HomeMy WebLinkAboutDecember 20, 2002
Committee of the Whole
Meeting Minutes
Monday, December 20, 2002
A meeting of the Committee of the Whole of the Council of the Corporation of the City of
Pickering was held on December 20, 2002 at 10:00 a.m. in the Main Committee Room
to consider the Proposed 2003 Roads and Parks Capital Budget.
PRESENT:
Mayor Wayne Arthurs
COUNCILLORS:
M. Brenner
M. Holland
R. Johnson
B. McLean
D. Pickles
D. Ryan
ALSO PRESENT:
1. Quinn
N. Carroll
G. Paterson
S. Karwowski
A. Greentree
- Chief Administrative Officer
- Director, Planning & Development
- Director, Corporate Services & Treasurer
- Manager, Finance & Taxation
- Supervisor, Legislative Services
Moved by Councillor Johnson that the following items be referred to the next budget
meeting of the Committee of the Whole for consideration.
CARRI ED
Roads - CAPITAL BUDGET
Moved by Councillor Ryan that the Proposed 2003 Roads Capital Budget be approved.
CARRIED
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Parks - CAPITAL BUDGET
Moved by Councillor Pickles that the Proposed 2003 Parks Capital Budget be approved
with the following amendment:
CARRIED
Front Street Park
Moved by Councillor Holland that the Proposed 2003 Parks Budget be increased by
$550,000 to provide for Front Street Park.
CARRIED
Boardwal k
Moved by Councillor Brenner that the Proposed 2003 Parks Budget be increased by
$1,000,000 to provide for a boardwalk at the waterfront, on the western side of the gap,
but not to include the docks.
LOST
CNE
Moved by Councillor Pickles that the $5,000 capital requirement for CNE be added to
the Proposed 2003 Operations & Emergency Services - Capital Maintenance Budget for
Council's consideration.
CARRIED
In considering the budget and supporting documentation, Council also discussed the
following:
1.
The Director, Corporate Services & Treasurer gave a presentation respecting the
draft 2003 Capital Priorities.
2.
The Mayor highlighted any changes to the proposed Parks and Road 2003
Capital Budget since the last draft was considered.
3.
With respect to Front Street Park, Councillor Holland stated that there is
approximately $150,000 from the 2002 Budget, $75,000 revenue coming from
the Progress Club, and an opportunity for $50,000 savings by re-working the
docking system. This is to be verified by the Director, Corporate Services &
Treasurer.
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4.
With respect to the Docking and Boardwalk Priority, Councillor Brenner sought
clarification and recommended the following
. Separate the docking and boardwalk components to allow for flexibility in
funding
. Consider private partnering for funding for the boardwalk.
. That the $400,000 remain in the budget. While Councillor Brenner
understands that the Western Gate cannot be done at this time, dropping
the project should not necessarily mean dropping the funds from the
budget.
. Councillor Brenner further commented that there is a need for Council to
carry on with finalizing some of the City's existing commitments, which
have not yet been completed.
5.
Councillor Pickles enquired about the land status and stated that he agreed with
Councillor Brenner that the boardwalk and docks should be separated.
6.
In response to Councillor Pickles' request for clarification, Councillor Brenner
stated that he envisioned that staff would investigate servicing (between the east
and west spits) opportunities and options. The Director, Operations &
Emergency Services confirmed that no costing estimates have been received.
7.
The Mayor confirmed that there would be no docks installed until servicing is
provided.
8.
Councillor Holland stated his opposition to proceeding with the project in
"phases" as it would be disruptive and would prevent the opportunity to realize
economy of scale.
9.
Councillor Holland commented on the option of debt financing and stated that it is
a viable option for funding of long-term assets. However, there is a necessary
commitment to paying back the debt. There is a prudent use and practical
approach to debt financing if there is a willingness to payoff the debt.
10.
In response to Councillor Ryan's request, the Director, Corporate Services &
Treasurer responded to Councillor Holland's comments regarding debt financing.
The Director concurred with Councillor Holland's comments and added that
Council must be willing to increase taxes the year following the year in which the
debt is incurred. This increase would be in addition to any other increases which
may result from other items tissues not related to the debt.
11.
The Director, Corporate Services & Treasurer reviewed a slide indicating the
2003 Debt Summary. The Director clarified that there is $22,000,000 on the
books, but not all of this has been incurred as debt at this time (Le. Unfunded
Liabilities ).
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12.
13.
14.
Councillor Holland cautioned that capital avoidance may result in projects not
ultimately being achieved due to increases of other associated costs over time.
In response to Councillor Pickle's enquiry, the Director, Corporate Services &
Treasurer estimated the City's legislative debt load at approximately
$55,000,000, provided we increase our taxes sufficiently to pay for it.
In response to Councillor Johnson's enquiry regarding current debt, the CAD
advised that current debt includes some capital projects since 1989, including
Petticoat Creek Library, Don Beer Arena, Rosebank Road, East Shore, and
others.
15.
With respect to David Farr Park, Councillor McLean requested that the center
piece of the concrete in the park be retained and/or reworked.
16.
The CAD distributed a copy of a memo from the Director, Planning &
Development, dated December 19, 2002, respecting Urbanization of Squires
Beach Road, Invar Building Corporation. The Director, Planning & Development
addressed the Committee to further explain the contents of the memo.
Council gave the CAD direction to proceed with the Squires Beach Road project,
as stated in the December 19, 2002 memo, for the purposes of accommodating
the relocation of the Flea Market.
Council determined that, at the Regional Joint Finance & Operations Meeting
(scheduled for January 2003), they would request the Region to commit to
funding the $106,702.37 funding shortfall as identified in the December 19, 2002
memo. Staff will assist Council, as required, in preparing for the January, Joint
Meeting.
ADJOURNMENT
The meeting adjourned at 11 :40 a.m.
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