)
(1,100,000) (600,000)
(470,000)
(2,450,000) (6,000,000)
(280,000) (91,000)
(120,000) (130,000)
(60,000)
(45,000) (25,000)
(125,000)
(31,000) (25,000)
(325,000)
(6,801,000) (8,166,000)
5731 Rec.Complex-Core
5731 Rec.Complex-Core
City of Pickering
2020 Approved Capital Budget
Projects Listing
Project Name
5731.2001 Tennis Court Roof & Wall Repairs -Construction
5731.2003 Tennis Court Flooring Replacement -Design
5731.2004 Tennis Court Flooring Replacement -Construction
5731.2005 Mechanical Room Roof Replacement-Design
5731.2006 Tenant Relocation
5731.2007 Tennis Court Repainting
5731.2008 Fitness Studio Roof Retrofit -Design
5731.2010 Roof Repairs (J & 13)
5731.2011 Victaulic Connection Replacements -Phase 1
5731.2012 Utility Tractor -Replacement
5731.2014 Lobby & Core Area Renovations -Construction
Total
44
Run Date: Mar 12, 2020
2020
Project
Budget
470,000
25,000
1,200,000
35,000
116,000
80,000
25,000
60,000
30,000
125,000
6,000,000
8,166,000
5731 Rec.Complex-Core
City of Pickering
2020
Approved Capital Budget
5731.2001 Tennis Court Roof & WaU Repairs -Construction
1703 Debt -15 Year
6500 Building Related
Coating application on the metal portions of the tennis court roof to
extend lifecycle. This project also includes repairs to the existing
roof gutter system and structural supports.
Total 5731.2001 Tennis Court Roof & Wall Repairs -Construction
5731.2003 Tennis Court Flooring Replacement -Design
· 2823 Paid from Property Taxes
6230 Prof/Consulting Fees
Design and testing in preparation for lifecycle replacement of the
. existing tennis courts flooring, including sub-base repairs, top coat
and line markings.
Total 5731.2003 Tennis Court Flooring Replacement -Design
5731.2004 Tennii; Court Flooring Replacement -Construction
1610 Federal Grants
1702 Debt -10 Year
6500 Building Related
Lifecycle replacement and abatement of the existing flooring,
including sub-base repairs, top coat and line markings. Subject to
receiving senior government grant funding.
Total 5731.2004 Tennis Court Flooring Replacement -Constructio
5731.2005 Mechanical Room Roof Replacement -Design
2823 Paid from Property Taxes
6230 Prof/Consulting Fees
Lifecycle replacement of mechanical room roof, including louvre
and parapet cladding replacement. Design and testing only.
Total 5731.2005 Mechanical Room Roof Replacement -Design
5731.2006 Tenant Relocation
1711 Internal Loan -5 Year
6500 Building Related
Relocation of the spa tenant space in preparation for the lobby and
Core Area renovations. Includes conversion of the existing spa
space into offices, related design costs, furniture & fixtures. Fit-out
costs for new tenant suite to be fully recovered by the City.
7501 RF -Third Party Contribution
45
Run Date: Mar 12, 2020
Funding Expense
(470,000)
470,000
(470,000) 470,000
(25,000)
25,000
(25,000) 25,000
(600,000)
(600,000)
1,200,000
(1,200,000) 1,200,000
(35,000)
35,000
(35,000) 35,000
(91,000)
116,000
(25,000)
City of Pickering
2020
Approved Capital Budget
5731 Rec.Complex-Core
Total 5731.2006 Tenant Relocation
5731.2007 Tennis Court Repainting
161 O Federal Grants
2823 Paid from Property Taxes
6500 Building Related
Repainting of the tennis court interior walls and ceiling, including
pre-engineered steel framing. Subject to receiving senior
government grant funding.
Total 5731.2007 Tennis Cou.rt Repainting
5731.2008 Fitness Studio Roof Retrofit -Design
6500 Building Related
Modifications to existing fitness studio roof construction to extend
roof life. Design & testing only.
7034 R -R/Cmplex Core Surcharge
Total 5731.2008 Fitness Studio Roof Retrofit-Design
5731.2010 Roof Repairs· (J & 13)
6500 Building Related·
Localized repairs to roof J (squash courts) and 13 (loading dock and
exit corridor). Completing localized repairs will extend the life of
both roofs.
7021 R -Rate Stabilization
Total 5731.2010 Roof Repairs (J & 13)
573.1.2011 Victaulic Connection Replacements -Phase 1
2823 Paid from Property Taxes
6500 Building Related
Lifetycle replacement of existing victaulic pipe couplings. Most of
these couplings were originally installed in 1983.
Total 5731.2011 Victaulic Connection Replacements -Phase 1
5731.2012 Utility Tractor -Replacement
6178 Machinery & Equipment
One utility tractor -replace unit# 724 (2006) to supplement snow
clearing capacity at the Recreation Complex.
7062 R -Major Equipment
Total 5731.2012 Utility Tractor -Replacement
5731.2014 Lobby & Core Area Renovations -Construction
46
Run Date: Mar 12, 2020
Funding Expense
(116,000) 116,000
(40,000)
(40,000)
80,000
(80,000) 80,000
25,000
(25,000)
(25,000) 25,000
60,000
(60,000)
(60,000) 60,000
(30,000)
30;000
(30,000) 30,000
125,000
(125,000)
(125,000) 125,000
5731 Rec.Complex-Core
1704 Debt -20 year
6500 Building Related
City of Pickering
2020
Approved Capital Budget
Gut renovation of the entire ground floor suite of dressing rooms at
the CHDRC. Work includes removal of all n.on-loadbearing
partitions and interior finishes to permit total reconfiguration of the
existing spaces: The main concourse, service counters and cardio
training areas will be included. Project scope includes replacement
of existing lobby and upper level lighting with LED fixtures and
lifecycle replacement of existing paint finish on the underside of the
roof deck throughout core area, including cleaning of space frc,!me.
Fire & exiting upgrades and fire & water main replacement are also
part of the project scope.
This renovation will upgrade changing facilities to current recreation
standards, incorporate fully accessible design, and upgrade
existing lighting and plumbing fixtures in accordance with City's
sustainability and energy efficiency goals. Work to be done in
phases to support ongoing use of the facility.
Total 5731.2014 Lobby & Core Area Renovations~ Construction
Total 5731 Rec.Complex-Core
47
Run Date: Mar 12, 2020
Funding Expense
(6,000,000)
6,000,000 ·
(6,000,000) 6,000,000
(8,166,000) 8,1.66,000
5733 Rec. Complex-Pool
Expenditures
Machinery & Equipment
Accessibility
Building Related
Total Expenditures
Financing
Federal Grants
Paid from Property Taxes
R -R/Cmplx Pool Surcharge
RF -Federal Gas Tax
Total Financing
City of Pickering
2020
Approved Capital Budget
48
Run Date: Mar 12, 2020
2019 2020
Approved Approved .
Budget Budget
1a;ooo
20,000
175,000
18,000 195,000
(10,000)
(10,000)
(18,000} (80,000)
(95,000)
(18,000) (195,000)
City of Pickering
2020
Approved Capital Budget
5733 Rec. Complex-Pool
5733.2001 Pool Dehumidification Upgrades
6500 Building Related
Upgrades to pool dehumidification equipment and controls required
to address peak heating and cooling demands and improve climate
change resiliency.
7505 RF -Federal Gas Tax
Total '5733.2001 Pool Dehumidification Upgrades
5733.2002 Pool Valves Replacement
6500 Building Related
Lifecycle replacement of existing pool piping valves.
7035 R -R/Cmplx Pool Surcharge
Total 5733.2002 Pool Valves Replacement
5733.2003 Tot Pool Handrails
161 O Federal Grants
2823 Paid from Property Taxes
6183 Accessibility
Install new handrails at tot pool entry stair to improve accessibility.
Project to proceed subject to receiving senior government grant
funding.
Total 5733.2003 Tot Pool Handrails
Total 5733 Rec. Complex-Pool
49
Run Date: Mar 12, 2020
Funding Expense
95,000
(95,000)
(95,000) 95,000
80,000
(80,000)
(80,000) 80,000
(10,000)
(10,000)
20,000
(20,000) 20,000
(195,000) 195,000
5735 Rec.Complex-Arenas
Expenditures
Machinery & Equipment
Building Related
Total Expenditures
Financing
Debt-10 Year
Internal Loan -5 Year
Internal Loan-10 Year
R -R/Cmplx Arena Surcharge
R-Casino
Total Financing
City of Pickering .
2020
Approved Capital Budget
50
Run Date: Mar 12, 2020
2019 2020
Approved Approved
· Budget Budget
125,000 85,000
580,000 667,000
705,000 752,000
(580,000)
(190,000)
(105,000) (195,000)
(20,000) (97,000)
(270,000)
(705,000) (752,000)
City of Pickering
2020
Approved Capital Budget
5735 Rec.Complex-Arenas
5735.2001 Improvements to Arena Overflow Parking
6500 Building Related
Asphalt surfacing of existing south-east gravel parking lot at the
Chestnut Hill Developments Recreation.Complex (CHDRC) Arena
to include curbs, lighting, line painting, and security cameras for
approximately 160 parking spaces.
7068 R -Casino
Total 5735.2001 Improvements. to Arena Overflow Parking
5735.2003 Delaney Condenser Tower & Structure Replacement
1712 Internal Loan-10 Year
6500 Building Related
Lifecycle replacement of existing condenser tower and support
structure. The existing equipment was originally installed in 1983.
Total 5735.2003 Delaney Condenser Tower & Structure ReplacemE
5735.2004 Sealant Replacement
6178 Machinery & Equipment
Lifecycle replacement of existing sealant throughout the arenas
7036 R -R/Cmplx Arena Surcharge
Total 5735.2004 Sealant Replacement
5735.2001 Delaney & O'Brien Storage Rooms
1711 Internal Loan -5 Year
6500 Building Related
Construction of a new storage room in Delaney Arena, and· also in
the refrigeration room of O'Brien Arena. This will increase available
general storage in the Delaney arena while the new room in O'Brien
arena will house snow clearing vehicles and equipment.
Totai 5735.2007 Delaney & O'Brien Storage Rooms
5735.2008 Delaney Water Filter & Pumps Replacement
6500 Building Related
Lifecycle replacement of existing filter and pump equipment,
originally installed in 2003.
7036 R -R/Cmplx Arena Surcharge
Total 5735.2008 Delaney Water Filter & Pumps Replacement
Total 5735 Rec.Complex-Arenas
51
Run Date: Mar 12, 2020
Funding Expense
270,000
(27.0,000)
(270,000) 270,000
(195,000)
195,000
(195,000) 195,000
85,000
(85,000)
(85,000) 85,000
(190,000)
190,000
(190,000) 190,000
12,000
(12,000)
(12,000) 12,000
(752,000) 752,000
5744 Museum
Expenditures
Restoration -Museum Bldg
Machinery & Equipment
Prof/Consulting Fees
Building Related
Total Expenditures
Financing
Donations
Federal Grants
Internal Loan -5 Year
Paid from Property Taxes
R -Rate Stabilization
Total Financing
City of Pickering
2020
Approved Capital Budget
52
Run Date: Mar 12, 2020
2019 2020
Approved Approved
Budget Budget
280,000
210,000
30,000 30,000
362,000
602,000 310,000
(216,000)
(174,000)
(195,000)
(30,000)
(212,000) (85,000)
(602,000) (310,000)
5744 Museum
City of Pickering
2020
Approved Capital Budget
5744.2005 Combination Barn Restoration -Construction
· 1711 Internal Loan -5 Year
6149 Restoration -Museum Bldg
Selective cladding and trim.replacement, cedar roof replacement
and repairs to structural framing in the Combination Barn (built
~1875). Includes provision of new concrete slab on grade and
foundation to replace deteriorated wood ring beam. Existing
materials to be conserved, wherever possible.
Total 5744.2005 Combination Barn Restoration -Construction
5744.2007 Blacksmith Shop Restoration -Construction
6149 Restoration -Museum Bldg
Selective cladding, trim and window replacement and structural
framing repairs to the Blacksmith Shop (built ~1856), including
painting, reinforcement of floor joists supporting the upper floor
paint shop and replacement of windows affected by settlement.
Existing materials to be conserved, wherever possible.
7021 R -Rate Stabilization
Total 5744.2007 Blacksmith Shop Restoration -Construction
5744.2010 Harvey House Restoration -Design
2823 Paid from Property Taxes
6230 Prof/Consulting Fees
Design and consulting services for restoration work in the Harvey
House to be undertaken after its relocation to make room for the
Pickering Heritage & Community Centre. This work includes testing
and investigation, exhibit design and related costs.
Total 5744.2010 Harvey House Restoration -Design
Total 5744 Museum
53
Run Date: Mar 12, 2020
Funding Expense
(195,000)
195,000
(195,000) 195,000
85,000
(85,000)
(85,000) 85,000
(30,000)
30,000
(30,000) 30,000
(310,000) 310,000
Public Works Summary
Expenditures
Parks -Landscape Refurbishment
Vehicles -under $100,000
Vehic)es -Over $100,000
Fire Veh -Over $100,000
System & Software Upgrade
Machinery & Equipment
Other Fixed Assets
Accessibility
Prof/Consulting Fees
Construction Costs
Parks -Landscape Refurb -Seaton
Prof/Consult Fees -Seaton
Vehicles -Under $100,000 -Seaton
Vehicles -Over $100,000 -Seaton
Miscellaneous Equipment -Seaton
Building Related
Total Expenditures
Financing
Sale of Land
Prov Grant
Debt-5 Year
Debt-10 Year
Debt-15 Year
Internal Loan -5 Year
Internal Loan-10 Year
Paid from Property Taxes
R -Capital Equipment Replacement
R -Self-Insurance
City of Pickering
2020
Approved Capital Budget
54
Run Date: Mar 12, 2020
2019 2020
Approved Approved
Budget Budget
1,968,000 2,270,000
671,000 649,000
570,000 860,000
825,000
100,000 150,000
956,000 917,000
230,000
300,000
100,000
50,000
222,000 3,216,632
50,000
195,000
1,780,900 440,000
155,000
3,050,000
9,892,900 9,832,632
(3,000,000)
(101,580)
{350,000)
{815,000)
(415,000) (1,000,000)
(517,000) (150,000)
(190,000)
(454,920) (66,000)
(100,000)
(85,000)
Public Works Summary
R -Rate Stabilizati9n
R -DC's City's Share
R -Vehicle Replacement
R-Fence
R -Tennis Court
R -Major Equipment
R-Casino
RF -Third Party Contribution
RF -Parkland
RF -Federal Gas Tax
RF -Building Permit ·
RF DC -Protection Services
R.F DC -Roads &Related
City of Pickering
2020
Approved Capital Budget
RF DC -Other Services Related to a Highway
RF DC -Parks & Recreation Services
RF -Seaton Land Grp FIA
Total Financing
55
Run Date: Mar 12, 2020
2019 2020 '
Approved Approved
Budget Budget
(50,000) (350,000)
(14,500)
(1,209,000) (1,482,000)
(180,000)
(250,000)
(356,000)
(450,000)
(60,000)
(120,195) (970,000)
(700,000)
(52,000) (52,000)
(1,473,128)
(465,000) (140,000)
(495,000)
(217,305) (2,971,136)
(37,772) (385,996)
(9,892,900) (9,832,632)
5311 Property Maintenance
Expenditures
Parks -Landscape Refurbishment
Machinery & Equipment
Other Fixed Assets
Prof/Consulting Fees
Construction Costs
Total Expenditures
Financing
Prov Grant
Internal Loan -5 Year
Paid from Property Taxes
R -Rate Stabilization
R-Fence
R -Major Equipment
RF -Parkland
City of Pickering
2020
Approved Capital Budget
RF DC -Other Services Related to a Highway
Total Financing
56
Run Date: Mar 12, 2020
2019 2020
Approved Approved
Budget Budget
330,000
240,000 400,000
170,000
50,000
50,000
790,000 450,000
(93,000}
(387,000)
(140,000)
(120,000)
(120,000)
(155,000)
(50,000)
(175,000)
(790,000) (450,000)
City of Pickering
2020
Approved Capital Budget
5311 Property Maintenance
5311.2003 Wide Area Mower Replacement
6178 Machinery & Equipment
Area Mower -replace unit# 710 (2011 ).
7062 R -Major Equipment
Total 5311.2003 Wide Area Mower Replacement
5311.2004 Sidewalk Plow with Attachments -New (Seaton)
6178 Machinery & Equipment
Sidewalk Plow with Attachments -New
7615 RF DC -Other Services Related to a Highway
Total 5311.2004 Sidewalk Plow with Attachments -New (Seaton)
5311.2008 Two Portable Aggregate Conveyor -New (2)
6178 Machinery & Equipment
Two Portable Aggregate Conveyor -New
7021 R -Rate Stabilization
Total 5311.2008 Two Portable Aggregate Conveyor -New (2)
5311.2009 Parade Trailer -Replacement
6178 Machinery & Equipment
Parade Trailer -replace unit #142 (2007).
7021 R -Rate Stabilization
Total 5311.2009 Parade Trailer -Replacement
5311.2012 Harbour Entrance Breakwater Repairs
6250 Construction Costs
Repairs to Frenchman's Bay Harbour Entrance Breakwater (east
and west) due to high water levels experienced in 2017 and 2019.
7021 R -Rate Stabilization
Total 5311.2012 Harbour Entrance Breakwater Repairs
Total 5311 Property Maintenance
57
Run Date: Mar 12, 2020
Funding Expense
155,000
(155,000)
(155,000) 155,000
175,000
(175,000)
(175,000) 175,000
50,000
(50,000)
(50,000) 50,000
20,000
(20,000)
(20,000) 20,000
50,000
(50,000)
(50,000) 50,000
(450,000) 450,000
5319 Roads Equipment
'
Expenditures
Machinery & Equipment
Total Expenditures
Financing
Prov Grant
Debt O 5 Year
Internal Loan -5 Year
Paid from Property Taxes
R -Rate Stabilization
R -Major Equipment
City of Pickering
2020
Approved Capital Budget
RF DC -Other Services Related to a Highway
Total Financing
58
Run Date: Mar 12, 2020
2019 2020
Approved Approved
Budget Budget
565,000 317,000
565,000 317,000
(8,580)
(350,000)
(130,000)
(76,420) (66,000)
(30,000)
(201,000)
(20,000)
(565,000) (317,000)
City of Pickering
2020 Approved Capital Budget
Projects Listing
5319 Roads Equipment
Project Name .
5319 Roads Equipment
5319.2001 Two (2) Enclosed Trailers
5319 .2002 Concrete Dust Extractor -New
5319.2009 Tractor.with Attachments -Replacement
5319.2011 Walk Behind Concrete Planer -New
5319.2012 Air Compressor with Attachments -New
5319.2013 Front Plow for Loader-New
5319.2014 Front Plow and Wing Attachments for Seaton -New
5319.2015 Concrete Sidewalk Grinder
5319.2016 Vacuum System for Grinder -New
Total
59
Run Date: Mar 12, 2020
2020
Project
Budget
16,000
8,000
170,000
15,000
35,000
30,000
20,000
15,000
8,000
317,000
City of Pickering
2020
Approved Capital Budget
5319 Roads Equipment
5319.2001 Two (2) Enclosed Trailers
6178 Machinery & Equipment
Two (2) 8' Foot Enclosed Trailers
7062 R -Major Equipment
Total 5319.2001 Two (2) Enclosed Trailers
5319.2002 Concrete Dust Extractor -New
2823 Paid from Property Taxes
6178 Machinery & Equipment
Concrete Dust Extractor -New
Total 5319.2002 Concrete Dust Extractor -New
5319.2009 Tractor with Attachments -Replacement
6178 Machinery & Equipment
Tractor with attachments -Replace unit# 116 (2009)
7062 R -Major Equipment
Total 5319.2009 Tractor with Attachments -Replacement
5319.2011 Walk Behind Concrete Planer -New
2823 Paid from Property Taxes
6178 Machinery & Equipment
Walk Behind Concrete Planer -New
Total 5319.2011 Walk Behind Concrete Planer -New
5319.2012 Air Compressor with Attachments -New
2823 Paid from Property Taxes
6178 Machinery & Equipment
Air Compressor with Attachments -New
Total 5319.2012 Air Compressor with Attachments -New
5319.2013 Front Plow for Loader -New
6178 Machinery & Equipment
Front Plow for Loader -New
7021 R -Rate Stabilization
Total 5319.2013 Front Plow for Loader -New
5319.2014 Front Plow and Wing Attachments for Seaton -New
6178 Machinery & Equipment
Front Plow and Wing Attachments for Seaton -New
7615 RF DC -Other Services _Related to a Highway
60
Run Date: Mar 12, 2020
Funding Expense
16,000
(16,000)
(16,000) 16,000
(8,000)
8,000
(8,000) 8,000
170,000
(170,000)
(170,000) 170,000
(15,000)
15,000
(15,000) 15,000
(35,000)
35,000
(35,000) 35,000
30,000
.(30,000)
(30,000) 30,000
20,000
{20,000)
5319 Roads Equipment
City of Pickering
2020
Approved Capital Budget
Total 5319.2014 Front Plow and Wing Attachments for Seaton -Ne
5319.2015 Concrete Sidewalk Grinder
6178 Machinery & Equipment
Concrete Sidewalk Grinder
7062 R -Major Equipment
Total 5319.2015 Concrete Sidewalk Grinder
5319.2016 Vacuum System for Grinder -New
2823 Paid from Property Taxes
6178 Machinery & Equipment
New Vacuum System for Grinder
Total 5~19.2016 Vacuum System for Grinder -New
Total 5319 Roads Equipment
61
Run Date: Mar 12, 2020
Funding Expense
(20,000) 20,000
15,000
(15,000)
(15,000) 15,000
(8,000)
8,000
(8,000) 8,000
(317,000) 317,000
5780 Parks
Expenditures
Parks -Landscape Refurbishment
Machinery & Equipment
Other Fixed Assets
Accessibility
Prof/Consulting Fees
Parks -Landscape Refurb -Seaton
Miscellaneous Equipment -Seaton
Building Related
Total Expend.itures
Financing
Debt -10 Year
Debt-15 Year
Internal Loan -5 Year
Internal Loan-10 Year
Paid from Property Taxes
R -Self-Insurance
R -Rate Stabilization
R -DC's City's Share
R -Fence
R -Tennis Court
R -Casino
RF -Third Party Contribution
RF -Parkland
RF -Federal Gas Tax
RF DC -Parks & Recreation Services
RF -Seaton Land Grp FIA
Total Financing
City of Pickering
2020
Approved Capital Budget
62
Run Date: Mar 12, 2020
2019 2020
Approved Approved
Budget Budget
1,638,000 2,270,000
131,000
60,000
300,000
50,000
222,000 3,216,632
155,000
50,000
2,151,000 5,941,632
(815,000)
(415,000)
(150,000)
(190,000)
(238,500)
(85,000)
(50,000)
(14,500)
(60,000)
(250,000)
(450,000)
(60,000)
(70,195) (970,000)
(700,000)
(217,305) (2,97U36)
(385,996)
(2,151,000) (5,941,632)
City of Pickering
..
. 2020 Approved Capital Budget
. . .
Projects Listing
5780 Parks.
Project Name
5780 Parks
5780.2002 David Farr Memorial Park Tennis Court Resurfacing
5780.2005 DPW Park -Overflow Parking Lot Construction
5780.2006 DPW Park -Pathway Construction
5780.2(')07 South Pine Creek Ravine -Pathway Reconstruction
5780.2008 Creekside Park -Playground Equipment
5780.2010 Wide Area Mower -New (Seaton)
5780.2019 Dunmoore Park Tennis Courts Reconstrucfion
571:10.2020 BRK Park -South East Baseball Lighting Replacement
5780.2023 Community Park Seaton P-123
5780.2024 Village Green -Seaton P-112
5780.2025 Village Green -Seaton P-113
\
5780.2030 BRK Park -South West Baseball Lighting Replacement
5780.2036 CM Park -Baseball Diamond Reconstruction
Total
Abbreviations
DPW
BRK
CM
Diana, Princess of Wales Park
Bay Ridges Kinsmen Park
Claremont Memorial Park
63
Run Date: Mar 12, 2020
2020
Project
Budget
25,000
450,000
300,000
150,000
45,000
155,000
300,000
350,000
2,771,085
282,542
163,005
350,000
600,000.
5;941,632
City of Pickering
2020
Approved Capital Budget
5780 Parks
5780.2002 David Farr Memorial Park Tennis Court Resurfacing
6129 Parks -Landscape Refurbishment
Lifecycle resurfacing for court.#1 at David Farr Memorial Park to
ensure safe and suitable conditions.
7502 RF a Parkland
Total 5780.2002 David Farr Memorial Park Tennis Court Resurfaci1
5780.2005 DPW Park -Overflow Parking Lot Construction
6129 Parks -Landscape Refurbishment
Construction of a new overflow gravel parking lot between
Diefenbaker Court and Pickering Parkway on the south end of
Diana, Princess of Wales Park. Subject to the approval of Hydro
One.
7068 R -Casino
Total 5780.2005 DPW Park -Overflow Parking Lot Construction
5780.2006 DPW Park -Pathway Construction
6183 Accessibility
Accessibility pathways at Diana, Princess of Wales Park & path to
Community Gardens
7502 RF -Parkland
Total 5780.2006 DPW Park -Pathway Construction
5780.2007 South Pine Creek Ravine -Pathway Reconstruction
1711 Internal Loan -5 Year
6129 Parks -Landscape Refurbishment
Reconstruction of existing asphalt pathways -South Pine Creek
Ravine, Glenanna Road to Bronte Square
Total 5780.200.7 South Pine Creek Ravine -Pathway Reconstructic
5780.2008 Creekside Park.:... Playground Equipment
6129 Parks -Landscape Refurbishment
Cre.ekside Park, in Duffin Heights Neighbourhood, east of Brock
Road -expansion of playground area, supply and installation of
playground equipment and safety surface.
7502 RF -Parkland
Total 5780.2008 Creekside Park -Playground Equipment
5780.2010 Wide Area Mower -New (Seaton)
6478 Miscellaneous Equipment -Seaton
Wide Area Mower New (90/10)
64
Run Date: Mar 12, 2020
Funding Expense
25,000
(25,000)
(25,000) 25,000
450,000
(450,000)
(450,000) 450,000
300,000
(300,000)
(300,000) 300,000
(150,000)
150,000
(150,000) 150,000
45,000
(45,000)
(45,000) 45,000
155,000
City of Pickering
2020
Approved Capital Budget
5780 Parks
7022 R -DC's City's Share
7622 RF DC -Parks & Recreation Services
Total 5780.2010 Wide Area Mower -New (Seaton)
5780.2019 Dunmoore Park Tennis Courts Reconstruction
6129 Parks -Landscape Refurbishment
Dunmoore Tennis -Resurface four tennis courts, retaining wall on
west side due to ravine, new fencing.
7021 R-Rate Stabilization
7061 R -Tennis Court
Total 5780.2019 Dunmoore Park Tennis Courts Reconstruction
5780.2020 BRK Park -South East Baseball Lighting Replacement
6129 Parks -Landscape Refurbishment
Bay Ridges Kinsmen Park -Baseball field lighting replacement to
LED
7505 RF -Federal Gas Tax
Total 5780.2020 BRK Park -South East Baseball Lighting Replace
5780.2023 Community Park Seaton P-123
6429 Parks -Landscape Refurb -Seaton
Community Park Design & Construction -Seaton P-123 (88/12)
7622 RF DC -Parks & Recreation Services
7713 RF -Seaton Land Grp FIA
Total 5780.2023 Community Park Seaton P-123
5780.2024 Village Green -Seaton P-112
6429 Parks -Landscape Refurb -Seaton
Village Green Seaton P-112 (88/12)
7622 RF DC -Parks & Recreation Services
7713 RF -Seaton Land Grp FIA
Total 5780.2024 Village Green c Seaton P-112.
5780.2025 Village Green -Seaton P-113
6429 Parks -Landscape Refurb -Seaton
Village Green Seaton P-113 (88/12)
7622 RF DC -Parks & Recreation Services
7713 RF -Seaton Land Grp FIA
Total 5780.2025 Village Green -Seaton P-113
5780.2030 BRK Park -South West Baseball Lighting Replacement
65
Run Date: Mar 12, 2020
Funding Expense
(14,500)
(140,500)
(155,000) 155,000
300,000
(50,000)
(250,000)
(300,000) 300,000
350,000
(350,000)
(350,000) 350,000
2,771,085
(2,438,555)
(332,530)
(2,771,085) 2,771,085
. 282,542
(248,637)
(33,905)
(282,542) 282,542
163,005
(143,444)
(19,561)
(163,005) 163,005
City of Pickering
2020
Approved Capital Budget
5780 Parks
6129 Parks -Landscape Refurbishment
Bay Ridges Kinsmen Park -Baseball field Lighting replacement to
LED
7505 RF -Federal Gas Tax
Total 5780.2030 BRK Park -South West Baseball Lighting ReplacE
5780.2036 CM Park -Baseball Diamond Reconstruction
6129 Parks -Landscape Refurbishment
Reconstruction of baseball diamond in Claremont Memorial Park
including replacement of back stop and lighting, repairs to infield
and outfield, and addition of first baseline fencing to prevent vehicle
damage.
7502 RF -Parkland
Total 5780.2036 CM Park -Baseball Diamond Reconstruction
Total 5780 Parks
66
Run Date: Mar 12, 2020
Funding Expense
350,000
(350,000)
(350,000) 350,000
600,000
(600,000)
(600,000) 600,000
(5,941,632) 5,941,632
City of Pickering
Engineering Services Department
2020 Approved Budget
Budget Amount:
5780.2005 Diana, Princess of Wales Park - Overflow Parking Lot $450,000
Financing Sources:
7068 R — Casino
Location and Construction:
$450,000
Diana, Princess of Wales Park (Asset ID P-030) —The proposed works include the
creation of a new overflow gravel parking lot, complete with lighting, and restoration to the
surrounding area where required (grading and sodding).
This project is subject to the approval of Hydro One.
67
City of Pickering
Engineering Services Department
2020 Approved Budget
Budget Amount:
5780.2006 Diana, Princess of Wales Park — Pathway Construction $300,000
Financing Sources:
7502 RF -- Parkland $300,000
Location and Construction:
Diana, Princess of Wales Park (Asset ID P-030) — The proposed works include
construction of an accessible pathway to the community gardens.
68
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City of Pickering
SUBJECT
PARK
Engineering Services Department
2020 Approved Budget
Budget Amount:
5780.2007 South Pine Creek Ravine — Pathway Reconstruction $150,000
Financing Sources:
1711 Internal Loan -• 5 Year
Location and Construction:
$150,000
South Pine Creek Ravine (Asset ID P-063) — Between Glenanna Road and Bronte
Square. The proposed works include reconstruction of the existing asphalt pathway.
69
ay
I Ni Its
SUBJECT
PARK
City of Pickering
Engineering Services Department
2020 Approved Budget
Budget Amount:
5780.2019 Dunmoore Park — Tennis Courts Reconstruction
Financing Sources:
7021 R — Rate Stabilization
7061 R — Tennis Court
Location and Construction:
$300,000
$ 50,000
250,000
$300,000
Dunmoore Park (Asset ID P-025) —The proposed works include resurfacing of four (4)
Tennis Courts complete with new fencing, and rehabilitation of an existing retaining wall
on west side of the park.
70
SUBJECT
PARK
City of Pickering
Engineering Services Department
2020 Approved Budget
Budget Amount:
5780.2020 Bay Ridges Kinsmen Park — South East Baseball
Lighting Replacement
Financing Sources:
7505 RF — Federal Gas Tax
Location and Construction:
$350,000
$350,000
Bay Ridges Kinsmen Park (Asset ID P-024)— The proposed works include sportsfield .
lighting replacement (converting to LED) on the south east baseball diamond.
71
SUBJECT
PARK
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City of Pickering
Engineering Services Department
2020 Approved Budget
Budget Amount:
5780.2023 Community Park (Seaton P-123) -- Design & Construction $2,771,085
Financing Sources:
7622 RF DC -- Parks & Recreation Services
7713 RF — Seaton Land Grp FIA
Location and Construction:
$2,438,555
332,530
$2.771.085
New Community Park (Asset ID P-123) -- The proposed works include design and
construction of a new park in the Wilson Meadows Neighbourhood of Seaton.
72
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City of Pickering
Engineering Services Department
2020 Approved Budget
Budget Amount:
5780.2024 Village Green (Seaton P-112)
Financing Sources:
7622 RF DC — Parks & Recreation Services
7713 RF — Seaton Land Grp FIA
Location and Construction:
$282,542
$248,637
33905
$282.542
New Village Green Construction (Asset ID P-1112) — The proposed works include
construction of a new village green in the Wilson Meadows Neighbourhood of Seaton.
�3
City of Pickering
SUBJECT
PARK
Engineering Services Department
2020 Approved Budget
Budget Amount:
5780.2025 Village Green (Seaton P-113)
Financing Sources:
7622 RF DC -- Parks & Recreation Services
7713 RF — Seaton Land Grp FIA
Location and Construction:
$163,005
$143,444
19,561
$163.005
New Village Green Construction (Asset ID P-113) — The proposed works include
construction of a new village green in the Wilson Meadows Neighbourhood of Seaton.
74
SUBJECT
PARK
City of Pickering
Engineering Services Department
2020 Approved Budget
Budget Amount:
5780.2030 Bay Ridges Kinsmen Park — South West Baseball
Lighting Replacement $350,000
Financing Sources:
7505 RF — Federal Gas Tax
Location and Construction:
$350,000
Bay Ridges Kinsmen Park (Asset ID P-024) — The proposed works include sportsfield
lighting replacement (converting to LED) on the south west baseball diamond.
75
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SUBJECT
PARK
0
CLAREMONT
City of Pickering
Engineering Services Department
2020 Approved Budget
Budget Amount:
5780.2036 Claremont Memorial Park — Baseball Diamond
Reconstruction $600,000
Financing Sources:
7502 RF — Parkland
Location and Construction:
$600,000
Claremont Memorial Park (Asset ID P-077) - The proposed works include reconstruction
of the Baseball Diamond, replacement of back stop and lighting, repairs to infield and
outfield, and the addition of first baseline fencing to prevent vehicle damage.
76
5990 Fleet Vehicles
Expenditures
Vehicles -under $100,000
Vehicles -Over $100,000
Fire Veh -Over $100,000
System & Software Upgrade
Machinery & Equipment
Vehicles -Under $100,000 -Seaton
Vehicles -Over $100,000 -Seaton
Total Expenditures
Financing
Debt-15 Year
R-Capital Equipment Replacement
R -Rate Stabilization
R -Vehicle Replacement
RF -Building Permit
RF DC -Protection Services
RF DC -Roads & Related
City of Pickering
2020
Approved Capital Budget
RF DC -Other Services Related to a Highway
RF -Seaton Land Grp FIA
Total Financing
77
Run Date: Mar 12, 2020
2019 2020
Approved Approved
Budget Budget
671,000 649,000
570,000 860,000
825,000
100,000 150,000
20,000 200,000
195,000
1,780,900 440,000
3,336,900 3,124,000
(1,000,000)
(100,000)
(150,000)
(1,209,000) (1,482,000)
(52,000) (52,000)
(1,473,128)
(465,000} (140,000)
(300,000)
(37,772}
(3,336,900) (3,124,000)
-.I
00
New or
Replacement
Replacement
Replacement
Replacement
Replacement
Replacement
Replacement
Replacemen t
Replacement
New
New
New
New
New
New (Seaton)
New (Seaton)
Total
2020 Vehicle Acquisition List (New & Replacement)
Description of Plans for
Expected Vehicle Vehicle Requested Existing Vehicle: Costs Primary User being Year, Make, Unit# Replaced
Carqo Van 2013 Chevv, #801 $45 ,000 Animal Services Sale
1 Ton Truck with Utilitv Bodv 2012 Ford, #24 110,000 Roads Eauipment Sale
3/4 Ton Van 2013 Ford , #798 . 45,000 Community Centres Sale
4 Ton Dump Truck with Snow Plow 2012 International, #48 280,000 Roads Equipment Sale
4 Ton Dump Truck with Snow Plow 2011 International , #59 280 ,000 Roads .Eauipment Sale
5 Ton Dump Truck with Snow Plow 2012 International, #49 300,000 Roads Equipment Sale
Pumper Rescue 2006 Smeal , #540 1,000 ,000 Fire Sale
Utility Van. . 2006 Chevy, #852 45,000 Libraries Sale
Electric Vehicle N/A 52,000 By-Law Services
Electric Vehicle N/A 52,000 Buildino Services
1/2 Ton Pickup Truck N/A 45,000 Parks
3/4 Ton Pickup Trucks (2) NIA 100,000 Parks
3/4 Ton Pick-up Trucks (2) N/A 120,000 Roads Equipment
5 Ton Dump Truck with Plow & Wing N/A 300,000 Roads Equipment
1 Ton Dump Truck with Aluminum Body , Plow & N/A 140 ,000 Roads Equipment
Salter (2)
18 $2 ,914,000
Vehicle Other
Replacement Funding
Reserve Source
$45 ,000 $0
110,000 0
45,000 0
280,000 0
280 ,000 0
300,000 0
0 1,000 ,000
45 ,000 0
52 ,000 0
0 52 ,000
45 ,000 0
100,000 0
120,000 0
0 300 ,000
0 140,000
$1,422,000 . $1,492,000
Vehicle Expenditures 2013-2020
$3,500,000 -7
3,000,000 -7
2,500,000 -7
• 2,000,000
1,500,000 -7'
1,000,000
500,000 -�
1
1
1
1
2013 2014 2015 2016 2017 2018 2019 2020
• Light Duty Vehicles 4 or 5 Ton Dump Trucks (Includes Graders)
✓ Large Fire Vehicles ■ Hybrid & E Vehicles
2013 2014 2015 2016 2017 2018 2019 2020
Hybrid & E Vehicles 3 1 2
Light Duty Vehicles 7 6 11 9 14 9 15 11
Dump Trucks 1 1 2 3 3 3 3 4.
Large Fire Vehicles 0 1 1 0 1 1 1 1
79
City of Pickering
2020 Approved Capital Budget
Projects Listing
5990 Fleet Vehicles
Project Name
5990 Fleet Veh.icles
5206.2007 Operations Centre Fleet Management System
5219.2002 Cargo Van -Replacement
5220.2001 Hybrid Electric Vehicle -New
5315.2001 Forklift Municipal Garage -Replacement
5319.2003 1 Ton Dump Truck with Aluminum Body, Plow and Salter -New (2) (Seaton)
5319.2004 1 Ton Truck with Utility Body Replacement
5319.2005 4 Ton Dump Truck with Snow Plow Replacement
5319.2006 5 Ton Dump Truck with Plow and Wing -New
5319.2007 4 Ton Dump Truck with Snow Plow-Replacement
5319.2008 Two (2) 3/4 Ton Pick-up Trucks -New
5319.2010 5 Ton Dump Truck with Snow Plow-Replacement·
5340.2003 Fire Pumper Rescue Replacement
5612.2002 Building Services Vehicle -New
5700.2007 Electric Vehicle Charging Station -New
5719.2005 3/4 Ton Van Replace.ment
5780.2017 1 /2 Ton Pickup Truck -New
5780.2018 3/4 Ton Pickup Trucks -New (2)
5800.2007 Utility Van -Replacement
Total
80
Run Date: Mar 12, 2020
2020
Project
Budget
150,000
45,000
52,000
35,000
140,000
110,000
280,000
300,000
280,000
120,000
300,000
1,000,000
52,000
25,000
45,000
45,000
100,000
45,000
3,124,000
City of Pickering
2020
Approved Capital Budget
5990 Fleet Vehicles
5206.2007 Operations Centre Fleet Management System
6174 System & Software Upgrade
Fleet Management software to replace current system (RT A) t_o
provide regulatory compliance, enhanced asset management and
life cycle optimization of fleet vehicles. Additional funding for
project 5206.1905.
7021 R -Rate Stabilization
Total 5206.2007 Operations Centre Fleet Management System
5219.2002 Cargo Van -Replacement
6157 Vehicles -under $100,000
Cargo Van -replace unit #801 (2013 Chevrolet)(5219 Animal
Services).
7040 R -Vehicle Replacement
Total 5219.2002 Cargo Van -Replacement
5220.2001 Hybrid Electric Vehicle -New
6157 Vehicles -under $100,000
Gas powered, electric or hybrid vehicle -New (5220 By-Law).
Includes cost for vehicle wrap and winter tires & rims,
7040 R -Vehicle Replacement
Total 5220.2001 Hybrid Electric Vehicle -New
5315.2001 Forklift Municipal Garage -Replacement
6157 Vehicles -under $100,000
One forklift -Replace unit# 200 (1998) (5315 Operations Centre)
7040 R -Vehicle Replacement
Total 5315.2001 Forklift Municipal Garage -Replacement
5319.2003 1 Ton Dump Truck with Aluminum Body, Plow and Salte
6458 Vehicles -Over $100,000 -Seaton
Two 1 Ton Dump Trucks with Aluminum Body, Plow and Salter -
New (Seaton) (5319 Roads Equipment)
7610 RF DC -Roads & Related
Total 531.9.2003 1 Ton Dump Truck with Aluminum Body, Plow am
5319.2004 1 Ton Tr1,1ck with Utility Body Replacement
6157 Vehicles -under $100,000
1 Ton Truck with Utility Body-Replace unit #24 (2012 Ford) (5319
Roads Equipment).
81
Run Date: Mar 12, 2020
Funding Expense
150,000
(150,000)
(150,000) 150,000
45,000
(45,000)
(45,000) 45,000
52,000
(52,000)
(52,000) 52,000
35,000
(35,000)
(35,000) 35,000
140,000
(140,000)
(140,000) 140,000
110,000
City of Pickering
2020
Approved Capital Budget
5990 Fleet Vehicles
7040 R -Vehicle Replacement .
Total 5319.20041 Ton Truck with Utility Body Replacement
5319.2005 4 Ton Dump Truck with Snow Plow Replacement
6158 Vehicles -Over $100,000
4 Ton Dump Truck with Snow Plow -Replace unit# 059 ( 2011
lnternationc1l) (5319 Roads Equipment).
7040 R -Vehicle Replacement
Total 5319.2005 4 Ton Dump Truck with Snow Plow Replacement
5319.2006 5 Ton Dump Truck with Plow and Wing -New
6458 Vehicles -Over $100,000 -Seaton
5 Ton Dump Truck with Plow and Wing -New (Seaton) (5319 Roads
Equipment)
7615 RF DC -Other Services Related to a Highway
Total 5319.2006 5 Ton Dump Truck with Plow and Wing -New
5319.2007 4 Ton Dump Truck with Snow Plow -Replacement
6158 Vehicles -Over $100,000
4 Ton Dump Truck -Replace unit #48 (2012 International) (5319
Roads Equipment).
7040 R -Vehicle Replacement
Total 5319.2007 4 Ton Dump Truck with Snow Plow -Replacemen
5319.2008 Two (2) 3/4 Ton Pick-up Trucks -New
6157 Vehicles -under $100,000
Two (2) 3/4 Ton Pick-up Trucks -New (5319 Roads Equipment).
7040 R -Vehicle Replacement
Total 5319.2008 Two (2) 3/4 Ton Pick-up Trucks -New
5319.2010 5 Ton Dump Truck with Snow Plow -Replacement
6158 Vehicles -Over $100,000
5 Ton Dump Truck with Snow Plow -Replace unit #49 (2012 ·
International) (5319 Roads Equipment).
7040 R -Vehicle Replacement
Total 5319.2010 5 Ton Dump Truck with Snow Plow -Replacemen
5340.2003 Fire Pumper Rescue Replacement
1703 Debt-15 Year
6159 Fire Veh -Over $100,000
82
Run Date: Mar 12, 2020
Funding Expense
(110,000)
(110,000) 110,000
280,000
(280,000)
(280,000) 280,000
300,000
(300,000)
(300,000) 300,000
280,000
(280,000)
(280,000) 280,000
120,000
(120,000)
(120,000) 120,000
300,000
(300,000)
. (300,000) 300,000
(1,000,000)
825,000
City of Pickering
2020
Approved Capital Budget
5990 Fleet Vehicles
Fire Pumper Rescue -replace unit# 540 (2006 Smeal) (5340 Fire
Services).
6178 Machinery & Equipment
Total 5340.2003 Fire Pumper Rescue Replacement
5612.2002 Building Services Vehicle -New
6157 Vehicles -under $100,000
Gas powered, electric or hybrid vehicle -New (5612 Building
Services). Includes cost for vehicle wrap, winter tires & rims.
7506 RF -Building Permit
Total 5612.2002 Building Services Vehicle -New
5700.2007 Electric Vehicle Charging Station -New
6178 Machinery & Equipment
Purchase and Installation of Electric Vehicle Charging Station (2
chargers) at the Civic Centre.
7040 R -Vehicle Replacement
Total 5700.2007 Electric Vehicle Charging Station -New
5719.2005 3/4 Ton Van Replacement
6157 Vehicles -under $100,000
3/4 Ton Van -Replace unit #798 (2013 Ford)(5719 Community
Centres).
7040 R -Vehicle Replacement
Total 5719.2005 3/4 Ton Van Replacement
5780.2017 1/2 Ton Pickup Truck -New
6157 Vehicles -under $100,000
1/2 Ton Pickup Truck -New (5780 Parks)
7040 R -Vehicle Replacement
Total 5780.2017 1/2 Ton Pickup Truck -New
5780.2018 3/4 Ton Pickup Trucks -New (2)
6157 Vehicles -under $100,000
Two 3/4 Ton Pickup Trucks to Replace Rental Vehicles (5780
Parks)
7040 R -Vehicle Replacement
Total 5780.2018 3/4 Ton Pickup Trucks -New (2) ·
5800.2007 Utility Van -Replacement
6157 Vehicles -under $100,000
83
Run Date: Mar 12, 2020
Funding Expense
175,000
(1,000,000) 1,000,000
52,000
(52,000)
(52,000) 52,000
25,000
(25,000)
(25,000) 25,000
45,000
(45,000)
(45,000) 45,000
45,000
(45,000)
(45,000) 45,000
100,000
(100,000)
(100,000) 100,000
45,000
5990 Fleet Vehicles
City of Pickering
2020
Approved Capital Budget
Utility Van -replace unit# 852 (2006 Chevrolet Cargo Van)(5800
Libraries)
7040 R -Vehicle Replacement
Total 5800.2007 Utility Van -Replacement
Total 5990 Fleet Vehicles
84
Run Date: Mar 12, 2020
Funding Expense
(45,000)
(45,000) 45,000
(3,124,000) 3,124,000
City of Pickering
2020
Approved Capital Budget
Corporate Services Dept. Summary
Expenditures
Hardware Replacements
IT Infrastructure
Machinery & Equipment
Prof/Consulting Fees
Building Related
Total Expenditures
Financing
Donations
R -Capital Equipment Replacement
R -Rate Stabilization
RF DC -Protection Services
RF -Animal Shelter
Total Financing
85
Run Date: Mar 12, 2020
2019 2020
Approved Approved
Budget Budget
116,000 217,000
130,000 339,000
350,000
881,850
8,273,650
246,000 10,061,500
(2,250,000)
(246,000) (556,000)
(50;000)
. (6,225,740)
(979,760)
(246,000) (10,061,500)
5206 Information Technology
Expenditures
Hardware Replacements
IT Infrastructure
Total Expenditures
Financing
R -Capital Equipment Replacement
Total Financing
City of Pickering
2020
Approved Capital Budget
86
Run Date: Mar 12, 2020
2019 2020
Approved Approved
Budget Budget
116,000 217,000
130,000 339,000
246,000 556,000
(246,000) (556,000)
(246,000) (556,000)
City of Pickering
2020 Approved Capital Budget
Projects Listing
5206 Information Technology
Project Name
5206 Information Technology
5206.2001 Fire Services Mobile Devices ·
5206.2002 City Network Upgrades
5206.2003 Laptop/Desktops
5206.2004 Information Security Enhancements
5206.2005 Laserfiche RIO upgrade
5206.2006 AMANDA 7 Upgrade
5206.2010 Digital Conversion of Analog Cameras (Phase 1)
5206.2011 Storage Area Network Capacity Upgrade
Total
87
Run Date: Mar 12, 2020
2020
Project
Budget
36,000
89,000
60,000
32,000
37,000
190,000
37,000
75,000
556,000
City of Pickering
2020
Approved Capital Budget
5206 Information Technology
5206.2001 Fire Services Mobile Devices
6175 Hardware Replacements
Fire Services vehicle device upgrade for emergency response (6 X
CF33).
7001 R -Capital Equipment Replacement
Total 5206.2001 Fire Services Mobile Devices
5206.2002 City Network Upgrades
6175 Hardware Replacements
The City's Enterprise Network infrastructure needs to be upgraded
and faster, intelligent networking components will be required.
7001 R -Capital Equipment Replacement
Total 5206.2002 City Network Upgrades
5206.2003 Laptop/Desktops
6175 Hardware Replacements
Replacement of computers and laptops.
7001 R -Capital Equipment Replacement
Total 5206.2003 Laptop/Desktops
5206.2004 Information Security Enhancements
6175 Hardware Replacements
Centralized Information Security Management Platform.
7001 R -Capital Equipment Replacement
Total 5206.2004 Information Security Enhancements
5206.2005 Laserfiche RIO upgrade
6177 IT Infrastructure
Laserfiche Upgrade -Rio upgrade will allow to have multiple
production repositories, and separate test/development from
production making system more secure.
7001 R -Capital Equipment Replacement
Total 5206.2005 Laserfiche RIO upgrade
5206.2006 AMANDA 7 Upgrade
6177 IT Infrastructure
AMANDA Upgrade to Version 7 -Requires less coding during new
folder setup, simplify security control, and keep system up to date
for highest level of support. The current version will no longer be
supported after January 2021.
7001 R -Capital Equipment Replacement
88
Run Date: Mar 12, 2020
Funding Expense
36,000
(36,000)
(36,000) 36,000
89,000
(89,000)
(89,000) 89,000
60,000
(60,000)
(60,000) 60,000
32,000
(32,000)
(32,000) 32,000
37,000
(37,000)
(37,000) 37,000
190,000
(190,000)
City of Pickering
2020
Approved Capital Budget
5206 Information Technology
Total 5206.2006 AMANDA 7 Upgrade
5206.2010 Digital Conversion of Analog Cameras (Phase 1)
6177 IT Infrastructure
Replacement cabling, storage and new licensing for Analog
Camera IP Conversion -Phase 1.
· 7001 R -Capital Equipment Replacement
Total 5206.2010 Digital Conversion of Analog Cameras (Phase 1)
5206.2011 Storage Area Network Capacity Upgrade
6177 IT Infrastructure
Storage Area Network Capacity Upgrade
7001 R -Capital Equipment Replacement
Total 5206.2011 Storage Area Network Capacity Upgrade
Total 5206 Information Technology
89
Run Date: Mar 12, 2020
Funding Expense
(190,000) 190,000
37,000
(37,000)
(37,000) 37,000
75,000
(75,000)
(75,000) 75,000
(556,000) 556,000
5220 By-Law Services
Expenditures
Machinery & Equipment
Total Expenditures
Financing
R -Rate Stabilization
Total Financing
City of Pickering
2020
Approved Capital Budget
90
Run Date: Mar 12, 2020
2019 2020
Approved Approved
Budget Budget
50,000
50,000
(50,000) .
(50,000)
5220 By-Law Services
City of Pickering
2020
Approved Capital Budget
5220.2002 Licence Plate Recognition System
6178 Machinery & Equipment
Mobile licence plate recognition system using cameras, infrared
. lights, optical character recognition software and licence plate data
base to enable efficient monitoring of compliance with the City's
Traffic & Parking By~law.
7021 R -Rate Stabilization
Total 5220.2002 Licence Plate .Recognition System
Total 5220 By-Law Services
91
Run Date: Mar 12, 2020
,Funding Expense
50,000
(50,000)
(50,000) 50,000
(50,000) 50,000
5219 Animal Services
Expenditures
Machinery & Equipment
Prof/Consulting Fees
Building Related
Total Expenditures
Financing
Donations
RF DC -Protection Services
RF -Animal Shelter
Total Financing
City of Pickering
2020
Approved Capital Budget
92
Run Date: Mar 12, 2020
2019 2020
Approved Approved
Budget Budget
300,000
881,850
8,273,650
9,455,500
(2,250,000)
(6,225,740)
(979,760)
(9,455,500)
City of Pickering
2020
Approved Capital Budget
5219 Animal Services
5219.2003 Animal Shelter -Design
6230 Prof/Consulting Fees
Design of new animal shelter.
7605 RF DC -Protection Services
7706 RF -Animal Shelter
Total 5219.2003 Animal Shelter -Design
5219.2004 Animal Shelter -Construction
1592 Donations
6500 Building Related
Construction of new animal shelter building.
7605 RF DC -Protection Services
7706 RF -Animal Shelter
Total 5219.2004 Animal Shelter -Construction
5219.2005 Animal Shelter -FF&E
6178 Machinery & Equipment
Furniture, fixtures & equipment for new animal shelter building.
7706 RF -Animal Shelter
Total 5219.2005 Animal Shelter -FF&E
Total 5219 Animal Services
93
Run Date: Mar 12, 2020
Funding Expense
881,850
(599,658)
(282,192)
(881,850) 881,850
(2,250,000)
8,273,650
(5,626,082)
(397,568)
(8,273,650) 8,273,650
300,000
(300,000)
(300,000) 300,000
(9,455,500) 9,455,500
City of Pickering
2020
Approved Capital Budget
Engineering Services Dept. Summary
Expenditures
Machinery & Equipment
Prof/Consulting Fees
Construction Costs
Road Improvements
Streetlights & Sidewalks
Storm Water
Traffic Signals
Sidewalks
Land Acquisition & Disp
3rd Party Construction Costs-Ext Sub
Total Expenditures
Financing
Donations
Federal Grants
Debt -5 Year
Debt-10 Year
Paid from Property Taxes
R -Self-Insurance
R -Rate Stabilization
. R -DC's City's Share
RF -Third Party Contribution
RF -Federal Gas Tax
RF DC -Roads & Related
RF DC -Storm Water Mgmt
RF -Roads & Bridges
RF -OCIF Grant
Total Financing
94
Run Date: Mar 12, 2020
2019 2020
Approved Approved
Budget Budget
25,000
2,250,000
200,000 200,000
6,385,000 4,601,000
608,500
7,312,200 175,000
40,000 471,600
310,000 200,000
5,000,000
364,045
14,880,700 13,261,645
(12,500)
(1,125,000)
(360,400)
(1,125,000)
(202,500) (47,000)
(150,000) (175,000)
(299,200)
(5,271,865) (91,012)
(200,000) (3,700,000)
(2,195,000) (3,366,000)
(1,429,250) (2,023,033)
(3,169,585)
(2,350,000)
(850,000)
(14,880,700) (13,261,645)
City of Pickering
2020
Approved Capital Budget
5325 Streetlights & Signalization
Expenditures
Traffic Signals
Total Expenditures
Financing
Debt -5 Year
Paid from Property Taxes
R -Rate Stabilization
RF -Federal Gas Tax
Total Financing
95
Run Date: Mar 12, 2020
2019 2020
Approved Approved
Budget Budget
40,000 471,600
40,000 471,600
(360,400)
(40,000) (22,000)
(74,200)
(15,000)
(40,000) (471,600)
City of Pickering
2020
Approved Capital Budget
5325 Streetlights & Signalization
'•
5325.2001 LED Signal Head Replacement Program
6254 Traffic Signals
Replacement of LED signal heads and signal head mounting
equipment. Year 4 of a 5 year program.
7505 RF -Federal Gas Tax
Total 5325.2001 LED Signal Head Replacement Program
5325.2002 Traffic Signals/Controllers Replacement
2823 Paid from Property Taxes
6254 Traffic Signals
Traffic Signals/Controllers Replacement -Oklahoma Drive at Eyer
Drive (last replacement 2007).
Total 5325.2002 Traffic Signals/Controllers Replacement
5325.2003 Pedestrian Countdown Signals -10 locations .
6254 Traffic Signals
Retrofit existing traffic signals with pedestrian countdown signals for
increased crossing safety. Year 1 of 2 year program.
7021 R -Rate Stabilization
Total 5325.2003 Pedestrian Countdown Signals -10 locations
5325.2004 Accessible Pedestrian Signals -4 locations
1701 Debt-5 Year
6254 Traffic Signals
Equipping existing traffic signals with accessible pedestrian signals.
In accordance with AODA 2005. All signals must equipped by Jan
1,2025 (Year 1 of 5 year program).
Total 5325.2004 Accessible Pedestrian Signals -4 locations
Total 5325 Streetlights & Signalization
96
Run Date: Mar 12, 2020
Funding Expense
15,000
(15,000)
(15,000) 15,000
(22,000)
22,000
(22,000) 22,000
74,200
(74,200)
(74,200} 74,200
(360,400)
360,400
(360,400) 360,400
(471,600) 471,600
5323 Sidewalks
Expenditures
Sidewalks
Total Expenditures
Financing
RF -Federal Gas Tax
Total Financing
City of Pickering
2020 ·
Approved Capital Budget
97
Run Date: Mar 12, 2020
2019 2020
Approved Approved
Budget Budget
310,000 200,000
310,000 200,000.
(310,000) (200,000)
{310,000) {200,000)
5323 Sidewalks
City of Pickering
2020
Approved Capital Budget
5323.2001 Whites Road -Asphalt Sidewalk Reconstruction
6255 Sidewalks
Reconstruct existing asphalt sidewalk on Whites Road -west side,
from Sunbird Trail to Amaretto Avenue, including boulevard
restoration and drainage improvements
7505 RF -Federal Gas Tax
Total 5323.2001 Whites Road -Asphalt Sidewalk Reconstruction
Total 5323 Sidewalks
98
Run Date: Mar 12, 2020
Funding Expense
200,000
(200,000)
(200,000) 200,000
(200,000) 200,000
4*
City of Pickering
Engineering Services Department
2020 Approved Budget
Budget Amount:
5323.2001 Whites Road (RR #38) — Asphalt Sidewalk Reconstruction $200,000
Financing Sources:
7505 RF — Federal Gas Tax
Location and Construction:
$200,000
Whites Road (RR #38) — from Sunbird Trail to Amaretto Avenue. The proposed works
include asphalt sidewalk reconstruction, boulevard restoration and drainage
improvements.
99
City of Pickering
2020
Approved Capital Budget
5410 Stormwater Management _
Expenditures
Storm Water
Total Expenditures
Financing
Paid from Property Taxes
R -Self-Insurance
Total Financing
100
Run Date: Mar 12, 2020
2019 2020
Approved Approved
Budget Budget
300,000 175,000
300,000 175,000
(150,000)
(150,000) (175,000)
(300,000) (175,000)
City of Pickering
2020
Approved Capital Budget
5410 Stormwater Management
5410.2001 Franklin St./Central St. Flood Risk Management
6253 Storm Water
Implementation of Flood Risk Management Plan -Franklin
Street/Central Street Claremont. Project 5410.1903 re-budgeted.
7020 R -Self-Insurance
Total 5410.2001 Franklin St./Central St. Flood Risk Management
Total 5410 Stormwater Management
101
Run Date: Mar 12, 2020
Funding Expense
175,000
(175,000)
(175,000) 175,000
(175,000) 175,000
D
4
3
SUBJECT
AREA
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u
sJoE
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tf1
0
2
4
City of Pickering
Engineering Services Department
2020 Approved Budget
Budget Amount:
5410.2001 Franklin Street/Central Street — Flood Risk Management $175,000
Financing Sources:
7020 R — Self -Insurance $175,000
Location and Construction:
Franklin Street (Asset ID 9063) — Located on Franklin Street, north of Central Street. The
proposed works include construction of a flood risk management solution.
102
5320 Roads Projects
Expenditures
Machinery & Equipment
Prof/Consulting Fees
Road Improvements
Total Expenditures
Financing
Donations
Federal Grants
Debt-10 Year
Paid from Property Taxes
R -Rate Stabilization
RF -Federal Gas Tax
RF -Roads & Bridges
RF -OCIF Grant
Total Financing
City of Pickering
2020
Approved Capital Budget
103
Run Date: Mar 12, 2020
2019 2020
Approved Approved
Budget Budget
25,000
2so;ooo
4,135,000 4,601,000
4,160,000 4,851,000
(12,500)
(1,125,000)
(1,125,000)
(12,500) (25,000)
(225,000)
(1,885,000) (3,151,000)
(600,000)
(850,000)
(4,160,000) (4,851,000)
City of Pickering
2020 Approved Capital Budget
Projects Listing
5320 Roads Projects
Project Name
5320 Roads Projects
5320.2001 New Guide Rail -Sideline 30
5320.2002 New Guide Rail -Seventh Concession Rd.
5320.2004 Liverpool Rd. Bridge Replacement -Design
5320.2008 Gablehurst Crescent -Asphalt Resurfacing
5320.2009 Barber St. -Road Reconstruction
5320.2010 New Street -Asphalt Resurfacing
5320.2011 Redbird Crescent -Asphalt Resurfacing
5320.2012 Jaywin Circle -Asphalt Resurfacing
5320.2013 Hoover Drive -Asphalt Resurfacing
5320.2014 Sideline 22 -Asphalt Resurfacing
5320.2015 Dellbrook Ave. -Asphalt Resurfacing
5320.2016 Clements Rd. -Asphalt Resurfacing
5320.2017 Oklahoma Dr. -Asphalt Resurfacing
5320.2018 Fieldlight Blvd. -Asphalt Resurfacing
5320.2019 Rambleberry Ave. -Asphalt Resurfacing
5320.2020 Sheppard Ave. -Asphalt Resurfacing
5320:2021 Sideline 24-Asphalt Resurfacing
5320.2022 . Granite Crt. -Asphalt Resurfacing
5320.2023 Shadybrook Drive -Asphalt Resurfacing
5320.2024 Naroch Boulevard -Road Base and Asphalt Repair
Total
104
Run Date: Mar 12, 2020
2020
Project
Budget
25,000
50,000
250,000
70,000
350,000
220,000
271,000
242,000
225,000
16,000
418,000
260,000
254,000
160,000
354,000
325,000
16,000
390,000
350,000
605,000
4,851,000
City of Pickering
2020
Approved Capital Budget
5320 Roads Projects
5320.2001 New Guide Rail -Sideline 30
2823 Paid from Property Taxes
6251 Road Improvements
Installation of new roadside guide rail on Sideline 30 north of Ninth
Concession Rd.
Total 5320.2001 New Guide Rail -Sideline 30
5320.2002 New Guide Rail -Seventh Concession Rd.
6251 Road Improvements
Installation of new roadside guide rail on Seventh Concession
Road west of Kinsale Road
7021 R -Rate Stabilization
Total 5320.2002 New Guide Rail -Seventh Concession Rd.
5320.2004 Liverpool Rd. Bridge Replacement -Design
6230 Prof/Consulting Fees
Liverpool Bridge Replacement -Design/Approvals.
7709 RF -Roads & Bridges
Total 5320.2004 Liverpool Rd. Bridge Replacement -D~sign
5320.2008 Gablehurst Crescent -Asphalt Resurfacing
6251 Road Improvements
Gablehurst Crescent -from Brookshire Square to 90m west to New
Infill Section.
7021 R -Rate Stabilization
Total 5320.2008 Gablehurst Crescent -Asphalt Resurfacing
5320.2009 Barber St. -Road Reconstruction
6251 Road Improvements
Barber Street Reconstruction -from Central St. to the north terminus
7709 RF -Roads & Bridges
Total 5320.2009 Barber St. -Road Reconstruction
5320.2010 New Street -Asphalt Resurfacing
6251 Road Improvements
New Street -.Asphalt Resurfacing -Parkside Drive to Cricket Lane
7505 RF -Federal Gas Tax
Total 5320.2010 New Street -Asphalt Resurfacing
5320.2011 Redbird Crescent -Asphalt Resurfacing
105
Run Date: Mar 12, 2020
Funding Expense
(25,000)
25,000
(25,000) 25,000
50,000
(50,000)
(50,000) 50,000
250,000
(250,000)
(250,000) 250,000
70,000
(70,000) .
(70,000) 70,000
350,000
(350,000)
(350,000) 350,000
220,000
(220,000)
(220,000) 220,000
City of Pickering
2020
Approved Capital Budget
5320 Roads Projects
6251 Road Improvements
Redbird Crescent -Asphalt Resurfacing -Huntsmill Drive to
Huntsmill Drive ·
7505 RF -Federal Gas Tax
Total 5320.2011 Redbird Crescent -Asphalt Resurfacing
5320.2012 Jaywin Circle -Asphalt Resurfacing
6251 Road Improvements
Jaywin Circle -Asphalt Resurfacing -Denmar Road to Denmar
Road
7505 RF -Federal Gas Tax
Total 5320.2012 Jaywin Circle -Asphalt Resurfacing
5320.2013 Hoover Drive -Asphalt Resurfacing
6251 Road Improvements
Hoover Drive -Asphalt Resurfacing -Twyn Rivers Drive to Littleford
Street
7505 RF -Federal Gas Tax
Total 5320.2013 Hoover Drive -Asphalt Resurfacing
5320.2014 Sideline 22 -Asphalt Resurfacing
6251 Road Improvements
Sideline 22 -Asphalt Resurfacing -At GP Rail Crossing north of
Regional Road #5
7505 RF -Federal Gas Tax
Total 5320.2014 Sideline 22 -Asphalt Resurfacing
5320.2015 Dellbrook Ave. -Asphalt Resurfacing
6251 Road Improvements
Dellbrook Avenue -Asphalt Resurfacing -Valley Farm Road to
Meriadoc Drive
7505 RF -Federal Gas Tax
Total 5320.2015 Dellbrook Ave. -Asphalt Resurfacing
5320.2016 Clements Rd. -Asphalt Resurfacing
6251 Road Improvements
· Clements Road -Asphalt Resurfacing -Brock Road (RR #1) to Rail
Line Spur
7505 RF -Federal Gas Tax
Total 5320.2016 Clements Rd. -Asphalt Resurfacing
106
Run Date: Mar 12, 2020
Funding Expense
271,000
(271,000)
(271,000) 271,000
242,000
(242,000)
(242,000) 242,000
225,000
(225,000)
(225,000) 225,000
16,000
(16,000)
(16,000) 16,000
418,000
(418,000)
(418,000) 418,000
260,000
(260,000)
(260,000) 260,000
City of Pickering
2020
Approved Capital Budget
5320 Roads Projects
5320.2017 Oklahoma Dr. -Asphalt Resurfacing
6251 Road Improvements
Oklahoma Drive -Asphalt Resurfacing -Hillcrest Road to West
Shore Boulevard
7505 RF -Federal Gas Tax
Total 5320.2017 Oklahoma Dr. -Asphalt Resurfacing
5320.2018 Fieldlight Blvd. -Asphalt Resurfacing
6251 Road Improvements
Fieldlight Boulevard -Asphalt Resurfacing -Rosefield Road to
Glenview Road
7505 RF -Federal Gas Tax
Total 5320.2018 Fieldlight Blvd. -Asphalt Resurfacing
5320.2019 Rambleberry Ave. -Asphalt Resurfacing
6251 Road Improvements
Rambleberry Avenue -Asphalt Resurfacing -Dixie Road to
Kelvinway Lane (south leg)
7505 RF -Federal Gas Tax
Total 5320.2019 Rambleberry Ave. -Asphalt Resurfacing
5320.2020 Sheppard Ave. -Asphalt Resurfacing
6251 Road Improvements
Sheppard Avenue -Asphalt Resurfacing -Edmund Drive to Whites
Road (RR #38)
7505 RF -Federal Gas Tax
Total 5320.2020 Sheppard Ave. -Asphalt Resurfacing
5320.2021 Sideline 24-Asphalt Resurfacing
6251 Road Improvements
Sideline 24 -Asphalt Resurfacing -At CP Rail Crossing south of
Regional Road # 5
7505 RF -Federal Gas Tax
Total 5320.2021 Sideline 24-Asphalt Resurfacing
5320.2022 Granite Crt. -Asphalt Resurfacing
6251 Road Improvements
Granite Court -Asphalt Resurfacing -Rosebank Road to Ironstone
Manor
7505 RF -Federal Gas Tax
107
Run Date: Mar 12, 2020
Funding Expense
254,000
(254,000)
(254,000) 254,000
160,000
(160,000)
(160,000) 160,000
354,000
(354,000)
(354,000) 354,000
325,000
(325,000)
(325,000) 325,000
16,000
(16,000)
(16,000) 16,000
390,000
(390,000)
5320 Roads Projects
City of Pickering
2020
Approved Capital Budget
Total 5320.2022 Granite Crt. -Asphalt Resurfacing
5320.2023 Shadybrook Drive -Asphalt Resurfacing
6251 Road Improvements ~
Belinda Court to south of Edgewood Road (to the road bend at
Shadybrook Park).
7711 RF -OCIF Grant
Ontario Community Infrastructure Fund (OCIF)
Total 5320.2023 Shadybrook Drive -Asphalt Resurfacing
5320.2024 Naroch Boulevard -Road Base and Asphalt Repair
6251 Road Improvements
Grenoble Boulevard (west leg) to Modlin Road.
7021 R -Rate Stabilization
7711 RF -OCIF Grant
Ontario Community Infrastructure Fund (OCIF)
Total 5320.2024 Naroch Boulevard -Road Base and Asphalt Repa
Total 5320 Roads Projects
108
Run Date: Mar 12, 2020
Funding Expense
(390,000) 390,000
350,000
(350,000)
(350,000) 350,000
605,000
(105,000)
(500,000)
(605,000) 605,000
(4,851,000) 4,851,000
SUBJECT
AREA
•
City of Pickering
Engineering Services Department
2020 Approved Budget
Budget Amount:
5320.2002 Seventh Concession Road -- New Guide Rail System $50,000
Financing Sources:
7021 R - Rate Stabilization $50,000
Location and Construction:
Seventh Concession Road (Asset ID 7033) -- located on Seventh Concession Road, west
of Kinsale Road.
The proposed works include the installation of a new roadside steel beam guide rail
system.
109
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AREA
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LAKE ONTARIO
City of Pickering
Engineering Services Department
2020 Approved Budget
Budget Amount:
5320.2004 Liverpool Road Bridge (ID: 3) Replacement — Design $250,000
Financing Sources:
7709 RF — Roads & Bridges $250,000
Location and Construction:
Liverpool Road Bridge (ID: 3) -- located an the Liverpool Road, at the south terminus. The
proposed works include preliminary design and approvals for the future bridge
replacement.
110
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Engineering Services Department
2020 Approved Budget
Budget Amount:
5320.2008 Gablehurst Crescent — Asphalt Resurfacing $70,000
Financing Sources:
7021 R - Rate Stabilization $70,000
Location and Construction:
Gablehurst Crescent (Asset ID 1656) — from Brookshire Square to 90m west to New lnfill
Section. The proposed works include asphalt resurfacing (double lift), curb and sidewalk
repairs where required, and pavement markings,
111
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AREA
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City of Pickering
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CLAREMONT
Engineering Services Department
2020 Approved Budget
Budget Amount:
5320.2009 Barber Street — Road Reconstruction $350,000
Financing Sources:
7709 RF — Roads & Bridges $350,000
Location and Construction:
Barber Street (Asset ID 9069) — from Central Street to the north terminus, The proposed
works include road reconstruction (excavation, new granular base and road asphalt),
utility relocations where required, driveway restoration where required, and boulevard
restoration (grading and sodding).
112
City of Pickering
Engineering Services Department
2020 Approved Budget
Budget Amount:
5320.2010 New Street — Asphalt Resurfacing $220,000
Financing Sources:
7505 RF — Federal Gas Tax $220,000
Location and Construction:
New Street (Asset ID 1512) — from Parkside Drive to Cricket Lane. The proposed works
include asphalt resurfacing (double lift), curb and sidewalk repairs where required, and
pavement markings.
113
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City of Pickering
Engineering Services Department
2020 Approved Budget
Budget Amount:
5320.2011 Redbird Crescent — Asphalt Resurfacing
Financing Sources:
7505 RF — Federal Gas Tax
Location and Construction:
$271,000
$271,000
Redbird Crescent (Asset ID 1683) —from Huntsmill Drive to Huntsmill Drive. The
proposed works include asphalt resurfacing (double lift), curb and sidewalk repairs where
required, and pavement markings.
114
SUBJECT
AREA
City of Pickering
NG
F.
Engineering Services Department
2020 Approved Budget
Budget Amount:
5320.2012 Jaywin Circle — Asphalt Resurfacing $242,000
Financing Sources:
7505 RF — Federal Gas Tax $242,000
Location and Construction:
Jaywin Circle (Asset ID 1826) — from Denmar Road to Denmar Road. The proposed
works include asphalt resurfacing (double lift), curb and sidewalk repairs where required,
and pavement markings.
115
City of Pickering
Engineering Services Department
2020 Approved Budget
Budget Amount:
5320.2013 Hoover Drive — Asphalt Resurfacing
Financing Sources:
7505 RF — Federal Gas Tax
Location and Construction:
$225,000
$225,000
Hoover Drive (Asset ID 42) — from Twyn Rivers Drive to Littleford Street. The proposed
works include asphalt resurfacing (double lift), curb and sidewalk repairs where required,
and pavement markings.
City of Pickering
Engineering Services Department
2020 Approved Budget
Budget Amount:
5320.2015 Dellbrook Avenue — Asphalt Resurfacing $418,000
Financing Sources:
7505 RF — Federal Gas Tax $418,000
Location and Construction:
Dellbrook Avenue (Asset ID 2327) from Valley Farm Road to Meriadoc Drive. The
proposed works include asphalt resurfacing (double lift), curb and sidewalk repairs where
required, and pavement markings.
117
SUBJECT
AREA
City of Pickering
Engineering Services Department
2020 Approved Budget
Budget Amount:
5320.2016 Clements Road — Asphalt Resurfacing
Financing Sources:
7505 RF — Federal Gas Tax
Location and Construction:
$260,000
$260,000
Clements Road (Asset ID 846) --- from Brock Road (RR #1) to Rail Line Spur. The
proposed works include asphalt resurfacing (double lift), curb repairs where required, and
pavement markings.
11R
City of Pickering
Engineering Services Department
2020 Approved Budget
Budget Amount:
5320.2017 Oklahoma Drive — Asphalt Resurfacing $254,000
Financing Sources:
7505 RF — Federal Gas Tax $254,000
Location and Construction:
Oklahoma Drive (Asset ID 336) — from Hillcrest Road to West Shore Boulevard. The
proposed works include asphalt resurfacing (double lift), curb and sidewalk repairs where
required, and pavement markings.
119
f'
City of Pickering
Engineering Services Department
2020 Approved Budget
Budget Amount:
5320.2018 Fieldlight Boulevard — Asphalt Resurfacing $160,000
Financing Sources:
7505 RF — Federal Gas Tax $160,000
Location and Construction:
Fieldlight Boulevard (Asset ID 1832a) — from Rosefield Road to Glenview Road. The
proposed works include asphalt resurfacing (double lift), curb and sidewalk repairs where
required, and pavement markings.
120
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City of Pickering
Engineering Services Department
2020 Approved Budget
Budget Amount:
5320,2019 Rambleberry Avenue — Asphalt Resurfacing
Financing Sources:
7505 RF — Federal Gas Tax
Location and Construction:
$354,000
$354,000
Rambleberry Avenue (Asset ID 1623, 1626a+b) — from Dixie Road to Kelvinway Lane
(south leg). The proposed works include asphalt resurfacing (double lift), curb and
sidewalk repairs where required, and pavement markings.
121
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City of Pickering
Engineering Services Department
2020 Approved Budget
Budget Amount:
5320.2020 Sheppard Avenue — Asphalt Resurfacing $325,000
Financing Sources:
7505 RF — Federal Gas Tax $325,000
Location and Construction:
Sheppard Avenue (Asset ID 1021) — from Edmund Drive to Whites Road (RR #38). The
proposed works include asphalt resurfacing (double lift), curb and sidewalk repairs where
required, and pavement markings.
122
City of Pickering
Engineering Services Department
2020 Approved Budget
Budget Amount:
5320.2022 Granite Court — Asphalt Resurfacing $390,000
Financing Sources:
7505 RF — Federal Gas Tax $390,000
Location and Construction:
Granite Court (Asset ID 0261 partial) —from Rosebank Road to Ironstone Manor. The
proposed works include asphalt resurfacing (double lift), curb and sidewalk repairs where
required, and pavement markings.
123
City of Pickering
Engineering Services Department
2020 Approved Budget
Budget Amount:
5320.2023 Shadybrook Drive -- Asphalt Resurfacing $350,000
Financing Sources:
7711 RF -- GCIF Grant $350,000
Location and Construction:
Shadybrook Drive (Asset ID 1449b) — from Belinda Court to south of Edgewood Road (to
the road bend at Shadybrook Park). The proposed works include asphalt resurfacing
(double lift), curb and sidewalk repairs where required, and pavement markings.
17a
City of Pickering
Engineering Services Department
2020 Approved Budget
Budget Amount:
5320.2024 Naroch Boulevard — Road Base and Asphalt Repair $605,000
Financing Sources:
7711 RF — DCIF Grant
7021 R - Rate Stabilization
Location and Construction:
$500,000
105,000
$605.000
Naroch Boulevard (Asset I❑ 666) — from Grenoble Boulevard (west leg) to Modlin. Road.
The proposed works include asphalt resurfacing (double Iift), granular base repair and
curb work.
125
City of Pickering
2020
Approved Capital Budget
5613 Water Resources & Development Services
Expenditures
Construction Costs
Total Expenditures
Financing
RF -Third Party Contribution
Total Financing
126
Run Date: Mar 12, 2020
2019 2020
Approved Approved
Budget Budget
200,000 200,000
200,000 200,000
(200,000) (200,000)
(200,000) (200,000)
City of Pickering
2020
Approved Capital Budget
5613 Water Resources & Development Services
5613.2001 Various Construction Projects
6250 Construction Costs
Various construction projects related to development (funded from
Third Party Contributions).
7501 RF -Third Party Contribution
Total 5613.2001 Various Construction Projects
Total 5613 Water Resources & Development Services
127
Run Date: Mar 12, 2020
Funding Expense
200,000
(200,000)
(200,000) 200,000
(200,000) 200,000
City of Pickering
2020
Approved Capital Budget
5321 Development Projects-(DC Funded)
Expenditures
Prof/Consulting Fees
Road Improvements
Streetlights & Sidewalks
Storm Water
Land Acquisition & Disp
3rd Party Construction Costs-Ext Sub
Total Expenditures
7
Financing
R -DC's City's Share
RF -Third Party Contribution
RF DC -Roads & Related
RF DC -Storm Water Mgmt
RF -Roads & Bridges
Total Financing
128
Run Date: Mar 12, 2020
2019 2020
Approved Approved
Budget Budget
2,000,000
2,250,000
608,500
7,012,200
5,000,000
364,045
9,870,700 7,364,045
(5,271,865) (91,012)
(3,500,000)
(1,429,250) (2,023,033)
(3,169,585)
(1,750,000)
(9,870,700) (7,364,045)
City of Pickering
2020
Approved Capital Budget
5321 Development Projects-(DC Funded)
5321.2001 B-268 A-11 (Plummer Street)
6300 3rd Party Construction Costs-Ext Sub
B-26B A-11 (Plummer Street) Sandy Beach Road to Krosno Creek
-Oversize the proposed road from local to collector (75:25).
7022 R -DC's City's Share
7610 RF DC -Roads & Related
Total 5_321.2001 B-268 A-11 (Plummer Street)
5321.2002 Highway 401 Road Crossing Design
6230 Prof/Consulting Fees
Highway 401 Road Crossing -connecting Notion Road to Squires
Beach Road, and re-alignment of Pickering Parkway at Notion
Road -design and approvals (50/50).
7501 RF -Third Party Contribution
7610 RF DC -Roads & Related
7709 RF -Roads & Bridges
Total 5321.2002 Highway 401 Road Crossing Design
5321.2004 Highway 401 Road Crossing -Land Acquisition
6265 Land Acquisition & Disp
Land Acquisition required for road allowance purposes to facilitate
the construction of the Highway 401 road crossing connecting
Notion Road to Squires Beach Road and realignment of Pickering
Parkway at Notion Road. Additional Land Acquisition required in
2021 (50/50).
7501 RF -Third Party Contribution
7610 RF DC -Roads & Related
7709 RF -Roads & Bridges
Total 5321.2004 Highway 401 Road Crossing -Land Acquisition
Total 5321 Development Projects-(DC Funded)
129
Run Date: Mar 12, 2020
Funding Expense
364,045
(91,01-2)
(273,033)
(364,045) 364,045
2,000,000
(1,000,000)
(500,000)
(500,000)
(2,000,000) 2,000,000
5,000,000
(2,500,000)
(1,250,000)
(1,250,000)
(5,000,000) 5,000,000
(7,364,045) 7,364,045
City of Pickering
Engineering Services Department
2020 Approved Budget
Budget Amount:
5321.2001 B -26B A-11 (Plummer) — Sandy Beach Road to Krosno Creek
$364, 045
Financing Sources:
7022 R — DC's City's Share
7610 RF DC — Roads & Related
Location and Construction:
$ 91,012
273,033
$364,045
B -26B A-11 (Plummer) Sandy Beach Road to Krosno Creek — Oversize the proposed
road from local to collector (75:25)
• 130
City of Pickering
Engineering Services Department
2020 Approved Budget
Budget Amount:
5321.2002 Highway 401 Road Crossing Design $2,000,000
Financing Sources:
7501 RF —Third Party Contribution $1,000,000
7610 RF DC - Roads & Related 500,000
7709 RF - Roads & Bridges 500,000
$2.000,000
Location and Construction:
Highway 401 Road Crossing — connecting Notion Road to Squires Beach Road, and
re -alignment of Pickering Parkway at Notion Road — design and approvals.
1.31
SUBJECT
AREA
City of Pickering
Engineering Services Department
2020 Approved Budget
Budget Amount:
5321.2004 Highway 401 Road Crossing — Land Acquisition $5,000,400
Financing Sources:
7501 RF — Third Party Contribution $2,500,000
7610 RF DC — Roads & Related 1,250,000
7709 RF — Roads & Bridges 1,250,000
$5,000,000
Location and Construction:
Land Acquisition required for road allowance purposes to facilitate the construction of the
Highway 401 road crossing connecting Notion Road to Squires Beach Road and
realignment of Pickering Parkway at Notion Road. Additional Land Acquisition will be
required in 2021.
1 9
08 Finance Dept. Summary
Expenditures
Prof/Consulting Fees
Land Acquisition & Disp
Building Related
Total Expenditures
Financing
Sale of Land
Internal Loan-10 Year
R -Rate Stabilization
RF -Third Party Contribution
RF DC -Roads & Related
Total Financing
City of Pickering
2020
Approved Capital Budget
133
Run Date: Mar 16, 2020
2019 2020
Approved Approved
Budget Budget
500,000
9,000,000 831,761
12,500,000
22,000,000 831,761
(9,000,000)
(400,000)
(2,000,000)
(10,600,000) (207,940)
(623,821)
(22,000,000) (831,761)
5203 Finance and Taxation
Expenditures
Prof/Consulting Fees
Land Acquisition & Disp
Building Related .
Total Expenditures
Financing
Sale of Land
Internal Loan-10 Year
R -Rate Stabilization
RF -Third Party Contribution
RF DC -Roads & Related
Total Financing
City of Pickering
2020
Approved Capital Budget
134
Run Date: Mar 16, 2020
2019 2020
Approved Approved
Budget Budget
. 500,000
9,000,000 831,761
12,500,000
22;000,000 831,761
(9,000,000)
(400,000)
(2,000,000)
(10,600,000) (207,940)
(623,821)
(22,000,000) (831,761)
5203 Finance and Taxation
City of Pickering
2020
Approved Capital Budget
5203.2001 Land Purchase from Metrolinx
6265 Land Acquisition & Disp
Purchase of Part Lot 21, Concession I, Pickering, being part of PIN
26330-0186 (LT) from Metrolinx, including land transfer tax and
related disbursements (75:25). Pre-budget approval (LEG-02-20).
7501 RF -Third Party·Contribution
7610 RF DC -Roads & Related
Total 5203.2001 Land Purchase from Metrolinx
Total 5203 Finance and Taxation
135
Run Date: Mar 16, 2020
Funding Expense
831,761
(207,940)
(623,821)
(831,761) 831,761
(831,761) 831,761
Fire Services Dept. Summary
Expenditures
Hardware Replacements
Machinery & Equipm.ent
Prof/Consulting Fees
Building Related -Seaton
Prof/Consult Fees -Seaton
Land Ac.quisition & Disp -Seato.n
· Miscellaneous Equipment -Seaton
Building Related
Total Expenditures
Financing
Debt -20 year
Internal Loan-10 Year
Paid from Property Taxes
R -Rate Stabilization
R -DC's City's Share
R-Major Equipment
RF -Federal Gas Tax
RF DC -Protection Services
RF -Seaton Land Grp FIA
Tota.I Financing.
Abbreviations
City of Pickering
2020
Approved Capital Budget
.
-
FS#2
FS#4
FS#5
FS#6
Fire Station #2, 553 Kingston Rd.
Fire Station #4, 4941 Old Brock Rd.
Fire Station #5, 1616 Bayly St.
Fire Station #6, 1115 Finch Ave.
136
Run Date: Mar 12, 2020
2019 2020
Approved Approved
Budget Budget
38,363
95,000
465,000
8,982,000.
445,000
1,400,000
126,209 63,104
85,000 255,000
656,209 .11,298,467
(3,327,180)
., (465,000)
(93,363)
(85,000) (70,000)
(11,125)
(165,000)
(60,000)
(560,084) (7,096,924)
(21,000)
(656,209} (11,298,467}
City of Pickering
2020 Approved Capital Budget
Projects Listing
5340 Fire Services Run Date: Mar 12, 2020
Project Name
5340 Fire Services
5340.2001 FS #2 Lighting Retrofit
5340.2007 FS #1 New Fire Station & HQ (Seaton) -Construction
5340.2008 FS #1 New Fire Station & HQ (Seaton) Bunker Gear & Breathing Apparatus Equipment
5340.2009 FS #5 Replacement -Design
5340.2012 FS '#6 Roof Access Ladder
5340.2015 FS #4 Snow Guards, Gutters & Heat Tracing
5340.2016 Fire Helmet Replacement
5340.2017 Portable Radio Battery Replacement
5340.2018 Seaton North FS -Land
5340.2019 Dispatch Crisys CAD Hardware Upgrade
Total
137
2020
Project
Budget
60,000
8,982,000
63,104
465,000
30,000
165,000
70,000
25,000
1,400,000
38,363
11,298,467
City of Pickering
2020
Approved Capital Budget
5340 Fire Services
\
5340.2001 FS #2.Lighting Retrofit
6500 Building Related
Upgrades to existing lighting at Fire Station #2 for energy efficiency.
7505 RF -Federal Gas Tax
Total 5340.2001 FS #2 Lighting Retrofit
5340.2007 FS #1 New Fire StaUon & HQ (Seaton) -Construction
1704 Debt -20 year
6400 Building Related -Seaton
Construction costs for FS #1 New Fire Station & Head Quarters
serving Seaton excluding furniture, fixtures and equipment.
Includes space for headquarters function and expanded apparatus
bay to accommodate command vehicle.
7605 RF DC -Protection Services
Total 5340.2007 FS #1 New Fire Station & HQ (Seaton) -Construe·
5340.2008 FS #1 New Fire Station & HQ (Seaton) Bunker Gear & Bn
64 78 Miscellaneous Equipment -Seaton
Equipment for 3 firefighters including bunker gear and breathing
apparatus equipment for FS #1 New Fire Station & HQ (Seaton).
7605 RF DC -Protection Services
Total 5340.2008 FS #1 New Fire Station & HQ (Seaton) Bunker Ge~
5340.20Q9 FS #5 Replacement -Design
1712 Internal Loan-10 Year
6230 Prof/Consulting Fees
Design consulting services required for the replacement of Fire
Station #5. Includes fees for designated substance survey,
abatement allowance, required testing and inspection costs. Fire
Station #5 was originally constructed in 1964 and is at end of its
serviceable life.
Total 5340.2009 FS #5 Replacement -Design
5340.2012 FS #6 Roof Access Ladder
2823 Paid from Property Taxes
6500 Building Related
Permanent roof access ladder at Fire Station #6.
Total 5340.20.12 FS #6 Roof Access Ladder
5340.2015 FS #4 Snow Guards, Gutters & Heat Tracing
138
Run Date: .Mar 12, 2020
Funding Expense
60,000
(60,000)
(60,000) 60,000
(2,767,180)
8,982,000
(6,214,820)
(8,982,000) 8,982,000
63,104
(63,104) ·
(63,104) 63,104
(465,000)
465,000
(465,000) 465,000
(30,000)
30,000
(30,000) 30,000
City of Pickering
2020
Approved Capital Budget
5340 Fire Services
6500 Building Related
Replace existing snow guard, gutters and install new heat tracing
cables to protect roof edges at Fire Station #4. The existing
components were installed in 1997 and are at end of life.
7062 R -Major Equipment
Total 5340.2015 FS #4 Snow Guards, Gutters & Heat Tracing
5340.2016 Fire Helmet Replacement
6178 Machinery & Equipment
Lifecycle replacement of fire helmets.
7021 R -Rate Stabilization
Total 5340.2016 Fire Helmet Replacement
5340.2017 Portable Radio Battery Replacement
2823 Paid from Property Taxes
6178 Machinery & Equipment
Lifecycle replacement of portable radio batteries.
Total 5340.2017 Portable Radio Battery Replacement
5340.2018 Seaton North FS -Land
1704 Debt -20 year
. 6465 Land Acquisition & Disp -Seaton
Purchase of land for Seaton North Fire Station including registration
fees, land transfer tax and related disbursements.
7605 RF DC -Protection Services
7713 RF -Seaton Land Grp FIA
Total 5340.2018 Seaton North FS -Land
5340.2019 Dispatch Crisys CAD Hardware Upgrade
2823 Paid from Property Taxes
6175 Hardware Replacements
Dispatch Crisys CAD Hardware Upgrade. Pickering Share of 49.5%
is cost shared with Ajax.
Total 5340.2019 Dispatch Crisys CAD Hardware Upgrade
Total 5340 Fire Services
139
Run Date: Mar 12, 2020
Funding Expense
165,000
(165,000)
(165,000) 165,000
70,000
(70,000)
(70,000) 70,000
(25,000)
25,000
(25,000) 25,000
(560,000)
1,400,000
(819,000)
(21,000)
(1,400,000) 1,400,000
(38,363)
38,363
!
(38,363) 38,363
(11,298,467) 11,298,467
City of Pickering
2020 Approved Budget
Fire Services Department
Budget Amount:
5340.2018 Seaton North Fire Station — Land Purchase
Financing Sources:
1704 Debt -- 20 year $560,000
7605 RF DC — Protection Services 819,000
7713 RF — Seaton Land Group FIA 21,000
$1.400.000
$1,400,000
Location and Construction:
Proposed location on Highway #7 — Purchase of land for Seaton North Fire Station
including registration fees, land transfer tax and related disbursements.
1
441
City of Pickering
2020
Approved Capital Budget
Human Resources Dept. Summary
Expenditures
System & Software Upgrade
Total Expenditures
Financing
R -Rate Stabilization
RF DC -Growth Studies
Total Financing
141
Run Date: Mar 12, 2020
2019 2020
Approved Approved
Budget Budget
480,000
480,000
(293,000)
(187,000)
(480,000) .
5139 Human Resources
5139.2001 Phase Two HR System
6174 System & Software Upgrade
City of Pickering
2020
Approved Capital Budget
Success Factors -Recruiting & Onboarding module. Cloud-based
software which will streamline and manage a centralized recruiting
process. The software will assist with sourcing and reviewing
candidate experience and tracking applications.
7021 R -Rate Stabilization
7601 RF DC -Growth Studies
Total 5139.2001 Phase Two HR System
Total 5139 Human Resources
142
Run Date: Mar l2, 2020
Funding Expense
480,000
(293,000)
(187,000)
(480,000) 480,000
(480,000) 480,000
Library Summary
Expenditures
Furniture & Fixtures
· Hardware Replacements
Book Collection Material
Accessibility
Building Related
Total Expenditures
Fin;:mcing
Federal Grants
Paid from Property Taxes
R -DC's City's Share
RF.DC -Library
Total Financing
Abbreviations
City of Pickering
2020
Approved Capital Budget
I
PCL
GAL
CL
PHCC
Pickering Central Library, One The Esplanade
George Ashe Library, 470 Kingston Rd.
Claremont Library, 4941. Old Brock Rd.
Pickering Heritage & Community. Centre
143
Run Date: Mar 12, 2020
2019 2020
Appr.oved Approved·
Budget . Budget
82,000. 10,000
14,000 15,000
297,000 305,000
308,000
. 3,668,292
4,369,292 330,000
(1,984,146)
(401 ,'000) (330,000)
(198,415)
(1,785,731)
(4,369,292) (330,000)
City of Pickering
2020
Approved Capital Budget
5800 Library
5800.2001 Collection Materials
2823 Paid from Property Taxes
6179 Book Collection Material
Library materials cover the following: Books, movies, music and
other types of materials along with their processing and packaging.
This budget is based on a formula which includes community
demand, material costs and industry norms.
Total 5800.2001 Collection Materials
5800.2002 Talking Tech Server Upgrade
2823 Paid from Property Taxes
6175 Hardware Replacements
Replacement of server that runs the telephone notification and call
in renewals information for the library that is outdated and runs on
outdated software posing a security risk.
Total 5800.2002 Talking Tech Server Upgrade
5800.2003 Outdoor Drop Box
2823 Paid from Property Taxes
6173 Furniture & Fixtures
Central Library outdoor drop box for use when while Glennana
Road is closed for construction due to City Centre project relocation
of services.
Total 5800.2003 Outdoor Drop Box
Total 5800 Library
144
Run Date: Mar 12, 2020
Funding Expense
(305,000)
305,000
(305,000) 305,000
(15,000)
15,000
(15,000) 15,000
(10,000)
10,000
(10,000) 10,000
(330,000) 330,000
City of Pickering
2020 Capital Budget & 2021 - 2024 Forecast
Organization Run Date: Mar 11, 2020
2020 i 2021 t 2022 - 2024 Total
Budget Forecast Forecast
Expenditures
j i
Mayor & Council
$70,000
I $70,000
Office of the CAO
$187,311,000
1 187,311,000
City Development
552,000
500,000 ; 1,052,000
Community Services Dept. - Facilities
12,082,000 1 37,798 817 121,361,000 171,241,817
Community Services Dept. - Public Works
' 8,418,632
13,465,000 ( 36,588,700 58,472,332
Corporate Services Dept.
-10,308,500 177,000 860,000
' 11,345,500
Engineering Dept.
13,261,645 j 24,438,000 101,915,946
139,615,591
Finance Dept.
;
831,761 {
831,761
Fire Services Dept.
j
12,298,467 7,537 105 1 9,000,869
28,836,441
Human Resources Dept.
1
480,000 290,000
I 770,000
Library '
375,000 11,501,931 17,965,798
29,842,729
Total Expenditures
245,919,005 95,707,853 % 287,762,313
629,389,171
Financing
Donations
2,250,000 200,000 1 2,450,000
Sale of Land
j 2,000,000 2,000,000
Federal Grants
950,000
- 4,000 000 1 4,950,000
Provincial Grants
Debt
I
109,183,580
1 27,540,115: 93,622,385
i 230,346,080
Internal Loan
1,406,000
3,274,250 8,242,640
12,922,890
Paid from Property Taxes
736,363 2,846,200 - 3,759,500
; 7,342,063
AIP it Special Levy
Rate Stabilization Reserve
1,527,200
177,000
1,704,200
DC City's Share Reserve
182,012
5,589,228
f 23,696,488 1 29,467,728
Community Benefit Charge Reserve
20,017 487 ` • 70,583,687 1 90,601,174
Other Reserves
5,307,760
1,740,000 ; 5,019,169 1 12,066,929
Reserve Fund - 3rd Party Contributions
3,932,940
2,911,279 € 27,100,000 1 33,944,219
Reserve Fund - Parkland
970,000
984,099 ' 1,455,000 1 3,409,099
Reserve Fund - Federal Gas Tax
4,713,000
2,682,575 t - 10,016,000 ' 17,411,575
Reserve Fund OCIF Grant
850,000
+
850,000
Reserve Fund - Building Permit Stabilization
552,000
500,000 f
1,052,000
Reserve Fund - Roads & Bridges
2,350,000
3,025,000
4,075,000 ; 9,450,000
Reserve Fund - Stormwater Mgmt.
750,000
2,488,628 3,238,628
Reserve Fund - DC Growth Studies
187,000 _
1 187,000
Reserve Fund - DC Fire Protection
13,322,664
145,980
6,580,619 20,049,263
Reserve Fund - DC Roads & Related
3,386,854
6,240,725
22,510,770
32,138,349
Reserve Fund - DC Storm Water
124,286
692,558
816,844
Reserve Fund - DC Other Services Related to a Highway
495,000 500,000
4,665,000
5,660,000
Reserve Fund - DC Parks & Recreation Services
71,214,966 155,000 !
71,369,966
Reserve Fund - DC Library
21,984,870 7,113,247 ' - ( 29,098,117
Other Reserve Funds
416,796 ' 5,546,382E 899,869 1 6,863,047
Total Financing
245,919,005 ' 95,707,853 287,762,313 ; 629,389,171
145
Capital Forecast Financing
By Source
$250,000,000
$200,000,000
$150,000,000
$100,000,000
$50,000,000
$0
**
i1 1
2020 2021 2022 2023 2024
• Grants
• Paid from Property Taxes
• Federal Gas Tax
• Debt
Reserves/Other Sources
* The large increase in 2020 budget is primarily due to the design,
construction and landscaping costs of the New City. Centre.
** The large increase in 2023 forecast is mainly due to the construction of
the Seaton Recreation/Library Centre.
146
Mayor & Council Summary
Expenditures
6175 Hardware Replacements
Total Expenditures
Financing
2823 Paid from Property Taxes
Total Financing
City of Pickering
Multi-Year Capital Forecast
2021 -2024
2021
Forecast
147
Run Date: Mar 12, 2020
2022 2023 2024
Forecast Forecast Forecast
70,000
70,000
(70,000)
(70,000)
5111 Mayor
Expenditures
6175 Hardware Replacements
Total Expenditures
Financing
2823 Paid from Property Taxes
Total Financing
City of Pickering
Multi-Year Capital Forecast
2021 -2024
2021
Forecast
148
Run Date: Mar 12, 2020
2022 2023 2024
Forecast Forecast Forecast
10,000
10.000
(10,000)
{10,000)
5111 Mayor
5111.2301 Computer Equipment Mayor
2823 Paid from Property Taxes
6175 Hardware Replacements
City of Pickering
2023
Capital Forecast
As per Council Compensation & Communication Policy (Subsection ·
12.1), $10,000 is provided for computer hardware, software and
telecommunications per term. As per the policy, these funds can
only be spent during the first 40 months of office.
Total 5111.2301 Computer Equipment Mayor
Total 5111 Mayor
149
Run Date: Mar 12, 2020
Funding Expense
(10,000)
10,000
(10,000) 10,000
(10,000) 10,000
5113 Council
Expenditures ' .
6175 Hardware Replacements
Total Expenditures
Financing
2823 Paid from Property Taxes
Total Financing
City of Pickering
Multi-Year Capital Forecast
2021 -2024
2021
Forecast
150
Run Date: Mar 12, 2020
2022 2023 2024
Forecast Forecast Forecast
6Q,000
60 000
(60,000)
(60,000)
City of Pickering
2023
Capital Forecast
5113 Council
5113.2301 Computer Equip Reg. Coun. Ward 1
2823 Paid from Property Taxes
6175 Hardware Replacements
As per Council Compensation & Communication Policy (Subsection
12.1), $10,000 is provided for computer hardware, software and
telecommunications per term. As per the policy, these funds can
only be spent during the first 40 months of office.
Total 5113.2301 Computer Equip Reg. Coun. Ward 1
5113.2302 Computer Equip Reg. Coun. Ward 2
2823 Paid from Property Taxes
6175 Hardware Replacements
As per Council Compensation & Communication Policy (Subsection
12.1), $10,000 is provided for computer hardware, software and
telecommunications per term. As per the policy, these funds can
only be spent during the first 40 months of office.
Total 5113.2302 Computer Equip Reg. Coun. Ward 2
5113.2303 Computer Equip Reg. Coun. Ward 3
2823 Paid from Property Taxes
6175 Hardware Replacements
As per Council Compensation & Communication Policy (Subsection
12.1), $10,000 is provided for computer hardware, software and
telecommunications per term. As per the policy, these funds can
only be spent during the first 40 months of office.
Total 5113.2303 Computer Equip Reg. Coun. Ward 3
5113.2304 Computer Equip City Coun. Ward 1
2823 Paid from Property Taxes
6175 Hardware Replacements
As per Council Compensation & Communication Policy (Subsection
12.1), $10,000 is provided for computer hardware, software and
telecommunications per term. As per the policy, these funds can
only be spent during the first 40 months of office.
Total 5113.2304 Computer Equip City Coun. Ward 1
5113.2305 Computer Equip City Coun. Ward 2
2823 Paid from Property Taxes
6175 Hardware Replacements
151
Run Date: Mar 12, 2020
Funding Expense
(10,000)
10,000
(10,000) 10,000
(10,000)
10,000
(10,000) 10,000
(10,000)
10,000
(10,000) 10,000
(10,000)
10,000
(10,000) 10,000
(10,000)
10,000
5113 Council
City of Pickering
2023
Capital Forecast
As per Council Compensation & Communication Policy (Subsection
12.1), $10,000 is provided for computer hardware, software and
telecommunications per term. As per the policy, these funds can
only be spent during the first 40 months of office.
Total 5113.2305 Computer Equip City Coun. Ward 2
5113.2306 Computer Equip City Coun. Ward 3
2823 Paid from Property Taxes
6175 Hardware Replacements
As per Council Compensation & Communication Policy (Subsection
12.1), $10,000 is provided for computer hardware, software and
telecommunications per term. As per the policy, these funds can
only be spent during the first 40 months of office.
Total 5113.2306 Computer Equip City Coun. Ward 3
Total 5113 Council
152
Run Date: Mar 12, 2020
Funding Expense
(10,000) 10,000
(10,000)
10,000
(10,000) 10,000
(60,000) 60,000
City of Pickering
Multi-Year Capital Forecast
2021 -2024
City Development Dept. Summary
2021
Forecast
Expenditures
6174 System & Software Upgrade 500,000
Total Expenditures 500 000
Financing
7506 RF -Building Permit (500,000)
Total Financing (500,000)
153
Run Date: Mar 12, 2020
2022 2023 2024
Forecast Forecast Forecast
5612 Building Services
Expenditures
6174 System & Software Upgrade
Total Expenditures
Financing
7506 RF -Building Permit
Total Financing
City of Pickering
Multi-Year Capital Forecast
2021 -2024
2021
Forecast
500,000
500 000
(500,000)
{500,000)
154
Run Date: Mar 12, 2020
2022 2023 2024
Forecast Forecast Forecast
5612 Building Services
City of Pickering
2021
Capital Forecast
5612.2101 E-Permitting Software -Phase 2
6174 System & Software Upgrade
Implementation of E-permitting software (EPS) to expedite the
collection of taxes, allow developers to obtain timely approvals to
begin construction, and assist in the collection and tracking of
various development charges in accordance to Bill 108. Phase 2
allows the continued integration and expansion to other
departments such as Fire, Planning, and Engineering to assist and
improve upon their application processes.
7506 RF -Building Permit
Total 5612.2101 E-Permitting Software -Phase 2
· Total 5612 Building Services
155
Run Date: Mar 12, 2020
Funding Expense
500,000
(500,000)
(500,000) 500,000
(500,000) 500,000
Facilities Summary
Expenditures
6129 Parks -Landscape Refurbishment
6149 Restoration -Museum Bldg
6173 Furniture & Fixtures
6178 Machinery & Equipment
6183 Accessibility
6230 Prof/Consulting Fees
6400 Building Related -Seaton
6430 Prof/Consult Fees -Seaton
6500 Building Related
Total Expenditures
Financing
1592 Donations
1594 Sale of Land
1610 Federal Grants
1701 Debt-5 Year
1702 Debt-10 Year
1703 Debt -15 Year
1704 Debt -20 year
1711 Internal Loan " 5 Year
1712 Internal Loan-10 Year
2823 Paid from Property Taxes
7034 R -R/Cmplex Core Surcharge
7035 R -R/Cmplx Pool Surcharge
7036 R -R/Cmplx Arena Surcharge
7062 R -Major Equipment
7067 R -Artwork
City of Pickering
Multi-Year Capital Forecast
2021 -2024
2021
Forecast
515,000
195,000
25,000
155,000
900,000
760,750
11,794,642
23,408,425
37.753 817_
(3,081,580)
(335,000)
(12,543,965)
(2,273,250)
(136,000)
(1,097,000)
(25,000)
(110,000)
(50,000)
7069 R -Community Benefit Charge Reserve (15,410,199)
7505 RF -Federal Gas Tax (212,000)
7713 RF -Seaton Land Grp FIA (2,479,823)
Total Financing (37,753,817)
156
Run Date: Mar 12, 2020
2022 2023 2024
Forecast Forecast Forecast
230,000 400,000 775,000
505,000 25,000 560,000
45,000 45,000
1,100,000
4,500,000 245,000 450,000
67,0_00,000 1,000,000
2,167,000 36,877,000 5,392,000
7 447.000 105.692 000 8 177 000
(200,000)
(2,000,000)
(250,000) (372,000) (3,292,000)
-(360,000) (2,175,000) (2,635,000}
(32,120,000)
(4,925,000) (14,086,750)
(1,030,000) (1,228,000) (1,585,000)
(100,000)
(257,000) (567,000) (240,000)
(45,000) (70,000)
(70,000)
(40,000) (55,000)
(52,913,250)
(440,000) (230,000) (30,000)
(7,447,000) (105,692,000) (8,177,000)
5700 Civic Complex
Expenditures
6173 Furniture & Fixtures
6183 Accessibility·
6230 Prof/Consulting Fees
6500 Building Related
Total Expenditures
Financing
1703 Debt-15 Year
1704 Debt -20 year
1711 Internal Loan -5 Year
2823 Paid from Property Taxes
7505 RF -Federal Gas Tax
Total Financing
City of Pickering
Multi-Year Capital Forecast
2021 -2024
2021
Forecast
25,000
386,250
170,000
581 250
(386,250)
(25,000)
(170,000)
(581,250)
157
Run Date: Mar 12, 2020
2022 2023 2024
Forecast Forecast Forecast
25,000 25,000 560,000
1,000,000
4,000,000
. 31,120,000
4 025 000 32145 000 560 000
(32,120,000)
(4,000,000)
(560,000)
(25,000) (25,000)
(4,025,000) (32,145,000) (560,000)
5700 Civic Complex
City of Pickering
2021
Capital Forecast
5700.2101 Air Handling Units -SF3 + RF3 Replacement
6500 Building Related
Lifecycle replacement of supply fan SF-3 and return fan RF-3
serving the council chambers in city hall, including controls
upgrade. Both are original equipment installed in 1990.
7505 RF -Federal Gas Tax
Total 5700.2101 Air Handling Units -SF3 + RF3 Replacement
5700.2102 Civic Complex Renovations and Addition -Concept
1711 Internal Loan -5 Year
6230 Prof/Consulting Fees
Preliminary investigations and concept design for renovations to the
Civic Complex following completion of the City Centre buildings.
Includes renovations to existing City Hall and Library, plus the
addition of a new common lobby addition to link both sides of the
building into a single whole. Concepts must address how the Civic
Complex will respond to its changing surroundings, including the
City Centre and other developments.
Total 5700.2102 Civic Complex Renovations and Addition -Gonce
5700.2104 Workstations, Partitions, Tables, Shelving
2823 Paid from Property Taxes
6173 Furniture & Fixtures
Replacement of original and worn furniture, some over 25 years old.
Spare parts are no longer available as original furniture
manufacturer is no longer in business. Includes replacement of
existing furniture in poor repair.
Total 5700,2104 Workstations, Partitions, Tables, Shelving
Total 5700 Civic Complex
158
Run Date: Mar 12, 2020
Funding Expense
170,000
(170,000)
(170,000) 170,000
(386,250)
386,250
(386,250) 386,250
{25,000)
25,000
(25,000) 25,000
(581,250) 581,250
5700 Civic Complex
City of Pickering
2022
Capital Forecast
5700.2201 Civic Complex Renovations and Addition -Design
1704 Debt -20 year
6230 Prof/Consulting Fees
Design and consulting budget for overall renovations to the Civic
Complex, including a new enclosed lobby and consolidated service
area on the ground floor between the existing city hall and library.
This project will include renovations to major building areas and
systems, and incorporate lifecycle replacement of many aging
interior and exterior building components and finishes.
Total 5700.2201 Civic Complex Renovations and Addition -Desigr
5700.2204 Workstations, Partitions, Tables, Shelving
2823 Paid from Property Taxes
6173 Furniture & Fixtures
Replacement of original and worn furniture, some over 25 years old.
Spare parts are no longer available as original furniture
manufacturer is no longer in business. Includes replacement of
existing furniture in poor repair.
Total 5700.2204 Workstations, Partitions, Tables, Shelving
Total 5700 Civic Complex
159
Run Date: Mar 12, 2020
Funding Expense
(4,000,000)
4,000,000
(4,000,000) 4,000,000
(25,000)
25,000
(25,000) 25,000
(4,025,000) 4,025,000
5700 Civic Complex
City of Pickering
2023
Capital Forecast
5700.2301 Civic Complex Renovations and Addition -Construction
1703 Debt-15 Year
6183 Accessibility
6500 Building Related
Construction budget for overall renovations to the Civic Complex,
including a new enclosed lobby and consolidated service area on
the ground floor between the existing city hall and library. This
project will include renovations to major building areas and
systems, and incorporate lifecycle replacement of many aging
interior and exterior building components and finishes.
Total 5700.2301 Civic Complex Renovations and Addition -Const,
5700.2302 Workstations, Partitions, Tables, Shelving
2823 Paid from Property Taxes
6173 Furniture & Fixtures
Replacement.of original and worn furniture, some over 25 years old.
Spare parts are no longer available as original furniture
manufacturer is no longer in business. Includes replacement of
existing furniture in poor repair.
Total 5700.2302 Workstations, Partitions, Tables, Shelving
Total 5700 Civic Complex
160
Run Date: Mar 12, 2020
Funding Expense
(32,120,000)
1,000,000
31,120,000
(32,120,000) 32,120,000
(25,000) .
25,000
(25,000) 25,000
(32,145,000) 32,145,000
5700 Civic Complex
City of Pickering
2024
Capital Forecast
5700.2401 Civic Complex Renovations and Addition -FF&E
1711 Internal Loan - 5 Year
6173 Furniture & Fixtures
Furniture, fixtures and equipment for Civic Complex Renovations
and Addition.
Total 5700.2401 Civic Complex Renovations and Addition -FF&E
Total 5700 Civic Complex ·
1 61
Run Date: Mar 12, 2020
Funding Expense
(560,000)
560,000
(560,000) 560,000
(560,000) 560,000
5701 Senior Citizens Centre
Expenditures
6230 Prof/Consulting Fees
6500 Building Related
Total Expenditures
Financing
1594 Sale of Land
1701 Debt -5 Year
Total Financing
City of Pickering
Multi-Year Capital Forecast
2021 -2024
2021
Forecast
162
Run Date: Mar 12, 2020
2022 2023 2024
Forecast Forecast Forecast
250,000
2,000,000
250 000 2,000 000
(2,000,000)
(250,000)
(250,000) (2,000,000)
5701 Senior Citizens Centre
City of Pickering
2022
Capital Forecast
5701.2203 ESCC Remediation.& Decommissioning -Design ·
1701 Debt - 5 Year
6230 Prof/Consulting Fees
East Shore Community Centre demolition & remediation plan,
excluding lawn bowling club, shed and greens.
Total 5701.2203 ESCC Remediation & Decommissioning -Design
Total 5701 Senior Citizens Centre
163
Run Date: Mar 12, 2020
Funding Expense
(250,000)
250,000
(250,000) 250,000
(250,000) 250,000
5701 Senior Citizens Centre
City of Pickering
2023
Capital Forecast
5701.2301 ESCC Remediation & Decommissioning -Construction
1594 Sale of Land
6500 Building Related
East Shore Community Centre demolition & remediation plan,
excluding lawn bowling club, shed and greens.
Total 5701.2301 ESCC Remediation & Decommissioning -Constru
Total 5701 Senior Citizens Centre
164
Run Date: Mar 12, 2020
Funding Expense
(2,000,000)
2,000,000
(2,000,000) 2,000,000
(2,000,000) 2,000,000
5713 Dunbarton Pool
Expenditures .
6230 Prof/Consulting Fees
6500 Building Related
Total Expenditures
Financing
1711 Internal Loan -5 Year
2823 Paid from Property Taxes
Total Financing
City of Pickering
Multi-Year Capital Forecast
2021 -2024
2021
Forecast
25,000
15,000
40 000
(40,000)
(40,000)
165
Run Date: Mar 12, 2020
2022 2023 2024
Forecast Forecast Forecast
150,000 32,000
150,000 32 000
(150,000)
(32,000)
(150,000) (32,000)
5713 Dunbarton Pool
City of Pickering
2021
Capital Forecast
5713.2101 Basement Dressing Room Renewal -Design
2823 Paid from Property Taxes
6230 Prof/Consulting Fees
Lifecycle replacement of lockers, finishes, benches and saunas in
two ba.sement dressing rooms. Design & testing only:
Total 5713.2101 Basement Dressing Room Renewal -Design
5713.2102 Pool Controller Replacements
2823 Paid from Property Taxes
6500 Building Related
Lifecycle replacement of pool equipment controllers: Existing units
were installed in 2011.
Total 5713.2102 Pool Controller Replacements
Total 5713 Dunbarton Pool
166
Run Date: Mar 12, 2020
Funding Expense
(25,000)
25,000
(25,000) 25,000
(15,000)
15,000
(15,000) 15,000
(40,000) 40,000
5713 Dunbarton Pool
'
City of Pickering
2022
Capital Forecast
5713.2201 Basement Dressing Room Renewal -Construction
1711 Internal Loan -5 Year
6500 Building Related
Lifecycle replacement of lockers, finishes, benches and saunas in
two basement dressing rooms.
Total 5713.2201 Basement Dressing Room Renewal -Constructio1
Total 5713 Dunbarton Pool
167
Run Date: Mar 12, 2020
Funding Expense
(150,000)
150,000
(150,000) 150,000
(150,000) 150,000
5713 Dunbarton Pool
City of Pickering
2023
Capital Forecast
5713.2301 Circulating Pump Replacements
2823 Paid from Property Taxes
6500 Building Related
Lifecycle replacement of pool circulating pumps. The existing units
were installed in 2009.
Total 5713.2301 Circulating Pump Replacements
Total 5713 Dunbarton Pool
168
Run Date: Mar 12, 2020
Funding Expense
(32,000)
32,000
(32,000) 32,000
(32,000) n,ooo
5715 Don Beer Arena
Expenditures
6178 Machjnery & Equipment
6500 Building Related
Total Expenditures
Financing
1711 Internal Loan -5 Year
7062 R -Major Equipment
Total Financing
I,
City of Pickering
Multi-Year Capital Forecast
2021 -2024
2021
Forecast
. 110,000
120,000
230 000
(120,000)
(110,000)
(230,000)
169
"Run Date: Mar 12, 2020
2022 2023 2024
Forecast Forecast Forecast
5715 Don Beer Arena
Expenditures
6178 Machinery & Equipment
6500 Building Related
Total Expenditures
Financing
1711 Internal Loan -5 Year
7062 R -Major Equipment
Total Financing
City of Pickering
Multi-Year Capital Forecast
2021 -2024
2021
Forecast
110,000
120,000
230 000
(120,000}
(110,000)
(230,000)
169
'Run Date: Mar 12, 2020
2022 2023 2024
Forecast Forecast Forecast
5715 Don Beer Arena
City of Pickering
2021
Capital Forecast
5715.2101 Parking 'Lot Repairs & Line Painting
1711 Internal Loan -5 Year
6500 Building Related
Localized resurfacing and repairs to the fire route and parking lot,
including line painting and associated work.
Total 5715.2101 Parking Lot Repairs & Line Painting
5715.2102 Ice Resurfacer Replacement
6178 Machinery & Equipment
Lifecycle replacement of Ice Resurfacer (Vehicle #751) with
excessive service hours. The unit was purchased in 2013.
7062 R -Major Equipment
Total 571.5.2102 Ice Resurfacer Replacement
Total 5715 Don Beer Arena
170
Run Date: Mar 12, 2020
Funding Expense
(120,000)
120,000
(120,000) 120,000
110,000
(110,000)
(110,000) 110,000
(230,000) 230,000
City of Pickering
Multi-Year Capital Forecast
2021 -2024
5719 Community Centres Run Date: Mar 12, 2020
2021 2022
Forecast Forecast
Expenditures
6173 Fu.rniture & Fixtures 480,000
6183 Accei,sibility 900,000
6230 Prof/Consulting Fees 52,000 50,000
6500 Building Related 21,183,425 520,000
Total Expenditures 22,135 425 1 050 000
Financing
161 0 Federal Grants (3,081,580)
1701 Debt -5 Year
1702 Debt -10 Year (360,000)
1704 Debt -20 year (12,543,965)
1711 Internal Loan -5 Year . (129,000) (480,000)
. 2823 Paid from Property Taxes (285,500} · (70,000)
7069 R -Community Benefit Charge Reserve ! (6,095,380)
7505 RF -Federal Gas Tax · (140,000)
Total Financing (22,135,425) (1,050,000)
Abbreviations
Brougham Hall Community Centre, 3590 Mowbray St.
Greenwood Community Centre, 3551 Greenwood Rd.
Mt. Zion Community Centre, 4230 Sideline 6
2023
Forecast
170,000
525,000
695 000
(46_0,000)
(50,000)
(185,000)
(695,000)
BHCC
GWCC
MZCC
GALCC
TC_C
MZCC
wscc
wvcc
George Ashe Library arid Community Centre, 470 Kingston Rd.
Dr. Nelson F. Tomlinson Community Centre, 4941 Old Brock Rd.
Mt. Zion Community Centre, 4230 Sideline 6
. WACC
PHCC
West Shore Community Centre, 1011-1015 Bayly St.
Whitevale Community Centre, 405 Whitevale Rd.
Whitevale Arts & Culture Centre, 475 Whitevale Road
Pickering Heritage & Community Centre.
171
2024
Forecast
790,000
790,000
(660,000)
(100,000)
(30,000)
(790,000)
5719 Community Centres
City of Pickering
2021
Capital Forecast
5719.2101 Pickering Heritage & Community Centre -Construction
1610 Federal Grants
CCSF (Canada Cultural Spaces Fund) Grant
1704 Debt -20 year ·
6183 Accessibility
6500 Building Related
Construction of new Pickering Heritage & Community Centre and
associated site works. Project scope includes Schoolhouse
relocation and new foundation, Harvey House relocation and new
foundation, site security improvements and retaining wall, guard
and handrail repairs, provision of new gas service, temporary
facilities during construction, land clearing, replanting and related ·
costs. All related works have been combined for greater efficiency.
Library funding for this project is listed separately in section 5800.
7069 R -Community Benefit Charge Reserve
The revenue is an estimate at this cur.rent time. The Provincial
legislation for the calculation for the Community Benefit Charge
(CBC) is not available and there is a risk that the CBC revenue
could be substantially lower than current DC fees for soft services.
Total 5719.2101 Pickering Heritage & Community Centre -Constri
5719.2102 Mt.Zion Masonry Restoration
2823 Paid from Property Taxes
6500 Building Related
Exterior heritage masonry restoration.
Total 5719.2102 Mt.Zion Masonry Restoration
5719.2106 GWCC Parking Lot Repairs
1711 Internal Loan -5 Year
6500 Building Related '
Resurface parking lot and driveway at end of life at Greenwood
Community Centre, including line painting and drainage repairs.
Total 5719.2106 GWCC Parking Lot Repairs
5719.2107 GALCC Alarm System Upgrades
2823 Paid from Property Taxes
6500 Building Related
Lifecycle upgrades to existing fire and security alarm system
hardware at the George Ashe Library and Community Centre.
Total 5719.2107 GALCC Alarm System Upgrades
. 172
Run Date: Mar 12, 2020
Funding Expense
(3,081,580)
(12,543,965)
900,000
20,820,925
(6,095,380)
(21,720,925) 21,720,925
(90,000)
90,000
(90,000) 90,000
(129,000)
129,000
(129,000) 129,000
(51,500)
51,500
(51,500) 51,500
5719 Community Centres·
City of Pickering
2021
Capital Forecast
5719.2108 GALCC East Wall Replacement Design
2823 Paid from Property Taxes
6230 Prof/Consulting Fees
Reconstruction of the east exterior wall at the George Ashe Library
and Community Centre, including re-grading, walkway repairs,
window replacements, roofing, roof screens, and drainage repairs
required to address ongoing water infiltration. Design and testing
only.
Total 5719.2108 GALCC East Wall Replacement Design
5719.2109 TCC Stage Replacement
2823 Paid from Property Taxes
6500 Building Related
Lifecycle replacement of existing wood floor on gym stage and
adjacent stairs. Originally installed in 1997.
Total 5719.2109 TCC Stage Replacement
5719.2110 TCC Kitchen Retrofit
2823 Paid from Property Taxes
6500 Building Related
Lifecycle replacement of existing kitchen counters, flooring and
appliances, including upgrades to exhaust systems. Originally
installed in 1997.
Total 5719.2110 TCC Kitchen Retrofit
Total 5719 Community Centres
173
Run Date: Mar 12, 2020
Funding Expense
(52,000)
52,000
(52,000) 52,000
(27,000)
27,000
(27,000) 27,000
(65,000)
65,000
(65,000) 65,000
(22,135,425) 22,135,425
5719 Community Centres
5719.2201 GALCC RTU-3 Replacement .
6500 Building Related
City of Pickering
2022
Capital Forecast
Lifecycle replacement of youth room air conditioning unit and
controls at the George Ashe Library and Community Centre. The
unit is original, installed in 2000.
7505 RF -Federal Gas Tax
Total 5719.2201 GALCC RTU-3 Replacement
5719.2203 GALCC RTU-2 Replacement
6500 Building Related
Lifecycle replacement of seniors room air conditioning unit and
controls at the George Ashe Library and Community Centre. The
unit is original, installed in 2000.
7505 RF -Federal Gas Tax
Total 5719.2203 GALCC RTU-2 Replacement
5719.2205 GALCC East Wall Replacement -Construction
1702 Debt-10 Year
6500 Building Related
Reconstruction of the east exterior wall at the George Ashe Library
and Community Centre, including re-grading, walkway repairs,
window replacements, roofing, roof screens, and drainage repairs
required to address ongoing water infiltration.
Total 5719.2205 GALCC East Wall Replacement -Construction
5719,2206 GALCC Parking Lot Resurfacing -Design
2823 Paid from Property Taxes
6230 Prof/Consulting Fees
. Consulting budget for resurfacing of the existing parking lot at
GALCC. Includes pre-construction testing & inspection.
Total 5719.2206 GALCC Parking Lot Resurfacing -Design
5719.2207 Pickering Heritage & Community Centre -FF&E
1711 Internal Loan -5 Year
· 6173 Furniture & Fixtures
Furniture, fixtures and equipment for the new Pickering Heritage &
Community Centre. Additional FF&E budget for this project also
appears in 5800.
Total 5719.2207 Pickering Heritage & Community Centre -FF&E
5719.2208 GALCC Convert Lighting to LED -Design
174
Run Date: Mar 12, 2020
Funding Expense
45,000
(45,000)
(45,000) 45,000
95,000
(95,000)
(95,000) 95,000
(360,000)
360,000
(360,000) . 360,000
(50,000)
50,000
(50,000) 50,000
(480,000)
480,000
(480,000) 480,000
5719 Community Centres
2823 Paid from Property Taxes
6500 Building Related
City of Pickering
2022
Capital Forecast
Design to convert existing interior and exterior light fixtures to LED.
Existing poles and bases will be retained.
Total 5719.2208 GALCC Convert Lighting to LED -Design
Total 5719 Community Centres
175
Run Date: Mar 12, 2020
Funding Expense
(20,000)
20,000
(20,000) 20,000
(1,050,000) 1,050,000
City of Pickering
2023
Capital Forecast
5719 Community Centres
5719.2301 GALCC Parking Lot Resurfacing -Construction
1711 Internal Loan -5 Year
6500 Building Related
Lifecycle replacement of top coat asphalt, including curb repairs,
line painUng, sidewalk and ramp repairs.
Total 5719.2301 GALCC Parking Lot Resurfacing -Construction
5719.2302 GALCC Convert Exterior Lighting to LED
6500 Building Related
Convert existing interior and exterior light fixtures to LED.
poles and bases will be retained.
Existing
7505 RF -Federal Gas Tax
Total 5719.2302 GALCC Convert Exteriqr Lighting to LED
5719.2303 WSCC Renovation -Design·
2823 Paid from Property Taxes
6230 · Prof/Consulting Fees
Renovations to address various aging building systems and
finishes reaching end of life. Design and testing only.
Total 5719.2303 WSCC Renovation -Design
5719.2304 GWCC Remediation and Demolition -Design
1711 Internal Loan -5 Year
6230 Prof/Consulting Fees
Greenwood Community Centre demolition & remediation plan.
Design and testing only.
Total 5719.2304 GWCC Remediation and Demolition -Design
Total 5719 Community Centres
176
Run Date: Mar 12, 2020
· Funding Expense
(340,000)
340,000
(340,000) 340,000
185,000
(185,000)
(185,000) 185,000
(50,000)
50,000
(50,000) 50,000
(120,000)
120,000
(120,000) 120,000
(695,000) 695,000
City of Pickering
2024
Capital Forecast
57'19 Community Centres
5719.2401 TCC Flooring Replacement (Seniors & Library)
2823 Paid from Property Taxes
6500 Building Related
Lifecycle replacement of existing flooring in the branch library and
seniors rooms. Includes temporary furniture and appliance
relocation .
. Total 5719.2401 TCC Flooring Replacement (Seniors & Library)
5719.2402 WACC Restoration
2823 Paid from Property Taxes
6500 Building Related
Replacement of existing cladding, roofing, doors, site works, interior
finishes and fixtures. Includes electrical and mechanical upgrades.
The building was originally constructed in 1910.
Total 5719.2402 WACC Restoration
5719.2403 WSCC Renovation -Construction
1701 Debt-5 Year
6500 Building Related
Renovations to address various aging building systems and
finishes reaching end of life.
Total 5719.2403 WSCC Renovation -Construction
5719.2404 TCC Stage Lighting Replacement
6500 Building Related
Lifecycle replacement of existing stage lighting. Includes allowance
to upgrade or replace supporting structure.
7505 RF -Federal Gas Tax
Total 5719.2404 rec Stage Lighting Replacement
5719.2405 GWCC Remediation and Demolition -Construction
1701 Debt-5 Year
6500 Building Related
Greenwood Community Centre demolition & remediation.
Total 5719.2405 GWCC Remediation and Demolition -Constructio
Total 5719 Community Centres
177
Run Date: Mar 12, 2020
Funding Expense
(40,000)
40,000
(40,000) 40,000
(60,000)
60,000
(60,000) 60,000
(310,000)
310,000
(310,000) 310,000
30,000
(30,000)
(30,000) 30,000
(350,000)
350,000
(350,000) 350,000
(790,000) 790,000
5720 Seaton Community Centre
Expenditures
6400 Building Related -Seaton
6430 Prof/Consult Fees -Seaton
Total Expenditures
Financing
1701 Debt-5 Year
1704 Debt -20 year ·
City of Pickering
Multi-Year Capital Forecast
2021 -2024
2021
Forecast
11,794,642
11794642
7069 R -Community Benefit Charge Reserve (9,314,819)
7713 RF -Seaton Land Grp FIA (2,479,823)
Total Financing (11,794,642)
178
Run Date: Mar 12, 2020
2022 2023 2024
Forecast Forecast Forecast
67,000,000 1,000,000
67 000 000 1000000
(1,000,000)
(14,086,750)
(52,913,250)
(67,000,000) (1,000,000)
City of Pickering
2021
Capital Forecast
5720 Seaton Community Centre
5720.2101 Seaton Community Centre -Design Only
6430 Prof/Consult Fees -Seaton
Seaton Community Centre -Design Only.
7069 R -Community Benefit Charge Reserve
The revenue is an estimate at this current time. The Provincial
legislation for the calculation for the Community Benefit Charge
(CBC) is not available and there is a risk that the CBC revenue
could be substantially lower than current DC fees for soft services.
7713 RF -Seaton Land Grp FIA
Total 5720.2101 Seaton Community Centre -Design Only
Total 5720 Seaton Comm1:1nity Centre
179
Run Date: Mar 12, 2020
Funding Expense
11,794,642
(9,314,819)
(2,479,823)
(11,794,642) 11,794,642
(11,794,642) 11,794,642
City of Pickering
2023
Capital Forecast
5720 Seaton Community Centre
5720.2301 Seaton Community Centre -Construction
1704 Debt -20 year
6400 Building Related -Seaton
Seaton Community Centre -Construction
7069 R -Community Benefit Charge Reserve
The revenue is an estimate at this current time. The Provincial
legislation for the calculation for the Community Benefit Charge
(CBC) is not available and there is a risk that the CBC revenue
could be substantially lower than current DC fees for soft services.
Total 572,0.2301 Seaton Community Centre -Construction
Total 5720 Seaton Community Centre
180
Run Date: Mar 12, 2020
Funding Expense
(14,086,750)
67,000,000
(52,913,250)
(67,000,000) 67,000,000
(67,000,000) 67,000,000
City of Pickering ·
2024
Capital Forecast
5720 Seaton Community Centre
5720.2401 Seaton Community Centre -FF&E
1701 Debt-5 Year
6400 Building Related -Seaton
Furniture and fixtures for the new Seaton Community Centre.
Total 5720.2401 Seaton Community Centre -FF&E
Total 5720 Seaton Community Centre
181
Run Date: Mar 12, 2020
Funding Expense
(1,000,000)
1,000,000
(1,000,000) 1,000,000
{1,000,000) 1,000,000
5731 Rec.Complex-Core
Expenditures .
6178 Machinery & Equipment
6183 Accessibility
6230 Prof/Consulting Fees
6500 Building Related
Total Expenditures
Financing
1701 Debt-5 Year
1702 Debt-10 Year
1711 Internal Loan -5 Year
2823 Paid from Property Taxes ·
7034 R -R/Cmplex Core Surcharge
7067 R -Artwork
7505 RF -Federal Gas Tax
Total Financing
City of Pickering
Multi-Year Capital Forecast
2021 -2024
2021
Forecast
45,000
1,494,000
1 539 000
(335,000)
(824,000)
(288,000)
(50,000)
(42,000)
. (1,539,000)
182
Run Date: Mar 12, 2020
2022 2023 2024
Forecast Forecast Forecast
45,000 45,000
100,000
50,000
260,000 1,607,000 1,420,000
355,000 1 752,000 1420000
(372,000)
(1,000,000) (1,140,000)
(120,000)
(80,000) (335,000) (90,000)
(45,000) (70,000)
(230,000) (45,000)
(355,000) (1,752,000) (1,420,000)
5731 Rec.Complex-Core
City of Pickering
2021
Capital Forecast
5731.2101 BAS & Control Systems Upgrade -Design
2823 Paid from Property Taxes
6500 Building Related
Investigation and design costs for lifecycle upgrade to the CHDRC's
existing building automation system (BAS). The existing system
has been expanded gradually over the last 20 years and is nearing
the end of viability of its software and hardware components and
requires a general overhaul and upgrade. The existing building
automation system (BAS) needs to have planned upgrades every
10 years to keep up with technology. This systems serves as a hub
for automation controls for all city facilities.
Total 5731.2101 BAS & Control Systems Upgrade -Design
5731.2102 Lighting Replacement in Mechanical Rooms
6500 Building Related
. Lighting replacement in mechanical rooms throughout the CHDRC
to replace remaining T12 fixtures with high efficiency LED lighting.
7505 RF -Federal Gas Tax
Total 5731.2102 Lighting Replacement in Mechanical Rooms
5731.2103 CHDRC Wayfinding Program
2823 Paid from Property Taxes
6500 Building Related
Replace existing and provide additional directional signage around
the CHDRC to assist patron wayfinding.
Total 5731.2103 CHDRC Wayfinding Program
5731.2104 Sealant Replacement
2823 Paid from Property Taxes
6500 Building Related
Lifecycle replacement of exterior sealants at various locations,
including tennis court precast panels.
Total 5731.2104 Sealant Replacement
5731.2105 Health Club Equipment Replacement
2823 Paid from Property Taxes
6178 Machinery & Equipment
Fitness Equipment Replacement: Strength Machines (12).
Total 5731.2105 Health Club Equipment Replacement
183
Run Date: Mar 12, 2020
Funding Expense
(52,000)
52,000
(52,000) 52,000
42,000
(42,000)
(42,000) 42,000
(52,000)
52,000
(52,000) 52,000
(69,000)
69,000
(69,000) 59;000
(45,000)
45,000
(45,000) 45,000
City of Pickering
2021
Capital Forecast
5731 Rec.Complex-Core
5731.2106 Victaulic Connection Replacements -Phase 2
2823 Paid from Property Taxes
6500 Building Related
Ufecycle replacement of existing victaulic pipe couplings. Most of
these couplings were originally installed in 1983.
Total 5731.2106 Victaulic Connection Replacements -Phase 2
5731.2107 Mechanical Room Roof Replacement -Construction
1702 Debt -10 Year
6500 Building Related
Ufecycle replacement of original inverted roof over main
mechanical rooms east of pool area, originally installed in 1983.
Includes louvres and grille replacement.
Total 5731.2107 Mechanical Room Roof Replacement -Constructi
5731.2108 Banquet Hall Floor Replacement
1711 Internal Loan - 5 Year
6500 Building Related
Replace cork flooring in banquet hall with new resilient flooring.
Total 5731.2108 Banquet Hall Floor Replacement
5731.2110 Fitness Studio Roof Retrofit
1711 Internal Loan - 5 Year
6500 Building Related
Modifications to existing fitness studio roof construction to extend
roof life.
Total 5731.211 0 Fitness Studio Roof Retrofit
5731.2111 Banquet Hall Digital Display Monitors
1711 Internal Loan - 5 Year
6500 Building Related
New digital display monitors and controls to replace existing
projectors and screens in both halves of the banquet hall.
Total 5731.2111 Banquet Hall Digital Display Monitors
5731.2112 Two-Way Radio System
2823 Paid from Property Taxes
6500 Building Related
184
Run Date: Mar 12, 2020
Funding Expense
(30,000)
30,000
(30,000) 30,000
(335,000)
335,000
:
(335,000) 335,000
(140,000)
140,000
(140,000) 140,000
(150,000)
150,000
(150,000) 150,000
(206,000)
206,000
(206,000) 206,000
(40,000)
40,000
5731 Rec.Complex-Core ·
City of Pickering
2021
Capital Forecast
New two-way radio system to replace existing obsolete devices.
These systems are. integral to the facility's emergency response
procedures.
Total 5731.2112 Two-Way Radio System
5731.2113 Lobby & Core Area Renovations -FF&E
1711 Internal Loan -5 Year
6500 Building Related
Furniture, fixtures, equipment and artwork budget for CHDRC
renovations.
7067 R -Artwork
Total 5731.2113 Lobby & Core Area Renovations -FF&E
Total 5731 Rec.Complex-Core
185
Run Date: Mar 12, 2020
Funding Expense
(40,000) 40,000
(328,000)
378,000
(50,000)
(378,000) 378,000
(1,539,000) 1,539,000
City of Pickering
2022
Capital Forecast
5731 Rec.Complex-Core
5731.2201 Chilled Water & Condenser Pump Replacements
6500 Building Related
Lifecycle replacement of chilled water and condenser pumps
including related controls components and accessories.
7505 RF -Federal Gas Tax
Total 5731.2201 Chilled Water & Condenser Pump Replacements
5731.2202 Convert Exteriqr and Parking Lot Lighting to LED
6500 Building Related
Convert existing parking lot light fixtures and wall-mounted exterior
light fixtures to LED. Existing poles and bases will be retained.
7505 RF -Federal Gas Tax
Total 5731.2202 Convert Exterior and Parking Lot Lighting to LED
5731.2204 Health Club Equipment Replacement
6178 Machinery & Equipment
Fitness Equipment Replacement: Strength Machines (9),
Recumbent Bike (2)
7034 R -R/Cmplex Core Surcharge
Total 5731.2204 Health Club Equipment Replacement
5731.2205 Parking Lot Resurfacing -Design .
2823 Paid from Property Taxes
6230 Prof/Consulting Fees
Design for lifecycle replacement of top asphalt, and selective curb
and catch basin repairs for the north public parking lot and south
staff lot. Excludes the main entrance turning circle.
Total 5731.2205 Parking Lot Resurfacing -Design
5731.2206 Victaulic Connection Replacements -Phase 3
2823 Paid from Property Taxes
6500 Building Related
Lifecycle replacement of existing victaulic pipe couplings. Most of
these couplings were originally installed in 1983.
Total 5731.2206 Victaulic Connection Replacements -Phase 3
Total 5731 Rec.Complex-Core
186
Run Date: Mar 12, 2020
Funding Expense
140,000
(140,000)
(140,000) 140,000
90,000
(90,000)
(90,000) 90,000
45,000
(45,000)
(45,000) 45,000
(50,000)
50,000
(50,000) 50,000
(30,000)
30,000
(30,000) 30,000
(355,000) 355,000
5731 Rec.Complex-Core
City of Pickering
2023
Capital Forecast
5731.2301 Metal Cladding Replacement -Design
2823 Paid from Property Taxes
6500 Building Related
Lifecycle replacement of original metal cladding installed in 1983,
including replacement of insulation, steel supports and sheathing
as required. To be combined with similar work in the CHDRC Pool
and Arena areas. Includes design for all three areas.
Total 5731.2301 Metal Cladding Replacement -Design
5731.2302 Elevator Retrofit
2823 Paid from Property Taxes
6183 Accessibility
Upgrade finishes and accessibility features in the existing lobby
elevator to comply with current standards.
Total 5731.2302 Elevator Retrofit
5731.2303 Curtain Wall & Window Replacement -Design
2823 Paid from Property Taxes
6500 Building Related
Lifecycle replacement of original 1983 aluminum windows at tenant
suites on south side of core area and main entrance curtain wall.
Design and testing only.
Total 5731.2303 Curtain Wall & Window Replacement -Design
5731.2304 Loading Dock Retrofit
2823 Paid from Property Taxes
6500 Building Related
Lifecycle replacement of the CHDRC loading dock to provide an
adjustable dock, new bumpers and safety rails, replace doors and
related equipment.
Total 5731.2304 Loading Dock Retrofit
5731.2305 RF-15 Replacement
6500 Building Related
Lifecycle replacement of RF-15 serving fitness/atrium areas,
including controls. This equipment was originally installed in 1983.
7505 RF -Federal Gas Tax
Total 5731.2305 RF-15 Replacement
5731.2306 Parking Lot Resurfacing -Construction
187
Run Date: Mar 12, 2020
Funding Expense
(50,000)
50,000
(50,000) 50,000
(100,000)
.. 100,000
(100,000) 100,000
(50,000)
50,000
(50,000) 50,000
(90,000)
90,000
(90,000) 90,000
45,000
(45,000)
(45,000) 45,000
5731 Rec.Complex-Core
1702 Debt -10 Year
6500 Building Related
City of Pickering
2023
Capital Forecast
Lifecycle replacement of top asphalt, and selective curb and catch
basin repairs for the north public ·parking lot and south staff lot.
Excludes the main entrance turning circle.
Total 5731.2306 Parking Lot Resurfacing -Construction
5731.2307 Health Club Equipment Replacement
2823 Paid from Property Taxes
6178 Machinery & Equipment
Fitness Equipment Replacement: Treadmill (4), Strength Machine
(1), Multi-Station Machine (1).
Total 5731.2307 Health Club Equipment Replacement
5731.2308 BAS & Control Systems Upgrade -Construction
1701 Debt-5 Year
6500 Building Related
Lifecycle upgrade to the CHDRC's existing building automation
system (BAS). The existing system has been expanded gradually
over the fast 20 years and is nearing the end of viability of its
software and hardware components .and requires a general
overhaul and upgrade. The existing building automation system
(BAS) needs to have planned upgrades every 1 0 years to keep up
with technology. This systems serves as a hub for automation
controls for all city facilities.
Total 5731.2308 BAS & Control Systems Upgrade -Construction
Total 5731 Rec.Complex-Core
188
Run Date: Mar 12, 2020
Funding Expense
(1,000,000)
1,000,000
(1,000,000) 1,000,000
(45,000)
45,000
(45,000) 45,000
(372,000)
372,000
(372,000) 372,000
(1,752,000) 1,752,000
5731 Rec.Complex-Core
City of Pickering
2024
Capital Forecast
5731.2402 Metal Cladding Replacement -Construction
6500 Building Related
Lifecycle replacement ofacoustic panel walls in the banquet halls.
7034 R -R/Cmplex Core Surcharge
Total 5731.2402 Metal Cladding Replacement -Construction
5731.2403 Banquet Hall Acoustic Wall Panel -Replacement
1711 Internal Loan -5 Year
6500 Building Related
Lifecycle replacement of original metal cladding installed in 1983,
including replacement of insulation, steel supports and sheathing
as required. To be combined with similar work in the CHDRC Pool
and Arena areas. ·.
Total 5731.2403 Banquet Hall Acoustic Wall Panel -Replacement
5731.2404 Curtain Wall & Window Replacement -Construction
1702 Debt -10 Year
6500 Building Related
Lifecycle replacement of original aluminum windows at tenant suites
on south side of core area and main entrance curtain wall. Design
only.
Total 5731.2404 Curtain Wall & Window Replacement -Constr.ucti,
5731.2405 Roof Replacement (J & 13) -Des_ign
2823 Paid from Property Taxes
6500 Building Related
Lifecycle replacement of roof J (squash courts) and 13 (loading dock
and exit corridor). Design and testing only.
Total 5731.2405 Roof Replacement (J & 13) -Design
5731.2406 Roof Replacement (D & D1) -Design
2823 Paid from Property Taxes
6500 Building Related
Lifecycle replacement of roofs D & 01 (core area over space frame).
Design and testing only.
Total 5731.2406 Roof Replacement (D & D1) -Design
Total 5731 Rec.Complex-Core
189
Run Date: Mar 12, 2020
Funding Expense
70,000
(70,000)
(70,000) 70,000
(120,000)
120,000
(120,000) 120,000
(1,140,000)
1,140,000
(1,140,000) 1,140,000
(40,000)
40,000
(40,000) 40,000
(50,000)
50,000
(50,000) 50,000
(1,420,000) 1,420,000
5733 Rec. Complex-Pool
Expenditures
6230 Prof/Consulting Fees
6500 Building Related
Total Expenditures
Financing
1702 Debt -10 Year
1711 Internal Loan -5 Year
2823 Paid from Property Taxes
7035 R -R/Cmplx Pool Surcharge
Total Financing
City of Pickering
Multi-Year Capital Forecast
2021 -2024
2021
Forecast
' 95,000
95 000
(95,000)
(95,000)
190
Run Date: Mar 12, 2020
2022 2023 2024
Forecast Forecast Forecast
450,000
1,185,000
1.635 000
(785,000)
(780,000)
(70,000)
(1,635,000)
5733 Rec. Complex-Pool
5733.2101 Pool Bleachers Replacement
2823 Paid from Property Taxes
6500 Building Related
City of Pickering
2021
Capital Forecast
Lifecycle replacement of original 1983 retractable bleachers.
Total 5733.2101 Pool Bleacheri; Replacement
5733.2102 Pool Controller Replacements
2823 Paid from Property Taxes
6500 Building Related
Lifecycle replacement of pool controllers.
Total 5733.2102 Pool Controller Replacements
Total 5733 Rec. Complex-Pool
1 91
Run Date: Mar 12, 2020
Funding Expense
(65,000)
65,000
(65,000) 65,000
(30,000)
30,000
(30,000) 30,000
(95,000) 95,000
City of Pickering
2024
Capital Forecast
5733 Rec. Complex-Pool
5733.2401 PRC Pool Renovations -Design
1711 Internal Loan -5 Year
6230 Prof/Consulting Fees
Renovations to the tot and main pools, lifeguard station and change
rooms, and related systems. Design only.
Total 5733.2401 PRC Pool Renovations -Design
5733.2402 Pool & Deck Tile Replacement
1702 Debt-10 Year
6500 Building Related
Lifecycle removal and replacement of swimming pool and deck
tiles.
Total 5733.2402 Pool & Deck Tile Replacement
5733.2403 Painting & Repairs to Pool Roof & Structure
1711 Internal Loan° 5 Year
6500 Building Related
Refinish existing beams, deck and structural supports for the pool
roof and adjoining areas. The existing finished are original from
1983.
Total 5733.2403 Painting & Repairs to Pool Roof & Structure
5733.2404 Metal Cladding Replacement -Construction
1711 Internal Loan-5 Ye.ar
6500 Building Related
Lifecycle replacement of original metal cladding installed in 1983,
including replacement of insulation, steel supports and sheathing
as required. To be combined with similar work in the CHDRC Core
and Arena areas.
Total 5733.2404 Metal Cladding Replacement -Construction
5733.2405 Main Pool Pump Replacement
6500 Building Related
Lifecycle replacement of main pool pump serving CHDRC pool.
7035 R -R/Cmplx Pool Surchar~e
Total 5733.2405 Main Pool Pump Replacement
Total 5733 Rec.Complex-Pool
192
Run Date: Mar 12, 2020
Funding Expense
(450,000)
450,000
(450,000) 450,000
(785,000)
. 785,000
(785,000) 785,000
(210,000)
210,000
(210,000) 210,000
(120,000)
120,000
(120,000) 120,000
70,000
(70,000)
(70,000) 70,000
(1,635,000) 1,635,000
5735 Rec.Complex-Arenas
Expenditures
6230 Prof/Consulting Fees
6500 Building Related
Total Expenditures
Financing
1701 Debt-5 Year
1702 Debt -10 Year
1704 Debt -20 year
1711 Internal Loan -5 Year
1712 Internal Loan-10 Year
2823 Paid from Property Taxes
7036 R -R/Cmplx Arena Surcharge
7505 RF -Federal Gas Tax
Total Financing
City of Pickering
Multi-Year Capital Forecast
2021 -2024
2021
Forecast
179,000
331,000
510 000
(299,000)
(136,000)
(50,000)
(25,000)
(510,000)
193
Run Date: Mar 12, 2020
2022 2023 2024
Forecast Forecast Forecast
100,000
1,205,000 1,343,000 1,997,000
1 305,000 1343000 1 997 000
(1,232,000)
(1,175,000) (710,000)
(925,000)
(270,000) (168,000)
(40,000) (55,000)
(70,000)
(1,305,000) (1,343,000) · (1,997,000)
5735 Rec.Complex-Arenas
City of Pickering
2021
Capital Forecast
5735.2101 O'Brien Arena Rubber Flooring Replacement
1712 Internal Loan-10 Year
6500 Building Related \
Lifecycle replacement of existing athletic flooring in arena, originally
installed in 1992.
Total 5735.2101 O'Brien Arena Rubber Flooring Replacement
5735.2102 O'Brien Arena Interior Renovation -Design
1711 Internal Loan - 5 Year
6230 Prof/Consulting Fees
Design and related costs for renovation of O'Brien dressing rooms
and meeting room, kitchen, washrooms and lobby, originaliy
constructed in 1992.
Total 5735.2102 O'Brien Arena Interior Renovation -Design
5735.2103 Arena Parking Lot Resurfacing -Design
2823 Paid from Property Taxes
6230 Prof/Consulting Fees
Lifecycle resurfacing of original arena parking lot (last resurfacing in
1992), including repairs to curbs, fixtures and adjoining driveways.
Design only.
Total 5735.2103 Arena Parking Lot Resurfacing -Design
5735.2104 O'Brien Rink Structure Painting
1711 Internal Loan - 5 Year
6500 Building Related
Lifecycle replacement of protective paint finish on main
pre-engineered steel support structure, originally installed in 1992.
Total 5735.2104 O'Brien Rink Structure Painting
5735.2105 Delaney Rink Structure, Coating & Roof -Design
6500 Building Related
Epoxy painting of structural steel, and repaint of e_xisting concrete
blockwalls (original 1982). Includes exploring options to extend the
life of the existing roof. Design only.
703q R -R/Cmplx Arena Surcharge
Total 5735.2105 Delaney Rink Structure, Coating & Roof -Design
Total 5735 Rec.Complex-Arenas
194
Run Date: Mar 12, 2020
Funding Expense
{136,000)
136,000
(136,000) 136,000
(129,000)
129,000
(129,000) 129,000
(50,000)
50,000
{50,000) 50,000
(170,000)
170,000
(170,000) 170,000
25,000
(25,000)
(25,000) 25,000
(510,000) 510,000
5735 Rec.Complex-Arenas
City of Pickering
2022
Capital Forecast
5735.2201 Delaney Roof Replacement -Design
1711 Internal Loan -5 Year
6230 Prof/Consulting Fees
Design for lifecycle replacement of existing roof over Delaney
Arena, installed in 1990.
Total 5735.2201 Delaney Roof Replacement -Design
5735.2202 Delaney Skylight Replacement
6500 Building Related
Lifecycle replacement of skylights over upper aisle walkway and
stairwell in Delaney arena, originally installed in 1992.
7036 R -R/Cmplx Arena Surcharge
Total 5735.2202 Delaney Skylight Replacement
5735.2203 Convert Exterior and Parking Lot Lighting to LED
6500 Building Related
Convert existing parking lot light fixtures and wall-mounted exterior
light fixtures to LED. Existing poles and bases will be retained.
7505 RF -Federal Gas Tax
Total 5735.2203 Convert Exterior and Parking Lot Lighting to LED
5735.2204 Delaney Rink Structure, Coating & Roof -Cqnstruction
1711 Internal Loan -5 Year
6500 Building Related
Epoxy painting of structural steel, and existing concrete block walls
(original 1982).
Total 5735.2204 Delaney Rink Structure, Coating & Roof -Constn
5735.2205 O'Brien Arena Interior Renovation -Construction
1704 Debt -20 year
6500 Building Related
Renovation of O'Brien dressing rooms-and meeting room, kitchen,
washrooms and lobby, originally constructed in 1992.
Total 5735.2205 O'Brien Arena Interior Renovation: -Construction
Total 5735 Rec.Complex-Arenas
195
Run Date: Mar 12, 2020
Funding Expense
(100,000)
100,000
(100,000) 100,000
40,000
(40,000)
(40,000) 40,000
70,000
(70,000)
(70,000) 70,000
(170,000)
170,000
(170,000) 170,000
(925,000)
925,000
(925,000) 925,000
(1,305,000) 1,305,000
5735 Rec.Complex-Arenas
City of Pickering
2023
Capital Forecast
5735.2301 O'Brien Arena Rink Slab & Dasher Board Replacement -
1711 Internal Loan -5 Year
6500 Building Related
Lifecycle replacement of original rink slab, piping, subfloor and
dasher boards installed in 1983. Design only.
Total 5735.2301 O'Brien Arena Rink Slab & Dasher Board Replace
5735.2302 Delaney Roof Replacement -Construction
1702 Debt -10 Year
6500 Building Related
Lifecycle replacement of existing roof over Delaney Arena, installed
in 1990. ·
Total 5735.2302 Delaney Roof Replacement -Construction
Total 5735 Rec.Complex-Arenas
196
Run Date: Mar 12, 2020
Funding Expense
(168,000)
168,000
(168,000) 168,000
(1, 175,000)
1,175,000
(1,175,000) 1,175,000
(1,343,000) 1,343,000
5735 Rec.Complex-Arenas
City of Pickering
2024
Capital Forecast
5735.2401 Metal Cladding Replacement -Construction
6500 Building Related
Lifecycle replacement of original metal cladding installed in 1983,
including replacement of insulation, steel supports and sheathing
as required. To be combined with similar work in the CHDRC Core
and Pool areas.
7036 R -R/Cmplx Arena Surcharge
Total 5735.2401 Metal Cladding Replacement -Construction
5735.2402 O'Brien Arena Rink Slab & Dasher Board Replacement -
1701 Debt-5 Year
6500 Building Re.lated
Lifecycle replacement of original rink slab, piping, subfloor and
· dasher boards installed in 1983. Design only.
Total 5735.2402 O'Brien Arena Rink Slab & Dasher Board Replace
5735.2403 Arena Parking Lot Resurfacing -Construction
1702 Debt-10 Year
6500 Building Related
Lifecycle resurfacing of original arena parking lot (last resurfacing in
1992), including repairs to curbs, fixtures and adjoining driveways.
Total 5735.2403 Arena Parking Lot Resurfacing -Construction
Total 5735 Rec.Complex-Arenas
197
Run Date: Mar 12, 2020
Funding Expense
55,000
(55,000)
(55,000) 55,000
(1,232,000)
1,232,000
(1,232,000) · 1,232,000
(710,000)
710,000
(710,000) 710,000
(1,997,000) 1,997,000
5744 Museum
Expenditures
6129 Parks -Landscape Refurbishment
6149 Restoration -Museum Bldg
6230 Prof/Consulting Fees
6500 Building Related
Total Expenditures
Financing
1592 Donations
1701 Debt -5 Year
1711 Internal Loan -5 Year
1712 Internal Loan-10 Year
2823 Paid from Property Taxes
Total Financing
City of Pickering
Multi-Year Capital Forecast
2021 -2024
2021
Forecast
515,000
195,000
118,500
828 500
(515,000)
(313,500)
(828,500)
198
Run Date: Mar 12, 2020
2022 2023 2024
Forecast Forecast Forecast
230,000 400,000 775,000
50,000 75,000
32,000 250,000
312 000 725.000 775 000
(200,000)
(400,000)
(130,000) (600,000) (125,000)
(100,000)
(82,000) (125,000) (50,0Ci0)
(312,000) · (725,000) (775,000)
City of Pickering
2021
Capital Forecast
5744 Museum
5744.2101 Log Barn & House Restoration -Design
2823 Paid from Property Taxes
6230 Prof/Consulting Fees
Structural repairs, waterproofing, roofing replacement and interior
framing and finish work. Design and testing only.
Total 5744.2101 Log Barn & House Restoration -Design
5744.2102 Collins House Restoration
2823 Paid from Property Taxes
6149 Restoration -Museum Bldg
Selective cladding, roofing and trim replacement and repairs to
structural framing in the Collins House (built ~1830). Includes
repainting, improved pest-proofing, provision of barrier-free ramp
and provision of foundation and functioning chimney for stove.
Existing materials to be conserved, wherever possible.
Total 5744.2102 Collins House Restoration
5744.2103 Pedestrian Bridge Retrofit -Design
2823 Paid from Property Taxes
_ 6230 Prof/Consulting Fees
Pedestrian bridge retrofit to explore options for limited vehicular
traffic across the existing bridge to improve maintenance and
emergency response. Design and testing only.
Total 5744.2103 Pedestrian Bridge Retrofit-Design
5744.2104 PHCC Preparation & Site Upgrades
1711 Internal Loan -5 Year
6129 Parks -Landscape Refurbishment
Remedial works to address ongoing drainage problems on the
pathway connecting the upper and lower sites, as well as
throughout the lower site, Includes provision of cladding to picnic
shelter, power and lighting to picnic shelter and demonstration
shed. Also includes work required to prepare the site for temporary
operations during construction of the Pickering Heritage &
Community Centre.
Total 5744.2104 PHCC Preparation & Site Upgrades
5744.2107 Odd Fellows Hall Window Restoration
2823 Paid from Property Taxes
6149 Restoration -Museum Bldg
199
Run Date: Mar 12, 2020
Funding Expense
{36,000)
36,000
{36,000) 36,000
(145,000)
145,000
(145,000) 145,000
(31,000)
31,000
{31,000) 31,000
(515,000)
515,000
(515,000) 515,000
{50,000)
50,000
5744 Museum
City of Pickering
2021
Capital Forecast
Restoration of 8 existing large custom wood frame windows with
single pane float glass.
Total 5744.2107 Odd Fellows Hall Window Restoration
5744.2109 Miller Cole House Restoration -Design
2823 Paid from Property Taxes
6230 Prof/Consulting Fees
Full cladding, trim and roof replacement, repairs to structural
framing, and interior restoration for the Miller Cole House (built
-1840). Includes painting. Existing materials to be conserved,
wherever possible. Design only.
Total 5744.2109 Miller Cole House Restoration~ Design
Total 5744 Museum
200
Run Date: Mar 12, 2020
Funding Expense
(50,000) 50,000
(51,500)
51,500
(51,500) 51,500
(828,500) 828,500
5744 Museum
City of Pickering
2022
Capital Forecast
5744.2201 Improve Access to Conservation Drive Shed Loft
2823 Paid from Property Taxes
6500 Building Related .
Construct permanent stair to loft over Conservation Drive shed and
improve interior and exterior lighting. Includes engineering and
soils testing.
Total 5744.2201 Improve Access to Conservation Drive Shed Loft
5744.2202 Brougham Temperance House Restoration -Design
2823 Paid from Property Taxes
6230 Prof/Consulting Fees
Structural, ramp and porch repairs, roofing and cladding
replacement, interior framing and finish work. Design and testing
only.
Total 5744.2202 Brougham Temperance House Restoration -Desi!
5744.2203 General Store Restoration -Design
2823 Paid from Property Taxes
6230 Prof/Consulting Fees
Roofing, cladding, porch and ramp repairs and interior finish
replacement. Design and testing only.
Total 5744.2203 General Store Restoration -Design
5744.2204 Log Barn & House Restoration -Construction
1711 Internal Loan - 5 Year
6149 Restoration -Museum Bldg
Structural repairs, waterproofing, roofing replacement and interior
framing and finish work. Design and testing only.
Total 5744.2204 Log Barn & House Restoration -Construction
5744.2205 Miller Cole House Restoration -Construction
1712 Internal Loan-1-0 Year
6149 Restoration -Museum Bldg
Full cladding, trim and roof replacement, repairs to structural
framing, and interior restoration for the Miller Cole House (built
~1840). Includes painting. Existing materials to be conserved,
wherever possible.
Total 5744.2205 Miller Cole House Restoration -Construction
Total 5744 Museum
201
Run Date: Mar 12, 2020
Funding Expense
(32,000)
32,000
(32,000) 32,000
(35,000)
35,000
(35,000) 35,000
(15,000)
15,000
(15,000) 15,000
(130,000)
130,000
(130,000) 130,000
(100,000)
100,000
(100,000) 100,000
(312,000) 312,000
5744 Museum
City of Pickering
2023
Capital Foreqast.
5744.2301 Brougham Temperance House Restoration -Constructic
1711 Internal Loan -5 Year
6149 Restoration -Museum Bldg
Structural, ramp and porch repairs, roofing and cladding
replacement, interior framing and finish work at the Brougham
Temperance House (built ~1835), including restoration of existing
wood frame window and doors.
Total 5744.2301 Brougham Temperance House Restoration -Com
5744.2302 Chapel & Drive Shed Restoration -Design
2823 Paid from Property Taxes
6230 Prof/Consulting Fees
Structural, roofing and cladding repairs, waterproofing and in.terior
finish Work. Design and testing only.
Total 5744.2302 Chapel & Drive Shed Restoration -Design
57 44.2303 · Redman House Restoration -Design
2823 Paid from Property Taxes
6230 Prof/Consulting Fees
Ramp and structural repairs, roofing and cladding replacement,
interior renovations for post PHCC use, washroom upgrades,
basement repurposing. Design and testing only.
Total_ 5744.2303 Redman House Restoration -Design
5744.2304 General Store Restoration -Construction
2823 Paid from Property Taxes
6149 Restoration -Museum Bldg
Roofing, cladding, porch and ramp repairs and interior finish
replacement.
Total 5744.2304 General Store Restoration -Construction
5744.2305 Harvey House Restoration -Construction
1711 Internal Loan -5 Year
6500 Building Related
Construction costs for the relocation and partial restoration of the
Harvey House, including exterior and interior services. This budget
excludes interior renovation and exhibit costs.
Total 5744.2305 Harvey House Restoration -Construction
Total 5744 Museum
202
Run Date: Mar 12, 2020
Funding Expense
(350,000)
350,000
(350,000) 350,000
(25,000)
25,000
(25,000) 25,000 ·
(50,000)
50,000
(50,000) 50,000
(50,000)
50,000
(50,000) 50,000
(250,000)
250,000
(250,000) 250,000
(725,000) 725,000
5744 Museum
City of Pickering
2024
Capital Forecast
5744.2401 Chapel & Drive Shed Restoration -Construction
1711 Internal Loan -5 Year
6149 Restoration -Museum Bldg
Structural, roofing and cladding repairs, waterproofing and interior
finish work.
Total 5744.2401 Chapel & Drive Shed Restoration -Con~truction
5744.2402 Redman House Restoration -Construction
1701 Debt-5 Year
6149 Restoration -Museum Bldg
Ramp and structural repairs, roofing and cladding replacement,
interior renovations for post PHCC use, washroom upgrades,
basement repurposing.
Total 5744.2402 Redman House Restoration -Construction
5744.2403 Harvey House Restoration -Interior fit Out
1592 Donations
PMV Foundation
2823 Paid from Property Taxes
6149 Restoration -Museum Bldg
Construction costs for interior renovation and fit-out of the Harvey
House, including restoration and finishing costs associated with
preparing the building for programming, historic interpretation and
exhibits.
Total 5744,2403 Harvey House Restoration -Interior fit Out
Total 5744 Museum
203
Run Date: Mar 12, 2020
Funding Expense
(125,000)
125,000
(125,000) 125,000
(400,000)
400,000
(400,000) 400,000
(200,000)
(50,000)
250,000
(250,000) 250,000
(775,000) 775,000
Public Works Summary
Expenditures
6129 Parks -Landscape Refurbishment
6157 Vehicles -under $100,000
6158 Vehicles -.Over $100,000
6159 Fire Veh -Over $100,000
6173 Furniture & Fixtures
6178 Machinery & Equipment
6181 Other Fixed Assets
6183 Accessibility
6230 Prof/Consulting Fees
6250 Construction Costs
_6265 Land Acquisition & Disp
6429 Parks -Landscape Refurb -Seaton
6430 Prof/Consult Fees -Seaton
6457 Vehicles -Under $100,000 -Seaton
6478 Miscellaneous Equipment -Seaton
6500 Building Related
Total Expenditures
Financing
1701 Debt-5 Year
1702 Debt -10 Year
1703 Debt -15 Year
1704 Debt -20 year
· 1711 Internal Loan -5 Year
1712 Internal Loan-10 Year
2823 Paid from Property Taxes
7022 R -DC's City!s Share
7040 R -Vehicle Replacement
7057 R -Fence
7060 R -Seaton Land Grp FIA
7062 R -Major Equipment
City of Pickering
Multi-Year Capital Forecast
2021 -2024
2021
Forecast
6,240,000
545,000
260,000
825,000
1,590,000
180,000
. 950,000
25,000
3,460,000
500,000
115,000
14 690 000
(500,000)
(2,171,750)
(2,000,000)
(705,000)
(635,000)
(416,500)
(1,215,000)
(180,000)
(160,000)
7069 R -Community Benefit Charge Reserve (4,494,288)
7501 RF -Third Party Contribution (41,125)
7502 RF -Parkland (984,099)
7505 RF -Federal Gas Tax
204
Run Date: Mar 12, 2020
2022 2023 2024
Forecast Forecast Forecast
4,117,900 2,771,000 7,787,800
320,000 500,000 658,000
280,000 455,000 680,000
825,000
300,000
800,000 980,000 795,000
180,000 200,000 300,000
530,000 500,000
625,000 400,000
1,504,000
1,600,000 3,390,000 3,190,000
320,000
4,500,000
12 952 900 9 816,000 15 739 800 ·
(1,100,000) (300,000)
(620,000)
(1,000,000) (1,000,000) (1,000,000)
(1,504,000)
· (945,000) (940,000) (610,000)
(136,000)
(355,000) (180,000) (200,000)
(962,327) (375,161) (3,450,705)
(600,000) (955,000) (1,338,000)
(180,000) (200,000)
(311,169)
(335,000) (400,000) (420,000)
(1,739,573) (2,933,092) (5,313,804)
(920,000) (535,000)
(1,280,000) (80,000) (570,000)
Public Works Summary
7605 RF DC -Protection Services
City of Pickering
Multi-Year Capital Forecast
2021 -2024
2021
Forecast
(43,875)
7615 RF DC -Other Services Related to a Highway (500,000)
7622 RF DC -Parks & Recreation Services
7713 RF -Seaton Land Grp FIA (643,363)
Total Financing (14,690,000)
205
Run Date: Mar 12, 2020
2022 2023 2024
Forecast Forecast Forecast
(4,500,000) (165,000)
(155,000)
(712,747) (187,122)
(12,952,900) (9,816,000) (15,739,800)
5311 Property Maintenance
Expenditures
6129 Parks -Landscape Refurbishment
6178 Machinery & Equipment
6181 Other Fixed Assets
6183 Accessibility
6250 Construction Costs
6478 Miscellaneous Equipment -Seaton
Total Expenditures
Financing
1701 Debt -5 Year
1711 Internal Loan -5 Year
2823 Paid from Property Taxes
7040 R -Vehicle Replacement
7057 R -Fence
7062 R -Major Equipment
7502 RF -Parkland
7505 RF -Federal Gas Tax
City of Pickering
Multi-Year Capital Forecast
2021 -2024
2021
Forecast
650,000
120,000
500,000
1.270 000
(150,000)
(340,000)
(120,000)
(160,000)
(500,000)
7615 RF DC -Other Services Related to a Highway
7622 RF DC -Parks & Recreation Services
Total Financing (1,270,000)
206
Run Date: Mar 12, 2020
2022 2023 2024
Forecast Forecast Forecast
180,000
415,000 60,000 380,000
120,000 200,000 300,oo"o
625,000 400,000
320,000
1160 000 1160,000 680 000
(300,000)
(580,000)
(80,000) (60,000) (70,000)
(120,000) (200,000)
(335,000) (310,000)
(625,000)
(165,000)
(155,000)
(1,160,000) (1,160,000) (680,000)
City of Pickering
2021
Capital Forecast
5311 Property Maintenance
5311.2101 Property Line Fence Replacement
6181 Other Fixed Assets
Property Line Fences Replacement.
7057 R -Fence
Total 5311.2101 Property Line Fence Replacement .
5311.2102 Sidewalk Plows with Attachments Replacement (2)
6178 Machinery & Equipment
Two Sidewalk Plows With Attachments -Replace unit# 792 (2013)
& Replace unit #753 (2012).
7040 R -Vehicle Replacement
Total 5311.2102 Sidewalk Plows with Attachments Replacement(:
5311.2103 Wide Area Mower Replacement
6178 Machinery & Equipment
Wide Area Mower Replacement, unit #797 (2014)
7062 R -Major Equipment
Total 5311.2103 Wide Area Mower Replacement
5311.2104 Zero Turn Mowers Replacement (3)
2823 Paid from Property Taxes
6178 Machinery & Equipment
Three Zero Turn Mowers Replacement, unit #S431, S432, S433
(2015)
Total 5311.2104 Zero Turn Mowers Replacement (3)
5311.2105 Enclosed Trailer Replacement
2823 Paid from Property Taxes
6178 Machinery & Equipment
Enclosed Trailer replacement, unit #723 (2014)
Total 5311.2105 Enclosed Trailer Replacement
5311.2106 Zero Turn Mower Replacement (4)
2823 Paid from Property Taxes
6178 Machinery & Equipment
Four Zero Turn mowers (replacements on a 4-year cycle) -Replace
unit# 299 (2014), unit# 300 (2014), unit# 401 (2015) and unit#
402 (2015).
Total 5311.2106 Zero Turn Mower R.eplacement (4)
5311.2109 Walkway Reconstruction: Elvira-BHM Park
207
Run Date: Mar 12, 2020
Funding Expense
120,000
(120,000)
(120,000) 120,000
340,000
(34()_,000)
(340,000) 340,000
160,000
(160,000)
(160,000) 160,000
(60,000)
60,000
(60,000) 60,000
(20,000)
20,000
(20,000) 20,000
(70,000)
70,000
(70,000) 70,000
5311 Property Maintenance
6183 Accessibility
City of Pickering
2021
Capital Forecast
Walkway Reconstruction -Between Elvira Court and Bruce
Hanscomb Memorial Park
7502 RF -Parkland
Total 5311.2109 Walkway Reconstruction: Elvira-BHM Park
Total 5311 Property Maintenance
208
Run Date: Mar 12, 2020
Funding Expense·
500,000
(500,000)
(500,000) 500,000
(1,270,000) 1,270,000
City of Pickering
2022
Capital Forecast
5311 Property Maintenance
'
5311.2201 Walkway Reconstruction: Strouds -Sultana
6250 Construction Costs
Reconstruct walkway between Strouds Lane and Sultana Square
including new fence and concrete walkway
7505 RF -Federal Gas Tax
Total 5311.2201 Walkway Reconstruction: Strouds -Sultana
5311.2202 Walkway Reconstruction: Foxwood -Beckworth
6250 Construction Costs
Reconstruct walkway between Foxwood Trail and Beckworth Square
including new fence and concrete walkway
7505 RF -Federal Gas Tax
Total 5311.2202 Walkway Reconstruction: Foxwood -Beckworth
5311.2203 Walkway Reconstruction: Graceland -St. Mary Park
6250 Construction Costs
Reconstruct walkway between Graceland Court and St. Mary Park
including new fence and concrete walkway
7505 RF -Federal Gas Tax
Total 5311.2203 Walkway Reconstruction: Graceland -St. Mary Pa
5311.2204 Walkway Reconstructi~:m: Whites -Cognac
6250 Construction Costs
Reconstruct walkway between Whites Road and Cognac Crescent
including new fence and concrete walkway
7505 RF -Federal Gas Tax
Total 5311.2204 Walkway Reconstruction: Whites -Cognac
5311.2205 Walkway Reconstruction: Charnwood -Greenvale
6250 Construction Costs
Reconstruct walkway between Charnwood Court and Greenvale
Crescent including new fence and concrete walkway
7505 RF -Federal Gas Tax
Total 5311.2205 Walkway Reconstruction: Charnwood -Greenval,
5311.2206 Wide Area Mower Replacement
6178 Machinery & Equipment
Wide Area Mower -replace unit #770 (2016)
7062 R -Major Equipment
Total 5311.2206 Wide Area .Mower Replacement
209
Run Date: Mar 12, 2020
Funding Expense
125,000
(125,000)
(125,000) 125,000
125,000
(125,000)
(125,000) 125,000
125,000
(125,000)
(125,000) 125,000
125,000
(125,000)
(125,000) 125,000
125,000
(125,000)
(125,000) 125,000
170,000
'
(170,000)
(170,000) 170,000
City of Pickering
2022
Capital Forecast
5311 Property Maintenance
5311.2207 Property Line Fence Replacement
6181 Other Fixed Assets
Replacement of property line fences along City road allowances at
various locations
7057 R -Fence
Total 5311.2207 Property Line Fence Replacement
5311.2208 Zero Turn Mower Replacement (4)
2823 Paid from Property Taxes
6178 Machinery & Equipment
Four Zero Turn Mower-replace unit #S512, #S513, #S514, #S515
(2017)
Total 5311.2208 Zero Turn Mower Replacement (4)
5311.2209 Sidewalk Plow Replacement
6178 Machinery & Equipment
, Sidewalk Plow -replace unit #703 (2015)
7062 R -Major Equipment
Total 5311.2209 Sidewalk Plow Replacement
Total 5311 Property Maintenance
210
Run Dc1te: Mar 12, 2020
Funding Expense
120,000
(120,000)
(120,000) 120,000
(80,000)
80,000
(80,000) 80,000
165,000
(165,000)
(165,000) 165,000
(1,160,000) 1,160,000
City of Pickering
2023
Capital Forecast
5311 Property Maintenance
5311.2301 Walkway Reconstruction: Rosebank -Lightfoot
1711 Internal Loan - 5 Year
6250 Construction Costs
Reconstruct walkway between Rosebank Road and Lightfoot Place
including new fence and concrete walkway
Total 5311.2301 Walkway Reconstruction: Rosebank -Lightfoot
5311.2302 Walkway Reconstruction: Cattail -Dunbarton H.S.
1711 Internal Loan - 5 Year
6250 Construction Costs
Reconstruct walkway between Cattail Court and Dunbarton High
School including new fence and concrete walkway
Total 5311.2302 Walkway Reconstruction: Cattail -Dunbarton H.S.
5311.2303 Walkway Reconstruction: Tanzer -Bayshore Tot Lot
1711 Internal Loan - 5 Year
6250 Construction Costs
. Reconstruct walkway between Tanzer Court and Bayshore Tot Lot
including new fence and concrete walkway
Total 5311.2303 Walkway Reconstruction: Tanzer -Bayshore Tot L
5311.2304 Property Line Fence Replacement
6181 Other Fixed Assets
Replacement of property line fences along City road allowances at
various locations
7057 R -Fence
Total 5311.2304 Property Line Fence Replacement
5311.2305 Sidewalk Plow with Attachments -New
6478 Miscellaneous Equipment -Seaton
Sidewalk Plow with attachments for Seaton.
7615 RF DC -Other Services Related to a Highway
Total 5311.2305 Sidewalk Plow with Attachments -New
5311.2306 Wide Area Mower -New
6478 Miscellaneous Equipment • Seaton
Wide Area Mower for Seaton -New
7622 RF DC -Parks & Recreation Services
Total 5311.2306 Wide Area Mower -New
5311.2307 Zero Turn Mower Replacement (3)
211
Run Date: Mar 12, 2020
Funding Expense
(125,000)
125,000
(125,000) 125,000
(125,000)
125,000
(125,000) 125,0.00
(150,000)
150,000
(150,000) 150,000
200,000
(200,000)
(200,000) 200,000
165,000
(165,000)
(165,000) 165,000
155,000
(155,000)
(155,000) 155,000
5311 Property Maintenance
2823 Paid from Property Taxes
6178 Machinery & Equipment
City of Pickering
2023
Capital Forecast
Zero Mower -r~place units #S431, #S432 and #S433 (2016)
Total 5311.2307 Zero Turn Mower Replacement (3)
5311.2308 HWY 401 Brock Road On/Off Ramp Landscape
1711 Internal Loan - 5 Year
6129 Parks -Landscape Refurbishment
401. Brock Road On/Off Ramp Landscape Reconstruction including
Welcome to Pickering Sign.
Total 5311.2308 HWY 401 Brock Road On/Off Ramp Landscape
Total 5311 Property Maintenance
212
Run Date: Mar 12, 2020
Funding Expense
(60,000)
60,000
(60,000) 60,000
(180,000)
180,000
(180,000) 180,000
(1,160,000) 1,160,000
5311 Property Maintenance
City of Pickering
2024
Capital Forecast
5311.2401 Property Line Fence Replacement
1701 Debt-5 Year
6181 Other Fixed Assets
Property Line Fencing.
Total 5311.2401 Property Line Fence Replacement
5311.2403 Two Sidewalk Tractor -Replacement (2)
6178 Machinery & Equipment
Replacement of unit #714 & #718 (2015).
·7062 R -Major Equipment ·
Total 5311.2403 Two Sidewalk Tractor -Replacement (2)
5311.2404 Four Zero Turn Replacement (4)
2823 Paid from Property Taxes
6178 Machinery & Equipment
Replacement of Unit #S550, #S551, #S552, & #S553 (2018).
Total 5311.2404 Four Zero Turn Replacement (4)
Total 5311 Property Maintenance
213
Run Date: Mar 12, 2020
Funding Expense
(300,000)
300,000
(300,000) 300,000
310,000
(310,000)
(310,000) 310,000
(70,000)
70,000
(70,000) 70,000
(680,000) 680,000
5319 Roads E_quipment
Expenditures ·
6178 Machinery & Equipment
Total Expenditures
Financing
1701 Debt - 5 Year
2823 Paid from Property Taxes
7062 R -Major Equipment
Total Financing
City of Pickering
Multi-Year Capital Forecast
2021 -2024
2021
Forecast
725,000
725 000
(500,000)
(225,000)
(725,000)
214
Run Date: Mar 12, 2020
2022 2023 2024
Forecast Forecast Forecast
40,000 900,000 . 90,000
40 000 900 000 90 000
(500,000)
(40,000) (90,000)
(400,000)
(40,000) (900,000) (90,000)
5319 Roads Equipment
City of Pickering
2021
Capital Forecast
5319.2101 Hydroscopic Excavator -Replacement
1701 Debt - 5 Year
6178 Machinery & Equipment
Hydroscopic Excavator -replace unit #114 (2005).
Total 5319.2101 Hydroscopic Excavator -Replacement
5319.2107 LED Temporary Sign Trailer -New (2)
2823 Paid from Property Taxes
6178 Machinery & Equipment
Solar message boards (2)
Total 5319.2107 LED Temporary Sign Trailer -New (2)
5319.2108 LED Temporary Sign Trailer -Replacement (2)
2823 Paid from Property Taxes
6178 Machinery & Equipment
Solar message board -replace unit #001 & #002 (2013).
Total 5319.2108 LED Temporary Sign Trailer -Replacement (2)
5319.2109 Skid Steer with Attachments Replacement
2823 Paid from Property Taxes
6178 Machinery & Equipment
Replace unit #200 (1994)
Total 5319.2109 Skid Steer with Attachments Replacement
5319.2110 Roads Trailer Replacement (4)
2823 Paid from Property Taxes.
6178 Machinery & Equipment
Four Roads Trailers -Replace units #105 & #106 (2007), units
#136 & #137 (1999).
Total 5319.2110 Roads Trailer Replacement (4)
Total 5319 Roads Equipment
215
Run Date: Mar 12, 2020
Funding Expense
(500,000)
500,000
(500,000) 500,000
(50,000)
50,000
{50,000) 50,000
(50,000)
50,000
(50,000) 50,000
(65,000)
65,000
(65,000) 65,000
(60,000)
60,000
(60,000) 60,000.
(725,000) 725,000
5319 Roads Equipment
. City of Pickering
2022
Capital Forecast
5319.2202 Road Asphalt Roller Replacement
2823 Paid from Property Taxes
6178 Machinery & Equipment
Road Asphalt Roller -replace unit #102 (2010)
Total 5319.2202 Road Asphalt Roller Replacement
Total 5319 ~oads Equipment
216
Run Date: Mar 12, 2020
Funding Expense
(40,000)
40,000
(40,000) 40,000
(40,000) 40,000
5319 Roads Equipment
City of Pickering
2023
Capital Forecast
5319.2301 Road Grader with Automatic Grade Control -ReplacemE
6178 Machinery & Equipment
Road Grader -replace unit #11 0 (2013)
7062 R -Major Equipment
Total 5319.2301 Road Grader with Automatic Grade Control -Rep
5319.2303 Hydroscopic Excavator Replacement
1701 Debt-5 Year
6178 Machinery & Equipment
Hydroscopic Excavator -Replace unit #117 (2012)
Total 5319.2303 Hydroscopic Excavator Replacement
Total 5319 Roads Equipment
217
Run Date: Mar 12, 2020
Funding Expense
400,000
(400,000)
(400,000) 400,000
(500,000)
500,000
(500,000) 500,000
(900,000) 900,000
· 5319 Roads Equipment
5319.2401 Asphalt Heater -Replacement
2823 Paid from Property r axes
6178 Machinery & Equipment
Replace unit #144 (2016)
City of Pickering
2024
Capital Forecast
Total 5319.2401 Asphalt Heater -Replacement
5319.2402 Asphalt Heater -New
2823 Paid from Property Taxes
6178 Machinery & Equipment
Asphalt Heater -New. Truck mounted unit.
Total 5319.2402 Asphalt Heater -New
Total 5319 Roads Equipment
218
Run Date: Mar 12, 2020
Funding Expense
(40,000)
40,009
(40,000) 40,000
(50,000)
50,000
(50,000) 50,000
(90,000) 90,000
5315 Operations Centre
Expenditures
6173 Furniture & Fixtures
6430 Prof/Consult Fees -Seaton
6500 Building Related
Total Expenditures
Financing
1701 Debt -5 Year
City of Pickering.
Multi-Year Capital Forecast
2021 -2024
2021
Forecast
500,000
500,000
7615 RF DC -Other Services Related to a Highway (500,000)
Total Financing (500,000)
219
Run Date: Mar 12, 2020
2022 2023 2024
Forecast Forecast Forecast
300,000
4,500,000
4 500 000 300 000
(300,000)
(4,500,000)
(4,500,000) (300,000)
5315 Operations Centre
City of Pickering
2021
Capital Forecast
5315.2101 Ops. Ctre. Northern Satellite Facility -Design
6430 Prof/Consult Fees -Seaton
Design of new Operations Centre Northern Satellite Facility
7615 RF DC -Other Services Related to a Highway
Total 5315.2101 Ops. Ctre. Northern Satellite Facility-Design
Total 5315 Operations Centre
220
Run Date: Mar 12, 2020
Funding Expense
500,000
(500,000)
(500,000) 500,000
(500,000) 500,000
5315 Operations Centre
City of Pickering
2022
Capital Forecast
5315.2201 Operations Centre Northern Satellite Facility -Construc1
6500 Building Related
Operations Centre Northern Satellite Facility -Con_struction
7615 RF DC -Other Services Related to a Highway
Total 5315.2201 Operations Centre Northern Satellite Facility-Co
Total 5315 Operations Centre
221
Run Date: Mar 12, 2020
Funding Expense
4,500,000
(4,500,000)
(4,500,000) 4,500,000
(4,500,000) 4,500,000
5315 Operations Centre
City of Pickering
2023
· Capital Forecast
5315.2301 Ops. Ctre. Northern Satellite Facility -FF&E
1701 Debt -5 Year
6173 Furniture & Fixtures
Furniture, fixtures and equipment for the new northern satellite
facility.
Total 5315.2301 Ops. Ctre. Northern Satellite Facility-FF&E
Total 5315 Operations Centre
222
Run Date: Mar 12, 2020
Funding Expense
(300,000)
300,000
(300,000) 300,000
(300,000) 300,000
5780 Parks
Expenditures
6129 Parks -Landscape Refurbishment
6178 Machinery & Equipment
6181 Other Fixed Assets
6183 Accessibility
6230 Prof/Consulting Fees
6265 Land Acquisition & Disp
6429 Parks -Landscape Refurb -Seaton
Total Expenditures
Financing
1701 Debt-5 Year
1702 Debt-10 Year
1703 Debt-15 Year
1704 Debt -20 year
1711 Internal Loan -5 Year
1712 Internal Loan-10 Year
2823 Paid from Property Taxes
7022 R -DC's City's Share
7057 R -Fence
7060 R -Seaton Land Grp FIA
7062 R -Major Equipment
City of Pickering
Multi-Year Capital Forecast
2021 -2024
2021
Forecast
6,240,000
40,000
60,000
450,000
25,000
3,460,000
10 275 000
(2,171,750)
(1,000,000)
(705,000)
(260,000)
(416,500)
(60,000)
7069 R -Community Benefit Charge Reserve (4,494,288)
7501 RF -Third Party Contribution (40,000)
7502 RF -Parkland (484,099)
7505 RF -Federal Gas Tax
7713 RF -Seaton Land Grp FIA (643,363)
Total Financing (10,275,000)
223
Run Date: Mar 12, 2020
2022 2023 2024
Forecast Forecast Forecast
4,117,900 2,591,000 7,787,800
345,000 20,000 150,000
60,000
530,000 500,000
1,504,000
1,600,000 3,390,000 3,190,000
6 652 900 6.501 000 12.631 800
(300,000)
(620,000)
(1,000,000) (1,000,000)
(1,504,000)
(945,000) (360,000) (610,000)
(136,000)
(235,000) (120,000) (40,000)
(962,327) (375,161) (3,450,705)
(60,000)
(311,169)
(110,000)
(1,739,573) (2,933,092) (5,313,804)
(920,000) (535,000)
(655,000) (80,000) (570,000)
(712,747) (187,122)
(6,652,900) (6,501,000) (12,631,800)
City of Pickering
2021
Capital Forecast
5780 Parks
5780.2101 Beachfront Park a Master Plan -Phase 1
1703 Debt-15 Year
6129 Parks -Landscape Refurbishment
Implementation of Beachfront Master Plan -Phase 1. Project to be
phased over 3 years. Components to be determined through the
Waterfront Park Needs Assessment.
Total 5780.2101 Beachfront Park -Master Plan -Phase 1
5780.2102 Neighbourhood Park -Seaton P-109
6429 Parks -Landscape Refurb -Seaton
Neighbourhood Park-Seaton P-109 (88/12)
7069 R .: Community Benefit Charge Reserve
The revenue is an estimate at this current time. The Provincial
legislation for the calculation for the Community Benefit Charge
(CBC) is not available and there is a risk that the CBC revenue
could be substantially lower than current DC fees for soft services.
7713 RF -Seaton Land Grp FIA
Total 5780.2102 Neighbourhood Park -Seaton P-109
5780.2103 Glendale Tennis Courts Resurfacing
2823 Paid from Property Taxes
6129 Parks -Landscape Refurbishment
Glendale Tennis Courts Resurfacing
Total 5780.2103 Glendale Tennis Courts Resurfacing
5780.2104 Pathway Construction (Accessibility to Sports Fields)
1711 Internal Loan -5 Year
6183 Accessibility
Accessibility to sports fields/pathway construction -various parks
(Kinsmen Park -Soccer 2, 3 & 4 )
Total 5780.2104 Pathway Construction (Accessibility to Sports Fie
5780.2105 Outdoor Exercise Equipment -Location TBD
2823 Paid from Property Taxes
6129 Parks -Landscape Refurbishment
Outdoor Exercise Equipment -Location to be determined.
Total 5780.2105 Outdoor Exercise Equipment -Location TBD
5780.2101:, Beachlawn Park -Multi-use Court
2823 Paid from Property Taxes
224
Run Date: Mar 12, 2020
Funding Expense
(1,000,000)
1,000,000
(1,000,000) 1,000,000
550,000
(434,363)
(115,637)
(550,000) 550,000
(60,000)
60,000
(60,000) 60,000
(100,000)
100,000
(100,000) 100,000
(60,000)
60,000
(60,000) 60,000
(75,000)
City of Pickering
2021
Capital Forecast
5780 Parks
6129 Parks -Landscape Refurbishment
Beachlawn Park -single basketball court
Total 5780.2106 Beachlawn Park -Multi-use Court
5780.2107 Neighbourhood Park -Seaton P-124
6429 Parks -Landscape Refurb -Seaton
Neighbourhood Park -Seaton P-124 (88/12)
7069 R -Community Benefit Charge Reserve
The revenue is an estimate at this current time. The Provincial
legislation for the calculation for the Community Benefit Charge
(CBC) is not available and there is a risk that the CBC revenue
could be substantially lower than current DC fees for soft services.
7713 RF -Seaton Land Grp FIA
Total 5780.2107 Neighbourhood Park -Seaton P-124
5780.2108 Parks Property Line Fences Replacement
6181 Other Fixed Assets
Property Line Fences Replacement.
7057 R -Fence
Total 5780.2108 Parks Property Line Fences Replacement
5780.2109 Enclosed Trailer Replacement
2823 Paid from Property Taxes
6178 Machinery & Equipment
Covered Trailer Replacement, unit #708 (2015)
Total 5780.2109 Enclosed Trailer Replacement
5780.2110· Enclosed Trailer Replacement
2823 Paid from Property Taxes
6178 Machinery & Equipment
Enclosed Trailer Replacement, unit #712 (2014)
Total 5780.2110 Enclosed Trailer Replacement
5780.2112 Community Park -Seaton P-115 Design
6429 Parks -Landscape Refurb -Seaton
Community Parks (Seaton) P-115 (88/12)
· 7069 R -Community Benefit Charge Reserve
The revenue is an estimate at this current time. The Provincial
legislation for the calculation for the Community Benefit Charge
(CBC) is not available and there is a risk that the CBC revenue
could be substantially lower than current DC fees for soft services.
225
Run Da.te: Mar 12, 2020
Funding Expense
75,000
(75,000) 75,000
540,000
(426,465)
(113,535)
(540,000) 540,000
60,000
(60,000)
(60,000) 60,000
(20,000)
20,000
(20,000) 20,000
(20,000)
20,000
(20,000) 20,000
200,000
(157,950)
City of Pickering
2021
Capital Forecast
5780 Parks
7713 RF -Seaton Land Grp FIA
Total 5780.2112 Community Park -Seaton P-11_5 Design
5780.2113 Village Gre.en -Seaton {P108)
6429 Parks -Landscape Refurb -Seaton
New Village Green (88/12) in Seaton (P108)
7069 R -Community Benefit Charge Reserve
The revenue is an estimate at this current time. The Provincial
legislation for the calculation for the Community Benefit Charge
(CBC) is not available and there is a risk that the CBC revenue
could be substantially lower than current DC fees for soft services.
7713 RF -Seaton Land Grp FIA
Total 5780.2113 Village Green -Seaton {P108)
5780.2114 BRC -Parking Lot Paving
1711 Internal Loan -5 Year
6129 Parks -Landscape Refurbishment
Brock Ridge Park parking lot -reconstruction and paving of gravel
parking lot and line painting ·
Total 5780.2114 BRC -Parking Lot Paving
5780.2117 Village Green -Seaton P-125
6429 Parks -Landscape Refurb -Seaton
Village Green Seaton P-125 (88/22)
7069 R -Community Benefit Charge Reserve
The revenue is an estimate at this current time. The Provincial
legislation for the_ calculation for the Community Benefit Charge
(CBC) is not available and there is a risk that the CBC revenue
could be substantially lower than current DC fees for soft services.
7713 RF -Seaton Land Grp FIA
Total 5780.2117 Village Green -Seaton P-125
5780.2118 Village Green -Seaton P-126
6429 Parks -Landscape Refurb -Seaton
Village Green Seaton P-126 (88/22)
7069 R -Community Benefit Charge Reserve
The revenue is an estimate at this current time. The Provincial
legislation for the·calculation for the Community Benefit_Charge
(CBC) is not available and there is a risk that the CBC revenue
could be substantially lower than current DC fees for soft services.
226
Run Date: Mar 12, 2020
Funding Expense
(42,050)
(200,000) 200,000
250,000
(197,438)
(52,562)
(250,000) 250,000
(120,000)
120,000
(120,000) 120,000
240,000
(189,540)
(50,460)
(240,000) 240,000
260,000
(205,335)
City of Pickering
2021
Capital Forecast
5780 Parks
7713 RF -S_eaton Land Grp FIA
Total 5780.2118 Village Green -Seaton P-126
5780.2119 Village Green -Seaton P-127
6429 Parks -Landscape Refurb -Seaton
Village Green Seaton P-127 (88/22)
7069 R -Community Benefit Charge Reserve
The revenue, is an estimate at this current time, The Provincial
legislation for the calculation for the Community Benefit Charge
(CBC) is not available and there is a risk that the CBC revenue
could be substantially lower than current DC fees for soft services.
7713 RF -Seaton Land Grp FIA
Total 5780.2119 Village Green -Seaton P-127
5780.2120 Amberlea Park Hard Ball Diamond -Outfield Fence
1711 Internal Loan - 5 Year
6129 Parks -Landscape Refurbishment
Amberlea Hard Ball Diamond-Outfield Fence Replacement ( 6 Foot
Fence, O-pipe Cap and Earthworks).
Total 5780.2120 Amberlea Park Hard Ball Diamond -Outfield Fenc
5780.2121 · RFBW Park Phase 2 & 3
1702 Debt-10Year
6129 Parks -Landscape Refurbishment
Rotary Frenchman's Bay West Park Waterfront Master Plan -
Phase 2 & 3 (45/55). Construction of road and pedestrian walk
(parking lot to boat launch), installation of watermain, construction of
parking area, the remainder of the trail system through the park,
boat launch and docking facilities, viewing platforms, signage, park
furniture and shoreline restoration works.
6183 Accessibility
7069 R -Community Benefit Charge Reserve
The revenue is an estimate at this current time. The Provincial
legislation for the calculation for the Community Benefit Charge
(CBC) is not available and there is a risk that the CBC revenue
could be substantially lower than current DC fees for soft services.
Total 5780.2121 RFBW Park Phase 2 & 3
5780.2122 Dunmore Park -Off Leash Area
1711 Internal Loan -5 Year
6129 Parks -Landscape Refurbishment
227
Run Date: Mar 12, 2020
Funding Expense
(54,6(35)
(260,000) 260,000
230,000
(181,643)
(48,357)
(230,000) 230,000
(150,000)
150,000
(150,000) 150,000
(1,755,250)
2,850,000
100,000
(1,194,750)
(2,950,000) 2,950,000
(110,000)
110,000
City of Pickering
2021
Capital Forecast
5780 Parks
Conversion of small baseball diamond to off leash dog area
Total 5780.2122 Dunmore Park -Off Leash Area
5780.2123 RFBW Park-Washroom Facility
6129 Parks -Landscape Refurbishment
Supply and installation of an accessible washroom facility off
Beachpoint Promenade, including utility connections (45/55) (50%
of the cost associated with accessibility).
6183 Accessibility
7022 R -DC's City's Share
7069 R -Community Benefit Charge Reserve
The revenue is an estimate at this current time. The Provincial
legislation for the calculation for the Community Benefit Charge
(CBC) is not available and there is a risk that the CBC revenue
could be substantially lower than current DC fees for soft services.
Total 5780.2123 RFBW Park-Washr.oom Facility
5780.2124 Skate Board Park (Skate spot) (Location TBD)
6129 Parks -Landscape Refurbishment
Skate Board Park (Skate Spot) (Location TBD) (45/55)
7022 R -DC's City's Share
7069 R -Community Benefit Charge Reserve
The revenue is an estimate at this current time. The Provincial
legislation for the calculation for the Community Benefit Charge
(CBC) is not available and there is a risk that the CBC revenue
could be substantially lower than current DC fees for soft services.
Total 5780.2124 Skate Board Park (Skate spot) (Location TBD)
5780.2125 Mapleridge Park Master Plan -Design Only
2823 Paid from Property Taxes
6230 Prof/Consulting Fees
Mapleridge Park Master Plan -Design Only
Total 5780.2125 Mapleridge Park Master Plan -Design Only
5780.2127 St. Mary's Park -Soccer Field Rehabilitation
1711 Internal Loan -5 Year
6129 Parks -Landscape Refurbishment
St Mary's East Soccer Field Rehabilitation.
Total 5780.2127 St. Mary's Park -Soccer Field Rehabilitation
5780.2132 Village Green -Seaton P-105
228
Run Date: Mar 12, 2020
Funding Expense
(110,000) 110,000
250,000
250,000
(297,500)
(202,500)
(500,000) 500,000
200,000
(119,000)
(81,000)
(200,000} 200,000
(25,000)
25,000
(25,000) 25,000
(225,000)
225,000
(225,000) 225,000
City of Pickering
2021
Capital Forecast
5780 Parks
6429 Parks -Landscape Refurb -Seaton
New Village Green (88/12) in Seaton P-105
7069 R -Community Benefit Charge Reserve
The revenue is an estimate at this current time. The Provincial
legislation for the calculation for the Community Benefit Charge
(CBC) is not available and there is a risk that the CBC revenue
could be substantially lower than current DC fees for soft services.
7713 RF -Seaton Land Grp FIA
Total 5780.2132 Village Green -Seaton P-105
5780.2133 Village Green -Seaton P-106
6429 Parks -Landscape Refurb -Seaton
New Village Green (88/12) in Seaton P-106
7069 R -Community Benefit Charge Reserve
The revenue is an estimate at this current time. The Provincial
legislation for the calculation for the Community Benefit Charge
(CBC) is not available and there is a risk that the CBC revenue
could be substantially lower than current DC fees for soft services.
7713 RF -Seaton Land Grp FIA
Total 5780'.2133 Village Green -Seaton P-106
5780.2135 Skate Board Park -Community Size (Civic Centre)
1702 Debt -10 Year
6129 Parks -Landscape Refurbishment
Community size skat~ board park (civic centre) (45/55)
7069 R -Community Benefit Charge Reserve
The revenue is an estimate at this current time. The Provincial
legislation for the calculation for the Community Benefit Charge
(CBC) is not available·and there is a risk that the CBC revenue
could be substantially lower than current DC fees for soft services.
Total 5780.2135 Skate Board Park -Community Size (Civic Centre)
5780.2136 Village Green -Seaton P-110
6429 Parks -Landscape Refurb -Seaton
Village Green Seaton P-110 (88/12)
7069 R -Community Benefit Charge Reserve
The revenue is an estimate at this current time. The Provincial
legislation for the calculation for the Community Benefit Charge
(CBC) is not available and there is a risk that the CBC revenue
could be substantially lower than current DC fees for soft services.
229
Run Date: Mar 12, 2020
Funding Expense
230,000
(181,643)
(48,357)
(230,000) 230,000
120,000
(94,770)
(25,230)
(120,000) 120,000
(416,500)
700,000
(283,500)
(700,000) 700,000
230,000
(181,643)
City of Pickering
2021
Capital Forecast
5780 Parks
7502 RF -Parkland
Total 5780.2136 Village Green -Seaton P-110
5780.2137 Village Green -Seaton P-111
6429 Parks -Landscape Refurb -Seaton
Village Green Seaton P-111 (88/12)
7069 R -Community Benefit Charge Reserve
The revenue is an estimate at this current time. The Provincial
legislation for the calculation for the Community Benefit Charge
(CBC) is not available and there is a risk that the CBC revenue
could be substantially lower than current DC fees for soft services.
7502 RF -Parkland
Total 5780.2137 Village Green -Seaton P-111
5780.2138 Neighbourhood Park -Seaton (P107)
6429 Parks -Landscape Refurb -Seaton
New Neighbourhood Park in Seaton (88/12).
7069 R -Community Benefit Charge Reserve
The revenue is an estimate at this current time. The Provincial
legisJation for the calculation for the Community Benefit Charge
(CBC) is not available and there is a risk that the CBC revenue
could be substantially lower than current DC fees for soft services.
7713 RF -Seaton Land Grp FIA
Total 5780.2138 Neighbourhood Park -Seaton (P107)
5780.21;39 Balsdon Park -Master Plan Implementation
6129 Parks -Landscape Refurbishment
Reconstruction of Balsdon Park to include elements from the
approved Master Plan -off leash dog area, playground equipment,
pathways, lighting, park furniture, shade structure and landscaping.
7501 RF -Third Party Contribution
7502 RF -Parkland
Total 5780.2139 Balsdon Park -Master Plan Implementation
Total 5780 Parks
230
Run Date: Mar 12, 2020
Funding Expense
(48,357)
(230,000) 230,000
170,000
(134,258)
(35,742)
(170,000) 170,000
440,000
(347,490)
(92,510)
(440,000) 440,000
440,000
(40,000)
(400,000)
(440,000) 440,000
(10,275,000) 10,275,000
5780 Parks
City of Pickering
2022
Capital Forecast
5780.2201 Reconstruction of Existing Asphalt Pathways -Location
1711 Internal Loan -5 Year
6429 Parks -Landscape Refurb -Seaton
Reconstruction of Existing Asphalt Pathways -Location to be
determined
Total 5780.2201 Reconstruction of Existing Asphalt Pathways -Lo
5780.2202 Tractor Replacement
2823 Paid from Property Taxes
6178 Machinery & Equipment
Tractor Replacement Unit 760 (2007)
Total 5780.2202 Tractor Replacement
5780.2203 Dunmoore Park ~ Parking Lot Reconstruction
1711 Internal Loan -5 Year
6129 Parks -Landscape Refurbishment
Pave & Curb Dunmoore Park Gravel Parking Lot.
Total 5780.2203 Dunmoore Park -Parking Lot Reconstruction
5780.2204 Vacuum Excavator Replacement
2823 Paid from Property Taxes
6178 Machinery & Equipment
Vacuum Excavator -Replace unit #726 (2012)
Total 5780.2204 Vacuum Excavator Replacement
5780.2205 Tractor Replacement
1711 Internal Loan -5 Year
6178 Machinery & Equipment
Tractor -replace unit #124 (2009)
Total 5780.2205 Tractor Replacement
5780.2206 Mapleridge Park Master Plan -Construction
6129 Parks -Landscape Refurbishment
Mapleridge Park Master Plan -Construction -remove baseball
diamond and replace with mini soccer field and new Tennis Courts.
New soccer nets, relocate path to avoid flood plain, upgrade all
other pathways, replace walkway lighting and wiring, remove
concrete foundation. Project scope also includes reconstruction of
Maple Ridge Tennis Courts.
7502 RF -Parkland
Total 5780.2206 Mapleridge Park Master Plan -Construction
231
Run Date: Mar 12, 2020
Funding Expense
(150,000)
150,000
(150,000) .150,000
(90,000)
90,000
(90,000) 90,000
(155,000)
155,000
(155,000) 155,000
(60,000)
60,000
(60,000) 60,000
(110,000)
110,000
(110,000) 110,000
400,000
(400,000)
(400,000) 400,000
5780 Parks
City of Pickering
2022
Capital Forecast
5780.2207 Parks Property Line Fence Replacement
6181 Other Fixed Assets
Property Line Fence Replacement
7057 R -Fence
Total 5780.2207 Parks Property Line Fence Replacement
5780.2208 Valleyview Park -Playground Reconstruction
6129 Parks -Landscape Refurbishment
Playground Reconstruction Valleyview Park
..
7502 RF -Parkland
Total 5780.2208 Valleyview Park -Playground Reconstruction
5780.2209 Kinsmen Park -Artificial Soccer Field Lighting
6129 Parks -Landscape Refurbishment
Kinsmen Artificial Soccer Field Lighting Replacement (L.E.D).
7505 RF -Federal Gas Tax •
Total 5780.2209 Kinsmen Park -Artificial Soccer Field Lighting
5780.2210 St Mary's Park -Running Track Resurfacing
6129 Parks -Landscape Refurbishment
St Mary Artificial Turf Field
7502 RF -Parkland
Total 5780.2210 St Mary's Park -Running Track Resurfacing
5780.2212 Flail Mower -New
2823 Paid from Property Taxes
6178 Machinery & Equipment
Flail Mower -New
Total 5780.2212 Flail Mower -New
5780.2213 Beachfront Park -Master Plan -Phase 2
1703 Debt-15 Year
6129 Parks -Landscape Refurbish_ment
Implementation of Beachfront Master Plan -Phase 2. Project to be
phased over 3 years. Components to be determined through the
Waterfront Park Needs Assessment.
Total 5780.2213 Beachfront Park -Master Plan -Phase 2
5780.2215 Enclosed Trailer Replacement (2)
2823 Paid from Property Taxes
6178 Machinery & Equipment
232
Run Date: Mar 12, 2020
Funding Expense
60,000
(60,000)
(60,000) 60,000
120,000
(120,000)
(120,000) 120,000
655,000 .
(655,000)
(655,000) 655,000
400,000.
(400,000)
(400,000) 400,000
(45,000)
45,000
(45,000) 45,000
(1,000,000)
1,000,000
(1,000,000) 1,000,000
(40,000)
40,000.
City of Pickering
2022
Capital Forecast
5780 Parks
Enclosed Trailer -replace unit #719 (2012) & unit #786 (2017).
Total 5780.2215 Enclosed Trailer Replacement (2)
5780.2217 Pathway Construction (Accessibility to Parks)
1711 Internal Loan -5 Year
6183 Accessibility
Accessibility Pathways to Parks -Alex Robertson Park subject to
OPG approval
Total 5780.2217 Pathway Construction (Accessibility to Parks)
5780.2218 Trail from Creekside Park to SWM Pond
1711 Internal Loan -5 Year
6183 Accessibility
Trail from Creekside Park to SWM Pond -Asphalt -Design,
Approvals and Construction
Total 5780.2218 Trail from Creekside Park to SWM Pond
5780.2219 Krosno Creek Valley -Park Construction
6129 Parks -Landscape Refurbishment
Krosno Creek Valley (Hwy 401 to Bayly St.) Park Construction
7022 R -DC's City's Share
7069 R -Community Benefit Charge Reserve
The revenue is an estimate at this current time. The Provincial
legislation for the calculation for the Community Benefit Charge
(CBC) is not available and there is a risk that the CBC revenue
could be substantially lower than current DC fees for soft services:
Total 5780.2219 Krosno Creek Valley -Park Construction
5780.2220 Primary Trail Network -Seaton T-1
6429 Parks -Landscape Refurb -Seaton
Primary trail network Seaton T-1 (88/12)
7022 R -DC's City's Share
7069 R -Community Benefit Charge Reserve
The revenue is an estimate at this current time. The Provincial
legislation for the calculation for the. Community Benefit Charge
(CBC) is not available and there is a risk that the CBC revenue
could be substantially lower tha.n current DC fees for soft services.
Total 5780.2220 Primary Trail Network -Seaton T-1
5780.2221 Primary Trail Network -Seaton T-4/T-5
6429 Parks -Landscape Refurb -Sec1ton
233
Run Date: Mar 12, 2020
Funding Expense
(40,000) 40,000
(300,000)
300,000
(300,000) 300,000
(230,000)
230,000
(230,000) 230,000
269,800
(73,116)
(196,684)
(269,800) 269,800
360,000
(75,690)
(284,310)
(360,000) 360,000
1,090,000
City of Pickering
2022
Capital Forecast
5780 Parks
Primary trail network Seaton T-4!T-5 (88/12)
7022 R -DC's City's Share
7069 R -Community Benefit Charge Reserve
The revenue is an estimate at this current time. The Provincial
legislation for the calculation for the Community Benefit Charge
(CBC) is not available and there is a risk that the CBC revenue
could be substantially lower than current DC fees for soft services.
Total 5780.2221 Primary Trail Network -Seaton T-4/T-5
5780:2222 Kinsmen Park0 Sandy Beach Tennis Courts Resurfacing
1712 Internal Loan-10 Year
6129 Parks -Landscape Refurbishment
Kinsmen Park-Sandy Beach Tennis Courts Resurfacing
Total 5780.2222 Kinsmen Park-Sandy Beach Tennis Courts Resurl
5780.2223 Trail -Hydro Corridor -Liverpool to Whites
6129 Parks -Landscape Refurbishment
Multi Purpose Trail -Hydro Corridor (Liverpool Rd. to Whites Rd.)
(45/55)
7022 R -DC's City's Share
7069 R -Community Benefit Charge Reserve
The revenue is an estimate at this current time. The Provincial
legislation for the calculation for the Community Benefit Charge
(CBC) is not available and there is a risk that the CBC revenue
could be substantially lower than current DC fees for soft services.
Total 5780.2223 Trail -Hydro Corridor -Liverpool to Whites
Total 5780 Parks
234
Run Date: Mar 12, 2020
Funding Expense
(229,172)
(860,828)
(1,090,000) 1,090,000
(136,000)
136,000
(136,000) 136,000
982,100
(584,349)
(397,751)
(982,100) 982,100
(6,652,900) 6,652,900
City of Pickering
2023
Capital Forecast
5780 Parks
5780.2301 Dunmoore Park Pathway Construction
1711 Internal Loan - 5 Year
6183 Accessibility
Construction of asphalt path from Dunmoore parking lot to Engel
Court and Atwood Crs. Will include removing stairs at Engel Court
for accessibility
Total 5780.2301 Dunmoore Park Pathway Construction
5780.2302 J. McPherson Park -Accessible Pathway Construction
1701 Debt-5 Year
6183 Accessibility
New Accessibility Pathway at J. McPherson Park. From Parking lot
to Baseball diamond and to the walkway at Pebble Court.
Total 5780.2302 J. McPherson Park -Accessible Pathway Constru
5780.2303 Neighbourhood Park -Seaton P-122
6429 Parks -Landscape Refurb -Seaton
Neighbourhood Park (Seaton) P-122 (88/12)
7069 R -Community Benefit Charge Reserve
The revenue is an estimate at this current time. The Provincial
legislation for the calculation for the Community Benefit Charge ·
(CBC) is not available and there is a risk that the CBC revenue
could be subst;mtially lower than current DC fees for soft services.
7713 RF -Seaton Land Grp FIA
Total 5780.2303 Neighbourhood Park -Seaton P-122
5780.2304 RHM Park -Tennis Court Lighting Replacement
6129 Parks -Landscape Refurbishment
Replacement of tennis court lighting to LED, wiring & poles at Rick
Hull Park.
7505 RF -Federal Gas Tax
Total 5780.2304 RHM Park -Tennis Court Lighting Replacement
5780.2305 Community Park -Construction -Seaton P-115·
6429 Parks -Landscape Refurb -Seaton
Community Park -Construction -Seaton P0 115 (88/12).
7069 R -Community Benefit Charge Reserve
235
Run Date: Mar 12, 2020
Funding Expense
(200,000)
200,000
(200,000) 200,000
(300,000)
300,000
(300,000) 300,000
590,000
(465,953)
(124,047)
(590,000) 590,000
80,000
(80,000)
(80,000) 80,000
2,800,000
(2,211,300)
City of Pickering
2023
Capital Forecast
5780 Parks
The revenue is an estimate at this current time. The Provincial
legislation for the calculation for the Community Benefit Charge
(CBC) is not available and there is a risk that the CBC revenue
could be substantially lower than current DC fees for soft services.
7713 RF -Seaton Land Grp FIA
Total 5780.2305 Community Park -Construction -Seaton P-115
5780.2306 Enclosed Trailer Replacement
2823 Paid from Property Taxes
6178 Machinery & Equipment
Enclosed Trailer -replace unit #781 (2018)
Total 5780.2306 Enclosed Trailer Replacement
5780.2310 Skate Board Park -(skate spot) (Location TBD)
6129 Parks -Landscape Refurbishment
Skate Board Park -(skate spot) (Location TBD) (45/55)
7022 R -DC's City's Shar.e
7069 R -Community Benefit Charge Reserve
The revenue is an estimate at this current time. The Provincial
legislation for the calculation for the Community Benefit Charge
(CBC) is not available and there is a risk that the CBC revenue
could be substantially lower than current DC fees for soft services.
Total 5780.2310 Skate Board Park -(skate spot) (Location TBD)
5780.2311 Greenwood Park Master Plan -Design
2823 Paid from Property Taxes
6129 Parks -Landscape Refurbishment
Develo"p a master plan for the redevelopment of Greenwood Park
Total 5780.2311 Greenwood Park Master Plan -Design
5780.2312 BRK Park -North Parking Lot Paving
1711 Internal Loan -5 Year
6129 Parks -Landscape Refurbishment
Paving & Line Painting of Kinsmen North Parking Lot
Total 5780.2312 BRK Park -North Parking Lot Paving
5780.2314 BRK Park Soccer Artificial Turf Replacement
· 1702 Debt-10 Year
6129 Park~ -Landscape Refurbishment
Replacement of artificial turf surface at Bayridges Kinsmen Park
Soccer Field.
236
Run Date: Mar 12, 2020
Funding Expense
(588,700)
(2,800,000) 2,800,000
(20,000)
20,000
(20,000) 20,000
200,000
(119,000) ,
(81,000)
(200,000) 200,000
(100,000)
100,000
(100,000) 100,000
(160,000)
160,000
(160,000) 160,000
(620,000)
620,000
5780Parks
City of Pickering
2023
Capital Forecast
Total 5780.2314 BRK Park Soccer Artificial Turf Replacement
5780.2316 Trail -Wharf Street to Sandy Beach Road
6129 Parks -Landscape Refurbishment
Wharf Street to Sandy Beach Road
7022 R -DC's City's Share
7069 R -Community Benefit Charge Reserve
Total 5780.2316 Trail -Wharf Street to Sandy Beach Road
5780.2318 Beachfront Park -Master Plan -Phase 3
1703 Debt-15 Year
6129 Parks -Landscape Refurbishment
Implementation of Beachfront Master Plan -Phase 3. Project to be
phased over 3 years. Components to be determined through the
Waterfront Park Needs Assessment.
Total 5780.2318 Beachfront Park -Master Plan -Phase 3
Total 5780 Parks
237
Run Date: Mar 12, 2020
Funding Expense
(620,000) 620,000
431,000
(256,161)
(174,839)
(431,000) 431,000
(1,000,000)
1,000,000
(1,000,000) 1,000,000
(6,501,000) 6,501,000
City of Pickering
2024
Capital Forecast
5780 Parks
5780.2401 Village Green -Seaton P-116
6429 Parks -Landscape Refurb -Seaton
Village Green Seaton P-116 (88/12).
7060 R -Seaton Land Grp f=IA
7069 R -Community Benefit Charge Reserve
The revenue is an estimate at this current time. The Provincial
legislation for the calculation for the Community Benefit Charge
(CBC) is not available and there is a risk that the CBC revenue
could be substantially lower than current DC fees for soft services.
Total 5780.2401 Village Green -Seaton P-116
5780.2402 Village Green -Seaton P-117
6429 Parks -Landscape Refurb -Seaton
Village Green Seaton P-117 (88/12).
7060 R -Seaton Land Grp FIA
7069 R -Community Benefit Charge Reserve
The revenue is an estimate at this current time. The Provincial
legislation for the calculation for the Community Benefit Charge·
(CBC) is not available and there is a risk that the CBC revenue
could be substantially lower than current DC fees for soft services.
Total 5780.2402 Village Green -Seaton P-117
5780.2403 Village Green -Seaton P-118
6429 Parks -Landscape Refurb -Seaton
Village Green Seaton P-118 (88/12)
7060 R -Seaton Land Grp FIA
7069 R -Community Benefit Charge Reserve
The revenue is an estimate at this current time. The Provincial
legislation for the calcul~tion for the Community Benefit Charge
(CBC) is not available and there is a risk t.hat the CBC revenue
could be substantially lower than current DC fees for soft services.
Total 5780.2403 Village Green -Seaton P-118
5780.2404 Village Green -Seaton P-119
6429 Parks -Landscape Refurb -Seaton
Village Green Seaton P-119 (88/12)
7060 R -Seaton Land Grp FIA
7069 R -Community Benefit Charge Reserve
238
Run Date: Mar 12, 2020
Funding Expense
230,000
(48,357)
(181,643)
(230,000) 230,000
540,000
(113,535)
(426,465)
(540,000) 540,000
230,000
(48,357)
(181,643)
(230,000) 230,000
480,000
(100,920)
(379,080)
City of Pickering
2024
Capital Forecast
5780 Parks
The revenue is an estimate at this current time. The Provincial
legislation for the calculation for the Community Benefit Charge
(CBC) is not available and there is a risk that the CBC revenue
could be substantially lower than current DC fees for soft services .
. Total 5780.2404 Village Green -Seaton P-119
5780.2405 Village Green -Seaton P-121
6429 Parks -Landscape Refurb -Seaton
Village Green Seaton P-121 (88/12).
7069 R -Community Benefit Charge Reserve
The revenue is an estimate at this current time. The Provincial
legislation for the calculation for the Community Benefit Charge
(CBC) is not available and there is a risk that the CBC revenue
could be·substantially lower than current DC fees for soft services.
7713 RF -Seaton Land Grp FIA
Total 5780.2405 Village Green -Seaton P-121
5780.2406 Primary Trail Network -Seaton T-9
6429 Parks -Landscape Refurb -Seaton
Primary Trail Network -Seaton T9 (88/12).
7022 R -DC's City's Share
7069 R -Community Benefit Charge Reserve .
The revenue is an estimate at this current time. The Provincial
legislation for the calculation for the Community Benefit Charge
(CBC) is not available and there is a risk that the CBC revenue
could be substantially lower than current DC fees for soft services .
. Total 5780.2406 Primary Trail Network -Seaton T-9
5780.2407 Primary Trail Network -Seaton T-10
6429 Parks -Landscape Refurb -Seaton
Primary Trail Network -Seaton T10 (88/12).
7022 R -DC's City's Share
7069 R -Community Benefit Charge Reserve .
The revenue is an estimate at this current time. The Provincial
iegislation for the calculation for the Community Benefit Charge
(CBC) is not available and there is a risk that the CBC revenue
could be substantially lower than current PC fees for soft services.
Total 5780.2407 Primary Trail Network -Seaton T-10
5780.2408 Pathway Reconstruction Major Oaks Park
1711 Internal Loan -5 Year
239
Run Date: Mar 12, 2020
Funding Expense
(480,000) 480,000
390,000
(308,003)
(81,997)
(390,000) 390,000
140,000
(29,435)
(110,565)
(140,000) 140,000
320,000
(67,280)
(252,720)
(320,000) 320,000
(150,000)
City of Pickering
2024
Capital Forecast
5780 Parks
6129 Parks -Landscape Refurbishment
Pathway reconstruction within Major Oaks Park
Total 5780.2408 Pathway Reconstruction Major Oaks Park
5780.2409 Solar Pathway Lighting Woodview Tot Lot -New
6129 Parks -Landscape Refurbishment
New lighting for pathway through Woodview Tot Lot for Safety
7505 RF -Federal Gas Tax
Total 5780.2409 Solar Pathway Lighting Woodview Tot Lot -New
5780.2410 Baseball Light Replacement -Kirkey Field
6129 Parks -Landscape Refurbishment
Replace existing lights with LED
7505 RF -Federal Gas Tax
Total 5780.2410 Baseball Light Replacement -Kirkey Field
5780.2411 Pathway Reconstruction Locations TBD
1711 Internal Loan -5 Year
6129 Parks -Landscape Refurbishment
Pathway reconstruction various locations TBD
Total 5780.2411 Pathway Reconstruction Locations TBD
5780.2412 Playground Replacement -Chickadee Park
6129 Parks -Landscape Refurbishment
Replacement of playground in Chickadee Park with accessibility
options added.
7502 RF -Parkland
Total 5780.2412 Playground Replacement-Chickadee Park
5780.2413 RHM Park -Playground Replacement
6129 Parks -Landscape Refurbishment
Replacement of playground in Rick Hull Memorial Park with
accessibility options added
7502 RF -Parkland
Total 5780.2413 RHM Park -Playground Replacement
5780.2414 Tile Drainage Sport Fields
6129 Parks -Landscape Refurbishment
Add tile drainage to existing sport fields
7502 RF -Parkland
Total 5780.2414 Tile Drainage Sport Fields
240
Run Date: Mar 12, 2020
Funding Expense
150,000
(150,000) 150,000
70,000
(70,000)
(70,000) 70,000
500,000
(500,000)
(500,000) 500,000
(300,000)
300,000
(300,000) 300,000
110,000
(110,000)
(110,000) 110,000
125,000
(125,000)
(125,000) 125,000
300,000
(300,000)
(300,000) 300,000
City of Pickering
2024
Capital Forecast
5780 Parks
5780.2415 Water Trailer -Replacement
2823 Paid from Property Taxes
6178 Machinery & Equipment
Replace unit #796 (2014).
Total 5780.2415 Water Trailer -Replacement
5780.2416 Backhoe / Loader -Replacement
6178 Machinery & Equipment.·
Replace unit #717 (2014).
7062 R -Major Equipment
Total 5780.2416 Backhoe/ Loader -Replacement
5780.2417 Enclosed Trailer -Replacement
2823 Paid from Property Taxes
6178 Machinery & Equipment
Replace unit #759 (2019).
Total 5780.2417 Enclosed Trailer -Replacement
5780.2418 Community Park -Greenwood Conservation Lands-Pha~
1704 Debt -20 year
6129 Parks -Landscape Refurbishment
Community Park -Greenwood Conservation Lands -land
acquisition and phase 1 construction
6265 Land Acquisition & Disp
7022 R -DC's City's Share
7069 R -Community Benefit Charge Reserve
The revenue is an estimate at this current time. The Provincial
legislation for the calculation for the Community Benefit Charge
(CBC) is not available and there is a risk that the CBC revenue
could be substantially lower than current DC fees for soft services.
Total 5780.2418 Community Park -Greenwood Conservation Land
5780.2419 Primary Trail Network -Seaton T-2
6429 Parks -Landscape Refurb -Seaton
Primary Trail network Seaton T-2 (88/12)
7022 R -DC's City's Share
7069 R -Community Benefit Charge Reserve
241
Run Date: Mar 12, 2020
Funding Expense
(15,000)
15,000
(15,000) 15,000
110,000
(110,000)
(110,000) 110,000
(25,000)
25,000
(25.,000) 25,000
(1,504,000)
6,072,800
1,504,000
(3,278,300)
(2,794,500)
(7,576,800) 7,576,800
360,000
(75,690)
(284,310)
City of Pickering
2024
Capital Forecast
578.0 Parks
The revenue is an estimate at this current time. The Provincial
legislation for the calculation for the Community Benefit Charge
(CBC) is not available and there is a risk that the CBC revenue
could be substantially lower than current DC fees for soft services.
Total 5780.2419 Primary Trail Network -Seaton T-2
5780.2420 Neighbourhood Park -Seaton P-120
6429 Parks -Landscape Refurb -Seaton
Neighbourhood Park (Seaton) P-120 (88/12)
7069 R -Community Benefit Charge Reserve
The revenue is an estimate at this current time. The Provincial
legislation for the calculation for the Community Benefit' Charge
(CBC) is not available and there is a risk that the CBC revenue
could be substantially lower than current DC fees for soft services.
7713 RF -Seaton Land Grp FIA
Total 5780.2420 Neighbourhood Park -Seaton P-120
5780.2424 BRK Park -South Parking Lot Paving
1711 Internal Loan -5 Year
6129 Parks -Landscape Refurbishment
Pave Kinsmen South Parking Lot -pending OPG permission.
Total 5780.2424 BRK Park -South Parking Lot Paving
Total 5780 Parks
242
Run Date: Mar 12, 2020
Funding Expense
(360,000) 360,000
500,000
(394,875)
(105,125)
(500,000) 500,000
(160,000)
160,000
(160,000). 160,000
(12,631,800) 12,631,800
5990 Fleet Vehicles
Expenditures
6157 Vehicles -under $100,000
6158 Vehicles -Over $100,000
6159 Fire Veh -Over $100,000
6178 Machinery & Equipment
6457 Vehicles -Under $100,000 -Seaton
Total Expenditures
Financing
1703 Debt-15 Year
7040 R -Vehicle Replacement
7501 RF -Third Party Contribution
7605 RF DC -Protection Services
Total Financing
City of Pickering
Multi-Year Capital Forecast
2021 -2024
2021
Forecast
545,000
260,000
825,000
175,000
115,000
1 920 000
(1,000,000)
(875,000)
(1,125)
(43,875)
(1,920,000)
243
Run Date: Mar 12, 2020
2022 2023 2024
Forecast Forecast Forecast
320,000 500,000 658,000
280,000 455,000 680,000
825,000
175,000
600 000 955 000 2.338 000
(1,000,000)
(600,000) (955,000) (1,338,000)
(600,000) (955,000) (2,338,000)
City of Pickering
2021
Capital Forecast
5990 Fleet Vehicles
5311.2107 1 Ton Dump Truck with Aluminum Body and HIAB Crane
6158 Vehicles -Over $100,000
1 Ton Dump Truck for stormwater management (5311 Property
Maintenance)
7040 R -Vehicle Replacement
Total 5311.21071 Ton Dump Truck with Aluminum Body and HIAE
5311.2108 Utility Truck -New
6158 Vehicles -Over $100,000
Utility Truck -for stormwater management materials and crew (5311
Property Maintenance)
7040 R -Vehicle Replacement
Total 5311.2108 Utility Truck-New
5315.2102 1 Ton Truck with Service Body -Replacement
6157 Vehicles -under $100,000
One 1 Ton Truck with Service Body-replace unit #208 (2010 Ford)
(5315 Operations Centre).
7040 R -Vehicle Replacement
Total 5315.2102 1 Ton Truck with Service Body -Replacement
5319.2102 1/2 Ton Pickup Truck, Replacement
6157 Vehicles -under $100,000
1/2 Ton Pickup Truck -replace unit# 22 (2014 Jeep Patriot) (5319
Roads Equipment).
7040 R -Vehicle Replacement
Total 5319.2102 1/2 Ton Pickup Truck -Replacement
5319.2103 1 Ton Truck with Aluminum Dump Body & Tailgate Lift C:
6157 Vehicles -under $100,000
1 Ton Truck with Aluminum Dump Body and Tailgate Lift -replace
unit# 005 (2014 Dodge Ram) (5319 Roads Equipment).
7040 R -Vehicle Replacement
Total 5319.2103 1 Ton Truck with Aluminum Dump Body & Tailgat
5319.2104 1 Ton Truck with Aluminum Dump Body Replacement
6157 Vehicles -under $100,000
1 Ton Truck with Aluminum Dump Body-replace unit# 026 (2014
Dodge Ram) (5319 Roads Equipment).·
7040 R -Vehicle Replacement
244
Run Date: Mar 12, 2020
Funding Expense
150,000
(150,000)
(150,000) 150,000
110,000
(110,000)
(110,000) 110,000
90,000
(90,000)
(90,000) 90,000
45,000
(45,000)
(45,000) 45,000
75,000
(75,000)
(75,000) 75,000
85,000
(85,000)
City of Pickering
2021
Capital Forecast
5990 Fleet Vehicles
Total 5319.21041 Ton Truck with Aluminum Dump Body Replacen
5340.2103 Fire Pumper Rescue Replacement
1703 Debt-15 Year
6159 Fire Veh -Over $100,000
Pumper Rescue -Replace unit# 532 (2005 Smeal Pumper) (5340
Fire Services).
6178 Machinery & Equipment
Total 5340.2103 Fire Pumper Rescue Replacement
5340.2105 Small Vehicle (Seaton Fire Station A) -New
6457 Vehicles -Under $100,000 -Seaton
Small Vehicle for Seaton Fire Station A (98/02) (5340 Fire
Services).
7501 RF -Third Party Co_ntribution
7605 RF DC -Protection Services
Total 5340.2105 Small Vehicle (Seaton Fire Station A) -New
5340.2106 Midsize Vehicle Replacement
6157 Vehicles -under $100,000
Midsize Vehicle -replace unit #577 (2014 Dodge Charger) (5340
Fire Services).
7040 R -Vehicle Replacement
Total 5340.2106 Midsize Vehicle Replacement
. 5340.2111 Command Vehicle Replacement
6157 Vehicles -under $100,000
Command Vehicle -Replace unit #575 (2012 Chevrolet) (5340
Fire Services).
7040 R -Vehicle Replacement
Total 5340.2111 Command Vehicle Replacement
5719.2104 Pickup Truck Replacement
6157 Vehicles -under-$100,000
Pick-up Truck -replace unit #700 (2013 Chevrolet) (5719
Community Centres).
7040 R -Vehicle Replacement
Total 5719.2104 Pickup Truck Replacement
5780.2115 1 Ton Truck with Aluminum Dump Body Replacement
6157 Vehicles -under $100,000
245
Run Date: Mar 12, 2020
Funding Expense
(85,000) 85,000
(1,000,000)
825,000
175,000
. (1,000,000) 1,000,000
45,000
(1,125)
(43,875)
(45,000) 45,000
35,000
(35,000)
(35,000) 35,000
100,000
(100,000)
(100,000) 100,000
45,000
(45,000)
(45,000) 45,000
70,000
5990 Fleet Vehicles
City of Pickering
2021
Capital Forecast
One 1 Ton Truck with Aluminum Dump Body -replace unit #795
(2014 Ford F450) (5780 Parks).
7040 R -Vehicle Replacement .
Total 5780.21151 Ton Truck with Aluminum Dump Body Replacen
5780.2116 1 Ton Dump with Aluminum Body and Lift Gate -New (S
6457 Vehicles -Under $100,000 -Seaton
1 Ton Dump with Aluminum Body and Lift Gate-New (Seaton)
(5780 Parks)
7040 R -Vehicle Replacement
Total 5780.2116 1 Ton Dump with Aluminum Body and Lift Gate -
iotal 5990 Fleet Vehicles
246
Run Date: Mar 12, 2020
Funding Expense
(70,000)
(70,000) 70,000
70,000
(70,000)
(70,000) 70,000
(1,920,000) 1,920,000
City of Pickering
2022
Capital Forecast
5990 Fleet Vehicles
5311.2210 3/4 Ton Pickup Truc~with Slide in Salter and Plow-Reph
6157 Vehicles -under $100,000
Two 3/4 Ton Pickup Trucks with Slide in Salter and Plow~ replace
unit #775 & #776 (2015 Ford F350) (5311 Property Maintenance).
7040 R -Vehicle Replacement
Total 5311.2210 3/4 Ton Pickup Truck with Slide in Salter and Plo11
5315.2202 1/2 Ton Pickup Truck -Replacement
6157 Vehicles -under $100,000
1/2 Ton Pickup Truck -replace unit #210 (2015 Chevy Silverado)
(5315 Operations Centre).
7040 R -Vehicle Replacement
Total 5315.22021/2 Ton Pickup Truck -Replacement
5319.2201 . 4 Ton Dump Truck with Snow Plow & Wing -Replaceme
6158 Vehicles -Over $100,000
4 Ton Dump Truck with Snow Plow -replace unit #42 (2013
International) (5319 Roads Equipment).
7040 R -Vehicle Replacement
Total 5319.2201 4 Ton Dump Tru·ck with Snow Plow & Wing -Repl
5340.2205 1/2 Ton Pickup Truck -Replacement
6157 Vehicles -under $100,000
1/2 Ton Pickup Truck -replace unit #583 (2015 GMC) (5340 Fire
Services).
7040 R -Vehicle Replacement
Total 5340.22051/2 Ton Pickup Truck -Replacement
5613.2203 Mid Size SUV Replacement
6157 Vehicles -under $100,000
Mid Size SUV-replace unit #643 (2015 Chevrolet Equinox) (5613
Water Resources & Development Services).
7040 R -Vehicle Replacement
Total 5613.2203 Mid Size SUV Replacement
5719.2202 Cargo Van Replacement
6157 Vehicles -under $100,000
Cargo Van -replace unit #790 (2015 Chevrolet) (5719 Community
Centres).
7040 R -Vehicle Replacement
247
Run Date: Mar 12, 2020
Funding Expense
140,000
(140,000)
(140,000) 140,000
45,000
(45,000)
(45,000) 45,000
280,000
(280,000)
(280,000) 280,000
45,000
(45,000)
(45,000) 45,000
45,000
(45,000)
(45,000) 45,000
45,000
(45,000)
5990 Fleet Vehicles
City of Pickering
2022
Capital Forecast
Total 5719.2202 Cargo Van Replacement
Total 5990 Fleet Vehicles
248
Run Date: Mar 12, 2020
Funding Expense
(45,000) 45,000
(600,000) 600,000
City of Pickering
2023
Capital Forecast
5990 Fleet Vehicles
5220.2301 Midsize SUV Replacement (2)
6157 Vehicles -under $100,000
Two Midsize SUVs -replace unit #418 and #419 (2016 Jeep
Patriots) (5220 By-Law).
7040 R -Vehicle Replacement
Total 5220.2301 Midsize SUV Replacement (2)
5220.2302 1/2 Ton Pickup Truck Replacement
6157 Vehicles -under $100,000
1/2 Ton Pickup Truck -replace unit #420 (2017 Dodge Ram)
7040 R -Vehicle Replacement
Total 5220.23021/2 Ton Pickup Truck Replacement
5319.2302 4 Ton Dump Truck with Snow Plow and Wing -Replacen
6158 Vehicles -Over $100,000
4 Ton Dump Truck with Snow Plow and Wing -replace unit #41
(2014 International) (5319 Roads Equipment).
7040 R -Vehicle Replacement
Total 5319.2302 4 Ton Dump Truck with Snow Plow and Wing -Re
5613.2301 1/2 Ton Pickup Truck -Replacement
6157 Vehicles -under $100,000
1/2 Ton Pickup Truck -replace unit #644 (2016). (5613 Water
Resources & Development Services).
7040 R -Vehicle Replacement
Total 5613.23011/2 Ton Pickup Truck -Replacement
5613.2302 Midsize SUV Replacement (3)
6157 Vehicles -under $100,000
Three Midsize SUVs -replace units #645,646,647 (2017 Jeeps)
(5613 Water Resources & Development Services).
7040 R -Vehicle Replacement
Total 5613.2302 Midsize SUV Replacement{3)
5780.2307 Garbage Packer Replacement
6158 Vehicles -Over $100,000
Garbage Packer -replace unit #733 {2017 Ford) (5780 Parks).
7040 R -Vehicle Replacement
Total 5780.2307 Garbage Packer Replacement
5780.2308 1/2 Ton Pickup Truck Replacement
249
Run Date: Mar 12, 2020
Funding Expense
100,000
(100,000)
(100,000) 100;000
45,000
(45,000)
(45,000) 45,000
280,000
(280,000)
(280,000) 280,000
45,000
(45",000)
(45,000) 45,000
150,000
(150,000)
(150,000) 150,000
175,000
(175,000)
(175,000) 175,000
5990 Fleet Vehicles
6157 Vehicles -under $100,000
City of Pickering
2023
Capital Forecast
1/2 Ton Pickup Truck c replace unit #720 (2016 Dodge) (5780
Parks).
7040 R -Vehicle Replacement
Total 5780.2308 1/2 Ton Pickup Truck Replacement
5780.2309 Cargo Vari Replacement
6157 Vehicles -under $100,000 -
Cargo Van -replace unit #735 (2016 Ford F550) (5780 Parks).
7040 R -Vehicle Replacement
Total 5780.2309 Cargo Van Replacement
5780.2317 1 Ton Dump Truck Replacement
6157 Vehicles -under $100,000
1 Ton Dump Truck-replace unit #747 (2016 Dodge Ram) (5780
Parks).
7040 R -Vehicle Replacement
Total 5780.2317 1 Ton Dump Truck Replacement
Total 5990 Fleet Vehicles
250
Run Date: Mar 12, 2020
Funding Expense
45,000
(45,000)
(45,000) 45,000
45,000
(45,000)
(45,000) 45,000
70,000
(70,000)
(70,000) 70,000
(955,000) 955,000
City of Pickering
2024
Capital Forecast
5990 Fleet Vehicles
5220.2401 Midsize SUV -Replacement
6157 Vehicles -under $100,000
Midsize SUV -replace unit #421 (Mitsubishi 2017)(5220 Bylaw).
7040 R -Vehicle Replacement
Total 5220.2401 Midsize SUV -Replacement
5319.2406 Midsize Utility Vehicle -Replacement
6157 Vehicles -under $100,000
Midsize Utility Vehicle -replace unit #038 (2008 Ford Escape)(5319
Roads Equipment).
7040 R -Vehicle Replacement
Total 531_9.2406 Midsize Utility Vehicle -Replacement
5319.2407 Pickup Truck -Replacement
6157 Vehicles -under $100,000
Pickup Truck-replace unit #027 (Dodge 2017)(5319 Roads
Equipment).
7040 R -Vehicle Replacement
Total 5319.2407 Pickup Truck -Replacement
5319.2408 4 Ton Dump Truck with Snow Plow & Wing -Replaceme
6158 Vehicles -Over $100,000
4 Ton Dump Truck with Snow Plow & Wing -repl~ce unit #046
(Mack 2017)(5319 Roads Equipment).
7040 R -Vehicle Replacement
Total 5319.2408 4 Ton Dump Truck with Snow Plow & Wing -Repl
5319.2409 5 Ton Dump Truck with Snow Plow & Wing -Replaceme
6158 Vehicles -Over $100,000
5 Ton Dump Truck with Snow Plow & Wing -replace unit #045
(Mack 2017) (5319 Roads Equipment).
7040 R -Vehicle Replacement
Total 5319.2409 5 Ton Dump Truck with Snow Plow & Wing -Repl
5340.2404 Fire Truck -Pumper Rescue Replacement
1703 Debt-15 Year
6159 Fire Veh -Over $100,000
Fire Truck -Pumper Rescue Replacement -replace unit #543
(2010 Smeal Pumper) (5340 Fires Services).
6178 Machinery & Equipment
251
Run Date: Mar 12, 2020
Funding Expense
45,000
(45,000)
(45,000) 45,000
45,000
(45,000)
(45,000) 45,000
45,000
(45,000)
(45,000) 45,000
280,000
(280,000)
(280,000) 280,000
300,000
(300,000)
(300,000) 300,000
(1,000,000)
825,000
175,000
City of Pickering
2024
Capital Forecast
5990 Fleet Vehicles
Total 5340.2404 Fire Truck -Pumper Rescue Replacement
5340.2405 Midsize SUV -Replacement (5)
6157 Vehicles -under $100,000
Five Mid size SUVs -replace units (#578 (2016 Jeep Patriot), #579
(2016 Jeep Patriot), #581 (2016 Jeep Patriot), #582 (2016 Jeep
Patriot), and #580 (2016 Jeep Patriot) (5340 Fire Services).
7040 R -Vehicle Replacement
Total 5340.2405 Midsize SUV -Replacement (5)
5340.2406 Midsize SUV -Replacements (2)
6157 Vehicles -under $100,000
Two Midsize SUVs -replace unit #576 & #585 (Chev/Mitsubishi
2017)(5340 Fire).
7040 R -Vehicle Replacement
Total 5340.2406 Midsize SUV -Replacements (2)
5613.2401 Midsize SUV -Replacements (3)
6157 Vehicles -under $100,000
Three Midsize SUVs -replace unit #648, #649, & #650 (Mitsubishi
2017)(5613 Water Resources & Development Services).
7040 R -Vehicle Replacement
Total 5613.2401 Midsize SUV -Replace_ments (3)
5780.2421 Van with Bucket Attachment -Replacement
6157 Vehicles -under $100,000
Van with Bucket -replace unit# 794 (2013 Ford)(5780 Parks).
7040 R -Vehicle Replacement
Total 5780.2421 Van witb Bucket Attachment -Replacement
5780.2422 Midsize SUV -Replacement
61'57 Vehicles -under $100,000
Midsize SUV -replace unit #780 (Mitsubishi 2017)(5780 Parks).
7040 R -Vehicle Replacement
Total 5780.2422 Midsize SUV -Replacement
5780.2423 1 Ton Pickup Truck with Aluminum Dump Body -Replac
6158 Vehicles -Over $100,000
1 Ton Pickup Truck with Aluminum Dump Body -replace unit #777
(Dodge 2017)(5780 Parks).
7040 R -Vehicle Replacement
252
Run Date: Mar 12, 2020
Funding Expense
(1,000,000) 1,000,000
175,000
(175,000)
(175,000) 175,000
90,000
(90,000)
(90,000) 90,000
135,000
(135,000)
(135,000) 135,000
78,000
(78,000)
(78,000) 78,000
45,000
(45,000)
(45,000) 45,000
100,000
(100,000)
5990 Fleet Vehicles
City of Pickering
2024
Capital Forecast
Total 5780.2423 1 Ton Pickup Truck with Aluminum Dump Body -
Total 5990 Fleet Vehicles
253
Run Date: Mar 12, 2020
Funding Expense
(100,000) 100,000
(2,338,000) 2,338,000
City of Pickering
Multi-Year Capital Forecast
2021 -2024
Corporate Services Dept. Summary
2021
Forecast
Expenditures
6175 Hardware Replacements 47,000
6177 IT Infrastructure 90,000
6477 IT Infrastructure -Seaton 40,000
Total Expenditures 177 000
Financing
2823 Paid from Property Taxes (137,000)
7022 R -DC's City's Share (1,000)
7605 RF DC -Protection Services (39,000)
Total Financing (177,000)
254
Run Date: Mar 12, 2020
2022 2023 2024
Forecast Forecast Forecast
80,000 130,000 50,000
150,000 60,000 140,000
60,000
230.000 190 000 250.000
(230,000) (190,000) (250,000)
(230,000) (190,000) (250,000)
5206 Information Technology
Expenditures
6175 Hardware Replacements
6177 IT Infrastructure
6477 IT Infrastructure -Seaton
Total Expenditures
Financing
2823 Pa_id from Property Taxes
7022 R -DC's City's Share
7605 RF DC -Protection Services
Total Financing
City of Pickering
Multi-Year Capital Forecast
2021 -2024
2021
Forecast
47,000
90,000
40,000
177 000
(137,000)
(1,000)
(39,000)
(177,000)
255
Run Date: Mar 12, 2020
2022 2023 2024
Forecast Forecast Forecast
80,000 130,000 50,000
150,000 60,000 140,000
60,000
230 000 190 000 250 000
(230,000) (190,000) (250,000)
(230,000) (190,000) (250,000)
5206 Information Technology
5206.2101 Fire Hall Technology -Seaton
6477 IT Infrastructure -Seaton
City of Pickering
2021
Capital Forecast
Infrastructure, Networking, Systems, PC's, etc. for new Seaton Fire
Hall.
7022 R -DC's City's Share
7605 RF DC -Protection Services
Total 5206.2101 Fire Hall Technology -Seaton
5206.2102 City Data Platform
2823 Paid from Property Taxes
6177 IT Infrastructure
City data will need to be securely integrated and accessed for
Customer Relationship Management applications and data
analytics.
Total 5206.2102 City Data Platform
5206.2105 Digital Conversion of Analog Cameras (Phase 2)
2823 Paid from Property Taxes
6175 Hardware Replacements
Replacement cabling and new licensing for Analog Camera IP
Converslon -Phase 2
Total 5206.2105 Digital Conversion of Analog Cameras (Phase 2)
Total 5206 Information Technology
256
Run Date: Mar 12, 2020
Funding Expense
40,000
(1,000)
(39,000)
(40,000) 40,000
(90,000)
90,000
(90,000) 90,000
(47,000)
. 47,000
(47,000) 47,000
(177,000) 177,000
City of Pickering
2022
Capital Forecast
5206 Information Technology
5206.2201 Technology Infrastructure
2823 Paid from Property Taxes
6175 Hardware Replacements
Smart Building Enhancements to reduce energy consumption
through adaptive controls and more effective management of
Lighting and HVAC systems.
Total 5206.2201 Technology Infrastructure
5206.2202 Data Security Technologies
2823 Paid from Property Taxes
6177 IT Infrastructure
New security technologies will need to be deployed to mitigate risks
to City connected technology services.
Total 5206.2202 Data Sec~rity Technologies
5206.2203 Smart City Technologies
2823 Paid from Property Taxes
6177 IT Infrastructure
Internet Services. Upgrades to provide bandwidth required for Cloud
solutions and Internet of Things applications.
Total 5206.2203 Smart City Technologies
Total 5206 Information Technqlogy
257
Run Date: Mar 12, 2020
Funding Expense
(80,000)
80,000
(80,000) 80,000
(90,000)
90,000
(90,000) 90,000
(60,000)
60,000
(60,000) 60,000
(230,000) 230,000
5206 Information Technology
5206.2301 Technology Infrastructure
2823 Paid from Property Taxes
6175 Hardware Replacements
Corporate Application Integration
City of Pickering
2023
Capital Forecast
Total 5206.2301 Technology Infrastructure
5206.2302 Data Security Technologies
2823 Paid from Property Taxes .
6177 IT Infrastructure
Corporate Application Architecture Review
Total 5206.2302 Data Security Technologies
5206.2304 5 Yrs. PC Upgrades
2823 Paid from Property Taxes
6175 Hardware Replacements
Replace PC's that are 5 years old
Total 5206.2304 5 Yrs. PC Upgrades
Total 5206 Information Technology
258
Run Date: Mar 12, 2020
Funding Expense
(80,000)
80,000
(80,000) 80,000
(60,000)
60,000
(60,000) 60,000
(50,000)
50,000
(50,000) 50,000
(190,000) 190,000
5206 Information Technology
5206.2402 Technology Infrastructure
2823 Paid from Property Taxes
6177 IT Infrastructure
City of Pickering
2024
Capital Forecast
IT Security Network and System Upgrades
Total 5206.2402 Technology Infrastructure
5206.2403 Technology Services
2823 Paid from Property Taxes
6477 'IT Infrastructure -Seaton
Seaton Parks and Trails -Network and Integrated Resident
Technology Solutions
Total 5206.2403 Technology Services
5206.2404 5 Yr PC Upgrades
2823 Paid from Property Taxes
6175 Hardware Replacements
Replace PC's that are 5 years old
Total 5206.2404 5 Yr PC Upgrades
Total 5206 Information Technology
259
Run Date: Mar 12, 2020
Funding Expense
(140,000)
140,000
(140,000) 140,000
(60,000)
60,000
(60,000) 60,000
(50,000)
50,000
(50,000) 50,000
(250,000) 250,000
City of Pickering
Multi-Year Capital Forecast
2021 -2024
Engineering Services Dept. Summary
2021
Forecast
Expenditures
6129 Parks -Landscape Refurbishment
6230 Prof/Consulting Fees 781,200
6250 Construction Costs 2,350,000
6251 Road Improvements 9,684,800
6252 Streetlights & Sidewalks
6253 Storm Water 1,050,900
6254 Traffic Signals 958,600
6255 Sidewalks 454,100
6256 Bridges & Culv.erts 4,158,400
6265 Land Acquisition & Disp 5,000,000
Total Expenditures 24 438 000
Financing
1592 Donations
1701 Debt-5 Year. (360,400)
1702 Debt -10 Year (2,308,000)
1704 Debt -20 year (1,375,000)
1711 Internal Loan -5 Year (160,000)
1712 Internal Loan-10 Year
2823 Paid from Property Taxes (118,200)
7022 R -DC's City's Share (4,635,660)
7069 R -Community Benefit Charge Reserve
7501 RF -Third Party Contribution (2,870,154)
7505 RF -Federal Gas Tax (2,470,575)
7610 RF DC -Roads & Related (6,240,725)
7611 RF DC -Storm Water Mgmt (124,286)
7709 RF -Roads & Bridges (3,025,000)
7710 RF -Stormwater Mgmt (750,000)
Total Financing (24,438,000)
260
Run Date: Mar 12, 2020
2022 2023 2024
Forecast Forecast Forecast
539,600 377,700
3,398,000 250,000
200,000 200,000 200,000
2,250,000 8,53p,ooo 14,425,455
1,264,536 4,399,455
2,316,000 750,000 750,000
578,400 1,155,400 556,400
200,000 200,000 200,000
58,300,000 500,000
69 046 536 16 362.555 16 131 855
(360,400) (360,400) (360,400)
(2,174,500) (5,167,228) (5,945,088)
(2,800,000) '
(160,000) (160,000) (160,000)
(250,000) (142,640)
(46,000) (35,500) (24,000)
(14,823,862) (3,922,183)
(242,820) (152,969)
(26,700,000) (200,000) (200,000)
(2,462,000) (2,462,000) (2,462,000)
(16,495,768) (1,452,275) (4,562,727)
(692,558)
(1,100,000) (1,450,000) (1,525,000)
(988,628) (750,000) (750,000)
(69,046,536) (16,362,555) (16,131,855)
City of Pickering
Multi-Year Capital Forecast
2021 -2024
5325 Streetlights & Signalization
2021
Forecast
Expenditures
6230 Prof/Consulting Fees
6254 Traffic Signals 958,600
Total Expenditures 958 600
Financing
1701 Debt-5 Year (360,400) ..
1711 Internal Loah -5 Year (160,000)
2823 Paid from Property Taxes (118,200)
7022 R -DC's City's Share (30,000)
75Q5 RF -Federal Gas Tax (20,000)
7610 RF DC -Roads & Related (270,000)
Total Financing (958,600)
261
Run Date: Mar 12, 2020
2022 2023 2024
Forecast Forecast Forecast
100,000
578,400 .1, 155,400 556,400
678 400 1155.400 556 400
(360,400) (360,400) (360,400)
(160,000) (160,000) (160,000)
(46,000) (23,000) (24,000)
(10,000) (60,000)
(12,000) (12,000) (12,000)
(90,000) (540,000)
(678,400) (1,155,400) (556,400)
City of Pickering
2021
. Capital Forecast
5325 Streetlights & Signalization
5325.2101 Traffic Signals/Controllers Replacement
2823 Paid from Property Taxes
6254 Traffic Signals
Traffic Signals/Controllers Replacement -Pickering Parkway at
Portland Court (original install 2008).
Total 5325.2101 Traffic Signals/Controllers Replacement
5325.2102 LED Signal Head Replacement Program
6254 Traffic Signals
Replacement of LED signal heads and signal head mounting
equipment. Year 5 of a 5 year program.
7505 RF -Federal Gas Tax
Total 5325.2102 LED Signal Head Replacement Program
5325.2104 Traffic Signals/Controllers Replacement
2823 Paid from Property Taxes
6254 Traffic Signals
Traffic Signals/Controllers Replacement -Valley Farm Road at
Esplanade South.
Total 5325.2104 Traffic Signals/Controllers Replacement
5325.2105 Accessible Pedestrian Signals -4 locations
1701 Debt-5 Year
6254 Traffic Signals
Equipping existing traffic signals with accessible pedestrian signals.
In accordance with AODA 2005. All signals must equipped by Jan
1,2025. Year 2 of 5 year program.
Total 5325.2105 Accessible Pedestrian Signals -4 locations
5325.2106 Uninterruptible Power Supply -5 locations
1711 Internal Loan -5 Year
6254 Traffic Signals
Installation of uninterruptible power supply battery backup system
that operates signals in the event of a power outage. Year 1 of 5
year program.
Total 5325.2106 Uninterruptible Power Supply-5 locations
5325.2107 Pedestrian Countdown Signals -10 locations
2823 Paid from Property Taxes
6254 Traffic Signals
262
Run Date: Mar 12, 2020
Funding Expense
(22,000)
22,000
(22,000) 22,000
20,000
(20,000)
(20,000) 20,000
(22,000)
22,000
(22,000) 22,000
(360,400)
360,400
(360,400) 360,400
(160,000)
160,000
(160,000) 160,000
(74,200)
74,200
City of Pickering
2021
Capital Forecast
5325 Streetlights & Signalization
Retrofit existing traffic signals with pedestrian countdown signals for
increased _crossing safety. Year 2 of 2 year program.
Total 5325.2107 Pedestrian Countdown Signals -10 locations
5325.2108 Traffic Signals: Pickering Parkway at Glenanna
6254 Traffic Signals
New traffic signals and intersection improvements -Pickering
Parkway at Glenanna Road. (90/10)
7022 R -DC's City's Share
7610 RF DC -Roads & Related
Total 5325.2108 Traffic Signals: Pickering Parkway at Glenanna
Total 5325 Streetlights & Signalization
263
Run Date: Mar 12, 2020
Funding Expense
(74,200) 74,200
300,000
(30,000)
(270,000)
(300,000) 300,000
(958,600) 958,600
City of Pickering
2022
Capital Forecast
5325 Streetlights & Signalization
5325.2201 Traffic Signals/Controllers Replacement
2823 Paid from Property Taxes
6254 Traffic Signals
Traffic Signals/Controllers Replacement -Dixie Road at Glenanna
Road (last replacement 2009)
Total 5325.2201 Traffic Signals/Controllers Replacement
5325.2202 Traffic Signals/Controllers Replacement
2823 Paid from Property Taxes
6254 Traffic Signals
Traffic Signals/Controllers Replacement-Bayly Street at St. Martins
Drive (original install 2009)
Total 5325.2202 Traffic Signals/Controllers Replacement
5325.2204 LED Signal Head Replacement Program
6254 Traffic Signals
Replacement of LED signal heads
7505 RF -Federal Gas Tax
Total 5325.2204 LED Signal Head Replacement Program
5325.2205 Accessible Pedestrian Signals -4 locations
1701 Debt-5 Year
6254 Traffic Signals
Equipping existing traffic signals with accessible pedestrian signals.
In accordance with AODA 2005. All signals must equipped by Jan
1,2025. Year 3 of 5 year program.
Total 5325.2205 Accessible Pedestrian Signals -4 locations
5325;2206 Uninterruptible Power Supply -5 locations
1711 Internal Loan -5 Year
6254 Traffic Signals
Installation of uninterruptible power supply battery backup system
that operates signals in the event of a power outage. Year 2 of 5
year program.
Total 5325.2206 Uninterruptible Power Supply -5 locations
5325.2207 Intersection Improvements: Rosebank at Sheppard Desi
6230 Prof/Consulting Fees
Environmental Assessment and Design for Intersection
Improvements Qog elimination and traffic signals) -Rosebank Road
at Sheppard Avenue (90/10)
264
Run Date: Mar 12, 2020
Funding Expense
. (23,000)
23,000
(23,000) 23,000
(73,000)
23,000
(23,000) 23,000
12,000
(12,000)
(12,000) 12,000
(360,400)
360,400
(360,400) 360,400
(160,000) .
160,000
(160,000) 160,000
100,000
City of Pickering
2022
Capital Forecast
5325 Streetlights & Signalization
7022 R -DC's City's Share
7610 RF DC -Roads & Related
Total 5325.2207 Intersection Improvements: Rosebank at Sheppar
Total 5325 Streetlights & Signalization
265
Run Date: Mar 12, 2020
Funding Expense
(10,000)
(90,000)
(100,000) 100,000
(678,400) 678,400
City of Pickering
2023
Capital Forecast
5325 Streetlights & Signalization
5325.2301 Traffic Signals/Controllers Replacement
2823 Paid from Property Taxes
6254 Traffic Signals
Traffic Signals/Controllers Replacement-Altona Road @ Valley
Gate (last replacement 2010)
Total 5325.2301 Traffic Signals/Controllers Replacement
5325.2302 LED Signal Head Replacement Program
6254 Traffic Signals
Replacement of LED signal heads
7505 RF -Federal Gas Tax
Total 5325.2302 LED Signal Head Replacement Program
5325.2303 Accessible Pedestrian Signals -4 locations
1701 Debt -5 Year
6254 Traffic Signals
Equipping existing traffic signals with accessible pedestrian signals.
In accordance with AODA 2005. All signals must equipped by Jan
1,2025. Year 4 of 5 year program.
Total 5325.2303 Accessible Pedestrian Signals -4 locations
5325.2304 Uninterruptible Power Supply -5 locations
1711 Internal Loan -5 Year
6254 Traffic Signals
Installation of uninterruptible power supply battery backup system
that operates signals in the event of a power outage. Year 3 of 5
year program.
Total 5325.2304 Uninterruptible Power Supply -5 locations
5325.2305 Intersection Improvements: Rosebank at Sheppard
6254 Traffic Signals
Intersection Improvements and signalization -Rosebank Road at
Sheppard Avenue -Construction (90/10)
7022 R -DC's City's Share
7610 RF DC -Roads & Related
Total 5325.2305 Intersection Improvements: Rosebank at Sheppa,
Total 5325 Streetlights & Signalization
266
Run Date: Mar 12, 2020
Funding Expense
(23,000)
23,000
(23,000) 23,000
12,000
(12,000)
(12,000) 12,000
(360,400)
360,400
(360,400) 360,400
(160,000)
160,000
(160,000) 160,000
600,000
(60,000)
(540,000)
(600,000) 600,000
(1,155,400) 1,155,400
City of Pickering
2024
Capital Forecast
5325 Streetlights & Signalization
5325.2401 Accessible Pedestrian Signals -4 locations
1701 Debt-5 Year
6254 Traffic Signals
Equipping existing traffic signals with accessible pedestrian signals.
In accordance with AODA 2005. All signals must equipped by Jan
1,2025. Year 5 of 5 year program.
Total 5325.2401 Accessible Pedestrian Signals "4 locations
5325.2402 Uninterruptible Power Supply -5 locations
1711 Internal Loan -5 Year
6254 Traffic Signals
Installation of uninterruptible power supply battery backup system
that operates signals in the event of a power outage. Year 4 of 5
year program.
Total 5325.2402 Uninterruptible Power Supply -5 locations
5325.2403 Traffic Signals/Controllers Replacement
2823 Paid from Property Taxes
6254 Traffic Signals
Traffic Signals/Controllers Replacement-Granite Court at
Sandstone Manor (original install 2012)
Total 5325.2403 Traffic Signals/Controllers Replacement
5325.2404 LED Signal Head Replacement Program
6254 Traffic Signals
Replacement of LED signal heads
7505 RF -Federal Gas Tax
Total 5325.2404 LED Signal Head Replacement Program
Total 5325 Streetlights & Signalization
267
Run Date: Mar 12, 2020
Funding Expense
(360,400)
360,400
(360,400) 360,400
(160,000)
160,000
(160,000) 160,000
(24,000)
24,000
(24,000) 24,000
12,000
(12,000)
(12,000) 12,000
(556,400) 556,400
5323 Sidewalks
Expenditures
6129 Parks -Landscape Refurbishment
6255 Sidewalks
Total Expenditures
Financing
7022 R -DC's City's Share
City of Pickering
Multi-Year Capital Forecast
2021 -2024
2021
Forecast
454,100
454100
7069 R -Community Benefit Charge Reserve
7505 RF -Federal Gas Tax (440,575)
7610 RF DC -Roads & Related (13,525)
Total Financing (454;100)
268
Run Date: Mar 12, 2020
2022 2023 2024
Forecast Forecast Forecast
539,600 377,700
200,000 200,000 200,000
739 600 577 700 200 000
(296,780) (224,731)
(242,820) {152,969)
(200,000) (200,000) (200,000)
(739,600) (577,700) (200,000)
5323 Sidewalks
City of Pickering
2021
Capital Forecast
5323.2101 Finch Avenue -New Sidewalk Construction
6255 Sidewalks
New Sidewalk Construction -Finch Avenue -south side (east of
Valley Farm Road to Guild Road)
7505 RF -Federal Gas Tax
Total 5323.2101 Finch Avenue -New Sidewalk Construction
5323.2102 Pickering Parkway -New Sidewalk Construction
6255 Sidewalks
New Sidewalk Construction Pickering Parkway -north side
multi-use trail (Glenanna Road to Hydro Corridor, includes TC-1)
7505 RF -Federal Gas Tax
7610 RF DC -Roads & Related
Total 5323.2102 Pickering Parkway -New Sidewalk Construction
Total 5323 Sidewalks
269
Run Date: Mar 12, 2020
Funding Expense
200,000
(200,000)
(200,000) 200,000
254,100
(240,575)
(13,525)
(254,100) 254,100
(454,100) 454,100
5323 Sidewalks
City of Pickering
2022
Capital Forecast
5323.2201 New Sidewalk Installation (Location TBD)
6255 Sidewalks
New Sidewalk Installations (Locations TBD)
7505 RF -Federal Gas Tax
Total 5323.2201 New Sidewalk Installation (Location TBD)
5323.2202 Trail -Bayly Street -Waterfront to Go Station
6129 Parks -Landscape Refurbishment
Trail -Bayly Street from Waterfront Trail to Go Station (88/12)
7022 R -DC's City's Share
7069 R -Community Benefit Charge Reserve
The revenue is an estimate at this current time. The Provincial
legislation for the calculation for the Community Benefit Charge
(CBC) is not available and there is a risk that the CBC revenue
could be substantially lower than current DC fees for soft services.
Total 5323.2202 Trail -Bayly Street -Waterfront to Go Station
Total 5323 Sidewalks
270
Run Date: Mar 12, 2020
Funding Expense
200,000
(200,000)
(200,000) 200,000
539,600
(296,780)
(242,820)
(539,600) 539,600
(739,600) 739,600
City of Pickering
2023
Capital Forecast
5323 Sidewalks
5323.2301 New Sidewalk Installation (Location TBD)
6255 Sidewalks
New Sidewalk Installation (Location TBD)
7505 RF -Federal Gas Tax
Total 5323;2301 New Sidewalk Installation (Location TBD)
5323.2302 Trail -Bayly Street from Go Station to Hydro Corridor
6129 Parks -Landscape Refurbishment
Bayly Street from Go Station to Hydro Corridor (45/55)
7022 R -DC's City's Share
7069 R -Community Benefit Charge Reserv~
The revenue is an estimate at this current time. The Provincial
legislation for the calculation for the Community Benefit Charge
(CBC) is not available and there is a risk that the CBC revenue
could be substantially lower than current DC fees for soft services.
Total 5323.2302 Trail -Bayly Street from Go Station to Hydro Corri
Total 5323 Sidewalks
271
Run Date: Mar 12, 2620
Funding Expense
200,000
(200,000)
(200,000) 200,000
377,700
(224,731)
(152,969)
(377,700) 377,700
(577,700) 577,700
5323 Sidewalks
City of Pickering
2024
Capital Forecast
5323.2401 New Sidewalk Installation (Location TBD)
6255 Sidewalks
New Sidewalk Installation (Location TBD)
7505 RF -Federal Gas Tax
Total 5323.2401 New Sidewalk Installation (Location TBD)
Total 5323 Sidewalks
272
Run Date: Mar 12, 2020
Funding Expense
200,000
(200,000)
(200,000) 200,000
(200,000) 200,000
5410 Stormwater Management
Expenditures
6251 Road Improvements
6253 Storm Water
Total Expenditures
Financing
1702 Debt -10 Year
7710 RF -Stormwater Mgmt
Total Financing
City of Pickering
Multi-Year Capital Forecast
2021 -2024
2021
Forecast
283,000
750,000
1 033 000
(283,000)
(750,000)
(1,033,000)
273
Run Date: Mar 12, 2020
2022 2023 2024
Forecast Forecast Forecast
750,000 750,000 750,000
750 000 750 000 750 000
(750,000) (750,000) (750,000)
(750,00Q) (750,000) (750,000)
5410 Stormwater Management
City of Pickering
2021
Capital Forecast
5410.2101 Lisgold Subdivision SWM Pond Cleanout
6253 Storm Water
Lisgold Subdivision Pond -Crossing Court SWM Pond Cleanout
Reconstruction.
7710 RF -Stormwater Mgmt
Total 5410.2101 Lisgold Subdivision SWM Pond Cleanout
5410.2102 Fairview Ave. and Simpson Ave. -Reconstruction
1702 Debt -10 Year
6251 Road Improvements
Fairview Avenue and Simpson Avenue -Browning Avenue to South
Terminus
Total 5410.2102 Fairview Ave. and Simpson Ave. -Reconstruction
Total 5410 Stormwater Management
274
Run Date: Mar 12, 2020
Funding Expense
750,000
(750,000)
(750,000) 750,000
(283,000)
283,000
(283,000) 283,000
(1,033,000) 1,033,000
5410 Stormwater Management
City of Pickering
2022
Capital Forecast
5410.2201 Voss Subdivision SWM Pond Cleanout
6253 Storm Water
Voss subdivision pond -Valley Farm Road at Finch Avenue SWM
Pond Cleanout Reconstruction.
7710 RF -Stormwater Mgmt
Total 5410.2201 Voss Subdivision SWM Pond Cleanout
Total 5410 Stormwater Management
275
Run Date: Mar 12, 2020
Funding Expense
750,000
(750,000)
(750,000) 750,000
(750,000) 750,000
5410 Stormwater Management
City of Pickering
2023
Capital Forecast
5410.2302 Crystal Forest Subdivision SWM Pond Cleanout
6253 Storm Water
Crystal Forest Subdivision Pond " Chickadee Court SWM Pond
Cleanout Reconstruction.
7710 RF -Stormwater Mgmt
Total 5410.2302 Crystal Forest Subdivision SWM Pond Cleanout
Total 5410 Stormwater Management
276
Run Date: Mar 12, 2020
Funding Expense
750,000
(750,000)
(750,000) 750,000
(750,000) 750,000
5410 Stormwater Management
City of Pickering
2024
Capital Forecast
5410.2401 Bopa Subdivision SWM Pond Cleanout
6253 Storm Water
Bopa Subdivision Pond -Altona Road SWM Pond Cleanout
Reconstruction
7710 RF -Stormwater Mgmt
Total 5410.2401 Bopa Subdivision SWM Pond Cleanout
Total 5410 Stormwater Management
277
Run Date: Mar 12, 2020
Funding Expense
750,000
(750,000)
(750,000) 750,000
(750,000) 750,000
5320 Roads Projects
Expenditures
6230 Prof/Consulting Fees
6250 Construction Costs
6251 Road Improvements
6256 Bridges & Culverts
Total Expenditures
Financing
1592 Donations
1702 Debt-10 Year
1704 Debt -20 year
1712 Internal Loan-10 Year
7022 R -DC's City's Share
7501 RF -Third Party Contribution
7505 RF -Federal Gas Tax
7610 RF DC -Roads & Related
7709 RF -Roads & Bridges
Total Financing
City of Pickering
Multi-Year Capital Forecast
2021 -2024
2021
Forecast
700,000
2,150,000
4,901,800
2,000,000
9 751 800
(2,025,000)
(1,375,000)
(308,246)
(170,154)
(2,010,000)
(838,400)
(3,025,000)
(9,751,800)
278
Run Date: Mar 12, 2020
2022 2023 2024
Forecast Forecast Forecast
600,000 250,000
2,250,000 6,680,000 5,300,000
4,300,000
7150,000 6 930 000 5 300,000
(1,500,000) (2,980,000) (1,525,000)
(2,800,000)
(250,000)
(2,250,000) (2,250,000) (2,250,000)
(600,000) (1,450,000) (1,525,000)
(7,150,000) (6,930,000) (5,300,000)
5320 Roads Projects
City of Pickering
2021
Capital Forecast
5320.2101 Wilson Bridge Replacement -Construction
1704 Debt -20 year
6256 Bridges & Culverts
Wilson Bridge (7002) Replacement Construction.
Total 5320.2101 Wilson Bridge Replacement -Construction
5320.2102 Seventh Concession Rd. -Road Reconstruction
6250 Construction Costs
Sideline Road 32 to Sideline Road 26 -Road.Reconstruction.
Northern Roads Hard Surfacing Strategy.
7709 RF -Roads & Bridges
Total 5320.2102 Seventh Concession Rd. -Road Reconstruction
5320.2103 Sixth Concession Rd. -Final Lift of Asphalt
6251 Road Improvements
Sixth Concession Rbad -Easterly from Greenwood Road to
Westney Road-Final Lift of Asphalt.
7505 RF -Federal Gas Tax
Total 5320.2103 Sixth Concession Rd. -Final Lift of Asphalt
5320.2104 .Sixth Concession Rd. -Road Reconstruction
1702 Debt -10 Year
6251 Road improvements
Sixth Concession Road -reconstruction including storm sewer and
outfall -from Greenwood Road to Highway 7
Total 5320.2104 Sixth Concession Rd. -Road Reconstruction
5320.2105 Radom St. Culverts -Replacement -Design
6230 Prof/Consulting Fees
Radom Street Culverts Replacement Detail Design & Approvals.
7709 RF -Roads & Bridges
Total 5320.2105 Radom St. Culverts -Replacement -Design
5320.2106 William Jackson Drive -Culvert Replacem·ent Design
6230 Prof/Consulting Fees
William Jackson Drive -Urfe Creek Culvert Structure Replacement -
Design/approvals
7022 R -DC's City's Share
7610 RF DC -Roads & Related
Total 5320.2106 William Jackson Drive -Culvert Replacement De!
279
Run Date: Mar 12, 2020
Funding Expense
(1,375,000)
1,375,000
(1,375,000) 1,375,000
2,150,000
(2,150,000)
(2,150,000) 2,150,000
90,000
(90,000)
(90,000) 90,000
(1,100,000)
1,100,000
(1,100,000) 1,100,000
250,000
(250,000)
(250,000) 250,000
450,000
(45,000)
(405,000)
(450,000) 450,000
City of Pickering
2021
Capital Forecast
5320 Roads Projects
5320.2107 Greenwood Bridge -Rehabilitation Construction
6256 Bridges & Culverts
Bridge Repairs -Greenwood Bridge
7709 RF -Roads & Bridges
Total 5320.2107 Greenwood Bridge -Rehabilitation Construction
5320.2108 Scarborough/Pickering Townline Rd. -Road Reconstruc
6251 Road Improvements
Scarborough/Pickering Townline Road Reconstruction -Finch Ave.
to CPR Crossing -RP-14 .
7022 R -DC's City's Share
7501 RF -Third Party Contribution
7610 RF DC -Roads & Related
Total 5320.2108 Scarborough/Pickering Townline Rd. -Road Reco
5320.2109 Barber St. -Final Lift of Asphalt
6251 Road Improvements
Barber Street -Central Street (RR #5) to north Terminus -Final Lift
of Asphalt
7505 RF -Federal Gas Tax
Total 5320.2109 Barber St. -Final Lift of Asphalt
5320.2110 Sideline 14 -Road Reconstruction
1592 Donations
1702 Debt-10 Year
6251 Road Improvements
Sideline 14 -Hwy. 407 to Seventh Concession Road -Reconstruct
granular base and hard. surface. Northern Roads Hard Surfacing
Strategy.
Total 5320.2110 Sideline 14 -Road Reconstruction
5320.2111 Amberlea Road -Asphalt Resurfacing
6251 Road Improvements .
Amberlea Road -Asphalt Resurfacing -Napanee Road to
Otonabee Drive
7505 RF -Federal Gas Tax
Total 5320.2111 Amberlea Road -Asphalt Resurfacing
5320.2112 Diefenbaker Court -Asphalt Resurfacing
6251 Road Improvements
280
Run Date: Mar 12, 2020
Funding Expense
625,000
(625,000)
(625,000) 625,000
866,800
(263,246)
(170,154)
(433,400)
(866,800) 866,800
30,000
(30,000)
(30,000) 30,000
(925,000)
925,000
(925,000) 925,000
150,000
(150,000)
(150,000) 150,000
120,000
5320 Roads Projects
· City of Pickering
2021
Capital Forecast
Diefenbaker Court -Asphalt Resurfacing -Valley Farm Road to
East Terminus
7505 RF -Federal Gas Tax
Total 5320.2112 Diefenbaker Court -Asphalt Resurfacing
5320.2113 Parkside Drive -Asphalt Resurfacing
6251 Road Improvements
Parkside Drive -Asphalt Resurfacing -150m north of New Street to
Aspen Road
7505 RF -Federal Gas Tax
Total 5320.2113 Parkside Drive -Asphalt Resurfacing
5320.2114 Aspen Road -Asphalt Resurfacing
6251 Road Improvements
Aspen Road -Asphalt Resurfacing -New Street to Pebble Court
7505 RF -Federal Gas Tax
Total 5320.2114 Aspen Road -Asphalt Resurfacing
5320.2115 Pickering Parkway -Asphalt Resurfacing
6251 Road Improvements
Pickering Parkway -Asphalt Resurfacing -Dreyber Court to Brock
Road (RR#1)
7505 RF -Federal Gas Tax
Total 5320.2115 Pickering Parkway-Asphalt Resurfacing
5320.2116 Rambleberry Avenue -Asphalt Resurfacing
6251 Road Improvements
Rambleberry Avenue -Asphalt Resurfacing -Kelvinway Lane to
Rambleberry Avenue
7505 RF -Federal Gas Tax
Total 5320.2116 Rambleberry Avenue -Asphalt Resurfacing
5320.2117 Naroch Boulevard -Asphalt Resurfacing
6251 Road Improvements
Naroch Boulevard -Asphalt Resurfacing -Grenoble Boulevard to
Patmore Lane
7505 RF -Federal Gas Tax
Total 5320.2117 Naroch Boulevard -Asphalt Resurfacing
5320.2118 Edmund Drive -Asphalt Resurfacing
6251 Road Improvements
281
Run Date: Mar 12, 2020
Funding Expense
(120,000)
(120,000) 120,000
180,000
(180,000)
(180,000) 180,000
75,000
(75,000)
(75,000) 75,000
260,000
(260,000)
(260,000) 260,000
350,000
(350,000)
{350,000) 350,000
120,000
(120,000)
(120,000) 120,000
220,000
5320 Roads Projects
City of Pickering
2021
Capital Forecast
Edmund Drive -Asphalt Resurfacing -Steeple Hill to Sheppard
Avenue
7505. RF -Federal Gas Tax
Total 5320.2118 Edmund Drive -Asphalt Resurfacing
5320.2119 Gablehurst Crescent -Asphalt Resurfacing
6251 Road Improvements
Gablehurst Crescent -Asphalt Resurfacing -Brookshire Square to
90m west
7505 RF -Federal Gas Tax
Total 5320.2119 Gablehurst Crescent -Asphalt Resurfacing
5320.2120 Liverpool Road -Asphalt Resurfacing
6251 Road Improvements
Liverpool Road -Asphalt Resurfacing -Tatra Drive to Bayly Street
7505 RF-Federal Gas Tax
Total 5320.2120 Liverpool Road -Asphalt Resurfacing
5320.2121 St. Martins Drive -Asphalt Resurfacing
6251 Road Improvements
St. Martins Drive -Asphalt Resurfacing -Bayly Street to Radom
Street
7505 RF -Federal Gas Tax
Total 5320.2121 St. Martins 'Drive -Asphalt Resurfacing
5320.2122 Dunbarton Road -Asphalt Resurfacing
6251 Road Improvements
Dunbarton Road -Asphalt Resurfacing -20m west of Cloudberry
Court to Dixie Road
7505 RF -Federal Gas Tax
Total 5320.2122 Dunbarton Road -Asphalt Resurfacing
Total 5320 Roads Projects
282
Run Date: Mar 12, 2020
Funding Expense
(220,000)
(220,000) 220,000
65,000
(65,000)
(65,000) 65,000
110,000
(110,000)
(110,000) 110,000
120,000
. (120,000)
(120,000) 120,000
120,000
(120,000)
(120,000) 120,000
(9,751,800) 9,751,800
5320 Roads Projects
. City of Pickering
2022
Capital Forecast
5320.2202 Radom St. Culverts Replacement -Construction
1702 Debt -10 Year
6256 Bridges & Culverts
Radom Street Culverts (7) Replacement Construction.
Total 5320.2202 Radom St. Culverts Replacement -Construction
5320.2205 Scarborough/Pickering Townline Rd.-Culvert Replaceme
6230 Prof/Consulting Fees
Toronto/ Pickering Townline Culvert (2004) Replacement -
Design/Approvals.
7709 RF -Roads & Bridges
Total 5320.2205 Scarborough/Pickering Townline Rd.-Culvert Rep
5320.2208 Asphalt Resurfacing Projects (TBD)
6251 Road Improvements
Resurfacing Projects (TBD).
7505 RF -Federal Gas Tax
Total 5320.2208 Asphalt Resurfacing Projects (TBD)
5320.2209 Liverpool Bridge Replacement -Construction
1704 Debt -20 year
6256 Bridges & Culverts
Liverpool Bridge (3) Replacement -Construction
Total 5320.2209 Liverpool Bridge Replacement -Construction
Total 5320 Roads Projects
Run Date: Mar 12, 2020
Funding Expense
(1,500,000)
1,500,000
(1,500,000) 1,500,000
600,000
(600,000)
(600,000) 600,000
2,250,000
(2,250,000)
(2,250,000) 2,250,000
(2,800,000)
2,800,000
(2,800,000) 2,800,000
(7,150,000) 7,150,000
City of Pickering
2023
Capital Forecast
5320 Roads Projects
5320.2301 Asphalt Resurfacing· Projects (TBD)
6251 Road Improvements
Roads Resurfacing Projects (TBD)
7505 RF -Federal Gas Tax
Total 5320.2301 Asphalt Resurfacing Projects (TBD)
5320.2302 Kinsale Rd. -Hard Surfacing
1702 Debt-10 Year
6251 Road Improvements
Kinsale Road Paving -Hwy 407 to Seventh Concession Road
upgrade to hard surface (1300m). Northern Roads Hard Surfacing
Strategy.
7709 RF -Roads & Bridges
Total 5320.2302 Kinsale Rd. -Hard Surfacing
5320.2303 Old Brock Rd. -Road Reconstruction
1702 Debt-10 Year
6251 Road Improvements
Old Brock Road -Haxton Street to Uxbridge-Pickering Townline
Total 5320.2303 Old Brock Rd. -Road Reconstruction
5320.2304 Dyson Rd. ~ Road Reconstruction
1702 Debt-10 Year
6251 Road Improvements
Dyson Road -Rodd Avenue to Rougemount Drive
Total 5320.2304 Dyson Rd. -Road Reconstruction
5320.2305 Sideline 24 ~ Road Reconstruction
6251 Road Improvements
Sideline 24 -Highway 407 to Whitevale Road -Road
Reconstruction. Northern Roads Hard Surfacing Strategy.
7709 RF -Roads & Bridges
Total 5320.2305 Sideline 24 -Road Reconstruction
5320.2306 Hoover Bridge Replacement Design
1712 Internal Loan-10 Year
6230 Prof/Consulting Fees
Hoover Bridge (7004) Replacement Design/Approvals
Total 5320.2306 Hoover Bridge Replacement Design
Total 5320 Roads Projects
284
Run Date: Mar 12, 2020
Funding Expense
2,250,000
(2,250,000)
(2,250,000) 2,250,000
(500,000)
975,000
I
(475,000)
(975,000) 975,000
(950,000)
950,000
(950,000) 950,000
(1,530,000)
1,530,000
(1,530,000) 1,530,000
975,000
(975,000)
(975,000) 975,000
(250,000)
250,000
(250,000) 250,000
(6,930,000) 6,930,000
5320 Roads Projects
City of Pickering
2024
Capital Forecast
5320.2412 Seventh Concession Rd. (SL 26 to SL 22) Road Construe
6251. Road Improvements
Seventh Concession Road (SL 26 to SL 22). Northern Roads Hard
Surfacing Strategy.
7709 RF -Roads & Bridges
Total 5320.2412 Seventh Concession Rd. (SL 26 to SL 22) Road C<
5320.2413 Seventh Concession Rd. (SL 22 to Brock Rd.) Road Corn
1702 Debt-10 Year
6251 Road Improvements
Seventh Concession Road (SL 22 to Brock Road). Northern Roads
Hard Surfacing Strategy.
Total 5320.2413 Sev~nth Concession Rd. (SL 22 to Brock Rd.) Roe
5320.2414 Roads Resurfacing Projects (TBD)
6251 Road Improvements
Roads Resurfacing Projects (TBD)
7505 RF -Federal Gas Tax
Total 5320.2414 Roads Resurfacing Projects (TBD)
Total 5320 Roads Projects
285
Run Date: Mar 12, 2020
Funding Expense
1,525,000
(1,525,000)
(1,525,000) 1,525,000
(1,525,000)
1,525,000
(1,525,000) 1,525,000
2,250,000
(2,250,000)
(2,250,000) 2,250,000
(5,300,000) 5,300,000
City of Pickering
Multi-Year Capital Forecast
2021 -2024
5613 Water Resources & Development Services
2021
Forecast
Expenditures
6250 Construction Costs 200,000
Total Expenditures 200 000
Financing
7501 RF-Third Party Contribution (200,000)
Total Financing (200,000)
286
Run Date: Mar 12, 2020
2022 2023 2024
Forecast Forecast Forecast
200,000 200,000 200,000
200 000 200.000 200 000
(200,000) (200,000) (200,000)
(200,000) (200,000) (200,000)
City of Pickering
2021
Capital Forecast
5613 Water Resources & Development Services
5613.2101 Various Construction Projects
6250 Construction Costs
Various Construction Projects Related to Development (funded
from Third Party Contributions).
7501 RF -Third Party Contribution
Total 5613.2101 Various Construction Projects
Total 5613 Water Resources & Development Services
287
Run Date: Mar 12, 2020
Funding Expense
200,000
(200,000)
(200,000) 200,000
(200,000) 200,000
City of Pickering
2022
Capital Forecast
5613 Water Resources & Development Services
5613.2201 Various Construction Projects
6250 Construction Costs
Various Construction Projects Related to Development (funded
from Third Party Contributions).
7501 RF -Third Party Contribution
Total 5613.2201 Various Construction Projects
Totar5613 Wat.er Resources & Development Services
288
Run Date: Mar 12, 2020
Funding Expense
200,000
(200,000)
(200,000) 200,000
(200,000) 200,000
City of Pickering
2023
Capital Forecast
5613 Water Resources & Development Services
5613.2303 Various Construction Projects
6250 Construction Costs
Various Construction Projects Related to Development (funded
from Third Party Contributions).
7501 RF -Third Party Contribution
Total 5613.2303 Various Construction Projects
Total 5613 Water Resources & Development Services
289
Run Date: Mar 12, 2020
Funding Expense
200,000
(200,000)
(200,000) 200,000
(200,000) 200,000
City of Pickering
2024
Capital Forecast
5613 Water Resources & Development Services
5613.2402 Various Construction Projects
6250 Construction Costs
Various Construction Projects Related to Development (funded
from Third Party Contributions).
7501 RF -Third Party Contribution
Total 5613.2402 Various Construction Projects
Total 5613 Water Resources & Development Services
290
Run Date: Mar 12, 2020
Funding Expense
200,000
(200,000)
(200,000) 200,000
(200,000) 200,000
City of Pickering
Multi-Year Capital Forecast
2021 -2024
5321 Development Projects-(DC Funded)
2021
Forecast
Expenditures
6230 Prof/Consulting Fees 81,200
6251 Road Improvements 4,500,000
6252 Streetlights & Sidewalks
6253 Storm Water 300,900
6256 Bridges & Culverts 2,158,400
6265 Land Acquisition & Disp 5,000,000
Total Expenditures 12.040 500·
Financing
1702 Debt-10 Year
1712 Internal Loan-10 Year
2823 Paid from Property Taxes
7022 R -DC's City's Share (4,297,414)
7501 RF -Third Party Contribution (2,500,000)
7610 RF DC -Roads & Related (5, 118,800)
7611 RF DC -Storm Water Mgmt (124,286)
7709 RF -Roads & Bridges
7710 RF -Stormwater Mgmt
Total Financing (12,040,500)
291
Run Date: Mar 12, 2020
2022 2023 2024
Forecast Forecast Forecast
2,698,000
1,850,000 9,125,455
1,264,536 4,399,455
1,566,000
54,000,000 500,000
59.528 536 6 749 455 9,125 455
(674,500) (2,187,228) (4,420,088)
(142,640)
(12,500)
(14,517,082) (3,637,452)
(26,500,000)
(16,405;768) (912,275) (4,562,727)
(692,558)
(500,000)
(238,628)
(59,528,536) (6,749,455) (9,125,455)
City of Pickering
2021
Capital Forecast
5321 Development Projects-(DC Funded)
5321.2101 Highway 401 Road Crossing -Land Acquisition
6265 Land Acquisition & Disp
Land Acquisition required for road allowance purposes to facilitate
the construction of the Highway 401 road crossing connecting
Notion Road to Squires Beach Road and realignment of Pickering
Parkway at Notion Road.
7022 R -DC's City's Share
7501 RF -Third Party Contribution
7610 RF DC -Roads & Related
Total 5321.2101 Highway 401 Road Crossing -Land Acquisition
5321.2102 A-12, 8-28 (Plummer) -Krosno Creek Crossing
6256 Bridges & Culverts
A-12 (Plummer) Bridge Structure Type 'C' Arterial (75/25).
7022 R -DC's City's Share
7610 RF DC -Roads & Related
Total 5321.2102 A-12, 8-28 (Plummer) -Krosno Creek Crossing
5321.2103 8-19 D Krosno Creek -SWM Facility -Design
6230 Prof/Consulting Fees
8-19 (48/52) Krosno Creek SWM Facility K16 at Wharf St. (Design).
7022 R -DC's City's Share
7611 RF DC -Storm Water Mgmt
Total 5321.2103 8-19 D Krosno Creek -SWM Facility-Design
5321.2104 B-29 Sandy Beach Rd. -Reconstruction Phase 2
6251 Road Improvements
Sandy Beach Road reconstruction and storm sewer installation -
Bayly Street to Montgomery Park Road (50/50). Multi-year project.
· Phase 2.
7022 R -DC's City's Share
7610 RF DC -Roads & Related
Total 5321.2104 B-29 Sandy Beach Rd. -Reconstruction Phase 2
5321.2105 Installation of Oil Grit Separators
6253 Storm Water
Installation of Oil Grit Separators (25/75) Frenchman's Bay.
7022 R -DC's City's Share
292
Run Date: Mar 12, 2020
Funding Expense
5,000,000
(1,250,000)
(2,500,000)
(1,250,000)
. (5,000,000) 5,000,000
2,158,400
(539,600)
(1,618,800)
(2,158,400) 2,158,400
81,200
(42,224)
(38,976)
(81,200) 81,200
4,500,000
(2,250,000)
(2,250,000)
(4,500,000) 4,500,000
300,900
(215,590)
City of Pickering
2021
Capital Forecast
5321 Development Projects-(DC Funded)
7611 RF DC -Storm Water Mgmt
Total 5321.2105 Installation of Oil Grit Separators
Total 5321 Development Projects-(DC Funded)
293
Run Date: Mar 12, 2020
Funding Expense
(85,310)
(300,900) 300,900
(12,040,500) 12,040,500
City of Pickering
2022
Capital Forecast
5321 Development Projects-(DC Funded)
5321.2201 8-19 C Krosno Creek -SWM Facility -Construction
6253 Storm Water
B-19 Krosno Creek SWM Facility K16. Construction (48/52).
7022 R -DC's City's Share
7611 RF DC -Storm Water Mgmt
Total 5321.2201 8-19 C Krosno Creek -SWM Facility -Constructic
5321.2202 8-30 D Krosno Creek -SWM Facility • Design
6253 · Storm Water
· B-30 Krosno Creek SWM Facility K19 Hydro Corridor -(48/52)
(feasibility, EA, Design, Land Cost & Approvals).
7611 RF DC -Storm Water Mgmt
7710 RF -Stormwater Mgmt
Total 5321.2202 8-30 D Krosno Creek -SWM Facility -Design
5321.2203 Installation of Oil Grit Separators
6253 Storm Water
Installation of Oil Grit Separators (25/75) Frenchman's Bay.
7022 R -DC's City's Share
7611 RF DC -Storm Water Mgmt
Total 5321.2203 Installation of Oil Grit Separators
5321.2204 RP-2 Finch Ave. Culvert Replacement
6256 Bridges & Culverts
RP-2 Finch Ave West of Altona Road Culvert Replacement (50/50).
7610 RF DC -Roads & Related
7709 RF -Roads & Bridges
Total 5321.2204 RP-2 Finch Ave. Culvert Replacement
5321.2205 D-2 Kingston Rd Streetlighting/Sidewalks S. Side
6252 Streetlights & Sidewalks
0-2 Kingston Road -South Side Steetlighting & Sidewalks (50/50).
7022 R -DC's City's Share
7610 RF DC -Roads & Related
Total 5321.2205 D-2 Kingston Rd Streetlighting/Sidewalks S. Side
5321.2206 D-1 Kingston Rd Steetlighting/Sidewalks N. Side
6252 Streetlights & Sidewalks
294
Run Date: l\'lar 12, 2020
Funding Expense
806,200
(419,224)
(386,976)
(806,200) 806,200
458,900
(220,272)
(238,628)
(458,900) 458,900
300,900
(215,590)
(85,310)
(300,900) 300,900
1,000,000
(500,000)
(500,000)
(1,000,000) 1,000,00G
694,536
(347,268)
(347,268)
. (694,536) 694,536
570,000
City of Pickering
2022
Capital Forecast
5321 Development Projects-(DC Funded)
D-1 Kingston Road -North Side Steetlighting & Sidewalks (50/50).
7022 R -DC's City's-Share
7610 RF DC -Roads & Related
Total 5321.2206 D-1 Kingston Rd Steetlighting/Sidewalks N. Side
5321.2207 Arterial Road: Bayly to Kingston -Feasibility Study
1702 Debt -10 Year
6230 Prof/Consulting Fees
· TC-31 Future Arterial Road in Hydro Corridor, City Centre -
Feasibility Study and Environmental Assessment (75/25).
7610 RF DC -Roads & Related
Total 5321.2207 Arterial Road: Bayly to Kingston -Feasibility Stud
5321.2208 Highway 401 Road Crossing Construction
6256 Bridges & Culverts
Highway 401 Road Crossing -connecting Notion Road to Squires
Beach Road, and re-alignment of Pickering Parkway at Notion
Road -Construction (50/50)
7022 R -DC's City's Share
7501 RF -Third Party Contribution
7610 RF DC -Roads & Related
Total 5321.2208 Highway 401 Road Crossing Construction
Total 5321 Development Projects-(DC Funded)
295
Run Date: Mar 12, 2020
Funding Expense
(285,000)
(285,000)
(570,000) 570,000
(674,500)
2,698,000
(2,023,500)
(2,698,000) 2,698,000
53,000,000
(13,250,000)
(26,500,000)
(13,250,000)
(53,000,000) 53,000,000
(59,528,536) · 59,528,536
City of Pickeri,ng
2023
Capital Forecast
5321 Development Projects-(DC Funded)
5321.2301 81~1 Bayly St. -Sidewalks & Streetlights
1702 Debt-10 Year
6252 Streetlights & Sidewalks
81 -1 Sidewalks & Streetlights -Bayly Street (Church Street to
Hydro Corridor -north and south sides) (50/50).
7022 R -DC's City's Share
Total 5321.2301 81-1 Bayly St. -Sidewalks & Streetlights
5321.2302 RU-4 Audley Rd. -Road Reconstruction
1702 Debt-10 Year
6252 Streetlights & Sidewalks
RU-4 Audley Road (50/50) Fifth Concession to Hwy. #7 -Two
Lane Rural Reconstruction.
7022 R -DC's City's Share
Total 5321.2302 RU-4 Audley Rd. -Road Reconstruction
5321.2303 DH-24 Brock Rd. -Sidewalks & Streetlights
2823 Paid from Property Taxes
6252 Streetlights & Sidewalks
DH-24 Sidewalks & Streetlights -Brock Road( both sides Forbrock
St to Taunton Rd.)
7022 R -DC's City's Share
Total 5321.2303 DH-24 Brock Rd. -Sidewalks & Streetlights
5321.2305 DH-2 Valley Farm Rd. Bridge EA/Design
6256 Bridges & Culverts
DH-2 Valley Farm Road Bridge EA/Design (90/10)
7022 R -DC's City's Share
7610 RF DC -Roads & Related
Total 5321.2305 DH-2 Valley Farm Rd. Bridge EA/Design
5321.2306 RP-4 Fi.nch Ave. -Road Reconstruction
6251 Road Improvements
RP-4 Finch Avenue reconstruction, urbanization from Altona Road
to Townline Road. (75/25)
7022 R -DC's City's Share
7610 RFDC -Roads & Related
Total 5321.2306 RP-4 Finch Ave. -Road Reconstruction
Total 5321 Development Projects-(DC Funded)
296
Run Date: Mar 12, 2020
Funding Expense
(581,150)
1,162,300
(581,150)
(1,162,300) 1,162,300
(1,606,078)
3,212,155
(1,606,077)
(3,212,155) 3,212,155
(12,500)
25,000
(12,500)
(25,000) 25,000
500,000
(50,000)
(450,000)
(500,000) 500,000
1,850,000
(1,387,725)
(462,275)
(1,850,000) 1,850,000
(6,749,455) 6,749,455
City of Pickering
2024
Capital Forecast
5321 Development Projects-(DC Funded)
5321.2401 V-5 Notion Rd. -Road Reconstruction
1702 Debt -10 Year
6251 Road Improvements
V-5 Notion Road 2 lane road reconstruction and storm sewer
installation (Kingston Road to 350m south) (50/50)
7610 RF DC -Roads & Related
Total 5321.2401 V-5 Notion Rd. -Road Reconstruction
5321.2402 R-4a Oakwood Drive -Road Reconstruction
1702 Debt-10 Year
6251 Road Improvements
R-4a Oakwood Drive -2 lane urban reconstruction (Rougemount
Drive to Mountain Ash Drive) (50/50)
7610 RF DC -Roads & Related
Total 5321.2402 R-4a Oakwood Drive -Road Reconstruction
5321.2403 R-4b Oakwood Drive -Road Reconstruction
1702 Debt-10 Year
6251 Road Improvements
R-4b Oakwood Drive -2 lane urban reconstruction & storm sewer
install (Mountain Ash Drive to Toynevale Road) (50/50)
7610 RF DC -Roads & Related
Total 5321.2403 R-4b Oakwood Drive -Road Reconstruction
5321.2404 R-5 Rougemount Drive -Road Reconstruction
1712 Internal Loan-10 Year
6251 Road Improvements
R-5 Rougemount Drive -2 lane urban reconstruction & storm sewer
install (Woodgrange Avenue to Toynevale Road) (50/50)
7610 RF DC -Roads & Related
Total 5321.2404 R-5 Rougemount Drive -Road Reconstruction
5321.2405 RU-7 Scarborough/Pickering Townline Road -Road Rec,
1702 Debt -10 Year
6251 Road Improvements
RU-7 Scarborough/Pickering Townline Road -Reconstruction &
widening (CPR to Taunton Road/ Steeles Avenue)(50/50)
7610 RF DC -Roads & Related
Total 5321.2405 RU-7 Scarborough/Pickering Townline Road -Ro,
297
Run Date: Mar 12, 2020
Funding Expense
(526,000)
1,052,000
(526,000)
(1,052,000) 1,052,000
(717,875)
1,435,750
(717,875)
(1,435,750) 1,435,750
(359,113)
718,225
(359,112)
(718,225) · 718,225
(142,640)
285,280
(142,640)
(285,280) ·285,280
(2,817,100)
5,634,200
(2,817,100)
(5,634,200) 5,634,200
City of Pickering
2024
Capital Forecast
5321 Development Projects-(DC Funded)
Total 5321 Development Projects-(DC Funded)
298
Run Date: Mar 12, 2020
Funding Expense
(9,125,455) 9,125,455
Fire Services Dept. Summary
Expenditures
" 6173 Furniture & Fixtures
6230 Prof/Consulting Fees
6450 Construction Costs -Seaton
6473 Furniture & Fixtures -Seaton
6478 Miscellaneous Equipment -Seaton
. 6500 Building Related
Total Expenditures
Financing
1701 Debt-5 Year
1704 Debt -20 year
1711 Internal Loan -5 Year
2823 Paid from Property Taxes
7022 R -DC's City's Share
7605 RF DC -Protection Services
Total Financing ,
Abbreviations
City of Pickering
Multi-Year Capital Forecast
2021 -2024
2021
Forecast
41,000
57,000
250,000
63,105
5,946,000
6 357105
(250,000)
(5,696,000)
(348,000)
(63,105)
(6,357,105)
FS#2
FS#3
FS#4
FS#5
Fire Station #2, 553 Kingston Rd.
. FS#6
Fire Station #3 (Seaton), 2710 Brock Rd.
Fire Station #4, 4941 Old Brock Rd.
Fire Station #5, 1616 Bayly St.
Fire Station #6, 1115 Finch Ave .
299
Run Date: Mar·12, 2020
2022 2023 2024
Forecast Forecast Forecast
200,000
32,000 490,000 25,000
6,000,000
168,729 84,140
566,000 125,000
966 729 699140 6 025,000
(686,000) (110,000)
(112,000) (15,000) (25,000)
(12,250) (150,000)
(168,729) (561,890) (5,850,000)
(966,729) (699,140) (6,025,000)
5340 Fire Services
5340.2101 FS #6 Window Replacement
2823 Paid from Property Taxes
6500 Building Related
City of Pickering
2021
Capital Forecast
Renovation -Lifecycle replacement of windows at Fire Station #6
Total 5340.2101 FS #6 Window Replacement
5340.2102 FS #1 New Fire Station & HQ (Seaton) Bunker Gear and I
6478 Miscellaneous Equipment -Seaton
Equipment for 3 firefighters including bunker gear and breathing
apparatus equipment for FS #1 New Fire Station & HQ (Seaton).
7605 RF DC -Protection Services
Total 5340.2102 FS #1 New Fire Station & HQ (Seaton) Bunker Ge~
5340.2104, FS #5 Replacement -Demolition & New Construction
1704 Debt -20 year
6500 Building Related
Construction costs for the replacement of Fire Station #5. Includes
demolition of existing structure. Fire Station #5 was originally
constructed in 1964 and is at end of its serviceable life.
Total 5340.2104 FS #5 Replacement -Demolition & New Construct
5340.2107 FS #1 New Fire Station & HQ (Seaton) -FF&E
1701 Debt - 5 Year
6473. Furniture & Fixtures -Seaton
Furniture, fixtures and equipment for the new Fire Station #1 &
Headquarters (Seaton) building. FF&E items which cannot be
capitalized will be i,ncluded in the operating budget(s)
corresponding with the timing of construction and occupancy.
Total 5340.2107 FS #1 New Fire Station & HQ (Seaton) -FF&E
5340.2108 FS #6 Kitchen & Living Quarters Retrofit -Design
2823 Paid from Property Taxes
6230 Prof/Consulting Fees
Design consulting services and related investigation costs to
prepare for retrofit of the existing kitchen and living quarters at Fire
Station #6, originally constructed in 1994.
Total 5340.2108 FS #6 Kitchen & Living Quarters Retrofit -Design
5340.2109 FS #2 Partial Roof Replacement -Design
2823 Paid from Property Taxes
6230 Prof/Consulting Fees
300
Run Date: Mar 12, 2020
Funding Expense
(115,000)
115,000
(115,000) 115,000
63,105
(63,105)
(63,105) 63,105
(5,696,000)
5,696,000
(5,696,000) 5,696,000
(250,000)
250,000
(250,000) 250,000
(31,000)
31,000
(31,000) 31,000
(26,000)
26,000
5340 Fire Services
City of Pickering
2021
Capital Forecast
Lifecycle replacement of lower flat roof over living quarters at Fire
Station #2. Includes provision of rooftop access ladder and platform
through upper part of hose tower.
Total 5340.2109 FS #2 Partial Roof Replacement -Design
5340.2110 FS #6 Gas_Fired Heater (apparatus floor) Replacements
2823 Paid from Property Taxes
6500 Building Related
Lifecycle replacement of gas fired heaters and controls in apparatus
bay.
Total 5340.2110 FS #6 Gas Fired Heater (apparatus floor) Replacer
5340.2112 FS #2 Window Replacement
2823 Paid from Property Taxes
6500 Building Related
Ufecycle replacement of exterior windows at Fire Station #2.
Existing windows were installed in 1995.
Total 5340.2112 FS #2 Window Replacement
5340.2113 FS #4 Kitchen Upgrade
2823 Paid from Property Taxes
6500 Building Related
Renovations to Fire Station # 4 -Kitchen Upgrade.
Total 5340.2113 FS #4 Kitchen Upgrade
5340.2114 FS #2 -FF&E Upgrade
2823 Paid from Property Taxes
6173 Furniture & Fixtures
Upgrade to furniture at Fire Station #2.
Total 5340.2114 FS #2 -FF&E Upgrade
Total 5340 Fire Services
301
Run Date: Mar 12, 2020
Funding Expense
(26,000) 26,000
(32,000)
32,000
(32,000) 32,000
(41,000)
41 ;000
(41,000) 41,000
(62,000)
62,000
(62,000) 62,000
(41,000)
41,000
(41,000) 41,000
(6,357,105) 6,357,105
City of Pickering
2022
Capital Forecast
5340 Fire Services
5340.2201 FS #1 New Fire Station & HQ (Seaton) Bunker Gear and I
6478 Miscellaneous Equipment -Seaton
Equipment for 8 new firefighters including bunker gear and
breathing apparatus equipment for FS #1 New Fire Station & HQ
(Seaton).
7605 RF DC -Protection Services
Total 5340.2201 FS #1 New Fire Station & HQ (Seaton) Bunker Ge~
5340.2202 FS #2 Parking Lot Resurfacing
1711 Internal Loan -5 Year
6500 Building Related
Lifecycle replacement of existing asphalt top coat over parking and
driveway at Fire Station #2. Includes provision of concrete apron
pad in front of apparatus bay, selective curb repairs and line
painting.
Total 5340.2202 FS #2 Parking Lot Resurfacing
5340.2204 FS#4 Living Quarters Retrofit -Design
2823 Paid from Property Taxes
6230 Prof/Consulting Fees
Design costs to prepare for retrofit of the existing living quarters on
the north side of the apparatus bay, originally designed as the City's
Emergency Control Centre, including replacing existing finishes,
furniture, fixtures and equipment.
Total 5340.2204 FS#4 Living Quarters Retrofit -Design
5340.2206 FS#6 Overhead Door Replacement
2823 Paid from Property Taxes
6500 Building Related
Lifecycle replacement of both overhead doors in apparatus bay at
Fire Station #6.
Total 5340.2206 FS#6 Overhead Door Replacement
5340.2207 FS #5 Replacement -FF&E
1711 Internal Loan -5 Year
6173 Furniture & Fixtures
Furniture, fixtures and equipment for the replacement of Fire Station
#5. FF&E items which cannot be capitalized will be included in the
operating budget(s) corresponding with the timing of construction
and occupancy.
Total 5340.2207 FS #5 Replacement -FF&E
302
Run Date: Mar 12, 2020
Funding Expense
168,729
(168,729)
(168,729) 168,729
(186,000)
186,000
(186,000) 186,000
(32,000)
32,000
(32,000) 32,000
(40,000)
40,000
(40,000) 40,000
(200,000)
200,000
(200,000) 200,000
5340 Fire Services
City of Pickering
2022
Capital Forecast
5340.2208 FS #2 Gas Fired Heater Replacements
-2823 Paid from Property Taxes
6500 Building Related
Lifecycle replacement of existing heaters and controls in the
apparatus bay at Fire Station #2. The existing units were installed
in 2008.
Total 5340.2208 FS #2 Gas Fired Heater Replacements
5340.2209 FS #6 Kitchen & Living Quarters Retrofit -Construction
1711 Internal Loan - 5 Year
6500 Building Related
Construction costs for interior retrofit of the existing kitchen, living
quarters and related adjunct spaces at Fire Station #6. These
spaces were originally constructed in 1994.
Total 5340.2209 FS #6 Kitchen & Living Quarters Retrofit -Constr
5340.2210 FS #2 Partial Roof Replacement-Construction
1711 Internal Loan -5 Year
6500 Building Related
Lifecycle replacement of the existing lower roof at Fire Station #2,
originally installed in 2002.
Total 5340.2210 FS #2 Partial Roof Replacement-Construction
Total 5340 Fire Services
303
Run Date: Mar 12, 2020
Funding Expense
{40,000)
40,000
(40,000) 40,000
(150,000)
150,000
(150,000) 150,000
(150,000)
150,000
(150,000) 150,000
(966,729) 966,729
5340 Fire Services
City of Pickering
2023
Capital Forecast
5340.2301 FS #4 Living Quarters Retrofit -Construction
1711 Internal Loan -5 Year
6500 Building Related
Construction costs to retrofit existing living quarters on the north
side of the apparatus bay, originally designed as the City's
Emergency Operations Centre, including replacing existing
finishes, furniture, fixtures and equipment.
Total 5340.2301 FS #4 Living Quarters Retrofit -Construction
5340.2302 FS #6 Fencing & Patio Replacement
2823 Paid from Property Taxes
6500 Building Related
Lifecycle replacement of the existing enclosure and patio at Fire
Station #6.
Total .5340.2302 FS #6 Fencing & Patio Replacement
5340.2304 FS #3 New Fire Station & HQ (Seaton) Bunker Gear and I
6478 Miscellaneous Equipment -Seaton
Equipment for 4 firefighters including bunker gear and breathing
apparatus equipment for FS #3 New Fire Station (Seaton North).
7605 RF DC -Protection Services
Total 5340.2304 FS #3 New Fire Station & HQ (Seaton) Bunker Ge~
5340.2306 Seaton North FS #3 -Design
6230 Prof/Consulting Fees
Design consulting services for new fire station in north Seaton
lands. Includes testing and inspection costs, and investigations on
new site.
7022 R -DC's City's Share
7605 RF DC -Protection Services
Total. 5340.2306 Seaton North FS #3 -Design
Total 5340 Fire Services
304
Run Date: Mar 12, 2020
Funding Expense
(110,000)
110,000
(110,000) 110,000
(15,000)
15,000
(15,000) 15,000
' 84,140
(84,140)
(84,140) 84,140
490,000
(12,250)
(477,750)
(490,000) 490,000
(699,140) 699,140
5340 Fire Services
City of Pickering
2024
Capital Forecast
5340.2401 Seaton North FS #3 -Construction
6450 Construction Costs -Seaton
Construction costs for new fire station #3 in north Seaton lands.
7022 R -DC's City's Share
7605 RF DC -Protection Services
Total 5340.2401 Seaton North FS #3 -Construction
5340.2402 FS #6 Generator Retrofit -Design
2823 Paid from Property Taxes
6230 Prof/Consulting Fees
Lifecycle rebuild and retrofit of the existing generator system at Fire
Station #6. The existing equipment was installed in 1993.
Total 5340.2402 FS #6 Generator Retrofit -Design
Total 5340 Fire Services
305
Run Date: Mar 12, 2020
Funding Expense
6,000,000
(150,000)
(5,850,000)
(6,000,000) 6,000,000
(25,000)
25,000
(25,000) 25,000
(6,025,000) 6,025,000
Library Summary
Expenditures
6173 Furniture & Fixtures
6175' Hardware Replacemer:its
6179 Book Collection Material
6183 Accessibility
6430 Prof/Consult Fees -Seaton
6450 Construction Costs -Seaton
650Q Building Related
Total Expenditures
1 Financing
1610 Federal Grants
1701 Debt-5 Year
1704 Debt -20 year
2823 Paid from Property Taxes
7022 R -DC's City's Share
City of Pickering
Multi-Year Capital Forecast
2021 -2024
2021
Forecast
100,000
135,000
276,000
300,000
4,711,853
5,979,078
11,501 931
(918,420)
(511,000)
(536,068)
7069 R -Community Benefit Charge Reserve
7630 RF DC -Library .. (7,113,247)
7713 RF -Seaton Land Grp FIA (2,423,196)
Total Financing (11,501,931)
Abbreviations
PCL
GAL
CL
Pickering Central Library, One The Esplanade
George Ashe Library, 470 Kingston Rd.
Claremont Library, 4941 Old Brock Rd.
306
Run Date: Mar 12, 2020
2022 2023 2024
Forecast Forecast Forecast
355,798
20,000 70,000 20,000
276,000 276,000 276,000
16,672,000
651 798 17,018 000 296,000
(330,798)
(9,383,821)
(321,000) (346,000) (296,000)
'
(7,288,179)
(651,798) (17,018,000) (296,000)
. 5800 Library
Expenditures
6173 Furniture & Fixtures
6175 Hardware Replacements
6179 Book Collection Material
6183 Accessibility
6500 Building Related
Total Expenditures
Financing
1610 Federal Grants
1701 Debt - 5 Year
2823 Paid from Property Taxes
7022 R -DC's City's Share
7630 RF DC -Library
Total Financing
City of Pickering
Multi-Year Capital Forecast
2021 -2024
2021
Forecast
100,000
135,000
276,000
300,000
5,979,078
6 790 078
(918,420)
(511,000)
(536,068)
(4,824,590)
(6,790,078)
307
Run Date: Mar 12, 2020
2022 2023 2024
Forecast Forecast Forecast
355,798
20,000 70,000 20,000
276,000 276,000 276,000
651 798 346.000 296 000
(330,798)
(321,000) (346,000) (296,000)
(651,798) (346,000) (296,000)
5800 Library
5800.2101 Collection Materials
2823 Paid from Property Taxes
6179 Book Collection Material
City of Pickering
2021
Capital Forecast
'
Collection Materials. Library materials cover the following: Books,
movies, music and other types of materials'along with their
processing and packaging. This budget is based on a formula
which includes community demand, material costs and industry
norms.
Total 5800.2101 Collection Materials
5800.2102 GAL Furniture Replacement
2823 Paid from Property Taxes
6173 Furniture & Fixtures
Replace furniture at George Ashe Library (tables, chairs, desks etc.
that are 20 years old).
Total 5800.2102 GAL Furniture Replacement
5800.2103 Archives & Library Space -Construction
161 O Federal Grants
6183 Accessibility
6500 Building Related
Library's share of construction for the new Pickering Heritage &
Community Centre.
7022 R -DC's City's Share
7630 RF DC -Library
Total 5800.2103 Archives & Library Space -Construction
5800.2104 PCL Computers Replacement
2823 Paid from Property Taxes
6175 Hardware Replacements
Replacement of public and staff computers at the P.ickering Central
Library that are older than 5 years with new equipment.
Total 5800.2104 PCL Computers Replacement
5800.2105 Upgrade Library Servers
2823 Paid from Property Taxes
6175 Hardware Replacements
Replace servers that are old and run on out of date software posing
a security risk
Total 5800.2105 Upgrade Library Servers
308
Run Date: Mar 12, 2020
Funding Expense
(276,000)
276,000
(276,000) 276,000
(80,000)
80,000
(80,000) 80,000
(918,420)
300,000
5,979,078
(536,068)
(4,824,590)
(6,279,078) . 6,279,078
(40,000)
40,000
(40,000) 40,000
(30,000)
30,000
(30,000) 30,000
5800 Library
I
City of Pickering
2021
Capital Forecast
5800.2107 Claremont Library Furniture Replacement
2823 Paid from Property Taxes
6173 Furniture & Fixtures
Replace furniture at Claremont Library (tables, chairs, desks etc.
that are 20 years old).
Total 5800.2107 Claremont Library forniture Replacement
5800.2108 Laptop and Power Loaning
2823 Paid from Property Taxes
6175 Hardware Replacements
Laptop and Power Units to loan these items to the public
Total 5800.2108 Laptop and Power Loaning
Total 5800 Library
309
Run Date: M?r 12, 2020
Funding Expense
(20,000)
20,000
(20,000) 20,000
(65,000)
65,000
(65,000) 65,000
(6,790,078) 6,790,078
5800 Library
5800.2201 Collection Materials
2823 Paid from Property Taxes
6179 Book Collection Material
City of Pickering
2022
Capital Forecast
Collection Materials. Library materials cover the following: Books,
movies, music and other types of materials along with their
processing and packaging. This budget is based on a formula
which includes community demand, material costs and industry
norms.
Total 5800.2201 Collection Materials
5800.2202 Archives and Library Space FF&E
1701 Debt-5 Year
6173 Furniture & Fixtures
Furniture, fixtures and equipment needed for the Library area of the
Heritage Centre. Additional FF&E funds for this project appear in
5719.
Total 5800.2202 Archives and Library Space FF&E
5800.2203 Replace Sunshade at George Ashe
2823 Paid from Property Taxes
6173 Furniture & Fixtures
Replace the sunshade in the George Ashe Reading garden. It is
exposed to the elements and will break down over time.
Total 5800.2203 Replace Sunshade at George Ashe
5800.2204 GAL Computers Upgrade
2823 Paid from Property Taxes
6175 Hardware Replacements
Replacement of public and staff computers at the George Ashe
Library that are older than 5 years with new equipment.
Total 5800.2204 GAL Computers Upgrade
. Total 5800 Library
310
Run Date: Mar 12, 2020
Funding Expense
(276,000)
276,000
(276,000) 276,000
(330,798)
330,798
(330,798) 330,798
(25,000)
25,000
(25,000) 25,000
(20,000)
20,000
(20,000) 20,000
(651,798) 651,798
5800 Library
5800.2301 Collection Materials
2823 Paid from Property Taxes
6179 Book Collection Material
City of Pickering
2023
Capital Forecast
Collection Materials. Library materials cover the following: Books,
movies, music and other types of materials along with their
processing and packaging. This budget is based on a formula
which includes community demand, material costs and industry
norms.
Total 5800.2301 Collection Materials
5800.2302 PCL Computers Replacement
2823 Paid from Property Taxes
6175 Hardware Replacements
Replacement of public and staff computers at the Pickering Central
Library that are older than 5 years with new equipment.
Total 5800.2302 PCL Computers Replacement
5800.2303 Upgrade Library Servers
2823 Paid from Property Taxes
6175 Hardware Replacements
Replace servers that are old and run on out of date software posing
a security risk
Total 5800.2303 Upgrade Library Servers
Total 5800 Library
311
Run Date: Mar 12, 2020
Funding Expense
(276,000)
276,000
(276,000) 276,000
(40,000)
40,000
(40,000) 40,000
(30,000)
30,000
(30,000) 30,000
(346,000) 346,000
5800 Library
5800.2401 Collection Materials
2823 Paid from Property Taxes
6179 Book Collection Material
City of Pickering
2024
Capital Forecast
Collection Materials. Library materials cover the following: Books,
movies, music and other types of materials along with their
processing and packaging. This budget is based on community
demand, material costs and industry norms.
Total 5800.2401 Collection Materials
5800.2402 GAL Computer Replacement
2823 Paid from Property Taxes
6175 Hardware Replacements
Replacement of public and staff computers at George Ashe Library
that are older than 5 years with new equipment.
Total 5800.2402 GAL Computer Replacement
Total 5800 Library
312
Run Date: Mar 12, 2020
Funding Expense
(276,000)
276,000
(276,000) 276,000
(20,000)
20,000
(20,000) 20,000
(296,000) 296,000
5801 Seaton Regional Library
Expenditures
6430 Prof/Consult Fees -Seaton
6450 Construction Costs -Seaton
Total Expenditures
Financing
1704 Debt -20 year
City of Pickering
Multi-Year Capital Forecast
2021 -2024
2021
Forecast
4,711,853
4 711 853
7069 R -Community Benefit Charge Reserve
7630 RF DC -Library (2,288,657)
7713 RF -Seaton Land Grp FIA (2,423,196)
Total. Financing (4,711,853)
313
Run Date: Mar 12, 2020
2022 2023 2024
Forecast Forecast . Forecast
16,672,000
16 672 000
(9,383,821)
(7,288,179)
(16,672,000)
5801 Seaton Regional Library
City of Pickering
2021
Capital Forecast
5801.2101 Seaton Regional Library -Design Only
6430 Prof/Consult Fees -Seaton
Seaton Community Library -Design Only.
7630 RF DC -Library
7713 RF -Seaton Land Grp FIA
Total 5801.2101 Seaton Regional Library -Design Only
Total 5801 Seaton Regional Library
314
Run Date: Mar 12, 2020
Funding Expense
4,711,853
(2,288,657)
(2,423,196)
(4,711,853) 4,711,853
(4,711,853) 4,711,853
5801 Seaton Regional Library
City of Pickering
2023
Capital Forecast
5801.2301 Seaton Regional Library -Construction
1704 Debt. -20 year
6450 Construction Costs -Seaton
Seaton Community Library -Construction
7069 R -Community Benefit Charge Reserve
The revenue is an estimate at this current time. The Provincial
legislation for the calculation for the Community Benefit Charge
(CBC) is not available and there is a risk that the CBC revenue
could be substantially lower than current DC fees for soft services.
Total 5801.2301 Seaton Regional Library -Construction
Total 5801 Seaton Regional Library
315
Run Date: Mar 12, 2020
Funding Expense
(9,383,821)
16,672,000
(7,288,179)
(16,672,000) 16,672,000
(16,672,000) 16,672,000
City of Pickering
Multi-Year Capital Forecast
2021 -2024
Human Resources Dept. Summary ·
2021
Forecast
Expenditures
.•
6174 System & Software Upgrade 290,000
Total Expenditures 290 000
Financing
7021 R -Rate Stabilization (177,000)
7069 R -Community Benefit Charge Reserve (113,000)
Total Financing (290,000)
316
Run Date: Mar 12, 2020
2022 2023 2024
Forecast Forecast Forecast
5139 Human Resources
5139.2101 Phase Three HR System
6174 System & Software Upgrade
City of Pickering
2021
Capital Forecast
Success Factors -Learning Management module. Improve
productivity and business outcomes with a cloud-based learning
inanagement system. It can be used to develop strong leadership,
track training of staff to ensure compliance with mandated training.
7021 R -Rate Stabilization
7069 R -Community Benefit Charge Reserve
Total 5139.2101 Phase Three HR System
Total 5139 Human Resources
317
Run Date: Mar 12, 2020
Funding Expense
290,000
(177,000)
(113,000)
(290,000) 290,000
(290,000) 290,000