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HomeMy WebLinkAbout2023 Approved Current Budget-Detailed-U%6f - P1CKER1NG 2023 Current Budget As Approved by Council April 24, 2023 City of Pickering 2023 Approved Current Budget Table of Contents Department Executive Comm. Budget Meeting Minutes Report to Council Budget Summaries Office of the Chief Administrative Officer Office of the CAO -Ad min 10000 Customer Care Centre 10005 Public Affairs & Corp. Comm. 10010 Corporate Initiatives Economic Development Economic Development & Strategic Projects 10050 City Development City Development-Admin 10100 Planning & Design 10105 Building Services 10110 Sustainability 10115 Committee of Adjustment 10120 Heritage Pickering 10125 Community Services Culture & Recreation -Admin 10200 Programs 10205 Dunbarton Pool 10210 Don Beer Arena 10215 Community Centres 10220 Recreation Complex-Central Core 10225 Recreation Complex-Pool 10230 Recreation Complex-Arenas 10235 Civic Centre 10240 Senior Citizens Centre 10245 Museum 10250 Operations Public Works -Admin 10300 Property Maintenance 10305 Fleet Services 10310 Roads 10315 Parks 10320 Operations -Services 10325 Major Capital Facilities 10330 Page 1 17 67 79 86 91 94 101 108 109 116 126 130 141 147 154 156 158 174 182 197 201 207 214 223 227 233 238 244 254 263 269 275 281 289 298 305 City of Pickering 2023 Approved Current Budget Table of Contents Corporate Services Legal Services 10400 Information Technology 10405 Clerks Office 10410 Records Management & Elections 10415 Print Shop/ Mail Room 10420 By-Law 10425 Animal Services 10430 Engineering Services Engineering Services-Admin 10500 Crossing Guards 10505 Water Resources & Development Services 10510 Sidewalks 10515 Streetlights 10520 Finance Finance 10600 Supply & Services 10605 Fire Services Fire Protection 10700 Emergency Operations 10705 Human Resources Human Resources 10800 Health & Safety 10805 Libraries Library 10900 General Government 308 319 324 331 335 338 341 346 353 362 369 371 380 382 385 394 403 406 410 419 422 425 429 432 433 443 ,, --Clpo/-- pJ(KERJNG Executive Committee Budget Meeting Minutes April 13, 2023 Hybrid Electronic Meeting -9:00 am Chair: Mayor Ashe Present: Mayor Kevin Ashe Councillors: M. Brenner S. Butt L. Cook M. Nagy D. Pickles L. Robinson Also Present: M. Carpino K. Bentley P. Bigioni S. Boyd S. Douglas-Murray B. Duffield J.Eddy J. Flowers R. Holborn F.Jadoon S. Karwowski S. Cassel M. Guinto J. Halsall V. Plouffe R. Perera D. Munns 1. Roll Call -Chief Administrative Officer -Director, City Development & CBO -Director, Corporate Services & City Solicitor -Fire Chief -Director, Community Services -Director, Operations -Director, Human Resources -CEO & Director of Public Libraries, Pickering Public Library -Director, Engineering Services -Director, Economic Development & Strategic Projects -Director, Finance & Treasurer -City Clerk -Division Head, Public Affairs & Corporate Communication -Division Head, Finance -Division Head, Operations Services -Deputy Clerk -Senior Budget & Financial Analyst The City Clerk certified that all Members of Council were present and participating in- person. 2. Disclosure of Interest 2.1 Councillor Brenner declared a conflict of interest under the Municipal Conflict of Interest Act with respect to salaries and wages and employee benefits in the 2023 Current Budget for Community Services Department, Programs and the Corporate 1 --Cl:;of-- ](KER]NG Executive Committee Budget Meeting Minutes April 13, 2023 Hybrid Electronic Meeting -9:00 am Chair: Mayor Ashe Services Department, Animal Services, as he has family members employed in these areas. Councillor Brenner declared a conflict of interest under the Municipal Conflict of Interest Act with respect to Grants to Organizations for PARA Marine Search & Rescue, as he is the Chair of the PARA Marine Search & Rescue. Councillor Brenner did not take part in the discussion or vote on these matters. 2.2 Councillor Cook declared a conflict of interest under the Municipal Conflict of Interest Act with respect to Grants to Organizations for Royal Canadian Legion Branch 606, as she is a volunteer for the Legion. Councillor Cook did not take part in the discussion or vote on this matter. Mayor Ashe provided opening remarks and commended staff for their work on the 2023 budget. 3. Delegations 3.1 David Sim, Pickering Resident Re: The City's Use of Casino Revenues David Sim, Pickering Resident, appeared before the Committee to speak to the City's use of casino revenues. Mr. Sim stated that property tax was his largest single expense and spoke to the need to use alternate funding sources, such as casino revenues, to keep property taxes as low as possible. He noted that there was a small increase to property taxes in 2022, that the City had used reserves to offset any increases, and asked whether there were plans to replenish the reserve funds. Mr. Sim added that he preferred the use of casino revenues as opposed to the use of reserve funds to offset property taxes. He suggested that public surveys for the annual budget needed to include an option for residents to indicate that they did not want a certain service in addition to the ability to rank services. He expressed his content with sharing costs with partners whenever possible, and the additional Committees of Council that had been established as it encouraged residents to get involved and contribute to the City. Mr. Sim noted the restrictions in the composition of certain committee membership requirements and stated that committee membership should allow for all residents to join. He further discussed creating consistency regarding the issuing of stipends and stated that all or none should receive a stipend. Mr. Sim noted that Council had chosen option D for the City Centre design and expressed his concern with cost increases associated with the option and the associated impacts to property taxes. Mr. Sim also discussed the impact of legislative changes related to development fees and noted that when 2 ---Cly oj---Executive Committee Budget Meeting Minutes April 13, 2023 Hybrid Electronic Meeting -9:00 am Chair: Mayor Ashe Pl KE R 1 NG he had contacted his local MPP, he had indicated that the impact to local municipalities would be minimal but that he was not entirely convinced of that. A brief question and answer period ensued between Members of the Committee and Mr. Sim regarding the use of casino funds for development projects and the use of naming rights partnerships to share costs with partners. Mr. Sim stated that he would share the response with the MPP with Mayor Ashe so that it could be shared with all Members of the Committee. 3.2 Adrian Patrascu, Pickering Resident Re: Priorities for the 2023 City Budget Adrian Patrascu, Pickering Resident, joined the meeting via audio connection, to speak to the priorities for the 2023 Budget. Mr. Patrascu stated that the funds allocated for infrastructure should be increased and asked that the property taxes be kept to a minimum. 3.3 Shafiq Patel, Pickering Resident Re: Allocation of Budget for Increased Recreation Services and Windrow Snow Removal Shafiq Patel, Pickering Resident, joined the meeting via audio connection to speak to the allocation of budget for increased recreational services and concerns pertaining to snow removal. Mr. Patel spoke to the difficulty in registering his children into swimming programs as the program capacity was reached within minutes of registration opening. He discussed the need to account for the population growth as it relates to recreation services, as parents with multiple children were finding it very difficult to register more than one child in programs with similar time slots. He further discussed the need to increase communication when recreational services were being offered so that all residents were aware of the new services. Mr. Patel concluded his delegation by stating that the City needed to think outside the box when it came to snow removal to look at ways to clear snow differently, especially on narrow streets, to alleviate traffic issues in the winter months and added that he was asking the City to consider allocating funds for better snow removal without negatively impacting property taxes. A brief question and answer period ensued between Members of the Committee and Mr. Patel regarding the number of proposed new parks and recreational facilities in the Capital Budget and greater by-law enforcement for cars parked on the roads during snow events. 4. Presentations 3 --C~~o/-- Pl(KERJNG Executive Committee Budget Meeting Minutes April 13, 2023 Hybrid Electronic Meeting -9:00 am Chair: Mayor Ashe 4.1 Presentation by the Chief Administrative Officer and the Director, Finance & Treasurer with respect to the 2023 Current and Capital Budgets Marisa Carpino, Chief Administrative Officer, stated that the 2023 budget proposed a 2.44% levy increase and spoke to the City's responsibility to build infrastructure to accommodate the future growth in Pickering. She discussed the importance of maintaining the City's inventory of aging infrastructure and allocating annual funds to maintain the facilities. Ms. Carpino stated that the proposed new staffing positions were included in the Budget to accommodate the levels of service and growth and noted the need for additional office space to accommodate the new staff. Ms. Carpino also highlighted the City's first Corporate Strategic Plan which was currently underway and thanked staff for their work to prepare the recommended 2023 Budget. Stan Karwowski, Director, Finance & Treasurer, appeared before the Committee, and through the use of a PowerPoint presentation, outlined the various facets of the 2023 Budget. He discussed the City's infrastructure investments and funding challenges for both new and existing City facilities, the proposed new Capital Facilities Team, the number of new staffing requests, and the need for additional office space. He discussed the significant sources of revenue changes and noted the 2023 proposed budget included a revenue increase of 3.34% and a 2.44% increase to the property tax rate. He further discussed the increase to building maintenance and fuel costs, provided a breakdown of the use of the casino reserves, the daily costs of municipal services, the details regarding the City's debt, the strategy for the 2024 budget, and the financial strategy to measure the City's social conscience. A question and answer period ensued between Members of the Committee and staff regarding: • the funds allocated to address the cost impacts of Bill 23; • the maintenance and depreciation of City buildings; • the recruitment strategy that would be undertaken for the proposed new staff positions; • partnering with the Region of Durham to obtain volume price discounts for fuel; • whether assistance from the Province with regards to effects of Bill 23 would alleviate the need to use casino revenues; • clarification that the City had absorbed the inflation rates in past budgets; • the strategy that the City currently had in place to retain the existing workforce; • the number of proposed front-line staff positions included in the 2023 budget; 4 ---Cllf/ of--- KE R J NG Executive Committee Budget Meeting Minutes April 13, 2023 Hybrid Electronic Meeting -9:00 am Chair: Mayor Ashe Pl • ensuring that the Office of Affordability was funded through the Planning Fees revenues; • whether new fees could be introduced later in the year without the need to reopen the Budget; • whether the fuel costs factored in electric vehicles and receiving an update on the acquisition of electrical vehicles; • ensuring that road infrastructure was a high priority and the need to move forward on road projects; • correspondence received from a resident regarding playgrounds and ensuring that the construction of playgrounds was a priority and considered through an accessibility and inclusivity lens; • the current split between the City's residential and non-residential tax base; • the impact of the innovation corridor on the residential and the non- residential tax base; • clarification regarding the City's debt level and how the City is positioned in regards to the Annual Repayment Limit (ARL); • the need for the Region of Durham to consider a social conscience grant program when it comes to the Seniors and Persons with Disabilities property tax grant program offered by the City of Pickering; • whether there would be basketball courts at the Pickering Soccer Dome Centre, along with the proposed pickleball and futsal courts; • whether the implementation of a property tax portal would reduce the number of staff needed; • whether desk sharing could be used in conjunction with the City's hybrid work program to account for limited office spacing and whether common areas could be transformed into workspace areas; • looking at the options for the materials used to repair City roads to increase the lifespan of the repair and the road; • the remaining percentage of buildable vacant land in the innovation corridor; and, • details regarding the outstanding capital projects and providing this information to the public. Councillor Brenner left the meeting at 11 :30 a.m. It was the consensus of the Committee to take a recess. Committee recessed at 11 :42 a.m. and reconvened at 12:24 p.m. 5. Matters for Consideration 5.1 Review and Recommendations of the 2023 Capital Budget 5 ---Clp of---Executive Committee Budget Meeting Minutes April 13, 2023 Hybrid Electronic Meeting -9:00 am Chair: Mayor Ashe P1 KE R 1 NG A question and answer period ensued between Members of the Committee and staff regarding: • options to minimize costs associated with the proposed drinking water replacement for Greenwood Community Centre and the Greenwood library; • costs associated with the maintenance of the Chestnut Hill Developments Recreation Complex; • timelines to complete the renovations in the Council Chambers and the ability to conduct electronic Council and Committee meetings during the renovation period; • plans for the electrification of City's fleet services; • whether the City would be considering the use of electric fire trucks in the future; • the number of asphalt hotboxes that the City currently owns and whether the proposed two new asphalt hotboxes were to replace existing ones; • status of land transactions with Infrastructure Ontario as it relates to parks and whether pre-budget approval would be needed for equipment for the Claremont Memorial Park; • differences between the two new positions in Corporate Services and City Development departments as it relates to the Digital Readiness Strategy; • whether there would be community engagement on the Digital Readiness Strategy; • possibility of including funds in the 2023 Capital Budget for the installation of covered stadium seating in the Rick Johnson Memorial Park; • whether the City could collaborate with the Region of Durham on the traffic signal installation at Rosebank Road and Woodsmere Crescent and the timelines for when the project would be completed; • timelines for traffic light installations on Lane Street, Salem Road and Fifth Concession Road, and Major Oaks Road and Wildwood Crescent; • the new roads that would be included in the Budget Report that would be presented to Council on April 24, 2023 which include Petunia Place, Gwendolyn Street, Falconcrest Drive, and Fuschia Lane • whether there were drainage improvements planned for Joseph Street; • whether traffic calming initiatives were included in the 2023 Capital Budget for Roads Projects; and, • whether certain projects included in the 2023 Capital Budget for Development Projects (DC Funded) would be completed in coordination with the Region of Durham and the associated timelines and costs. Councillor Brenner returned to the meeting at 1 :24 p.m. Moved by Councillor Butt 6 --C:ltJ uf-- p] (KER J NG Executive Committee Budget Meeting Minutes April 13, 2023 Hybrid Electronic Meeting -9:00 am Chair: Mayor Ashe That the 2023 Capital Budget be approved and presented to Council on April 24, 2023. 5.2 Review and Recommendations of the 2023 Current Budget Summary Office of the CAO Department Moved by Councillor Pickles Carried That the 2023 Current Budget for the Office of the CAO Department be approved and presented to Council on April 24, 2023. Carried Cherrywood Development Team A brief question and answer period ensued between Members of the Committee and staff regarding the timelines for the hiring of the proposed Project Managers for City Development and Engineering Services. Moved by Councillor Pickles That the 2023 Current Budget for the Cherrywood Development Team be approved and presented to Council on April 24, 2023. Carried New Capital Facilities Team A brief question and answer period ensued between Members of the Committee and staff regarding the funding details for the Capital Facilities Team. Moved by Councillor Pickles That the 2023 Current Budget for the New Capital Facilities Team be approved and presented to Council on April 24, 2023. Carried Economic Development & Strategic Projects Department 7 ~-Cl11°f--Executive Committee Budget Meeting Minutes April 13, 2023 Hybrid Electronic Meeting -9:00 am Chair: Mayor Ashe Pl l(ERJNG Having previously declared a conflict of interest, Councillor Brenner did not vote on the following item. Moved by Councillor Pickles That the 2023 Current Budget items related to salaries and wages and employee benefits for Programs be approved and presented to Council on April 24, 2023. Carried Operations Department A question and answer period ensued between Members of the Committee and staff regarding: • the number of new staff positions and the number of vacancies in existing positions; • whether there was sufficient staffing and equipment to complete maintenance work on the West side of the Beachfront Park prior to the Victoria Day long weekend and the additional work to replicate the East side of the Beachfront Park; and, • details regarding the funds allocated for outside agency services. Moved by Councillor Pickles That the 2023 Current Budget for the Operations Department be approved and presented to Council on April 24, 2023. Carried Corporate Services Department A brief question and answer period ensued between Members of the Committee and staff regarding: • whether the proposed budget for Legal Services included sufficient resources to handle Ontario Land Tribunal Appeals; and, • whether there was funding flexibility in the salary being offered to attract the best candidate for the position of Associate Solicitor and to ensure that the City remains competitive with other organizations. Moved by Councillor Pickles 9 ~-Clpo/-- p](KERJNG Executive Committee Budget Meeting Minutes April 13, 2023 Hybrid Electronic Meeting -9:00 am Chair: Mayor Ashe That the 2023 Current Budget for the Finance Department be approved and presented to Council on April 24, 2023. Carried Fire Services Department A brief question and answer period ensued between Members of the Committee and staff regarding: • details regarding the budget for outside agency services; • timelines for when Fire Hall 1 would be operational; • whether the members of the public would be able to use the community rooms located inside Fire Hall 1; and, • the resources that would be needed to accommodate future growth in the Pickering. Moved by Councillor Pickles That the 2023 Current Budget for the Fire Services Department be approved and presented to Council on April 24, 2023. Carried Human Resources Department Moved by Councillor Pickles That the 2023 Current Budget for the Human Resources Department be approved and presented to Council on April 24, 2023. Carried Library A question and answer period ensued between Members of the Committee and staff regarding: • update on the Seaton community programs; • whether the libraries would have front facing staff; and, • whether there were funds in the budget to provide for upgrades to the George Ashe Community Centre Youth Room. Moved by Councillor Pickles 11 ---Clf/ o/--- p] (KER J NG Executive Committee Budget Meeting Minutes April 13, 2023 Hybrid Electronic Meeting -9:00 am Chair: Mayor Ashe That the 2023 Current Budget for the Library be approved and presented to Council on April 24, 2023. Carried General Government -Revenue A brief question and answer ensued regarding the reasoning for the loss of POA revenues. Moved by Councillor Cook That the 2023 Current Budget for General Government -Revenue be approved and presented to Council on April 24, 2023. Carried General Government -Expenditure Excluding Budgets for Mayor, Councillors and Grants to Organizations Moved by Councillor Cook That the 2023 Current Budget for General Government -Expenditure Excluding budgets for Mayor, Councillors and Grants to Organizations be approved and presented to Council on April 24, 2023. Carried Mayor Ashe Moved by Councillor Cook That the 2023 Current Budget for Mayor Ashe be approved and presented to Council on April 24, 2023. Carried Councillor Brenner Moved by Councillor Cook That the 2023 Current Budget for Councillor Brenner be approved and presented to Council on April 24, 2023. 12 ~-Cl~v/-- p](KERJN Executive Committee Budget Meeting Minutes April 13, 2023 Hybrid Electronic Meeting -9:00 am Chair: Mayor Ashe Carried Councillor Cook Moved by Councillor Cook That the 2023 Current Budget for Councillor Cook be approved and presented to Council on April 24, 2023. Carried Councillor Pickles Moved by Councillor Cook That the 2023 Current Budget for Councillor Pickles be approved and presented to Council on April 24, 2023. Carried Councillor Robinson Moved by Councillor Cook That the 2023 Current Budget for Councillor Robinson be approved and presented to Council on April 24, 2023. Carried Councillor Nagy Moved by Councillor Cook That the 2023 Current Budget for Councillor Nagy be approved and presented to Council on April 24, 2023. Carried Councillor Butt Moved by Councillor Cook 13 --C~lpuf-- p](KER]N Executive Committee Budget Meeting Minutes April 13, 2023 Hybrid Electronic Meeting -9:00 am Chair: Mayor Ashe That the 2023 Current Budget for Councillor Butt be approved and presented to Council on April 24, 2023. Carried Council Support Moved by Councillor Cook That the 2023 Current Budget for Council Support be approved and presented to Council on April 24, 2023. Carried Grants to Organizations A brief question and answer period ensued between Members of the Committee and staff regarding the ability to provide accommodations to the Canadian Caribbean Cultural Association who had missed the deadline to submit their grant application. Moved by Councillor Pickles That the 2023 Current Budget for Grants to Organizations, be approved and presented to Council on April 24, 2023 save and except items related to the PARA Marine Search & Rescue grant and the Royal Canadian Legion Branch 606. Carried Having previously declared a conflict of interest, Councillor Brenner did not vote on the following item. Moved by Councillor Pickles That the 2023 Current Budget items related to the PARA Marine Search & Rescue grant be approved and presented to Council on April 24, 2023. Carried Having previously declared a conflict of interest, Councillor Cook did not vote on the following item. Moved by Councillor Pickles 14 --Cl/J ()f-- p] (KER J NG Executive Committee Budget Meeting Minutes April 13, 2023 Hybrid Electronic Meeting -9:00 am Chair: Mayor Ashe That the 2023 Current Budget items related to the Royal Canadian Legion Branch 606 grants be approved and presented to Council on April 24, 2023. Carried Moved by Councillor Pickles That Council approve a grant in the amount of $336.00 to the Claremont Lions Club to be added to the 2023 Current Budget in General Government account 503040 and funded from contingency for the purpose of covering the cost of the event permit for the June 10th Community Fair Carried Moved by Councillor Pickles That Council approve a grant in the amount of $1,000.00 to Orchard Villa families to be added to the 2023 Current Budget in General Government account 503040 and funded from contingency for the purpose of covering the cost of a plaque to commemorate family members to be installed on a community bench or other appropriate location as part of the Reflections Garden in Esplanade Park. Carried 6. Other Business 6.1 Councillor Robinson stated that there was a need for work to be undertaken to reduce City expenditures and that she would be pursuing operational reviews to find greater savings and to reduce government overhead and economic risks to residents. 6.2 Councillor Butt raised the concerns expressed by a delegate regarding the lack of spacing for the City's swimming programs. Sarah Douglas-Murray, Director, Community Services, advised that the shortage of programs was due to a shortage in qualified swim instructors due to the COVID-19 pandemic and that steps were being undertaken to address the shortage. 6.3 Councillor Brenner gave Notice of a Motion that he would be bringing forward regarding discussions with the Toronto and Region Conservation Authority (TRCA) pertaining to the ability for the City to assume management of the Petticoat Creek Conservation Park in some capacity. 15 ---Cit r)f--- p] (KER J NG 7. Adjournment Moved by Councillor Nagy Seconded by Councillor Cook That the meeting be adjourned. The meeting adjourned at 2:49 p.m. 16 Executive Committee Budget Meeting Minutes April 13, 2023 Hybrid Electronic Meeting -9:00 am Chair: Mayor Ashe Carried --C:~o/-- p](KERJNG Report to Council Report Number: FIN 09-23 Date: April 24, 2023 From: Stan Karwowski Director, Finance & Treasurer Subject: 2023 Current & Capital Budget -File: A-2000-001 Recommendation: 1. That Report FIN 09-23 regarding the 2023 Current & Capital Budget be received; 2. That the following budget recommendations be approved; (a) That the 2023 Current Budget expenditure for personnel costs, consisting of salaries and wages (Account 501000), overtime (Account 501010) and employee benefits (Account 501020), excluding Cost Centres 10205 and 10430, in the total amount of $72,086,268 be approved; i) That the 2023 Current Budget for Cost Centre 10205 (Programs) expenditure for personnel costs, consisting of salaries and wages (Account 501000), overtime (Account 501010) and employee benefits (Account 501020) in the total amount of $2,234,833 be approved; and (ii) That the 2023 Current Budget for Cost Centre 10430 (Animal Services) expenditure for personnel costs, consisting of salaries and wages (Account 501000), overtime (Account 501010) and employee benefits (Account 501020) in the total amount of $594,099 be approved; b) That the 2023 General Government Budget for grant expenditures, excluding the Community Grants to PARA Marine Search & Rescue and Royal Canadian Legion Branch #606, in the total amount of $348,082 be approved; c) That the 2023 Community Grant to PARA Marine Search & Rescue in the total amount of $7,877 be approved; d) That the 2023 Community Grants to Royal Canadian Legion Branch #606 in the total amount of $14,000 be approved; e) That the 2023 Gross Current Budget expenditures for City purposes in the amount of $62,794,821 (excluding personnel costs and grant expenditures) less estimated current revenues of $70,392,404 (City revenues of $51,981,404 plus $16,000,000 for estimated casino gaming revenue, $1,911,000 for assessment growth plus supplementary taxes of $500,000) and net transfer from the Rate Stabilization Reserve of $1,500,000 for City operations be approved; 17 Report FIN 09-23 Subject: 2023 Current & Capital Budget April 24, 2023 Page 2 f) That the $16,000,000 in estimated casino gaming revenues be transferred to the established Casino Reserve (8037); g) That the Capital from Current expenditure in the amount of $668,000 funded from property taxes be approved; h) That the Casino Reserve (8037) fund the expected Elexicon dividend decrease of $1,452,744; i) That the estimated Bill 23 DC funding shortfall of $3,500,000 be funded from the Casino Reserve (8037), if required; j) That the total final City levy under paragraphs 2. a), b), c), d), f), g), h) and i) above, plus an additional $760,000 for Asset Management Investment, for a total final levy of $82,162,832 being an increase of approximately 7.99 percent over the 2022 Budget, be approved; 3. That the 2023 Capital Budget for the City of Pickering with a Gross Expenditure of $58,899,668 be adopted as presented: a) That the following capital financing sources be approved as presented in the 2023 Capital Budget: Transfer from Current Fund to Capital Fund Transfers from Reserves: Replacement Capital Reserve (8001) Rate Stabilization Reserve (8007) City Share DC Projects Reserve (8008) Don Beer Arena Reserve (8012) PRC Core Reserve (8013) Vehicle Replacement Reserve (8016) Sustainable Initiatives Reserve (8024) Facilities Reserve (8026) Fence Reserve (8028) Minor Buildings Reserve (8029) Tennis Reserve (8031) Major Equipment Reserve (8032) Library Building Reserve (8036) Casino Reserve (8037) Cherrywood Reserve (TBD) Transfers from Reserve Funds: 3 rd Party Obligatory Reserve Fund (8200) Parkland Reserve Fund (8501) CCBB (previously FGT) Reserve Fund (8502) CBC Obligatory Reserve Fund (8505) 18 $668,000 419,000 5,317,000 2,751,800 120,000 60,000 1,727,700 119,000 160,000 200,000 290,000 588,500 2,360,000 110,000 4,533,700 45,000 $200,000 718,000 6,664,000 489,026 Report FIN 09-23 Subject: 2023 Current & Capital Budget Development Charge Reserve Funds (8600) Community Facilities Reserve Fund (8700) Capital Works Reserve Fund (8701) Operations Centre Reserve Fund (8705) Stormwater Mgmt. Reserve Fund (8707) Seaton FIA Reserve Fund (8710) Other: Internal Loan - 5 year Debt -10 year Debt -15 year Debt -20 year DC Debt - 5 year Donations Federal Grants Provincial Grants Proceeds from Sale of Land Total April 24, 2023 Page 3 8,211,364 366,000 187,000 3,231,800 1,400,000 (194,046) $850,000 526,700 2,000,000 (3,024,376) 1,235,000 27,500 12,542,000 500,000 3,500,000 $58.899.668 b) That total external debt financed by property taxes and development charges of $3,761,700 for the projects identified in the 2023 Capital Budget, and as indicated in this report, in the amount of $1,235,000 for a period not to exceed 5 years, $526,700 for a period not to exceed 10 years, $2,000,000 for a period not to exceed 15 years be approved; c) That the internal loans in the amount of $850,000 be undertaken at the discretion of the Director, Finance & Treasurer; d) That projects identified in the 2023 Capital Budget as being financed through the issuance of debt be subject to additional, specific approval of the expenditure and the financing by Council; e) That any debt repayment, interest or financing provisions contained in the annual Current Operating Budget not used in the current year's payments requirements may, at the discretion of the Director, Finance & Treasurer, be used to apply towards additional principal repayment, outstanding loans, debt charges or to reduce debt or internal loans not issued or transfer funds to the balloon payment reserve; f) That all Capital expenditures or portions thereof approved in the 2023 Capital Budget to be financed through the issuance of debt may, at the discretion of the Director, Finance & Treasurer, be financed through internal loans, current or capital funds or a combination thereof; g) That the Director, Finance & Treasurer be authorized to make draws from Reserve and Reserve Funds for projects included in the approved Capital Budget up to the amount approved; and 1 9 Report FIN 09-23 Subject: 2023 Current & Capital Budget April 24, 2023 Page4 h) That the Director, Finance & Treasurer be authorized at his discretion to apply any excess funds obtained through the issuance of debentures as provided for under Section 413 of the Municipal Act, 2001 as amended; 4. That the Director, Finance & Treasurer be authorized to transfer: a) Any surplus current operating funds at year-end in excess of approximately $125,000 be allocated in the following manner: the first $70,000 be allocated to the Elected Officials Life Insurance Reserve (8034) and the remaining surplus be allocated in the following ratio: 25 percent to the Rate Stabilization Reserve (8007); 20 percent to the Facilities Reserve (8026); 5 percent to the Public Art Reserve (8038) and 50 percent to the City Share DC Projects Reserve (8008); b) Any surplus funds from the Emergency Operational Capital Needs Account (11100.503510) to the Facilities Reserve (8026); and c) The revenue from the sale of used vehicles recorded in account (11100.406600) to the Vehicle Replacement Reserve (8016); 5. That the Director, Finance & Treasurer be authorized to make any changes or undertake any actions necessary, to ensure that the plan accommodates any reallocation of 2023 current operating expenditures and revenues as required while maintaining the approved levy or to accommodate any labour relations settlements which also includes adjusting the Personnel related accounts and that the HCA amount under the proposed ADM 190 be applied to the Chief Administrative Officer and Directors and that any revenue shortfall as a result of a provincial tax policy change be adjusted through the 2023 final tax rates; 6. That the Director, Finance & Treasurer be authorized to use any under expenditures from projects funded from Reserves or Reserve Funds to fund over expenditures for approved projects funded from the same source(s) and any unfinanced capital be funded from a transfer from reserves or reserve funds; 7. That the Director, Finance & Treasurer be authorized at his discretion to fund Property Tax Write-offs account (11100.503000) that exceed the budget provision due to assessment appeals that translates into a deficit position for the corporation and this shortfall be funded from a transfer from the Assessment Appeal Reserve (8002) and if this reserve is depleted then the shortfall be funded from the Rate Stabilization Reserve (8007) and that any shortfall from Payment-in-Lieu Education Share revenue estimates be funded from a transfer from the Rate Stabilization Reserve (8007); 8. That the Director, Finance & Treasurer be authorized at his discretion to close any current and completed prior year's capital expenditure accounts and to first apply any excess funding from property taxes to any over expenditure in other accounts and to secondly transfer any remaining excess funding back to the original sources of funds; 20 Report FIN 09-23 Subject: 2023 Current & Capital Budget April 24, 2023 Page 5 9. That the Director, Finance & Treasurer be authorized to adjust the per kilometer travel expense reimbursement rate (last increased in 2022) with an effective date of May 1, 2023, from 0.61 cents per kilometre to 0.65 cents per kilometre for the first 5,000 kilometres and from 0.55 cents per kilometre to 0.59 cents per kilometre for travel beyond 5,000 kilometres; 10. That the Director, Finance & Treasurer be authorized to apply for all grant applications based on the 2023 Capital & Current Budget and prior year's capital projects that have not started and that Council endorse all future applications that meet senior government grant criteria and that staff report back to Council at the next possible meeting regarding which grants staff have applied to; 11. That the Director, Finance & Treasurer be authorized at his discretion to close any capital or consulting account expenditure and corresponding revenue source that is over three years from the original purchase order date of issuance; 12. That the Director, Finance & Treasurer be authorized at his discretion to refinance any capital expenditures that failed to meet the Canada Community Benefit Fund (previously called the Federal Gas Tax) reporting criteria from other sources including transfers of funds from reserves and reserve funds; 13. That the Director, Finance & Treasurer be authorized to: a) Undertake transactions in the spot or forward (12 months or less) currency markets in order to effect United States dollar denominated expenditures in the Current or Capital Budgets; b) Sign leases.or rental agreements (including summer rentals) on the City's behalf for the provision of vehicles or equipment required for temporary use during periods of equipment breakdown or repair or during periods of increased need (e.g. inclement weather); c) Restate the 2023 Current Operating and Capital Budgets to reflect: (i) any Council changes made at the April 24 Council meeting; (ii) any reorganization or personnel account changes (salary, benefits and overtime), (iii) reclassifications that result from salary increases or negotiated labour settlements; and d) To process budget transfers during the fiscal year which do not change the overall approved property tax levy; 14. That Council waive the Purchasing Policy where the estimated vehicle repair cost is below $30,000 (HST excluded) for all fleet vehicles and off road vehicle equipment in 2023, however, a purchase order is still required; 15. That the Director, Finance & Treasurer be authorized at his discretion to draw from the Winter Control Reserve to fund any Current Budget deficit as a result of higher than budget winter control costs; 21 Report FIN 09-23 Subject: 2023 Current & Capital Budget April 24, 2023 Page 6 16. That Council approve the continuing engagement of the firm Watson & Associates Economists Ltd. to be used for fiscal impact studies and related works regarding City Centre project, Seaton, Cherrywood, Bill 23 and 109, and any other DC or CBC related matters; 17. That Council approve the continuing engagement of the following firms: Nixon Poole Lackie LLP, Municipal Tax Advisor Group and Municipal Tax Equity Consultants for any studies related to the reassessment or other property tax issues and to protect the property tax base by defending assessment appeals through proactive assessment base management; 18. That the Director, Finance & Treasurer be authorized to review the City's Reserve and Reserve Funds from the perspective of maximizing financial efficiency and flexibility related to the next term as it pertains to the funding of capital projects and that the Director, Finance & Treasurer be authorized to transfer funds, close reserves and reserve funds and or rename reserves and reserve funds; 19. That the Director, Finance & Treasurer be authorized to transfer an amount up to $189,975 from the Casino Reserve to fund the net cost of the newly formed New Capital Facilities Team Cost Centre; 20. That Council authorize the establishment of the Cherrywood Reserve and that all planning and development fees related to this development be transferred to this reserve to allow for the use of Cherrywood Development application fees received to offset the costs incurred for this development; 21. That the Director, Finance & Treasurer be authorized to transfer an amount up to $315,760 from the Casino Reserve to establish the new Cherrywood Development Reserve, and that such funds will be returned to the Casino Reserve in any future year in which the revenues from the Cherrywood development activity exceed the cost of processing the development approvals; 22. That Council authorize the establishment of the Municipal Accommodation Tax (MAT) Reserve and that revenues collected from MAT (subject to Council's approval of the tax) be transferred to this reserve and that the City's share of the reserve be used to fund tourism capital infrastructure; 23. That Council authorize the establishment of the Parks Infrastructure Replacement Reserve and the funds from this reserve be used to replace parks infrastructure such as playground equipment, baseball diamonds and outfield fencing, and park upgrades; 24. That the Director, Finance & Treasurer be authorized to allocate the $760,000 in additional funding from the 2023 levy for asset management investment as follows: 1/3 to the newly established Parks Infrastructure Replacement Reserve; 1/3 to the Roads and Bridges Reserve Fund (8706); and 1/3 to the Facilities Reserve (8026); 22 Report FIN 09-23 Subject: 2023 Current & Capital Budget April 24, 2023 Page 7 25. That Council approve the annual transfer of funds from the WSIB Reserve when its year-end balance is greater than $4.0 million, and that these excess funds be transferred to the WSIB Excess Indemnity Reserve Fund (8702); 26. That the Director, Finance & Treasurer be authorized to initiate any additional assessment appeals necessary to protect the assessment base of the City; 27. That the Director, Finance & Treasurer be authorized at his discretion to transfer any green energy rebates and revenue associated with the Claremont solar roof rental project account (10325.404500.9480) and other incentives and rebates account (10325.406551) to the Reserve for Sustainable Initiatives; 28. That Council amend the Community Grant policy as follows: a) That the grant application deadline date for the 2024 Community Grant Program be October 27, 2023 to give community groups sufficient time to complete their applications; and b) That any organization's application shall be deemed as ineligible if the grant request is to fund any activities or expenses that is for the direct or indirect support of or opposition to, any political party or candidate for public office; 29. That Council add the following asphalt resurfacing projects to the 2023 Capital Budget in the total amount of $745,000 to be funded from the Canada Community Benefit Reserve Fund (previously called the Federal Gas Tax); Street Gwendolyn Street Asphalt Resurfacing -Rouge Valley Drive to Fawndale Road Petunia Place Asphalt Resurfacing -Gwendolyn Street to North Terminus Flaconcrest Drive Asphalt Resurfacing -Dunbarton Road Rambleberry Avenue Fuschia Lane Asphalt Resurfacing -Grenoble Boulevard to Modlin Road Total Project Budget $270,000 105,000 255,000 115,000 $745,000 30. That Council approve the 2023 Low Income Seniors & Persons with Disabilities grant amount to be increased from $525 to $535 per household; 31. That Council direct the Treasurer to submit future years' budgets for the remainder of the term with the priority focus on the health and safety of Pickering residents and staff through asset management investments; 32. That Council approve Attachment 3, Council Compensation Policy with an effective date of January 1, 2023; 23 Report FIN 09-23 Subject: 2023 Current & Capital Budget -April 24, 2023 Page 8 33. That Council approve the international travel by the Division Head, Information Technology and Supervisor, Network Support to attend the 2023 Dell World conference in Las Vegas and that the travel costs not exceed $1,100 per person; 34. That the attached draft By-law to amend By-law No. 6191/03 to reduce the Basic Tennis (Resident) Family annual membership fee from $1,385 (plus HST) to $1,149 (plus HST) in Schedule I of the Summary of Fees and Charges 2023 be enacted; 35. That Council approve an increase in the Information Technology Division budget (10405) in the amount of $37,000 to reflect the building related costs associated with their occupancy of the former Fire Hall Administration building and these costs be funded by a corresponding reduction in the General government contingency account (503500) in the same amount and that the Treasurer be authorized to allocate the building related costs to the appropriate expense accounts; 36. That Council approve that $50,000 be added to the General Government Consulting account (502230) to undertake a business case analysis regarding either the acquisition or the establishment of a management agreement with TRCA for the Petticoat Creek Conservation Park and that this cost be funded from the Rate Stabilization Reserve (8007); 37. That Council approve the hiring of Watson & Associates Economists Ltd., for the amount of $50,000, to undertake the consulting work required to inform the City's approach to future infrastructure needs (Cherrywood), with the goal that "Growth Should Be Pay for Growth"; 38. That Council approve a grant to the Pickering Canadian Caribbean Cultural Association for a "Seniors Tea Party" and that $1,500 be provided for event costs such as food, entertainment and promotion and $1,710 be provided to cover rent and associated rental fees and these costs be funded from the General Government Grants to Organizations -Contingency Account; 39. That the Director, Finance & Treasurer be authorized to fund from the contingency account (503500), additional personnel costs of staff from the Engineering Services and Corporate Services Department associated with recruitment, if required; 40. That Council authorize project C10325.2201 for EV charging stations at Chestnut Hill Development Recreation Complex, as included in the 2022 Capital Budget, be increased from $80,000 to $155,000 and that a $70,000 grant (from ZEVIP) be applied, resulting in a City Net cost of $85,000 that is $5,000 higher than the 2022 budgeted amount and that the additional $5,000 be funded from a transfer from the Rate Stabilization Reserve; 24 Report FIN 09-23 Subject: 2023 Current & Capital Budget April 24, 2023 Page 9 41. That the Chief Administrative Officer be authorized to change the dedicated Cherrywood Development Team staffing model, as proposed in the 2023 current budget to a hybrid approach involving external consulting services and in-house City staffing to meet project timelines and that the consulting costs be funded from the unspent personnel expenditures. 42. That Council approve the cancellation of the following previously approved Capital projects: a) C10250.2204 -Enclosed Trailer -New -$32,000; b) C10320.2132 -$230,000 -Village Green Seaton P-105; c) C10320.2133 -$120,000 -Village Green Seaton P-106; d) C10320.2138 -$440,000 -Neighbourhood Park Seaton P-107; e) C10320.2219 -$637,900 -Neighbourhood Park Seaton P-109; f) C10320.2227 -$289,900 -Village Green Seaton P-108; g) C10320.2228 -$266,700 -Village Green Seaton P-110; h) C10320.2229 -$197,200 -Village Green Seaton P-111; and 43. That the appropriate City of Pickering officials be authorized take the necessary actions as indicated in this report. Executive Summary: This report contains a summary of the 2023 Current and Capital Budgets and a discussion of the recommendations. Staff have worked hard to ensure that the 2023 Budget is respectful of each dollar contributed by taxpayers, reinvesting those revenues back into our infrastructure and the many services the City provides to our residents. The big differences between municipal government and federal and provincial governments are the number of revenue streams that fund their budgets and the impact on residents. Municipal governments have limited revenue, consisting primarily of property taxes and service fees, such as for recreation, by-law and planning. The 2023 Budget strikes a balance between providing the level and types of services that residents expect and ensuring affordability for all residents. The 2023 Budget reflects the dual priorities facing the City: preparing the City for a period of rapid growth and the need for ongoing infrastructure renewal. This budget positions the City to meet these challenges by investing in additional staffing and strengthening ongoing capital investments. The budget also introduces a number of service level enhancements to better meet the needs of residents including: • Expansion of the senior's snow removal program from 500 to 750 registrants • Increase in seniors property tax grant from $525 to $535 • Expanded Automated Speed Enforcement program • New events at Millennium Square • Staff to support a new Office of Affordability • Funding for the implementation of the digital strategy to include website redevelopment and customized client portals 25 Report FIN 09-23 Subject: 2023 Current & Capital Budget April 24, 2023 Page 10 • Major 2023 Capital Projects: construction of the Pickering Heritage & Community Centre ($40 million total budget), new pickleball and futsal courts at the Pickering Soccer Centre . ($902,000), Walnut Lane extension ($2.0 million) and various asphalt resurfacing, reconstruction and culvert replacement projects ($4.6 million) • Funding for the development of a new Corporate Strategic Plan as well as updates to the Parks & Recreation, Fire and Library Master Plans • An increase of five positions for front line firefighting staff (Seaton) Financial Implications: The 2023 Current and Capital Budgets, if adopted as amended, will result in a property tax levy increase of 7.99 percent (City Share Only) over last year which translates into a 2.44 percent increase in the City's share of the total property tax bill. This increase, when combined with the Region and the School Boards increase, results in an average increase of 5.31 percent on the total property tax bill. Discussion: The Recommendations put forth are those necessary to adopt and provide authority and direction for the 2023 Current and Capital Budgets for the City of Pickering. Explanation of Key Recommendations Bill 23 -More Homes Built Faster Act -Recommendation 2 i) In late 2022, the Province passed Bill 23, the More Homes built Faster Act. The intent of this legislation is to make housing more affordable and building 1.5 million new homes by 2031. The legislation introduces phasing of Development Charge rates (fees) and new exemptions for affordable and attainable housing. The Provincial legislative changes reduce the DC fees charged to the developer with the cost being transferred to existing homeowners and businesses. It should be noted that the legislation is silent on the requirement for the developer to share the lower DC fees with the new home buyer. The result of the DC fee reduction translates into less dollars being available to fund the DC growth related capital projects. The firm of Watson & Associates strongly advised the City to start funding its Bill 23 costs this year. The cost to the City is mainly due to the reduction in DC fees. Therefore, the City has to make- up the shortfall in fees due to Bill 23 so that the funding is available when the DC capital project is started. The City only has a few options as it relates to the funding of the DC fee reduction. One option that is not recommended, is that the City consider increasing property taxes to fund the DC fee reduction. If Council adopted this option, the budget levy would have increased from 7.99 percent to 12.59 percent which is not acceptable or palatable. The second option is to reduce City service levels to generate the property tax savings to fund the DC fee shortfall. An example of a service level reduction is to change the snow clearing standard from 2 cm to 5 cm. While recognizing that this option would save money (labour, fuel, materials such as sand and salt), the disadvantage of this option is the increased risk of automobile accidents and possible injuries (slip and falls) by residents. This option is also not recommended by City staff. The only remaining option available to the City is to fund the Bill 23 costs from the casino 26 Report FIN 09-23 Subject: 2023 Current & Capital Budget April 24, 2023 Page 11 reserve. The estimated DC fee reduction over four years is $14.0 million and this equates to an average annual cost of $3.5 million. However, this fee cost does not include the DC fee payment holiday associated with affordable and attainable homes. These costs would have to be added to the $14.0 million estimated loss. Staff intend to update Council in September 2023, regarding the DC fee costs as of June 30 th and the 2023 full year costs through the 2024 budget process. The Province has made statements that they would make the municipality "whole" for any financial impact related to Bill 23 and therefore, the funding of this cost from the casino reserve will only proceed if the Province fails to meet its commitment. Asset Management Investment of $760,000 -Recommendation 2 j) Every year, the City has been increasing its funding of reserves and reserve funds to ensure that it has the dollars available or required to purchase the replacement of the critical and core assets. For 2023, the Draft Budget as submitted to Council includes additional funding of $200,000 for the roads and bridges reserve fund and a new recommended 1 percent Asset Management levy of $760,000. Council Authority to Apply for All Possible Grants (Current & Capital) - Recommendation 10 There are basically two types of grants: regular and unpredictable grant opportunities. Every year, City staff apply for numerous operating grants such as "Cultural Tourism Strategy" and "Community Museum Operating Grant". These grants help fund, to some degree, the operating costs related to their respective current budgets. The unpredictability of the grant proGess usually applies to capital grants. Historically, both senior levels of government (Federal & Provincial) announce capital grant funding opportunities usually through their budget day announcements, and the information included in the "Budget Background Papers" is usually sparse regarding project criteria and application timelines. After a budget day announcement, you could be waiting several weeks and or months before the formal application process is initiated by the senior government level. Recommendation 10 is seeking Council authority and approval to submit a grant application, where a senior level of government has announced a grant opportunity with a short term application deadline or due to a summer recess, thereby making the scheduling of a Council meeting to seek Council's endorsement of the project a significant challenge. Included in the recommendation is the direction that staff report back to Council at the next available Council meeting regarding the capital and/or current grant(s) that was applied for. Municipal Accommodation Tax Reserve -Recommendation 22 At the March 27th Council meeting, Council approved Report CAO 06-23 (Resolution #124/23) that approved in principle the inclusion of the Municipal Accommodation Tax revenues to the 2023 Budget. At this time, $300,000 in revenues is an estimate. There is still additional administrative work required before the program can be implemented such as Durham Region Council has to approve the establishment of a Municipal Service Corporation. 27 Report FIN 09-23 Subject: 2023 Current & Capital Budget April 24, 2023 Page 12 Priority Focus of Future Term Budgets are Health Safety of Residents & City Staff through Asset Management Investments -Recommendation 31 Every year there are cost pressures as it pertains to the development of the annual City budget. These cost pressures have to be measured against the ability to raise property taxes and affordability. This recommendation, will focus staff's efforts on developing future years' budgets on critical City infrastructure investments so that these assets are in a "good state of repair and or operations" to maintain the safety of our residents and staff. One of the byproducts of this recommendation will be asking Council to at least consider and approve a minimum one percent special levy for asset management for the next three years. Permission to Attend International Conference for Two Staff -Recommendation 33 The Finance Control Policy requires Council approval for all out of country conferences and this policy applies to all City and Library staff. Dell Canada has invited two Pickering staff from the Information Technology (IT) section to attend the 2023 Dell World conference in Las Vegas. Dell Canada will cover the expenses at the conference and have asked these two IT staff to speak on an expert panel on cybersecurity and hyper converged infrastructure. In addition, these two IT staff will also be available to attend the various leading edge technology training sessions. Consulting engagement for the possible acquisition or development of a management agreement regarding the Petticoat Creek Conservation Park -Recommendation 36 Consulting resources are required to undertake a "Business Case" analysis for Petticoat Creek Conservation Park that would address the following issues: acquisition, appraisal/valuation, financing strategy that includes consideration of the City's ARL, financial operating impacts including asset replacement strategy and/or Management Agreement of Petticoat Creek Conservation Park. The goal of this project is to report back to Council by 03 2023. 2023 Current Budget At the April 13, 2023 Executive (Budget) Committee meeting, Council was presented with a proposed budget levy increase of 7.99 percent, which was accepted by the Executive Committee. Based on an average assessment of $612,000, the 7.99 percent increase will result in an average increase of approximately $164.25 per year or $3.16 per week for the average single detached dwelling in Pickering. Unlike goods purchased by consumers where there is a tangible product that is received each time there is a transaction, many City services provided to residents (such as park or road maintenance) are not paid for as the services are used or received. For this reason, residents may not be aware of the costs associated with the vast array of services offered by the City. 28 Report FIN 09-23 Subject: 2023 Current & Capital Budget 2023 Budget -Major Assumptions The major budget assumptions are as presented below: • There are no financial implications associated with COVID for 2023; April 24, 2023 Page 13 • The City will continue to operate in the current higher interest rate environment; and, • The City will have to either rent or purchase/renovate commercial industrial office space to accommodate additional staffing. Tax Increase Summary The 7.99 percent City share tax increase translates into an increase of 2.44 percent on the total residential tax bill. The 7.99 percent levy increase reflects the unusually high level of inflation experienced over the past 12 months and the resources required to continue to deliver the high level of service our residents and businesses expect. Adding the Region's 2.87 percent tax increase and Pickering's 2.44 percent and the School Board's estimated O percent increase, the total increase for the average residential ratepayer will be approximately 5.31 percent on the total property tax bill. The 2023 draft budget proposes an increase of 7.99 percent on the City Share component of the property tax bill. However, this increase should not be viewed in isolation, instead, it should be considered in the context of the inflation environment over the last three years. Table One provides a comparison of the City's budget levy increases from 2021 to 2023. Table One Comparison of Inflation to Budget Levy Increases from (2021 to 2023) Inflation Less: City Budget Levy Increases Inflation Increase Over Budget Levy 2021 (%) 3.50 1.45 2022 (%) 6.80 1.79 2023 (%) 3.60 7.99 3 Year Period (%) 14.52 11.52 3.00 (The inflation rate presented above is from the Province's 2023 Budget, page 105). As the above table indicates, over the last three years, and on an aggregate basis, during a period of above average inflation increases, the City has been able to provide budgetary levy changes below the rate of inflation. For the first two years, the City absorbed the impact of higher inflation. However, there is only a fixed capacity to absorb higher inflationary costs while maintaining the current level of service. In its simplest terms, over the last three years, the rate inflation exceeded the City levies on an aggregate basis. Every May, taxation staff either mail or email approximately 32,000 property tax bills. (To reduce postage costs, staff always promote e billing). Our experience tells us that, for a large majority of Pickering residents, they still view the property tax bill as one component and not three separate entities. As shown below, the overall increase is 5.31 percent on the total tax bill, which is around the current inflation rate. 29 Report FIN 09-23 Subject: 2023 Current & Capital Budget Table Two April 24, 2023 Page 14 Impact of Budget Levy Increases on Residential Property Taxes City Region Education Total (%) (%) (%) (%) Estimated 2023 Levy 7.99 5.20 0.00 Increases Percentage Allocation 30.57 55.27 14.37 Increases on Total Tax Bill 2.44 2.87 0.00 5.31 The table below provides a summary of the financial impacts of the proposed 2023 budget levy increase based on various residential property assessment values. Table Three Financial Impact of Budget Increase Over 2022 City Share Property Taxes Only Residential Assessment $100,000 $530,000 Increase (Over 2022) $26.84 $142.25 Increase on a Monthly Basis $2.24 $11.85 $612,000 $164.25 $13.69 Members of Council may recall that the current assessment system is based on a theoretical market valuation date of January 1, 2016 and therefore, the above assessment values are representative of that time period. Use of Casino Reserve A breakdown of the planned use of the Casino funding for the 2023 budget is presented below. The expenditure strategy is based on the principle that you collect the funds in year one and you spend the funds in year two. 30 Report FIN 09-23 Subject: 2023 Current & Capital Budget Table Four Use of Casino Reserve Application of Casino Funds Current Budget: Seniors Snow Program Cherrywood Development Team Capital Facilities Team General Government Communities Grants City Centre Phase 2 Budget Front Page Elexicon Dividend Shortfall Bill 23 DC Fee Reduction Capital Budget Total 2023 Commitments $388,700 315,760 189,975 $263,227 490,000 $1,452,744 3,500,000 April 24, 2023 Page 15 $894,435 753,227 4,952,744 4,533,700 $11.134, 106 The funding of capital projects through the casino reserve results in a reduction of debt financing that translates into future lower property taxes. Good News! -There Appears to be No reassessment Planned for 2023 In 1998, the Province of Ontario introduced the new Ontario Fair Assessment System (OFAS). The purpose of this new assessment system was to eliminate the historical inconsistent measure of property values across the Province and to enhance the level of fairness and equity into the assessment and property tax system. The new assessment system uses a Province-wide valuation date to establish the theoretical value of each property (structure/land) based on the principle that the value of the property is determined between a willing buyer and seller from an arm's length transaction perspective. Last year (2022) was the fifth year of the Province's four-year reassessment cycle. The current value assessment is based on a valuation date of January 1, 2016. Assessment-related increases are phased-in over four years, and assessment-related decreases are implemented immediately. The City does not receive any additional revenue as a result of reassessment. The corresponding property tax rates are adjusted for the increase in reassessment values to create an overall property tax neutral position on a total property class basis. Inevitably, when there is an overall change in assessment values, there is shifting of the property tax burden among property classes, and as well among individual property owners within each property class. On the front page, on the bottom left corner, of the Final Residential Property Tax Bill is a schedule entitled "Explanation of Tax changes from 2022 to 2023". This schedule includes a line called Tax change due to Reassessment and this line should be zero for this year. 31 Report FIN 09-23 Subject: 2023 Current & Capital Budget April 24, 2023 Page 16 Historically, the annual Provincial Budget has been the trigger for the announcement of the next reassessment cycle. The most recent Provincial Budget was silent on the next reassessment and therefore, it appears that there will not be a reassessment for 2024. Risk Analysis At its core, a municipal budget is a projection of inflow and outflows for the year. Due to the timing of the budget preparation and approval, projections need to be made with less than complete information. Additionally, these projections need to take into account future events and circumstances, which are often out of the control of the municipality. A. Property tax appeals are difficult to budget accurately as it is impossible to predict which taxpayers will appeal assessments and the eventual outcome of these appeals. Large dollar swings are not unusual in these matters and with the extended delay in provincial property tax reassessments, there is a higher degree of risk to multi-year tax appeals. The City currently has approximately $1.6 billion in outstanding appeals. Last year, in the 2022 budget, the City adopted a precautionary strategy and budgeted $255,000 to the .assessment reserve to offset any potential losses associated with assessment appeals. This same amount is budgeted in 2023. B. Fuel related costs have been extremely volatile over the last few years and especially during COVID. While average fuel increases decreased slightly during COVID years, they have increased again for the 2023 budget. There remains a risk that the prices could continue to increase as the economy continues to recover from the pandemic. For the 2022 budget, the fuel budget was increased by $250,000 and the 2023 budget includes an additional increase of $138,500. Over the last two years, fuel costs have increased by a total of $388,500. C. General inflationary pressures continue to increase as the economy continues to improve. Consumer prices in Canada have risen at their fastest rate in 40 years with an inflation rate reaching 6.8 percent on an annual basis for 2022, its highest level since 1982. 2023 Challenges and Opportunities Entering a Perfect Storm The development of this year's budget was challenging. The complicating factor was Provincial government legislation and more specifically: Bill 23, More Homes Built Faster Act, 2022 and Bill 109, More Homes Faster Act, 2022. The City had to plan, accommodate and try to calculate the financial impacts of Bill 23. For Bill 23, there is a budget provision of $3.5 million in the 2023 Budget to fund an estimated DC fee reduction from the casino reserve. As referenced in the Treasurer's presentation, the actual Bill 23 cost will be known on the last working day of the year and Council will be provided an update of the actual cost. Staff intend to update Council on the first six months cost of Bill 23 in late summer or early fall. Included in the 2023 budget, are substantial investments in new positions (13) to accommodate the challenging legislative timetable that is imposed by Bill 109. 32 Report FIN 09-23 Subject: 2023 Current & Capital Budget April 24, 2023 Page 17 Not by design, but it appears, that the City is potentially entering the perfect financial storm. The City has to invest in the renewal of its existing capital infrastructure. The Chestnut Hill Developments Recreation Complex is over 36 years old and is in need of significant investments. The George Ashe Library & Community Centre is over 20 years old and requires a major substantial investment relatively soon. Therefore, these major costs and others (such as the City's roads infrastructure) have to be funded either by property taxes, upper government grants or, to a lesser degree, possible user fees. While trying to address infrastructure renewal financing challenges, the City is now facing the significant and/or major costs associated with growth due to Seaton operating under the new DC legislation regime that does not subscribe to the theory that "Growth Shall Pay for Growth". Included in this year's budget are two corporate priorities that, perhaps, require additional explanations. One is the creation of a dedicated Cherrywood Development Team. The budget to fund this team is currently based on preliminary information from the developer concerning its proposed application. It represents staff's best professional guesstimate on the staffing and resources required to meet the current known timetable and of course will probably change a few more times. Recommendation 41 will provide the CAO with the flexibility to apply the appropriate mix of resources to address or meet project timelines. However, staff have a responsibility to properly plan for this major cost and to identify the current estimated financial risks and corresponding deficit to Council. It is clear, the current City fees will not cover its estimated cost. To fill the financial hole, the casino reserve will lend funds to the Cherrywood reserve. Any shortfall in revenues collected from the Cherrywood Landowners Group (CLG) will be funded by the Cherrywood reserve. The purpose of this separate cost centre is to track and capture all costs associated with this activity for the specific purpose of trying to recover from the Cherrywood Landowner Group (CLG) a 100 percent of the costs. The cost recovery equation is very simple as it relates to who pays -it is either the CLG or the Pickering taxpayer. Staff's efforts will be to negotiate an agreement where CLG covers 100 percent of these costs. Second is the creation of a New Capital Facilities Team. The City's overall Capital Budget work program is substantial when considering the draft 2023 Capital Budget, the 2024-2027 capital forecast and the backlog of previously approved capital projects. To deliver these critical projects, there is a need to hire additional staff dedicated primarily to the delivery of new capital facilities. The City's existing staff compliment will be focused primarily on the municipal infrastructural renewal projects. For this reason, the 2023 Current Budget, under the corporate priorities section, includes a new cost centre entitled "New Capital Facilities Team" to provide the "staffing muscle" to get things done. Delayed or deferred capital projects cost the City more and frustrate our residents who expect the City to deliver on the level of service laid out in council approved capital programs and master plans. The "Ask" of Council is to fund three new positions and related personnel costs. With the additional staff resources, critical capital facilities projects would move from the budget stage to the implementation/construction stage so that Pickering residents can benefit and enjoy these important projects. This cost centre is funded 100 percent from the casino reserve. 33 Report FIN 09-23 Subject: 2023 Current & Capital Budget The Need for Additional Office Space April 24, 2023 Page 18 During the last few months, key staff from Human Resources and Operations staff have conducted a review of the available office space measured against the current and future needs of the Corporation. The conclusion reached is that, when you consider the following municipal locations such as City Hall, Operations Centre, Chestnut Hill Developments Recreation Complex and leased office space at 1101 Kingston Road, these office spaces exceed their capacity with staff growth related to the 2023 and future years' budgets. To address this issue, the City has successfully implemented a hybrid "work from home" program in recent years. The current City Hall office space statistics are presented below: Number of workstations 185 Current staffing level 210 Number of staff after budget approval 250 The above analysis supports the conclusion that there is an interim need for additional office space to accommodate the growth for the next 5-8 years, until new municipal facilities are built in Pickering. As such, the 2023 budget includes additional funding for office space accommodations. In the front page of the General Government expenditure section, there is approximately $280,000 budgeted for additional lease costs (estimated 6 months). The draft 2023 Capital Budget includes the following: $1.1 million for leasehold improvements (page 31) and $720,000 (page 29) for furniture and equipment. The $1.1 million and $720,000 represents budget provisions, and depending upon the location and lease terms, the entire amount may not be required. Members of Council should be aware that the lease period being considered is for a period that maybe up to ten years. In any long term lease proposal, there may be an opportunity, to consider another path whereby the City would purchase and renovate space and at the end of the lease period, the City would then have an asset to sell. However, in any purchase or lease decision, other factors have to be considered such as public transportation, proximity to City Hall and availability of parking for staff and visitors. The costs reflected in the 2023 Budget are budget provisions that enable City staff to investigate options for expanded office space in 2023 and present a recommended approach to Council for consideration and approval, at the appropriate time. Accordingly, these budget provisions will not be incurred without prior Council approval. Asset Management Maintaining public infrastructure in a state of good repair is a significant responsibility and cost for municipalities. Critical investments in our assets at the right time help extend the life of the assets and lower the overall cost of ownership while ensuring that the assets remain current and safe for public use. These assets are used to provide residents, businesses, employees 34 Report FIN 09-23 Subject: 2023 Current & Capital Budget April 24, 2023 Page 19 and visitors access to services including transportation, recreation, culture and economic development and have a direct link on the quality of life for Pickering residents. Every year, the City has been increasing its funding of reserves and reserve funds to ensure that it has the dollars available or required to purchase the replacement of the critical and core assets and avoid using debt. For 2023, the Draft Budget (as submitted to Council) includes a minimum increase in funding for infrastructure replacement as the increase is allocated to the roads and bridges reserve fund in the amount of $200,000. However, senior staff are strongly recommending that Council approve a 1 percent special levy for asset management as reflected in the proposed 2023 Draft Budget. If Council approves this increase, one-third of the funding would be allocated to the following reserve or reserve funds: roads and bridges; facilities; and, parks infrastructure replacement reserve. If Council approves the one percent levy increase, these dollars would be applied to the 2024 Capital Budget. The most cost effective funding source as it relates to infrastructure funding is to use reserves/property taxes and to avoid or reduce debt financing. This approach avoids the added cost of interest payments that are currently above average. Elexicon Revenues 2023 Elexicon revenues consists of two components: interest income from promissory notes and dividends. The City holds $25.069 million of Elexicon promissory notes that earn 4.13 percent. The 2023 budgeted interest income for these promissory notes is $1,035,350. The City owns 27.88 percent of Elexicon. In 2021, the City received $3,172,744 in dividends from Elexicon. In 2022, this amount was reduced by $546,587 and staff received notification from Elexicon that for 2023, this amount should be reduced by an additional $906,157. The budgeted dividend revenue for 2023 is $1.72 million. The Elexicon dividend projection information was provided by Elexicon staff. 2023 Tax Rates In the April 24th agenda, Report FIN 11-23 is asking Council to approve the 2023 City property tax rates. If Council approves the 2023 budget with no changes to the property tax levy, then this report can be considered for Council approval. Any changes to the property tax funded component of the 2023 budget, would require the report to be revised and re-submitted at the earliest possible date. 2023 Capital Budget This year the draft Capital Budget is $58.8 million. Major capital projects in 2023 include the construction of the new Pickering Heritage & Community Centre ($40 million total budget), new pickleball and futsal courts at the Pickering Soccer Centre ($902,000), Walnut Lane extension ($2 million) and various asphalt resurfacing, reconstruction and culvert replacement projects ($4.6 million). 35 Report FIN 09-23 Subject: 2023 Current & Capital Budget Debt Capacity and Annual Repayment Limit (ARL) April 24, 2023 Page 20 Managing the debt capacity or dollar borrowing amount is important to the City due to the financial limitations imposed by the Province through the Annual Repayment Limit or (ARL). The Municipal Act regulation permits a maximum of 25 percent of net operating revenues to be used to fund principal and interest charges for debt. A municipality can only exceed the 25 percent limit through prior approval from the Ontario Land Tribunal. For Pickering, the net operating revenues consists of the following major items: • property tax revenue · • user fees & charges • fines, penalties & interest on taxes • license fees, permit fees & rents • gaming & casino revenues As stated above, every year the budget levy increases, the City's annual repayment limit increases that in-turn results in a higher debt borrowing capacity or dollar amount. The City's annual repayment limit for 2023, based on the prescribed calculation and using the City's 2021 Financial Information Return (FIR) was $20.9 million. The proposed 2023 budgeted annual debt payments (interest and principal) is $5.5 million and therefore, the City had $15.4 million in unused debt payment capacity before hitting the 25 percent wall. Since last October, there have been several factors that may have a negative impact on the City's debt capacity which are: inflation, interest rates, and supply chain challenges. It's no secret that the day-to-day living expenses have increased over the last year. Ontario inflation is running at 5.9 percent and these higher costs will probably be reflected in higher future capital project costs for the City. The City's ARL is not directly linked to inflation. If future year's debt financed capital projects have higher costs, the City has basically three options: it can accept a higher ARL percentage or it has to defer or reduce the size of debt financed capital projects. Please find below a historical comparison of the City's annual debt cost (that includes principal and interest) in relation to the ARL. The source of the data was the annual FIR, Schedule 81 for each respective year. The 2022 financial information is currently not available due to the fact the City is still processing its 2022 closing adjustments. As the chart below indicates, the City has been operating slightly below or around the 5 percent level of its debt limit and or debt capacity. 36 Report FIN 09-23 Subject: 2023 Current & Capital Budget The 2023 debt financed Capital Projects, are listed below. April 24, 2023 Page 22 External Debt and Internal Financing of Capital Projects City of Pickering 5, 10 and 15 Year Debt Financing 2023 Capital Budget Capital Project Code Debt - 5 Years ($) Description 10700.2303 $500,000 Fire Services Portable Radio Replacement 10700.2306 350,000 Fire Services Dispatch CAD Replacement Total Five-Year Debt $850,000 Capital Project Code DC Debt-5 Years($) Description 10305.2305 $175,000 Sidewalk Plow -New 10315.2303 420,000 4-Ton dump Truck with Plow - New 10315.2306 110,000 1-Ton dump Truck 10315.2311 420,000 4-Ton dump Truck with Plow - New 10315.2312 110,000 1-Ton dump Truck Total Five-Year DC Debt $1,235,000 Capital Project Code Debt -10 Years($) Description 10700.2305 $526,700 Seaton Fire Station B Land Purchase Total Ten-Year Debt $526,700 Capital Project Code Debt -15 Years ($) Description 10700.2307 $2,000,000 Fire Pumper Rescue Replacement Total Fifteen-Year Debt $2,000,000 Total Debt Financed $4.611.700 Projects Borrowing or debt financing should not be viewed as a negative. The proper use of debt is an essential component of prudent fiscal strategy. The use of debt promotes intergenerational equity. By borrowing, Pickering can distribute the cost of the asset over the lifetime of the asset. 38 Report FIN 09-23 Subject: 2023 Current & Capital Budget Preliminary Draft 2024 Budget Position The preliminary draft 2024 budget position is presented below. 2024 Preliminary Estimated Draft 2024 Budget Expenditures: Personnel Costs Annualization of New Positions Debt Payments Other Leasing Costs Revenues: User Fees Assessment Growth Other Sub Total Add: Asset Management Preliminary Total Estimate % 1.90 2.10 1.20 0.30 0.20 -0.20 -2.10 -0.50 April 24, 2023 Page 23 % 5.70 -2.80 2.90 1.00 3.90 The total estimate represents the "floor" as a possible increase. It does not reflect any service level changes that my result in a higher or lower percentage increase. In addition, there is no funding provision included above for any legislated changes that would result in higher operating costs. The above assumptions such as assessment growth are preliminary forecasts and are dependent upon outside factors such as MPAC adding new growth to the property tax base. It should be noted, that this preliminary draft position does not include above average inflationary cost pressures. Attachments: 1. By-law to Amend By-law 6191/03 to Confirm General Municipal Fees 2. Budget Presentation, April 13, 2023 3. Council Compensation Policy ADM 190 39 Report FIN 09-23 Subject: 2023 Current & Capital Budget Prepared By: Original Signed By: James Halsall Division Head, Finance Recommended for the consideration of Pickering City Council Original Signed By: Marisa Carpino, M.A. Chief Administrative Officer Approved/Endorsed By: Original Signed By: Stan Karwowski Director, Finance & Treasurer 40 April 24, 2023 Page 24 Attachment #1 to FIN 09-23 The Corporation of the City of Pickering By-law No. XXXX/23 Being a by-law to amend By-law No. 6191/03 to confirm General Municipal Fees Whereas the Council of the Corporation of the City of Pickering enacted By-law 6191 /03, as amended, on October 14, 2003 to confirm general municipal fees. Whereas Schedule "I" to By-law 6191/03 was updated and replaced under By-law, 6338/04, By-law 6519/05, By-law 6652/06, By-law 6677/06, By-law 6748/07 By-law 6857 /08, By-law 6951 /09, By-law 7032/10, By-law 7119/11, By-law 7194/12, By-law 7268/13, By-law 7339/14, By-law 7411/15, By-law 7478/16, By-law 7542/17, By-law 7605/18; By-law 7679/19; By-law 77 40-20 and 7823/21; 7918/22 and 7983/23; Now therefore the Council of the Corporation of the City of Pickering hereby enacts as follows: 1. Schedule "I" to By-law Number 6191/03, as amended, is hereby amended to reduce the Basic Tennis (Resident) Family Annual Membership fee from $1,385 (plus HST) to $1,149 (plus HST). By-law passed this 24th day of April 24, 2023. Kevin Ashe, Mayor Susan Cassel, City Clerk 41 1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 City of Pickering ::::::::::::::::::i!/::l:::::::::::::::::::/t//:::::::::::::::::::~:0:2:~::Jppf <i>v;ij ::$.:µijg~f ::::::::::::::::::::::::::::::::::::::::::::::::::::::::::::::::::::::;:::::::::: 2022 Budget City Revenues ($49,439,818) Casino Gaming Revenues (8,000,000) Supplementary Tax Revenues (500 ,000) 2023 Assessment Growth !! Sub Total Lines (1 to 4) ($57,939,818) City Expenditures $129,029,857 Transfer to Casino Reserve 8,000,000 Cap ital From Current 639,000 Sub Total (Lines 6 to 8) $137,668,857 Net City (Lines 5 Minus 9) $79,729,039 Covid-19 Recovery Fund ($1 ,598,618) Increase (Decrease} ($2,541,586) (8,000 ,000) 0 (1,911,000) ($12,452 ,586) $9,050,123 8,000,000 29,000 $17,079,123 4,626 ,537 $1,598,618 2023 Draft Budget ($51 ,981,404) -----..i 16,000,000) (500 ,000) (1,911,000) ($70,392,404) 138,079,980 16,000,000 668,000 $154,747,980 $84,355,576 -3 .34% -10 .51% 0.00% -2 .51% -16.37% 11.89% 10.51% 0.04% 22.45% 6.08% 2.10% Rate Stabilization Reserve (1,500,000) (1,500 ,000) 0.0 0% Funding of Major Cost Pressure From Casino Reserve Elexicon Dividend Decrease (546,587) (906,157) (1,452,744) -1.1 9% Sub Total (Lines 11 to 14) (3 ,645,205) 692,461 (2,952,744) 0.91 % Base Budget {L10 Plus 14) $76,083,834 $5,318 ,998.28 $81,402,832 6.9 9% Add: Financial Impact of Provincial Legislation Bill 23 -DC Funding Shortfall 3,500,000 3,500,000 4.60 % Sub Total $8,818,998 $84,902,832 11.59% Asset Management Investment 760,000 760,000 1.0 0% Sub Total $9,578,998 $85 ,662 ,832 12.59% Funding of Bill 23 Cost by Casino Reserve (3 ,500,000) (3,500,000) -4.6 0% Recommended Budget $6,078,998 · $82, 162,832 7.99 % I 2023 Property Tax Increase 2.44% 67 9/13/2023 City of Pickering 2023 Approved Current Budget Reconciliation Draft 2023 Current Budget as Submitted to Executive Committee on April 13, 2023 Executive Committee Changes: Increase: -Grant to Claremont Lions Club 11100.503050 -Grant to Orchard Villa Families 11100.503050 Decrease: -Community Grants Contingency 11100.503040 Draft 2023 Current Budget after Executive Committee Changes Report to Council Budget Changes: Increase: -Building Maintenance costs, 10405.502340 Information Technology -General Government Consulting for 11100.502230 Petticoat Creek business case analysist -Transfer from Rate Stabilization 11100.408007 Reserve for business case -Grant to Pickering Canadian 11100.503050 Caribbean Cultural Association Decrease: -General Government Contingency 11100.503500 -Community Grants Contingency 11100.503040 Approved 2023 Current Budget 67 $82,162,832 $336 $1,000 ($1,336) $82, 162,832 $37,000 $50,000 $(50,000) $3,210 ($37,000) ($3,210) $82,162,832 City of Pickering 2023 Ae_eroved New Full & Part Time Permanent Positions 2023 Property Tax Impact 2024 Property Tax Impact Start #of Total Position Additional Annualized Department Position Date Positions Salary Benefits Cost Cost Cost (1) (2) (3) (4) (5)=(3)+(4)* Office of the CAO Executive Assistant, Council 1-May 1.0 $47 ,800 $14,350 $62,150 $31,100 $95 ,100 Government Affairs & Strategic Projects Advisor 1-May 1.0 63,600 19 ,100 82 ,700 41,400 126,600 2.0 $111,400 $33,450 $144,850 $72,500 $221,700 Economic Development & Marketing Specialist Strategic Projects 1-Sep 1.0 . .. $28 ,900\ $8,6801 $37 ,58011 $75,200\ $115,0001 City Development Principal Code Advisor 1-May 1.0 $70,100 $21,030 $91,130 $45,600 $139,500 Senior Planner -Comprehensive Zoning By-law 1-Jun 1.0 56 ,300 16,900 73 ,200 52,300 128 ,000 Senior Planner -Housing (Resolution #101 /23) 1-Oct 1.0 24,200 7,240 31 ,440 94,300 128,500 Senior Zoning Examiner 1-Jul 1.0 45,000 13,490 58,490 58,500 119,300 Building Inspector II 1-May 1.0 57 ,700 17,320 75,020 37 ,500 114,800 Examiner/ Inspector 1-May 1.0 55,600 16 ,670 72,270 36,100 110,500 Geomatics Analyst 1-May 1.0 47,800 14,330 62,130 31 ,100 95,100 ...J _., Planner II, Site Planning 1-May 1.0 47,800 14,330 62 ,130 31,100 95,100 AMANDA Programmer 1-May 1.0 47 ,800 14,330 62,130 31,100 95,100 Zoning Technician 1-Jul 1.0 33 ,300 11,700 45,000 45 ,000 91,800 Clerk, Building Services 1-May 1.0 41 ,200 14,400 55,600 27 ,800 85 ,100 Building Inspector Interns 1-May 2.0 82,300 28,800 111 ,100 55,600 170,000 Coordinator, Community Energy Management 1-May 1.0 64,400 19,310 83,710 41,900 128,100 Less: Increased Planning & Building Revenues -(673,500) (209,850) (883 ,350) (587,900) (1 ,500,900) 14.0 $0 $0 $0 $0 $0 Cherrywood Development Principal Planner 1-Apr 1.0 $78,900 $23,670 $102 ,570 $34 ,190 $139,500 Senior Planner 1-Dec 1.0 7,200 2,160 9,360 103,000 114,600 Project Manager, Development Services 1-Sep 1.0 33 ,000 9,900 42,900 85,800 131,300 Water Resources Engineer 1-Sep 1.0 32 ,200 9 ,660 41,860 83 ,700 128 ,100 Coordinator, Development Approvals 1-Dec 2.0 13,900 4,170 18,070 198,800 221 ,200 Technician, Development Approvals 1-Dec 1.0 5 ,800 1,740 7,540 82 ,900 92,200 Inspector, Development Services 1-Dec 1.0 7,700 2,310 10,010 110,100 122 ,500 Senior Financial Analyst 1-Dec 1.0 2,190 660 2,850 148,200 154,100 Less: Reserve Funding (180,890) (54,270) (235,160) (846 ,690) (1,103 ,500) 9.00 $0 $0 $0 $0 $0 Department Community Services I Operations -.I N New Capital Facilities Corporate Services City of Pickering 2023 Approved New Full & Part Time Permanent Positions Start # of Position Date Positions Acquatics Program Assistant 1-May 1.0 (conversion from part-time) Less: Part-time Acquatics Program Assistant 1-May -0.5 Facility Attendant (conversion from part-time) 1-May 2 .0 Less: Part-time Facility Attendant 1-May -1 .0 Facility Attendant 1-May 1.0 Less: Part-time Facility Custodian 1-May -0.5 2.0 $ Manager, Facilities Capital Projects 1-Sep 1.0 Lead Hand, Road Maintenance 1-May 1.0 Repairperson, Small Equipment 1-Jun 1 .0 Heavy Equipment Operator I 1-May 1.0 Maintenance Worker, Roads 1-May 1.0 Maintenance Worker, Parks & Property 1-May 1.0 6.0 Project Manager 1-Sep 2 .0 Coordinator 1-Sep 1.0 Less: Reserve Funding 3.0 AMANADA Software Administrator 1-May 1.0 Legislative Coordinator (Resolution #54/22) 1-Mar 1.0 Business Analyst 1-May 1 .0 Clerk, Administration , Vital Stats . & Lottery Licensing 1-Jul 1.0 Administrative Assistant 1-May 1.0 Animal Shelter Attendant (conversion from part-time) 1-May 1.0 Less: Part-time Animal Shelter Attendant 1-May -0.5 Less: Grant Funding 5.5 2023 Proi:>_erty Jax Impact Salary (1) $36,100 (42,200) 51,000 (37 ,400) 38,300 (45,800) - $38,500 58,400 46,100 48 ,900 47,000 47,000 $285 ,900 $85,400 25,600 (111,000) $0 $51,100 72,300 46,100 30,900 39 ,500 34,700 (33 ,300) $241,300 $ Benefits (2) $12,600 (3,500) 17,840 (7,060) 13,390 (4,580) 28 ,690 $11 ,550 17,530 13,840 14,670 14,100 14,100 $85,790 $23,500 7,040 (30,540) $0 $15,340 21,690 15 ,100 10,800 13,830 12,140 (6,240) $82,660 Total Position Cost (3) $48 ,700 (45,700) 68,840 (44 ,460) 51,690 (50,380) $ 28 ,690 $50,050 75,930 59,940 63,570 61 ,100 61,100 $371,690 $108 ,900 32,640 (141,540) $0 $66,440 93,990 61,200 41,700 53 ,330 46 ,840 (39,540) (5 ,000) $318 ,960 2024 Property Ta~pact Additional Annualized Cost Cost (4) (5)=(3)+(4)* $24,350 $74,500 (22,850) (69,900) 34,420 105,300 (22,230) (68,000) 25,845 79,100 (25 ,190) (77,100' $ 14,345 $ 43,900 $100,100 $153 ,200 38,000 116,200 42,800 104,800 31,800 97,300 30 ,600 93,500 30,600 93,500 $273 ,900 $658,500 $217,800 $333,200 65,300 99,900 (283,100) (433,100) $0 $0 $132,900 $203,300 18 ,800 115,000 30 ,600 93 ,600 41,700 85,100 26 ,700 81,600 33,500 81,900 (28,200) (69,100) (5,000) (5,000) $251,000 $586 ,400 City of Pickering 2023 Ai!l?_roved New Full & Part Time Permanent Positions Start # of Department Position Date Positions Engineering Services Engineer, Water Resources 1-Jul 1.0 Manager, Transportation & Traffic Services 1-Jul 1.0 Sr. Coordinator, Asset Management 1-Jul 1.0 Coordinator, Development Approvals 1-Jul 1.0 4.0 Finance Sr. Financial Analyst 1-May 1.0 Systems Analyst -SAP 1-Dec 1.0 Sr. Procurement Analyst (Resolution #20/22) 1-Feb 1.0 Accounts Payable Clerk 1-May 1.0 4 .0 !Fire Services Firefighters (Resolution #20/22) -Seaton Related 1-Feb j 5.0 I H~an Resources HR Associate 1-Jul I 1.0 I* (Includes an assumed salary increase) Total j 56.50 11 I I 2023 Property_ Tax lmll_act .Salary (1) $48 ,300 $47,700 43,300 $41,700 $181 ,000 $70 ,100 8,800 76,400 42,780 $198 ,080 $298 ,3001 $35 ,900 $1,380,780 Benefits (2) $14,480 $14 ,320 13,000 $12,500 $54,300 $21,020 2,640 22 ,900 14,980 $61,540 $104,4001 $10 ,800 $470,310 Total Position Cost (3) $62 ,780 62 ,020 56 ,300 54,200 $235,300 $91 ,120 11,440 99,300 57 ,760 $259,620 $402,7001 I $46 ,700 I $1,s4s,oso I 2024 Property Tax Impact Additional Annualized Cost Cost (4) (5)=(3)+(4)* $62 ,800 $128,100 62,000 126,500 56,300 114,900 54 ,200 110,600 $235,300 $480,100 $45,600 $139 ,500 125 ,800 139 ,900 9,000 110,500 28,900 88,400 $209,300 $478 ,300 $36 ,6001 $448,1001 $46,7001 $95,300 $1 ,214,8451 $3,127 ,300 City of Pickering 2023 Approved Departmental Expenditures by Cost Centre Run Date : Sep 13, 2023 2022 2023 % Change Approved Increase/ Approved 2023 Budget Budget (Decrease) Budget vs. 2022 Budget Department Expenditures 10000 Office of the Chief Administrative Officer 1,795,057 (1,211,190) 583,867 (67.47%) 10005 Customer Care Centre 482,458 24,458 506,916 5.07% 10010 Public Affairs & Corp Comm 1,247,053 131,966 1,379,019 10.58% 10050 Economic Development & Strategic Projects -1,171,582 1,171,582 -% 10100 City Development-Admin 1,252,121 (236,548) 1,015,573 (18.89%) 10105 Planning & Design 4,912,293 346,232 5,258,525 7.05% 10110 Building Services 2,165,184 398,561 2,563,745 18.41% 10115 Sustainability 847,609 22,726 870,335 2.68% 10120 Committee of Adjustment 10,992 786 11,778 7.15% 10125 Heritage Pickering 17,525 -17,525 -% 10200 Culture & Recreation -Admin 3,228,425 993,858 4,222,283 30.78% 10205 Programs 2,782,129 562,254 3,344,383 20.21% 10210 Dunbarton Pool 448,550 87,654 536,204 19.54% 10215 Don Beer Arena 1,409,028 121,321 1,530 ,349 8.61% 10220 Community Centres 934,310 (42,139) 892,171 (4.51%) 10225 Recreation Complex -Central Core 3,687,600 264,330 3,951 ,930 7.17% 10230 Recre.ation Complex -Pool 963,423 17,345 980 ,768 1.80% 10235 Recreation Complex -Arenas 1,093,694 55,329 1,149,023 5.06% 10240 Civic Centre 1,150,206 48,922 1,199,128 4.25% 10245 Senior Citizens Centre 581,252 31,447 612,699 5.41% 10250 Museum 1,915,148 (276,599) 1,638,549 (14.44%) 10300 Public Works -Administration 1,182,925 (160,119) 1,022 ,806 (13.54%) 10305 Property Maintenance 1,445,018 282,168 1,727,186 19.53% 10310 Fleet Services 2,085,597 238,406 2,324,003 11.43% 10315 Roads 8,583,303 594,046 9,177,349 6.92% 10320 Parks 5,454,925 194,499 5,649,424 3.57% 10325 Operations Services 1,601,554 10,275 1,611,829 0.64% 10330 Major Capital Facilities -189,975 189,975 -% 10400 Legal Services 741,176 253,877 995 ,053 34.25% 10405 Information Technology 3,314,196 578,649 3,892,845 17.46% 10410 Clerks Office 511,545 162,957 674,502 31.86% 10415 Records Management & Elections 590,832 (413,816) 177,016 (70.04%) 10420 Print Shop/Mail Room 555,357 6,393 561,750 1.15% 10425 By-Law 1,880,347 237,324 2,117,671 12.62% 10430 Animal Services 696,309 70,523 766,832 10.13% 74 City of Pickering 2023 Approved Departmental Revenues by Cost Centre Run Date : Sep 13, 2023 2022 2023 % Change Approved Increase/ Approved 2023 Budget Budget (Decrease) Budget vs. 2022 Budget Departmental Revenues 10000 Office of the Chief Administrative Officer (277,785) 277,785 -(100.00%) 10010 Public Affairs & Corp Comm (111,500) (50,485) (161,985) 45.28% 10050 Economic Development & Strategic Projects -(202,250) (202,250) - % 10100 City Development-Admin (412,000) 267,000 (145,000) (64 .81%) 10105 Planning & Design (2,581,995) (955,485) (3,537,480) 37.01% 10110 Building Services (3,373,390) (861,610) (4,235,000) 25.54% 10115 Sustainability (233,245) 30,495 (202,750) (13.07%) 10200 Culture & Recreation -Admin (474,550) (112,750) (587,300) 23.76% 10205 Programs (1,722,750) (759,200) (2,481,950) 44.07% 10210 Dunbarton Pool (109,186) (23,254) (132,440) 21.30% 10215 Don Beer Arena (962,710) (124,940) (1,087,650) 12.98% 10220 Community Centres (190,180) (9,200) (199,380) 4.84% 10225 Recreation Complex -Central Core (1,075,564) (164,126) (1,239,690) 15.26% 10230 Recreation Complex -Pool (214,602) (57,358) (271,960) 26.73% 10235 Recreation Complex -Arenas (770,350) (76,350) (846,700) 9.91% 10240 Civic Centre (354,148) 30,358 (323,790) (8.57%) 10245 Senior Citizens Centre (246,530) 40,130 (206,400) (16.28%) 10250 Museum (1,156,602) 402,952 (753,650) (34.84%) 10300 Public Works -Administration (175,850) . -(175,850) - % 10305 Property Maintenance (25,000) (35,100) (60,100) 140.40% 10310 Fleet Services (193,000) -(193,000) -% 10315 Roads (382,550) (42,500) (425,050) 11.11% 10320 Parks (192,000) (67,000) (259,000) 34.90% 10325 Operations Services (46,000) -(46,000) -% 10400 Legal Services (167,510) 8,510 (159,000) (5.08%) 10405 Information Technology (261,680) 10,000 (251,680) (3.82%) 10410 Clerks Office (282,000) (41,000) (323,000) 14.54% 10425 By-Law (1,365,300) (462,300) (1,827,600) 33.86% 10430 Animal Services (148,300) (32,000) (180,300) 21.58% 10500 Engineering Services -Admin (102,000) (133,000) (235,000) 130.39% 10510 Water Resources & Development Services (986,935) (330,605) (1,317,540) 33.50% 10520 Streetlights -(500) (500) - % 10600 Finance (3,566,000) (750,000) (4,316,000) 21.03% 10700 Fire Protection (176,000) (55,000) (231,000) 31.25% 76 10705 Emergency Operations 10800 Human Resources 10900 Library City of Pickering 2023 Approved Departmental Revenues by Cost Centre Run Date: Sep 13 , 2023 2022 2023 % Change Approved Increase/ Approved 2023 Budget Budget (Decrease) Budget vs. 2022 Budget (150 ,000) -(150,000) -% (227 ,958) (12,582) (240,540) 5.52% (248,025) (57,400) (305,425) 23.14% TOTAL (22,963,195) (4,348,765) (27,311,960) 18.94% 77 City of Pickering 2023 Approved Departmental Transfers by Cost Centre Run Date : Sep 13, 2023 2022 2023 % Change Approved Increase/ Approved 2023 Budget Budget (Decrease) Budget vs. 2022 Budget Departmental Transfers 10000 Office of the Chief Administrative Officer (246 ,280) 246,280 -(100.00%) 10010 Public Affairs & Corp Comm (81,840) (78 ,635) (160,475) 96.08% 10050 Economic Development & Strategic Projects -(114,435) (114,435) - % 10105 Planning & Design (827,760) 208,220 (619,540) (25.15%) 10115 Sustainability (25,000) -(25 ,000) - % 10200 Culture & Recreation -Admin (150,400) (181,687) (332,087) 120.80% 10205 Programs -(136,900) (136,900) - % 10225 Recreation Complex -Central Core -(125,000) (125,000) - % 10250 Museum · (10,000) 10,000 -(100.00%) 10305 Property Maintenance (65,000) (402,395) (467,395) 619.07% 10315 Roads (10,000) (66,500) (76,500) 665.00% 10320 Parks (68,900) 46,520 (22,380) (67.52%) 10325 Operations Services (100,000) (59,705) (159,705) 59.71% 10330 Major Capital Facilities -(189,975) (189,975) - % 10400 Legal Services (102,960) (108,520) (211,480) 105.40% 10405 Information Technology . -(67,000) (67,000) - % 10415 Records Management & Elections (435,075) 435,075 -(100.00%) 10500 Engineering Services -Adm in (270,000) 70,027 (199 ,973) (25.94%) 10510 Wa.ter Resources & Development Services (302,315) (180,411) (482,726) 59.68% 10515 Sidewalks (200,000) (250,000) (450 ,000) 125.00% 10520 Streetlights (3,100) (1,272) (4,372) 41.03% 10600 Finance (441,800) 207,150 (234,650) (46.89%) 10700 Fire Protection -(112,500) (112,500) -% 10800 Human Resources (50,100) 25,100 (25,000) (50.10%) 10805 Health & Safety (20,000) (15,000) (35,000) 75.00% 10900 Library 100,000 (78,750) 21,250 (78.75%) TOTAL (3,310,530) (920,313) (4,230,843) 27.80% 78 City of Pickering 2023 Approved Current Budget Office of the CAO Department 2021 2022 2022 Actuals * Actuals * Account Description Approved Budget* Transfers 98,040 -Transfe r to(from) Cntg Sty Res . (98,425) (40,524) -Transfer to(from) Reserve (123 ,675) 57,516 -Total Transfers (222,100) 2 378,751 I 2,716,457 1.~~~_Exe_enditures (R_eve i:i u1:~L __ 2,033,326 I 2023 Increase I Approved %Change Decrease Budget From 2022 (62,050) (160,475) 63 .04% 123,675 -(100.00%) 61,625 (160,475) (27 .75%) 114,016 I 2,147,342 I 5.61% * In 2023 , the Economic Development & Strategic Projects function was transferred from the budget of the Office of the CAO to its own departmental budget and cost centre to accurately reflect the current corporate structure . Budgetted expenses and revenues were transferred from the CAO Administration cost centre to the new Economic Development & Strategic Projects cost centre and accordingly the 2022 comparative budget information has been restated . Restated comparative actual results for 2022 and prior are not available for the Office of the CAO. 83 City of Pickering 2023 Approved Current Budget 10000 Office of the CAO -Administration 2021 2022 2022 Actuals * Actuals * Account Description Approved Budget* Expenditures 704,224 936,375 Salaries & Wages 361,787 --Overtime 500 183,983 217,637 Employee Benefits 99,188 1,574 1,626 Conferences 3,000 1,318 -Seminars & Education 1,000 10,983 20,133 Travel 14,000 2,537 16,383 Business Development - -182 Freight, Express & Cartage - 4,956 4 ,912 Cellular Phones 3 ,300 1,568 1,668 Telephone & Data 780 238 229 Internet 100 7,296 11 ,169 Advertising 3 ,000 8 ,392 6,000 Trade Shows.Exh ibits & Displays 5,000 210 -Subscriptions & Publications - 2,800 2 ,800 Insurance Premium 1,320 334,938 372,228 Consulting & Professional Fees 219,725 30,651 44 ,263 Meals , Promotions & General 7,500 7,623 5,465 Memberships 200 12,858 20,279 Outside Agency Services - --Gas , Oi l, Tire, Etc. 1,000 3 ,952 2,179 Stationary & Office Supplies 4 ,500 179 -Programs & Event Supplies - 378 -Committee Expenses - 46 -Supplies & Tools - 387 989 Software & Hardware Mtce. Contracts 475 -142 Ha rdware Replacements 6,500 1,321,091 1,664,659 Total Expenditures 732,875 Revenues --Federal Grants - -(12,239) Ontario Grants (14,600) --Marketing Sponsors - (265,590) (268 ,396) Cost Recoveries (80,860) (265,590) (280,635) Total Revenues (95,460) 86 2023 Increase/ Approved % Change Decrease Budget From 2022 60,937 422,724 16.84% -500 - 7,957 107,145 8 .02% 1 ,500 4 ,500 50.00% 1,000 2,000 100.00% 1,000 15,000 7 .14% --- --- 2 ,000 5,300 60.61% 920 1,700 117.95% -100 - -3 ,000 - (5,000) -(100.00%) 425 425 - 308 1 ,628 23.33% (219 ,725) -(100 .00%) 2,500 10,000 33.33% 640 840 320.00% 3,000 3,000 - -1 ,000 - -4 ,500 - --- --- --- 30 505 6 .32% (6,500) -(100.00%) (149,008) 583,867 (20.33%) --- 14,600 -(100 .00%) --- 80,860 -(100.00%) 95,460 -(100.00%) City of Pickering 2023 Approved Current Budget 10000 Office of the CAO -Administration 2021 2022 2022 Actuals * Actuals* Account Description Approved Budget* Transfers 98,040 -Transfer to(from) Cntg Sty Res . (98,425) (40,524) -Transfer to(from) Reserve (41,835) 57,516 -Total Transfers (140,260) 1113 017 1 384 024 I Net Expenditures (Revenues) 497155 2023 Increase I Approved %Change Decrease Budget From 2022 98,425 -(1 00 .00%) 41 ,835 -(100.00%) 140,260 -(100.00%) 86 712 583 867 17.44% * In 2023, the Economic Development & Strategic Projects function was transferred from the budget of the Office of the CAO to its own departmental budget and cost centre to accurately reflect the current corporate structure. Budgetted expenses and revenues were transferred from the CAO Administrat ion cost centre to the new Economic Development & Strategic Projects cost centre and c:1ccordingly the 2022 comparative budget information has been restated . Restated comparative actual results for 2022 and prior are not ava ilable for the Office of the CAO. 87 City of Pickering 2023 Approved Background Information 10000 Office of the Chief Administrative Officer Run Date: Sep 13, 2023 Expenditures 501000.0000 Salaries & Wages Base Salaries and Wages Transfer of four full-time positions to Economic Development: Director, Economic Development & Strategic Projects; Manager, Economic Development & Marketing; Senior Officer, Economic Development & Strategic Projects; and Economic Development & Strategic Projects Associate -transfer to 10050 Total 501000.0000 Salaries & Wages 501010.0000 Overtime To meet service level/workload commitments Overtime to meet service/workload commitments -Economic Development Overtime -transfer to 10050 Total 501010.0000 Overtime 501020.0000 Employee Benefits This item includes mandatory deductions (CPP, El, EHT) and employer provided benefits such as extended health and dental Benefits related to transfer of four full-time positions to Economic Development: Director, Economic Development & Strategic Projects; Manager, Economic Development & Marketing; Senior Officer, Economic Development & Strategic Projects; and Economic Development & Strategic Projects Associate -transfer to 10050 Total 501020.0000 Employee Benefits 501100.0000 Conferences Association of Municipalities of Ontario Conference & Canadian Nuclear Association Conference Economic Development & Strategic Projects related conference Transfer of above conference to Economic Development 10050 Municipal Services Delivery Officials Conference Total 501100.0000 Conferences 501110.0000 Seminars & Education Educational Assistance -Office of the CAO -Professional Management Certificate Program Educational Assistance -Economic Development Transfer of Educational Assistance -Economic Development to 10050 Total 501110.0000 Seminars & Education 501130.0000 Travel Car allowance -$1,000 per month -CAO Mileage for staff associated with CAO Office Transfer a portion of mileage for staff to Economic Development 10050 Airfare & Train for Trade Shows, Conferences & Business Missions 88 Approved 2023 Budget 845,406 (422,682) 422,724 500 250 (250) 500 218,070 (110,925) 107,145 3,000 5,500 (5,500) 1,500 4,500 2,000 4,000 (4,000) 2,000 12,000 10,000 (9,000) 15,000 City of Pickering 2023 Approved Background Information 10000 Office of the Chief Administrative Officer Municipal/Regional Economic Development Partnership (trade shows, displays, advertising) City Centre Street Banners & Hardware Transfer all of the above to Economic Development 10050 and Cultural Services 10200 Total 502110.0000 Trd Shows/Exhb/Dsply 502120.0000 Subscriptions&Publcs Reference materials, journals and reports Transfer to Economic Development 10050 Total 502120.0000 Subscriptions&Publcs 502210.0000 Insurance Premium Annual cost of insurance policy that provides protection for municipal activities and property. (Policy coverage includes: liability, automobile and property). Transfer to Economic Development 10050 Total 502210.0000 Insurance Premium 502230.0000 Consult&Prof Fees Consulting for Economic Development & Strategic Projects Consulting for communication assignments related to corporate/strategic projects (funded from Rate Stabilization Reserve) Transfer all of the above to Economic Development 10050 Total 502230.0000 Consult&Prof Fees 502240.0000 Meals/Prom/General General Public Relations -Office of CAO General Public Relations -Economic Development City of Pickering Promotional Items (corporate merchandise) and City Pins City Business Events City Sponsorship for Events (e.g., Board of Trade events) Business Engagement Event. Event expenses include staging and sound, entertainment, catering and rentals, promotions, displays, etc. (costs offset by corporate sponsorship) Transfer to Economic Development 10050 Total 502240.0000 Meals/Prom/General 502250.0000 Memberships Ont. Municipal Mgmt. Institute (OMMI) -Supervisor, Administrative Services Ont. Municipal Mgmt. Institute (OMMI) -Executive Assistant, Chief Administrative Officer Ontario Municipal Administrators' Association Ajax-Pickering Board of Trade 89 Run Date: Sep 13, 2023 Approved 2023 Budget 7,000 5,000 (17,000) 1,200 (775) 425 3,388 (1,760) 1,628 75,000 75,000 (150,000) 10,000 7,500 8,000 4,000 12,000 30,000 (61,500) 10,000 200 200 440 2,000 City of Pickering 2023 Approved Background Information 10000 Office of the Chief Administrative Officer Transfer to Economic Development 10050 Total 406530.0000 Marketing Sponsors Total Revenues Transfers 408007.0000 Trf fr RateStblz Res Rate Stabilization Res. funding for communication assignments related to corporate/strategic projects Transfer to Economic Development 10050 Total 408007.0000 Trf fr RateStblz Res Total Transfers Net Expenses (Revenues) 90 Run Date: Sep 13, 2023 Approved 2023 Budget 30,000 (75,000) 75,000 583,867 City of Pickering 2023 Approved Background Information 10005 Customer Care Centre Expenditures 501000.0000 Salaries & Wages Base Salaries and Wages Total 501000.0000 Salaries & Wages 501010.0000 Overtime To meet service level/workload commitments Total 501010.0000 Overtime 501020.0000 Employee Benefits This item includes mandatory deductions (CPP, El, EHT) and employer provided benefits such as extended health and dental Total 501020.0000 Employee Benefits 501100.0000 Conferences Service Delivery Officials Conference -Supervisor, Customer Care Total 501100.0000 Conferences 501110.0000 Seminars & Education Corporate customer service training Total 501110.0000 Seminars & Education 501130.0000 Travel Parking & mileage Total 501130.0000 Travel 502020.0000 Cellular Phones Smartphone -Supervisor, Customer Care SIM Card Total 502020.0000 Cellular Phones 502030.0000 Telephones & Data Voice/ Data Accu-Tel after hours answering service (Operations, Animal Services, By-law & Customer Care) Total 502030.0000 Telephones & Data 502040.0000 Internet Internet Total 502040.0000 Internet 502210.0000 Insurance Premium Annual cost of in.surance policy that provides protection for municipal activities and property. (Policy coverage includes: liability, automobile and property) Total 502210.0000 Insurance Premium 502240.0000 Meals/Prom/General To cover various promotional items Total 502240.0000 Meals/Prom/General 92 Run Date: Sep 13, 2023 Approved 2023 Budget 362,248 362,248 1,000 1,000 101,960 101,960 1,500 1,500 10,000 10,000 800 800 800 400 1,200 1,700 20,100 21,800 230 230 2,893 2,893 1,000 1,000 City of Pickering 2023 Approved Background Information 10005 Customer Care Centre 502250.0000 Memberships Municipal Service Delivery Officials (MSDO) Certified Municipal Management Membership (CMM) for Supervisor, Customer Care Total 502250.0000 Memberships 502500.0000 Stationery&OfficeSup General office supplies Total 502500.0000 Stationery&OfficeSup 502520.0000 Program&Event Supps To cover training supplies Total 502520.0000 Program&Event Supps 502700.0000 Sfwr/Hdwr Mntc Contr Maintenance -HRIS Total 502700.0000 Sfwr/Hdwr Mntc Contr Total Expenses Total Revenues Total Transfers Net Expenses (Revenues) 93 Run Date: Sep 13, 2023 Approved 2023 Budget 350 200 550 600 600 700 700 435 435 506,916 506,916 City of Pickering 2023 Approved Current Budget Summary 10010 Public Affairs & Corp Comm 2021 2022 2022 Actuals Actuals Account Description Approved Increase/ Budget Decrease Expenditures 421,199 549,720 Salaries & Wages 532 ,637 94,180 629 626 Overtime 500 - 101,272 126,725 Employee Benefits 127,041 33,662 --Conferences 4,000 - 788 9,860 Seminars & Education 19,500 - -575 Travel 5,750 (3,000) 26 1,348 Business Development 3,000 - 2,458 4 ,442 Cellular Phones 3,400 5,000 784 875 Telephone & Data 910 790 119 114 Internet 115 - ' 6,857 7 ,104 Advertising 8,000 2,000 2,150 1,068 Subscriptions & Publications 2,670 450 -6,365 Brochures/Newsletters Printing 6,000 (1 ,000) 3,635 3,427 Photo, Mapping, Print 4,000 1,500 3,490 3,490 Insurance Premium 3,490 349 81,418 66,977 Consulting & Professional Fees 237,100 (9,525) 15,087 10,495 Meals, Promotions & General 10,000 16,000 241 4,855 Memberships 12,850 (12,500) 14,009 5 ,931 Outside Agency Services 117,500 (3 ,000) 1,287 -Corporate Initiatives -- 1,069 381 Stationary & Office Supplies 1,000 - 178 1,651 Programs & Event Supplies -- -50,758 Committee Expenses 65,000 10,000 1,348 1,474 Utilities -Hydro 3,300 (1,000) 19,563 10,442 Software & Hardware Mtce. Contracts 26,465 5 ,585 31,697 25,913 Website Support 52,825 (10,525) -998 System & Software Upgrade -- --Misc. Equipment -3,000 709,304 895,614 Total Expenditures 1,247,053 131,966 Revenues --Federal Grants -(61 ,985) --Advertising Space (100,000) - --Netted Revenue (11,500) 11,500 --Total Revenues (111,500) (50,485) 94 Run Date: Sep 13, 2023 2023 Approved %Change Budget From 2022 626,817 17.68% 500 -% 160,703 26.50% 4,000 -% 19,500 -% 2 ,750 (52.17%) 3,000 -% 8,400 147.06% 1,700 86 .81% 115 -% 10,000 25.00% 3,120 16.85% 5,000 (16.67%) 5,500 37.50% 3,839 10.00% 227,575 (4 .02%) 26,000 160.00% 350 (97 .28%) 114,500 (2.55%) --% 1,000 -% --% 75,000 15.38% 2,300 (30.30%) 32 ,050 21 .10% 42,300 (19.92%) --% 3,000 -% 1,379,019 10.58% (61,985) -% (100,000) -% -(100 .00%) (161,985) 45.28% City of Pickering 2023 Approved Current Budget Summary 10010 Public Affairs & Corp Comm 2021 2022 2022 Actuals Actuals Account Description Approved Increase I Budget Decrease Transfers -160,476 Transfer to(from) Cntg Sty Res. -(160,475) --Transfer to(from) Reserve . (81,840) 81,840 -160,476 Total Transfers (81,840) (78,635) 709 ,304 1,056,090 Net Expenditures (Revenues) 1,053,713 2,846 95 Run Date : Sep 13, 2023 2023 Approved % Change Budget From 2022 (160,475) -% -(100.00%) (160,475) 96 .08% 1,056,559 0.27% City of Pickering 2023 Approved Background Information 1001 O Public Affairs & Corp Comm Run Date: Sep 13, 2023 Expenditures 501000.0000 Salaries & Wages Base Salaries and Wages Conversion of one Digital Communications Specialist contract position to full-time, May 1 , 2023 start date One full-time Community Engagement Coordinator contract position (subject to grant funding) One new full-time Government Affairs & Strategic Projects Advisor position, May 1, 2023 start date Total 501000.0000 Salaries & Wages 501010.0000 Overtime To meet service level/workload commitments Total 501010.0000 Overtime 501020.0000 Employee Benefits This item includes mandatory deductions (CPP, El, EHT) and employer provided benefits such as extended health and dental Benefits related to conversion of one contract Digital Communications Specialist contract position to full-time, May 1, 2023 start date Benefits related to one full-time Community Engagement Coordinator contract position (subject to grant funding) Benefits related to one new full-time Government Affairs & Strategic Projects Advisor position, May 1, 2023 start date Total 501020.0000 Employee Benefits 501100.0000 Conferences Topical Conference Business Development Topical Conference -Division Head, Public Affairs & Corporate Communications Topical Conference -Supervisor, Communications Topical Conference -Senior Advisor, Equity, Diversity & Inclusion Total 501100.0000 Conferences 501110.0000 Seminars & Education Topical Seminar & Educational Assistance -Supervisor, Communications Staff training for website and Laserfiche accessibility compliance Equity, Diversity & Inclusion Corporate Training Digital Marketing Training Media Relations Training Total 501110.0000 Seminars & Education 501130.0000 Travel Parking & Mileage 96 Approved 2023 Budget 448,267 58,600 56,350 63,600 626,817 500 500 118,398 17,570 5,635 19,100 160,703 1,000 1,000 1,000 1,000 4,000 1,000 1,500 11,000 1,000 5,000 19,500 2,750 City of Pickering 2023 Approved Background Information 10010 Public Affairs & Corp Comm Run Date: Sep 13, 2023 Total 501130.0000 Travel 501140.0000 Business Development Business Activities & Special City Initiatives Total 501140.0000 Business Development 502020.0000 Cellular Phones Annual Smartphone Charges (5 staff) -Division Head, Public Affairs & Corporate Communications, Supervisor, Communications, Digital Communications Specialist, Public Affairs Associate and Senior Advisor, Equity, Diversity & Inclusion Annual Tablet Charges (3 staff) -Division Head, Public Affairs & Corporate Communications, Supervisor, Communications and Digital Communications Specialist SIM Cards (5) Smartphone equipment and monthly charges for new Government Affairs & Strategic Projects Advisor position Total 502020.0000 Cellular Phones 502030.0000 Telephones & Data Voice/ Data Total 502030.0000 Telephones & Data 502040.0000 Internet Internet Total 502040.0000 Internet 502100.0000 Advertising Corporate City Advertising Total 502100.0000 Advertising 502120.0000 Subscriptions&Publcs Novae Res Urbis Meltwater Media Monitoring Toronto Star AudioNideo Stock Subscription to survey for Equity, Diversity & Inclusion training Total 502120.0000 Subscriptions&Publcs 502130.0000 Brchrs/NewsLtr-Print Brochures/Promotional & Marketing initiatives Total 502130.0000 Brchrs/NewsLtr-Print 502150.0000 Photo,Mapping,Print To cover professional services for photo enlargements, map and printing reproductions Photography services for City's promotional publications & oblique aerials Various outreach/promotional pieces -Communications Equity, Diversity & Inclusion signage 97 Approved 2023 Budget 2,750 3,000 3,000 4,000 1,500 2,000 900 8,400 1,700 1,700 115 115 10,000 10,000 470 1,200 450 500 500 3,120 5,000 5,000 500 2,500 1,000 1,500 City of Pickering 2023 Approved Background Information 10010 Public Affairs & Corp Comm Run Date: Sep 13, 2023 Total 502150.0000 Photo,Mapping,Print 502210.0000 Insurance Premium Annual cost of insurance policy that provides protection for municipal activities and property (Policy coverage includes: liability, automobile and property) Total 502210.0000 Insurance Premium 502230.0000 Consult&Prof Fees Consulting for business development (marketing strategies, promo videos) and community engagement (facilitation for special initiatives, promo videos, PSAs, and training) Pickering 101 video content Planning & Development public education Digital Readiness Assessment and Service Modernization Strategic Plan to introduce & enhance online digital powered service delivery (PO#4500000708 -funded from Continuing Studies Reserve) Equity, Diversity & Inclusion consultations Public engagement and communications related to Corporate Strategic Plan Total 502230.0000 Consult&Prof Fees 502240.0000 Meals/Prom/General Community Engagement General Public Relations Equity, Diversity & Inclusion events/education initiatives Equity, Diversity & Inclusion community partnership initiatives Total 502240.0000 Meals/Prom/General 502250.0000 Memberships International Assoc. of Business Communicators (IABC) -Supervisor, Communications Total 502250.0000 Memberships 502260.0000 Outside Agency Srvc Graphics Support Community Partnerships expenses such as promotional materials and advertisements Publication of magazine dedicated to Pickering (offset by advertising revenues) External document remediation services Total 502260.0000 Outside Agency Srvc 502500.0000 Stationery&OfficeSup General office supplies Total 502500.0000 Stationery&OfficeSup 502530.4601 Committee Expenses Big Drum Social (June 21) Truth & Reconciliation Day Flag Raisings 98 Approved 2023 Budget 5,500 3,839 3,839 15,000 7,100 30,000 160,475 10,000 5,000 227,575 5,000 5,000 6,000 10,000 26,000 350 350 4,000 6,500 100,000 4,000 114,500 1,000 1,000 2,000 3,000 500 City of Pickering 2023 Approved Background Information 10010 Public Affairs & Corp Comm Beading full-day workshop Drumming (2-part) workshop Youth (with PPL) workshop Medicine Bag workshop Bannock workshop Flag pole installation Indigenous vendor market (ArtFest, Cultural Fusion, Winter Nights, etc.) Community art (e.g., Moccasin Identifier Project) Signage (land acknowledgement) Trainings Turtle Island Storytelling Honoraria for consultations Total 502530.4601 Committee Expenses 502530.4603 Committee Expenses Community partnerships and collaborations (e.g., Anti-Black Racism Project, Durham Black Collective Symposium), Community events, initiatives (Black History Month, Canada Day, Artfest, Cultural Fusion, Emancipation Day, Winter Nights, City Lights, etc.) Resources and supplies (e.g., online knowledge hub to share community resources) Consultation and engagement (e.g., policy review, social media, Black Town Hall) Miscellaneous Stipend for members Total 502530.4603 Committee Expenses 502620.0000 Utilities -Hydro Hydro costs for Digital Sign Program (4 LED Lights) Total 502620.0000 Utilities -Hydro 502700.0000 Sfwr/Hdwr Mntc Contr General Enhancements Maintenance -City Mobile Application Maintenance -HRIS PDF/Word licences and annual fees to create/remediate accessible documents Reconciliation Canada software licences Digital Engagement Platform (Bang the Table) Total 502700.0000 Sfwr/Hdwr Mntc Contr 502710.0000 Website Support Security Certificate Annual Hosting Technical Support eNewsletter Constant Contract (annual fee) 99 Run Date: Sep 13, 2023 Approved 2023 Budget 1,500 2,000 1,000 750 750 5,000 1,500 2,500 500 2,450 1,500 5,050 30,000 7,000 10,000 3,000 3,000 2,000 20,000 45,000 2,300 2,300 3,000 3,000 750 6,000 4,000 15,300 32,050 1,250 3,850 2,500 1,850 City of Pickering 2023 Approved Background Information 10010 Public Affairs & Corp Comm eCommerce Payment Processing (annual fee) iCreate License Fee Chat (5 licenses for Customer Care) Domain Names Registration Website enhancements -includes online service tool Cludo Custom Search Total 502710.0000 Website Support 502750.0000 Misc. Equipment Video/audio production equipment Total 502750.0000 Misc. Equipment Total Expenses Revenues 402500.0000 Federal Grants Funding for salary and benefits for one Community Engagement Coordinator (subject to grant approval) Total 402500.0000 Federal Grants 403078.0000 Advertising Space Advertising revenue from publication of magazine dedicated to Pickering Total 403078.0000 Advertising Space Total Revenues Transfers 408009.0000 Trf fr Cntg Stdy Res Continuing Studies Res. funding for Digital Readiness Assessment and Service Modernization Strategic Plan Total 408009.0000 Trf fr Cntg Stdy Res Total Transfers Net Expenses (Revenues) 100 Run Date: Sep 13, 2023 Approved 2023 Budget 10,000 3,250 1,000 600 15,000 3,000 42,300 3,000 3,000 1,379,019 (61,985) (61,985) (100,000) (100,000) (161,985) (160,475) (160,475) (160,475) 1,056,559 City of Pickering 2023 Cherrywood Development Run Date: Sep 13, 2023 2023 Approved Budget 10105 Planning & Design Salaries & Wages 86,100 Employee Benefits 25,830 Overtime 2,500 Software & Hardware Mtce. Contracts 4,000 Seminars & Education 1,200 Uniforms 400 Subscriptions & Publications 500 Memberships 2,000 Stationary & Office Supplies 100 Supplies & Tools 100 Misc. Equipment 10,000 Department User Fees (89,100) Transfer to (from) Reserve (43,630) Total Net Expenditures (Revenues) - 10200 Culture & Recreation -Admin Consulting & Professional Fees 50,000 Cost Recoveries (50,000) Total Net Expenditures (Revenues) - 10400 Legal Services Consulting & Professional Fees 100,000 Transfer to (from) Reserve (100,000) Total Net Expenditures (Revenues) - 10510 Water Resources & Development Services Salaries & Wages 92,600 Employee Benefits 27,780 Overtime 500 Cellular Phones 3,300 Software & Hardware Mtce. Contracts 3,000 Travel 500 Stationary & Office Supplies 500 Supplies & Tools 500 Misc. Equipment 30,000 Gas, Oil, Tire, Etc. 500 101 City of Pickering 2023 Cherrywood Development Run Date: Sep 13, 2023 2023 Approved Budget Building -Repairs & Maintenance 3,700 Building Rentals 19,400 Department User Fees (5,500) Licences & Permits (7,500) Transfer to (from) Reserve (169,280) Total Net Expenditures (Revenues) - 10600 Finance Salaries & Wages 2,190 Employee Benefits 660 Consulting & Professional Fees 50,000 Cost Recoveries (50,000) Transfer to (from) Reserve (2,850) Total Net Expenditures (Revenues) - 10700 Fire Protection Consulting & Professional Fees 30,000 Cost Recoveries (30,000) Total Net Expenditures (Revenues) - Total Organization (excludes Gen Govt) - 102 City of Pickering 2023 Approved Background Information Cherrywood Development Run Date: Sep 13, 2023 10105 Planning & Design Expenditures 501000.10105.4001 Salaries & Wages -Cherrywood-10105 One new full-time Principal Planner position -May 1 start date One new full-time Senior Planner position -December 1 start date Total 501000.10105.4001 Salaries & Wages -Cherrywood-10105 501010.10105.4001 Overtime -Cherrywood-10105 Overtime required to meet workload demands -Planning staff Total 501010.10105.4001 Overtime -Cherrywood-10105 501020.10105.4001 Employee Benefits -Cherrywood-10105 Benefits related to one new full-time Principal Planner position-May 1 start date Benefits related to one new full-time Senior Planner position -December 1 start date Total 501020.10105.4001 Employee Benefits -Cherrywood-10105 501040.10105.4001 Uniforms -Cherrywood-10105 Safety boots & other safety equipment Total 501040.10105.4001 Uniforms -Cherrywood-10105 501110.10105.4001 Seminars & Education -Cherrywood-10105 Seminars for Planning staff Total 501110.10105.4001 Seminars & Education -Cherrywood-10105 502120.10105.4001 Subscriptions & Publcs -Cherrywood-10105 Subscriptions and publications for Planning staff Total 502120.10105.4001 Subscriptions & Publcs -Cherrywood-10105 502250.10105,1001 Memberships -Cherrywood-10105 Professional memberships for (2) planning staff (OPPI/CIP) Total 502250.10105.4001 Memberships -Cherrywood-10105 502500.10105.4001 Stationery&OfficeSup -Cherrywood-10105 Stationary and office supplies -Planning staff Total 502500.10105.4001 Stationery&OfficeSup -Cherrywood-10105 502540.10105.4001 Supplies & Tools -Cherrywood-10105 Supplies & tools -Planning staff Total 502540.10105.4001 Supplies & Tools.-Cherrywood-10105 502700.10105.4001 Sfwr/Hdwr Mntc Contr -Cherrywood-10105 Software licensing -Planning Total 502700.10105.4001 Sfwr/Hdwr Mntc Contr -Cherrywood-10105 502750.10105.4001 Misc. Equipment -Cherrywood-10105 Computers and related equipment for new staff Total 502750.10105.4001 Misc. Equipment -Cherrywood-10105 103 2023 Approved Budget 78,900 7,200 86,100 2,500 2,500 23,670 2,160 25,830 400 400 1,200 1,200 500 500 2,000 2,000 100 100 100 100 4,000 4,000 10,000 10,000 City of Pickering 2023 Approved Background Information Cherrywood Development Run Date: Sep 13, 2023 Total Expenditures Revenues 403000.10105.4001 Department User Fees -Cherrywood-10105 Planning fees Total 403000.10105.4001 Department User Fees -Cherrywood-10105 Total Revenues Transfers 408040.10105.4001 Trf fr Cherrywood Res -Cherrywood-10105 Funding for Cherrywood development operating expenses Total 408040.10105.4001 Trf fr Cherrywood Res -Cherrywood-10105 Total Transfers Net Expenditures (Revenues) 10400 Legal Services Expenditures 502230.10400.4006 Consult&Prof Fees -Cherrywood-10400 Legal services associated with Cherrywood development agreement Total 502230.10400.4006 Consult&Prof Fees -Cherrywood-10400 Total Expenditures Transfers 408040.10400.4006 Trf fr Cherrywood Res -Cherrywood-10400 Funding for Cherrywood development operating expenses Total 408040.10400.4006 Trf fr Cherrywood Res -Cherrywood-10400 Total Transfers Net Expenditures (Revenues) 10510 Water Resources & Development Services Expenditures 501000.10510.4008 Salaries & Wages -Cherrywood-10510 One new full-time Project Manager, Development Services position -September 1 start date One new full-time Water Resources Engineer position -September 1 start date Two new full-time Coordinators, Development Approvals position -December 1 start date One new full-time Technician, Development Approvals position -December 1 start date 104 2023 Approved Budget 132,730 (89,100) (89,100) (89,100) (43,630) (43,630) (43,630) 100,000 100,000 100,000 (100,000) (100,000) (100,000) 33,000 32,200 13,900 5,800 City of Pickering 2023 Approved Background Information Cherrywood Development Run Date: Sep 13, 2023 One new full-time Inspector, Development Services position -December 1 start date Total 501000.10510.4008 Salaries & Wages -Cherrywood-10510 501010.10510.4008 Overtime -Cherrywood-10510 Overtime required to meet workload demands -Engineering staff Total 501010.10510.4008 Overtime -Cherrywood-1051 O 501020.10510.4008 Employee Benefits -Cherrywood-10510 Benefits related to one new full-time Project Manager, Development Services position -September 1 start date Benefits related to one new full-time Water Resources Engineer position -September 1 start date Benefits related to two new full-time Coordinators, Development Approvals position- December 1 start date Benefits related to one new full-time Technician, Development Approvals position - December 1 start date Benefits related to one new full-time Inspector, Development Services position - December 1 start date Total 501020.10510.4008 Employee Benefits -Cherrywood-10510 501130.10510.4008 Travel -Cherrywood-1051 O Travel -Engineering staff Total 501130.10510.4008 Travel -Cherrywood-1051 O 502020.10510.4008 Cellular Phones -Cherrywood-1051 O Smartphone equipment and monthly charges for new staff Total 502020.10510.4008 Cellular Phones -Cherrywood-10510 502340.10510.4008 Building Rpr & Mntc -Cherrywood-10510 Operating costs at satellite office leased space Total 502340.10510.4008 Building Rpr & Mntc -Cherrywood-10510 502375.10510.4008 Gas, Oil, Tires, Etc -Cherrywood-10510 Vehicle operating costs -engineering staff vehicle Total 502375.10510.4008 Gas, Oil, Tires, Etc -Cherrywood-10510 502400.10510.4008 Building Rentals -Cherrywood-10510 Satellite office lease costs beginning Nov 1, 2023 Total 502400.10510.4008 Building Rentals -Cherrywood-10510 502500.10510.4008 Stationery&OfficeSup -Cherrywood-10510 Stationary and office supplies -Engineering staff Total 502500.10510.4008 Stationery&OfficeSup -Cherrywood-10510 502540.10510.4008 Supplies & Tools -Cherrywood-10510 105 2023 Approved Budget 7,700 92,600 500 500 9,900 9,660 4,170 1,740 2,310 27,780 500 500 3,300 3,300 3,700 3,700 500 500 19,400 19,400 500 500 City of Pickering 2023 Approved Background Information Cherrywood Development Run Date: Sep 13, 2023 Supplies & tools-Engineering staff Total 502540.10510.4008 Supplies & Tools -Cherrywood-10510 502700.10510.4008 Sfwr/Hdwr Mntc Contr -Cherrywood-1051 0 Software licensing -Engineering Total 502700.10510.4008 Sfwr/Hdwr Mntc Contr -Cherrywood-1051 0 502750.10510.4008 Misc. Equipment -Cherrywood-1051 0 Computers and related equipment for new staff Total 502750.10510.4008 Misc. Equipment-Cherrywood-10510 Total Expenditures Revenues 403000.10510.4008 Department User Fees -Cherrywood-10510 Engineering fees -Fill permits Total 403000.10510.4008 Department User Fees -Cherrywood-10510 404000.10510.4008 Licences and Permits -Cherrywood-10510 Functional Stormwater Servicing Report charges -Engineering Total 404000.10510.4008 Licences and Permits -Cherrywood-1051 0 Total Revenues Transfers 408040.10510.4008 Trf fr Cherrywood Res -Cherrywood-1051 0 Funding for Cherrywood development operating expenses Total 408040.10510.4008 Trf fr Cherrywood Res -Cherrywood-1051 O Total Transfers Net Expenditures (Revenues) 10600 Finance Expenditures 501000.10600.4009 Salaries & Wages -Cherrywood-10600 One new full-time Senior Financial Analyst position -December 1 start date Total 501000.10600.4009 Salaries & Wages -Cherrywood-10600 501020.10600.4009 Employee Benefits -Cherrywood-10600 Benefits related to one new full-time Senior Financial Analyst position-December 1 start date Total 501020.10600.4009 Employee Benefits -Cherrywood-10600 502230.10600.4009 Consult&Prof Fees -Cherrywood-10600 Financial impact study/ new Development Charge Background Study Total 502230.10600.4009 Consult&Prof Fees -Cherrywood-10600 106 2023 Approved Budget 500 500 3,000 3,000 30,000 30,000 182,280 (5,500) (5,500) (7,500) (7,500) (13,000) (169,280) (169,280) (169,280) 2,190 2,190 660 660 50,000 50,000 Cherrywood Development Total Expenditures Revenues City of Pickering 2023 Approved Background Information 406550.10600.4009 Other Contributions -Cherrywood-10600 Third-party contributions for development related studies Total 406550.10600.4009 Other Contributions -Cherrywood-10600 Total Revenues Transfers 408040.10600.4009 Trf fr Cherrywood Res -Cherrywood-10600 Funding for Cherrywood development operating expenses Total 408040.10600.4009 Trf fr Cherrywood Res -Cherrywood-10600 Total Transfers Net Expenditures (Revenues) 10700 Fire Protection Expenditures 502230.10700.4010 Consult&Prof Fees -Cherrywood-10700 Additional consulting costs related to expanded scope of the Fire Master Plan Total 502230.10700.4010 Consult&Prof Fees -Cherrywood-10700 Total Expenditures Revenues 406550.10700.4010 Other Contributions -Cherrywood-10700 Third-party contributions for development related studies Total 406550.10700.4010 Other Contributions -Cherrywood-10700 Total Revenues Net Expenditures (Revenues) Total Organization (excludes Gen Govt) 107 Run Date: Sep 13, 2023 2023 Approved Budget 52,850 (50,000) (50,000) (50,000) (2,850) (2,850) (2,850) 30,000 30,000 30,000 (30,000) (30,000) (30,000) City of Pickering 2023 Approved Current Budget 10050 Economic Development & Strategic Projects 2021 2022 2022 Actuals * Actuals * Account Description Approved Budget* Expenditures --Salaries & Wages 584 ,582 --Overtime 250 --Employee Benefits 132,390 --Conferences 5,500 --Seminars & Education 4,000 --Travel 22,000 --Business Development 20,000 --Cellular Phones 8,000 --Telephone & Data 1,040 --Internet 130 --Advertisi ng 12 ,000 --Trade Shows.Exhibits & Displays 12,000 --Subscriptions & Publications 775 --Insurance Premium 1,760 --Consulting & Professional Fees 150,000 --Meals, Promotions & General 61,500 --Memberships 9,275 --Outside Agency Services 27,350 --Stationary & Office Supplies 1,000 --Software & Hardware Mtce. Contracts 630 --System & Software Upgrade 8 ,000 - - Total Expenditures 1,062,182 Revenues --Federal Grants (17 ,500) --Ontario Grants (8,000) --Marketing Sponsors (30,000) --Cost Recoveries (126 ,825) --Total Revenues (182,325) 109 2023 Increase/ Approved %Change Decrease Budget From 2022 59,080 643,662 10 .11% 500 750 200 .00% 6,415 138,805 4 .85% 10,000 15,500 181.82% -4,000 - 4 ,500 26,500 20.45% -20,000 - 800 8,800 10 .00% 660 1,700 63.46% -130 - 2,000 14 ,000 16.67% 8,000 20,000 66.67% -775 - -1,760 - -150,000 - 6,500 68,000 10.57% 1,300 10,575 14.02% (4,000) 23 ,350 (14.63%) 2,000 3,000 200 .00% 7,145 7,775 - 4,500 12 ,500 56.25% 109,400 1,171,582 10.30% (7,500) (25,000) 42.86% (19,500) (27,500) 243.75% -(30,000) - 7,075 (119,750) (5.58%) (19,925) (202,250) 10.93% City of Pickering 2023 Approved Current Budget 10050 Economic Development & Strategic Projects 2021 2022 2022 Actuals * Actuals* Account Description Approved Budget* Transfers --Transfer to(from) Reserve (106,020) - - Total Transfers (106,020) --I Net Expenditures (Revenues) 773,837 2023 Increase/ Approved % Change Decrease Budget From 2022 (8,415) (114,435) 7.94% (8,415) (114,435) 7.94% 81,060 854,897 10.48% * In 2023, the Economic Development & Strategic Projects function was transferred from the budget of the Office of the CAO to its own departmental budget and cost centre to accurately reflect the current corporate structure. Budgetted expenses and revenues were transferred from the CAO Administration cost centre to the new Economic Development & Strategic Projects cost centre and accordingly the 2022 comparative budget information has been restated . Comparative actual results for 2022 and prior are not available for the Economic Development & Strategic Projects . 110 City of Pickering 2023 Approved Background Information 10050 Economic Development & Strategic Projects Run Date: Sep 13, 2023 Expenditures 501000.0000 Salaries & Wages Transfer of four full-time positions transferred from 10000: Director, Economic Development & Strategic Projects; Manager, Economic Development & Marketing; Senior Officer, Economic Development & Strategic Projects; and Economic Development & Strategic Projects Associate One full-time contract Senior Project Manager-Northeast Pickering position (100% funded by third party) One full-time Summer Student Internship position (subject to receiving grant -partially funded from Canada Summer Jobs Fund) One full-time contract Administrative Assistant position (50% funded from Rate Stabilization Reserve) One full-time Marketing Specialist position -Sept 1, 2023 start date Total 501000.0000 Salaries & Wages 501010.0000 Overtime To meet service level/workload commitments -$250 transfer from 10000 Total 501010.0000 Overtime 501020.0000 Employee Benefits This item includes mandatory deductions (CPP, El, EHT) and employer provided benefits such as extended health and dental -transfer of four full-time positions from 10000: Director, Economic Development & Strategic Projects; Manager, Economic Development & Marketing; Senior Officer, Economic Development & Strategic Projects; and Economic Development & Strategic Projects Associate Benefits related to one full-time Senior Project Manager -Northeast Pickering contract position (100% funded by third party) Benefits related to one full-time Summer Student Internship position (partially funded from Canada Summer Jobs Fund) Benefits related to one full-time contract Administrative Assistant position (50% funded from Rate Stabilization Reserve) One full-time Marketing Specialist position -Sept 1, 2023 start date Total 501020.0000 Employee Benefits 501100.0000 Conferences Economic Development & Strategic Projects related conferences -$5,500 transfer from 10000 Total 501100.0000 Conferences 501110.0000 Seminars & Education Educational assistance -transfer from 10000 Total 501110.0000 Seminars & Education 501130.0000 Travel 1 1 1 Approved 2023 Budget 422,682 107,500 12,880 71,700 28,900 643,662 750 750 110,925 10,750 1,280 7,170 8,680 138,805 15,500 15,500 4,000 4,000 City of Pickering 2023 Approved Background Information 10050 Economic Development & Strategic Projects Run Date: Sep 13, 2023 Mileage for staff -$9,000 transfer from 10000 and budget reduction of $2,500 Airfare & train for trade shows, conferences & business missions -$13,000 transfer from 10000 Total 501130.0000 Travel 501140.0000 Business Development Business Development -transfer from 10000 Total 501140.0000 Business Development 502020.0000 Cellular Phones Annual Smartphone Charges -Director, Economic Development & Strategic Projects - transfer from 10000 Annual Smartphone Charges -Manager, Economic Development & Marketing - transfer from 10000 Annual Smartphone Charges -Senior Officer, Economic Development & Strategic Projects -transfer from 10000 · Annual Smartphone Charges -Economic Development Associate -transfer from 10000 SIM cards (2) -Director, Economic Development & Strategic Projects and Manager, Economic Development & Marketing Annual Smartphone Charges -Senior Project Manager, Special Projects (funded by third party) Total 502020.0000 Cellular Phones 502030.0000 Telephones & Data Voice/ Data Voice / Data -transfer from 10000 Total 502030.0000 Telephones & Data 502040.0000 Internet Internet-transfer from 10000 Total 502040.0000 Internet 502100.0000 Advertising Economic development promotional advertising -$12,000 transfer from 10000 Total 502100.0000 Advertising 502110.0000 Trd Shows/Exhb/Dsply Exhibit & Trade Shows (displays, rentals & exhibit materials) -$5,000 transfer from 10000 Municipal/Regional Economic Development Partnership (trade shows, displays, advertising) -transfer from 10000 Total 502110.0000 Trd Shows/Exhb/Dsply 502120.0000 Subscriptions&Publcs 11 2 Approved 2023 Budget 6,500 20,000 26,500 20,000 20,000 2,000 1,500 1,500 1,500 800 1,500 8,800 660 1,040 1,700 130 130 14,000 14,000 13,000 7,000 20,000 City of Pickering 2023 Approved Background Information 10050 Economic Development & Strategic Projects Run Date: Sep 13, 2023 Reference materials, journals and reports -transfer from 10000 Total 502120.0000 Subscriptions&Publcs 502210.0000 Insurance Premium Annual cost of insurance policy that provides protection for municipal activities and property. (Policy coverage includes: liability, automobile and property). Transfer from 10000 Total 502210.0000 Insurance Premium 502230.0000 Consult&Prof Fees Consulting for Economic Development & Strategic Projects -transfer from 10000 Consulting for communication assignments related to corporate/strategic projects (funded from Rate Stabilization Reserve) -transfer from 10000 Total 502230.0000 Consult&Prof Fees 502240.0000 Meals/Prom/General General Public Relations -$7,500 transfer from 10000 City of Pickering Promotional Items (corporate merchandise) -$8,000 transfer from 10000 City Business Events -transfer from 10000 City Sponsorship for Events (e.g., Board of Trade events) -transfer from 10000 Business Engagement Event. Event expenses include staging and sound, entertainment, catering and rentals, promotions, displays, etc. (costs offset by corporate sponsorship) -transfer from 10000 Total 502240.0000 Meals/Prom/General 502250.0000 Memberships Ajax-Pickering Board of Trade -transfer from 10000 Toronto Region Board of Trade -transfer from 10000 Economic Development Council -transfer from 10000 Project Management Institute -$450 transfer from 10000 International Economic Development Council -transfer from 10000 Economic Developers Association of Canada (EDAC) Membership -$1,200 transfer from 10000 Ontario Aerospace Council -transfer from 10000 Professional Engineers of Ontario Total 502250.0000 Memberships 502260.0000 Outside Agency Srvc Economic Development & Strategic Projects Writing Services (including translation services) -$5,500 transfer from 10000 and budget reduction of $2,000 Graphics Support -transfer from 10000 Marketing Materials -transfer from 10000 Commercial Real Estate Information -transfer from 10000 113 Approved 2023 Budget 775 775 1,760 1,760 75,000 75,000 150,000 12,000 10,000 4,000 12,000 30,000 68,000 2,000 3,000 900 750 1,075 1,500 650 700 10,575 3,500 7,500 6,000 5,700 City of Pickering 2023 Approved Background Information 10050 Economic Development & Strategic Projects Run Date: Sep 13, 2023 Region Business Count Data (TGT Solutions) -transfer from 10000 Total 502260.0000 Outside Agency Srvc 502500.0000 Stationery&OfficeSup General office supplies -$1,000 transfer from 10000 Total 502500.0000 Stationery&OfficeSup 502700.0000 Sfwr/Hdwr Mntc Contr Maintenance -HRIS -$630 transfer from 10000 Maintenance -Customer Relationship Management Software Total 502700.0000 Sfwr/Hdwr Mntc Contr 502720.0000 System&Sftwr Upgrade New Customer Relationship Management software (funded from the Streamline Development grant)) Total 502720.0000 System&Sftwr Upgrade Total Expenses Revenues 402500.0000 Federal Grants Can Export Community Initiatives Grant for investment attraction initiatives and delegation missions -($17,500) transfer from 10000 Canada Summer Jobs Total 402500.0000 Federal Grants 402510.0000 Ontario Grants Streamline Development Fund grant for purchase of Customer Relationship Management software Rural Economic Development grant to support the Small Business Centre (marketing, business development, etc.) Total 402510.0000 Ontario Grants 406530.0000 Marketing Sponsors Economic Development & Strategic Projects Dept. -Marketing Sponsorships (Taxable) -transfer from 10000 Total 406530.0000 Marketing Sponsors 406540.0000 Cost Recoveries Funding from Third Party (100%) for one full-time Senior Project Manager -Northeast Pickering contract position (Salary & Benefits) Funding from Third Party (100%) for annual smartphone charges -Senior Project Manager, Northeast Pickering Total 406540.0000 Cost Recoveries Total Revenues 114 Approved 2023 Budget 650 23,350 3,000 3,000 775 7,000 7,775 12,500 12,500 1,171,582 (20,800) (4,200) (25,000) (12,500) (15,000) (27,500) (30,000) (30,000) (118,250) (1,500) (119,750) (202,250) City of Pickering 2023 Approved Background Information 10050 Economic Development & Strategic Projects Transfers 408007.0000 Trf fr RateStblz Res Rate Stabilization Res. funding for communication assignments related to corporate/strategic projects -transfer from 10000 Rate Stabilization Res. funding for (50%) one full-time Administrative Assistance contract position (salary & benefits) Total 408007.0000 Trf fr RateStblz Res Total Transfers Net Expenses (Revenues) 115 Run Date: Sep 13, 2023 Approved 2023 Budget (75,000) (39,435) (114,435) (114,435) 854,897 City of Pickering 2023 Approved Current Budget Summary City Development Department --2021 2022 2022 Actuals Actuals Account Description Approved Increase I Budget Decrease Expenditures 4,446,281 4,668,750 Salaries & Wages 4,760,057 604,888 23,029 35 ,209 Overtime 18,000 24,750 1,149,254 1,193,179 Employee Benefits 1,275,184 173,555 1,817 1,493 Uniforms 4,900 150 5,098 6,743 Conferences 21,325 5,100 28,627 14,357 Seminars & Education 50,530 3,120 10,186 16,159 Travel 28 ,870 (500) 141 -Freight, Express & Cartage -- 6,842 9,636 Cellular Phones 14,700 2,100 15,279 16,048 Telephone & Data 16,995 3,305 2,227 2,097 Internet 2,125 - 6,138 5,704 Advertising 19,000 8,750 943 1,386 Trade Shows.Exhibits & Displays 2,500 500 7 ,754 9,944 Subscriptions & Publications 8,900 - 4,579 -Brochures/Newsletters Printing 11,000 (11,000) -141 Photo, Mapping, Print 3,250 1,800 27,120 27,120 Insurance Premium 27,120 2,712 1,935 2 ,743 Insurance Deductible 2,000 2,000 388 ,064 548,301 Consulting & Professional Fees 2 ,317,140 (431 ,980) 3,576 1,889 Meals, Promotions & General 17,450 21,000 25,171 30,394 Memberships 37,535 2,385 2,850 4,868 Outside Agency Services 15,500 (2,700) -1,029 Building -Repairs & Maintenance -- 877 803 Vehicle -Repairs & Maintenance 2,000 - --Gas , Oil , Tire, Etc. 3 ,000 - --Building Rentals 300 - 20,293 10 ,146 Misc. Equip. Rentals 10,150 - 4,893 8,915 Stationary & Office Supplies 23,700 (1,050) 488 265 Forms 3,000 6,000 92 ,239 102,450 Programs & Event Supplies 148,545 (1,795) 783 231 Supplies & Tools 2,300 - -399 Gift Shop/Plaques 500 - --COVID Related Expenses 2,500 (2,500) 141,894 170,135 Software & Hardware Mtce. Contracts 335,648 (23,003) 208 -Hardware Replacements 20,000 (20,000) 6,418,586 6,890,534 Total Expenditures 9,205,724 367,587 120 Run Date : Sep 13, 2023 2023 Approved %Change Budget From 2022 5,364,945 12.71% 42,750 137.50% 1,448 ,739 13.61% 5,050 3.06% 26,425 23 .92% 53,650 6 .17% 28,370 (1.73%) --% 16,800 14.29% 20,300 19.45% 2,125 - % 27,750 46.05% 3,000 20 .00% 8,900 - % -(100.00%) 5,050 55.38% 29,832 10.00% 4,000 100.00% 1,885,160 (18.64%) 38,450 120.34% 39,920 6.35% 12,800 (17.42%) -- % 2,000 - % 3,000 -% 300 - % 10,150 -% 22 ,650 (4.43%) 9,000 200 .00% 146,750 (1 .21%) 2 ,300 - % 500 - % -(100 .00%) 312,645 (6 .85%) -(100.00%) 9,573,311 3.99% City of Pickering 2023 Approved Current Budget Summary City Development Department 2021 2022 2022 y - Actuals Actuals Account Description Approved Increase/ Budget Decrease Revenues (8,800) (96,958) Ontario Grants (590,995) 203,365 -(92,495) Other Agency Grants . -- (1,324,931) (1,995,022) Department User Fees (1,430,500) (1,155,500) (15,433) (9,819) Event Vendor Fees (12,250) - (11,375) (1,365) Other User Fees (106,495) 106,495 (3,763,431) (4,099,440) Licences & Permits (3,522,500) (957,750) (6,000) -Municipal Rentals -- (1,000) (2 ,025) Fines & Charges -- -(4,884) Donations (500) (2,500) --Sustainability Sponsorships (2,000) - --Sustain Mk! Sponsors (2,000) - --Rebates & Incentives -- (46,994) (42,704) Cost Recoveries (933,390) 375,390 (5,177,964) (6,344,712) Total Revenues (6,600,630) (1,430,500) Transfers (91,350) (86,856) Transfer to/(from) DC Oblg RF (424,395) 147,690 74,470 (122,403) Transfer to(from) Cntg Sty Res . (79,520) 54,220 --Transfer to(from) Reserve (323,845) 49,940 -(15,999) Transfer to (from) Oblig RF (25,000) - (16,880) (225,258) Total Transfers (852,760) 251,850 1,223,742 320,564 Net Expenditures (Revenues) 1,752,334 (811,063) Cherrywood Development --Salaries & Wages -86,100 --Overtime -2,500 --Employee Benefits -25,830 --Uniforms -400 --Seminars & Education -1,200 --Subscriptions & Publications -500 --Memberships -2,000 --Stationary & Office Supplies -100 --Supplies & Tools -100 --Software & Hardware Mtce. Contracts -4,000 1 21 Run Date: Sep 13, 2023 2023 Approved %Change Budget From 2022 (387,630) (34.41%) --% (2,586,000) 80.78% (12,250) - % -(100.00%) (4,480,250) 27.19% --% --% (3,000) 500.00% (2 ,000) - % (2,000) - % --% (558,000) (40.22%) (8,031,130) 21.67% (276,705) (34.80%) (25,300) (68 .18%) (273,905) (15.42%) (25,000) - % (600,910) (29.53%) 941,271 (46.28%) 86,100 -% 2,500 -% 25,830 -% 400 - % 1,200 -% 500 -% 2,000 - % 100 -% 100 -% 4,000 -% City of Pickering 2023 Approved Current Budget Summary City Development Department 2021 2022 2022 Actuals Actuals Account Description Approved Increase/ Budget Decrease --Misc. Equipment -10 ,000 --Department User Fees -(89,100) --Transfer to(from) Reserve -(43,630) --Net Expenditures (Revenues) -- Office of Affordability --Salaries & Wages -24,200 --Employee Benefits -7,240 --Net Expenditures (Revenues) -31,440 1,223,742 320,564 Total Net Expenditures (Revenues) 1,752,334 (779 ,623) 122 Run Date : Sep 13, 2023 2023 Approved %Change Budget From 2022 10,000 - % (89 ,100) - % (43,630) - % -- % 24 ,200 -% 7,240 -% 31,440 -% 972,711 (44.49%) ' 2018 1,200,000 1,000,000 800,000 600,000 400,000 200,000 0 Budget vs Actual Net Cost/Revenue 2018-2022 10110 Building Services 2019 $1,019,983 . � .. -� .. ' .. --., -·. 2020 2021 2022 If actual net revenue< budget net revenue, the cost centre is in a deficit position. 10115 Sustainability 2018 2019 2020 2021 2022 300,000 $250,791 250,000 200,000 150,000 100,000 50,000 0 If actual net cost> budget net cost, the cost centre is in a deficit position. 124 City of Pickering 2023 Approved Background Information 10100 City Development-Admin Expenditures 501000.0000 Salaries & Wages Base Salaries and Wages Total 501000.0000 Salaries & Wages 501010.0000 Overtime To meet service level/workload commitments Total 501010.0000 Overtime 501020.0000 Employee Benefits This item includes mandatory deductions (CPP, El, EHT) and employer provided benefits such as extended health and dental Total 501020.0000 Employee Benefits 501100.0000 Conferences City Development related conference -Director -registration and accommodation Total 501100.0000 Conferences 501110.0000 Seminars & Education General education assistance Total 501110.0000 Seminars & Education 501130.0000 Travel Parking & mileage Mileage -Conference Total 501130.0000 Travel 502020.0000 Cellular Phones Annual Smartphone -Director Total 502020.0000 Cellular Phones 502030.0000 Telephones & Data Voice/ Data Total 502030.0000 Telephones & Data 502040.0000 Internet Internet Total 502040.0000 Internet 502120.0000 Subscriptions&Publcs Reference material, standards, regulations and safety legislations Transfer to 10105 Total 502120.0000 Subscriptions&Publcs 502210.0000 Insurance Premium Annual cost of insurance policy that provides protection for municipal activities and property. (Policy coverage includes: liability, automobile and property) Total 502210.0000 Insurance Premium 502230.0000 Consult&Prof Fees 127 Run Date: Sep 13, 2023 Approved 2023 Budget 473,619 473,619 500 500 131,492 131,492 1,000 1,000 2,500 2,500 300 200 500 800 800 2,400 2,400 265 265 4,500 (4,500) 3,487 3,487 City of Pickering 2023 Approved Background Information 10100 City Development-Admin Run Date: Sep 13, 2023 Mobile app development (100% funded from Streamline Development Approval Fund) Development of online guides (100% funded from Streamline Development Approval Fund) Arc GIS (Geographic Information Systems) upgrades, Kiosks and Setup (100% funded from Streamline Development Approval Fund) Total 502230.0000 Consult&Prof Fees 502240.0000 Meals/Prom/General Refreshments for public planning meetings/workshops and promotional situations - lunches & consultant workshops Total 502240.0000 Meals/Prom/General 502250.0000 Memberships Urban Land Institute -Director -Associate Membership Professional Engineers Ontario, Director Total 502250.0000 Memberships 502410.0000 MiscEquip Rentals Licence agreement with Durham Region for Teranet land parcel information and Registered Plans (Year 4 of 5) Total 502410.0000 MiscEquip Rentals 502500.0000 Stationery&OfficeSup General office supplies Total 502500.0000 Stationery&OfficeSup 502540.0000 Supplies & Tools Small office equipment Total 502540.0000 Supplies & Tools 502700.0000 Sfwr/Hdwr Mntc Contr Maintenance -AMANDA Property Maintenance -ESRI and Geocortex Maintenance -HRIS FME Software (annual subscription $20,000) & Training Bluebeam Revu -Extreme (for Building & Planning Sections) ArcGIS Enterprise Portal (Installation & Configuration) AutoCAD License Renewal (3 year subscription-estimate) Additional Bluebeam Revu licences (100% funded from Streamline Development Approval Fund) Total 502700.0000 Sfwr/Hdwr Mntc Contr Total Expenses Revenues 128 Approved 2023 Budget 70,000 15,000 38,000 123,000 500 500 240 260 500 10,150 10,150 3,000 3,000 100 100 57,200 79,540 570 40,000 12,720 24,170 27,560 20,000 261,760 1,015,573 10100 City Development-Admin 402510.0000 Ontario Grants City of Pickering 2023 Approved Background Information Streamline Development Approval Fund funding for Mobile App, ARC GIS, on line guides and BlueBeam licenses Total 402510.0000 Ontario Grants 403000.9560 Department User Fees -Sale of Services-Plan Admin Sale of Services -maps and other planning documents Total 403000.9560 Department User Fees -Sale of Services-Plan Admin Total Revenues Total Transfers Net Expenses (Revenues) 129 Run Date: Sep 13, 2023 Approved 2023 Budget (143,000) (143,000) (2,000) (2,000) (145,000) 870,573 City of Pickering 2023 Approved Current Budget Summary 10105 Planning & Design 2021 2022 2022 Actuals Actuals Account Description Approved Increase/ Budget Decrease Expenditures 2,112,966 2,235,031 Salaries & Wages 2,495,233 198,183 11,535 17,338 Overtime 7,000 23,250 523,386 560,067 Employee Benefits 634,695 53,908 352 464 Uniforms 600 - 3,702 850 Conferences 7,000 2,000 7,226 3,022 Seminars & Education 12,350 (100) -572 Travel 3,450 (500) 1,089 2,551 Cellular Phones 4,000 - 5,752 6,417 Telephone & Data 6,675 2,425 875 838 Internet 835 - --Advertising 11,000 7,000 11 -Trade Shows,Exhibits & Displays -- --Subscriptions & Publications -4,500 -141 Photo, Mapping, Print 2,000 - 13,410 13,410 Insurance Premium 13,410 1,341 --Insurance Deductible 1,000 - 221,615 381,.633 Consulting & Professional Fees 1,662,750 (111 ,590) 153 17 Meals, Promotions & General 850 20,000 12,964 14,338 Memberships 14,830 500 --Outside Agency Services 10,000 (7,500) --Building Rentals 300 - 2,605 4,880 Stationary & Office Supplies 10,000 (500) --Supplies & Tools 200 - --COVID Related Expenses 500 (500) 912 3,229 Software & Hardware Mtce. Contracts 3,615 (355) --Hardware Replacements 10,000 (10,000) 2,918,553 3,244,798 Total Expenditures 4,912,293 182,062 Revenues -(91,079) Ontario Grants (180,995) (63,635) (1,280,164) (1,945,250) Department User Fees (1,283,500) (1,081,000) (248,250) (367,500) Licences & Permits (322,500) (57,750) (46,994) (42,704) Cost Recoveries (795,000) 336,000 (1,575,408) (2,446,533) Total Revenues (2,581,995) (866,385) Transfers 130 Run Date : Sep 13, 2023 2023 Approved %Change Budget From 2022 2,693,416 7 .94% 30,250 332.14% 688,603 8.49% 600 -% 9,000 28.57% 12,250 (0 .81%) 2,950 (14.49%) 4,000 -% 9,100 36.33% 835 -% 18,000 63.64% --% 4,500 -% 2,000 -% 14,751 10.00% 1,000 -% 1,551,160 (6.71%) 20,850 2,352.94% 15,330 3.37% 2,500 (75 .00%) 300 -% 9,500 (5 .00%) 200 -% -(100 .00%) 3,260 (9.82%) -(100.00%) 5,094,355 3.71% (244,630) 35.16% (2,364,500) 84.22% (380,250) 17.91% (459,000) (42.26%) (3,448,380) 33.55% City of Pickering 2023 Approved Current Budget Summary 10105 Planning & Design 2021 2022 2022 Actuals Actuals Account Description Approved Increase I Budget Decrease (91,350) (86 ,856) Transfer to/(from) DC Oblg RF (424,395) 147,690 88,684 (101,907) Transfer to(from) Cntg Sty Res . (79,520) 54 ,220 --Transfer to(from) Reserve (323 ,845) 49 ,940 -(5,381) Transfer to (from) Oblig RF -- (2,666) (194,144) Total Transfers (827 ,760) 251,850 1,340,479 604 ,121 Net Expenditures (Revenues) 1,502 ,538 (432,473) Cherrywood Development --Salaries & Wages -86 ,100 --Overtime -2,500 --Employee Benefits -25,830 --Uniforms -400 --Seminars & Education -1,200 --Subscriptions & Publications -500 --Memberships -2 ,000 --Stationary & Office Supplies -100 --Supplies & Tools -100 --Software & Hardware Mtce . Contracts -4,000 --Misc. Equ ipment -10,000 --Department User Fees -(89,100) --Transfer to(from) Reserve -(43,630) - - Net Expenditures (Revenues) - - Office of Affordability --Salaries & Wages -24,200 --Employee Benefits -7,240 --Net Expenditures (Revenues) -31,440 1,340,479 604,121 Total Net Expenditures (Revenues) 1,502,538 (401,033) 131 Run Date : Sep 13, 2023 2023 Approved % Change Budget From 2022 (276,705) (34 .80%) (25 ,300) (68 .18%) (273,905) (15.42%) -- % (575,910) (30.43%) 1,070,065 (28.78%) 86,100 -% 2,500 - % 25 ,830 -% 400 - % 1,200 -% 500 -% 2,000 - % 100 -% 100 -% 4,000 -% 10,000 -% (89 ,100) - % (43 ,630) - % -- % 24,200 - % 7,240 -% 31,440 - % 1,101,505 (26.69%) City of Pickering 2023 Approved Background Information 10105 Planning & Design Run Date: Sep 13, 2023 Expenditures 501000.0000 Salaries & Wages Base Salaries and Wages Existing full-time Senior Planner, Comprehensive Zoning By-law contract position to May 31 (funded 100% from Streamlining Development Approval Fund) One new full-time Senior Planner, Comprehensive Zoning By-law position, June 1, 2023 start date Existing full-time Junior Geomatics Analyst contract position to Oct 31 (100% funded from Streamlining Development Approval Fund) One new full-time Geomatics Analyst position, May 1, 2023 start date (Cost share 75% Planning / 25% Building) Two full-time Planning Interns, June 1, 2023 start date (100% funded from Streamlining Development Approval Fund) One new full-time Senior Zoning Examiner position, July 1, 2023 start date One new full-time Zoning Technician position, July 1, 2023 start date One new full-time Planner II, Site Planning position, May 1, 2023 start date One new full-time AMANDA Programmer position, May 1, 2023 start date Total 501000.0000 Salaries & Wages 501000.4001 Salaries & Wages -Cherrywood-10105 One new full-time Principal Planner position -May 1 start date One new full-time Senior Planner position -December 1 start date Total 501000.4001 Salaries & Wages -Cherrywood-10105 501000.9755 Salaries & Wages -Office of Affordability One new full-time Senior Planner -Housing position, October 1, 2023 start date (Resolution #101 /23) Total 501000.9755 Salaries & Wages -Office of Affordability 501010.0000 Overtime OL T Preparation Priority Projects/Applications Resident Mtgs Council/Planning Committee Meetings/Statutory Public Meetings Heritage Pickering -11 Meetings Secretary-Treasurer -Committee of Adjustment -12 meetings Advisory Committee meetings Overtime funded from Streamline Development Fund Total 501010.0000 Overtime 501010.4001 Overtime -Cherrywood-10105 Overtime required to meet workload demands -Planning staff 132 Approved 2023 Budget 2,304,986 41,700 56,300 49,200 35,830 31,500 45,000 33,300 47,800 47,800 2,693,416 78,900 7,200 86,100 24,200 24,200 1,500 2,500 2,000 6,500 750 6,000 1,000 10,000 30,250 2,500 City of Pickering 2023 Approved Background Information 10105 Planning & Design Run Date: Sep 13, 2023 Total 501010.4001 Overtime -Cherrywood-10105 501020.0000 Employee Benefits This item includes mandatory deductions (CPP, El, EHT) and employer provided benefits such as extended health and dental Benefits related to existing full-time Senior Planner, Comprehensive Zoning By-law contract position to May 31 (funded 100% from Streamlining Development Approval Fund) Benefits related to one new full-time Senior Planner, Comprehensive Zoning By-law position, June 1, 2023 start date Benefits related to existing full-time Junior Geomatics Analyst contract position to Oct 31 (100% funded from Streamlining Development Approval Fund) Benefits related to one new full-time Geomatics Analyst position, May 1, 2023 start date (Cost share 75% Planning / 25% Building Services) Benefits related to two full-time Planning Interns, June 1, 2023 start date (100% funded from Streamlining Development Approval Fund) Benefits related to one new full-time Senior Zoning Examiner position, July 1, 2023 start date Benefits related to one new full-time Zoning Technician position, July 1, 2023 start date Benefits related to one new full-time Planner 11, Site Planning position, May 1, 2023 start date Benefits related to one new full-time AMANDA Programmer position, May 1, 2023 start date Total 501020.0000 Employee Benefits 501020.4001 Employee Benefits -Cherrywood-10105 Benefits related to one new full-time Principal Planner position-May 1 start date Benefits related to one new full-time Senior Planner position -December 1 start date Total 501020.4001 Employee Benefits -Cherrywood-10105 501020.9755 Employee Benefits -Office of Affordability One new full-time Senior Planner -Housing position, October 1, 2023 start date (Resolution #101 /23) Total 501020.9755 Employee Benefits -Office of Affordability 501040.0000 Uniforms As per the Collective Agreement Total 501040.0000 Uniforms 501040.4001 Uniforms -Cherrywood-10105 Safety boots & other safety equipment Total 501040.4001 Uniforms -Cherrywood-10105 501100.0000 Conferences 133 Approved 2023 Budget 2,500 594,863 4,170 16,900 4,920 10,750 3,150 13,490 11,700 14,330 14,330 688,603 23,670 2,160 25,830 7,240 7,240 600 600 400 400 City of Pickering 2023 Approved Background Information 10105 Planning & Design Run Date: Sep 13, 2023 Can. Institute of Planners (CIP)/Ont. Professional Planners Institute (OPPI) Conference -(3 Staff) Registration and hotel Urban Land Institute/Municipal Affairs Conference/Strategy Institute or similar ESRI User Regional Conference General conferences Total 501100.0000 Conferences 501110.0000 Seminars & Education Planner/zoning Progression -Education!Training Municipal Mgmt Course at Ontario Tech. Durham Region Planners Seminars & Workshops GIS Training Planning & Design Seminars Total 501110.0000 Seminars & Education 501110.4001 Seminars & Education -Cherrywood-10105 Seminars for Planning staff Total 501110.4001 Seminars & Education -Cherrywood-10105 501130.0000 Travel Parking & Mileage OPPI or Similar Conference Total 501130.0000 Travel 502020.0000 Cellular Phones Annual Smartphone Charges or Reimbursements -Chief Planner & Mgr. Dev Review & Urban Design, Mgr. Policy & Geomatics, & Senior Coordinator, Development Liaison, Mgr. Zoning & Administration Total 502020.0000 Cellular Phones 502030.0000 Telephones & Data Voice/ Data Total 502030.0000 Telephones & Data 502040.0000 Internet Internet Total 502040.0000 Internet 502100.0000 Advertising Public meetings regarding various studies and notification of City-initiated zonings & official plans; RFP notices Digital film advertising for film activity (i.e., promote backlot) Total 502100.0000 Advertising 502120.0000 Subscriptions&Publcs Reference material, standards, regulations and safety legislation -transfer from 10100 Total 502120.0000 Subscriptions&Publcs 134 Approved 2023 Budget 4,000 3,000 1,000 1,000 9,000 1,000 5,250 500 5,000 500 12,250 1,200 1,200 2,500 450 2,950 4,000 4,000 9,100 9,100 835 835 8,000 10,000 18,000 4,500 4,500 City of Pickering 2023 Approved Background Information 10105 Planning & Design 502120.4001 Subscriptions & Publcs -Cherrywood-10105 Subscriptions and publications for Planning staff Total 502120.4001 Subscriptions & Publcs -Cherrywood-10105 502150.0000 Photo,Mapping,Print Report Reproduction/Specialized Printing Total 502150.0000 Photo,Mapping,Print 502210.0000 Insurance Premium Annual cost of insurance policy that provides protection for municipal activities and property. (Policy coverage includes: liability, automobile and property) Total 502210.0000 Insurance Premium 502220.0000 Insurance Deductible Insurance Deductible Total 502220.0000 Insurance Deductible 502230.0000 Consult&Prof Fees Professional/Technical Assistance -General/Urban Design/Heritage Organizational review to streamline the development review & approval process (funded from Streamline Development Fund) Scoped housing assessment & inclusionary zoning study Consulting services as required to assist with high priority development application review Evaluation of properties and structures on Heritage Registry as required by Bill 23 Consultation assistance for Kingston Road/Brock Node Zoning By-law Background research on Indigenous peoples in Pickering (as input to interpretive/educational signage in parks) Waterfront & Nautical Village visioning exercise Total 502230.0000 Consult&Prof Fees 502230.4633 Consult&Prof Fees -Fund-ContStudies-PLAN Infrastructure Ontario Environmental Assessment for Land for Park Purposes at the southeast corner of Tillings Rd. and Dersan St. (PO# 4500000005) GIS Corporate Strategic Plan (39% DC Funded) (Resolution# 682/21) (PO# 4500000624) Bill 109 Planning Application Fees (PO#4500000707) Graphic design work for Film Pickering (PO#4500000786) Total 502230.4633 Consult&Prof Fees -Fund-ContStudies-PLAN 502230.4634 Consult&Prof Fees -Fund-SeatonAPP-PLAN Seaton Development, Implementation & Legal Assistance in response to unknown development issues as they arise related to planning, heritage, trail planning, economic development, sustainability, broadband infrastructure and 0MB. 135 Run Date: Sep 13, 2023 Approved 2023 Budget 500 500 2,000 2,000 14,751 14,751 1,000 1,000 50,000 100,000 100,000 100,000 100,000 30,000 30,000 30,000 540,000 2,385 1,970 1,845 1,530 7,730 150,000 City of Pickering 2023 Approved Background Information 10105 Planning & Design Run Date: Sep 13, 2023 Infrastructure Ontario Environmental Assessment for Seaton Primary Trails -100% funded from Seaton App Fees (PO# 4500000011) Total 502230.4634 Consult&Prof Fees -Fund-SeatonAPP-PLAN 502230.4635 Consult&Prof Fees -Fund-Dvlp/Ownrs-PLAN Urban Design Review Services (funded 100% from Developers) Peer Review Consulting Services (heritage, transportation, land use compatibility, etc.) -funded 100% from developers Total 502230.4635 Consult&Prof Fees -Fund-Dvlp/Ownrs-PLAN 502230.4639 Consult&Prof Fees -Fund-DC Reserves-PLAN Comprehensive Zoning By-law Review (Phases 2 & 3) 67.5 % DC Funded and 32.5% funded from Continuing Studies Reserve North East Pickering OPA -Background studies (71 % funded by Landowners and 29% DC funded). Res# 625/21 (PO# 4500000474) Comprehensive Zoning By-law Update-Multi Year Project-Contingency (Phases 2 & 3) 67.5 % DC Funded and 32.5% funded from Rate Stabilization Reserve OP Review background studies (e.g., Retail & Office Impact Assessment) -67.5% DC funded Total 502230.4639 Consult&Prof Fees -Fund-DC Reserves-PLAN 502240.0000 Meals/Prom/General Refreshments for public planning meetings/workshops and promotional situations - lunches & consultant workshops OPPI Sponsor Registrations Business Development for Film Industry (Your Business. Their Next Film) Event - expenses include staging and sound, entertainment, catering and rentals, promotions, displays, etc., cost off-set by backlot lease revenues Total 502240.0000 Meals/Prom/General 502250.0000 Memberships Can. Institute of Planners (CIP)/Ont. Professional Planners Institute (OPPI) Full Membership -14 staff OPPI/CIP Provisional Membership -1 staff Ontario Association of Committees of Adjustment -4 staff@ $150 each Urban & Regional Information Systems Association (URISA) Ontario -1 staff URISA International -1 staff Urban Land Institute (Associate Membership) -4 staff OBOA AMANDA Central User Group Annual Fee Total 502250.0000 Memberships 502250.4001 Memberships -Cherrywood-10105 136 Approved 2023 Budget 71,155 221,155 40,000 25,000 65,000 56,425 540,850 70,000 50,000 717,275 600 250 20,000 20,850 12,000 850 550 80 300 900 400 250 15,330 City of Pickering 2023 Approved Background Information 10105 Planning & Design Run Date: Sep 13, 2023 Professional memberships for (2) planning staff (OPPI/CIP) Total 502250.4001 Memberships -Cherrywood-10105 502260.0000 Outside Agency Srvc Film Investment Package (preparation, design & marketing; photography; promotional video) (100% funded from film permit and land lease revenues) Statistics Canada custom data run for Pickering Total 502260.0000 Outside Agency Srvc 502400.0000 Building Rentals Rental of facilities and payment of security when holding public meetings Total 502400.0000 Building Rentals 502500.0000 Stationery&OfficeSup General office supplies & paper/print cartridges Total 502500.0000 Stationery&OfficeSup 502500.4001 Stationery&OfficeSup -Cherrywood-10105 Stationary and office supplies -Planning staff Total 502500.4001 Stationery&OfficeSup -Cherrywood-10105 502540.0000 Supplies & Tools Small office & drafting equipment Total 502540.0000 Supplies & Tools 502540.4001 Supplies & Tools -Cherrywood-10105 Supplies & tools -Planning staff Total 502540.4001 Supplies & Tools -Cherrywood-10105 502700.0000 Sfwr/Hdwr Mntc Contr HRIS Maintenance Total 502700.0000 Sfwr/Hdwr Mntc Contr 502700.4001 Sfwr/Hdwr Mntc Contr -Cherrywood-10105 Software licensing -Planning Total 502700.4001 Sfwr/Hdwr Mntc Contr -Cherrywood-10105 502750.4001 Misc. Equipment -Cherrywood-10105 Computers and related equipment for new staff Total 502750.4001 Misc. Equipment -Cherrywood-10105 Total Expenses Revenues 402510.0000 Ontario Grants Streamline Development Fund funding for Senior Planner, Geomatics Analyst and Planning Interns as well as organizational review Total 402510.0000 Ontario Grants 403000.4001 Department User Fees -Cherrywood-10105 137 Approved 2023 Budget 2,000 2,000 500 2,000 2,500 300 300 9,500 9,500 100 100 200 200 100 100 3,260 3,260 4,000 4,000 10,000 10,000 5,258,525 (244,630) (244,630) City of Pickering 2023 Approved Background Information 10105 Planning & Design Run Date: Sep 13, 2023 Planning fees Total 403000.4001 Department User Fees -Cherrywood-10105 403000.9568 Department User Fees -Request for Zoning Information Request for Zoning Information & Zoning Certificates Total 403000.9568 Department User Fees -Request for Zoning Information 403000.9569 Department User Fees -Pre-consultations -Plan Pre-consultations Total 403000.9569 Department User Fees -Pre-consultations -Plan 403000.9571 Department User Fees -Zoning By-law Amendments Zoning By-law Amendments Total 403000.9571 Department User Fees -Zoning By-law Amendments 403000.9572 Department User Fees -Official Plan Amendment Official Plan Amendment Total 403000.9572 Department User Fees -Official Plan Amendment 403000.9573 Department User Fees -Draft Plan of Subdivision/Condominium Approved 2023 Budget (89,100) (89,100) (13,500) (13,500) (18,000) (18,000) (437,000) (437,000) (114,000) (114,000) Draft Plan of Subdivision/Condominium (121,500) Total 403000.9573 Department User Fees -Draft Plan of Subdivision/Condominium (121,500) -~--- 403000.957 4 Department User Fees -Site Plan Site Plan Total 403000.9574 Department User Fees -Site Plan 403000.9575 Department User Fees -Telecommunication Tower Telecommunications Towers Total 403000.9575 Department User Fees -Telecommunication Tower 403000.9576 Department User Fees -Committee of Adjustment -Variances Committee of Adjustment -Variances Total 403000.9576 Department User Fees -Committee of Adjustment -Variances 403000.9577 Department User Fees -Land Division Land Division Total 403000.9577 Department User Fees -Land Division 403000.9578 Department User Fees -Minister's Zoning Order Minister's Zoning Order Total 403000.9578 Department User Fees -Minister's Zoning Order 403000.9579 Department User Fees -Other-PlanningSrvc Other Total 403000.9579 Department User Fees -Other-PlanningSrvc 404000.9400 Licences and Permits -Lic.&Permits-Film Permit Film Permit Fees (public road use and land lease) Total 404000.9400 Licences and Permits -Lic.&Permits-Film Permit 406540.0000 Cost Recoveries 138 (1,485,000) (1,485,000) (22,100) (22,100) (100,000) (100,000) (42,000) (42,000) (6,900) (6,900) (4,500) (4,500) (380,250) (380,250) City of Pickering 2023 Approved Background Information 10105 Planning & Design Run Date: Sep 13, 2023 Funded from Developers 100% -Urban Design Review Services Records Management Scanning Fees Northeast Pickering OPA -Background Studies (71 % funded by Landowners) Funded 100% from Developers -Peer Review Consulting Services (heritage, transportation, land use compatibility, etc.) Total 406540.0000 Cost Recoveries Total Revenues Transfers 408007 .0000 Trf fr RateStblz Res Rate Stabilization Res. funding (32.5%) for Comprehensive Zoning By-law Update-Multi Year Project-Contingency (Phases 2 & 3) Total 408007 .0000 'Trf fr RateStblz Res 408009.0000 Trf fr Cntg Stdy Res Continuing Studies Reserve funding (61 %) GIS Corporate Strategic Plan (Resolution# 682/21) Continuing Studies Reserve funding for Infrastructure Ontario Environmental Assessment for Land for Park Purposes at the southeast corner of Tillings Rd. and Dersan St. Continuing Studies Reserve funding for graphic design work for Film Pickering Continuing Studies Reserve funding for Bill 109 -Planning Application Fees Continuing Studies Reserve funding (32.5%) for Comprehensive Zoning By-law Review (Phases 2 & 3) Total 408009.0000 Trf fr Cntg Stdy Res 408019.0000 Trf fr SeatonDev Res Seaton Application Fees funding for Seaton Development, Implementation & Legal Assistance Seaton Application Fees funding for Infrastructure Ontario Environmental Assessment for Seaton Primary Trails Seaton Application Fees funding for Waterfront & Nautical Village Visioning Exercise Total 408019.0000 Trf fr SeatonDev Res 408040.4001 Trf fr Cherrywood Res -Cherrywood-10105 Funding for Cherrywood development operating expenses Total 408040.4001 Trf fr Cherrywood Res -Cherrywood-10105 408600.0000 Trf fr DC Oblg RF DC Funding (67.5%) for Comprehensive Zoning By-law Review (Phases 2 & 3) DC Funding (67.5%) for Comprehensive Zoning By-law Update-Multi Year Project-Contingency (Phases 2 & 3) 139 Approved 2023 Budget (40,000) (10,000) (384,000) (25,000) (459,000) (3,537,480) (22,750) (22,750) (1,200) (2,385) (1,530) (1,845) (18,340) (25,300) (150,000) (71,155) (30,000) (251,155) (43,630) (43,630) (38,085) (47,250) 10105 Planning & Design City of Pickering 2023 Approved Background Information DC Funding (39%) for GIS Corporate Strategic Plan (Resolution# 628/21) DC Funding (29%) for Northeast Pickering OPA -Background studies DC Funding (67.5%) for Official Plan Review Background Studies Total 408600.0000 Trf fr DC Oblg RF Total Transfers Net Expenses (Revenues) 140 Run Date: Sep 13, 2023 Approved 2023 Budget (770) (156,850) (33,750) (276,705) (619,540) 1,101,505 City of Pickering 2023 Approved Current Budget Summary 1011 O Building Services - 2021 2022 2022 Actuals Actuals Account Description Approved Increase/ Budget Decrease Expenditures 1,527,364 1,632,338 Salaries & Wages 1,412,001 348,019 11,495 13,148 Overtime 10,000 - 407,427 443,101 Employee Benefits 401,463 101,790 1,466 653 Uniforms 4,000 - 300 3,823 Conferences 7,800 2,100 21,172 10,750 Seminars & Education 30,300 - 9,910 15,162 Travel 22,600 - 4,008 4,586 Cellular Phones 7 ,700 1,400 6,389 6,417 Telephone & Data 6,675 425 874 838 Internet 835 - 939 3,369 Subscriptions & Publications 4,000 - 4,579 -Brochures/Newsletters Printing 11,000 (11,000) 7,520 7,520 Insurance Premium 7,520 752 1,935 2,743 Insurance Deductible 1,000 2,000 141,114 53,856 Consulting & Professional Fees 138,390 (43,390) 988 187 Meals, Promotions & General 5,900 - 8,316 12,241 Memberships 17,805 1,550 -1,029 Building -Repairs & Maintenance -- 877 803 Vehicle -Repairs & Maintenance 2,000 - --Gas, Oil, Tire, Etc. 3,000 - 1,043 1,682 Stationary & Office Supplies 8,000 - 488 265 Forms 3,000 6,000 783 231 Supplies & Tools 2,000 - --COVID Related Expenses 1,000 (1,000) 583 16,202 Software & Hardware Mtce. Contracts 47,195 (85) 208 -Hardware Replacements 10,000 (10,000) 2,159,778 2,230,944 Total Expenditures 2,165,184 398,561 Revenues (38,551) (30,968) Department User Fees (35,000) (5,000) (3,515,181) (3,731,940) Licences & Permits (3,200,000) (900,000) (1,000) (2,025) Fines & Charges -- --Cost Recoveries (138,390) 43,390 (3,554,732) (3,764,933) Total Revenues (3,373,390) (861,610) Transfers 141 Run Date: Sep 13, 2023 2023 Approved %Change Budget From 2022 1,760,020 24.65% 10,000 -% 503,253 25.35% 4,000 -% 9,900 26.92% 30 ,300 -% 22,600 -% 9,100 18 .18% 7,100 6.37% 835 -% 4,000 -% -(100.00%) 8,272 10 .00% 3,000 200 .00% 95,000 (31 .35%) 5,900 - % 19,355 8.71% -- % 2,000 -% 3,000 -% 8,000 -% 9,000 200 .00% 2,000 -% -(100 .00%) 47,110 (0 .18%) -(100 .00%) 2,563,745 18.41% (40,000) 14 .29% (4,100,000) 28.13% --% (95,000) (31 .35%) (4,235,000) 25.54% City of Pickering 2023 Approved Current Budget Summary 10110 Building Services 2021 2022 2022 Actuals Actuals Account Description Approved Increase/ Budget Decrease (14,214) (20,496) Transfe r to(from ) Cntg Sty Res . -- (14 ,214) (20 ,496) Total Transfers -- (1,409,168) (1,554,485) Net Expenditures (Revenues) (1 ,208,206) (463,049) 142 Run Date: Sep 13, 2023 2023 Approved % Change Budget From 2022 --% --% (1,671,255) 38.33% City of Pickering 2023 Approved Background Information 1011 O Building Services Run Date: Sep 13, 2023 Expenditures 501000.0000 Salaries & Wages Base Salaries and Wages One new full-time Geomatics Analyst position, May 1, 2023 start date (Cost share 75% Planning / 25% Building Services) One new full-time Principal Code Advisor position, May 1, 2023 start date One new full-time Building Inspector II position, May 1, 2023 start date One new full-time Clerk, Building Services position, May 1, 2023 start date One new full-time Examiner/Inspector position, May 1, 2023 start date Two new full-time Building Inspector Interns, May 1, 2023 start date Total 501000.0000 Salaries & Wages 501010.0000 Overtime On Call Basis as per Collective Agreement Total 501010.0000 Overtime 501020.0000 Employee Benefits This item includes mandatory deductions (CPP, El, EHT) and employer provided benefits such as extended health and dental Benefits related to one new full-time Geomatics Analyst position, May 1, 2023 start date (Cost share 75% Planning / 25% Building Services) Benefits related to one new full-time Principal Code Advisor position, May 1, 2023 start date Benefits related to one new full-time Building Inspector II position, May 1, 2023 start date Benefits related to one new full-time Examiner/Inspector position, May 1, 2023 start date Benefits related to one new full-time Clerk, Building Services position, May 1, 2023 start date Benefits related to two new full-time Building Inspector Interns, May 1, 2023 start date Total 501020.0000 Employee Benefits 501040.0000 Uniforms As per the Collective Agreement Total 501040.0000 Uniforms 501100.0000 Conferences Ontario Building Officials Association (3 Staff) -Hotel/Reg'n Large MuniGipalities Chief Building Officials (LMCBO) Fall/Spring Workshop (CBO) Total 501100.0000 Conferences 501110.0000 Seminars & Education Building Code & other technical training programs -all staff 143 Approved 2023 Budget 1,441,150 11,970 70,100 57,700 41,200 55,600 82,300 1,760,020 10,000 10,000 401,453 3,580 21,030 17,320 16,670 14,400 28,800 503,253 4,000 4,000 7,500 2,400 9,900 8,400 City of Pickering 2023 Approved Background Information 10110 Building Services Run Date: Sep 13, 2023 Heating, Refrigeration & Air Conditioning Institute (HRAI) Courses -Senior Examiner/Inspector (Plumbing & HVAC) General Educational Assistance Construct Canada -CBO and Staff Ontario Building Officials Assoc. (OBOA) or similar Course (to be facilitated by the City & is 100% cost recoverable) Municipal Mgmt Course -UOIT (2 staff) Total 501110.0000 Seminars & Education 501130.0000 Travel Ontario Building Officials Association Conference (4 Staff) Annual mileage for Building Staff Total 501130.0000 Travel 502020.0000 Cellular Phones Annual Smartphone Charges -Manager, Supervisors and 9 staff Equipment Upgrades -4 staff @ $425 Smartphone equipment and monthly charges for new Principal Code Advisor and Inspector II Total 502020.0000 Cellular Phones 502030.0000 Telephones & Data Voice/Data Total 502030.0000 Telephones & Data 502040.0000 Internet Internet Total 502040.0000 Internet 502120.0000 Subscriptions&Publcs Building Codes & Updates, Referenced Standards, and Fire Codes Total 502120.0000 Subscriptions&Publcs 502210.0000 Insurance Premium Annual cost of insurance policy that provides protection for municipal activities and property. (Policy coverage includes: liability, automobile and property) Total 502210.0000 Insurance Premium 502220.0000 Insurance Deductible Insurance Deductible Total 502220.0000 Insurance Deductible 502230.0000 Consult&Prof Fees Professional engineers, building science specialists, code experts and environmental consultants retained to provide specialized examination and inspection services for structural review of high rise and other complex projects -100% recoverable 144 Approved 2023 Budget 2,000 1,000 700 10,000 8,200 30,300 1,100 21,500 22,600 6,000 1,700 1,400 9,100 7,100 7,100 835 835 4,000 4,000 8,272 8,272 3,000 3,000 80,000 City of Pickering 2023 Approved Background Information 10110 Building Services Run Date: Sep 13, 2023 Specialized consultants to support investigations -100% recoverable Total 502230.0000 Consult&Prof Fees 502240.0000 Meals/Prom/General Various Events (CBO, CIAC, SAC, BIAC, PAC, MSAC, Building Safety Month) Conference Meals Corporate Apparel Promotional Items Total 502240.0000 Meals/Prom/General 502250.0000 Memberships Assn. of Architectural Technologists of Ont.-(2 staff) Min. of Municipal Affairs (MMAH) Building Code Identification Number (BCIN) -Director Filings Ontario Building Officials Assn -(22 staff) Code Interpretation Advisory Committee -(1 staff) Mechanical Services Advisory Committee -(1 staff) Plumbing Advisory Committee -(1 staff) Building Inspection Advisory Committee -(1 staff) American Society of Heating Refrigeration & Air Condition Engineers -(1 staff) Structural Advisory Committee -(1 staff) Large Municipalities Chief Building Officials -(1 staff) Ontario Association of Certified Engineering Technologists -(2 staff) MMAH BCIN Annual Registration Fees -(14 staff) Membership Contingency Fund Professional Engineers Ontario -(4 staff) Durham Chapter -OBOA (5 staff) Heating, Refrigeration & Air Conditioning Institute (HRAI) Corporate Membership Durham Home Builders Association Total 502250.0000 Memberships 502370.0000 Vehicle Rpr & Mntc For Building Services Vehicle Total 502370.0000 Vehicle Rpr & Mntc 502375.0000 Gas, Oil, Tires, Etc Winter tires, etc. for Building Services vehicle Total 502375.0000 Gas, Oil, Tires, Etc 502500.0000 Stationery&OfficeSup General office supplies Total 502500.0000 Stationery&OfficeSup 502510.0000 Forms Promote building services to the public 145 Approved 2023 Budget 15,000 95,000 800 600 2,500 2,000 5,900 500 3,800 7,100 50 50 50 50 280 50 750 550 1,800 700 900 625 500 1,600 19,355 2,000 2,000 3,000 3,000 8,000 8,000 9,000 City of Pickering 2023 Approved Background Information 10110 Building Services Total 502510.0000 Forms 502540.0000 Supplies & Tools Personal Protective Equipment (Grow operations and other hazardous sites) Incidental inspection and testing devices Total 502540.0000 Supplies & Tools 502700.0000 Sfwr/Hdwr Mntc Contr Maintenance -HRIS Maintenance -ePermitting Total 502700.0000 Sfwr/Hdwr Mntc Contr Total Expenses Revenues 403000.9530 Department User Fees -Compliance Ltr-Bldg Compliance Letters Total 403000.9530 Department User Fees -Compliance Ltr-Bldg 403000.9531 Department User Fees -Other Rev -Building Revenue from attendance by outside municipalities to offset cost for OBOA course Records Management Scanning Total 403000.9531 Department User Fees -Other Rev -Building 404000.9450 Licences and Permits -Building Permits Residential Non-residential Sign permits Other permits Total 404000.9450 Licences and Permits -Building Permits 406540.0000 Cost Recoveries Specialized consultants to support investigations (charge-back for costs incurred) - 100% recoverable Professional engineers, specialists and consultants, code experts to provide specialized examination and inspections services (charge-back for costs incurred) for structural review of high rise and other complex projects -100% recoverable Total 406540.0000 Cost Recoveries Total Revenues Total Transfers NetExpenses(Revenues) 146 Run Date: Sep 13, 2023 Approved 2023 Budget 9,000 1,000 1,000 2,000 2,110 45,000 47,110 2,563,745 (15,000) (15,000) (10,000) (15,000) (25,000) (3,000,000) (900,000) (50,000) (150,000) (4,100,000) (15,000) (80,000) (95,000) (4,235,000) (1,671,255) 10115 Sustainability 2021 2022 Actuals Actuals 370,216 370,161 -2,051 106,981 77,122 -214 845 1,287 229 - -66 141 - 1,513 1,594 1,308 1,170 199 153 6,138 5,704 931 1,386 243 - -- 3,020 3,020 18,562 107,788 2,333 1,419 2,797 2,762 2,850 4,868 260 465 92,239 102,450 -- 171 470 610,976 684,150 (8 ,800) (5,879) -(92,495) -- (15,433) (9,819) (11 ,375) (1,365) (6,000) - -(4,884) -- -- City of Pickering 2023 Approved Current Budget Summary 2022 Account Description Approved Increase I Budget Decrease Expenditures Salaries & Wages 388,905 40,585 Overtime 500 1,500 Employee Benefits 108 ,574 16,309 Uniforms 300 150 Conferences 4,000 1,000 Seminars & Education 4 ,880 3,120 Travel 1,000 - Freight, Express & Cartage -- Cellular Phones 2 ,200 700 Telephone & Data 1,520 180 Internet 190 - Advertising 8,000 1,750 Trade Shows.Exhibits & Displays 2,500 500 Subscriptions & Publications 400 - Photo, Mapping , Print 1,000 1,800 Insurance Premium 3,020 302 Consulting & Professional Fees 151,000 (50,000) Meals, Promotions & General 10,000 1,000 Memberships 3,550 335 Outside Agency Services 5,500 4,800 Stationary & Office Supplies 1,000 1,000 Programs & Event Supplies 148,545 (1,795) COVI D Related Expenses 500 (500) Software & Hardware Mtce . Contracts 525 (10) Total Expenditures 847,609 22,726 Revenues Ontario Grants -- Other Agency Grants -- Department User Fees (110,000) (69,500) Event Vendor Fees (12 ,250) - Other User Fees (106,495) 106,495 Municipal Rentals -- Donations (500) (2,500) Sustainability Sponsorships (2,000) - Sustain Mkt Sponsors (2,000) - 14 7 Run Date : Sep 13, 2023 2023 Approved %Change Budget From 2022 429,490 10.44% 2,000 300.00% 124,883 15.02% 450 50.00% 5,000 25.00% 8,000 63.93% 1,000 -% -- % 2,900 31.82% 1,700 11 .84% 190 - % 9,750 21 .88% 3,000 20.00% 400 - % 2,800 180.00% 3,322 10.00% 101,000 (33.11%) 11,000 10.00% 3,885 9.44% 10,300 87.27% 2,000 100.00% 146,750 (1 .21%) -(100.00%) 515 (1 .90%) 870,335 2.68% -- % --% (179,500) 63.18% (12 ,250) - % -(100.00%) -- % (3,000) 500 .00% (2,000) -% (2 ,000) - % 10115 Sustainability 2021 2022 Actuals Actuals -- -- (41 ,608) (114,442) -(10 ,618) -(10,618) 569,368 559,090 City of Pickering 2023 Approved Current Budget Summary 2022 Account Description Approved Increase/ Budget Decrease Rebates & Incentives -- Cost Recoveries -(4 ,000) Total Revenues (233 ,245) 30,495 Transfers Transfer to (from) Oblig RF (25 ,000) - Total Transfers (25 ,000) - Net Expenditures (Revenues) 589,364 53,221 148 Run Date: Sep 13 , 2023 2023 Approved %Change Budget From 2022 --% (4,000) - % (202,750) (13.07°/~) (25,000) - % (25,000) -% 642,585 9.03% City of Pickering 2023 Approved Background Information 10115 Sustainability Run Date: Sep 13, 2023 Expenditures 501000.0000 Salaries & Wages Base Salaries and Wages One new full-time Coordinator, Community Energy Management position, May 1, 2023 start date Total 501000.0000 Salaries & Wages 501010.0000 Overtime To meet service level/workload commitments Total 501010.0000 Overtime 501020.0000 Employee Benefits This item includes mandatory deductions (CPP, El, EHT) and employer provided benefits such as extended health and dental Benefits related to one new full-time Coordinator, Community Energy Management position, May 1, 2023 start date Total 501020.0000 Employee Benefits 501040.0000 Uniforms As per the Collective Agreement Total 501040.0000 Uniforms 501100.0000 Conferences Sustainability & Energy Conferences Ont. Professional Planners Institute (OPPI) or similar conference for Senior Planner, Sustainability Total 501100.0000 Conferences 501110.0000 Seminars & Education Sustainability & Related Projects Staff Training -Professional Development Sustainable Design Standards Implementation Education Assistance Program (2 staff) Total 501110.0000 Seminars & Education 501130.0000 Travel Parking & Mileage Total 501130.0000 Travel 502020.0000 Cellular Phones Smartphone Charges (Manager & 2 Coordinators) Cell phone equipment and monthly charges for new Coordinator of Community Energy Management position Total 502020.0000 Cellular Phones 502030.0000 Telephones & Data 149 Approved 2023 Budget 365,090 64,400 429,490 2,000 2,000 105,573 19,310 124,883 450 450 4,000 1,000 5,000 1,500 3,000 1,500 2,000 8,000 1,000 1,000 2,200 700 2,900 City of Pickering 2023 Approved Background Information 10115 Sustainability Voice/ Data Total 502030.0000 Telephones & Data 502040.0000 Internet Internet Total 502040.0000 Internet 502100.9720 Advertising -General(Strat lnitv) Advertising programs/events Total 502100.9720 Advertising -General(Strat lnitv) 502110.9720 Trd Shows/Exhb/Dsply -General(Strat lnitv) Events (supplies for various displays/activities) Total 502110.9720 Trd Shows/Exhb/Dsply -General(Strat lnitv) 502120.0000 Subscriptions&Publcs Reference material Total 502120.0000 Subscriptions&Publcs 502150.0000 Photo,Mapping,Print Photography & videography services for City's promotional publications Measuring Sustainability Reprint and Materials Total 502150.0000 Photo,Mapping,Print 502210.0000 Insurance Premium Annual cost of insurance policy that provides protection for municipal activities and property. (Policy coverage includes: liability, automobile and property) Total 502210.0000 Insurance Premium 502230.0000 Consult&Prof Fees Implementation of Sustainable Design Standards LEAF Tree Planting Program (Year 3 of 5) Sustainability and Climate Change Update Measuring Sustainability Report Total 502230.0000 Consult&Prof Fees 502240.9720 Meals/Prom/General -General(Strat lnitv) Sustainability Corporate Wear Refreshment/Food for Events Seaton Workshop Series (partially funded by Sponsors) Total 502240.9720 Meals/Prom/General -General(Strat lnitv) 502250.0000 Memberships OPPI/CIP Full Membership -Senior Planner, Sustainability Clean Air Council Project Management Institute International Society of Sustainability Professionals (3 staff) Circular Innovation Council 150 Run Date: Sep 13, 2023 Approved 2023 Budget 1,700 1,700 190 190 9,750 9,750 3,000 3,000 400 400 1,000 1,800 2,800 3,322 3,322 30,000 15,000 30,000 26,000 101,000 2,000 1,000 8,000 11,000 750 1,800 400 450 360 City of Pickering 2023 Approved Background Information 10115 Sustainability Pickering Naturalists Durham Integrated Growers Total 502250.0000 Memberships 502260.9720 Outside Agency Srvc -General(Strat lnitv) General Design Services Pollinator Garden Volunteer Training, Services & Supplies Measuring Sustainability Report Design Services Total 502260.9720 Outside Agency Srvc -General(Strat lnitv) 502500.0000 Stationery&OfficeSup General office supplies Total 502500.0000 Stationery&OfficeSup 502520.9015 Program&Event Supps -Farmers Market Program supplies (including marketing, equipment, maintenance and entertainment) Total 502520.9015 Program&Event Supps -Farmers Market 502520.9720 Program&Event Supps -General(Strat lnitv) Promotional Activities & Materials Total 502520.9720 Program&Event Supps -General(Strat lnitv) 502520.9721 Program&Event Supps -Corporate Awareness Program Supplies Total 502520.9721 Program&Event Supps -Corporate Awareness 502520.9722 Program&Event Supps -Comm Awareness Event Mgmt Program Supplies Total 502520.9722 Program&Event Supps -Comm Awareness Event Mgmt 502520.9723 Program&Event Supps -Dog Waste Diversion Program Supplies (18 Stations plus additional new sites) Total 502520.9723 Program&Event Supps -Dog Waste Diversion 502520.9724 Program&Event Supps -Community Clean-ups Program Supplies Total 502520.9724 Program&Event Supps -Community Clean-ups 502520.9725 Program&Event Supps -Waterfowl Management Prgm Program Supplies (includes goose relocation, egg oiling) Total 502520.9725 Program&Event Supps -Waterfowl Management Prgm 502520.9726 Program&Event Supps -Tree Planting Program Supplies -Tree Planting (Funded from Duffin Heights Terrestrial Habitat Reserve Fund) Tree & Vegetation Planting-High Priority Sites Total 502520.9726 Program&Event Supps -Tree Planting 502520.9727 Program&Event Supps -Stream Restoration 151 Run Date: Sep 13, 2023 Approved 2023 Budget 25 100 3,885 2,500 3,000 4,800 10,300 2,000 2,000 12,250 12,250 10,000 10,000 3,000 3,000 5,500 5,500 70,000 70,000 4,000 4,000 7,000 7,000 15,000 10,000 25,000 City of Pickering 2023 Approved Background Information 10115 Sustainability Program Supplies -Stream Restoration (Funded from Duffin Heights Fish Habitat Reserve Fund) Total 502520.9727 Program&Event Supps -Stream Restoration 502700.0000 Sfwr/Hdwr Mntc Contr Maintenance -HRIS Total 502700.0000 Sfwr/Hdwr Mntc Contr Total Expenses Revenues 403000.9559 Department User Fees -Sustain Srvc -Plan Applications Pre-Consultations Zoning By-law Amendments Official Plan Amendment Draft Plan of Subdivision/Condominium Site Plan Total 403000.9559 Department User Fees -Sustain Srvc -Plan Applications 403090.9015 Event Vendor Fees -Farmers Market Farmers Market Vendor table fees Total 403090.9015 Event Vendor Fees -Farmers Market 406500.0000 Donations Sustainable Pickering Contributions Total 406500.0000 Donations 406522.9720 Sustain Sponsorships -General(Strat lnitv) Sustainability Sponsorships (No tax) Total 406522.9720 Sustain Sponsorships -General(Strat lnitv) 406532.9720 Sustain Mkt Sponsors -General(Strat lnitv) Sustainability Marketing Sponsorships (Taxable) Total 406532.9720 Sustain Mkt Sponsors -General(Strat lnitv) 406540.0000 Cost Recoveries Seaton Workshop Series -Seaton Landowners Funding Total 406540.0000 Cost Recoveries Total Revenues Transfers 408200.0000 Trf fr 3rdPtyOblg RF Tree Planting -Duffin Heights Terrestrial Habitat Stream Restoration -Duffin Heights Fish Habitat Total 408200.0000 Trf fr 3rdPtyOblg RF Total Transfers 152 Run Date: Sep 13, 2023 Approved 2023 Budget 10,000 10,000 515 515 870,335 (2,000) (23,000) (6,000) (13,500) (135,000) (179,500) (12,250) (12,250) (3,000) (3,000) (2,000) (2,000) (2,000) (2,000) (4,000) (4,000) (202,750) (15,000) (10,000) (25,000) (25,000) 10115 Sustainability Net Expenses (Revenues) City of Pickering 2023 Approved Background Information 153 Run Date: Sep 13, 2023 Approved 2023 Budget 642,585 City of Pickering 2023 Approved Current Budget Summary 10120 Committee of Adjustment 2021 2022 2022 Actuals Actuals Account Description Approved Increase I Budget Decrease Expenditures 7,080 5,760 Salaries & Wages 7 ,200 1,200 543 438 Employee Benefits 1,022 (514) 250 -Conferen ces 1,000 - --Seminars & Education 200 100 259 124 Travel 820 - 750 675 Memberships 750 - 8,882 6,997 Total Expenditures 10,992 786 Revenues --Total Revenues -- Transfers - - Total Transfers -- 8,882 . 6,997 Net Expenditures (Revenues) 10,992 786 154 Run Date : Sep 13, 2023 2023 Approved %Change Budget From 2022 8,400 16.67 % 508 (50.29%) 1,000 -% 300 50.00% 820 -% 750 -% 11,778 7.15% --% --% 11,778 7.15% City of Pickering 2023 Approved Background Information 10120 Committee of Adjustment Expenditures 501000.0000 Salaries & Wages Honorarium -5 Members Total 501000.0000 Salaries & Wages 501020.0000 Employee Benefits This item includes mandatory deductions (CPP, El, EHT) Total 501020.0000 Employee Benefits 501100.0000 Conferences Ontario Assoc. of Ctee. of Adjust. Conference (1 member) Total 501100.0000 Conferences 501110.0000 Seminars & Education Ontario Assoc. of Committee of Adjust. (1 member/1 staff) Total 501110.0000 Seminars & Education 501130.0000 Travel Committee of Adjust. Members -12 meetings @ 55km per meeting @ $.56/km Committee of Adjust. Members -Site Visits -200km @ $.56/km Ontario Assoc. of Ctee of Adjust. Conference/Seminars Total 501130.0000 Travel 502250.0000 Memberships Ontario Assoc. of Committee of Adjust. 5 Members@ $150 each Total 502250.0000 Memberships Total Expenses Total Revenues Total Transfers Net Expenses (Revenues) 155 Run Date: Sep 13, 2023 Approved 2023 Budget 8,400 508 508 1,000 1,000 300 300 500 120 200 820 750 750 11,778 11 778 City of Pickering 2023 Approved Current Budget Summary 10125 Heritage Pickering 2021 2022 2022 Actuals Actuals Account Description Approved Increase/ Budget Decrease Expenditures -483 Conferences 525 - --Seminars & Education 300 - 17 193 Travel 500 - --Photo, Mapping, Print 250 - 6,773 5,024 Consulting & Professional Fees 15 ,000 - -31 Meals , Promotions & General 200 - 75 -Memberships 100 - --Stationary & Office Supplies 150 - -399 Gift Shop/Plaques 500 - 6,865 6,130 Total Expenditures 17,525 - Revenues - - Total Revenues - - Transfers --Total Transfers - - 6,865 6,130 Net Expenditures (Revenues) 17,525 - 156 Run Date : Sep 13, 2023 2023 Approved %Change Budget From 2022 525 -% 300 -% 500 -% 250 -% 15,000 -% 200 -% 100 -% 150 -% 500 -% 17,525 -% -- % -- % 17,525 -% City of Pickering 2023 Approved Background Information 10125 Heritage Pickering Expenditures 501100.0000 Conferences Heritage Conference -1 staff (registration and accommodation) Total 501100.0000 Conferences 501110.0000 Seminars & Education General Total 501110.0000 Seminars & Education 501130.0000 Travel Parking & Mileage Education Seminars and Conferences -Out of Town Total 501130.0000 Travel 502150.0000 Photo,Mapping,Print General printing Total 502150.0000 Photo,Mapping,Print 502230.0000 Consult&Prof Fees Consultations for designations, promo materials, heritage permit review, cultural heritage assessments Total 502230.0000 Consult&Prof Fees 502240.0000 Meals/Prom/General Designation events ( 1 @ approximately $200.00 each) Total 502240.0000 Meals/Prom/General 502250.0000 Memberships Annual fee for Community Heritage Ontario (Chair) Total 502250.0000 Memberships 502500.0000 Stationery&OfficeSup General office supplies, training supplies, & name tags Total 502500.0000 Stationery&OfficeSup 502590.0000 Gift Shop/Plaques Plaques for designated properties (1 @ $500) Total 502590.0000 Gift Shop/Plaques Total Expenses Total Revenues Total Transfers Net Expenses (Revenues) 157 Run Date: Sep 13, 2023 Approved 2023 Budget 525 525 300 300 250 250 500 250 250 15,000 15,000 200 200 100 100 150 150 500 500 17,525 17,525 ...... 0, co -Ci~of- p](l(ERlNG / Administrative Assistant, Recreation Complex (1-NUFT) , / " Communications Coordinator, Community Services (1-UFT) '-, / ' Coordinator, Marketing Recreation Services (1-UFT) \.. ..... Graphic Design Assistant (1-UPTT) Authorized by: / \. / / \. The Corporation of the City of Pickering Community Services Department Community Services Administration Director, Community Services I Manager, Community Services Administration (1-NUFT) I ' Coordinator, / / ' Employee Complement 2 Non-Union Full-Time (NUFT) 0 Non-Union Part-Time (NUPT) 12 Union Full-Time (UFT) ' . / Recreation Clerk, Recreation Coordinator, Program Coordinator, Software Complex Registration Facility Bookings Administrator Memberships (1-UFT) (1-UFT) (1-UFT) (1-UFT) \. / \. '-- / " ..., Asst. Coordinator, Clerk, Recreation / " Shift Leader, Asst. Coordinator, Parks & Facility Complex Administration (1-UFTJ, ..... Clerk, Recreation Complex (6-UPT) Recreation Complex (1-UFT) r Coordinator, SAP Clerk (1-UFT) Facility (4-UPT) Program Registration Bookings (1-UFT) (2-UFT) \. \. / Clerk, Program --Registration (2-UPTT) Chief Administrative Officer ~ January 23, 2023 Chart No. 4(a) ... ! City of Pickering 2023 Approved Current Budget Summary Community Services Department 2021 2022 2022 Actuals Actuals Account Description Approved Increase/ Budget Decrease Expenditures 6,508,154 8,208,676 Salaries & Wages 8,647,928 524,260 554,228 807,297 Salaries & Wages -Programs 886,995 385,625 108,294 214,141 Overtime 183,779 15,400 1,672,641 1,895,816 Employee Benefits 2,132,543 114,496 30,099 36,084 Uniforms 45,860 9,200 -4,173 Conferences 6,965 500 14,490 12,358 Seminars & Education 41,434 13,378 1,658 6,747 Travel 15,625 (5,025) 622 3,638 Freight, Express & Cartage 2,500 5,000 -52 Environmental Charges -- 31,628 32,417 Cellular Phones 36,090 630 74,875 70,268 Telephone & Data 77,995 1,105 11,823 14,614 Internet 15,540 (450) 2,016 · 6,509 Cable TV 5,985 650 234,771 345,140 Advertising 327,800 (65,950) 13,826 151,621 Trade Shows,Exhibits & Displays 210,300 9,200 622 94 Subscriptions & Publications 350 200 31,254 56,109 Brochures/Newsletters Printing 60,000 7,000 4,509 -Photo, Mapping, Print 9,000 - 64,220 61,896 Insurance Premium 61,720 6,172 1,840 4,855 Insurance Deductible 11,000 - 102,877 35,882 Consulting & Professional Fees 152,400 190,987 40,504 66,939 Meals, Promotions & General 113,630 (83,130) 10,784 10,446 Memberships 16,212 187 197,203 237,345 Outside Agency Services 226,814 102,648 -814 Repairs & Maintenance Materials -- -90 Highway Aids -Repairs & Ma intenance -- 929 ,136 1,402,224 Building -Repairs & Maintenance 1,348,765 386,287 14,299 21,991 Vehicle -Repairs & Maintenance 10,300 12,600 16,107 26,501 Gas, Oil, Tire, Etc . 13,850 6,000 40,331 34,111 Misc. Equip . -Repairs & Maintenance 79,675 (3,000) 11,098 9,468 Artefact Repairs & Maintenance 8,700 - 1,105 370 Grounds Upkeep 2,800 - 75,295 214,555 Building Rentals 215,910 34,310 990 582 Misc. Equip. Rentals 9,600 - 37,235 40,820 Land Rentals 46,150 53,195 164 Run Date: Sep 13, 2023 2023 Approved % Change Budget From 2022 9,172,188 6.06% 1,272,620 43.48% 199,179 8 .38% 2,247,039 5.37% 55,060 20.06% 7,465 7.18% 54,812 32 .29% 10,600 (32 .16%) 7,500 200.00% --% 36,720 1.75% 79,100 1.42% 15,090 (2.90%) 6,635 10 .86% 261,850 (20 .12%) 219,500 4.37% 550 57 .14% 67,000 11.67% 9,000 -% 67,892 10.00% 11,000 -% 343,387 125.32% 30,500 (73.16%) 16,399 1.15% 329,462 45.26% --% --% 1,735,052 28.64% 22,900 122.33% 19,850 43.32% 76,675 (3.77%) 8,700 -% 2,800 -% 250,220 15.89% 9,600 -% 99,345 115 .27% City of Pickering 2023 Approved Current Budget Summary Community Services Department 2021 2022 2022 Actuals Actuals Account Description Approved Increase/ Budget Decrease 9,710,191 10,342,068 Total Net Expenditures (Revenues) 10,756 ,193 576,397 167 Run Date : Sep 13 , 2023 2023 Approved %Change Budget From 2022 11,332,590 5.36% City of Pickering 2023 Approved Current Budget Summary 10200 Culture & Recreation -Admin 2021 2022 2022 Actuals Actuals Account Description Approved Increase I Budget Decrease Expenditures 1,823,268 1,661,719 Salaries & Wages 1,721,908 541,069 13,264 6,015 Overtime 20,335 - 496,684 433,770 Employee Benefits 479,002 113,997 1,404 -Uniforms 2,500 - -2 ,977 Conferences 6,965 500 90 993 Seminars & Education 6,000 150 124 795 Travel 2,000 - 12,609 12,784 Cellular Phones 10,000 480 9,106 7,153 Telephone & Data 9,405 195 875 1,590 Internet 2,445 (700) 109,056 142,019 Advertising 143,600 7,500 --Trade Shows.Exhibits & Displays -5,000 453 -Subscriptions & Publications -200 4,509 -Photo, Mapping, Print 9,000 - 10,750 8,250 Insurance Premium 8,250 825 46,443 4,681 Consulting & Professional Fees 70,400 255,987 390 9,900 Meals, Promotions & General 9,000 - 4,751 5,385 Memberships 8,150 (3,485) 5,287 -Outside Agency Services -- -90 Highway Aids -Repairs & Maintenance -- -402 Building -Repairs & Maintenance -- 1,452 1,988 Vehicle -Repairs & Maintenance -- 1,820 272 Gas, Oil, Tire, Etc. -- 72,722 72,861 Building Rentals 73,400 1,910 2,682 4,483 Stationary & Office Supplies 4,300 - 10,330 166,436 Programs & Event Supplies 432,000 (2,000) -25 Special Event Supplies -- 60,013 26,750 Committee Expenses 29,500 (7,500) 2,034 1,775 Supplies & Tools -- 60,229 6,270 Software & Hardware Mtce. Contracts 4,265 29,730 2,171 2,020 Furniture & Fixtures 1,000 - 44,388 156,349 Financial Services Charges 175,000 - 2,796,904 2,737,752 Total Expenditures 3,228,425 943,858 Revenues -(151,832) Federal Grants (399,550) 27,250 174 Run Date: Sep 13, 2023 2023 Approved % Change Budget From 2022 2,262,977 31.42% 20,335 - % 592,999 23.80% 2,500 - % 7,465 7.18% 6,150 2.50% 2,000 -% 10,480 4.80% 9,600 2.07% 1,745 (28 .63%) 151,100 5.22% 5,000 - % 200 - % 9,000 - % 9,075 10.00% 326 ,387 363.62% 9,000 - % 4,665 (42.76%) -- % --% -- % --% --% 75,310 2.60% 4,300 - % 430,000 (0.46%) --% 22,000 (25.42%) --% 33,995 697.07% 1,000 - % 175,000 - % 4,172,283 29.24% (372,300) (6 .82%) City of Pickering 2023 Approved Current Budget Summary 10200 Culture & Recreation -Admin 2021 2022 2022 Actuals Actuals Account Description Approved Increase/ Budget Decrease (36,656) (5,000) Ontario Grants (10 ,000) (115,000) -(14 ,200) Sponsorships -(15 ,000) --Marketing Sponsors (65,000) 40 ,000 (20 ,000) -Other Contributions -- (56,656) (171,032) Total Revenues (474,550) (62,750) Transfers --Transfer to/(from) DC Oblg RF (70,400) (146 ,687) (17 ,861) 60,506 Transfer to(from) Cntg Sty Res . -- 10,481 (12 ,157) Transfer to(from) Reserve (80 ,000) (35 ,000) -(290) Transfer to (from) Oblig RF -- (7,380) 48,059 Total Transfers (150,400) (181,687) 2,732,868 2,614,779 Net Expenditures (Revenues) 2,603,475 699,421 Cherrywood Development --Consulting & Professional Fees -50,000 --Other Contributions -(50,000) - - Net Expenditures (Revenues) - - 2,732,868 2,614,779 Total Net Expenditures (Revenues) 2,603,475 699,421 175 Run Date: Sep 13 , 2023 2023 Approved %Change Budget From 2022 (125,000) 1,150.00 % (15,000) -% (25 ,000) (61 .54%) -- % (537,300) 13.22% (2 17,087) 208 .36% -- % (115 ,000) 43 .75% -- % (332,087) 120.80% 3,302,896 26.86% 50,000 -% (50,000) - % -- % 3,302,896 26.86% City of Pickering 2023 Approved Background Information 10200 Culture & Recreation -Admin Run Date: Sep 13, 2023 Expenditures 501000.0000 Salaries & Wages Base Salaries and Wages One part-time Volunteer Coordinator position -transfer from 10250 One full-time Corporate Security Specialist position -transfer from 10325 One full-time SAP Clerk position -transfer from 10600 One Marketing Assistant contract position ($12,000 funded from Young Canada Works Grant) Two Term Coordinator, Public Art contract positions (Confirmed funding: Legacy Fund $21,650, Healthy Communities Fund $43,000, Commemorate Canada Fund $15,319, Not confirmed: Rural Economic Development Fund $40,000; Reconnect Fund $20,000) Coordinator contract position for EnAbling Change Program (100% funded by EnAbling Change Grant) Interns for EnAbling Change Program (100% grant funded) Community Engagement Coordinator contract positions (partially offset by $15,000 Young Canada Works and $8,000 Canada Summer Jobs grants) Total 501000.0000 Salaries & Wages 501010.0000 Overtime Programs and Events Department Graphics Administration Facilities Culture Programs and Events Total 501010.0000 Overtime 501020.0000 Employee Benefits This item includes mandatory deductions (CPP, El, EHT) and employer provided benefits such as extended health and dental Benefits related to one part-time Volunteer Coordinator position -transfer from 10250 Benefits related to one full-time Corporate Security Specialist position -transfer from 10325 Benefits related to one full-time SAP Clerk position -transfer from 10600 Benefits related to Marketing Assistant contract position Benefits related to two Term Coordinator, Public Art contract positions (partially funded by Commemorate Canada grant $1,332) Benefits related to Coordinator contract position for EnAbling Change Program (funded by grant) Benefits related to Interns for EnAbling Change Program (funded by grant) 176 Approved 2023 Budget 1,780,768 57,480 111,460 64,175 20,000 139,250 20,000 39,100 30,744 2,262,977 5,455 1,200 2,280 6,400 5,000 20,335 511,049 5,510 31,005 20,535 2,000 13,925 2,000 3,900 City of Pickering 2023 Approved Background Information 10200 Culture & Recreation -Admin Benefits related to Community Engagement Coordinator contract position Total 501020.0000 Employee Benefits 501040.0000 Uniforms For City Event Staff Total 501040.0000 Uniforms 501100.0000 Conferences Professional Association of Volunteer Leaders Conference Professional Conferences Festival and Events Ontario (2 staff) Total 501100.0000 Conferences 501110.0000 Seminars & Education CPRC & First Aid Training Seminars & Workshops Expenses American Society for Industrial Security (ASIS) -transfer from 10325 Total 501110.0000 Seminars & Education 501130.0000 Travel Parking & Mileage Total 501130.0000 Travel 502020.0000 Cellular Phones Staff Annual Smartphone & Tablet charges Annual Smartphone Charges (Corporate Security Specialist) -transfer from 10325 Total 502020.0000 Cellular Phones 502030.0000 Telephones & Data Voice/ Data Total 502030.0000 Telephones & Data 502040.0000 Internet Internet Total 502040.0000 Internet 502100.0000 Advertising Culture Section & Events Marketing & Promotions Family Calendar Accessible Documents Cultural Tourism Community Page Program & Teen Advertising Esplanade Park Project Promotions Social Media Marketing, Promotions & Communication Promotions for Commemorate Event at CHDRC & Public Art launch event (100% funded by Commemorate Canada Grant) 177 Run Date: Sep 13, 2023 Approved 2023 Budget 3,075 592,999 2,500 2,500 265 5,000 2,200 7,465 1,000 5,000 150 6,150 2,000 2,000 10,000 480 10,480 9,600 9,600 1,745 1,745 20,700 3,000 1,000 6,400 93,000 7,000 5,000 10,000 5,000 City of Pickering 2023 Approved Background Information 10200 Culture & Recreation -Admin Total 502100.0000 Advertising 502110.0000 Trd Shows/Exhb/Dsply City Centre street banners and hardware -transfer from 10000 Total 502110.0000 Trd Shows/Exhb/Dsply 502120.0000 Subscriptions&Publcs Security Publications -transfer from 10325 Total 502120.0000 Subscriptions&Publcs 502150.0000 Photo,Mapping,Print To cover professional services for photography map, printing reproductions, plotter supplies Total 502150.0000 Photo,Mapping,Print 502210.0000 Insurance Premium Annual cost of insurance policy that provides protection for municipal activities and property. (Policy coverage includes: liability, automobile and property) Total 502210.0000 Insurance Premium 502230.0000 Consult&Prof Fees Consulting for Recreation and Parks Masterplan Update -75% funded from Development Charges Consulting for Arena Strategy Consulting for Tourism Development Plan (CCT) Consulting for EnAbling Change Program Consulting for Recreation User Fee Study (PO#4500000800) 75% funded from Development Charges Total 502230.0000 Consult&Prof Fees 502230.4003 Consult&Prof Fees -Cherrywood-10200 Additional consulting costs related to expanded scope of Recreation Master Plan Total 502230.4003 Consult&Prof Fees -Cherrywood-10200 502240.0000 Meals/Prom/General Administrative staff plus Marketing/ Promotion area Total 502240.0000 Meals/Prom/General 502250.0000 Memberships Ontario Recreation and Facilities Association Festivals & Events Ontario Professional Association of Volunteer Leaders Ontario (PAVRO) Pine Ridge Arts Council (PRAC) Festivals & Events Ontario -Event Coordinator Canadian Municipal Network on Crime Prevention Security Associations -transfer from 10325 178 Run Date: Sep 13, 2023 Approved 2023 Budget 151,100 5,000 5,000 200 200 9,000 9,000 9,075 9,075 197,200 30,000 5,000 25,000 69,187 326,387 50,000 50,000 9,000 9,000 850 470 190 30 475 900 1,500 City of Pickering 2023 Approved Background Information 10200 Culture & Recreation -Admin American Society for Industrial Security (ASIS) (virtual) -transfer from 10325 Total 502250.0000 Memberships 502400.0000 Building Rentals Rental charges associated with 1101 Kingston Road lease Total 502400.0000 Building Rentals 502500.0000 Stationery&OfficeSup General office supplies Minor office supplies & equipment -1101 Kingston Road offices Access cards Total 502500.0000 Stationery&OfficeSup 502520.9710 Program&Event Supps -Public Art Program 100 Years of Blacksmithing Public Art at Pickering Museum Village (100% funded by Legacy Fund Grant) Public Art at Pickering Museum Village (100% funded by Healthy Communities Fund) Rotary Frenchman's Bay West Park Enhancements (100% funded by Natural Infrastructure Fund) Pickering Waterfront Public Art (Public Art Reserve) West Shore SkateSpot Public Art (Public Art Reserve) Public Art Mindfulness Mediation Space in Esplanade Park (funded by Canada Community Revitalization grant) Signage for Kimba Kind and Homeplace Restoration (Phase 2) (funded by OPG sponsorship) Total 502520.9710 Program&Event Supps -Public Art Program 502520.9711 Program&Event Supps -Community and Temp Art Temporary Public Art Temporary ArtProgram (100% funded by sponsorship) Temporary Art at Pickering Museum Village (2023 Reconnect Grant -not confirmed) Free Teen Advertising/Events Total 502520.9711 Program&Event Supps -Community and Temp Art 502520.9712 Program&Event Supps -Winter Lights Program Light Sculptures and Maintenance Contracts (funded from sponsorships) Total 502520.9712 Program&Event Supps -Winter Lights Program 502520.9713 Program&Event Supps -Public Art Adm in, Promotion&Consultation Run Date: Sep 13, 2023 Approved 2023 Budget 250 4,665 75,310 75,310 2,000 1,500 800 4,300 40,000 40,000 100,000 80,000 35,000 31,000 15,000 341,000 10,000 10,000 15,000 9,000 44,000 15,000 15,000 Community Consultation Public Art Projects 30,000 Total 502520.9713 Program&Event Supps -Public Art Admin, Promotion&Consulta 30,000 ----'--- 502530.4610 Committee Expenses Committee Special Event expenses 6,000 Total 502530.4610 Committee Expenses 6,000 179 City of Pickering 2023 Approved Background Information 10200 Culture & Recreation -Admin 502530.4611 Committee Expenses Indigenous Public Art Consultation & Design Total 502530.4611 Committee Expenses 502530.4612 Committee Expenses Committee related expenses Total 502530.4612 Committee Expenses 502700.0000 Sfwr/Hdwr Mntc Contr Maintenance -HRIS Maintenance -Adobe Creative Clouds x 3 Maintenance -Adobe Creative Clouds x 4 Culture Maintenance -Security Incident Reporting Software (annual resolver subscription) - transfer from 10325 Total 502700.0000 Sfwr/Hdwr Mntc Contr 502740.0000 Furniture & Fixtures Office chairs replacement Total 502740.0000 Furniture & Fixtures 503080.0000 Financial Srvc Chrgs ActiveNet Service Charges Total 503080.0000 Financial Srvc Chrgs Total Expenses Revenues 402500.0000 Federal Grants Young Canada Works 2023 Grant ($12,000 -Marketing Assistant and $15,000 - Community Engagement Coordinator) Rural Economic Development Fund ($40,000 Coordinator, Public Art) Natural Infrastructure Fund ($100,000 Enhancements to Rotary Frenchman's Bay West) Canada Summer Jobs (Community Engagement Coordinator) Canada Healthy Communities Fund (Confirmed -$43,000 Coordinator Public Art; $40,000 Public Art) 2022 Legacy Fund Grant (funding for PMV 175 Years of Blacksmithing Confirmed - $21,650 Coordinator Public Art; $40,000 Public Art) Commemorate Canada Reopening Fund (Coordinator Public Art wages $15,319 and benefits $1,332 and Marketing $5,000) Canada Community Revitalization Fund (funding for the remaining costs of Public Art Mindfulness Mediation Space in Esplanade Park) Total 402500.0000 Federal Grants 180 Run Date: Sep 13, 2023 Approved 2023, Budget 15,000 15,000 1,000 1,000 2,715 120 160 31,000 33,995 1,000 1,000 175,000 . 175,000 4,222,283 (27,000) (40,000) (100,000) (8,000) (83,000) (61,650) (21,650) (31,000) (372,300) City of Pickering 2023 Approved Background Information 10200 Culture & Recreation -Adm in 402510.0000 Ontario Grants Reconnect Fund ($20,000 Coordinator Public Art; $15,000 Artist Fees) EnAbling Change Grant (Coordinator, Interns, Consulting) Total 402510.0000 Ontario Grants 406520.9710 Sponsorships -Admin Public Art Program Alex Robertson Park Signage (Delayed project -funded from sponsorship by OPG) Total 406520.9710 Sponsorships -Admin Public Art Program 406530.0000 Marketing Sponsors Sponsorship of Temporary Art Sponsorship of Winter Lights Program Total 406530.0000 Marketing Sponsors 406550.4003 Other Contributions -Cherrywood-10200 Third-party contributions for development related studies Total 406550.4003 Other Contributions -Cherrywood-10200 Total Revenues Transfers 408038.0000 Trf fr PublicArtRes WestShore SkateSpot Pickering Watefront Public Art Total 408038.0000 Trf fr PublicArtRes 408606.0000 Trf fr DC-P&R OB RF Recreation and Parks Masterplan Update -75% funded from Development Charges Recreation User Fee Study -75% funded from Development Charges Total 408606.0000 Trf fr DC-P&R OB RF Total Transfers Net Expenses (Revenues) 181 Run Date: Sep 13, 2023 Approved 2023 Budget (35,000) (90,000) (125,000) (15,000) (15,000) (10,000) (15,000) (25,000) (50,000) (50,000) (587,300) (35,000) (80,000) (115,000) (147,900) (69,187) (217,087) (332,087) 3,302,896 10205 Programs 2021 2022 Actuals Actuals 452,159 658,279 554,228 807,297 24,626 24,593 177,729 200,706 3,394 6,590 -1 6,004 365 963 2,938 -935 1,292 1,753 1,828 2,033 277 266 -1,129 150 - 29,039 56,109 9,500 9,500 1,074 6,951 1,323 1,250 1,000 32,560 -- 282 6,522 -- 2,551 141,662 4,049 1,153 -- 203,241 391,309 -1,262 -3,449 386 854 547 1,171 -11 1,475,642 2,360,648 (50,265) (107,783) (30,000) (53,407) City of Pickering 2023 Approved Current Budget Summary 2022 Account Description Approved Increase/ Budget Decrease Expenditures Salaries & Wages 734,664 33,064 Salaries & Wages -Programs 886,995 385;625 Overtime 16,900 14,400 Employee Benefits 203,559 (10,074) Uniforms 5,000 - Conferences -- Seminars & Education 4,150 2,450 Travel 3,200 - Freight, Express & Cartage -- Cellular Phones 4,000 - Telephone & Data 2,125 875 Internet -300 Advertising -13,750 Subscriptions & Publications 100 - Brochures/Newsletters Printing 60 ,000 7,000 Insurance Premium 9,500 950 Meals, Promotions & General 3,000 - Memberships 1,500 - Outside Agency Services 12,306 58,894 Vehicle -Repairs & Maintenance -6,600 Gas, Oil, Tire, Etc. -- Misc. Equip. -Repairs & Maintenance 200 - Building Rentals 142,500 32,400 Stationary & Office Supplies -- Forms 500 - Programs & Event Supplies 683,575 12,550 Committee Expenses -- Supplies & Tools 2,400 - Software & Hardware Mice. Contracts 955 1,470 Misc. Equipment 5,000 2,000 Miscellaneous Expenses -- Total Expenditures 2,782,129 562,254 Revenues Federal Grants (174,000) 24,000 Ontario Grants (206,050) 164,050 182 Run Date: Sep 13, 2023 2023 Approved %Change Budget From 2022 767,728 4.50% 1,272,620 43.48% 31,300 85.21% 193,485 (4 .95%) 5,000 - % -- % 6,600 59 .04% 3,200 -% -- % 4,000 -% 3,000 41 .18% 300 - % 13,750 - % 100 - % 67,000 11.67% 10,450 10.00% 3,000 - % 1,500 -% 71,200 478.58% 6,600 -% --% 200 - % 174,900 22.74% --% 500 - % 696,125 1.84% --% 2,400 -% 2,425 153.93% 7,000 40.00% -- % 3,344,383 20.21% (150,000) (13.79%) (42,000) (79.62%) 10205 Programs 2021 2022 Actuals Actuals (8,000) (10,167) -- -(11,963) (319 ,477) (1 ,535,209) -(4,900) -(5 ,500) (26 ,562) (13 ,715) -- (434,304) (1,742,644) -- -- 1,041,338 618,004 City of Pickering 2023 Approved Current Budget Summary 2022 -= Account Description Approved Increase/ Budget Decrease Other Agency Grants -(20,000) Advertising Space (11,000) - Event Vendor Fees (7 ,100) (2,500) Program Revenue (1,266,600) (907,250) Other User Fees (16,000) (2 ,500) Program Sponsorships (7,000) - Program Mkt Sponsors (35 ,000) (5,000) Cost Recoveries -(10,000) Total Revenues (1,722,750) (759,200) Transfers Transfer to(from) Reserve -(136,900) Total Transfers -(136,900) Net Expenditures (Revenues) 1,059 ,379 (333,846) 183 Run Date: Sep 13, 2023 2023 Approved % Change Budget From 2022 (20 ,000) -% (11,000) -% (9,600) 35.21% (2,173 ,850) 71 .63 % (18,500) 15.63% (7 ,000) -% (40 ,000) 14.29% (10 ,000) -% (2,481,950) 44.07% (136,900) -% (136,900) -o/o 725,533 (31.51%) City of Pickering 2023 Approved Background Information 10205 Programs Run Date: Sep 13, 2023 Expenditures 501000.0000 Salaries & Wages Base Salaries and Wages Additional hours for Term Coordinator, Community Events (2 positions) -(Partially funded by: $8,600 funded from Canada Summer Jobs, $3,600 from Summer Experience Fund and $10,000 from Reconnect Fund and $10,160 from 2022 Commemorate Canada carryover funding) Additional hours for Term Community Event Leaders (2 positions) -(Partially funded by: $12,000 from Canada Summer Jobs and $7,000 from Summer Experience Fund - subject to grant approvals) Conversion of part-time Aquatics Program Assistant position to full-time, May 1, 2023 start date One new Term Graphic Assistant position, May 1, 2023 start date Santa Claus Parade -Lead event Staff: Coordinator, Community Events (Part Time, Term) Santa Claus Parade -Support event Staff: Community Event Leaders (Part Time, Term) Fall Fling -Lead Event Staff: Coordinator, Community Events (Part Time, Term) Fall Fling -Support Event Staff: Community Event Leaders (Part Time, Term) Winter Wonderland -Lead Event Staff: Coordinator, Community Events (Part Time, Term) Winter Wonderland -Support Event Staff: Community Event Leaders (Part Time, Term) Total 501000.0000 Salaries & Wages 501000.9801 Salaries & Wages -Dance Dance Prg -(9801) Total 501000.9801 Salaries & Wages -Dance 501000.9802 Salaries & Wages -Languages Languages Prg -(9802) Total 501000.9802 Salaries & Wages -Languages 501000.9803 Salaries & Wages -Summer Cmps-3-12 Summer Camps -3 to 12 Prg -(9803) Total 501000.9803 Salaries & Wages -Summer Cmps-3-12 501000.9804 Salaries & Wages -Fitness Classes Fitness Prg -(9804) Total 501000.9804 Salaries & Wages -Fitness Classes 501000.9805 Salaries & Wages -Aquatics Learn to Swim Prg -(9805) Total 501000.9805 Salaries & Wages -Aquatics 184 Approved 2023 Budget 621,368 66,410 38,750 (6,100) 26,400 8,500 1,100 5,000 650 5,000 650 767,728 23,400 23,400 2,700 2,700 400,000 400,000 40,000 40,000 374,400 374,400 10205 Programs City of Pickering 2023 Approved Background Information 501000.9807 Salaries & Wages -Summer Camps 13+ Camps 13+ Prg -(9807) Child Supervision Total 501000.9807 Salaries & Wages -Summer Camps 13+ 501000.9808 Salaries & Wages -Camps-Spring Brk March Break Camp Prg -(9808) Total 501000.9808 Salaries & Wages -Camps-Spring Brk 501000.9809 Salaries & Wages -Art/Cartooning Arts Prg -(9809) Total 501000.9809 Salaries & Wages -Art/Cartooning 501000.9810 Salaries & Wages -Preschool Skating Pre-School Skating Prg -(9810) Total 501000.981 0 Salaries & Wages -Preschool Skating 501000.9811 Salaries & Wages -Badminton Badminton Prg -(9811) Total 501000.9811 Salaries & Wages -Badminton 501000.9812 Salaries & Wages -Babysitter Train Babysitting Prg -(9812) Total 501000.9812 Salaries & Wages -Babysitter Train 501000.9813 Salaries & Wages -Volleyball Volleyball Prg -(9813) Total 501000.9813 Salaries & Wages -Volleyball 501000.9814 Salaries & Wages -Karate Karate Prg -(9814) Total 501000.9814 Salaries & Wages -Karate 501000.9815 Salaries & Wages -Preschool Actvts Pre-School Prg -(9815) Total 501000.9815 Salaries & Wages -Preschool Actvts 501000.9816 Salaries & Wages -Youth Program Youth Prgms Prg -(9816) Total 501000.9816 Salaries & Wages -Youth Program 501000.9817 Salaries & Wages -Pre-Teen Pre-teen dance Prg -(9817) Total 501000.9817 Salaries & Wages -Pre-Teen 501000.9818 Salaries & Wages -Kindergym Kindergym Prg -(9818) Total 501000.9818 Salaries & Wages -Kindergym 501000.9819 Salaries & Wages -Adult Leisure Adult Leisure Prg -(9819) 185 Run Date: Sep 13, 2023 Approved 2023 Budget 16,000 13,000 29,000 30,600 30,600 67,000 67,000 18,000 18,000 2,500 2,500 1,200 1,200 5,100 5,100 7,700 7,700 66,000 66,000 75,500 75,500 9,800 9,800 44,000 44,000 35,700 City of Pickering 2023 Approved Background Information 10205 Programs Run Date: Sep 13, 2023 Total 501000.9819 Salaries & Wages -Adult Leisure 501000.9820 Salaries & Wages -Seasonal Program Registration Standby Allowance Prg -(9820) Total 501000.9820 Salaries & Wages -Seasonal Program Registration 501000.9899 Salaries & Wages -Rev-New Programs New Programs Prg -(9899) Total 501000.9899 Salaries & Wages -Rev-New Programs 501010.9800 Overtime -Program Support To meet service level/workload commitments -to include evening and weekend call ins for program staff Working Stat Holidays Santa Claus Parade Overtime: Roads, Parks and Bylaw Fall Fling -Overtime: Parks Winter Wonderland -Overtime: Parks Total 501010.9800 Overtime -Program Support 501020.0000 Employee Benefits This item includes mandatory deductions (CPP, El, EHT) and employer provided benefits such as extended health and dental Benefits related to contract program instructors Benefits related to additional hours for Term Coordinator, Community Events (2 positions) -(funded from Canada Summer Jobs -Culture staff and Summer Experience Fund, Reconnect Fund and Commemorate Canada) Benefits related to additional hours for Term Community Event Leader (2 positions) - (partially funded from Canada Summer Jobs -Culture staff and Summer Experience Fund -Culture staff grants -subject to grant approvals) Benefits related to conversion of part-time Aquatics Program Assistant position to full-time, May 1, 2023 start date Benefits related to one new part-time Graphic Assistant position, May 1, 2023 start date Total 501020.0000 Employee Benefits 501040.0000 Uniforms As per the Collective Agreement & Security Guards (legislated) Total 501040.0000 Uniforms 501110.0000 Seminars & Education High Five Program High Five Trainer Recertification High Five -Train the Trainer Defibrillator Training & Recertifications -Various staff Seminars & Education 186 Approved 2023 Budget 35,700 39,000 39,000 1,020 1,020 16,900 5,000 7,000 1,200 1,200 31,300 143,980 27,250 6,640 3,875 9,100 2,640 193,485 5,000 5,000 1,000 600 2,500 500 2,000 City of Pickering 2023 Approved Background Information 10205 Programs Total 501110.0000 Seminars & Education 501130.9800 Travel -Program Support Parking & Mileage Total 501130.9800 Travel -Program Support 502020.9800 Cellular Phones -Program Support Staff Cellular Phone Charges Total 502020.9800 Cellular Phones -Program Support 502030.0000 Telephones & Data Voice/ Data Total 502030.0000 Telephones & Data 502040.0000 Internet Programs Internet Total 502040.0000 Internet Programs 502100.9016 Advertising -Santa Claus Parade Marketing and Signage Total 502100.9016 Advertising -Santa Claus Parade 502100.9017 Advertising -Millenium Square Events Fall Fling -Marketing and Signage Winter Wonderland -Marketing and Signage Total 502100.9017 Advertising -Millenium Square Events 502120.0000 Subscriptions&Publcs To continue to enhance the general program resource library Total 502120.0000 Subscriptions&Publcs 502130.0000 Brchrs/NewsLtr-Print Printing costs associated with City brochures and promotional activities Total 502130.0000 Brchrs/NewsLtr-Print 502210.0000 Insurance Premium Annual cost of insurance policy that provides protection for municipal activities and property. (Policy coverage includes: liability, automobile and property) Total 502210.0000 Insurance Premium 502240.0000 Meals/Prom/General Sponsorship Program (100% offset by sponsorship revenue) Total 502240.0000 Meals/Prom/General 502250.0000 Memberships High Five Annual Renewal Total 502250.0000 Memberships 502260.0000 Outside Agency Srvc Contracted Services -Pre Teen Dance 187 Run Date: Sep 13, 2023 Approved 2023 Budget 6,600 3,200 3,200 4,000 4,000 3,000 3,000 300 300 10,000 10,000 2,500 1,250 3,750 100 100 67,000 67,000 10,450 10,450 3,000 3,000 1,500 1,500 11,200 City of Pickering 2023 Approved Background Information 10205 Programs Run Date: Sep 13, 2023 Seasonal Weekend Waterfront Shuttle Bus Service -Pilot Program (funded by third party) Total 502260.0000 Outside Agency Srvc 502260.9803 Outside Agency Srvc -Summer Cmps-3-12 Summer Camp Bussing Total 502260.9803 Outside Agency Srvc -Summer Cmps-3-12 502370.9006 Vehicle Rpr & Mntc -Programs Cmnty Group Activity Wrap of Vehicle/ Branding / Gas Total 502370.9006 Vehicle Rpr & Mntc -Programs Cmnty Group Activity 502380.0000 Misc Equip Rpr&Mntc To cover repairs and maintenance for various equipment Total 502380.0000 Misc Equip Rpr&Mntc 502400.9803 Building Rentals -Summer Cmps-3-12 Summer camp rentals Prg -(9903) Total 502400.9803 Building Rentals -Summer Cmps-3-12 502400.9805 Building Rentals -Aquatics Learn to swim rentals Prg -(9805) Total 502400.9805 Building Rentals -Aquatics 502400.9808 Building Rentals -Camps-Spring Brk March break rentals Prg -(9808) Total 502400.9808 Building Rentals -Camps-Spring Brk 502400.9809 Building Rentals -Art/Cartooning Arts rentals Prg -(9809) Total 502400.9809 Building Rentals -Art/Cartooning 502400.9810 Building Rentals -Preschool Skating Pre-school skating Prg -(9810) Total 502400.9810 Building Rentals -Preschool Skating 502400.9815 Building Rentals -Preschool Actvts Pre-school rentals Prg -(9815) Total 502400.9815 Building Rentals -Preschool Actvts 502400.9818 Building Rentals -Kindergym Kindergym rentals Prg -(9818) Total 502400.9818 Building Rentals -Kindergym 502400.9890 Building Rentals -Community Use of Schools Custodian wages for General Recreation Programs Total 502400.9890 Building Rentals -Community Use of Schools 502510.0000 Forms Pre-printed confirmation paper and cash application forms for Escom computer system Total 502510.0000 Forms 188 Approved 2023 Budget 10,000 21,200 50,000 50,000 6,600 6,600 200 200 10,000 10,000 147,700 147,700 1,000 1,000 3,700 3,700 6,000 6,000 · 1,000 1,000 2,000 2,000 3,500 3,500 500 500 City of Pickering 2023 Approved Background Information 10205 Programs 502520.9000 Program&Event Supps -Community Events Special Events General Liability Coverage Cultural Fusion & Culture Days Programming Cultural Fusion Festival Event Enhancements (100% funded by sponsorship) Council Directed event activities Esplanade Park Commemoration Event -COVID memorial and park upgrade project (100% funded from Commemorate Canada Recovery Fund) Corporate Events (Ribbon Cutting/ Ground-breaking etc.) Total 502520.9000 Program&Event Supps -Community Events 502520.9001 Program&Event Supps -Canada Day Community Groups Rentals and Supplies for Community Group Activities Total 502520.9001 Program&Event Supps -Canada Day Community Groups 502520.9002 Program&Event Supps -Canada Day -Daytime Programming (funded by Canada Day Grant) Jersey Barriers Electrical and related rentals Citizenship Ceremony in Council Chambers Equipment Rentals and Program supplies Golf Cart Rentals Total 502520.9002 Program&Event Supps -Canada Day -Daytime 502520.9003 Program&Event Supps -Canada Day-Evening Mainstage and Evening Program Fireworks Police Security EMS Total 502520.9003 Program&Event Supps -Canada Day-Evening 502520.9004 Program&Event Supps -Tree Lighting Various supplies used for Winter Event Rental for Event Equipment Entertainment Event Enhancements (100% funded by sponsorship) Event Enhancements (100% funded by Reconnect Fund) Marketing and Promotions (100% funded by Reconnect Fund) Total 502520.9004 Program&Event Supps -Tree Lighting 502520.9006 Program&Event Supps -Cmnty Group Activity Community Engagement Activities Community Parades Remembrance Day Events Equipment Rental Total 502520.9006 Program&Event Supps -Cmnty Group Activity 189 Run Date: Sep 13, 2023 Approved 2023 Budget 22,500 25,000 15,000 10,000 10,000 7,000 89,500 12,000 12,000 45,000 15,100 6,000 6,125 6,000 3,000 81,225 54,000 28,000 25,000 107,000 25,000 5,000 10,000 15,000 10,000 15,000 80,000 4,400 10,000 2,300 3,000 19,700 City of Pickering 2023 Approved Background Information 10205 Programs 502520.9007 Program&Event Supps -Summer Concert Thursday and Sunday concerts (entertainers, SOCAN fees, etc.) Driftwood Theatre partnership fee Summer Concerts Enhancements (100% funded by sponsorship) Total 502520.9007 Program&Event Supps -Summer Concert 502520.9008 Program&Event Supps -Youth Events Youth Events Total 502520.9008 Program&Event Supps -Youth Events 502520.9009 Program&Event Supps -Artfest Various costs such as: rentals, sound technician, performances, setup and craft supplies Event Enhancements (100% funded by sponsorship) Total 502520.9009 Program&Event Supps -Artfest 502520.901 0 Program&Event Supps -Civic Awards Costs associated with hosting this event Total 502520.9010 Program&Event Supps -Civic Awards 502520.9013 Program&Event Supps -New Years Countdown Various supplies related to this event such as entertainment, decorations and refreshments Total 502520.9013 Program&Event Supps -New Years Countdown 502520.9014 Program&Event Supps -Mayor's Levee Costs associated with holding this event on January 1st such as catering, entertainment and prizes Total 502520.9014 Program&Event Supps -Mayor's Levee 502520.9016 Program&Event Supps Programs Santa Claus Parade Policing and Security Council float decor or classic car hire Parade Bands (1 Ox $1,500) Santa Float (rental of sleigh and trailer+ Santa fee/honorarium) Community Group grant for float decor Event materials Volunteer Support Contingency Total 502520.9016 Program&Event Supps Programs Santa Claus Parade 502520.9017 Program&Event Supps Programs Millenium Square Events Fall Fling -Wagon Rides (2 dates) Fall Fling -Band or performer (2 events @$750 each) Fall Fling -Fall themed display/ photo stop (hay bales, pumpkins, fall mums) Fall Fling -Fall themed supplies (pumpkins, paint, Halloween treats) 190 Run Date: Sep 13, 2023 Approved 2023 Budget 20,000 3,000 5,000 28,000 9,000 9,000 8,500 5,000 13,500 14,000 14,000 5,000 5,000 8,500 8,500 3,500 6,000 15,000 4,500 7,500 10,000 1,000 2,500 50,000 3,000 1,500 750 1,000 10205 Programs City of Pickering 2023 Approved Background Information Fall Fling -Prizes (for best costume, scavenger hunt, best painted pumpkin, etc.) Fall Fling -Event materials (tents, tables cloths, a-frames Winter Wonderland -Wagon Rides (2 dates) Winter Wonderland -Band or performer (2 events @$750 each) Winter Wonderland -Ice Carver Winter Wonderland -Prizes (for scavenger hunt/ bingo etc. Winter Wonderland -Roaming Characters Winter Wonderland -Fire Pits (pit, propane, s'more kit) Winter Wonderland -Portable washrooms Winter Wonderland -Feature Holiday Light Sculpture Display to stay all season (one-time cost) Total 502520.9017 Program&Event Supps Programs Millenium Square Events 502520.9801 Program&Event Supps -Dance Dance supplies Prg -(9801) Total 502520.9801 Program&Event Supps -Dance 502520.9803 Program&Event Supps -Summer Cmps-3-12 Summer camp supplies Prg -(9803) Total 502520.9803 Program&Event Supps -Summer Cmps-3-12 502520.9804 Program&Event Supps -Fitness Classes Fitness supplies Prg -(9804) Total 502520.9804 Program&Event Supps -Fitness Classes 502520.9805 Program&Event Supps -Aquatics Learn to swim supplies Prg -(9805) Total 502520.9805 Program&Event Supps -Aquatics 502520.9807 Program&Event Supps -Summer Camps 13+ Camps -13+ supplies Prg -(9807) Total 502520.9807 Program&Event Supps -Summer Camps 13+ 502520.9808 Program&Event Supps -Camps-Spring Brk March break camp supplies Prg -(9808) Total 502520.9808 Program&Event Supps -Camps-Spring Brk 502520.9809 Program&Event Supps -Art/Cartooning Arts supplies Prg -(9809) Total 502520.9809 Program&Event Supps -Art/Cartooning 502520.9810 Program&Event Supps -Preschool Skating Pre-school skating supplies Prg -(9810) Total 502520.9810 Program&Event Supps -Preschool Skating 502520.9811 Program&Event Supps -Badminton Badminton supplies Prg -(9811) Total 502520.9811 Program&Event Supps -Badminton 191 Run Date: Sep 13, 2023 Approved 2023 Budget 500 1,500 3,000 1,500 3,000 500 1,500 1,500 1,100 25,000 45,350 1,300 1,300 12,700 12,700 20,000 20,000 27,000 27,000 2,600 2,600 3,850 3,850 15,000 15,000 800 800 1,200 1,200 City of Pickering 2023 Approved Background Information 10205 Programs 502520.9812 Program&Event Supps -Babysitter Train Babysitting supplies Prg -(9812) Total 502520.9812 Program&Event Supps -Babysitter Train 502520.9813 Program&Event Supps -Volleyball Volleyball supplies Prg -(9813) Total 502520.9813 Program&Event Supps -Volleyball 502520.9814 Program&Event Supps -Karate Karate supplies Prg -(9814) Total 502520.9814 Program&Event Supps -Karate 502520.9815 Program&Event Supps -Preschool Actvts Pre-school supplies Prg -(9815) Total 502520.9815 Program&Event Supps -Preschool Actvts 502520.9816 Program&Event Supps -Youth Program Youth program supplies Prg -(9816) Skateboard truck rental Prg -(9816) Total 502520.9816 Program&Event Supps -Youth Program 502520.9817 Program&Event Supps -Pre-Teen Pre-teen dance supplies Prg -(9817) Total 502520.9817 Program&Event Supps -Pre-Teen 502520.9818 Program&Event Supps -Kindergym Kindergym supplies Prg -(9818) Total 502520.9818 Program&Event Supps -Kindergym 502520.9819 Program&Event Supps -Adult Leisure Adult leisure supplies Prg -(9819) Total 502520.9819 Program&Event Supps -Adult Leisure 502520.9895 Program&Event Supps -Drop-in Centre Assist in provision of supplies and equipment for various Youth and Teen Programs Total 502520.9895 Program&Event Supps -Drop-in Centre 502520.9899 Program&Event Supps -Rev-New Programs New program supplies Prg -(9899) Total 502520.9899 Program&Event Supps -Rev-New Programs 502540.0000 Supplies & Tools Various Sports Equipment for Youth and Teen Programs, Camps Total 502540.0000 Supplies & Tools 502700.0000 Sfwr/Hdwr Mntc Contr Maintenance -HRIS Total 502700.0000 Sfwr/Hdwr Mntc Contr 502750.0000 Misc. Equipment 192 Run Date: Sep 13, 2023 Approved 2023 Budget 500 500 1,200 1,200 700 700 10,000 10,000 15,000 5,000 20,000 4,400 4,400 2,000 2,000 700 700 4,400 4,400 5,000 5,000 2,400 2,400 2,425 2,425 City of Pickering 2023 Approved Background Information 10205 Programs Program equipment for youth programs & camps (gaming equipment & accessories, various games, sports equipment) Program equipment for kindergym & preschool programs. Replacements: kindergym equipment; creative centre equipment Total 502750.0000 Misc. Equipment Total Expenses Revenues 402500.0000 Federal Grants Canada Summer Jobs (summer camp staff) Celebrate Canada Grant Canada Summer Jobs (culture staff) Commemorate Canada Recovery Fund ( commemoration event in Esplanade Park) Total 402500.0000 Federal Grants 402510.0000 Ontario Grants Reconnect Festival and Events Grant (funding for Winter Nights, City Lights Festival) Summer Experience Fund (funding for Community Event Leaders) Total 402510.0000 Ontario Grants 403078.0000 Advertising Space Sale of advertising space in City Brochures -Spring/ Summer Fall Advertisers Winter Advertisers Total 403078.0000 Advertising Space 403090.9009 Event Vendor Fees -Artfest Booth Fees Food Vendors and Activations Total 403090.9009 Event Vendor Fees -Artfest 403090.9016 Event Vendor Fees -Santa Claus Parade Float Entry Fees (25 local businesses x $100) Total 403090.9016 Event Vendor Fees -Santa Claus Parade 403100.9801 Program Revenue -Dance Program Registrations Total 403100.9801 Program Revenue -Dance 403100.9802 Program Revenue -Languages Program -Languages Total 403100.9802 Program Revenue -Languages 403100.9803 Program Revenue -Summer Cmps-3-12 Program -Summer Camps Total 403100.9803 Program Revenue -Summer Cmps-3-12 193 Run Date: Sep 13, 2023 Approved 2023 Budget 4,000 3,000 7,000 3,344,383 (60,000) (50,000) (20,000) (20,000) (150,000) (35,000) (7,000) (42,000) (5,000) (3,000) (3,000) (11,000) (4,500) (2,600) (7,100) (2,500) (2,500) (52,400) (52,400) (4,250) (4,250) (550,000) (550,000) 10205 Programs City of Pickering 2023 Approved Background Information 403100.9804 Program Revenue -Fitness Classes Program -Fitness Total 403100.9804 Program Revenue -Fitness Classes 403100.9805 Program Revenue -Aquatics Program -Learn to swim Total 403100.9805 Program Revenue -Aquatics 403100.9807 Program Revenue -Summer Camps 13+ Program -Camps age 13 + Child Supervision Total 403100.9807 Program Revenue -Summer Camps 13+ 403100.9808 Program Revenue -Camps-Spring Brk Program -March Break Camp Total 403100.9808 Program Revenue -Camps-Spring Brk 403100.9809 Program Revenue -Art/Cartooning Program -Arts Total 403100.9809 Program Revenue -Art/Cartooning 403100.9810 Program Revenue -Preschool Skatng Program -Pre-School Skating Total 403100.9810 Program Revenue -Preschool Skatng 403100.9811 Program Revenue -Badminton Program -Badminton Total 403100.9811 Program Revenue -Badminton 403100.9812 Program Revenue -Babysitter Train Program -Babysitting Total 403100.9812 Program Revenue -Babysitter Train 403100.9813 Program Revenue -Volleyball Program -Volleyball Total 403100.9813 Program Revenue -Volleyball 403100.9814 Program Revenue -Karate Program -Karate Total 403100.9814 Program Revenue -Karate 403100.9815 Program Revenue -Preschool Actvts Program -Pre-School Total 403100.9815 Program Revenue -Preschool Actvts 403100.9816 Program Revenue -Youth Program Program -Youth programs Total 403100.9816 Program Revenue -Youth Program 403100.9817 Program Revenue -Pre-teen dance Program -Pre-teen dances 194 Run Date: Sep 13, 2023 Approved 2023 Budget (75,000) (75,000) (800,000) (800,000) (18,000) (2,000) (20,000) (61,000) (61,000) (154,000) (154,000) (25,000) (25,000) (18,000) (18,000) (1,200) (1,200) (15,000) (15,000) (16,000) (16,000) (115,000) (115,000) (104,000) (104,000) (27,000) City of Pickering 2023 Approved Background Information 10205 Programs Total 403100.9817 Program Revenue -Pre-teen dance 403100.9818 Program Revenue -Kindergym Program -Kindergym Total 403100.9818 Program Revenue -Kindergym 403100.9819 Program Revenue -Adult Leisure Program -Adult Leisure Total 403100.9819 Program Revenue -Adult Leisure 403100.9899 Program Revenue -Rev -New Programs New Programs Total 403100.9899 Program Revenue -Rev -New Programs 403120.9001 Other User Fee Revenue -Canada Day Community Groups Donations from various community groups to be used to partially offset supply costs used for Canada Day Total 403120.9001 Other User Fee Revenue -Canada Day Community Groups 403120.9800 Other User Fee Revenue -Program Support Revenue generated from charges to community school user groups to offset security costs Vendor Fees -Cultural Fusion Festival Total 403120.9800 Other User Fee Revenue -Program Support 406510.0000 Other Agency Grants Jumpstart Programs Total 406510.0000 Other Agency Grants 406521.9000 Program Sponsorships -Community Events General Events Sponsorships (No tax) New Summer Outreach Total 406521.9000 Program Sponsorships -Community Events 406531.9007 Program Mkt Sponsors -Summer Concerts Sponsorship -Cultural Fusion Festival Sponsorship -Winter Nights, City Lights Sponsorship -Artfest Sponsorship -Summer Concerts Total 406531.9007 Program Mkt Sponsors -Summer Concerts 406540.0000 Cost Recoveries Third party sponsorship of seasonal weekend waterfront shuttle bus service -Pilot Program Total 406540.0000 Cost Recoveries Total Revenues Transfers 195 Run Date: Sep 13, 2023 Approved 2023 Budget (27,000) (110,000) (110,000) (6,000) (6,000) (20,000) (20,000) (10,000) (10,000) (3,500) (5,000) (8,500) (20,000) (20,000) (4,000) (3,000) (7,000) (15,000) (15,000) (5,000) (5,000) (40,000) (10,000) (10,000) (2,481,950) 10205 Programs City of Pickering 2023 Approved Background Information 408007.0000 Trf fr RateStblz Res Funding for Millenium Square Events and Santa Clause Parade Total 408007.0000 Trf fr RateStblz Res Total Transfers Net Expenses (Revenues) 196 Run Date: Sep 13, 2023 Approved 2023 Budget (136,900) (136,900) (136,900) 725,533 City of Pickering 2023 Approved Current Budget Summary 10210 Dunbarton Pool 2021 2022 2022 Actuals Actuals Account Description Approved Increase/ Budget Decrease Expenditures 248,953 145,903 Salaries & Wages 264,574 65,843 4,150 4,834 Overtime 2,200 - 40,716 39,126 Employee Benefits 69,951 12,189 349 1,616 Uniforms 2,000 1,820 572 506 Seminars & Education 2,186 3,964 -115 Travel 200 - -12 Environmental Charges -- 660 511 Cellular Phones 1,040 - 4,621 3,454 Telephone & Data 4,240 (340) 270 1,511 Internet 870 700 1,720 1,720 Insurance Premium 1,720 172 8,800 -Consulting & Professional Fees -- 102 -Memberships 110 1,101 1,189 1,198 Outside Agency Services 2,113 - -523 Repairs & Maintenance Materials -- 27,016 37,763 Building -Repairs & Maintenance 44,915 6,700 1,193 1,025 Misc. Equip. -Repairs & Maintenance 3,000 - 126 31 Stationary & Office Supplies 200 - 1,585 599 Supplies & Tools 8,661 - --COVID Related Expenses 5,000 (5,000) 20,674 27,395 Utilities -Natural Gas 32,180 500 113 348 Software & Hardware Mtce. Contracts 390 5 --Furniture & Fixtures 3,000 - 362,809 268,190 Total Expenditures 448,550 87,654 Revenues (2,167) (2,522) Admissions (4,228) (772) (43,971) (93,286) Rentals -Pool (97,624) (21,816) -(7,334) Memberships (7,334) (666) (46,138) (103,142) Total Revenues (109,186) (23,254) Transfers --Total Transfers -- 316,671 165,048 Net Expenditures (Revenues) 339,364 64,400 197 Run Date : Sep 13, 2023 2023 Approved % Change Budget From 2022 330,417 24.89% 2,200 -% 82,140 17.43% 3,820 91 .00% 6,150 181.34% 200 -% --% 1,040 -% 3,900 (8.02%) 1,570 80.46% 1,892 10.00% --% 1,211 1,000.91% 2,113 -% --% 51,615 14.92% 3,000 -% 200 -% 8,661 -% -(100 .00%) 32,680 1.55% 395 1.28% 3,000 -% 536,204 19.54% (5,000) 18.26% (119,440) 22.35% (8,000) 9.08% (132,440) 21.30% --% 403,764 18 .98% City of Pickering 2023 Approved Background Information 10210 Dunbarton Pool Expenditures 501000.0000 Salaries & Wages Base Salaries and Wages Additional hours (1,248) for a permanent part-time Facility Maintenance Person, Pool Operations position required as per health regulations Total 501000.0000 Salaries & Wages 501010.0000 Overtime To meet service level/workload commitments Total 501010.0000 Overtime 501020.0000 Employee Benefits This item includes mandatory deductions (CPP, El, EHT) and employer provided benefits such as extended health and dental Benefits related to additional hours for a permanent part-time Facility Maintenance Person, Pool Operations position required as per health regulations Total 501020.0000 Employee Benefits 501040.0000 Uniforms As per the Collective Agreement Total 501040.0000 Uniforms 501110.0000 Seminars & Education Defibrillator Training & Recertification -Various staff Certified Pool Operator Training -Facility Maintenance staff Aquatic Certifications (FT & PT) Transfer Program Certifications (Term Staff) Total 501110.0000 Seminars & Education 501130.0000 Travel Parking & Mileage Total 501130.0000 Travel 502020.0000 Cellular Phones Cell Phone Charges Total 502020.0000 Cellular Phones 502030.0000 Telephones & Data Voice/ Data Total 502030.0000 Telephones & Data 502040.0000 Internet Internet Total 502040.0000 Internet 502210.0000 Insurance Premium 198 Run Date: Sep 13, 2023 Approved 2023 Budget 286,917 43,500 330,417 2,200 2,200 77,790 4,350 82,140 3,820 3,820 950 4,000 400 800 6,150 200 200 1,040 1,040 3,900 3,900 1,570 1,570 City of Pickering 2023 Approved Background Information 10210 Dunbarton Pool Annual cost of insurance policy that provides protection for municipal activities and property. (Policy coverage includes: liability, automobile and property) Total 502210.0000 Insurance Premium 502250.0000 Memberships Life Saving Society Total 502250.0000 Memberships 502260.0000 Outside Agency Srvc Base Hospital Support Defibrillation Program Pool Inspection & Audit Defibrillator Monitoring Contract Total 502260.0000 Outside Agency Srvc 502340.0000 Building Rpr & Mntc Caretaking supplies General supplies Chlorine and chemicals Motors, belts & filters Door, window & lock repairs/replacement General repairs and maintenance Electrical and plumbing Minor roof and wall repairs Heating and air handling (contract) Boiler repair and maintenance (contract) Energy management -service contact Chemical treatment of boilers & condensing equipment Security camera repairs Duct cleaning Feminine hygiene products Total 502340.0000 Building Rpr & Mntc 502380.0000 Misc Equip Rpr&Mntc Automatic pool vacuum repairs & maintenance Cleaning machine services & repairs Total 502380.0000 Misc Equip Rpr&Mntc 502500.0000 Stationery&OfficeSup General office supplies Total 502500.0000 Stationery&OfficeSup 502540.0000 Supplies & Tools Tools & Safety supplies (replacement) First Aid and program supplies (replacement) Total 502540.0000 Supplies & Tools 199 Run Date: Sep 13, 2023 Approved 2023 Budget 1,892 1,892 1,211 1,211 1,000 900 213 2,113 7,500 5,000 6,500 2,000 3,000 2,500 2,000 2,000 3,500 1,500 3,000 2,500 6,000 2,000 2,615 51,615 1,500 1,500 3,000 200 200 5,450 3,211 8,661 10210 Dunbarton Pool 502610.0000 Utilities -Gas City of Pickering 2023 Approved Background Information Run Date: Sep 13, 2023 Approved 2023 Budget Budget based on 2022 projected actuals and anticipated increase in natural gas prices 32,680 Total 502610.0000 Utilities -Gas 502700.0000 Sfwr/Hdwr Mntc Contr Maintenance -HRIS Total 502700.0000 Sfwr/Hdwr Mntc Contr 502740.0000 Furniture & Fixtures Defibrillator replacement Total 502740.0000 Furniture & Fixtures Total Expenses Revenues 403040.0000 Admis -Public Swimm Singles & Passes Total 403040.0000 Admis -Public Swimm 403063.0000 Rentals -Pool Private Permits Learn to Swim Total 403063.0000 Rentals -Pool 403082.0000 Membership -Pool/Health Memberships Total 403082.0000 Membership -Pool/Health Total Revenues Total Transfers Net Expenses (Revenues) 200 32,680 395 395 3,000 3,000 536,204 (5,000) (5,000) (60,000) (59,440) (119,440) (8,000) (8,000) (132,440) 403,764 City of Pickering 2023 Approved Current Budget Summary 10215 Don Beer Arena 2021 2022 2022 Actuals Actuals Account Description Approved Increase I Budget Decrease Expenditures 464,215 637 ,767 Salaries & Wages 647,717 13,906 12 ,107 32,376 Overtime 20,000 - 130,299 138,637 Employee Benefits 157,316 8,542 1,133 3,278 Uniforms 5 ,000 2,080 335 418 Seminars & Education 3,100 2,500 --Travel 200 - -624 Freight, Express & Cartage -- -1 Environmental Charges -- 439 608 Cellular Phones 1,800 - 11,467 14,564 Telephone & Data 15 ,340 (240) 3 ,321 262 Internet 265 - 45 493 Cable TV 545 - 2,215 -Brochures/Newsletters Printing -- 5,970 5,970 Insurance Premium 5,970 597 --Insurance Deductible 2,000 - 60 333 Meals, Promotions & General -- --Memberships 400 - 3,847 4,318 Outside Agency Services 3,115 - 73,770 165,910 Building -Repairs & Ma intenance 184,850 28 ,756 5,896 2,916 Misc. Equip . -Repairs & Maintenance 15 ,000 - --Misc. Equip . Rentals 300 - 37,235 40,820 Land Rentals 46,150 53,195 166 265 Stationary & Office Supplies 300 - 660 176 Supplies & Tools 2 ,165 - --COVID Related Expenses 9,000 (9,000) 17,838 31,823 Utilities -Water 24,300 10,000 138,071 214,850 Utilities -Hydro 219,150 10,000 25 ,569 36 ,780 Utilities -Natural Gas 33 ,235 6,000 222 900 Software & Hardware Mtce . Contracts 1,010 (215) --Furniture & Fixtures 6,000 - 4,975 4,220 Misc. Equipment 4,800 (4,800) 939,855 1,338,309 Total Expenditures 1,409,028 121,321 Revenues --Snack Bar (5,804) 1,854 (319) (5,543) Vending Machines (2,500) (1,100) 201 Run Date : Sep 13 , 2023 2023 Approved % Change Budget From 2022 661,623 2 .15% 20,000 -% 165,858 5.43% 7 ,080 41 .60% 5,600 80.65% 200 -% --% --% 1,800 -% 15,100 (1 .56%) 265 -% 545 -% --% 6,567 ·10 .00% 2,000 -% --% 400 -% 3,115 -% 213,606 15 .56% 15,000 -% 300 -% 99,345 115 .27% 300 -% 2,165 -% -(100 .00%) 34,300 41.15% 229,150 4 .56% 39,235 18 .05% 795 (21.29%) 6,000 -% -(100.00%) 1,530,349 8.61% (3,950) (31 .94%) (3 ,600) 44 .00% 10215 Don Beer Arena 2021 2022 Actuals Actuals -(1 ,208) -(1,543) (410,215) (852,006) (11,575) (20,565) (77) (19,763) -- (422,186) (900 ,628) -- 517,669 437,681 City of Pickering 2023 Approved Current Budget Summary 2022 Account Description Approved Increase/ Budget Decrease Admissions (2,000) - Rentals -User Fees (2 ,906) (1,694) Rentals -Ice Surface (879,000) (113,000) Rentals -A rena Floor (38,000) - Rentals -Halls (25 ,000) (11,000) Marketing Sponsors (7 ,500) - Total Revenues (962 ,710) (124,940) Transfers Total Transfers -- Net Expenditures (Revenues) 446,318 (3,619) 202 Run Date: Sep 13, 2023 2023 Approved %Change Budget From 2022 (2 ,000) -% (4,600) 58 .29% (992 ,000) 12 .86% (38 ,000) -% (36 ,000) 44 .00%. (7,500) -% (1,087,650) 12.98% --% 442,699 (0.81%) City of Pickering 2023 Approved Background Information 10215 Don Beer Arena Run Date: Sep 13, 2023 Expenditures 501000.0000 Salaries & Wages Base Salaries and Wages Transfer of hours (373) for full-time Maintenance, Ice Arena positions to 10235 for summer ice operation Additional staff hours (1,110) for Facility Attendants term positions required to maintain higher level of cleaning service Total 501000.0000 Salaries & Wages 501010.0000 Overtime To meet service level/workload commitments Total 501010.0000 Overtime 501020.0000 Employee Benefits This item includes mandatory deductions (CPP, El, EHT) and employer provided benefits such as extended health and dental Benefits related to transfer of hours (373) for full-time Maintenance, Ice Arena positions to 10235 for summer ice operation Benefits related to additional staff hours (1,110) for Facility Attendant term positions for enhanced cleaning due to COVID Total 501020.0000 Employee Benefits 501040.0000 Uniforms As per the Collective Agreement Total 501040.0000 Uniforms 501110.0000 Seminars & Education TSSA B Certificate Renewal -Chief Operator and Maintenance Workers (8) Defibrillator Training & Recertification -Various staff ORFA Ice Maintenance Training (2 staff) Total 501110.0000 Seminars & Education 501130.0000 Travel Parking & Mileage Total 501130.0000 Travel 502020.0000 Cellular Phones Cellular Phone Charges Total 502020.0000 Cellular Phones 502030.0000 Telephones & Data Voice/ Data Total 502030.0000 Telephones & Data 502040.0000 Internet Internet 203 Approved 2023 Budget 652,000 (12,977) 22,600 661,623 20,000 20,000 164,898 (1,300) 2,260 165,858 7,080 7,080 600 2,500 2,500 5,600 200 200 1,800 1,800 15,100 15,100 265 City of Pickering 2023 Approved Background Information 10215 Don Beer Arena Total 502040.0000 Internet 502050.0000 Cable TV Cable Total 502050.0000 Cable TV 502210.0000 Insurance Premium Annual cost of insurance policy that provides protection for municipal activities and property. (Policy coverage includes: liability, automobile and property) Total 502210.0000 Insurance Premium 502220.0000 Insurance Deductible Insurance Deductible Total 502220.0000 Insurance Deductible 502250.0000 Memberships Memberships and other related associations Total 502250.0000 Memberships 502260.0000 Outside Agency Srvc Base Hospital Support Defibrillation Program Alarm Monitoring Contract Defibrillator Monitoring Contract Total 502260.0000 Outside Agency Srvc 502340.0000 Building Rpr & Mntc Garbage disposal Snow removal & salting Caretaking supplies/services General repairs (supplies) Building repairs Electrical repairs Plumbing repairs Door and lock repairs/replacements Parking lot maintenance Replacement of dasher board, kickboard, stay white, tempered glass Paint, drainage and disposal system Refrigeration repairs maintenance and dehumidifiers (contract) Condenser water treatment program Overhaul compressor Fan and motor repairs, supplies and accessories Elevator inspection Kitchen hood inspection/cleaning Annual regulatory inspections Repair to rubber flooring 204 Run Date: Sep 13, 2023 Approved 2023 Budget 265 545 545 6,567 6,567 2,000 2,000 400 400 1,450 1,200 465 3,115 5,000 28,600 34,000 17,000 210 10,160 7,840 15,000 1,000 3,500 2,450 27,280 6,526 15,035 4,000 3,600 600 7,150 2,500 City of Pickering 2023 Approved Background Information 10215 Don Beer Arena Security camera repairs Feminine hygiene products Duct cleaning Pad 2 washroom floor replacement Total 502340.0000 Building Rpr & Mntc 502380.0000 Misc Equip Rpr&Mntc Ice resurfacer maintenance Misc. small equipment repairs Goal frames & mesh Total 502380.0000 Misc Equip Rpr&Mntc 502410.0000 MiscEquip Rentals Rental of tools for specific jobs -Platform Lift Total 502410.0000 MiscEquip Rentals 502420.0000 Land Rentals Parking lot lease with Ontario Infrastructure, including property taxes Arena encroachment agreement with Hydro One, including property taxes Total 502420.0000 Land Rentals 502500.0000 Stationery&OfficeSup General office supplies Total 502500.0000 Stationery&OfficeSup 502540.0000 Supplies & Tools First Aid Supplies (replacement) Small tools, etc. (replacement) Total 502540.0000 Supplies & Tools 502600.0000 Utilities -Water Budget based on 2022 projected actuals and regional water rate increase in 2023 Total 502600.0000 Utilities -Water 502610.0000 Utilities -Gas Run Date: Sep 13, 2023 Approved 2023 Budget 6,000 2,000 5,455 8,700 213,606 10,500 1,500 3,000 15,000 300 300 94,845 4,500 99,345 300 300 665 1,500 2,165 34,300 34,300 Budget based on 2022 projected actuals and anticipated increase in natural gas prices 39,235 Total 502610.0000 Utilities -Gas 502620.0000 Utilities -Hydro Budget based on 2022 projected actuals Total 502620.0000 Utilities -Hydro 502700.0000 Sfwr/Hdwr Mntc Contr Maintenance -HRIS Total 502700.0000 Sfwr/Hdwr Mntc Contr 502740.0000 Furniture & Fixtures Defibrillator replacement 205 39,235 229,150 229,150 795 795 6,000 City of Pickering 2023 Approved Background Information 10215 Don Beer Arena Total 502740.0000 Furniture & Fixtures Total Expenses Revenues 403020.0000 Snack Bar Snack Bar lease agreement Total 403020.0000 Snack Bar 403030.0000 Vending Machines Don Beer vending machines Total 403030.0000 Vending Machines 403041.0000 Admis -Pleasure Ska Daily admissions for individuals to play shinny hockey -daytime Total 403041.0000 Admis -Pleasure Ska 403060.0000 Rentals -User Fees Yearly contract Total 403060.0000 Rentals -User Fees 403061.0000 Rentals-Ice Surface Ice Surface Rentals Total 403061.0000 Rentals-Ice Surface 403062.0000 Arena Floor Rentals Ball Hockey Lacrosse Total 403062.0000 Arena Floor Rentals 403065.0000 Rentals -Halls Various Hall rentals, activities Total 403065.0000 Rentals -Halls 406530.0000 Marketing Sponsors Arena Marketing Sponsorships/Advertising (Taxable) Total 406530.0000 Marketing Sponsors Total Revenues Total Transfers Net Expenses (Revenues) 206 Run Date: Sep 13, 2023 Approved 2023 Budget 6,000 1,530,349 (3,950) (3,950) (3,600) (3,600) (2,000) (2,000) (4,600) (4,600) (992,000) (992,000) (12,000) (26,000) (38,000) (36,000) (36,000) (7,500) (7,500) (1,087,650) 442,699 City of Pickering 2023 Approved Current Budget Summary 10220 Community Centres 2021 2022 2022 Actuals Actuals Account Description Approved Increase/ Budget Decrease Expenditures 258,289 293,863 Salaries & Wages 309,983 (50,591) 4,858 10,340 Overtime 8,000 - 56,070 59,853 Employee Benefits 78,276 (14,826) 1,770 1,996 Uniforms 2,200 2,720 305 1,083 Seminars & Education 3,260 (1,500) -436 Travel 500 - -16 Environmental Charges -- 1,966 3,217 Cellular Phones 2,500 - 11,034 6,324 Telephone & Data 5,565 1,735 447 5,901 Internet 6,980 (900) 90 1,066 Cable TV 1,080 - 3,980 4,156 Insurance Premium 3,980 398 1,339 314 Insurance Deductible 2,000 - 39,274 -Consulting & Professional Fees -- -17 Meals, Promotions & General -- 34,267 17,210 Outside Agency Services 11,984 - 165,226 282,294 Building -Repairs & Maintenance 292,065 41,480 9,374 17,946 Vehicle -Repairs & Maintenance 6,300 - 12,120 17,621 Gas, Oil, Tire, Etc. 11,150 6,000 1,379 2,302 Misc. Equip. -Repairs & Maintenance 1,500 - 21 32 Building Rentals 10 - -381 Stationary & Office Supplies -- 88 -Programs & Event Supplies -- 1,082 1,568 Supplies & Tools 2,000 - --COVID Related Expenses 12,000 (12,000) 10,559 12,322 Utilities -Water 13,250 - 78,962 91,599 Utilities -Hydro 116,990 (15,000) 21,538 23,976 Utilities -Natural Gas 27,405 500 3,095 7,067 Utilities -Oil 4,867 - 128 413 Software & Hardware Mtce. Contracts 465 (155) --Furniture & Fixtures 10,000 - 1,085 (234) Miscellaneous Expenses -- 718,346 863,079 Total Expenditures 934,310 (42,139) Revenues (101) (758) Vending Machines (1,000) - 207 Run Date: Sep 13, 2023 2023 Approved % Change Budget From 2022 259,392 (16.32%) 8,000 -% 63,450 {18.94%) 4,920 123.64% 1,760 (46.01%) 500 -% --% 2,500 -% 7,300 31.18% 6,080 (12.89%) 1,080 -% 4,378 10.00% 2,000 -% --% --% 11,984 -% 333,545 14.20% 6,300 -% 17,150 53.81% 1,500 -% 10 -% --% --% 2,000 -% -(100.00%) 13,250 -% 101,990 (12.82%) 27,905 1.82% 4,867 -% 310 (33 .33%) 10,000 -% --% 892,171 (4.51%) (1,000) -% City of Pickering 2023 Approved Current Budget Summary 10220 Community Centres 2021 2022 2022 Actuals Actuals Account Description Approved Increase/ Budget Decrease (32,934) (125,208) Community Ct r. Rentals (175,200) (8,780) --Other User Fees (2,080) (420) --Netted Revenue (11 ,900) - (33,035) (125 ,966) Total Revenues (190,180) (9,200) Transfers -41 ,000 Capital Expenditures -- (177) -Transfer to(from) Cntg Sty Re s. -- (177) 41,000 Total Transfers - - 685,134 778,113 Net Expenditures (Revenues) 744,130 (51,339) 208 Run Date : Sep 13, 2023 2023 Approved % Change Budget From 2022 (183 ,980) 5 .01 % (2,500) 20.19% (11 ,900) -% (199,380) 4.84% -- % --% -- % 692,791 (6.90%) City of Pickering 2023 Approved Background Information 10220 Community Centres Run Date: Sep 13, 2023 Expenditures 501000.0000 Salaries & Wages Base Salaries and Wages Additional hours (634) for part-time Facility Security Guard positions (to meet operational requirements) Total 501000.0000 Salaries & Wages 501010.0000 Overtime To meet service level/workload commitments Total 501010.0000 Overtime 501020.0000 Employee Benefits This item includes mandatory deductions (CPP, El, EHT) and employer provided benefits such as extended health and dental Benefits related to additional hours (634) for Facility Security Guard positions (to meet operational requirements) Total 501020.0000 Employee Benefits 501040.0000 Uniforms As per the Collective Agreement Total 501040.0000 Uniforms 501110.0000 Seminars & Education Defibrillator Training & Recertification Security Guard Licence Renewals -Facility Security Guards (4) Seminars & Education Total 501110.0000 Seminars & Education 501130.0000 Travel Parking & mileage Total 501130.0000 Travel 502020.0000 Cellular Phones Cellular Phone Charges Total 502020.0000 Cellular Phones 502030.0000 Telephones & Data Voice/Data Total 502030.0000 Telephones & Data 502030.9933 Telephones & Data -George Ashe (Library &) Community Centre Voice/Data Total 502030.9933 Telephones & Data -George Ashe (Library&) Community CentrE 502040.0000 Internet Internet Total 502040.0000 Internet 502040.9933 Internet -George Ashe (Library&) Community Centre 209 Approved 2023 Budget 239,892 19,500 259,392 8,000 8,000 61,500 1,950 63,450 4,920 4,920 600 160 1,000 1,760 500 500 2,500 2,500 4,700 4,700 2,600 2,600 ------ 2,370 2,370 City of Pickering 2023 Approved Background Information 10220 Community Centres Internet Total 502040.9933 Internet -George Ashe (Library &) Community Centre 502050.9933 Cable TV -George Ashe (Library&) Community Centre Cable Total 502050.9933 Cable TV -George Ashe (Library &) Community Centre 502210.0000 Insurance Premium Annual cost of insurance policy that provides protection for municipal activities and property. (Policy coverage includes: liability, automobile and property) Total 502210.0000 Insurance Premium 502220.0000 Insurance Deductible Insurance Deductible Total 502220.0000 Insurance Deductible 502260.0000 Outside Agency Srvc Base Hospital Support Defibrillation Program -George Ashe and Dr. Nelson F. Tomlinson Community Centres Technical Support Fire Alarm & Security Monitoring Contract Defibrillator Monitoring Contract Total 502260.0000 Outside Agency Srvc 502340.0000 Building Rpr & Mntc Garbage disposal Pest control Caretaking supplies General supplies Window, door and lock repair/replacement Service Contracts (snow removal & salting) Electrical/plumbing repairs Provision for pumping out septic system (Mt. Zion, Greenwood, Dr. Nelson F. Tomlinson & Whitevale CC) Environmental monitoring -water treatment and testing of wells Window cleaning Emergency repairs/equipment replacement (aging buildings) HVAC Pumps, motor, etc. Boiler repair and maintenance Kitchen hood exhaust system inspection Energy management -service contract Generator testing Life Safety system testing (fire alarms/extinguishers & emerg. lighting) 210 Run Date: Sep 13, 2023 Approved 2023 Budget 3,710 3,710 1,080 1,080 4,378 4,378 2,000 2,000 2,000 5,000 4,540 444 11,984 6,500 3,000 27,750 15,000 10,270 45,000 39,950 5,000 15,944 3,570 19,550 5,000 2,000 1,700 8,400 5,312 1,431 8,840 10220 Community Centres Security camera repairs Duct cleaning City of Pickering 2023 Approved Background Information Feminine hygiene products (ESCC) Feminine hygiene products (WSCC) Feminine hygiene products (Tomlinson CC) Interior painting, drywall repairs and deck repairs to lawn bowling club house Gas range, Tomlinson Community Centre Industrial dishwasher Carpet/chair cleaning -Claremont Seniors Club Total 502340.0000 Building Rpr & Mntc 502340.9933 Building Rpr & Mntc -George Ashe (Library &) Community Centre Run Date: Sep 13, 2023 Approved 2023 Budget 8,000 6,000 2,900 2,600 1,350 7,000 12,000 10,000 1,500 275,567 Garbage disposal 3,200 Pest control 915 Caretaking supplies 5,250 General supplies 2,445 Window, door and lock repair/replacement 3,930 Service Contracts (garbage, snow removal & salting) 10,161 Electrical/plumbing repairs 7,050 Window cleaning 510 Emergency repairs/equipment replacement (aging buildings) 3,450 HVAC 2,500 Pumps, motor, etc. 500 Boiler repair and maintenance 1,000 Kitchen hood exhaust system inspection 180 Energy management -service contract 1,772 Life Safety system testing (fire alarms/extinguishers & emerg. lighting) 1,500 Security camera repairs 8,000 Duct cleaning 3,000 Feminine hygiene products 2,615 Total 502340.9933 Building Rpr & Mntc -George Ashe (Library&) Community Cent 57,978 ---~-- 502370.0000 Vehicle Rpr & Mntc Culture & Recreation -vehicle Total 502370.0000 Vehicle Rpr & Mntc 502375.0000 Gas, Oil, Tires, Etc Fuel: Unleaded 11,510 litres@ $1.40/litre Oil changes and tires Total 502375.0000 Gas, Oil, Tires, Etc 502380.0000 Misc Equip Rpr&Mntc Misc. equipment repairs 211 6,300 6,300 16,115 1,035 17,150 1,500 City of Pickering 2023 Approved Background Information 10220 Community Centres Run Date: Sep 13, 2023 Total 502380.0000 Misc Equip Rpr&Mntc 502400.0000 Building Rentals Brougham Community Centre -Federal rental charge Total 502400.0000 Building Rentals 502540.0000 Supplies & Tools First Aid and Safety (replacement), small tools, etc. (replacement) Total 502540.0000 Supplies & Tools 502540.9933 Supplies & Tools -George Ashe (Library &) Community Centre First Aid and Safety (replacement), small tools, etc. (replacement) Total 502540.9933 Supplies & Tools -George Ashe (Library &) Community Centre 502600.0000 Utilities -Water Budget based on 2022 projected actuals and regional water rate increase in 2023 Total 502600.0000 Utilities -Water 502600.9933 Utilities -Water -George Ashe (Library &) Community Centre Budget based on 2022 projected actuals and regional water rate increase in 2023 Total 502600.9933 Utilities -Water -George Ashe (Library&) Community Centre 502610.0000 Utilities -Gas Budget based on 2022 projected actuals and anticipated increase in natural gas prices Total 502610.0000 Utilities -Gas 502610.9933 Utilities -Gas -George Ashe (Library &) Community Centre Budget based on 2022 projected actuals and anticipated increase in natural gas prices Total 502610.9933 Utilities -Gas -George Ashe (Library&) Community Centre 502620.0000 Utilities -Hydro Budget based on 2022 projected actuals Total 502620.0000 Utilities -Hydro 502620.9933 Utilities -Hydro -George Ashe (Library &) Community Centre Budget based on 2022 projected actuals Total 502620.9933 Utilities -Hydro -George Ashe (Library &) Community Centre 502630.0000 Utilities -Oil Mt. Zion Community Centre Total 502630.0000 Utilities -Oil 502700.0000 Sfwr/Hdwr Mntc Contr Maintenance -HRIS Total 502700.0000 Sfwr/Hdwr Mntc Contr 502740.0000 Furniture & Fixtures Fridge & stove replacement (Westshore CC) Total 502740.0000 Furniture & Fixtures 212 Approved 2023 Budget 1,500 10 10 1,475 1,475 525 525 10,200 10,200 3,050 3,050 22,425 22,425 5,480 5,480 91,790 91,790 10,200 10,200 4,867 4,867 310 310 10,000 10,000 City of Pickering 2023 Approved Background Information 10220 Community Centres Run Date: Sep 13, 2023 Total Expenses Revenues 403030.0000 Vending Machines East Shore C.C. Total 403030.0000 Vending Machines 403068.9930 Community Ctr Rentl -West Shore Community Centre West Shore Community Centre -Nursery School Lease Hall Rentals Total 403068.9930 Community Ctr Rentl -West Shore Community Centre 403068.9931 Community Ctr Rentl -East Shore Community Centre Hall & Room Rentals Total 403068.9931 Community Ctr Rentl -East Shore Community Centre 403068.9932 Community Ctr Rentl -Dr. Nelson F. Tomlinson Community Centre Approved 2023 Budget 892,171 (1,000) (1,000) (5,180) (65,000) (70,180) (50,000) (50,000) Hall Rentals (Saturday evenings only) (800) Total 403068.9932 Community Ctr Rentl -Dr. Nelson F. Tomlinson Community Cen (800) ----"----'- 403068.9933 Community Ctr Rentl -George Ashe (Library&) Community Centre Estimated Revenues (63,000) Total 403068.9933 Community Ctr Rentl -George Ashe (Library &) Community Cen (63,000) 403120.0000 Other User Fee Revenue Damage deposit forfeited Total 403120.0000 Other User Fee Revenue 406721.0000 Netted Revenue Security staffing costs for George Ashe Sunday Hours -City (cross charge to Library 10900) Facility Attendant staffing costs for George Ashe Sunday Hours -City (cross charge to Library 10900) -special levy Council approved Total 406721.0000 Netted Revenue Total Revenues Total Transfers NetExpenses(Revenues) 213 ----- (2,500) (2,500) (6,300) (5,600) (11,900) (199,380) 692,791 City of Pickering 2023 Approved Current Budget Summary 10225 Recreation Complex -Central Core 2021 2022 2022 Actuals Actuals Account Description Approved Increase I Budget Decrease Expenditures 1,669,068 2,152,656 Salaries & Wages 2,204,874 35,250 24,892 54,896 Overtime 73,844 - 375,461 471,157 Employee Benefits 545,415 30,765 9,294 10,684 Uniforms 9 ,000 820 -194 Conferences -- 1,978 3,911 Seminars & Education 6,081 - 63 129 Travel 800 - 8 ,295 7,889 Cellular Phones 8,650 150 9,449 10,199 Telephone & Data 11,660 - 1,085 1,049 Internet 1,065 - 5,109 24,433 Advertising 31,000 - 8 104 Subscriptions & Publications 250 - 13,570 13,570 Insurance Premium 13,570 1,357 -2,790 Insurance Deductible 4,000 - 268 11,339 Meals, Promotions & General 13,000 - 2,294 1,670 Memberships 3,090 485 44,285 59,898 Outside Agency Services 57,491 8,879 -291 Repairs & Maintenance Materials -- 226,136 362,026 Building -Repairs & Maintenance 227,650 175,754 -413 Vehicle -Repairs & Maintenance -- 20,226 18,952 Misc. Equip. -Repairs & Maintenance 47,475 (3,000) 990 582 Misc. Equip . Rentals 8,000 - 3,920 5,244 Stationary & Office Supplies 3,100 3,400 639 -Forms 1,100 - 1,938 2 ,199 Programs & Event Supplies 1,000 5 ,800 7,331 17,578 Supplies & Tools 26,200 200 --COVID Related Expenses 14,000 (14 ,000) 22,076 27,540 Utilities -Water 38,180 (2,000) 141,019 191,986 Utilities -Hydro 254,000 (10,000) 29,432 58,185 Utilities -Natural Gas 45,885 14,500 5,529 8,973 Software & Hardware Mtce. Contracts 10,220 8,970 2,088 1,843 Furniture & Fixtures 27,000 7,000 -6 Misc. Equipment -- 129 3,308 Miscellaneous Expenses -- 2,626,572 3,525,694 Total Expenditures 3,687,600 264 ,330 214 Run Date: Sep 13, 2023 2023 Approved % Change Budget From 2022 2,240,124 1.60% 73,844 - % 576 ,180 5.64% 9 ,820 9 .11% -- % 6,081 - % 800 - % 8 ,800 1.73% 11,660 - % 1,065 - % 31 ,000 - % 250 - % 14,927 10.00% 4,000 -% 13,000 - % 3,575 15.70% 66,370 15.44% -- % 403,404 77.20% --% 44,475 (6.32%) 8,000 - % 6,500 109.68% 1,100 - % 6,800 580.00% 26,400 0.76% -(100 .00%) 36,180 (5 .24%) 244,000 (3.94%) 60,385 31 .60% 19,190 87.77% 34,000 25.93% -- % -- % 3,951,930 7.17% City of Pickering 2023 Approved Current Budget Summary 10225 Recreation Complex -Central Core 2021 2022 2022 Actuals Actuals Account Description Approved Increase/ Budget Decrease Revenues --Department User Fees -(10 ,000) (272) (2,799) Vending Machines (10,000) - (47,837) (115,797) Admissions (107 ,900) (25,958) 2 ,352 (27,749) Rentals -Meeting Rooms (33,000) (22,700) 2,638 (61,662) Rentals -Halls (70 ,000) (30 ,000) 15 -Rentals -Misc. Equipment -- (63,480) (79 ,334) Rental -Wellness Clinic (75,000) (6,000) (101,290) (445,599) Memberships (639,369) (80 ,263) -(3 ,703) Child Supervision (20,000) 20 ,000 (16,167) (55 ,773) Fitness Testing (35 ,295) (14,705) (77 ,550) (85,477) Other User Fees (85 ,000) 5,500 (301,591) (877,893) Total Revenues (1 ,075,564) (164,126) Transfers -75 ,000 Transfer to(from) Reserve -(125,000) -75,000 Total Transfers -(125,000) 2,324,981 2,722,801 Net Expenditures (Revenues) 2,612,036 (24,796) 215 Run Date: Sep 13, 2023 2023 Approved %Change Budget From 2022 (10,000) - % (10 ,000) - % (133 ,858) 24.06% (55,700) 68.79% (100,000) 42 .86% -- % (81 ,000) 8.00% (719,632) 12 .55% -(100 .00%) (50 ,000) 41.66% (79,500) (6.47%) (1,239 ,690) 15.26% (125,000) -% (125,000) -% 2,587,240 (0.95%' City of Pickering 2023 Approved Background Information 10225 Recreation Complex -Central Core Run Date: Sep 13, 2023 Expenditures 501000.0000 Salaries & Wages Base Salaries and Wages Additional staff hours {2,635) for Facility Attendant term positions for enhanced cleaning workload requirements Conversion of permanent part-time Facility Custodian position to a full-time Facility Attendant, May 1, 2023 start date Conversion of two permanent part-time Facility Attendant positions to full-time, May 1, 2023 start date Total 501000.0000 Salaries & Wages 501010.0000 Overtime Facilities Front Desk and Program Other Total 501010.0000 Overtime 501020.0000 Employee Benefits This item includes mandatory deductions (CPP, El, EHT) and employer provided benefits such as extended health and dental Benefits related to additional hours {2,635) for Facility Attendant term positions for enhanced cleaning workload requirements Benefits related to conversion of permanent part-time Facility Custodian position to a full-time Facility Attendant Benefits related to conversion of two permanent part-time Facility Attendant positions to full-time, May 1, 2023 start date Total 501020.0000 Employee Benefits 501040.0000 Uniforms As per the Collective Agreement Total 501040.0000 Uniforms 501110.0000 Seminars & Education First Aid/CPR Defibrillator Training & Recertification CSEP Courses (Canadian Society for Exercise Physiology) Seminars & Education Total 501110.0000 Seminars & Education 501130.0000 Travel Parking & Mileage Total 501130.0000 Travel 502020.0000 Cellular Phones Annual staff cell phone charges 216 Approved 2023 Budget 2,180,374 53,700 (7,550) 13,600 2,240,124 22,000 10,000 41,844 73,844 551,220 5,370 8,810 10,780 576,180 9,820 9,820 3,081 2,000 1,000 6,081 800 800 7,150 City of Pickering 2023 Approved Background Information 10225 Recreation Complex -Central Core Mobile device charges for Work Order Software -Go-Eva (MESH) Total 502020.0000 Cellular Phones 502030.0000 Telephones & Data Voice/ Data Total 502030.0000 Telephones & Data 502040.0000 Internet Internet Total 502040.0000 Internet 502100.0000 Advertising Provide newspaper & brochure advertisements and promotions packages Total 502100.0000 Advertising 502120.0000 Subscriptions&Publcs Reference material, journals and reports Total 502120.0000 Subscriptions&Publcs 502210.0000 Insurance Premium Annual cost of insurance policy that provides protection for municipal activities and property. (Policy coverage includes: liability, automobile and property) Total 502210.0000 Insurance Premium 502220.0000 Insurance Deductible Insurance Deductible Total 502220.0000 Insurance Deductible 502240.0000 Meals/Prom/General Anniversary Celebration & Membership Recognition Total 502240.0000 Meals/Prom/General 502250.0000 Memberships Can. Society for Exercise Physiology (CSEP) Membership (4 staff) Facility Licences : Mech. Lie., Prof. fees, etc. Program memberships: Squash Ontario Tennis Ontario CSEP Fitness Centre Accreditation Canfit Pro Membership Total 502250.0000 Memberships 502260.0000 Outside Agency Srvc Squash Professional Tennis Professional Base Hospital Support Defibrillation Program Defibrillator Monitoring Contract Fire Alarm Monitoring Contract Circuit Metering 217 Run Date: Sep 13, 2023 Approved 2023 Budget 1,650 8,800 11,660 11,660 1,065 1,065 31,000 31,000 250 250 14,927 14,927 4,000 4,000 13,000 13,000 1,465 150 500 800 260 400 3,575 42,900 13,566 3,700 1,418 600 2,875 City of Pickering 2023 Approved Background Information 10225 Recreation Complex -Central Core Annual licensing fee for CHDRC two way radio system Total 502260.0000 Outside Agency Srvc 502340.0000 Building Rpr & Mntc Garbage Removal Caretaking Supplies General Supplies Glass Cleaning (every 4 mths) Snow Removal & Salting Building Supplies and Repairs Electrical Repairs Plumbing Repairs Lamps, Ballasts, Fuse Inventory Window, Door and Lock Repairs Various repairs to infrastructure due to aging facility Duct Cleaning on Various Areas Replace Windows Carpet Service -mats Painting and Tile Repairs Door Replacement Program Foot Sprayer Solution AudioNisual Equipment Maintenance (Banquet Hall) Electrical Substation Inspection Kitchen Hood Inspection Air Circulation Equipment (contract out) Elevator Inspection & Repair (contract out) Air Conditioning (contract out) Energy Management (Service Contract) Boiler Inspection and Repair (contract out) Water Treatment Fire Alarm Inspection and Service (contract out) Motors, Belts, Filters Diesel Generator Repair and Maintenance (contract out) Chiller Maintenance Contract Security Camera Feminine Hygiene Products Upgraded power supply to upper cardio area required for new fitness equipment Installation of emergency call buttons in both membership change rooms Exterior Entrance Sidewalk Repairs Replacement of pressure relief valve for the CHDRC York Screw Chiller 218 Run Date: Sep 13, 2023 Approved 2023 Budget 1,311 66,370 6,000 18,750 6,300 4,000 41,600 8,000 12,000 11,000 2,000 5,000 12,000 5,000 1,000 6,000 6,000 10,000 3,300 2,000 5,500 600 5,000 4,800 7,000 7,086 3,500 6,000 3,000 5,000 5,500 12,783 8,000 4,185 13,000 4,000 10,000 13,500 City of Pickering 2023 Approved Background Information 10225 Recreation Complex -Central Core Run Date: Sep 13, 2023 Removal and replacement of all carpeted surfaces within the court areas (funded from Rate Stabilization Reserve) Total 502340.0000 Building Rpr & Mntc 502380.0000 Misc Equip Rpr&Mntc Various program equipment at the Recreation Complex Fitness equipment replacement parts Floor machine service Ladder/Lift inspection Fitness equipment relocation Total 502380.0000 Misc Equip Rpr&Mntc 502380.9595 Misc Equip Rpr&Mntc -EV Charging Initiative -Rec Centre Provision for repairs and maintenance on electric vehicle chargers Total 502380.9595 Misc Equip Rpr&Mntc -EV Charging Initiative -Rec Centre 502410.0000 MiscEquip Rentals Occasional equipment needs, other equipment rentals Total 502410.0000 MiscEquip Rentals 502500.0000 Stationery&OfficeSup General office supplies Total 502500.0000 Stationery&OfficeSup 502510.0000 Forms Professional printing services (Gift Cards) Total 502510.0000 Forms 502520.0000 Program&Event Supps Banquet Hall supplies Total 502520.0000 Program&Event Supps 502540.0000 Supplies & Tools Card Access supplies (cards, cartridges) Racquets, balls, eyewear for Elective Programs (replacement) Creative Centre First Aid Supplies (replacement) Small Tools Child Supervision Centre Total 502540.0000 Supplies & Tools 502600.0000 Utilities -Water Budget based on 2022 projected actuals and regional water rate increase in 2023 Total 502600.0000 Utilities -Water 502610.0000 Utilities -Gas Budget based on 2022 projected actuals and anticipated increase in natural gas prices 219 Approved 2023 Budget 125,000 403,404 15,000 6,800 5,000 2,675 5,000 34,475 10,000 10,000 8,000 8,000 6,500 6,500 1,100 1,100 6,800 6,800 22,000 300 900 500 1,500 1,200 26,400 36,180 36,180 60,385 City of Pickering 2023 Approved Background Information 10225 Recreation Complex -Central Core Total 502610.0000 Utilities -Gas 502620.0000 Utilities -Hydro Budget based on 2022 projected actuals Total 502620.0000 Utilities -Hydro 502700.0000 Sfwr/Hdwr Mntc Contr Game Time software maintenance contract Maintenance -HRIS Maintenance -Recreation -DBS Captivate App Maintenance Total 502700.0000 Sfwr/Hdwr Mntc Contr 502740.0000 Furniture & Fixtures Misc. Furniture & Fixtures Office Desk & Chair Replacement Defibrillator Replacement Additional Lobby Tables and Chairs Total 502740.0000 Furniture & Fixtures Total Expenses Revenues 403000.9595 Department User Fees -EV Charging Initiative -Rec Centre Electric vehicle charging fees Total 403000.9595 Department User Fees -EV Charging Initiative -Rec Centre 403030.0000 Vending Machines Based on 12% of total Complex Vending Machine Sales plus annual exclusivity payment Total 403030.0000 Vending Machines 403042.9920 Admis -Rec Complex -Admissions -Tennis Prime time court admissions Non Prime time court admissions Total 403042.9920 Admis -Rec Complex -Admissions -Tennis 403042.9921 Adm is -Rec Complex -Admissions -Squash Pay as you play -Prime time court admissions Non prime time court admissions Total 403042.9921 Adm is -Rec Complex -Admissions -Squash 403042.9922 Adm is -Rec Complex -Admissions -Fitness Room Adult -Singles Adult -5 Pass Adult -1 O Pass Total 403042.9922 Admis -Rec Complex -Admissions -Fitness Room 220 Run Date: Sep 13, 2023 Approved 2023 Budget 60,385 244,000 244,000 3,000 2,690 4,000 9,500 19,190 15,000 4,000 8,000 7,000 34,000 3,951,930 (10,000) (10,000) (10,000) (10,000) (58,000) (39,000) (97,000) (19,200) (7,300) (26,500) (3,558) (1,000) (1,000) (5,558) City of Pickering 2023 Approved Background Information 10225 Recreation Complex -Central Core 403042.9923 Adm is -Rec Complex -Admissions -Racquet Ball Pay as you play -Prime time court admissions Non prime time court admissions Total 403042.9923 Adm is -Rec Complex -Admissions -Racquet Ball 403064.0000 Rentl-Mtg.Room/Publi Various private rentals for Complex Meeting Rooms (1,2 & 3) Total 403064.0000 Rentl-Mtg.Room/Publi 403065.0000 Rentals -Halls Various private rentals for Complex East and West Salons (Banquet Halls) Total 403065.0000 Rentals -Halls 403070.0000 Rentl-Wellness Cine Wellness Health Centre Ltd. Pickering Sports Medicine & Wellness Centre Total 403070.0000 Rentl-Wellness Cine 403071.0000 Rentl-Mtg.Room/Publi Rentals for Community Services Dept. operating at the CHDRC Total 403071.0000 Rentl-Mtg.Room/Publi 403080.9950 Membership -Membership -New Tennis Tennis (new memberships) Total 403080.9950 Membership -Membership -New Tennis 403080.9951 Membership -Membership -Basic Health Health (Basic) Total 403080.9951 Membership -Membership -Basic Health 403080.9952 Membership -Membership -Health Plus Health (Plus) Total 403080.9952 Membership -Membership -Health Plus 403080.9953 Membership -Membership -Specialty Health Health (Speciality) Total 403080.9953 Membership -Membership -Specialty Health 403080.9954 Membership -Membership -New Squash Squash (New) Total 403080.9954 Membership -Membership -New Squash 403080.9955 Membership -Membership -New Fitness Fitness (New) Total 403080.9955 Membership -Membership -New Fitness 403080.9956 Membership -Membership -Golden/Combination Fitness (Golden/Combination) Total 403080.9956 Membership -Membership -Golden/Combination 403080.9957 Membership -Membership -New Racquet Ball 221 Run Date: Sep 13, 2023 Approved 2023 Budget (3,800) (1,000) (4,800) (38,000) (38,000) (100,000) (100,000) (32,000) (49,000) (81,000) (17,700) (17,700) (23,500) (23,500) (327,233) (327,233) (137,174) (137,174) (16,957) (16,957) (82,000) (82,000) (80,359) (80,359) (32,109) (32,109) City of Pickering 2023 Approved Background Information 10225 Recreation Complex -Central Core Racquet Ball (New) Total 403080.9957 Membership -Membership -New Racquet Ball 403080.9959 Membership -Membership -Tennis Tennis Total 403080.9959 Membership -Membership -Tennis 403089.0000 Membrshp NSF Fee Rev NSF Revenue Total 403089.0000 Membrshp NSF Fee Rev 403105.0000 Personal Training In House Personal Training and Fitness Training Total 403105.0000 Personal Training 403120.0000 Other User Fee Revenue Leased equipment /space Total 403120.0000 Other User Fee Revenue Total Revenues Transfers 408007 .0000 Trf fr RateStblz Res Rate Stabilization Reserve funding for removal and replacement of all carpeted surfaces within the court areas. Total 408007.0000 Trf fr RateStblz Res Total Transfers Net Expenses (Revenues) 222 Run Date: Sep 13, 2023 Approved 2023 Budget (12,300) (12,300) (6,000) (6,000) (2,000) (2,000) (50,000) (50,000) (79,500) (79,500) {1,239,690) (125,000) (125,000) (125,000) 2,587.240 City of Pickering 2023 Approved Current Budget Summary 10230 Recreation Complex -Pool 2021 2022 2022 Actuals Actuals Account Description Approved Increase I Budget Decrease Expenditures 254,306 645 ,509 Salaries & Wages 494,893 (2,329) 3,516 24,756 Overtime 5,000 - 70,603 134,059 Employee Benefits 100,558 (8 ,849) 1,699 3,649 Uniforms 5,000 1,320 65 532 Seminars & Education 2,282 3,964 122 -Travel 225 (225) -23 Environmental Charges -- 511 574 Telephone & Data 605 95 78 75 Internet 75 - 4,630 4,630 Insurance Premium 4 ,630 463 102 -Memberships 110 1,126 30,184 94,984 Building -Repairs & Maintenance 69,950 5 ,000 -459 Misc. Equip. -Repairs & Maintenance 1,000 - 752 3,852 Supplies & Tools 7,650 - --COVID Related Expenses 5 ,000 (5 ,000) 22,076 27,540 Utilities -Water 54,750 (2 ,000) 99,745 135,794 Utilities -Hydro 165,000 (2,500) 29,432 58 ,185 Utilities -Natural Gas 45,885 14,500 77 723 Software & Hardware Mtce . Contracts 810 (220) --Furniture & Fixtures -12,000 -7 ,334 Memberships -- 517,898 1,142,678 Total Expenditures 963,423 17,345 Revenues (233) (42,111) Admissions (44,491) (7,509) -(116,819) Rentals -Pool (128 ,696) (26 ,264) (19 ,395) (40,208) Memberships (41,415) (23 ,585) (19,628) (199,138) Total Revenues (214,602) (57 ,358) Transfers --Total Transfers -- 498,270 943,540 Net Expenditures (Revenues) 748,821 (40 ,013) 223 Run Date : Sep 13, 2023 2023 Approved %Change Budget From 2022 492,564 (0.47%) 5 ,000 -% 91,709 (8 .80%) 6,320 26.40% 6 ,246 173.71% -(100.00%) --% 700 15.70% 75 -% 5,093 10.00% 1,236 1 ,023.64% 74,950 7 .15% 1,000 -% 7,650 -% -(100 .00%) 52,750 (3 .65%) 162,500 (1 .52%) 60,385 31 .60% 590 (27.16%) 12,000 -% --% 980 ,768 1.80% (52,000) 16.88% (154,960) 20.41% (65 ,000) 56 .95% (271,960) 26.73% --% 708,808 (5.34%) City of Pickering 2023 Approved Background Information 10230 Recreation Complex -Pool Expenditures 501000.0000 Salaries & Wages Base Salari.es and Wages Total 501000.0000 Salaries & Wages 501010.0000 Overtime To meet service level/workload commitments Total 501010.0000 Overtime 501020.0000 Employee Benefits This item includes mandatory deductions (CPP, El, EHT) and employer provided benefits such as extended health and dental Total 501020.0000 Employee Benefits 501040.0000 Uniforms As per the Collective Agreement Total 501040.0000 Uniforms 501110.0000 Seminars & Education Defibrillator Training -Various staff Aquatic Certifications for PTE & PT Certified Pool Operator Training -Facility Maintenance Staff Transfer Program Certifications TERM Total 501110.0000 Seminars & Education 502030.0000 Telephones & Data Voice/ Data Total 502030.0000 Telephones & Data 502040.0000 Internet Internet Total 502040.0000 Internet 502210.0000 Insurance Premium Annual cost of insurance policy that provides protection for municipal activities and property. (Policy coverage includes: liability, automobile and property). Total 502210.0000 Insurance Premium 502250.0000 Memberships Life Saving Society Total 502250.0000 Memberships 502340.0000 Building Rpr & Mntc Pool Chemicals Cleaning Supplies Miscellaneous Electrical and Plumbing Repairs Lamps, Ballasts and Fuse Inventory 224 Run Date: Sep 13, 2023 Approved 2023 Budget 492,564 492,564 5,000 5,000 91,709 91,709 6,320 6,320 1,046 400 4,000 800 6,246 700 700 75 75 5,093 5,093 1,236 1,236 17,250 10,300 1,500 7,000 3,000 City of Pickering 2023 Approved Background Information 10230 Recreation Complex -Pool Filters, etc. Tile, painting, door and lock repairs Contract for snow removal & salting Filter System HVAC Services Pumps, Motors, Valves, Seals Bleacher Safety Inspection Duct Cleaning Total 502340.0000 Building Rpr & Mntc 502380.0000 Misc Equip Rpr&Mntc Repair parts for pool vacuum Total 502380.0000 Misc Equip Rpr&Mntc 502540.0000 Supplies & Tools First Aid Supplies Program Supplies Small Tools etc. Total 502540.0000 Supplies & Tools 502600.0000 Utilities -Water Budget based on 2022 projected actuals and regional water rate increase in 2023 Total 502600.0000 Utilities -Water 502610.0000 Utilities -Gas Run Date: Sep 13, 2023 Approved 2023 Budget 3,000 6,000 10,400 6,500 2,000 3,000 2,000 3,000 74,950 1,000 1,000 800 3,000 3,850 7,650 52,750 52,750 Budget based on 2022 projected actuals and anticipated increase in natural gas prices 60,385 Total 502610.0000 Utilities -Gas 502620.0000 Utilities -Hydro Budget based on 2022 projected actuals Total 502620.0000 Utilities -Hydro 502700.0000 Sfwr/Hdwr Mntc Contr Maintenance -HRIS Total 502700:0000 Sfwr/Hdwr Mntc Contr 502740.0000 Furniture & Fixtures Replacement of pool lane ropes Total 502740.0000 Furniture & Fixtures Total Expenses Revenues 403040.0000 Admis -Public Swimm Singles & passes Total 403040.0000 Admis -Public Swimm 225 60,385 162,500 162,500 590 590 12,000 12,000 980,768 (52,000) (52,000) City of Pickering 2023 Approved Background Information 10230 Recreation Complex -Pool 403063.0000 Rentals -Pool Private Permits Learn to Swim Total 403063.0000 Rentals -Pool 403081.0000 Membership -Swim Memberships Total 403081.0000 Membership -Swim Total Revenues Total Transfers Net Expenses (Revenues) 226 Run Date: Sep 13, 2023 Approved 2023 Budget (66,700) (88,260) (154,960) (65,000) · (65,000) (271,960) 708,808 City of Pickering 2023 Approved Current Budget Summary 10235 Recreation Complex -Arenas 2021 2022 2022 Actuals Actuals Account Description Approved Increase I Budget Decrease Expenditures 226,393 495,539 Salaries & Wages 519,711 18,545 9,032 28,459 Overtime 25,000 - 77,663 134,053 Employee Benefits 129,437 5,344 2,044 910 Uniforms 4,400 250 373 674 Seminars & Education 2,875 2,500 21 -Freight, Express & Cartage -- 872 448 Cellular Phones 1,000 - 3,904 860 Telephone & Data 1,910 (510) 246 1,738 Internet 1,600 150 155 1,883 Cable TV 1,920 - 10 (10) Subscriptions & Publications -- 4,510 4,510 Insurance Premium 4,510 451 -1,236 Insurance Deductible 2,000 - 30 269 Meals, Promotions & General -- -222 Memberships -- 440 272 Outside Agency Services 1,100 545 93,425 129,544 Building -Repairs & Maintenance 163,561 34,924 5,826 3,750 Misc. Equip. -Repairs & Maintenance 7,000 - --Misc. Equip. Rentals 800 - 34 192 Stationary & Office Supplies 650 - --Forms 300 - 348 665 Supplies & Tools 3,335 - --COVID Related Expenses 9,000 (9,000) 4,906 6,120 Utilities -Water 11,070 (2,000) 103,185 140,476 Utilities -Hydro 181,000 (2,500) 8,584 15,032 Utilities -Natural Gas 14,700 2,000 162 728 Software & Hardware Mtce. Contracts 815 (170) --Furniture & Fixtures 6,000 - -386 Misc. Equipment -4,800 542,163 967,956 Total Expenditures 1,093,694 55,329 Revenues --Snack Bar (3,850) (350) (66) (1,942) Vending Machines (1,500) - (5,188) (14,376) Admissions (16,000) - (259,977) (567,882) Rentals -Ice Surface (648,000) (69,000) 227 Run Date: Sep 13, 2023 2023 Approved %Change Budget From 2022 538,256 3 .57% 25,000 -% 134,781 4 .13% 4,650 5.68% 5,375 86 .96% --% 1,000 - % 1,400 (26.70%) 1,750 9.38% 1,920 -% --% 4,961 10.00% 2,000 -% --% -- % 1,645 49 .55% 198,485 21.35% 7,000 -% 800 -% 650 - % 300 - % 3,335 -% -(100 .00%) 9,070 (18.07%) 178,500 (1 .38%) 16,700 13 .61% 645 (20.86%) 6,000 - % 4,800 -% 1,149,023 5.06% (4,200) 9 .09% (1,500) -% (16,000) - % (717,000) 10.65% City of Pickering 2023 Approved Current Budget Summary 10235 Recreation Complex -Arenas 2021 2022 2022 Actuals Actuals Account Description Approved Increase/ Budget Decrease (5,336) (944) Rentals -Arena Floor (12,000) - (2 ,365) (21,482) Rentals -Meeting Rooms (24 ,000) (17 ,000) --Advertising Space (55,000) - --Marketing Sponsors (10,000) 10,000 (272,932) (606,626) Total Revenues (770,350) (76,350) Transfers --Total Transfers -- 269,231 361,330 Net Expenditures (Revenues) 323 ,344 (21,021) 228 Run (?ate: Sep 13, 2023 2023 Approved %Change Budget From 2022 (12,000) - % (41,000) 70.83% (55,000) - % -(100 .00%) (846,700) 9.91% -- % 302,323 (6.50%) City of Pickering 2023 Approved Background Information 10235 Recreation Complex -Arenas Expenditures 501000.0000 Salaries & Wages Base Salaries and Wages Transfer of hours (373) for full-time Maintenance, Ice Arena positions from 10215 for summer ice operations Additional part-time term Youth Leader hours (295) for public skate patrol Total 501000.0000 Salaries & Wages 501010.0000 Overtime To meet service level/workload commitments Total 501010.0000 Overtime 501020.0000 Employee Benefits This item includes mandatory deductions (CPP, El, EHT) and employer provided benefits such as extended health and dental Benefits related to transfer of in hours (373) for full-time Maintenance, Ice Arena positions from 10215 Benefits related to additional part-time term Youth Leader hours (295) for public skate patrol Total 501020.0000 Employee Benefits 501040.0000 Uniforms As per the Collective Agreement Total 501040.0000 Uniforms 501110.0000 Seminars & Education TSSA B Certificate Renewal -Chief Operator and Maintenance Workers (5) First Aid & Defibrillation Training & Certification ORFA Ice Maintenance Training (2) Total 501110.0000 Seminars & Education 502020.0000 Cellular Phones Cellular Phone Charges Total 502020.0000 Cellular Phones 502030.0000 Telephones & Data Voice/ Data Total 502030.0000 Telephones & Data 502040.0000 Internet Internet Total 502040.0000 Internet 502050.0000 Cable TV Cable Total 502050.0000 Cable TV 229 Run Date: Sep 13, 2023 Approved 2023 Budget 520,524 12,977 4,755 538,256 25,000 25,000 133,006 1,300 475 134,781 4,650 4,650 375 2,500 2,500 5,375 1,000 1,000 1,400 1,400 1,750 1,750 1,920 1,920 City of Pickering 2023 Approved Background Information 10235 Recreation Complex -Arenas 502210.0000 Insurance Premium Annual cost of insurance policy that provides protection for municipal activities and property. (Policy coverage includes: liability, automobile and property) Total 502210.0000 Insurance Premium 502220.0000 Insurance Deductible Insurance Deductible Total 502220.0000 Insurance Deductible 502260.0000 Outside Agency Srvc Base Hospital Support Defibrillation Program Defibrillator Monitoring Contract Total 502260.0000 Outside Agency Srvc 502340.0000 Building Rpr & Mntc Garbage disposal Caretaking supplies/services Building repair supplies & services Electrical repairs Plumbing repairs Door and lock repairs Facility decals Parking lot maintenance (snow removal and salting and garbage) Carpet service -mats Replace rink light bulbs Condenser water treatment program Replace dasher board, netting & glass repair HVAC repairs Paint drainage & disposal system Goal nets replacement Annual regulatory inspections Refrigeration repairs maintenance and dehumidifiers ( contract) Overhaul compressor (2) Fan & motor repairs, supplies & fuse inventory Energy management system (service contract) Kitchen hood inspection Life Safety systems testing (fire alarm/extinguisher & emerg. lighting) Parking lot line painting Security camera repairs Duct cleaning Heat exchanger repairs Structural and coating review repairs 230 Run Date: Sep 13, 2023 Approved 2023 Budget 4,961 4,961 2,000 2,000 700 945 1,645 6,000 22,338 14,910 11,240 6,510 3,550 600 14,768 2,000 5,000 7,147 5,700 3,500 2,450 2,100 2,400 15,092 15,750 2,150 1,500 850 2,200 2,500 6,000 4,000 4,000 15,000 City of Pickering 2023 Approved Background Information 10235 Recreation Complex -Arenas Feminine hygiene products Rink Seal Pro application for O'Brien Rink under-floor heating system Total 502340.0000 Building Rpr & Mntc 502380.0000 Misc Equip Rpr&Mntc Ice resurfacer maintenance Misc. small equipment repairs Total 502380.0000 Misc Equip Rpr&Mntc 502410.0000 MiscEquip Rentals Rental of tools for specific jobs Total 502410.0000 MiscEquip Rentals 502500.0000 Stationery&OfficeSup General office supplies Toners for printer Total 502500.0000 Stationery&OfficeSup 502510.0000 Forms Printing of facility permits and receipt forms Total 502510.0000 Forms 502540.0000 Supplies & Tools First Aid supplies (replacement) Small tools, etc. (replacement) Total 502540.0000 Supplies & Tools 502600.0000 Utilities -Water Budget based on 2022 projected actuals and regional water rate increase in 2023 Total 502600.0000 Utilities -Water 502610.0000 Utilities -Gas Run Date: Sep 13, 2023 Approved 2023 Budget 2,730 16,500 198,485 4,000 3,000 7,000 800 800 400 250 650 300 300 1,335 2,000 3,335 9,070 9,070 Budget based on 2022 projected actuals and anticipated increase in natural gas prices 16,700 Total 502610.0000 Utilities -Gas 502620.0000 Utilities -Hydro Budget based on 2022 projected actuals Total 502620.0000 Utilities -Hydro 502700.0000 Sfwr/Hdwr Mntc Contr Maintenance -HRIS Total 502700.0000 Sfwr/Hdwr Mntc Contr 5027 40.0000 Furniture & Fixtures Defibrillator replacement Total 502740.0000 Furniture & Fixtures 502750.0000 Misc. Equipment Replacement gas powered edger and blades 231 16,700 178,500 178,500 645 645 6,000 6,000 4,800 City of Pickering 2023 Approved Background Information 10235 Recreation Complex -Arenas Total 502750.0000 Misc. Equipment Total Expenses Revenues 403020.0000 Snack Bar Snack Bar lease agreement Total 403020.0000 Snack Bar 403030.0000 Vending Machines Arena vending machines Total 403030.0000 Vending Machines 403041.0000 Admis -Pleasure Ska Daily admissions for individuals for Public Skating Total 403041.0000 Admis -Pleasure Ska 403061.0000 Rentals-Ice Surface Ice Surface Rentals Pre-School Skating Rentals Total 403061.0000 Rentals-Ice Surface 403062.0000 Arena Floor Rentals Ball Hockey Lacrosse Total 403062.0000 Arena Floor Rentals 403064.0000 Rentl-Mtg.Room/Publi Various hall rentals, activities Total 403064.0000 Rentl-Mtg.Room/Publi 403078.0000 Advertising Space Rink Board advertising Total 403078.0000 Advertising Space Total Revenues Total Transfers Net Expenses (Revenues) Prg -(9810) 232 Run Date: Sep 13, 2023 Approved 2023 Budget 4,800 1,149,023 (4,200) (4,200) (1,500) (1,500) (16,000) (16,000) (711,000) (6,000) (717,000) (6,000) (6,000) (12,000) (41,000) (41,000) (55,000) (55,000) (846,700) 302,323 City of Pickering 2023 Approved Background Information 10240 Civic Centre Expenditures 501000.0000 Salaries & Wages Base Salaries and Wages Additional hours (4,368) for Facility Attendant term positions for Parks washroom cleaning (April -October) Total 501000.0000 Salaries & Wages 501010.0000 Overtime To meet service level/workload commitments Total 501010.0000 Overtime 501020.0000 Employee Benefits This item includes mandatory deductions (CPP, El, EHT) and employer provided benefits such as extended health and dental Benefits related to additional hours (4,368) for Facility Attendant term positions for Parks enhanced washroom cleaning (April -October) Total 501020.0000 Employee Benefits 501040.0000 Uniforms Uniforms Total 501040.0000 Uniforms 502030.0000 Telephones & Data Voice/Data Total 502030.0000 Telephones & Data 502040.0000 Internet Internet Total 502040.0000 Internet 502050.0000 Cable TV Local cable TV charges for Civic Complex building. Total 502050.0000 Cable TV 502210.0000 Insurance Premium Annual cost of insurance policy that provides protection for municipal activities and property. (Policy coverage includes: liability, automobile and property) Total 502210.0000 Insurance Premium 502220.0000 Insurance Deductible Insurance Deductible Total 502220.0000 Insurance Deductible 502230.0000 Consult&Prof Fees Roof Safety System Inspection Total 502230.0000 Consult&Prof Fees 502260.0000 Outside Agency Srvc 234 Run Date: Sep 13, 2023 Approved 2023 Budget 379,577 88,900 468,477 5,500 5,500 90,310 8,890 99,200 2,220 2,220 4,700 4,700 530 530 1,500 1,500 3,432 3,432 1,000 1,000 2,000 2,000 City of Pickering 2023 Approved Background Information 10240 Civic Centre Networx Council Chambers Weekly Support Base Hospital Support Defibrillation Program Technical support Fire Alarm and Security Monitoring Contract Defibrillator Monitoring Contract Circuit Metering Security Contract Total 502260.0000 Outside Agency Srvc 502340.0000 Building Rpr & Mntc Garbage Disposal Parking lot line painting Provision for building repairs & services Provision for furniture repairs Provision for supplies Misc. Costs (outside lighting, signage, etc.) (50% with Library) Underground -power washing/floor repairs/line painting Provision for inspection and replacement of worn components (HVAC system) GE Lighting -Transformer Maintenance Card Access System Window, door and lock repair/replacement Tower Clock Inspection & Repairs Carpet Service -Mats Carpet Cleaning Snow Removal, 50% of costs shared with Library Window Washing Council Chambers Sound System Repairs Painting & Drywall Repairs Standby Generator (diesel generator) -Cost shared with Library York Centrifugal Chiller & Starters -Cost shared with Library Boilers -Cost shared with Library Fire Alarm, Sprinkler System & Fire Extinguishers -Cost shared with Library Overhead garage doors Electrical Safety Authority (yearly inspection fee as per legislation under Electrical Code) Energy Management System -Service Contract Switch Station Sub Panel Inspection -cost shared with Library Chemical treatment of boilers and condensing equipment (50% costs shared with Library) City Crest cleaning (biannual) 235 Run Date: Sep 13, 2023 Approved 2023 Budget 15,480 1,000 4,800 1,600 300 2,020 140,000 165,200 4,400 9,295 25,000 4,000 15,000 6,000 5,000 12,000 1,900 3,150 5,000 1,500 2,000 3,500 15,000 2,060 3,000 3,000 3,000 2,500 3,000 3,200 1,000 3,542 3,543 1,000 3,000 5,000 City of Pickering 2023 Approved Background Information 10240 Civic Centre General Civic Complex Localized Repairs Duct Cleaning Elevator -Cost shared with Library Security Camera Repairs Main Committee Room AV Upgrades Total 502340.0000 Building Rpr & Mntc 502380.0000 Misc Equip Rpr&Mntc Cleaning machine repairs and service Total 502380.0000 Misc Equip Rpr&Mntc 502410.0000 MiscEquip Rentals Rental of tools for specific jobs Total 502410.0000 MiscEquip Rentals 502540.0000 Supplies & Tools First Aid & Safety supplies Small tools Total 502540.0000 Supplies & Tools 502600.0000 Utilities -Water Budget based on 2022 projected actuals and regional water rate increase in 2023 Total 502600.0000 Utilities -Water 502610.0000 Utilities -Gas Run Date: Sep 13, 2023 Approved 2023 Budget 50,000 5,000 5,817 6,000 30,000 246,407 1,500 1,500 500 500 2,500 500 3,000 13,770 13,770 Budget based on 2022 projected actuals and anticipated increase in natural gas prices 30,805 Total 502610.0000 Utilities -Gas 502620.0000 Utilities -Hydro Budget based on 2022 projected actuals Total 502620.0000 Utilities -Hydro 502700.0000 Sfwr/Hdwr Mntc Contr Maintenance -HRIS -new Total 502700.0000 Sfwr/Hdwr Mntc Contr Total Expenses Revenues 403030.0000 Vending Machines Civic Complex vending machine sales Total 403030.0000 Vending Machines 406720.0000 Net Rev-Clning Chrgbk Janitorial staff -City (cross charge to Library 10900) Janitorial staff -City (cross charge to Public Works -Adm in. 10300) Janitorial staff -City (cross charge to Parks 10320) 236 30,805 148,825 148,825 562 562 1,199,128 (500) (500) (152,000) (66,000) (97,790) 10240 Civic Centre City of Pickering 2023 Approved Background Information Cleaning Supplies for Rotary Park Washrooms (cross charge to Parks 10320) Total 406720.0000 Net Rev-Clning Chrgbk Total Revenues Total Transfers Net Expenses (Revenues) 237 Run Date: Sep 13, 2023 Approved 2023 Budget (7,500) (323,290) (323,790) 875,338 City of Pickering · 2023 Approved Current Budget Summary 10245 Senior Citizens Centre 2021 2022 2022 Actuals Actuals Account Description Approved Increase/ Budget Decrease Expenditures 201,997 256,697 Salaries & Wages 286,248 (5,501) 2,362 6,857 Overtime 6,000 - 49,026 49,785 Employee Benefits 74,458 (1,492) 351 225 Uniforms 1,200 910 -20 Conferences -- 1,308 712 Seminars & Education 5,500 350 -180 Travel 1,000 200 504 410 Cellular Phones 600 - 3,933 2,552 Telephone & Data 3,060 (320) 79 76 Internet 75 - 133 1,616 Cable TV 1,590 - --Advertising 1,000 - 2,440 2,440 Insurance Premium 2,440 244 32,866 35,148 Meals, Promotions & General 83,130 (83,130) 825 825 Memberships 825 25 1,772 1,165 Outside Agency Services 2,580 - 68,606 50,096 Building -Repairs & Maintenance 57,984 52,291 -71 Stationary & Office Supplies -- 2,625 17,168 Programs & Event Supplies 2,300 16,000 --Special Event Supplies -55,000 92 -Supplies & Tools 2,100 - --COVID Related Expenses 4,000 (4,000) 4 ,879 4,878 Utilities -Water 7,050 (1,000) 15,098 17,499 Utilities -Hydro 29,152 (2,500) 4,144 4,671 Utilities -Natural Gas 6,595 500 1,705 1,979 Software & Hardware Mtce. Contracts 2,365 (130) --Misc. Equipment -4,000 394,745 455,070 Total Expenditures 581,252 31,447 Revenues (6,500) (39,050) Federal Grants -- (236,404) (129,078) Ontario Grants (218,530) 74,130 (1,508) (3,658) Seniors Event Fees (1,000) (2,000) (16,207) (41,351) Older Adults 55+ Programs (22,000) (32,000) (1,062) (2,700) Sponsorships (3,000) - (4 ,000) -Marketing Sponsors (2,000) - 238 Run Date: Sep 13, 2023 2023 Approved %Change Budget From 2022 280,747 (1.92%) 6,000 - % 72,966 (2.00%) 2,110 75 .83% --% 5,850 6 .36% 1,200 20.00% 600 - % 2,740 (10.46%) 75 - % 1,590 -% 1,000 - % 2 ,684 10.00% -(100 .00%) 850 3.03% 2,580 - % 110,275 90 .18% --% 18,300 695.65% 55 ,000 -% 2,100 - % -(100.00%) 6,050 (14.18%) 26,652 (8 .58%) 7,095 7.58% 2,235 (5.50%) 4,000 - % 612,699 5.41% --% (144,400) (33 .92%) (3,000) 200 .00% (54,000) 145.45% (3,000) -% (2,000) -% City of Pickering 2023 Approved Current Budget Summary 10245 Senior Citizens Centre 2021 2022 2022 Actuals Actuals Account Description Approved Increase I Budget Decrease (265,681) (215,837) Total Revenues (246,530) 40,130 Transfers --Total Transfers . -- 129,064 239,233 Net Expenditures (Revenues) 334,722 71,577 239 Run Date: Sep 13, 2023 2023 Approved % Change Budget From 2022 (206,400) (16.28%) --% 406,299 21.38% City of Pickering 2023 Approved Background Information 10245 Senior Citizens Centre Expenditures 501000.0000 Salaries & Wages Base Salaries and Wages Total 501000.0000 Salaries & Wages 501010.0000 Overtime To meet service level/workload commitments Total 501010.0000 Overtime 501020.0000 Employee Benefits This item includes mandatory deductions (CPP, El, EHT) and employer provided benefits such as extended health and dental Total 501020.0000 Employee Benefits 501040.0000 Uniforms As per the Collective Agreement Total 501040.0000 Uniforms 501110.0000 Seminars & Education Older Adults Centre's Association (OACAO) Seniors Conference Seminars & Workshops Defibrillator Training Total 501110.0000 Seminars & Education 501130.0000 Travel Parking & Mileage Total 501130.0000 Travel 502020.0000 Cellular Phones Annual smartphone charges Total 502020.0000 Cellular Phones 502030.0000 Telephones & Data Voice/ Data Total 502030.0000 Telephones & Data 502040.0000 Internet Internet Total 502040.0000 Internet 502050.0000 Cable TV Cable Total 502050.0000 Cable TV 502100.0000 Advertising Display and promotion Total 502100.0000 Advertising 502210.0000 Insurance Premium 240 Run Date: Sep 13, 2023 Approved 2023 Budget 280,747 280,747 6,000 6,000 72,966 72,966 2,110 2,110 850 3,000 2,000 5,850 1,200 1,200 600 600 2,740 2,740 75 75 1,590 1,590 1,000 1,000 City of Pickering 2023 Approved Background Information 10245 Senior Citizens Centre Run Date: Sep 13, 2023 Annual cost of insurance policy that provides protection for municipal activities and property. (Policy coverage includes: liability, automobile and property). Total 502210.0000 Insurance Premium 502250.0000 Memberships Older Adult Centres Association of Ontario Total 502250.0000 Memberships 502260.0000 Outside Agency Srvc Base Hospital Support Defibrillation Program Fire Alarm & Security Monitoring Contract Defibrillator Monitoring Contract Total 502260.0000 Outside Agency Srvc 502340.0000 Building Rpr & Mntc Garbage Disposal Caretaking supplies General supplies Electrical and Plumbing Doors, Windows & Locks Snow Ploughing & Salting Carpet Cleaning Service Painting & Plaster Repairs HVAC Servicing General Repairs and Maintenance Boiler Repair and Maintenance Fire Alarm, Sprinkler System and Fire Extinguisher Inspection Emergency Lighting Energy Management -Service Contract TSSA Inspection and Maintenance lift Chairlift Inspection Security Camera Repairs Duct Cleaning Lifecycle replacement of existing cedar shake roof on Lawn Bowling Shed. The existing roof was installed in 1994. Total 502340.0000 Building Rpr & Mntc 502520.0000 Program&Event Supps To assist in the provision of supplies and equipment for various Older Adult Programs. Program supplies offset completely by revenue Senior Centre Special Events Aging Well Events Durham Region Senior Games 241 Approved 2023 Budget 2,684 2,684 850 850 1,000 1,400 180 2,580 2,600 7,875 2,100 4,000 2,000 16,640 2,000 3,000 3,000 3,000 1,000 3,500 500 860 1,600 3,600 6,000 3,000 44,000 110,275 2,300 9,100 6,600 300 City of Pickering 2023 Approved Background Information 10245 Senior Citizens Centre Run Date: Sep 13, 2023 Total 502520.0000 Program&Event Supps 502525.0000 Special EvntSupplies Project costs funded from New Horizons Grant Project costs funded from Seniors Active Living Centre Special Projects Grant (ESCC) Project costs funded from Seniors Active Living Centre Special Projects Grant (GACC) Total 502525.0000 Special EvntSupplies 502540.0000 Supplies & Tools First Aid & Safety (replacement) and Small tools (replacement) Total 502540.0000 Supplies & Tools 502600.0000 Utilities -Water Budget based on 2022 projected actuals and regional water rate increase in 2023 Total 502600.0000 Utilities -Water 502610.0000 Utilities -Gas Budget based on 2022 projected actuals and anticipated increase in natural gas prices Total 502610.0000 Utilities -Gas 502620.0000 Utilities -Hydro Budget based on 2022 projected actuals Total 502620.0000 Utilities -Hydro 502700.0000 Sfwr/Hdwr Mntc Contr Maintenance -MySeniorCentre software Maintenance -HRIS Total 502700.0000 Sfwr/Hdwr Mntc Contr 502750.0000 Misc. Equipment Seniors Community Grant -Library Partnership Technology (Senior's Share - Computers) Total 502750.0000 Misc. Equipment Total Expenses Revenues 402510.0000 Ontario Grants Seniors Active Living Centre Operating Grant (ESCC) Seniors Active Living Centre Operating Grant (GACC) Seniors Active Living Centre Special Projects Grant (ESCC) Seniors Active Living Centre Special Projects Grant (GACC) New Horizons Grant Seniors Community Grant -Library Partnership Technology (Senior's Share) Total 402510.0000 Ontario Grants 403091.0000 Seniors Event Fees 242 Approved 2023 Budget 18,300 25,000 15,000 15,000 55,000 2,100 2,100 6,050 6,050 7,095 7,095 26,652 26,652 1,900 335 2,235 4,000 4,000 612,699 (42,700) (42,700) (15,000) (15,000) (25,000) (4,000) (144,400) City of Pickering 2023 Approved Background Information 10245 Senior Citizens Centre Seniors Events -Ticket Sales & Sponsorship Total 403091.0000 Seniors Event Fees 403101.0000 Older Adults 55+ Prg Arts & Crafts and Dance Total 403101.0000 Older Adults 55+ Prg 406520.0000 Sponsorships Seniors Events Sponsorships (No tax) Total 406520.0000 Sponsorships 406530.0000 Marketing Sponsors Senior Events Marketing Sponsorships (Taxable) Total 406530.0000 Marketing Sponsors Total Revenues Total Transfers NetExpenses(Revenues) 243 Run Date: Sep 13, 2023 Approved 2023 Budget (3,000) (3,000) (54,000) (54,000) (3,000) (3,000) (2,000) (2,000) (206,400) 406,299 10250 Museum 2021 2022 Actuals Actuals 629,127 864,940 2,890 3,830 151,536 170,849 6,081 6,003 -981 3,426 3,164 387 2,154 601 2,079 4,991 4,795 15,452 18,467 4,589 1,612 120,607 177,559 13,826 151,621 4,030 4,030 8,360 30,000 5,816 2,982 1,387 1,094 5,760 6,615 87,689 109,518 3,474 1,644 1,885 2,086 5,169 2,848 11,098 9,468 1,105 370 2,444 1,878 22,696 33,777 3,628 2,271 3,224 885 596 114 2,945 3,610 -- 15,765 21,658 6,567 12,906 1,108 - 1,338 2,098 247 - City of Pickering 2023 Approved Current Budget Summary 2022 Account Description Approved Increase/ Budget Decrease Expenditures Salaries & Wages 983,874 (113,991) Overtime 1,000 1,000 Employee Benefits 192,486 (18,215) Uniforms 7,560 (940) Conferences -- Seminars & Education 5,000 - Travel 7,500 (5,000) Freight, Express & Cartage 2,500 5,000 Cellular Phones 6,500 - Telephone & Data 19,835 (835) Internet 1,635 - Advertising 152,200 (87,200) Trade Shows.Exhibits & Displays 210,300 4,200 Insurance Premium 4,030 403 Consulting & Professional Fees 80,000 (65,000) Meals, Promotions & General 5,500 - Memberships 2,027 935 Outside Agency Services 5,255 - Building -Repairs & Maintenance 116,165 (13,400) Vehicle -Repairs & Maintenance 4,000 6,000 Gas, Oil, Tire, Etc . 2,700 - Misc. Equip . -Repairs & Maintenance 3,000 - Artefact Repairs & Maintenance 8,700 - Grounds Upkeep 2,800 - Stationary & Office Supplies 2,500 - Programs & Event Supplies 4,000 - Special Event Supplies 34,000 6,000 Supplies & Tools 500 - Artefact Purchases 600 - Gift Shop/Plaques 5,000 - COVID Related Expenses 5,000 (5,000) Utilities -Hydro 25,545 (1,000) Utilities -Natural Gas 7,885 6,000 Utilities -Oil 816 684 Software & Hardware Mtce. Contracts 4,735 3,760 Hardware Replacements -- 244 Run Date: Sep 13, 2023 2023 Approved %Change Budget From 2022 869,883 (11 .59%) 2,000 100.00% 174,271 (9.46%) 6,620 (12.43%) -- % 5,000 -% 2,500 (66.67%) 7,500 200.00% 6,500 -% 19,000 (4 .21 %) 1,635 - % 65,000 (57 .29%) 214,500 2.00% 4,433 10.00% 15,000 (81 .25%) 5,500 - % 2,962 46 .13% 5,255 - % 102,765 (11.54%) 10,000 150.00% 2,700 -% 3,000 - % 8,700 - % 2,800 -% 2,500 -% 4,000 - % 40,000 17.65% 500 -% 600 - % 5,000 -% -(100.00%) 24,545 (3 .91%) 13,885 76.09% 1,500 83.82% 8,495 79.41% --% City of Pickering 2023 Approved Background Information 10250 Museum Run Date: Sep 13, 2023 Expenditures 501000.0000 Salaries & Wages Base Salaries and Wages One Project Intern-Translation contract position (partially funded from: $16,545 Digital Access to Heritage Grant (confirmed); $4,550 from Commemorate Canada fund (confirmed); $16,500 from Museum Assistance Program 2023 (not confirmed)) One Project Coordinator contract position (funded by Digital Access to Heritage Grant (confirmed)) · Exhibit Fabricator: Log Barn Digital Exhibit contract position ($25,950 funded by Digital Access to Heritage) One Collections Intern contract position (funded by Young Canada Works grant (confirmed)) One Education Intern contract position (funded by Young Canada Works grant (confirmed)) One Collections Officer contract position (supporting Pickering Heritage & Community Centre Preparations) Museum Exhibit Intern (partially funded by Young Canada Works (not confirmed)) Exhibit Intern (funded by Museum Assistance Program (not confirmed)) Additional 600 hours for Museum Interpreter positions ($12,800 funded by Young Canada Works grant) Reduction in term staff hours due to program changes (reduced programs due to planned construction) One part-time Volunteer Coordinator position -transfer to 10200 Total 501000.0000 Salaries & Wages 501010.0000 Overtime To meet service level/workload commitments Total 501010.0000 Overtime 501020.0000 Employee Benefits This item includes mandatory deductions (CPP, El, EHT) and employer provided benefits such as extended health and dental Statutory benefits related to Project Intern-Translation contract position (partially funded from: $1,655 from Digital Access to Heritage grant-(confirmed); $450 from Commemorate Canada grant; $1,650 from MAP grant (not confirmed)) Statutory benefits related to Project Coordinator contract position (funded by MAP Digital Access to Heritage grant (confirmed)) Statutory benefits related to Fabricator -Log Barn Digital Exhibit (funded by Digital Access to Heritage grant (confirmed)) 246 Approved 2023 Budget 752,627 39,200 47,500 48,090 8,600 7,800 45,000 10,000 26,500 17,046 (75,000) (57,480) 869,883 2,000 2,000 162,306 3,920 4,750 4,810 City of Pickering 2023 Approved Background Information 10250 Museum Statutory benefits related to Collections Intern contract position (funded by Young Canada Works grant (confirmed)) Statutory benefits related to Education Intern contract position (funded by Young Canada Works grant (confirmed)) · Statutory benefits related to Collections Officer contract position Statutory benefits related to Museum Exhibit Intern Statutory benefits related to Exhibit Intern Statutory benefits related to additional 600 hours for Museum Interpreter positions (funded by Young Canada Works grant) Statutory benefits related to reduction in term staff hours due to reduced education programs Statutory benefits related to one part-time Volunteer Coordinator position -transfer to 10200 Total 501020.0000 Employee Benefits 501040.0000 Uniforms Repair and Replacement of Costumes Costumes, uniforms & protective equipment for volunteers Facilities Staff Uniforms Total 501040.0000 Uniforms 501110.0000 Seminars & Education Defibrillator Training & CPRC Certification Volunteer training workshops Conferences, Professional Development & Leadership Training Total 501110.0000 Seminars & Education 501130.0000 Travel Parking & Mileage Total 501130.0000 Travel 502010.0000 Frght,Exprss&Cartage Shipment of artifacts or displays Shipment of artifacts or displays for Pickering Heritage & Community Centre Prep (Redman House, Admin, Log Barn) Total 502010.0000 Frght,Exprss&Cartage 502020.0000 Cellular Phones Cell phone charges. Motorola Radios (Replacement) Total 502020.0000 Cellular Phones 502030.0000 Telephones & Data Voice/Data 247 Run Date: Sep 13, 2023 Approved 2023 Budget 860 780 4,500 1,000 2,650 1,705 (7,500) (5,510) 174,271 2,000 3,000 1,620 6,620 1,500 500 3,000 5,000 2,500 2,500 2,500 5,000 7,500 5,800 700 6,500 19,000 City of Pickering 2023 Approved Background Information 10250 Museum Run Date: Sep 13, 2023 Total 502030.0000 Telephones & Data 502040.0000 Internet Internet Total 502040.0000 Internet 502100.0000 Advertising Print, Online, On Air Advertising; Tourism Signage and Display; Promotional Goods Social Media Marketing Tourism Marketing and Signage (100% funded from Central Counties Tourism - subject to grant funding approval) Total 502100.0000 Advertising 502110.0000 Trd Shows/Exhb/Dsply Exhibit maintenance, replacement panels and signage Permanent exhibit: Log Barn (100% funded from Digital Access to Heritage ( confirmed)) Permanent exhibit: Log Barn (100% funded from Canada Race Relations Foundations (confirmed)) Travelling Museum exhibit (funded by Museum Assistance Program -Mobile Museum Project (not confirmed)) Miller Cole exhibit $100,000 (funded by Rural Economic Development Fund (not confirmed)) Total 502110.0000 Trd Shows/Exhb/Dsply 502210.0000 Insurance Premium Annual cost of insurance policy that provides protection for municipal activities and property. (Policy coverage includes: liability, automobile and property) Total 502210.0000 Insurance Premium 502230.0000 Consult&Prof Fees Exhibit Design Consultation ($5,000 funded from Museum Assistance Program (not confirmed)) Total 502230.0000 Consult&Prof Fees 502240.0000 Meals/Prom/General Volunteer night and appreciation event to cover food, pins, entertainment & awards for volunteers Value, Recognition & Recruitment Total 502240.0000 Meals/Prom/General 502250.0000 Memberships Ancestry.ca York-Durham Association of Museums & Galleries Ontario Museum Association 248 Approved 2023 Budget 19,000 1,635 1,635 30,000 20,000 15,000 65,000 3,500 55,000 41,000 15,000 100,000 214,500 4,433 4,433 15,000 15,000 3,500 2,000 5,500 305 25 1,000 City of Pickering 2023 Approved Background Information 10250 Museum Ontario Historical Society Culinary Historians Membership York Pioneer Newsletter UK Museum Association Canadian Association of Conservators Interpretation Canada Tourism Industry Association of Ontario Total 502250.0000 Memberships 502260.0000 Outside Agency Srvc Base Hospital Support Defibrillation Program Fire & Security Alarm Monitoring Defibrillator monitoring contract Total 502260.0000 Outside Agency Srvc 502340.0000 Building Rpr & Mntc Garbage Disposal Daily maintenance supplies and building repairs Environmental monitoring & water treatment Routine plumbing and electrical services and repairs Window, door and lock repair/replacement Pest control Chimney sweeping & inspections Site preparation for exhibits HVAC maintenance & repairs Snow removal & salting Septic Lighting (Heritage Buildings) Furniture replacement (Heritage buildings) Security Cameras Total 502340.0000 Building Rpr & Mntc 502370.0000 Vehicle Rpr & Mntc Vehicle Repair and Maintenance Mobile Museum Fit Out Total 502370.0000 Vehicle Rpr & Mntc 502375.0000 Gas, Oil, Tires, Etc Fuel: Unleaded 1,278 litres @ $1 .40/litre Fuel: Diesel 200 litres@ $1.75/litre Oil changes and tires Total 502375.0000 Gas, Oil, Tires, Etc 502380.0000 Misc Equip Rpr&Mntc 249 Run Date: Sep 13, 2023 Approved 2023 Budget 102 30 25 750 200 25 500 2,962 1,450 3,400 405 5,255 2,600 18,750 9,000 5,000 7,000 5,000 915 15,000 3,500 10,000 8,000 7,000 7,000 4,000 102,765 4,000 6,000 10,000 1,790 350 560 2,700 City of Pickering 2023 Approved Background Information 10250 Museum Daily maintenance supplies and restoration for Woodwrights (minor bldg. repairs and gift shop merchandise) Total 502380.0000 Misc Equip Rpr&Mntc 502385.0000 Artefact Repairs & Maint Conservation & restoration materials, on going repairs and restoration of artifacts in collection Reproduction window coverings Research Materials Total 502385.0000 Artefact Repairs & Maint 502390.0000 Grounds Upkeep Annuals, perennial, seeds, vegetable plants, crushed stone for pathways and calcium chloride for driveway Road & Grounds repairs Total 502390.0000 Grounds Upkeep 502500.0000 Stationery&OfficeSup General office supplies Total 502500.0000 Stationery&OfficeSup 502520.0000 Program&Event Supps On Site Program supplies Total 502520.0000 Program&Event Supps 502525.0000 Special EvntSupplies General Events Supplies Tourism programming A Spirit Walk and Theatrical Programming Fairy Tours Kids Programs School Tours Program Materials (100% funded from Reconnect 2023 grant) Program Materials (100% funded from sponsorship) Total 502525.0000 Special EvntSupplies 502540.0000 Supplies & Tools Gardening supplies Grounds Tools Total 502540.0000 Supplies & Tools 502560.0000 Artefact Purchases Reproduction items for programming artefacts for the Collection Total 502560.0000 Artefact Purchases 502590.0000 Gift Shop/Plaques Retail Merchandise for Gift Shop 250 Run Date: Sep 13, 2023 Approved 2023 Budget 3,000 3,000 7,600 800 300 8,700 800 2,000 2,800 2,500 2,500 4,000 4,000 2,000 4,000 4,000 4,000 2,000 4,000 10,000 10,000 40,000 400 100 500 600 600 3,500 City of Pickering 2023 Approved Background Information 10250 Museum Run Date: Sep 13, 2023 Display and Sales supplies Snack Bar Supplies Total 502590.0000 Gift Shop/ Plaques 502610.0000 Utilities -Gas Budget based on 2022 projected actuals and anticipated increase in natural gas prices Total 502610.0000 Utilities -Gas 502620.0000 Utilities -Hydro Budget based on 2022 projected actuals Total 502620.0000 Utilities -Hydro 502630.0000 Utilities -Oil To purchase fuel for the heater in the schoolhouse Total 502630.0000 Utilities -Oil 502700.0000 Sfwr/Hdwr Mntc Contr Maintenance -Museum -Past Perfect Maintenance -HRIS Website hosting: Blacksmithing in Ontario ActiveNet Remote POS Total 502700.0000 Sfwr/Hdwr Mntc Contr Total Expenses Revenues 402500.0000 Federal Grants Young Canada Works 2022 Grant (funding for Collections Intern and Education Intern (confirmed)) Young Canada Works 2023 Grant (funding for Museum Exhibit Intern -(not confirmed)) Young Canada Works 2023 Grant (funding for Museum Interpreter position) Young Canada Works 2023 Grant (funding for Museum Guides/Interpreter) Canada Summer Jobs Museum Assistance Program: Access to Digital Heritage (funding for Log Barn digital exhibit-multi-year grant (confirmed) -$67,750 carried over from 2022, $110,000 expected in 2023) Museum Assistance Program 2023 -not confirmed ($26,500 for an Exhibit Intern; $18,00 for Project Intern -Translation; $5,000 for Mobile Museum and consultation and $15,000 for travelling museum exhibit materials) Commemorate Canada (funding for Translation Intern (confirmed)) Total 402500.0000 Federal Grants 402510.0000 Ontario Grants 251 Approved 2023 Budget 750 750 5,000 13,885 13,885 24,545 24,545 1,500 1,500 1,400 1,045 2,550 3,500 8,495 1,638,549 (23,000) (5,000) (12,800) (32,500) (31,500) (177,750) (64,500) (5,000) (352,050) City of Pickering 2023 Approved Background Information 10250 Museum Museum Operating Grant Summer Experience Fund Miller Cole Rural Economic Development Fund Reconnect Fund Total 402510.0000 Ontario Grants 403010.0000 Gift Shop Retail purchases: Jan/May July/ August/Sept Oct./ Nov./Dec. Total 403010.0000 Gift Shop 403020.0000 Snack Bar Gift Shop Snack Bar Total 403020.0000 Snack Bar 403043.0000 Admis -Public & Edu Christmas Program Themed Tours Fairy Tours Haunted Ghost Walk/ Fall Programming Kids Programs Tourism programming School Tours Total 403043.0000 Admis -Public & Edu 403064.0000 Rentl-Mtg.Room/Publi Photography Grounds Rentals Total 403064.0000 Rentl-Mtg.Room/Publi 403103.0000 Museum Programs Heritage Skills Programs Wreath Workshops Virtual Programs Speaker Series Birthday Parties Total 403103.0000 Museum Programs 406500.0000 Donations Donations & Donation Box Total 406500.0000 Donations 406510.0000 Other Agency Grants Canadian Race Relations Foundation ($31,000 carried over from 2022 -for Log Barn exhibit) 252 Run Date: Sep 13, 2023 Approved 2023 Budget (39,000) (7,000) (100,000) (10,000) (156,000) (2,000) (7,000) (2,600) (11,600) (2,000) (2,000) (10,000) (5,000) (15,000) (15,000) (15,000) (35,000) (40,000) (135,000) (1,500) (9,500) (11,000) (6,000) (3,000) (2,000) (1,000) (3,000) (15,000) (5,000) (5,000) (41,000) City of Pickering 2023 Approved Background Information 10250 Museum Central Counties Tourism Total 406510.0000 Other Agency Grants 406530.0000 Marketing Sponsors Sponsorship of Museum Programs and Events Total 406530.0000 Marketing Sponsors Total Revenues Total Transfers Net Expenses (Revenues) 253 Run Date: Sep 13, 2023 Approved 2023 Budget (15,000) (56,000) (10,000) (10,000) (753,650) 884,899 City of Pickering 2023 Approved Current Budget Summary Operations Department 2021 2022 2022 Actuals Actuals Account Description Approved Increase/ Budget Decrease Expenditures 7,515,971 8,538,044 Salaries & Wages 8,928,797 679,334 340,753 504,768 Overtime 488,500 (3,750) 1,882,586 2,136,528 Employee Benefits 2,353,416 92,432 110,336 124,115 Uniforms 89,995 9,510 -3 ,877 Conferences 1,800 800 7,981 33,409 Seminars & Education 84,685 (20,120) 1,681 6,902 Travel 5,800 1,000 2,413 10,183 Freight, Express & Cartage 1,800 - 138 2,588 Environmental Charges 2,000 - 19,286 19,916 Cellular Phones 29,330 275 20,458 24,942 Telephone & Data 29,030 (3,905) 5,792 1,640 Internet 3,520 (1,500) 6,653 6,285 Subscriptions & Publications 12,800 (200) -7 Photo, Mapping, Print 9,200 2,250 224,395 200,470 Insurance Premium 200,470 20,747 10,041 12,622 Insurance Deductible 34,050 (7,000) 3 ,760 183,309 Consulting & Professional Fees 349,000 164,780 2 ,563 7,820 Meals, Promotions & General 8,600 550 6,308 7,561 Memberships 15,660 (1 ,535) 142,666 177,433 Outside Agency Services 270,112 92 ,588 513,773 782,496 Winter Control Maintenance 831,000 15,000 166,095 175,124 Repairs & Maintenance Contract Servi< 297,000 107,200 130,866 59,315 Engineering -Repairs & Maintenance 265,000 118,500 188,896 218,543 Storm Sewer -Repairs & Maitenance 390,000 (20,000) 485,441 511,675 Repairs & Maintenance Materials 640,000 2,500 104,971 116,640 Highway Aids -Repairs & Maintenance 75,000 - 77,087 92,083 Engineering Highway Aids -Repairs & 160,000 (40 ,000) 498,617 532,617 Building -Repairs & Maintenance 561,261 59,342 388,701 450,126 Tree Maintenance 420,000 (15,000) 8 ,165 36,323 Lighting -Repairs & Maintenance 20,000 10,000 459,711 481,089 Vehicle -Repairs & Maintenance 448 ,000 6,000 582,498 845,113 Gas, Oil, Tire, Etc. 716,010 130,000 300,454 402,023 Misc. Equip . -Repairs & Maintenance 245,000 60,000 285,989 405,981 Grounds Upkeep 472,500 (56,000) 33,379 41,684 Fert. & Lawn Control 59,000 (4 ,000) --Building Rentals -9,700 257 Run Date: Sep 13, 2023 2023 Approved %Change Budget From 2022 9,608,131 7.61% 484,750 (0.77%) 2,445,848 3 .93% 99,505 10.57% 2,600 44.44% 64,565 (23 .76%) 6,800 17.24% 1,800 -% 2,000 -% 29,605 0.94% 25,125 (13.45%) 2,020 (42.61 %) 12,600 (1.56%) 11,450 24.46% 221,217 10.35% 27,050 (20 .56%) 513,780 47.21% 9,150 6.40% 14,125 (9 .80%) 362,700 34.28% 846,000 1.81% 404,200 36.09% 383,500 44.72% 370,000 (5.13%) 642,500 0 .39% 75,000 -% 120,000 (25.00%) 620,603 10.57% 405,000 (3.57%) 30,000 50 .00% 454,000 1.34% 846,010 18.16% 305,000 24.49% 416 ,500 (11 .85%) 55,000 (6.78%) 9,700 -% City of Pickering 2023 Approved Current Budget Summary Operations Department 2021 2022 2022 ·- Actuals Actuals Account Description Approved Increase/ Budget Decrease (30 ,000) (30,000) Transfer to (from) Oblig RF (30,000) - (36,055) (51,582) Total Transfers (243,900) (672,055) 14,725,060 17,363,299 Net Expenditures (Revenues) 19,095,022 532,595 259 Run Date : Sep 13, 2023 2023 Approved %Change Budget From 2022 (30,000) -% (915,955) 275.55% 19,627,617 2.79% City of Pickering 2023 Approved Current Budget Summary 10300 Public Works -Administration 2021 2022 2022 Actuals Actuals Account Description Approved Increase/ Budget Decrease Expenditures 544,867 488,474 Salaries & Wages 483,509 (133,143) 607 292 Overtime 4,000 - 132,693 136,907 Employee Benefits 123,690 (31,309) 1 ,289 2 ,306 Uniforms 1,500 - -290 Seminars & Education 7,150 (2,860) --Travel 250 - -127 Freight , Express & Cartage -- 1,635 1,128 Cellular Phones 1,600 (800) 3,137 3,498 Telephone & Data 3,640 460 476 457 Internet 455 - 6 ,653 6,285 Subscriptions & Publications 12 ,200 - 46,335 19,910 Insurance Premium 19,910 1 ,991 --Insurance Deductible 2 ,000 - --Consulting & Professional Fees 12,000 (10,000) 455 2,875 Meals, Promotions & General 1,500 300 782 -Memberships 1,200 (950) 17,738 4,340 Outside Agency Services 5,412 88 162,498 216,794 Building -Repairs & Maintenance 242 ,926 28,537 173 -Misc. Equip . -Repairs & Maintenance -- 7,347 8,554 Stationary & Office Supplies 11,000 - 560 -Programs & Event Supplies -- 1 ,374 4,069 Supplies & Tools -- --COVID Related Expenses 31 ,053 (31,053) 11,072 12,715 Utilities -Water 11,600 2,000 107,909 109,793 Utilities -Hydro 120,000 (2,500) 55,932 64,630 Utilities -Natural Gas 54 ,230 11 ,000 243 5,615 Software & Hardware Mtce . Contracts 30,100 8 ,120 224 -Furniture & Fi xtures 2 ,000 - 486 -Miscellaneous Expenses -- 1,104,485 1,089,059 Total Expenditures 1,182,925 (160,119) Revenues (65) (122) Vending Machines (500) - (59) -Other User Fees -- (175,350) (175 ,350) Netted Revenue (175,350) - (175,474) (175,472) Total Revenues (175,850) - 263 Run Date : Sep 13, 2023 2023 Approved % Change Budget From 2022 350 ,366 (27 .54%) 4 ,000 -% 92,381 (25 .31 %) 1 ,500 -% 4 ,290 (40 .00%) 250 - % --% 800 (50 .00%) 4,100 12.64% 455 -% 12,200 - % 21 ,901 10.00% 2 ,000 - % 2 ,000 (83.33%) 1,800 20.00% 250 (79 .17%) 5,500 1.63% 271 ,463 11 .75% -- % 11,000 -% --% --% -(100 .00%) 13,600 17.24% 117,500 (2 .08%) 65 ,230 20.28% 38,220 26 .98% 2 ,000 -% -- % 1,022,806 (13.54%) (500) - % --% (175,350) - % (175,850) - % City of Pickering 2023 Approved Current Budget Summary 10300 Public Works -Administration 2021 2022 2022 Actuals Actuals Account Description Approved Increase/ Budget Decrease Transfers --Total Transfers -- 929,011 913,587 Net Expenditures (Revenues) 1,007,075 (160,119) 264 Run Date: Sep 13, 2023 2023 Approved %Change Budget From 2022 -- % 846 ,956 (15.90%' City of Pickering 2023 Approved Background Information 10300 Public Works -Administration Expenditures 501000.0000 Salaries & Wages Base Salaries and Wages Total 501000.0000 Salaries & Wages 501010.0000 Overtime To meet service level/workload commitments Total 501010.0000 Overtime 501020.0000 Employee Benefits This item includes mandatory deductions (CPP, El, EHT) and employer provided benefits such as extended health and dental Total 501020.0000 Employee Benefits 501040.0000 Uniforms As per the Collective Agreement for Admin. Total 501040.0000 Uniforms 501110.0000 Seminars & Education Health & Safety training and seminars Misc. training Laserfiche training University of Western Ontario, Diploma Public Administrative Course (Supervisor, Public Works Operations) Total 501110.0000 Seminars & Education 501130.000.0 Travel Parking & Mileage Total 501130.0000 Travel 502020.0000 Cellular Phones Annual Smartphone Charges -Supervisor, Public Works Operations Total 502020.0000 Cellular Phones 502030.0000 Telephones & Data Voice/Data -Operations Centre Total 502030.0000 Telephones & Data 502040.0000 Internet Internet Total 502040.0000 Internet 502120.0000 Subscriptions&Publcs Weather Monitoring Subscription Miscellaneous Manuals Total 502120.0000 Subscriptions&Publcs 502210.0000 Insurance Premium 265 Run Date: Sep 13, 2023 Approved 2023 Budget 350,366 350,366 4,000 4,000 92,381 92,381 1,500 1,500 600 1,200 350 2,140 4,290 250 250 800 800 4,100 4,100 455 455 12,000 200 12,200 City of Pickering 2023 Approved Background Information 10300 Public Works -Administration Annual cost of insurance policy that provides protection for municipal activities and property. (Policy coverage includes: liability, automobile and property) Total 502210.0000 Insurance Premium 502220.0000 Insurance Deductible Insurance deductible for low dollar value claims. Total 502220.0000 Insurance Deductible 502230.0000 Consult&Prof Fees Roof Safety System Inspection Total 502230.0000 Consult&Prof Fees 502240.0000 Meals/Prom/General Miscellaneous meetings, functions & promotional events Total 502240.0000 Meals/Prom/General 502250.0000 Memberships Durham Region Public Works Association Total 502250.0000 Memberships 502260.0000 Outside Agency Srvc Base Hospital Support Defibrillation Program (4 inspections) Nextgen Radio Charge -Base Radios Defibrillator Monitoring Program Operations Centre Total 502260.0000 Outside Agency Srvc 502340.0000 Building Rpr & Mntc Janitorial Staff City (Term staff) -cross charge from 10240 Waste Disposal Fixed Hoists Repairs Fire Alarm Monitoring Maintenance Mechanic Security Camera Repairs and Maintenance Overhead Door and Gate Maintenance and Repairs Overhead Door Parts Stock Lock, Electric Door Operator and Gate Repairs and Maintenance Caretaking Supplies Building Supplies and Repairs Electrical Repairs Plumbing Repairs Belts, Filters, and Fuses Window Cleaning Entrance Mat Service Energy Management Service Contract Boiler Inspection and Repairs 266 Run Date: Sep 13, 2023 Approved 2023 Budget 21,901 21,901 2,000 2,000 2,000 2,000 1,800 1,800 250 250' 2,900 1,800 800 5,500 66,000 4,400 5,000 1,100 88,563 7,000 25,000 2,500 7,500 14,400 7,500 7,500 5,000 3,000 5,000 2,500 5,000 2,500 City of Pickering 2023 Approved Background Information 10300 Public Works -Administration Pressure Washer Lighting Controls Mechanical Air Compressor Gas Detection System Testing (x2) Backup Generator Total 502340.0000 Building Rpr & Mntc 502500.0000 Stationery&OfficeSup General office supplies for all cost centres Total 502500.0000 Stationery&OfficeSup 502600.0000 Utilities -Water Budget based on 2022 projected actuals and regional water rate increase in 2023 Total 502600.0000 Utilities -Water 502610.0000 Utilities -Gas Run Date: Sep 13, 2023 Approved 2023 Budget 1,500 2,000 4,800 1,400 2,300 271,463 11,000 11,000 13,600 13,600 Budget based on 2022 projected actuals and anticipated increase in natural gas prices 65,230 Total 502610.0000 Utilities -Gas 502620.0000 Utilities -Hydro Budget based on 2022 projected actuals Total 502620.0000 Utilities -Hydro 502700.0000 Sfwr/Hdwr Mntc Contr LiveCycle and Adobe Acrobat X Pro-License (2) Maintenance -HRIS Public Facing Portal EV Charging Station Cloud Services AutoCAD Licence (2) Total 502700.0000 Sfwr/Hdwr Mntc Contr 502740.0000 Furniture & Fixtures Misc. Furniture Requirements for Operations Centre Total 502740.0000 Furniture & Fixtures Total Expenses Revenues 403030.0000 Vending Machines Works Centre -Vending Machines Total 403030.0000 Vending Machines 406722.0000 Netted Revenue -Storage Storage Charges Total 406722.0000 Netted Revenue -Storage Total Revenues 267 65,230 117,500 117,500 800 420 24,000 5,000 8,000 38,220 2,000 2,000 1,022,806 (500) (500) (175,350) (175,350) (175,850) City of Pickering 2023 Approved Background Information 10300 Public Works -Administration Total Transfers Net Expenses (Revenues) 268 Run Date: Sep 13, 2023 Approved 2023 Budget 846,956 City of Pickering 2023 Approved Current Budget Summary 10305 Property Maintenance , 2021 2022 2022 Actuals Actuals Account Description Approved Increase I Budget Decrease Expenditures 349,179 464,871 Salaries & Wages 440,545 20,915 21,358 28,732 Overtime 30,000 - 82,375 99,422 Employee Benefits 116,152 3,407 2,007 14,222 Uniforms 2,630 470 -405 Seminars & Education 1,510 - -419 Freight, Express & Cartage -- 2,463 2,336 Cellular Phones 3,660 - 364 295 Telephone & Data 305 (5) 40 39 Internet 40 - -7 Photo, Mapping, Print -- 4,210 4 ,210 Insurance Premium 4,210 421 -331 Insurance Deductible -- 2,198 11,021 Consulting & Professional Fees 20,000 68,695 -62 Meals, Promotions & General 200 - 8,138 7,775 Outside Agency Services 8,000 - 164,231 148,441 Tree Maintenance 190,000 (15,000) 8,165 35,979 Lighting -Repairs & Maintenance 20,000 10,000 7,948 14,694 Vehicle -Repairs & Maintenance 6,000 6,000 19,128 36,981 Gas, Oil, Tire, Etc. 28,950 9,000 61,389 114,278 Misc. Equip. -Repairs & Maintenance 40,000 50,000 59,079 119,937 Grounds Upkeep 120,000 - 14,511 22,073 Misc. Equip. Rentals 28,000 - 19,256 19,538 Land Rentals 21,696 - 183,735 220,226 Programs & Event Supplies 272,000 176,800 3,863 5,222 Supplies & Tools 2,500 1 ,000 181 642 Software & Hardware Mtce . Contracts 720 (165) 7,236 1,822 Misc. Equipment 50,400 (44,370) 4,274 20,345 Other Fixed Assets 35,000 (5,000) 1,913 -Taxes -Tenant 2,500 - 1,027,241 1,394,325 Total Expenditures 1,445,018 282,168 Revenues (19,912) (22,985) Other User Fees (25,000) (35,100) (19,912) (22,985) Total Revenues (25,000) (35,100) Transfers 269 Run Date: Sep 13, 2023 2023 Approved %Change Budget From 2022 461,460 4.75% 30,000 - % 119,559 2.93% 3,100 17.87% 1,510 - % --% 3,660 -% 300 (1.64%) 40 - % --% 4,631 10.00% --% 88,695 343.48% 200 -% 8,000 -% 175,000 (7.89%) 30,000 50.00% 12,000 100.00% 37,950 31.09% 90,000 125.00% 120,000 -% 28,000 -% 21,696 -% 448 ,800 65.00% 3,500 40.00% 555 (22.92%) 6,030 (88.04%) 30;000 (14.29%) 2,500 -% 1,727,186 19.53% (60,100) 140.40% (60,100) 140.40% City of Pickering 2023 Approved Current Budget Summary 10305 Property Maintenance . 2021 2022 2022 Actuals Actuals Account Description Approved Increase/ Budget Decrease (6 ,055) 1,338 Transfer to(from) Cntg Sty Res . -(13,695) -(50 ,000) Transfer to(from) Reserve (50,000) (388,700) (15 ,000) (15,000) Transfer to (from) Oblig RF (15,000) - (21,055) (63,662) Total Transfers (65,000) (402,395) 986,274 1,307,678 Net Expenditures (Revenues) 1,355,018 (155,327) 270 Run Date: Sep 13, 2023 2023 Approved % Change Budget From 2022 (13,695) -% (438 ,700) 777.40% (15,000) -% (467,395) 619.07% 1,199,691 (11.46%' City of Pickering 2023 Approved Background Information 10305 Property Maintenance Expenditures 501000.0000 Salaries & Wages Base Salaries and Wages Total 501000.0000 Salaries & Wages 501010.0000 Overtime Winter Control Emergency Call-in & Special Events Total 501010.0000 Overtime 501020.0000 Employee Benefits This item includes mandatory deductions (CPP, El, EHT) and employer provided benefits such as extended health and dental Total 501020.0000 Employee Benefits 501040.0000 Uniforms As per the Collective Agreement, Personal Protective Equipment Total 501040.0000 Uniforms 501110.0000 Seminars & Education Integrated Pest Mgmt (1PM) Symposium -Foreperson, Parks & Property Parks & Rec. (PRO) Conference Ontario Parks Association -Summer Forum Sports Turf Association Total 501110.0000 Seminars & Education 502020.0000 Cellular Phones Cellular Phone Charges & Smartphone Charges Data for Tablets and Cellular Phone Charges Total 502020.0000 Cellular Phones 502030.0000 Telephones & Data Voice/Data Total 502030.0000 Telephones & Data 502040.0000 Internet Internet Total 502040.0000 Internet 502210.0000 Insurance Premium Annual cost of insurance policy that provides protection for municipal activities and property. (Policy coverage includes: liability, automobile and property) Total 502210.0000 Insurance Premium 502230.0000 Consult&Prof Fees Soil Monitoring TRCA Water Testing of Frenchman's Bay Watershed (misc. consulting, testing and inspection of City property) 271 Run Date: Sep 13, 2023 Approved 2023 Budget 461,460 461,460 20,000 10,000 30,000 119,559 119,559 3,100 3,100 135 900 175 300 1,510 1,800 1,860 3,660 300 300 40 40 4,631 4,631 20,000 55,000 City of Pickering 2023 Approved Background Information 10305 Property Maintenance City Pit Closure Plan (PO# 4500000384 -funded from Continuing Studies Reserve) Total 502230.0000 Consult&Prof Fees 502240.0000 Meals/Prom/General Meal Allowance as per Collective Agreement Total 502240.0000 Meals/Prom/General 502260.0000 Outside Agency Srvc Internet based GPS/AVL Subscription for vehicles/equipment Nextgen Radio Licensing Total 502260.0000 Outside Agency Srvc 502350.0000 Tree Mntc Tree Replacement, Removal & Maintenance EAB Treazin Treatment or Replacement Trees -Required for Ash Trees that were treated in 2021 Tree Protection (beaver mitigation throughout City) I PM/insect pest control Total 502350.0000 Tree Mntc 502360.0000 Lighting Rpr&Mntc To Cover Maintenance, Repairs and Replacement of Walkway Lighting Total 502360.0000 Lighting Rpr&Mntc 502370.0000 Vehicle Rpr & Mntc Repairs and Maintenance of Vehicles Total 502370.0000 Vehicle Rpr & Mntc 502375.0000 Gas, Oil, Tires, Etc Fuel: Unleaded 2,392 litres@ $1 .40/litre Fuel: Diesel 17,850 litres@ 1.75/litre Oil Changes and Tires Total 502375.0000 Gas, Oil, Tires, Etc 502380.0000 Misc Equip Rpr&Mntc Repair and Maintenance of Equipment Total 502380.0000 Misc Equip Rpr&Mntc 502390.0000 Grounds Upkeep Maintenance and repair of City property, (sod, brick interlock, graffiti removal, vandalism, concrete & asphalt walkways, street furnishings, fences and signs) Mechanical Harvesting of Eurasian Water-Milfoil Weeds in Frenchman's Bay Project (50% funded from Rate Stabilization Reserve) Total 502390.0000 Grounds Upkeep 502410.0000 MiscEquip Rentals Rental of equipment and vehicles for seasonal operations Rental of dozer to maintain City pit 272 Run Date: Sep 13, 2023 Approved 2023 Budget 13,695 88,695 200 200 6,000 2,000 8,000 125,000 15,000 25,000 10,000 175,000 30,000 30,000 12,000 12,000 3,350 31,240 3,360 37,950 90,000 90,000 20,000 100,000 120,000 8,000 20,000 City of Pickering 2023 Approved Background Information 10305 Property Maintenance Run Date: Sep 13, 2023 Total 502410.0000 MiscEquip Rentals 502420.0000 Land Rentals Liverpool Road South Parking Lot Rental Fees to the Liverpool Road Limited Partnership by its general partner 2864543 ONTARIO INC. Total 502420.0000 Land Rentals 502520.0000 Program&Event Supps Senior Snow Removal Total 502520.0000 Program&Event Supps 502540.0000 Supplies & Tools Screw Drivers, Hammers, Drill Bits, Grinder Wheels, Concrete Cut Blades, Saw Blades Total 502540.0000 Supplies & Tools 502700.0000 Sfwr/Hdwr Mntc Contr Maintenance -HRIS Total 502700.0000 Sfwr/Hdwr Mntc Contr 502750.0000 Misc. Equipment Chainsaw MS 261 CM (2) Cut-off Saw TS41 O Trimmer F5 91 R (5) Total 502750.0000 Misc. Equipment 502760.0000 Other Fixed Assets Garbage/Recycle Receptacles for Roadside Garbage Seaton Expansion Cemeteries (headstone & grave marker maintenance and repairs) Total 502760.0000 Other Fixed Assets 502820.0000 Taxes -Tenant The Liverpool Rd. Ltd. Partnership, 640 Liverpool Rd. South Parking Lot Total 502820.0000 Taxes -Tenant Total Expenses Revenues 403120.0000 Other User Fee Revenue Senior Snow Removal program fees Total 403120.0000 Other User Fee Revenue Total Revenues Transfers 408007.0000 Trf fr RateStblz Res Rate Stabilization Res. funding for Mechanical Harvesting of Eurasian Water-Milfoil Weeds in Frenchman's Bay Project Total 408007.0000 Trf fr RateStblz Res 273 Approved 2023 Budget 28,000 21,696 21,696 448,800 448,800 3,500 3,500 555 555 1,750 1,530 2,750 6,030 25,000 5,000 30,000 2,500 1,727,186 (60,100) (60,100) (60,100) (50,000) (50,000) City of Pickering 2023 Approved Background Information 10305 Property Maintenance 408009.0000 Trf fr Cntg Stdy Res Funding for City Pit Closure Plan Total 408009.0000 Trf fr Cntg Stdy Res 408037.0000 Trf fr Casino Res Casino reserve funding for the Senior's Snow Removal program Total 408037.0000 Trf fr Casino Res 408200.0000 Trf fr 3rdPtyOblg RF Tree Compensation -Cash in Lieu (reserve funding for tree replacement) Total 408200.0000 Trf fr 3rdPtyOblg RF Total Transfers Net Expenses (Revenues) 274 Run Date: Sep 13, 2023 Approved 2023 Budget (13,695) (13,695) (388,700) (388,700) (15,000) (15,000) (467,395) 1,199,691 10310 Fleet Services 2021 2022 Actuals Actuals 1,052,996 1 ,059,252 30,268 57,910 288 ,022 277,209 23,691 24,199 -2 ,658 564 5,556 650 1,419 2,235 3 ,626 138 977 2 ,104 1,981 11 ,772 14,021 4,680 306 -- 5,050 5 ,050 258 857 338 823 1,965 61,654 117 - 495 501 11,618 9,430 14,454 19,485 4,449 4,340 -- 74 - 5,068 2,753 521 (13) 70,376 76,934 -1,888 18,168 15,818 500 - -15 1,550,571 1,648,649 (218,018) (133 ,117) (218,018) (133,117) City of Pickering 2023 Approved Current Budget Summary 2022 Account Description Approved Increase/ Budget Decrease Expenditures Salaries & Wages 1,295,071 112,624 Overtime 45,000 5,000 Employee Benefits 387,161 21,587 Uniforms 25,400 2 ,000 Conferences -- Seminars & Education 19,900 4,070 Travel 550 - Freight, Express & Cartage 1,800 - Environmental Charges 2,000 - Cellular Phones 2,400 - Telephone & Data 16,995 (5 ,295) Internet 305 - Subscriptions & Publications 200 - Insu rance Prem i um 5,050 505 Meals, Promotions & General 800 - Memberships 2,400 (1,375) Outside Agency Services 145,500 80,000 Highway Aids -Repairs & Maintenance -- Building -Repa irs & Maintenance 5 ,000 - Vehicle -Repairs & Maintenance 8,000 - Gas, Oil, Tire, Etc. 8,290 11,000 Misc. Equip . -Repairs & Maintenance 5 ,000 - Misc. Equip . Rentals 500 - Stationary & Office Supplies -- Forms 2 ,000 4 ,000 Programs & Event Supplies -- Supplies & Tools 62,875 - Educational Material -- Software & Hardware Mice . Contracts 42,400 3,290 Furniture & Fixtures -- Misc. Equ ipment 1,000 1,000 Total Expenditures 2,085,597 238,406 Revenues Netted Revenue (193,000) - Total Revenues (193,000) - 275 Run Date : Sep 13 , 2023 2023 Approved %Change Budget From 2022 1,407,695 8.70% 50 ,000 11 .11 % 408 ,748 5 .58% 27,400 7.87% --% 23,970 20.45% 550 -% 1 ,800 -% 2,000 -% 2,400 -% 11 ,700 (31 .16%) 305 -% 200 -% 5,555 10.00% 800 -% 1 ,025 (57 .29%) 225 ,500 54.98% --% 5 ,000 -% 8,000 -% 19,290 132 .69% 5 ,000 -% 500 -% --% 6 ,000 200.00% --% 62,875 -% --% 45,690 7.76% --% 2,000 100.00% 2,324,003 11.43% (193,000) -% (193,000) -% City of Pickering 2023 Approved Background Information 1031 O Fleet Services Run Date: Sep 13, 2023 Expenditures 501000.0000 Salaries & Wages Base Salaries and Wages One new full-time Repairperson, Small Equipment position -June 1, 2023 start date Total 501000.0000 Salaries & Wages 501010.0000 Overtime To Service Emergency Repairs and be available for Winter On Call Total 501010.0000 Overtime 501020.0000 Employee Benefits This item includes mandatory deductions (CPP, El, EHT) and employer provided benefits such as extended health and dental Benefits related to one new full-time Repairperson, Small Equipment position -June 1, 2023 start date Total 501020.0000 Employee Benefits 501040.0000 Uniforms As per the Collective Agreement -Personal Protective Equipment Coverall Rental/Cleaning Service Tool Allowance (10 staff) Total 501040.0000 Uniforms 501110.0000 Seminars & Education Health & Safety Training and Seminars Spartan Chassis Training Smeal Aerial Training Waterous Pump Training Fire Truck Training Fire Truck International Training Program (Foreperson and Leadhand) Electric Vehicle Training Ontario Public Buyer Association Wheels Off (1 O staff) CTI Training (4 staff) Alternative Fuel (2 staff) Forklift Training (1 O staff) Total 501110.0000 Seminars & Education 501130.0000 Travel Parking & Mileage Total 501130.0000 Travel 502010.0000 Frght,Exprss&Cartage To Pay for Shipment of Auto Repair Parts Total 502010.0000 Frght,Exprss&Cartage 277 Approved 2023 Budget 1,361,595 46,100 1,407,695 50,000 50,000 394,908 13,840 408,748 11,600 10,000 5,800 27,400 500 2,000 5,000 2,000 2,000 2,000 2,000 400 2,750 2,700 1,120 1,500 23,970 550 550 1,800 1,800 City of Pickering 2023 Approved Background Information 10310 Fleet Services 502015.0000 Environmental Chrg Environmental Charges Total 502015.0000 Environmental Chrg 502020.0000 Cellular Phones Annual Smartphone Charges -Manager, Fleet Operations, Lead Hand and Foreperson, Municipal Garage Total 502020.0000 Cellular Phones 502030.0000 Telephones & Data Voice/ Data Total 502030.0000 Telephones & Data 502040.0000 Internet Internet Total 502040.0000 Internet 502120.0000 Subscriptions&Publcs Subscriptions/publications related to vehicle maintenance Total 502120.0000 Subscriptions&Publcs 502210.0000 Insurance Premium Annual cost of insurance policy that provides protection for municipal activities and property. (Policy coverage includes: liability, automobile and property) Total 502210.0000 Insurance Premium 502240.0000 Meals/Prom/General Meal Allowance Receptions/Business Meetings Total 502240.0000 Meals/Prom/General 502250.0000 Memberships Licence Renewals (10 x $62.50) Commercial Vehicle Operators Registration Number Renewal Professional Buyer Association Total 502250.0000 Memberships 502260.0000 Outside Agency Srvc Nextgen -Radio -Operating, Maintenance & Licensing Parts Supplier Fees Total 502260.0000 Outside Agency Srvc 502340.0000 Building Rpr & Mntc Air Compressor and Oil Supply Maintenance Total 502340.0000 Building Rpr & Mntc 502370.0000 Vehicle Rpr & Mntc Repair & Maintenance of Service Vehicles Total 502370.0000 Vehicle Rpr & Mntc 278 Run Date: Sep 13, 2023 Approved 2023 Budget 2,opo 2,000 2,400 2,400 11,700 11,700 305 305 200 200 5,555 5,555 600 200 800 625 100 300 1,025 500 225,000 225,500 5,000 5,000 8,000 8,000 City of Pickering 2023 Approved Background Information 10310 Fleet Services 502375.0000 Gas, Oil, Tires, Etc Fuel: Unleaded 11,31 O litres@ $1 .40/litre Fuel: Diesel 215 litres@$1.75/litre Oil Changes and Tires Total 502375.0000 Gas, Oil, Tires, Etc 502380.0000 Misc Equip Rpr&Mntc To Cover Repairs and Maintain Hoists, Jacks, Scopes, etc. Total 502380.0000 Misc Equip Rpr&Mntc 502410.0000 MiscEquip Rentals For Rental of Tools or Equipment for Specific Jobs Total 502410.0000 MiscEquip Rentals 502510.0000 Forms To Supply Vehicles with Check Books (MTO requirement) Total 502510.0000 Forms 502540.0000 Supplies & Tools Tool Upgrades/Replacement All Data Diagnostic Tool Upgrade Diagnostic Tools (Allison, ABS, Cummin, V4 Edge) Total 502540.0000 Supplies & Tools 502541.0000 Supplies & Tools Various Shop Supplies, miscellaneous hardware, and fasteners Total 502541.0000 Supplies & Tools 502700.0000 Sfwr/Hdwr Mntc Contr Maintenance -RTA -Fleet Maintenance Snap on Diagnostic Software Subscription Cummins lnsite Software Renewal (diagnostics) Focus Fleet Software (modifications) Maintenance -HRIS Fuel System Software Licence Parts Inventory Management -Service Contracts Mitchell On-Demand Total 502700.0000 Sfwr/Hdwr Mntc Contr 502750.0000 Misc. Equipment Stands, Clamps and Jacks Total 502750.0000 Misc. Equipment Total Expenses Revenues 406721.0000 Netted Revenue 279 Run Date: Sep 13, 2023 Approved 2023 Budget 15,835 375 3,080 19,290 5,000 5,000 500 500 6,000 6,000 6,500 2,000 4,875 13,375 49,500 49,500 4,000 1,000 1,000 1,800 1,690 8,000 25,000 3,200 45,690 2,000 2,000 2,324,003 1031 0 Fleet Services City of Pickering 2023 Approved Background Information Services Charges -share of overhead for municipal garage -cross charge to 10315 Services Charges -share of overhead for municipal garage -cross charge to 10320 Total 406721.0000 Netted Revenue Total Revenues Total Transfers Net Expenses (Revenues) 280 Run Date: Sep 13, 2023 Approved 2023 Budget (149,100) (43,900) (193,000) (193,000) 2,131,003 10315 Roads 2021 2022 Actuals Actuals 3,002,473 3,227,440 220,005 308,205 798,415 835,573 44,723 49,418 -1,218 5,743 11,749 -54 178 875 -1,528 4,873 4,677 2,352 2,624 357 343 -- 150,950 150,950 6,511 12,292 -- 1,679 3,166 3,024 2,851 54,518 52,746 513 ,773 782,575 166,095 175,124 130,866 59 ,315 188,896 218,543 438 ,646 456,713 104,854 116,640 77,087 92,083 135,450 135,718 127,310 222 ,657 362,495 364,498 366 ,301 534,005 140,107 198,788 46 71 -40,147 13 ,119 26,595 8,100 - 3,290 6,795 City of Pickering 2023 Approved Current Budget Summary 2022 Account Description Approved Increase/ Budget Decrease Expenditures Salaries & Wages 3,275,021 332,312 Overtime 286 ,500 - Employee Benefits 869,347 74,137 Uniforms 27,510 4,360 Conferences -- Seminars & Education 23,625 (5 ,625) Travel 500 - Freight, Express & Cartage -- Environmental Charges -- Cellular Phones 10,350 (450) Telephone & Data 2,730 670 Internet 340 - Subscriptions & Publications 200 - Insurance Premium 150,950 15,095 Insurance Deductible 25,000 (5,000) Consulting & Professional Fees 5,000 - Meals , Promotions & General 4,000 - Memberships 4,240 - Outside Agen·cy Services 53,000 16,500 Winter Control Maintenance 831,000 15,000 Repairs & Maintenance Contract Servi< 247,000 1,600 Engineering -Repairs & Maintenance 265,000 118,500 Storm Sewer -Repairs & Maitenance 390 ,000 (20,000) Repairs & Maintenance Materials 575,000 20,000 Highway Aids -Repairs & Maintenance 75,000 - Engineering Highway Aids -Repairs & 160,000 (40,000) Building -Repairs & Maintenance 135,450 13,650 Tree Maintenance 150,000 - Vehicle -Repairs & Maintenance 340 ,000 - Gas, Oil, Tire, Etc. 478,110 56,000 Misc. Equip . -Repairs & Maintenance 120,000 - Grounds Upkeep -- Misc. Equip . Rentals 30,000 - Supplies & Tools 15,000 - Utilities -Water 14,000 - Software & Hardware Mtce . Contracts 7,430 (703) 281 Run Date : Sep 13, 2023 2023 Approved % Change Budget From 2022 3,607 ,333 10.15% 286,500 -% 943,484 8.53% 31,870 15 .85% --% 18,000 (23.81 %) 500 -% --% --% 9,900 (4.35%) 3,400 24.54% 340 -% 200 -% 166,045 10.00% 20,000 (20 .00%) 5,000 -% 4,000 -% 4,240 -% 69,500 31.13% 846 ,000 1.81% 248,600 0.65% 383,500 44.72% 370,000 (5.13%) 595 ,000 3.48% 75 ,000 -% 120,000 (25.00%) 149,100 10.08% 150,000 -% 340,000 -% 534,110 11 .71% 120,000 -% --% 30,000 -% 15,000 -% 14,000 -% 6,727 (9.46%) 10315 Roads 2021 2022 Actuals Actuals 5,159 - 7,077,395 8,095,976 -(18,900) (195,951) (312 ,920) (74 ,993) (66,139) (13,125) (69,838) (284,069) (467 ,797) -- - - 6,793,326 7,628,179 City of Pickering 2023 Approved Current Budget Summary 2022 Account Description Approved Increase I Budget Decrease Misc . Equipment 12 ,000 (2,000) Total Expenditures 8,583,303 594,046 Revenues Federal Grants (9,000) - Department User Fees (180,000) (45 ,000) Other User Fees (75 ,000) - Cost Recoveries (118 ,550) 2,500 Total Revenues (382,550) (42,500) Transfers Transfer to(from) Reserve (10,000) (66,500) Total Transfers (10,000) (66,500) Net Expenditures (Revenues) 8,190,753 485,046 282 Run Date : Sep 13, 2023 2023 Approved %Change Budget From 2022 10,000 (16 .67%) 9,177,349 6.92% (9,000) -% (225,000) 25.00% (75,000) -% (116,050) (2 .11%) (425,050) 11.11% (76,500) 665 .00% (76,500) 665.00% 8,675,799 5.92% City of Pickering 2023 Approved Background Information 10315 Roads Run Date: Sep 13, 2023 Expenditures 501000.0000 Salaries & Wages Base Salaries and Wages One new full-time Utility Cut Inspector contract position (funded by Third Party) (year 2 of 2) Additional hours (1280) for 2 term Maintenance Worker full-time positions acting between November and April for on-call winter control One new full-time Heavy Equipment Operator 1 position -May 1, 2023 start date One new full-time Lead Hand, Roads Maintenance position -May 1, 2023 start date Three new student labourer positions for grass cutting at railway crossings One new full-time Maintenance Worker, Roads positions -May 1, 2023 start date Total 501000.0000 Salaries & Wages 501010.0000 Overtime Winter Control and Road Patrols Emergency Call-in Streetlight Inspections Special Events Total 501010.0000 Overtime 501020.0000 Employee Benefits This item includes mandatory deductions (CPP, El, EHT) and employer provided benefits such as extended health and dental Benefits related to one new full-time Utility Cut Inspector contract position (funded by Third Party) (year 2 of 2) Benefits related to increase in hours (1280) for 2 term Maintenance Worker full-time positions acting between November and April for on-call winter control Benefits related to one new full-time Heavy Equipment Operator 1 position -May 1, 2023 start date Benefits related to one new full-time Lead Hand, Roads Maintenance position -May 1, 2023 start date Benefits related to three new student labourer positions for grass cutting at railway crossings Benefits related to one new full time Maintenance Worker, Roads position -May 1, 2023 start date Total 501020.0000 Employee Benefits 501040.0000 Uniforms Clothing Allowance (37 full time staff) Clothing Allowance (1 part time staff) Safety Boot Allowance (35 @$210.00 -average 2 per year) 283 Approved 2023 Budget 3,281,808 77,925 43,400 48,900 58,400 49,900 47,000 3,607,333 250,000 8,000 1,500 27,000 286,500 855,224 23,950 13,020 14,670 17,530 4,990 14,100 943,484 12,850 260 15,960 City of Pickering 2023 Approved Background Information 10315 Roads Run Date: Sep 13, 2023 Students Misc. safety equipment Clothing Allowance for new full-time Utility Cut Inspector contract position (funded by Third Party -year 2 of2) Total 501040.0000 Uniforms 501110.0000 Seminars & Education First Responder Training (4 staff) CPR & First Aid Training (30 staff) OTM Ontario Traffic Training Book 7 OGRA Ontario Good Roads -Managing Winter Operations (4 staff) Innovations Academy -Installation and Maintenance of Guiderails (4 staff) OGRA Ontario Good Roads (2 staff) Durham College GIS Training Canada Heavy Equipment College Gradall Training (2 staff) Total 501110.0000 Seminars & Education 501130.0000 Travel Parking & Mileage Total 501130.0000 Travel 502020.0000 Cellular Phones Annual Smartphone Charges (Manager, Road Operations; Lead Hand, Road Maintenance; Forepersons (2); Inspector, Municipal Infrastructure; Inspector, Utility Cuts) Cell Phones Temporary Cell Phones (Winter Control) Smartphone monthly charges for full-time Utility Cut Inspector contract position (funded by Third Party -year 2 of 2) Total 502020.0000 Cellular Phones 502030.0000 Telephones & Data Voice/ Data Total 502030.0000 Telephones & Data 502040.0000 Internet Internet Total 502040.0000 Internet 502120.0000 Subscriptions&Publcs Allowance for standards, regulations and legislation, reference materials Total 502120.0000 Subscriptions&Publcs 502210.0000 Insurance Premium Annual cost of insurance policy that provides protection for municipal activities and property. (Policy coverage includes: liability, automobile and property) 284 Approved 2023 Budget 250 2,000 550 31,870 400 2,400 1,500 2,000 2,400 3,500 800 5,000 18,000 500 500 6,400 1,400 1,600 500 9,900 3,400 3,400 340 340 200 200 166,045 City of Pickering 2023 Approved Background Information 10315 Roads Run Date: Sep 13, 2023 Total 502210.0000 Insurance Premium 502220.0000 Insurance Deductible Insurance Deductible Total 502220.0000 Insurance Deductible 502230.0000 Consult&Prof Fees Professional Fees for Structural Reviews Total 502230.0000 Consult&Prof Fees 502240.0000 Meals/Prom/General Meal Allowances as per Collective Agreement Receptions /Business Meetings Total 502240.0000 Meals/Prom/General 502250.0000 Memberships Ontario Association of Certified Engineering Technicians and Technologists (Inspector, Municipal Infrastructure) Ontario Good Roads Association (City Membership) Manager Ontario Association of Roads (1 Supervisor, 2 Forepersons, 2 Lead Hand, etc.) Total 502250.0000 Memberships 502260.0000 Outside Agency Srvc Nexgen -Radio -Operating, Maintenance & Licensing Antenna Site Rental Internet-Based GPS/AVL Subscription for Vehicles/Equipment Total 502260.0000 Outside Agency Srvc 502300.0000 Winter Control Mntc Winter Sand Winter Salt Winter Brine Snow Removal (cul-de-sacs, bridges, laneways and mews) Total 502300.0000 Winter Control Mntc 502310.0000 Rpr&Mntc Contract Serv Liquid Magnesium Contract and Flake Calcium purchase (dust control) Bridge/Culvert/Embankment Repairs Ditching Contract Phragmites Control (Pilot) Road Sweepings Disposal Total 502310.0000 Rpr&Mntc Contract Serv 502311.0000 Eng -Rpr & Mntc Contracts Curb Cutting Contract (primarily offset by revenue) Spill Responses & Clean-up 2022 Concrete Curb Repair Program (funded by Rate Stabilization Reserve) 285 Approved 2023 Budget 166,045 20,000 20,000 5,000 5,000 3,000 1,000 4,000 240 2,600 1,400 4,240 19,000 5,500 45,000 69,500 60,000 676,000 45,000 65,000 846,000 95,000 50,000 70,000 15,000 18,600 248,600 12,000 15,000 11,000 City of Pickering 2023 Approved Background Information 10315 Roads Concrete Curb Repair Program 2022 Line Painting & Pavement Marking (funded by Rate Stabilization Reserve) 2023 Line Painting & Pavement Marking Bridge Washing Program Crack Sealing Program ITMP -Line Painting & Signage (Bike Lanes) Boulevard Sod Replacement -Timmins Gardens/Boxworth Place Total 502311.0000 Eng -Rpr & Mntc Contracts 502312.0000 Storm Sewer R&M Contracts Catchbasin & Manhole Adjustment Repairs Contract Storm Sewer Repairs Storm Sewer Flushing and Inspection Program Catchbasin Cleaning Contract Total 502312.0000 Storm Sewer R&M Contracts 502315.0000 Rpr&Mntc Materials Granular A/Limestone and other Aggregates Asphalt and Concrete Topsoil and Sod (ditches and boulevards) Hydroseeding Culverts (partially offset by revenue) Easement Charges for Storm Sewer Crossings Catchbasin and Manhole Repair Materials Neighbourhood Issues (incl. illegal dumping & miscellaneous items) Guiderails In-house Repairs Total 502315.0000 Rpr&Mntc Materials 502320.0000 Hwy Aids-Repair&Mntc CN/CP Railroad Signal Charges · Misc. Signs (incl. hardware & posts) Purchase of Traffic Marking Paint Total 502320.0000 Hwy Aids-Repair&Mntc 502321.0000 Eng-Hwy Aids-Repair&Mntc Traffic Signals, Flashing Signals, Pedestrian Crossovers, IPS Guiderail repairs/replacement including design costs Total 502321.0000 Eng-Hwy Aids-Repair&Mntc 502340.0000 Building Rpr & Mntc Share of overhead for Municipal Garage -cross charge from 1031 O Total 502340.0000 Building Rpr & Mntc 502350.0000 Tree Mntc Tree Maintenance within Road Allowances, Block Pruning Total 502350.0000 Tree Mntc 286 Run Date: Sep 13, 2023 Approved 2023 Budget 50,000 65,500 70,000 35,000 80,000 15,000 30,000 383,500 40,000 60,000 100,000 170,000 370,000 330,000 100,000 25,000 50,000 5,000 25,000 10,000 50,000 595,000 40,000 30,000 5,000 75,000 80,000 40,000 120,000 149,100 149,100 150,000 150,000 City of Pickering 2023 Approved Background Information 10315 Roads 502370.0000 Vehicle Rpr & Mntc Repair and Maintenance of Roads Section Licensed vehicles Total 502370.0000 Vehicle Rpr & Mntc 502375.0000 Gas, Oil, Tires, Etc Fuel: Unleaded 17,170 litres@$1.40/litre Fuel: Diesel 240,268 litres@ $1.75/litre Oil Changes and Tires Total 502375.0000 Gas, Oil, Tires, Etc 502380.0000 Misc Equip Rpr&Mntc Repair and maintenance of equipment Total 502380.0000 Misc Equip Rpr&Mntc 502410.0000 MiscEquip Rentals Large & Small Equipment Rentals Total 502410.0000 MiscEquip Rentals 502540.0000 Supplies & Tools Rakes, Shovels, Hammers, Drill Bits etc. for Road Maintenance Activities. (includes provision for small tools, safety items, etc.) Total 502540.0000 Supplies & Tools 502600.0000 Utilities -Water Region of Durham Water Supply for City Street Sweepers, etc. Total 502600.0000 Utilities -Water 502700.0000 Sfwr/Hdwr Mntc Contr M.R. Compliance Annual License Fee Maintenance -HRIS Total 502700.0000 Sfwr/Hdwr Mntc Contr 502750.0000 Misc. Equipment Small Gas Powered Equipment Replacement Total 502750.0000 Misc. Equipment Total Expenses Revenues 402500.0000 Federal Grants Program Grant -Federal Total 402500.0000 Federal Grants 403000.9550 Department User Fees -Sale of Services -Roads Miscellaneous charges -Road Occupancy Permits Total 403000.9550 Department User Fees -Sale of Services -Roads 403120.0000 Other User Fee Revenue Revenue from Curb Cuts and Driveway Culverts 287 Run Date: Sep 13, 2023 Approved 2023 Budget 340,000 340,000 24,040 420,470 89,600 534,110 120,000 120,000 30,000 30,000 15,000 15,000 14,000 14,000 2,400 4,327 6,727 10,000 10,000 9,177,349 (9,000) (9,000) (225,000) (225,000) (45,000) City of Pickering 2023 Approved Background Information 10315 Roads Revenue from Road Cut Degradation fees Total 403120.0000 Other User Fee Revenue 406540.0000 Cost Recoveries Re-imbursement from Region of Durham -Winter Maintenance Third Party funding for new full-time Utility Cut Inspector (year 2 of 2) for salary, benefits, clothing allowance, and smartphone monthly charges. Total 406540.0000 Cost Recoveries Total Revenues Transfers 408007.0000 Trf fr RateStblz Res Rate Stab. Reserve funding for 2022 curb repair program Rate Stab. Reserve funding for 2022 line painting and pavement marking program Total 408007.0000 Trf fr RateStblz Res Total Transfers NetExpenses(Revenues) 288 Run Date: Sep 13, 2023 Approved 2023 Budget (30,000) (75,000) (13,125) (102,925) (116,050) (425,050) (11,000) (65,500) (76,500) (76,500) 8,675,799 10320 Parks 2021 2022 Actuals Actuals 6 ,058 8,679 24,930 43,050 20,854 40 ,690 227,652 178,825 579 - 4,868,589 5,221 ,502 -(48 ,300) (119,710) (215,170) (54 ,600) (37,400) (257) - (700) - (175,267) (300,870) -7,378 -- (15,000) (15,000) (15,000) (7,622) 4,678,322 4,913 ,010 City of Pickering 2023 Approved Current Budget Summary 2022 Account Description Approved Increase/ Budget Decrease Software & Hardware Mtce . Contracts 10,270 (660) Misc. Equipm ent 60,900 (43 ,200) Othe r Fixed Assets 110 ,000 - Taxes -Tenant 233,500 - Miscellaneous Expenses -- Total Expenditures 5,454,925 194,499 Revenues Federal Grants (9 ,000) - Rentals -User Fees (150,000) (65,000) Memrl Tree/Bench Revenue (33 ,000) .(2 ,000) Other User Fees -- M isc. Revenue -- Total Revenues (192,000) (67,000) Transfers Transfer to(from) Cntg Sty Res . -(7,380) Transfer to(from) Reserve {53 ,900) 53,900 Transfer to (from) Oblig RF (15,000) - Total Transfers (68,900) 46,520 Net Expenditures (Revenues) 5,194,025 174,019 290 Run Date: Sep 13, 2023 2023 Approved %Change Budget From 2022 9 ,610 (6.43%) 17,700 (70 .94%) 110,000 -% 233,500 -% --% 5,649,424 3.57% (9 ,000) - % (215 ,000) 43 .33% (35,000) 6 .06% --% --% (259,000) 34.90% (7,380) -% -(100 .00%) (15 ,000) -% (22,380) (67.52%) 5,368 ,044 3.35% City of Pickering 2023 Approved Background Information 10320 Parks Expenditures 501000.0000 Salaries & Wages Base Salaries and Wages Additional hours (2,240) for Acting Lead Hand position(s) for seasonal evening/weekend supervisory coverage Additional hours (1,120) for term Labourer positions (cleaning new washrooms at Rotary Frenchman's Bay West Park) Additional hours (2,040) for Student Labourer positions (seasonal trim crew for Seaton) Additional hours (808) for term Labourer positions (expansion of natural outdoor ice rinks) Additional hours (2,720) for Student Labourer hours (seasonal washroom, garbage and litter duties at Rotary Frenchman's Bay West Park) Additional hours (2,400) for student Labourer positions (seasonal new trim crew for Seaton) One new full-time Maintenance Worker, Parks & Property position -May 1, 2023 start date Total 501000.0000 Salaries & Wages 501010.0000 Overtime Special Events (includes Canada Day) Emergency Call-in/Winter Control Natural Rink Maintenance Total 501010.0000 Overtime 501020.0000 Employee Benefits This item includes mandatory deductions (CPP, El, EHT) and employer provided benefits such as extended health and dental Benefits related to additional hours (2,240) for Acting Lead Hand position(s) for seasonal evening/weekend supervisory coverage Benefits related to additional hours (1,120) for term Labourer positions (cleaning new washrooms at Rotary Frenchman's Bay West Park) Benefits related to additional hours (2,040) for Student Labourer positions (seasonal trim crew for Seaton) Benefits related to additional hours (808) for term Labourer positions (expansion of natural outdoor ice rinks) Benefits related to additional hours (2,720) Student Labourer positions (seasonal washroom, garbage and litter duties at Rotary Frenchman's Bay West Park) 291 Run Date: Sep 13, 2023 Approved 2023 Budget 2,479,788 98,400 34,500 36,900 24,900 43,900 32,900 47,000 2,798,288 70,000 28,000 10,000 108,000 565,301 9,840 3,450 3,690 2,490 4,390 City of Pickering 2023 Approved Background Information 10320 Parks Run Date: Sep 13, 2023 Benefits related to additional hours (2,400) for student Labourer positions (seasonal new trim crew for Seaton) Benefits for one new full time Maintenance Worker, Roads position-May 1, 2023 start date Total 501020.0000 Employee Benefits 501040.0000 Uniforms As per the Collective Agreement (includes uniforms, safety boots and miscellaneous PPE) Total 501040.0000 Uniforms 501110.0000 Seminars & Education CPR & First Aid Training (20 staff) Integrated Pest Management Symposium (6 staff) OTM Supervisor Book 7 (2 staff) OGRA (Manager) Phragmites Workshop OPA -Educational Forum OPA -Sports Turf Maintenance Seminar (3 staff) Manager Training PRO -Parks & Rec. Management Pro Education Forum (Manager) Legal Awareness (Foreperson & Lead Hand) Management Operations Certification (Foreperson & Lead Hand) Total 501110.0000 Seminars & Education 501130.0000 Travel Parking & Mileage Total 501130.0000 Travel 502020.0000 Cellular Phones Cellular Phone and Smartphone Charges Total 502020.0000 Cellular Phones 502030.0000 Telephones & Data Voice/ Data Total 502030.0000 Telephones & Data 502040.0000 Internet Internet Total 502040.0000 Internet 502150.0000 Photo,Mapping,Print Colour Printing of Maps Total 502150.0000 Photo,Mapping,Print 502210.0000 Insurance Premium 292 Approved 2023 Budget 3,290 14,100 606,551 30,200 30,200 1,500 1,050 600 600 300 420 765 2,150 550 1,100 3,110 12,145 500 500 7,300 7,300 2,500 2,500 530 530 200 200 City of Pickering 2023 Approved Background Information 10320 Parks Run Date: Sep 13, 2023 Annual cost of insurance policy that provides protection for municipal activities and property. (Policy coverage includes: liability, automobile and property) Total 502210.0000 Insurance Premium 502220.0000 Insurance Deductible Insurance Deductible Total 502220.0000 Insurance Deductible 502230.0000 Consult&Prof Fees Miscellaneous Consulting, Testing and Inspection Fees LED Conversion of Kinsmen Park Artificial Turf Sports Field (PO#4500000737 -funded from Continuing Studies Reserve) Total 502230.0000 Consult&Prof Fees 502240.0000 Meals/Prom/General Meal Allowance Receptions/Business Meetings Total 502240.0000 Meals/Prom/General 502250.0000 Memberships Ontario Parks Association -(City membership) Int. Society of Arboriculture (ISA) Membership Ontario (Horticulturist) ISA Professional Membership (USA) -Horticulturalist Integrated Pest Mgmt. (1PM) (Horticulturalist; Foreperson, Parks & Property; (2) Lead Hand) Sports Turf Association -((2) Lead Hand; (1) Foreperson, Parks; Manager, Parks & Property) Assoc. of Ont. Road Supervisors (AORS) Certification Annual Renewal (Foreperson, Parks) Ontario Turfgrass ((2) Lead Hands; (1) Foreperson, Parks; Manager, Parks & Property) Total 502250.0000 Memberships 502260.0000 Outside Agency Srvc NextGen (Region of Durham) Radio Licence Internet-Based GPS/AVL Subscription for vehicles/equipment Security guard services for weekend waterfront patrols (June-September) Total 502260.0000 Outside Agency Srvc 502310.0000 Rpr&Mntc Contract Serv Supply and Installation of Playground Safety Surfacing Contracted Organic Weed Control Parks and Roadside Garbage Waste Disposal Total 502310.0000 Rpr&Mntc Contract Serv 293 Approved 2023 Budget 19,635 19,635 5,050 5,050 15,000 7,380 22,380 600 500 1,100 900 110 130 500 500 220 400 2,760 20,000 22,200 12,000 54,200 130,000 7,000 18,600 155,600 City of Pickering 2023 Approved Background Information 10320 Parks 502315.0000 Rpr&Mntc Materials To cover maintenance, repairs and replacement of outdoor electrical and lighting (parks, sports fields, utility buildings, etc.) String Light Replacements for Esplanade Park Total 502315.0000 Rpr&Mntc Materials 502340.0000 Building Rpr & Mntc Share of overhead for Municipal Garage -cross charge from 1031 O Janitorial service for park washroom -cross charge from 10240 Cleaning supplies for Rotary Park Washrooms -cross charge from 10240 Misc. building supplies and caretaking/cleaning supplies Contracted repairs and maintenance to accessory buildings/ clubhouses Total 502340.0000 Building Rpr & Mntc 502350.0000 Tree Mntc Tree removal, replacement & maintenance Mulching Service Total 502350.0000 Tree Mntc 502370.0000 Vehicle Rpr & Mntc Repair & Maintenance of Parks section Licensed Vehicles Replace & Install Nextgen radios Total 502370.0000 Vehicle Rpr & Mntc 502375.0000 Gas, Oil, Tires, Etc Fuel: Unleaded 50,340 litres@ $1 .40/litre Fuel: Diesel 95,650 litres @ $1. 75/litre Oil changes and tires Total 502375.0000 Gas, Oil, Tires, Etc 502380.0000 Misc Equip Rpr&Mntc Repairs to large and small equipment (off road) Total 502380.0000 Misc Equip Rpr&Mntc 502390.0000 Grounds Upkeep Ball diamonds (infield material and mound clay) Fencing repairs (sports fields, property line) Topsoil and sod (including top dressing or compost sports fields, hydroseeding) Lumber to repair (picnic tables, park benches, bleachers) Flowers Shrubs (renovate existing beds) Misc. supplies Signs (replacements) Aggregates (pathway repairs) Phragmite control 294 Run Date: Sep 13, 2023 Approved 2023 Budget 40,000 7,500 47,500 43,900 97,790 7,500 2,000 40,000 191,190 75,000 5,000 80,000 73,000 21,000 94,000 70,475 167,385 16,800 254,660 90,000 90,000 20,000 17,000 16,000 12,000 35,000 6,000 1,500 30,000 5,000 10,000 City of Pickering 2023 Approved Background Information 10320 Parks Walkway repairs (concrete and asphalt) Materials and water for seasonal outdoor rinks Paint and parking lot line painting Play unit maintenance and replacement parts Plumbing maintenance and repairs to irrigation systems P Gates and soccer posts Total 502390.0000 Grounds Upkeep 502395.0000 Fertilizr&Lawn Cntrl Fertilizer Seed -2 applications per year Foam Stream Agent Total 502395.0000 Fertilizr&Lawn Cntrl 502410.0000 MiscEquip Rentals Portable Washrooms Vehicles for trim crews Power tools and equipment (generators, augers) Total 502410.0000 MiscEquip Rentals 502520.9700 Program&Event Supps -Other Events Supplies, materials and rentals for City events Pet Memorial Program (offset by fees) Total 502520.9700 Program&Event Supps -Other Events 502520.9701 Program&Event Supps -Pickering Blooms Pickering Blooms Garden Showcase Total 502520.9701 Program&Event Supps -Pickering Blooms 502520.9702 Program&Event Supps -Memorial Trees & Benchs Memorial trees and benches (fully offset by fees) Total 502520.9702 Program&Event Supps -Memorial Trees & Benchs 502520.9704 Program&Event Supps -Banner Program Supplies, materials and artist fees for the Banner Program Total 502520.9704 Program&Event Supps -Banner Program 502540.0000 Supplies & Tools Small hand tools, wrenches, hammers etc. Total 502540.0000 Supplies & Tools 502600.0000 Utilities -Water Budget based on 2022 projected actuals and regional water rate increase in 2023 Splash Park Total 502600.0000 Utilities -Water 502620.0000 Utilities -Hydro 295 Run Date: Sep 13, 2023 Approved 2023 Budget 20,000 40,000 7,000 32,000 25,000 20,000 296,500 15,000 35,000 5,000 55,000 50,000 50,000 2,000 102,000 25,000 5,000 30,000 10,000 3,000 13,000 30,000 30,000 15,000 15,000 4,000 4,000 58,480 6,120 64,600 City of Pickering 2023 Approved Background Information 10320 Parks Budget based on 2022 projected actuals Total 502620.0000 Utilities -Hydro 502700.0000 Sfwr/Hdwr Mntc Contr Parks Inspection Software Annual Licences (unlimited users) Maintenance -HRIS Total 502700.0000 Sfwr/Hdwr Mntc Contr 502750.0000 Misc. Equipment Battery Powered Generator Welder (replaces) 2003-5061 Batteries (8) AP 5005 Electric Blower BGA (3) Quick Cut Saw (battery) TSA 230 Total 502750.0000 Misc. Equipment 502760.0000 Other Fixed Assets Garbage receptacles, picnic tables, benches, bleachers AODA Component Upgrades to Existing Playground Structures (Year 2 of 2) Total 502760.0000 Other Fixed Assets 502820.0000 Taxes -Tenant Conservation Authority Frenchman's Bay Ratepayers Ontario Power Generation / Hydro One -Greenspace Licences Dianna, Princess of Wales Park/Ontario Infrastructure West Duffin Creek Trail /Ontario Infrastructure Beverley Morgan Park/Ontario Infrastructure Pickering/York PIL Total 502820.000.0 Taxes -Tenant Total Expenses Revenues 402500.0000 Federal Grants Program Grant -Federal Total 402500.0000 Federal Grants 403060.0000 Rentals -User Fees Parks Permits/Sports Camps/Tournaments Hydro Costs Tennis Courts Total 403060.0000 Rentals -User Fees 403102.0000 Memrl Tree/Bench Rev Memorial Trees and Benches Pet Memorial Program 296 Run Date: Sep 13, 2023 Approved 2023 Budget 84,225 84,225 6,250 3,360 9,610 2,000 10,000 4,100 1,050 550 17,700 50,000 60,000 110,000 5,000 14,000 150,000 32,000 1,500 25,000 6,000 233,500 5,649,424 (9,000) (9,000) (205,000) (10,000) (215,000) (30,000) (5,000) City of Pickering 2023 Approved Background Information 10320 Parks Total 403102.0000 Memrl Tree/Bench Rev Total Revenues Transfers 408009.0000 Trf fr Cntg Stdy Res Funding for LED Conversion of Kinsmen Park Artificial Turf Sports Field Total 408009.0000 Trf fr Cntg Stdy Res 408200.0000 Trf fr 3rdPtyOblg RF Tree Compensation -Cash in Lieu reserve funding for general tree replacement Total 408200.0000 Trf fr 3rdPtyOblg RF Total Transfers Net Expenses (Revenues) 297 Run Date: Sep 13, 2023 Approved 2023 Budget (35,000) (259,000) (7,380) (7,380) (15,000) (15,000) (22,380) 5,368,044 City of Pickering 2023 Approved Current Budget Summary 10325 Operations Services 2021 2022 2022 Actuals Actuals Account Description Approved Increase/ Budget Decrease Expenditures -674,838 Salaries & Wages 906,217 (49,728) -90 Overtime 5,000 - -178,919 Employee Benefits 270,677 (30,352) 1,098 1,538 Uniforms 3,955 1,480 --Conferences 1 ,800 800 -1,135 Seminars & Education 9,450 (5,800) 962 5,057 Travel 4,000 - -1,775 Cellular Phones 4,020 325 -2,044 Telephone & Data 2 ,500 - -267 Internet 350 - --Subscriptions & Publications 200 (200) --Photo, Mapping, Print 9 ,000 - -2,500 Insurance Premium 2 ,500 250 -171,505 Consulting & Professional Fees 297,000 98,705 -188 Meals , Promotions & General 1,000 - 417 2,939 Memberships 4,700 1,150 --Outside Agency Services 4,000 (4,000) 258 132 Building -Repairs & Maintenance 2,000 - 124 -Vehicle -Repairs & Maintenance -- 1,926 -Misc. Equip . -Repairs & Maintenance -- 41 -Grounds Upkeep -- -2,757 Stationary & Office Supplies 5 ,000 900 179 -Programs & Event Supplies -- 562 81 Supplies & Tools -- -25,841 Software & Hardware Mtce . Contracts 68,185 (6 ,255) --Furniture & Fixtures -3 ,000 5,567 1,071,606 Total Expenditures 1,601,554 10,275 Revenues -(6,000) Municipal Rentals (6,000) - --Rebates & Incentives (40,000) - -(6,000) Total Revenues (46,000) - Transfers --Transfer to/(from) DC Oblg RF (39,140) (28,360) -19,702 Transfer to(from) Cntg Sty Res . -(19,705) 298 Run Date: Sep 13, 2023 2023 Approved %Change Budget From 2022 856,489 (5.49%) 5 ,000 - % 240,325 (11 .21%) 5,435 37.42% 2 ,600 44.44% 3 ,650 (61 .38%) 4,000 -% 4,345 8 .08% 2,500 -% 350 - % -(100 .00%) 9,000 -% 2,750 10.00% 395,705 33 .23% 1,000 - % 5,850 24.47% -(100 .00%) 2,000 - % --% --% --% 5,900 18 .00% --% --% 61 ,930 (9.17%) 3,000 - % 1,611,829 0.64% (6,000) -% (40 ,000) -% (46,000) - % (67,500) 72.46% (19,705) -% City of Pickering 2023 Approved Current Budget Summary 10325 Operations Services 2021 2022 2022 Actuals Actuals Account Description Approved Increase I Budget Decrease --Transfer to(from) Reserve (60 ,860) (11,640) -19,702 Total Transfers (100,000) (59,705) 5,567 1,085,308 Net Expenditures (Revenues) 1,455 ,554 (49 ,430) 299 Run Date : Sep 13, 2023 2023 Approved % Change Budget From 2022 (72 ,500) 19.13% (159,705) 59.71% 1,406,124 (3.40%) City of Pickering 2023 Approved Background Information 10325 Operations Services Run Date: Sep 13, 2023 Expenditures 501000.0000 Salaries & Wages Base Salaries and Wages One full-time Corporate Security Specialist position -transfer to 10200 One new full-time Manager, Facilities Capital Projects position -Sept 1, 2023 start date Total 501000.0000 Salaries & Wages 501010.0000 Overtime To meet service level/workload commitments Total 501010.0000 Overtime 501020.0000 Employee Benefits This item includes mandatory deductions (CPP, El, EHT) and employer provided benefits such as extended health and dental Benefits related to one full-time Corporate Security Specialist position-transfer to 10200 Benefits related to one new full-time Manager, Facilities Capital Projects position -Sept 1, 2023 start date Total 501020.0000 Employee Benefits 501040.0000 Uniforms Uniforms for all Staff Total 501040.0000 Uniforms 501100.0000 Conferences Ontario Association of Architects (OAA) (Division Head and Manager) Total 501100.0000 Conferences 501110.0000 Seminars & Education First Aid/CPR Defibrillator Training/Recertification Passive House Seminars Supervisor, Energy Management Seminars & Education Technical Skill Educational Support American Society for Industrial Security (ASIS) American Society for Industrial Security (ASIS) -transfer to 10200 Total 501110.0000 Seminars & Education 501130.0000 Travel Parking & Mileage Total 501130.0000 Travel 502020.0000 Cellular Phones Annual Smartphone Charges (Director, Division Head, Manager, Corporate Security Specialist, Coordinators (4)) Annual Smartphone Charges (Corporate Security Specialist) -transfer to 10200 300 Approved 2023 Budget 929,449 (111,460) 38,500 856,489 5,000 5,000 259,780 (31,005) 11,550 240,325 5,435 5,435 2,600 2,600 200 750 2,000 700 150 (150) 3,650 4,000 4,000 4,045 (480) City of Pickering 2023 Approved Background Information 10325 Operations Services Run Date: Sep 13, 2023 Annual Tablet Charges (Director) Smartphone equipment and monthly charges for new Manager, Facilities Capital Projects Total 502020.0000 Cellular Phones 502030.0000 Telephones & Data Voice/Data Total 502030.0000 Telephones & Data 502040.0000 Internet Internet Total 502040.0000 Internet 502120.0000 Subscriptions&Publcs Security Publications Security Publications -transfer to 10200 Total 502120.0000 Subscriptions&Publcs 502150.0000 Photo,Mapping,Print To cover professional services for photography map, printing reproductions, plotter supplies Total 502150.0000 Photo,Mapping,Print 502210.0000 Insurance Premium Annual cost of insurance policy that provides protection for municipal activities and property. (Policy coverage includes: liability, automobile and property) Total 502210.0000 Insurance Premium 502230.0000 Consult&Prof Fees Facilities Renewal Plan (67.5% funded from Development Charge Reserve Fund) Miscellaneous Consulting Structural and Waterproofing Investigations (GWCC) Structural and Coating Review (Delaney Arena) Coating and Structural Review (Core and Banquet Hall) Structural Review (City Hall Tower) Designated Substance Surveys (GALCC, GWL, PMV: Miller Cole; Conservation Shed; Conservation Building; General Store; Puterbaugh House) Architectural Study (PMV Chapel and School House) Building Envelope Review (City Hall) Septic System Inspections (BHCC, GWL) Annual Roof Structure Review (DIP) Building Condition Assessments Energy Audits (PCC, CHDRC) Pool Condition Assessment and Investigation (CHDRC) 301 Approved 2023 Budget 180 600 4,345 2,500 2,500 350 350 200 (200) 9,000 9,000 2,750 2,750 100,000 40,000 . 15,000 18,000 18,000 4,000 16,000 7,000 12,000 17,000 8,000 6,000 40,000 60,000 City of Pickering 2023 Approved Background Information 10325 Operations Services Run Date: Sep 13, 2023 CHDRC HVAC System Assessment Preliminary engineering study of rooftop solar PV options for the Operations Centre - funded from the Sustainable Initiatives Reserve OBA Rink 3 Remedial Repairs (PO# 4500000791 -funded from the Continuing Studies Reserve) CHDRC Elevator Review (PO#4500000792 -funded from the Continuing Studies Reserve) Facilities Reaudits (PO#4500000685 -funded from the Continuing Studies Reserve) CHDRC Life Safety Review (PO#4500000799 -funded from the Continuing Studies Reserve) ESCC Building Condition Audit (PO#4500000457 -funded from the Continuing Studies Reserve) OBA Building Condition Audit (PO#4500000458 -funded from the Continuing Studies Reserve) Total 502230.0000 Consult&Prof Fees 502240.0000 Meals/Prom/General Miscellaneous Meetings, Functions, and Promotional Events Total 502240.0000 Meals/Prom/General 502250.0000 Memberships Ontario Association of Certified Engineering Technologists (OACETT) Ontario Association of Architects (OAA) (Division Head and Manager) Ontario Building Envelope Council (OBEC) and BSS Certification Royal Architectural Institute of Canada (RAIC) Leadership in Energy and Environmental Design Accredited Professional Building Design and Construction (Supervisor, Energy Management) American Society of Heating, Refrigerating and Air Conditioning Engineers (Supervisor, Energy Management) Ontario Association of Certified Engineering Technicians and Technologists (Supervisor, Energy Management) Canada Green Building Council Security Associations American Society for Industrial Security (ASIS) (virtual) Transfer security-related memberships to 10200 Total 502250.0000 Memberships 502340.0000 Building Rpr & Mntc Security Equipment Total 502340.0000 Building Rpr & Mntc 502500.0000 Stationery&OfficeSup 302 Approved 2023 Budget 10,000 5,000 1,835 610 4,890 10,175 1,980 215 395,705 1,000 1,000 300 2,400 500 450 150 300 250 1,500 1,500 250 (1,750) 5,850 2,000 2,000 City of Pickering 2023 Approved Background Information 10325 Operations Services General Office Supplies Energy Measurement Tools Total 502500.0000 Stationery&OfficeSup 502700.0000 Sfwr/Hdwr Mntc Contr Facility Asset Management Maintenance HRIS Maintenance RETScreen AutoCAD Licenses (3 year contract) Energy Management Software Maintenance -Security Incident Reporting Software (annual resolver subscription) Maintenance -Security Incident Reporting Software -transfer to 10200 Total 502700.0000 Sfwr/Hdwr Mntc Contr 502740.0000 Furniture & Fixtures Furniture Replacements Total 502740.0000 Furniture & Fixtures Total Expenses Revenues 404500.9480 Municipal Rentals -Rntl-CCC Roof Solar Panel Rental of Tomlinson Community Centre Rooftop Solar Panels Total 404500.9480 Municipal Rentals -Rntl-CCC Roof Solar Panel 406551.0000 Rebates&lncentives Green Initiatives -Incentives and Rebates received from Corporate Energy Programs Total 406551.0000 Rebates&lncentives Total Revenues Transfers 408008.0000 Trf fr City Share DC City Share DC Reserve -funding for Facilities Renewal Plan Total 408008.0000 Trf fr City Share DC 408009.0000 Trf fr Cntg Stdy Res Funding for OBA Rink 3 Remedial Repairs Funding for CHDRC Elevator Review Funding for Facilities Reaudits Funding for CHDRC Life Safety Review Funding for ESCC Building Condition Audit Funding for OBA Building Condition Audit Total 408009.0000 Trf fr Cntg Stdy Res 408024.0000 Trf fr Sustnlntv Res 303 Run Date: Sep 13, 2023 Approved 2023 Budget 5,000 900 5,900 40,000 980 950 10,000 10,000 31,000 (31,000) 61,930 3,000 3,000 1,611,829 (6,000) (6,000) (40,000) (40,000) (46,000) (67,500) (67,500) (1,835) (610) (4,890) (10,175) (1,980) (215) (19,705) 10325 Operations Services City of Pickering 2023 Approved Background Information Funding for preliminary engineering study of rooftop solar PV options for the Operations Centre Total 408024.0000 Trf fr Sustnlntv Res 408605.0000 Trf fr DC Studies RF DC Studies Reserve Fund -Funding for Facilities Renewal Plan Total 408605.0000 Trf fr DC Studies RF Total Transfers Net Expenses (Revenues) 304 Run Date: Sep 13, 2023 Approved 2023 Budget (5,000) (5,000) (67,500) (67,500) (159,705) 1,406,124 City of Pickering 2023 Approved Current Budget Summary 10330 Major Capital Facilities 2021 2022 2022 Actuals Actuals Account Description Approved Increase I Budget Decrease Expenditures --Salaries & Wages -126,500 --Overtime -1 ,250 --Employee Benefits -34,800 --Seminars & Education -1,000 --Travel -1,000 --Cellular Phones -1 ,200 --Telephone & Data -625 --Photo, Mapping, Print -2,250 --Insurance Premium -700 --Meals, Promotions & General -250 --Building -Repairs & Maintenance -1,850 --Building Rentals -9,700 --Stationary & Office Supplies -750 --Supplies & Tools -100 --Software & Hardware Mtce . Contracts -8,000 - - Total Expenditures -189,975 Revenues - - Total Revenues -- Transfers --Transfer to(from) Reserve -(189,975) - - Total Transfers -(189,975) --Net Expenditures (Revenues) - - 305 Run Date : Sep 13, 2023 2023 Approved %Change Budget From 2022 126 ,500 -% 1,250 -% 34,800 -% 1,000 -% 1,000 -% 1,200 -% 625 -% 2 ,250 -% 700 -% 250 -% 1,850 -% 9 ,700 -% 750 -% 100 -% 8,000 -% 189,975 - % -- % (189 ,975) -% (189,975) -% --% City of Pickering 2023 Approved Background Information 10330 Major Capital Facilities Run Date: Sep 13, 2023 Expenditures 501000.0000 Salaries & Wages 30% of Division Head, Operations Services position-September 1, 2023 start date Two new full-time senior Project Manager positions -September 1, 2023 start date One new full-time Coordinator position -September 1, 2023 start date Total 501000.0000 Salaries & Wages 501010.0000 Overtime Overtime required to meet workload demands Total 501010.0000 Overtime 501020.0000 Employee Benefits Benefits related to 30% of Division Head, Operations Services position -September 1, 2023 start date Benefits related to two new full-time senior Project Manager positions -September 1, 2023 start date Benefits related to one new full-time Coordinator position -September 1, 2023 start date Total 501020.0000 Employee Benefits 501110.0000 Seminars & Education Seminars and education for all staff Total 501110.0000 Seminars & Education 501130.0000 Travel Parking and mileage for all staff Total 501130.0000 Travel 502020.0000 Cellular Phones Annual Smartphone charges and new phone purchases for staff Total 502020.0000 Cellular Phones 502030.0000 Telephones & Data Major Capital Facilities Voice/Data Total 502030.0000 Telephones & Data Major Capital Facilities 502150.0000 Photo,Mapping,Print To cover professional services for photography map, printing reproductions, plotter supplies Total 502150.0000 Photo,Mapping,Print 502210.0000 Insurance Premium Allocation of insurance premium Total 502210.0000 Insurance Premium 502240.0000 Meals/Prom/General Miscellaneous meetings, functions, and promotional events 306 Approved 2023 Budget 15,500 85,400 25,600 126,500 1,250 1,250 4,260 23,500 7,040 34,800 1,000 1,000 1,000 1,000 1,200 1,200 625 625 2,250 2,250 700 700 250 City of Pickering 2023 Approved Background Information 10330 Major Capital Facilities Total 502240.0000 Meals/Prom/General 502340.0000 Building Rpr & Mntc Operating costs at satellite office leased space Total 502340.0000 Building Rpr & Mntc 502400.0000 Building Rentals Satellite office lease costs beginning Nov 1, 2023 Total 502400.0000 Building Rentals 502500.0000 Stationery&OfficeSup General office supplies Total 502500.0000 Stationery&OfficeSup 502540.0000 Supplies & Tools General supplies and tools Total 502540.0000 Supplies & Tools 502700.0000 Sfwr/Hdwr Mntc Contr Computer costs for new staff Total 502700.0000 Sfwr/Hdwr Mntc Contr Total Expenses Total Revenues Transfers 408037.0000 Trf fr Casino Res To fund cost of new Capital Facilities Team Total 408037.0000 Trf fr Casino Res Total Transfers Net Expenses (Revenues) 307 Run Date: Sep 13, 2023 Approved 2023 Budget 250 1,850 1,850 9,700 9,700 750 750 100 100 8,000 8,000 189,975 (189,975) (189,975) (189,975) w ..... ..... -04~/- PlCKERlNG Mayor Members of Council ................ I The Corporation of the City of Pickering Corporate Services Department Legislative Services Division Director, Corporate Services & City Solicitor '- I City Clerk (1-NUFT) I Employee Complement 5 Non-Union Full-Time (NUFT) 0 Non-Union Part-Time (NUPT) 3 Union Full-Time (UFT) UPT) Legislative Coordinator (1-NUFT) Committee Coordinator Deputy Clerk (1-NUFT) (1-NUFT) Coordinator, Records & ....--Elections (1-NUFT) Clerk, Administration I-Vital Stats & Lottery '- Licensing _(1-UFT) ~[ Clerk, Printshop (1-UFT) L{ Clerk, Mailroom l (1-UFT}, Authorized by: Chief Administrative Officer r January 23, 2023 Chart No. 5 (c) City of Pickering 2023 ' Approved Current Budget Summary Corporate Services Department 2021 2022 2022 Actuals Actuals Account Description Approved Increase I Budget Decrease Expenditures 3,565,618 4,111,102 Salaries & Wages 4,270,488 435,951 89,358 122,397 Overtime 92,239 6,000 906,492 985,975 Employee Benefits 1,095,851 105,057 -336 Employee Recognition -- 15,053 14,374 Uniforms 20,200 1,200 499 3,843 Conferences 3,600 4,400 32,113 39,688 Seminars & Education 63,400 520 9,641 12,817 Corporate Training 16,000 2,000 216 1,914 Travel 4,200 - 135,197 224,009 Postage 231,000 (75,000) 3,636 4,376 Freight, Express & Cartage 3,100 1,400 -10 Environmental Charges -- 15,350 19,982 Cellular Phones 24,760 2,900 19,609 24,901 Telephone & Data 27,555 (2,740) 5,091 1,910 Internet 2,140 - 568 104 Advertising 800 - 8,314 9,469 Subscriptions & Publications 8,395 440 10,651 10,556 Legal Services Expense 12,000 - 24,620 24,620 Insurance Premium 24,620 42,314 --Insurance Deductible 2,000 - 107,367 118,381 Consulting & Professional Fees 224,000 215,500 2,564 4,459 Meals, Promotions & General 8,500 3,000 5,034 3,902 Memberships 14,500 100 102,460 223,549 Outside Agency Services 129,175 48,625 13,683 23,134 Building -Repairs & Maintenance 12,358 13,000 18,142 18,964 Vehicle -Repairs & Maintenance 12,800 - 29,721 36,439 Gas, Oil, Tire, Etc. 38,155 1,000 13,351 16,500 Misc. Equip. -Repairs & Maintenance 46,100 1,200 15,308 15,571 Building Rentals 17,406 92 --Land Rentals -13,600 5,942 14,867 Stationary & Office Supplies 18,400 (6,500) 5,969 7,838 Forms 8,000 2,000 172,057 229,716 Supplies & Tools 228,202 7,400 -55,393 COVID Related Expenses 194,530 (194,530) --Utilities -Water -3,300 5,416 4,407 Utilities -Hydro 6,798 10,502 313 Run Date: Sep 13, 2023 2023 Approved %Change Budget From 2022 4,706,439 10.21% 98,239 6.50% 1,200,908 9.59% --% 21,400 5.94% 8,000 122.22% 63,920 0 .82% 18,000 12 .50% 4,200 -% 156,000 (32.47%) 4,500 45.16% --% 27,660 11.71% 24,815 (9.94%) 2,140 -% 800 -% 8,835 5.24% 12,000 -% 66,934 171.87% 2,000 -% 439,500 96.21% 11,500 35 .29% 14,600 0 .69% 177,800 37.64% 25,358 105.20% 12,800 -% 39,155 2.62% 47,300 2.60% 17,498 0 .53% 13,600 -% 11,900 (35 .33%) 10,000 25 .00% 235,602 3.24% -(100 .00%) 3,300 -% 17,300 154.49% City of Pickering 2023 Approved Current Budget Summary Corporate Services Department 2021 2022 2022 -=. ---=-.., Actuals Actuals Account Description Approved Increase/ Budget Decrease --Utilities -Natural Gas -6,700 5 ,659 5,106 Utilities -Oil 6 ,500 - 550 ,674 939 ,130 Software & Hardware Mice . Contracts 1,067,496 (102,425) 72 ,687 50,204 System & Software Upgrade 161 ,799 (15 ,099) 18,395 33,181 Hardware Replacements 59,400 41,000 1,151 -Furniture & Fixtures -- 46,588 22,775 Misc. Equipment 57,795 223 ,000 14,726 23,666 Parking MOT 75,000 - -755 Livestock Killed 500 - 6,048,920 7,460,320 Total Expenditures 8,289,762 795,907 Revenues -(16 ,800) Federal G rants -(18,900) -(103 ,200) Ontario Grants (284,680) 32,500 (1,250) -Other Agency Grants -(30 ,000) (285,160) (311,465) Department User Fees (276,810) (7,690) (49,421) (373,140) Other User Fees (330,800) (9 ,200) (454,685) (684,466) Licences & Permits (445,500) (58,500) (651,649) (1,519,332) Fines & Charges (882,000) (420 ,000) (3 ,212) (4,363) Donations -- -(800) Sponsorships (3,000) - (1,000) (1 ,250) Marketing Sponsors (2,000) (5,000) (1,446 ,377) (3 ,014,816) Total Revenues (2,224 ,790) (516,790) Transfers (16 ,827) -Transfer to(from) Cntg Sty Res . -- -(435,075) Transfer to(from) Reserve (538 ,035) 359 ,555 (16,827) (435,075) Total Transfers (538,035) 359,555 4,585,716 4,010,429 Net Expenditures (Revenues) 5,526,937 638,672 Cherrywood Development --Consulting & Professional Fees -100,000 --Transfer to(from) Reserve -(100,000) --Net Expenditures (Revenues) -- 4,585,716 4,010,429 Total Net Expenditures (Revenues) 5,526,937 638,672 314 Run Date : Sep 13 , 2023 2023 Approved %Change Budget From 2022 6,700 - % 6 ,500 - % 965 ,071 (9 .59%) 146,700 (9.33%) 100,400 69 .02% --% 280,795 385 .85% 75,000 - % 500 -% 9,085,669 9.60% (18 ,900) -% (252,180) (11.42%) (30,000) -% (284,500) 2 .78% (340,000) 2.78% (504,000) 13 .13% (1,302,000) 47 .62% -- % (3,000) -% (7 ,000) 250.00% (2,741,580) 23.23% -- % (178,480) (66.83%) (178,480) (66.83%) 6,165,609 11 .56% 100,000 - % (100,000) -% --% 6,165,609 11 .56% . 120,000 : 100,000 80,000 60,000 -·· .. 40,000 20,000 0 2018 $101,109 Budget vs Actual Net Cost/Revenue 2018-2022 10420 Print Shop/Mail Room 2019 2020 2021 $99,719 2022 If actual net cost > budget net cost, the cost centre is in a deficit position. 780,000 580,000 380,000 180,000 (20,000) (220,000) . (420,000) · - 2018 $116,772 10425 By-Law 2019 2020 2021 2022 .$658,652 $47,380 $250,917 If actual net revenue< budget net revenue, the cost centre is in a deficit position. 317 10400 Legal Services 2021 2022 Actuals Actuals 388 ,564 389 ,709 361 1,561 100,510 98 ,815 -336 1,208 853 -- 596 1,499 1 ,159 1,170 159 153 8,120 9 ,255 10,651 10,556 3,530 3,530 63,128 77,499 -442 3,098 2,653 1,079 1,808 -161 188 691 582,351 600,691 (187 ,379) (205 ,197) -(106) (187,379) (205,303) -- -- 394,972 395,388 -- -- -- City of Pickering 2023 Approved Current Budget Summary --- 2022 Account Description Approved Increase I Budget Decrease Expenditures Salaries & Wages 499,977 30,767 Overtime 1,500 - Employee Benefits 127,984 3,457 Employee Recognition -- Seminars & Education 4,500 - Travel 750 - Cellular Phones 1,600 - Telephone & Data 1,215 - Internet 150 - Subscriptions & Publications 7 ,645 440 Legal Services Expense 12,000 - Insurance Premium 3 ,530 353 Consulting & Professional Fees 71 ,000 119,000 Meals, Promotions & General 500 - Membersh ips 6,550 - Stationary & Office Supplies 1,500 - Supplies & Tools -- Software & Hardware Mtce . Contracts 775 (140) Total Expenditures 741,176 153,877 Revenues Department User Fees (167 ,510) 8 ,510 Other User Fees -- Total Revenues (167,510) 8,510 Transfers Transfer to(from) Reserve (102 ,960) (8 ,520) Total Transfers (102,960) (8,520) Net Expenditures (Revenues) 470,706 153,867 Cherrywood Development Consulting & Professional Fees -100,000 Transfer to(from) Reserve -(100,000) Net Expenditures (Revenues) -- 319 Run Date: Sep 13, 2023 2023 Approved %Change Budget From 2022 530,744 6.15% 1 ,500 -% 131,441 2 .70% --% 4,500 -% 750 -% 1,600 -% 1,215 -% 150 -% 8 ,085 5 .76% 12,000 -% 3 ,883 10.00% 190,000 167.61% 500 -% 6 ,550 -% 1,500 -% --% 635 (18 .06%) 895,053 20.76% (159 ,000) (5 .08%) --% (159,000) (5.08%) (111,480) 8 .28% (111,480) 8.28% 624,573 32.69% 100,000 -% (100,000) -% --% 10400 Legal Services 2021 2022 Actuals Actuals 394,972 395,388 City of Pickering 2023 Approved Current Budget Summary 2022 .. 0:.,. Acco·unt Description Approved Increase/ Budget Decrease Total Net Expenditures (Revenues) 470,706 153,867 320 Run Date: Sep 13, 2023 2023 Approved %Change Budget From 2022 624,573 32.69% City of Pickering 2023 Approved Background Information 10400 Legal Services Expenditures 501000.0000 Salaries & Wages Base Salaries and Wages Total 501000.0000 Salaries & Wages 501010.0000 Overtime To meet service level/workload commitments Total 501010.0000 Overtime 501020.0000 Employee Benefits This item includes mandatory deductions (CPP, El, EHT) and employer provided benefits such as extended health and dental Total 501020.0000 Employee Benefits 501110.0000 Seminars & Education Topical Seminar -City Solicitor, mandatory Continuing Legal Education (CLE) Topical Seminar -Legal Services Assistant Topical Seminar -Associate Solicitor, mandatory CLE Total 501110.0000 Seminars & Education 501130.0000 Travel Parking and mileage Total 501130.0000 Travel 502020.0000 Cellular Phones Annual Smartphone charges -Director, Corporate Services & City Solicitor Annual Smartphone charges -Associate Solicitor Total 502020.0000 Cellular Phones 502030.0000 Telephones & Data Voice/ Data Total 502030.0000 Telephones & Data 502040.0000 Internet Internet Total 502040.0000 Internet 502120.0000 Subscriptions&Publcs 2022 LexisNexis Quicklaw @ $293.00 per month Reference material, journals and reports Miscellaneous Total 502120.0000 Subscriptions&Publcs 502200.0000 Legal Srv Exp Searching titles, registering documents, filing documents and obtaining transcripts. These costs are offset by revenues (Sale of Service Agreements). Total 502200.0000 Legal Srv Exp 502210.0000 Insurance Premium 321 Run Date: Sep 13, 2023 Approved 2023 Budget 530,744 530,744 1,500 1,500 131,441 131,441 2,000 500 2,000 4,500 750 750 800 800 1,600 1,215 1,215 150 150 3,525 4,000 560 8,085 12,000 12,000 City of Pickering 2023 Approved Background Information 10400 Legal Services Run Date: Sep 13, 2023 Annual cost of insurance policy that provides protection for municipal activities and property. (Policy coverage includes: liability, automobile and property) Total 502210.0000 Insurance Premium 502230.0000 Consult&Prof Fees Contract services -Provincial Offences Act (POA) enforcement General legal matters (including contract legal services from Durham Region) City's Legal Jurisdiction over Frenchman's Bay Integrity Commissioner Fees Total 502230.0000 Consult&Prof Fees 502230.4006 Consult&Prof Fees -Cherrywood-10400 Legal services associated with Cherrywood development agreement Total 502230.4006 Consult&Prof Fees -Cherrywood-10400 502240.0000 Meals/Prom/General General meetings Total 502240.0000 Meals/Prom/General 502250.0000 Memberships General Law Society Memberships (Director, Corporate Services & City Solicitor) General Law Society and Canadian Bar Association Memberships (Associate Solicitor) Total 502250.0000 Memberships 502500.0000 Stationery&OfficeSup General office supplies (increase for additional staff) Total 502500.0000 Stationery&OfficeSup 502700.0000 Sfwr/Hdwr Mntc Contr Maintenance -HRIS Total 502700.0000 Sfwr/Hdwr Mntc Contr Total Expenses Revenues 403000.9525 Department User Fees -Sale of Services -Legal Notarizing documents Total 403000.9525 Department User Fees -Sale of Services -Legal 403000.9526 Department User Fees -Sale of Services -Agreements Revenues from various legal services Revenue recovery from registering documents Total 403000.9526 Department User Fees -Sale of Services -Agreements 403000.9527 Department User Fees -Other Revenue (Disb Recovery) Chargebacks for registration and search fees paid by the City and billed back to the developers. Total 403000.9527 Department User Fees -Other Revenue (Disb Recovery) 322 Approved 2023 Budget 3,883 3,883 35,000 36,000 79,000 40,000 190,000 100,000 100,000 500 500 3,500 3,050 6,550 1,500 1,500 635 635 995,053 (1,000) (1,000) (145,000) (5,000) (150,000) (8,000) (8,000) 10400 Legal Services Total Revenues Transfers City of Pickering 2023 Approved Background Information 408019.0000 Trf fr SeatonDev Res Seaton App Fees funding for one position, including benefits Law Clerk, Prop. Dev. Services) Total 408019.0000 Trf fr SeatonDev Res 408040.4006 Trf fr Cherrywood Res -Cherrywood-10400 Funding for Cherrywood development operating expenses Total 408040.4006 Trf fr Cherrywood Res -Cherrywood-10400 Total Transfers Net Expenses (Revenues) 323 Run Date: Sep 13, 2023 Approved 2023 Budget (159,000) (111,480) (111,480) (100,000) (100,000) (211,480) 624,573 City of Pickering 2023 Approved Current Budget Summary 10.405 Information Technology 2021 2022 2022 Actuals Actuals Account Description Approved Increase/ Budget Decrease Expenditures 1,034,702 1,210,632 Salaries & Wages 1,409,797 153,216 55,524 62,098 Overtime 64 ,000 6,000 285,972 296,645 Employee Benefits 359,962 39,324 --Uniforms 800 - -2,347 Conferences 2 ,000 4,000 24,237 30 ,676 Seminars & Education 45,400 - 9,641 12,817 Corporate Training 16,000 2,000 -1,433 Travel 1,200 - -15 Freight, Express & Cartage -- -11 Environmental Charges -- 7,587 10,625 Cellular Phones 9,900 900 4,098 4,996 Telephone & Data 7,355 (1,655) 636 610 Internet 850 - 30 -Subscriptions & Publications -- 8,000 8,000 Insurance Premium 8,000 40,652 26,966 38 ,287 Consulting & Professional Fees 147,000 82,500 482 348 Meals, Promotions & General 1,000 - 464 454 Memberships 5,400 - -458 Outside Agency Services 2,400 - --Building -Repairs & Maintenance -15,000 -10 Vehicle -Repairs & Maintenance -- 13,351 16,500 Misc. Equip . -Repairs & Maintenance 46,100 1,200 1,212 147 Stationary & Office Supplies 3 ,700 - 174 -Supplies & Tools -- -55,393 COVID Related Expenses 191,530 (191,530) --Utilities -Water -3,300 --Utilities -Hydro -12 ,000 --Utilities -Natural Gas -6,700 503,249 617 ,133 Software & Hardware Mtce . Contracts 712,808 156,141 72,687 50,204 System & Software Upgrade 161,799 (15,099) 18,395 33,181 Hardware Replacements 59,400 41 ,000 1,151 -Furniture & Fixtures -- 46,466 22,775 Misc . Equipment 57 ,795 223,000 2,115,024 2,475,795 Total Expenditures 3,314,196 578,649 Revenues 324 Run Date: Sep 13, 2023 2023 Approved %Change Budget From 2022 1,563,013 10.87% 70,000 9 .38% 399 ,286 10 .92% 800 -% 6,000 200 .00% 45,400 -% 18,000 12 .50% 1,200 -% --% --% 10,800 9 .09% 5,700 (22 .50%) 850 -% --% 48,652 508 .15% 229,500 56 .12% 1,000 -% 5,400 -% 2,400 -% 15,000 -% --% 47,300 2 .60% 3,700 -% --% -(100.00%) 3,300 -% 12 ,000 -% 6,700 -% 868,949 21.91% 146,700 (9.33%) 100,400 69 .02% --% 280,795 385 .85% 3,892,845 17.46% City of Pickering 2023 Approved Current Budget Summary 10405 Information Technology 2021 2022 2022 Actuals Actuals Account Description Approved Increase I Budget Decrease -(102,415) Ontario Grants (261,680) 10 ,000 -(102,415) Total Revenues (261 ,680) 10,000 Transfers --Transfe r to(from) Reserve -(67,000) --Total Transfers -(67,000) 2,115,024 2,373,380 Net Expenditures (Revenues) 3,052,516 521,649 325 Run Date : Sep 13, 2023 2023 Approved %Change Budget From 2022 (251 ,680) (3.82%) (251,680) (3.82%) (67,000) - % (67,000) -% 3,574,165 17.09% City of Pickering 2023 Approved Background Information 10405 Information Technology Run Date: Sep 13, 2023 Expenditures 501000.0000 Salaries & Wages Base Salaries and Wages Full-time Business Analyst -Enterprise Portal Systems ten-month contract position (100% funded from Streamline Development Approval Fund) Full-time Web/Mobile Application Developer four-month contract position (100% funded from Streamline Development Approval Fund) -One new full-time Business Analyst position, May 1, 2023 start date One new full-time Amanda Software Administrator position, May 1, 2023 start date Total 501000.0000 Salaries & Wages 501010.0000 Overtime Onsite Support for Council meetings (virtual) and other service level commitments After hours support Total 501010.0000 Overtime 501020.0000 Employee Benefits This item includes mandatory deductions (CPP, El, EHT) and employer provided benefits such as extended health and dental Statutory benefits related to one full-time Business Analyst -Enterprise Portal Systems contract position (100% funded from Streamline Development Approval Fund) Statutory benefits related to one full-time Web/Mobile Application Developer contract position (100% funded from Streamline Development Approval Fund) Benefits related to one new full-time Business Analyst position, May 1, 2023 start date Benefits related to one new full-time Amanda Software Administrator position, May 1, 2023 start date Total 501020.0000 Employee Benefits 501040.0000 Uniforms As per Collective Agreement, Personal Protective Equipment Total 501040.0000 Uniforms 501100.0000 Conferences IT Conferences Total 501100.0000 Conferences 501110.0000 Seminars & Education Information Technology Staff Training IT Security Training Training & Exam -related expenditures Total 501110.0000 Seminars & Education 501120.0000 Corporate Training Security awareness training for all staff 326 Approved 2023 Budget 1,264,313 150,600 50,900 46,100 51,100 1,563,013 28,000 42,000 70,000 347,606 15,100 5,090 16,150 15,340 399,286 800 800 6,000 6,000 32,000 12,500 900 45,400 18,000 City of Pickering 2023 Approved Background Information 10405 Information Technology Total 501120.0000 Corporate Training 501130.0000 Travel Parking & Mileage Total 501130.0000 Travel 502020.0000 Cellular Phones Annual cell phone and Smartphone charges for staff Smartphone equipment and monthly charges for new Business Analyst Total 502020.0000 Cellular Phones 502030.0000 Telephones & Data Voice/ Data Total 502030.0000 Telephones & Data 502040.0000 Internet Internet Total 502040.0000 Internet 502210.0000 Insurance Premium Annual cost of insurance policy that provides protection for municipal activities and property. (Policy coverage includes: liability, automobile and property) Cyber insurance premiums Total 502210.0000 Insurance Premium 502230.0000 Consult&Prof Fees Corporate Systems Integration Support Network & Security Support Corporate Software Strategic Plan IT Capability Study and Multi Year Plan (funded from the Rate Stabilization Reserve) Broadband Consulting Consulting services to support Project Prism (100% funded from the Streamline Development Approvals Fund) Total 502230.0000 Consult&Prof Fees 502240.0000 Meals/Prom/General Reception, promotions & meetings Total 502240.0000 Meals/Prom/General 502250.0000 Memberships Municipal Information Systems Association -Division Head, IT Center for Internet Security -Network Security Administrator Total 502250.0000 Memberships 502260.0000 Outside Agency Srvc Recording of Meetings within Council Chambers Total 502260.0000 Outside Agency Srvc 502340.0000 Building Rpr & Mntc 327 Run Date: Sep 13, 2023 Approved 2023 Budget 18,000 1,200 1,200 9,900 900 10,800 5,700 5,700 850 850 8,800 39,852 48,652 28,000 42,500 57,000 67,000 5,000 30,000 229,500 1,000 1,000 650 4,750 5,400 2,400 2,400 City of Pickering 2023 Approved Background Information 10405 Information Technology One-time cost to key administrative space at Fire Hall 5 for IT staff relocation Building repairs and maintainance at Fire Hall 5 Total 502340.0000 Building Rpr & Mntc 502380.0000 Misc Equip Rpr&Mntc General Equipment Repair & General Expenditures General Network Cabling and City Growth and Development Wireless Communications and Monitoring Web Streaming Hosting (annual) UPS and Battery Replacement Total 502380.0000 Misc Equip Rpr&Mntc 502500.0000 Stationery&OfficeSup General office supplies Ergonomic devices for staff Total 502500.0000 Stationery&OfficeSup 502600.0000 Utilities -Water Administrative space at Fire Hall 5 (for relocated IT staff) Total 502600.0000 Utilities -Water 502610.0000 Utilities -Gas Administrative space at Fire Hall 5 (for relocated IT staff) Total 502610.0000 Utilities -Gas 502620.0000 Utilities -Hydro Administrative space at Fire Hall 5 (relocated IT staff) Total 502620.0000 Utilities -Hydro 502700.0000 Sfwr/Hdwr Mntc Contr Maintenance -MS-Enterprise Agreement. This license agreement allows the City to receive upgrades of the Microsoft licenses. Maintenance -Oracle Licenses Maintenance -Network Security -FW and SIEM Maintenance -IT Help Desk Software Maintenance -Virtualization Maintenance -Disaster Recovery Portal Solution Maintenance -Systems Monitoring Maintenance -Liebert -Uninterruptible Power Supply Maintenance -APC -Uninterruptible Power Supply Maintenance -HP Support for Large Format Printers and Plotters Maintenance -Storage Area Network (SAN) -Civic Complex Maintenance -Storage Area Network (SAN) -Recreation Complex Maintenance -Endpoint and Network Anti-Virus Maintenance -Internet Email Spam Prevention 328 Run Date: Sep 13, 2023 Approved 2023 Budget 5,000 10,000 15,000 21,400 18,600 2,400 900 4,000 47,300 3,200 500 3,700 3,300 3,300 6,700 6,700 12,000 12,000 223,650 85,000 29,550 10,000 35,000 25,000 8,000 3,000 2,890 3,000 20,785 24,879 13,000 31,779 City of Pickering 2023 Approved Background Information 10405 Information Technology Maintenance -Annual Assessment View Data Conversion Maintenance -Microsoft Systems Support Maintenance -Citrix Maintenance -Edge Network Switches API Maintenance for Active Net and Arena Displays Maintenance -Veeam Backup & Replication & Management Suite Contract -Internet Security Certificates Contract -Network and Application Security Assessment Contract -Managed Services -Network Security Maintenance -Datacentre Server and Network Core Hardware Contract -Cisco Meraki Licensing 1 Year renewal -NEW Maintenance -Sierra Wireless Cloud Management Platform Maintenance -Capital Ne~orks Audience Solution Maintenance -Password Management Solution Maintenance -AD Manager Software Maintenance -Remote Support Application Cloud based Security Filter OpenDNS Maintenance -HRIS Maintenance -City Surveillance System Maintenance -Secure Card Access Server Maintenance -Vulnerability scanning software Maintenance -Adobe Licensing -Acrobat, Graphics Design, Sign Maintenance -Cisco WebEX Meetings Total 502700.0000 Sfwr/Hdwr Mntc Contr 502720.0000 System&Sftwr Upgrade Security Management and Monitoring Upgrades Corporate -PC-based Software Upgrades Corporate -Project and Change Management System Additional Software Licencing for new employees Graphics Design Upgrades Security Incident and Event Management System Network Access Control Solution Vulnerability Management, Detection and Response System Oracle Cloud Control Software -Oracle DB Monitoring Total 502720.0000 System&Sftwr Upgrade 502730.0000 Hardware Replacements PCs, Laptop Replacements and upgrades Access Point Hardware upgrades Replacement Firewalls for VPN Connectivity for City Facilities 329 Run Date: Sep 13, 2023 Approved 2023 Budget 510 6,500 39,547 13,500 5,000 26,000 3,500 36,000 28,000 24,900 8,700 2,800 18,000 1,800 7,856 6,528 27,500 1,875 6,500 18,000 5,600 42,800 22,000 868,949 7,500 5,000 12,000 59,000 1,800 5,800 8,200 42,900 4,500 146,700 18,000 12,800 18,000 City of Pickering 2023 Approved Background Information 10405 Information Technology Run Date: Sep 13, 2023 Card Access System for Fire Station 5 LED Monitor Upgrades or Replacements Cloud Backup Solution Network Switch Replacement Total 502730.0000 Hardware Replacements 502750.0000 Misc. Equipment Computers and peripherals for new employees Facility monitoring solution Additional phone handsets for new staff Cellular/ Network Backup for City Facilities IT Security -BLE and Biometric Entry Device Evaluation Additional telecomms hardware for new fire station Audio / Video Peripherals to support online collaboration Interactive exhibit components such as LED displays, touch sensors, sound byte players, RFID tags etc. IT Budget Requests -Community Services IT Budget Requests -Fire Services IT Equipment Requests -Corporate Total 502750.0000 Misc. Equipment Total Expenses Revenues 402510.0000 Ontario Grants Streamline Development Approval Fund -funding for salaries and benefits for contract staff: Business Analyst and Web/Mobile Application Developer Total 402510.0000 Ontario Grants Total Revenues Transfers 408007.0000 Trf fr RateStblz Res Rate stabilization reserve funding for IT Capability Study and Multi Year Plan Total 408007.0000 Trf fr RateStblz Res Total Transfers Net Expenses (Revenues) 330 Approved 2023 Budget 12,000 9,600 15,000 15,000 100,400 129,000 450 7,500 12,000 365 8,000 480 8,000 85,000 10,000 20,000 280,795 3,892,845 (251,680) (251,680) (251,680) (67,000) (67,000) (67,000) 3,574,165 10410 Clerks Office 2021 2022 Actuals Actuals 431,046 397 ,215 2,715 15 ,031 108,665 109,416 499 1,496 1,040 - -189 1,233 464 1,500 1,749 238 229 164 214 2,600 2 ,600 -- -1,005 458 458 1,414 2,361 178 527 551,750 532,954 (58,829) (62 ,595) (173,195) (351 ,036) (232 ,024) (413,631) -- 319,726 119 ,323 City of Pickering 2023 Approved Current Budget Summary 2022 . = ~ Account Description Approved Increase/ Budget Decrease Expenditures Salaries & Wages 381 ,591 114,344 Overt ime 2 ,000 - Employee Benefits 111,814 32,768 Conferences 1,600 400 Seminars & Education 2 ,500 500 Travel 500 - Cellular Phones 1,600 - Telephone & Data 1,820 (420) Internet 230 - S ubscriptions & Publications 700 - Insurance Premium 2 ,600 260 Consulting & Professional Fees -10,000 Meals , Promotions & General 1,000 - Memberships 1,000 - Stat ionary & Office Supplies 2 ,000 - Software & Hardware Mtce . Contracts 590 5 ,105 Total Expenditures 511,545 162,957 Revenues Department User Fees (70,000) (13,000) Licences & Permits (212,000) (28 ,000) Total Revenues (282;000) (41,000) Transfers Total Transfers - - Net Expenditures (Revenues) 229,545 121 ,957 331 Run Date : Sep 13, 2023 2023 Approved % Change Budget From 2022 495 ,935 29.97% 2,000 -% 144,582 29 .31% 2,000 25 .00% 3 ,000 20.00% 500 -% 1,600 -% 1,400 (23 .08%) 230 -% 700 -% 2 ,860 10.00% 10,000 -% 1,000 - % 1,000 -% 2,000 -% 5,695 865 .25% 674,502 31.86% (83,000) 18.57% (240,000) 13 .21% (323,000) 14.54% --% 351 ,502 53 .13% City of Pickering 2023 Approved Background Information 10410 Clerks Office Expenditures 501000.0000 Salaries & Wages Base Salaries and Wages One new full-time Legislative Coordinator position, March 1, 2023 start date (Council Resolution #54/22) One new full-time Clerk, Administration, Vital Statistics & Lottery Licensing position, July 1, 2023 start date Total 501000.0000 Salaries & Wages 501010.0000 Overtime To meet service level/workload commitments and Boards and Committees Total 501010.0000 Overtime 501020.0000 Employee Benefits This item includes mandatory deductions (CPP, El, EHT) and employer provided benefits such as extended health and dental Benefits related to one new full-time Legislative Coordinator position, March 1, 2023 start date (Council Resolution #54/22) Benefits related to one new full-time Clerk, Administration, Vital Statistics & Lottery Licensing position, July 1, 2023 start date Total 501020.0000 Employee Benefits 501100.0000 Conferences Assoc. of Municipal Mgrs., Clerks & Treasurers (AMCTO) Conference -City Clerk Total 501100.0000 Conferences 501110.0000 Seminars & Education Education for Clerk's staff -Courses through AMCTO Total 501110.0000 Seminars & Education 501130.0000 Travel Misc. Travel Total 501130.0000 Travel 502020.0000 Cellular Phones Annual Smartphone charges -City Clerk and Deputy Clerk Total 502020.0000 Cellular Phones 502030.0000 Telephones & Data Voice/ Data Total 502030.0000 Telephones & Data 502040.0000 Internet Data Total 502040.0000 Internet 502120.0000 Subscriptions&Publcs 332 Run Date: Sep 13, 2023 Approved 2023 Budget 392,735 72,300 30,900 495,935 2,000 2,000 112,092 21,690 10,800 144,582 2,000 2,000 3,000 3,000 500 500 1,600 1,600 1,400 1,400 230 230 City of Pickering 2023 Approved Background Information 10410 Clerks Office Reference material, journals and reports Total 502120.0000 Subscriptions&Publcs 502210.0000 Insurance Premium Annual cost of insurance policy that provides protection for municipal activities and property. (Policy coverage includes: liability, automobile and property) Total 502210.0000 Insurance Premium 502230.0000 Consult&Prof Fees Integrity Commissioner consulting for Code of Conduct updates and education Total 502230.0000 Consult&Prof Fees 502240.0000 Meals/Prom/General Refreshments for workshops and meetings Total 502240.0000 Meals/Prom/General 5.02250.0000 Memberships Run Date: Sep 13, 2023 Approved 2023 Budget 700 700 2,860 2,860 10,000 10,000 1,000 1,000 Assoc. of Municipal Mgrs., Clerks & Treasurers (AMCTO) -City Clerk and Deputy Clerk 1,000 Total 502250.0000 Memberships 502500.0000 Stationery&OfficeSup General office supplies Total 502500.0000 Stationery&OfficeSup 502700.0000 Sfwr/Hdwr Mntc Contr Maintenance -HRIS Lobbyist Registry Software Total 502700.0000 Sfwr/Hdwr Mntc Contr Total Expenses Revenues 403000.9500 Department User Fees -Commissioning and Certification Commissioning and certifications Total 403000.9500 Department User Fees -Commissioning and Certification 403000.9501 Department User Fees -Burial Permits Burial permits Total 403000.9501 Department User Fees -Burial Permits 403000.9502 Department User Fees -Other Revenue -Clerks' Office Marriage ceremonies, FOi requests, etc. Total 403000.9502 Department User Fees -Other Revenue -Clerks' Office 404000.9420 Licences and Permits -Lic.&Prmts-Lotteries Issuance of licences for raffles, bingos, etc. Total 404000.9420 Licences and Permits -Lic.&Prmts-Lotteries 404000.9460 Licences and Permits -Lic.&Permits-Marriage 333 1,000 2,000 2,000 595 5,100 5,695 674,502 (23,000) (23,000) (22,000) (22,000) (38,000) (38,000) (200,000) (200,000) 10410 Clerks Office Issuance of marriage licences City of Pickering 2023 Approved Background Information Total 404000.9460 Licences and Permits -Lic.&Permits-Marriage Total Revenues Total Transfers Net Expenses (Revenues) 334 Run Date: Sep 13, 2023 Approved 2023 Budget (40,000) (40,000) (323,000) 351,502 City of Pickering 2023 Approved Current Budget Summary 10415 Records Management & Elections 2021 2022 2022 .-'")_,.. - - I Actuals Actuals Account Description Approved Increase I Budget Decrease Expend itures 59,957 106,844 Salaries & Wages 93,507 (19,178) 376 6 ,802 Overtime 2 ,000 - 28,978 23,417 Employee Benefits 25 ,780 (1,926) 1,211 -Seminars & Education 1,500 - --Travel 500 - -74 ,875 Postage 75 ,000 (75 ,000) 51 1 590 Telephone & Data 605 95 79 77 Internet 75 - 880 880 Insurance Premium 880 88 17,272 2 ,595 Consulting & Professional Fees 6,000 4,000 5 ,540 32,942 Outside Agency Services 49,875 (38,875) 162 5,631 Stationary & Office Supplies 8,500 (6,500) --COVID Related Expenses 3,000 (3,000) 30,747 298,239 Software & Hardware Mtce . Contracts 323,610 (273,520) 145,713 552,892 Total Expenditures 590,832 (413,816) Revenues --Total Revenues - - Transfers (16,827) -Transfer to(from) Cntg Sty Res . -- -(435,075) Transfer to(from) Reserve (435 ,075) 435,075 (16,827) (435,075) Total Transfers (435,075) 435,075 128,886 117,817 Net Expenditures (Revenues) 155,757 21,259 335 Run Date: Sep 13 , 2023 2023 Approved %Change Budget From 2022 74 ,329 (20 .51%) 2,000 -% 23 ,854 (7.47%) 1,500 -% 500 -% -(100.00%) 700 15.70% 75 -% 968 10.00% 10 ,000 66 .67% 11,000 (77 .94%) 2,000 (76.47%) -(100 .00%) 50,090 (84.52%) 177,016 (70.04%) -- % --% -(100 .00%) -(100.00%) 177,016 13.65% City of Pickering 2023 Approved Background Information 10415 Records Management & Elections Run Date: Sep 13, 2023 Expenditures 501000.0000 Salaries & Wages Base Salaries and Wages Total 501000.0000 Salaries & Wages 501010.0000 Overtime To meet service level/workload commitments Total 501010.0000 Overtime 501020.0000 Employee Benefits This item includes mandatory deductions (CPP, El, EHT) and employer provided benefits such as extended health and dental Total 501020.0000 Employee Benefits 501110.0000 Seminars & Education Courses for Records Coordinator and Deputy Clerk relating to records Assoc. of Municipal Mgrs., Clerks & Treasurers (AMCTO) Zone Meetings for Clerk and Deputy Clerk Total 501110.0000 Seminars & Education 501130.0000 Travel Various Travel Total 501130.0000 Travel 502030.0000 Telephones & Data Voice/Data Total 502030.0000 Telephones & Data 502040.0000 Internet Internet Total 502040.0000 Internet 502210.0000 Insurance Premium Annual cost of insurance policy that provides protection for municipal activities and . property. (Policy coverage includes: liability, automobile and property) Total 502210.0000 Insurance Premium 502230.0000 Consult&Prof Fees Compliance Audit Committee -Retainer Fee Total 502230.0000 Consult&Prof Fees 502260.0000 Outside Agency Srvc Outside shredding services for all depts and additional shredding for 2022 Municipal Election Outside services for editing video and/or other file formats to fulfill FOi requests MTL -Microimage Technologies -scanning Total 502260.0000 Outside Agency Srvc 336 Approved 2023 Budget 74,329 74,329 2,000 2,000 23,854 23,854 1,250 250 1,500 500 500 700 700 75 75 968 968 10,000 10,000 6,000 2,000 3,000 11,000 City of Pickering 2023 Approved Background Information 10415 Records Management & Elections 502500.0000 Stationery&OfficeSup General office supplies Total 502500.0000 Stationery&OfficeSup 502700.0000 Sfwr/Hdwr Mntc Contr Maintenance -Laserfiche Maintenance -HRIS Total 502700.0000 Sfwr/Hdwr Mntc Contr Total Expenses Total Revenues Total Transfers Net Expenses (Revenues) 337 Run Date: Sep 13, 2023 Approved 2023 Budget 2,000 2,000 50,000 90 50,090 177,016 177,016 City of Pickering 2023 Approved Current Budget Summary 10420 Print Shop/Mail Room 2021 2022 2022 Actuals Actuals Account Description Approved Increase I Budget Decrease Expenditures 87,286 111,140 Salaries & Wages 114,355 1,506 -1,735 Overtime 1,000 - 21,787 28,124 Employee Benefits 30 ,065 (211) 135,197 149,134 Postage 156,000 - 3,636 4 ,361 Freight , Express & Cartage 3,100 1,400 681 590 Telephone & Data 605 95 79 77 Internet 75 - 2,380 2,380 Insurance Premium 2,380 238 34 ,131 34,975 Outside Agency Services 37 ,500 1,500 729 1,338 Stationary & Office Supplies 1,500 - 149,836 202 ,154 Supplies & Tools 208,602 1,900 45 158 Software & Hardware Mtce. Contracts 175 (35) 435,787 536,166 Total Expenditures 555,357 6,393 Revenues --Total Revenues - - Transfers --Total Transfers - - 435,787 536,166 Net Expenditures (Revenues) 555,357 6,393 338 Run Date: Sep 13, 2023 2023 Approved %Change Budget From 2022 115,861 1.32% 1,000 -% 29,854 (0 .70%) 156,000 - % 4 ,500 45.16% 700 15.70% 75 -% 2,618 10 .00% 39,000 4.00% 1,500 -% 210,502 0.91% 140 (20 .00%) 561,750 1.15% --% -- % 561,750 1.15% City of Pickering 2023 Approved Background Information 10420 Print Shop/Mail Room Expenditures 501000.0000 Salaries & Wages Base Salaries and Wages Total 501000.0000 Salaries & Wages 501010.0000 Overtime To meet service level/workload commitments Total 501010.0000 Overtime 501020.0000 Employee Benefits This item includes mandatory deductions (CPP, El, EHT) and employer provided benefits such as extended health and dental Total 501020.0000 Employee Benefits 502000.0000 Postage Corporate wide postage costs -budget amount includes a potential 2 cent postage stamp increase. Total 502000.0000 Postage 502010.0000 Frght,Exprss&Cartage Cost of Courier Services Total 502010.0000 Frght,Exprss&Cartage 502030.0000 Telephones & Data Voice/ Data Total 502030.0000 Telephones & Data 502040.0000 Internet Internet Total 502040.0000 Internet 502210.0000 Insurance Premium Annual cost of insurance policy that provides protection for municipal activities and property. (Policy coverage includes: liability, automobile and property) Total 502210.0000 Insurance Premium 502260.0000 Outside Agency Srvc The City's daily, scheduled mail delivery and courier service Total 502260.0000 Outside Agency Srvc 502500.0000 Stationery&OfficeSup Stationery Total 502500.0000 Stationery&OfficeSup 502540.0000 Supplies & Tools Supplies and maintenance for all copiers and other related equipment and envelopes for corporate-wide use Additional cost of new Ricoh wide format plotter/printer for Graphics Department 339 Run Date: Sep 13, 2023 Approved 2023 Budget 115,861 115,861 1,000 1,000 29,854 29,854 156,000 156,000 4,500 4,500 700 700 75 75 2,618 2,618 39,000 39,000 1,500 1,500 205,502 5,000 City of Pickering 2023 Approved Background Information 10420 Print Shop/Mail Room Total 502540.0000 Supplies & Tools 502700.0000 Sfwr/Hdwr Mntc Contr Maintenance -HRIS Total 502700.0000 Sfwr/Hdwr Mntc Contr Total Expenses Total Revenues Total Transfers Net Expenses {Revenues) 340 Run Date: Sep 13, 2023 Approved 2023 Budget 210,502 140 140 561,750 561,750 City of Pickering 2023 Approved Background Information 10425 By-Law Expenditures 501000.0000 Salaries & Wages Base Salaries and Wages Additional hours (462) for First Attendance Facilitator position during busy waterfront parking season (May 1 -Oct 1) One new full-time Administrative Assistant position, May 1, 2023 start date Total 501000.0000 Salaries & Wages 501010.0000 Overtime To cover additional City functions where By-law staff are required For Waterfront Enforcement Coverage on Statutory Holidays (276 hours) Total 501010.0000 Overtime 501020.0000 Employee Benefits This item includes mandatory deductions (CPP, El, EHT) and employer provided benefits such as extended health and dental Benefits related to additional hours (462) for First Attendance Facilitator position Benefits related to one new full-time Administrative Assistant position, May 1, 2023 start date Total 501020.0000 Employee Benefits 501040.0000 Uniforms Uniforms, 11 FT, 2 PT and 8 SEO's Vests, 3 vests at 5 year end of life to be replaced Total 501040.0000 Uniforms 501110.0000 Seminars & Education Ont. Assoc. of Property Stds. Officers (OAPSO) certification (3 new officers) OAP SO Regional Conference, IA TR Annual Officer OC & Baton Certification Total 501110.0000 Seminars & Education 501130.0000 Travel Officers: Parking & Mileage Total 501130.0000 Travel 502020.0000 Cellular Phones Annual cell phone charges for staff, data plans for all staff to run new parking ticket application, and replacement of old cell phones Annual cell phone charges for new staff (Supervisor, Parking Enforcement and term staff for dedicated waterfront parking enforcement) Total 502020.0000 Cellular Phones 502030.0000 Telephones & Data Voice/ Data 342 Run Date: Sep 13, 2023 Approved 2023 Budget 1,384,240 16,900 39,500 1,440,640 8,500 7,239 15,739 354,199 1,680 13,830 369,709 11,600 5,000 16,600 4,500 1,500 2,000 8,000 900 900 9,760 1,000 10,760 3,700 City of Pickering 2023 Approved Background Information 10425 By-Law Run Date: Sep 13, 2023 Total 502030.0000 Telephones & Data 502040.0000 Internet Internet Total 502040.0000 Internet 502210.0000 Insurance Premium Annual cost of insurance policy that provides protection for municipal activities and property. (Policy coverage includes: liability, automobile and property) Total 502210.0000 Insurance Premium 502220.0000 Insurance Deductible Insurance Deductible Total 502220.0000 Insurance Deductible 502250.0000 Memberships Four (4) memberships to Ont. Assoc. of Property Standards Officers (OAPSO) and two certifications. Municipal Law Enforcement Officers Association Membership International Assoc. of Transportation Regulators (IATR ) membership Total 502250.0000 Memberships 502260.0000 Outside Agency Srvc Internet-Based GPS/Automated Vehicle Location (AVL) subscription for vehicles Use of process servers for info. to be served upon defendants who live outside of Pickering Expense for those property owners charged under By-Laws which is offset in Miscellaneous Revenue, updated due to SAP requirements Waterfront Parking Wi-fi hubs to be installed; communication, signage and software development Total 502260.0000 Outside Agency Srvc 502370.0000 Vehicle Rpr & Mntc Servicing of vehicles Total 502370.0000 Vehicle Rpr & Mntc 502375.0000 Gas, Oil, Tires, Etc Fuel: Unleaded 17,615 litres @ $1 .40/litre Oil changes and tires Total 502375.0000 Gas, Oil, Tires, Etc 502500.0000 Stationery&OfficeSup General office supplies Total 502500.0000 Stationery&OfficeSup 502510.0000 Forms Purchase of parking ticket rolls and books, taxicab plates Total 502510.0000 Forms 343 Approved 2023 Budget 3,700 570 570 5,412 5,412 2,000 2,000 500 500 1,000 3,500 1,000 50,000 32,000 86,500 10,000 10,000 24,660 4,500 29,160 600 600 10,000 10,000 City of Pickering 2023 Approved Background Information 10425 By-Law Run Date: Sep 13, 2023 · 502540.0000 Supplies & Tools Purchase of extraordinary items Total 502540.0000 Supplies & Tools 502700.0000 Sfwr/Hdwr Mntc Contr Maintenance -Groupe Techna Software Maintenance -ldenticam -Printer Maintenance -HRIS Processing cost for resident waterfront parking permits Total 502700.0000 Sfwr/Hdwr Mntc Contr 502800.0000 Parking -MOT Admin. fee is charged to attach outstanding parking fines to a driver's licence renewal Total 502800.0000 Parking -MOT Total Expenses Revenues 402500.0000 Federal Grants 2023 Canada Summer Jobs (partial funding for summer enforcement officer term positions) Total 402500.0000 Federal Grants 403120.0000 Other User Fee Revenue Recovery of cost from Clean and Clear By-Law Revenue from Waterfront Parking Permits Total 403120.0000 Other User Fee Revenue 404000.9410 Licences and Permits -Business Licences Business licence revenue from home businesses, hawkers & peddlers, wrecking yards, etc. Total 404000.9410 Licences and Permits -Business Licences 404000.9411 Licences and Permits -Body Rub Licences Licence revenue from operators and attendants Total 404000.9411 Licences and Permits -Body Rub Licences 404000.9412 Licences and Permits -Sign Permits Revenue from sign permits Total 404000.9412 Licences and Permits -Sign Permits 404000.9413 Licences and Permits -Tree Cutting Permit Revenue from tree cutting permits Total 404000.9413 Licences and Permits -Tree Cutting Permit 404000.9430 Licences and Permits -Taxicab Drivers Lie. License revenue from taxi drivers Total 404000.9430 Licences and Permits -Taxicab Drivers Lie. 344 Approved 2023 Budget 2,000 2,000 16,881 770 1,730 10,000 29,381 75,000 75,000 2,117,671 (12,600) (12,600) (50,000) (260,000) (310,000) (20,000) (20,000) (15,500) (15,500) (28,000) (28,000) (2,500) (2,500) (2,000) (2,000) 10425 By-Law City of Pickering 2023 Approved Background Information 404000.9431 Licences and Permits -Plate Owner & Brokerage License revenue from taxi plate owners and taxi brokerages Total 404000.9431 Licences and Permits -Plate Owner & Brokerage 404000.9432 Licences and Permits -Other Taxicab Fees Revenue from other taxicab & PTC fees Total 404000.9432 Licences and Permits -Other Taxicab Fees 404000.9433 Licences and Permits -Veh for Hire Lic&Fees Anticipated Uber and L YFT licences and per trip fees Total 404000.9433 Licences and Permits -Veh for Hire Lic&Fees 405000.0000 Fines & Charges Parking and other by-law fines from "Plate Denial" Program Total 405000.0000 Fines & Charges Total Revenues Total Transfers Net Expenses (Revenues} 345 Run Date: Sep 13, 2023 Approved 2023 Budget (18,000) (18,000) (4,000) (4,000) (115,000) (115,000) (1,300,000) (1,300,000) (1,827,600} 290,071 City of Pickering 2023 Approved Current Budget Summary 10430 Animal Services --2021 2022 2022 Actuals Actuals Account Description Approved Increase I Budget Decrease Expenditures 407,242 457,252 Salaries & Wages 442,346 43,571 6,162 9,602 Overtime 6,000 - 89,929 98,905 Employee Benefits 98,490 3,692 2,282 2,933 Uniforms 3,600 400 57 1,894 Seminars & Education 1,500 20 216 282 Travel 350 - 1,907 1,228 Cellular Phones 2,900 - 7,884 11,423 Telephone & Data 11,400 - 3,303 191 Internet 190 - 568 104 Advertising 800 - --Subscriptions & Publications 50 - 2,310 2,310 Insurance Premium 2,310 231 2,082 2,664 Meals, Promotions & General 6,000 3,000 518 100 Memberships 650 - 37,659 63 ,208 Outside Agency Services 33,900 5,000 13,683 23,134 Building -Repairs & Maintenance 12,358 (2,000) 4,956 7,887 Vehicle -Repairs & Maintenance 2,800 - 5,570 8,149 Gas, Oil, Tire, Etc. 10,995 (1,000) 15,308 15,571 Building Rentals 17,406 92 --Land Rentals -13,600 318 829 Stationary & Office Supplies 600 - 20,578 26,657 Supplies & Tools 17,600 5,500 5,416 4,407 Utilities -Hydro 6,798 (1,498) 5,659 5,106 Utilities -Oil 6,500 - 166 4,196 Software & Hardware Mtce. Contracts 10,266 (85) -755 Livestock Killed 500 - 633,773 748,787 Total Expenditures 696,309 70,523 Revenues -(4,200) Federal Grants -(6,300) -(785) Ontario Grants (23,000) 22,500 (1,250) -Other Agency Grants -(30,000) (38,952) (43 ,673) Department User Fees (39,300) (3,200) (26,864) (32,289) Other User Fees (20,000) (10,000) (46,610) (45,429) Licences & Permits (59,000) - (638) (4,040) Fines & Charges (2,000) - 346 Run Date: Sep 13, 2023 2023 Approved %Change Budget From 2022 485,917 9.85% 6,000 -% 102,182 3.75% 4,000 11.11% 1,520 1.33% 350 -% 2,900 -% 11,400 -% 190 -% 800 -% 50 -% 2,541 10.00% 9,000 50 .00% 650 -% 38,900 14.75% 10,358 (16 .18%) 2,800 -% 9,995 (9.10%) 17,498 0 .53% 13,600 -% 600 -% 23,100 31.25% 5,300 (22.04%) 6,500 -% 10,181 (0.83%) 500 -% 766,832 10.13% (6,300) -% (500) (97.83%) (30,000) -% (42,500) 8.14% (30,000) 50 .00% (59,000) -% (2,000) -% City of Pickering 2023 Approved Current Budget Summary 10430 Animal Services 2021 2022 2022 l , Actuals Actuals Account Description Approved Increase/ Budget Decrease (3,212) (4,363) Donations -- -(800) Sponsorships (3,000) - (1,000) (1 ,250) Marketing Sponsors (2 ,000) (5,000) (118,526) (136,829) Total Revenues (148,300) (32,000) Transfers --Total Transfers - - 515,247 611,958 Net Expenditures (Revenues) 548,009 38,523 347 Run Date: Sep 13, 2023 2023 Approved % Change Budget From 2022 --% (3,000) - % (7 ,000) 250 ,00% (180,300) 21.58% --% 586,532 7.03% City of Pickering 2023 Approved Background Information 10430 Animal Services Run Date: Sep 13, 2023 Expenditures 501000.0000 Salaries & Wages Base Salaries and Wages Additional hours (312) for part time Clerk, Animal Services position(from 24 to 30 hrs per week, May 1, 2023 start date Conversion of one part-time Animal Care Attendant to full-time position, May 1, 2023 start date Total 501000.0000 Salaries & Wages 501010.0000 Overtime Overtime -Officer Call-ins, no part-time staff response Total 501010.0000 Overtime 501020.0000 Employee Benefits This item includes mandatory deductions (CPP, El, EHT) and employer provided benefits such as extended health and dental Benefits related to additional hours (312) for part-time Clerk, Animal Services position, May 1, 2023 start date Benefits related to conversion of one part-time Animal Care Attendant to full-time position, May 1, 2023 start date Total 501020.0000 Employee Benefits 501040.0000 Uniforms Officer Uniforms Uniforms for shelter staff (supervisor, part-time and summer staff) Total 501040.0000 Uniforms 501110.0000 Seminars & Education Assoc. of Animal Shelters Administrators of Ont. (AASAO) Seminar fee (2 x $160) Bite Stick/OC Spray Training (2 x $200) Other Seminars/Workshops . Total 501110.0000 Seminars & Education 501130.0000 Travel Parking & Mileage Total 501130.0000 Travel 502020.0000 Cellular Phones Annual cellphone charges for staff and Smartphone charges for the Supervisor, Animal Services. Total 502020.0000 Cellular Phones 502030.0000 Telephones & Data Voice/ Data Total 502030.0000 Telephones & Data 348 Approved 2023 Budget 478,117 6,400 1,400 485,917 6,000 6,000 95,642 640 5,900 102,182 2,000 2,000 4,000 320 400 800 1,520 350 350 2,900 2,900 11,400 11,400 City of Pickering 2023 Approved Background Information 10430 Animal Services 502040.0000 Internet Internet Total 502040.0000 Internet 502100.0000 Advertising Advertising Increase as a result of new branding guidelines to begin to replace items Total 502100.0000 Advertising 502120.0000 Subscriptions&Publcs Animal Sheltering Total 502120.0000 Subscriptions&Publcs 502210.0000 Insurance Premium Annual cost of insurance policy that provides protection for municipal activities and property. (Policy coverage includes: liability, automobile and property) Total 502210.0000 Insurance Premium 502240.0000 Meals/Prom/General Petapolooza (partially funded from event sponsorships) Library partnership programs Other community events and promotions Total 502240.0000 Meals/Prom/General 502250.0000 Memberships Assoc. of Animal Shelter Administrators of Ont. ($100) and Assoc. for Animal Shelter Advancement ($350) OMMI Total 502250.0000 Memberships 502260.0000 Outside Agency Srvc Veterinary costs (surgery/diagnostics) -partially funded by PetSmart grant Miscellaneous services (injured wildlife) Disposal of dead animals (wild and domestic) removed from public areas and roads Internet-Based GPS/AVL Subscription for Animal Services vehicles Security for Animal Shelter Total 502260.0000 Outside Agency Srvc 502340.0000 Building Rpr & Mntc Snow removal at Animal Shelter Mat Rentals -$25 every 2 weeks General repairs Environmental Monitoring -water treatment and testing of well Cleaning supplies for facility Total 502340.0000 Building Rpr & Mntc 502370.0000 Vehicle Rpr & Mntc 349 Run Date: Sep 13, 2023 Approved 2023 Budget 190 190 600 200 800 50 50 2,541 2,541 6,000 2,000 1,000 9,000 450 200 650 30,000 5,000 2,000 1,000 900 38,900 3,500 700 4,500 658 1,000 10,358 City of Pickering 2023 Approved Background Information 10430 Animal Services Servicing of vehicle Vehicle cleaning once a year ($300 per cleaning) Total 502370.0000 Vehicle Rpr & Mntc 502375.0000 Gas, Oil, Tires, Etc Fuel: Unleaded 6,325 litres @ $1 .40/litre Oil changes and tires Total 502375.0000 Gas, Oil, Tires, Etc 502400.0000 Building Rentals Brougham -lease location ($1,289 .14/mth x 11 + ~ $1,304) + HST -based on 1.2 % increase Total 502400.0000 Building Rentals 502420.0000 Land Rentals New animal shelter location land lease beginning April 2023 Total 502420.0000 Land Rentals 502500.0000 Stationery&OfficeSup General office supplies, forms & receipt books Total 502500.0000 Stationery&OfficeSup 502540.0000 Supplies & Tools Purchase of license tags Purchase of supplies as required. Total 502540.0000 Supplies & Tools 502541.0000 Supplies & Tools Animal feed Medication -partially funded by PetSmart grant Microchips Litter Cleaning supplies specific to shelter operation (laundry soap, disinfectants, etc.) Other Total 502541.0000 Supplies & Tools 502620.0000 Utilities -Hydro Brougham located facility -Budget based on 2022 projected actuals Total 502620.0000 Utilities -Hydro 502630.0000 Utilities -Oil Estimated oil costs for the Brougham facility. Total 502630.0000 Utilities -Oil 502700.0000 Sfwr/Hdwr Mntc Contr Maintenance -Animal Shelter Maintenance -HRIS 350 Run Date: Sep 13, 2023 Approved 2023 Budget 2,500 300 2,800 8,855 1,140 9,995 17,498 17,498 13,600 13,600 600 600 1,500 1,000 2,500 5,000 6,100 2,500 1,000 3,000 3,000 20,600 5,300 5,300 6,500 6,500 2,000 585 City of Pickering 2023 Approved Background Information 10430 Animal Services Run Date: Sep 13, 2023 Maintenance -ShelterBuddy: $266 monthly Support Cost and Monthly Hosting Fees: $367/month Total 502700.0000 Sfwr/Hdwr Mntc Contr 502810.0000 Livestock Killed Cost of livestock destroyed by other animals (offset by grant revenues) Total 502810.0000 Livestock Killed Total Expenses Revenues 402500.0000 Federal Grants 2023 Canada Summer Jobs (partial funding for Animal Shelter Summer Student and Summer Animal Services Officer term positions) Total 402500.0000 Federal Grants 402510.0000 Ontario Grants Reimbursement for livestock claims due to livestock being destroyed by other animals Total 402510.0000 Ontario Grants 403000.9580 Department User Fees -Dog Adoptions Dog Adoptions Total 403000.9580 Department User Fees -Dog Adoptions 403000.9581 Department User Fees -Cat Adoptions Cat Adoptions Total 403000.9581 Department User Fees -Cat Adoptions 403000.9582 Department User Fees -Other Adoptions Other Animal Adoptions Total 403000.9582 Department User Fees -Other Adoptions 403000.9583 Department User Fees -Impound Fees Impound Fees Total 403000.9583 Department User Fees -Impound Fees 403000.9584 Department User Fees -Owner Surrender Owner Surrender Fees -resident and non resident Total 403000.9584 Department User Fees -Owner Surrender 403000.9585 Department User Fees -Dead Animal Pickup Dead Animal Pick Up Fee Total 403000.9585 Department User Fees -Dead Animal Pickup 403120.0000 Other User Fee Revenue Sheltering service fees received from Whitchurch-Stouffville ($535 per mth + HST monthly service fee plus a per animal charge for animal care) Total 403120.0000 Other User Fee Revenue 404000.9440 Licences and Permits -Dog Licence 351 Approved 2023 Budget 7,596 10,181 500 500 766,832 (6,300) (6,300) (500) (500) (8,500) (8,500) (23,000) (23,000) (1,200) (1,200) (6,000) (6,000) (3,500) (3,500) (300) (300) (30,000) (30,000) City of Pickering 2023 Approved Background Information 10430 Animal Services Dog Licences Total 404000.9440 Licences and Permits -Dog Licence 404000.9441 Licences and Permits -Cat Licence Cat Licences Total 404000.9441 Licences and Permits -Cat Licence 404000.9442 Licences and Permits -Other Licence Other Licences Total 404000.9442 Licences and Permits -Other Licence 405000.0000 Fines & Charges Fines Total 405000.0000 Fines & Charges 406510.0000 Other Agency Grants PetSmart Charities Grant (approved) Total 406510.0000 Other Agency Grants 406520.0000 Sponsorships Animal Services Sponsorships (No tax) Total 406520.0000 Sponsorships 406530.0000 Marketing Sponsors Pet Valu Canine Activity Sponsor (Year 2 of 5 year agreement) Animal Services Marketing Sponsorships (Taxable) Total 406530.0000 Marketing Sponsors Total Revenues Total Transfers Net Expenses {Revenues) 352 Run Date: Sep 13, 2023 Approved 2023 Budget (45,000) (45,000) (12,000) (12,000) (2,000) (2,000) (2,000) (2,000) (30,000) (30,000) (3,000) (3,000) (5,000) (2,000) (7,000) {180,300) 586,532 -Cdt)o/- P·J(KERJNG The Corporation of the City of Pickering Engineering Services Department w u, w ' Director, Engineering Services Employee Complement 9 Non-Union Full-Time (NUFT) O Non-Union Part-Time (NUPT) Administrative Assistant, Engineering Services .....__ '- I Capital Projects & Infrastructure (Chart No.Ya) ~ Director's Office Employee Complement 2 Non-Union FT O Non-Union PT 1 Union FT 0 Union PT Authorized by: r \.. (1-NUFn I Landscape & Parks Development (Chart No. 7c) Capital Projects & Infrastructure Employee Complement 1 Non-Union FT 0 Non-Union PT 11 Union FT 0 Union PT 0 Union FT Term Chief Administrative Officer ~ ,_ J ' (1-NUFTi ' 23 Union Full-Time (UFT) O Union Part-Time (UPT) O Union Full-Time Term (UFTT) O Union Part-Time Term (UPTT) Clerk, Engineering Services & Information Technology (1-UFT) .) I r " Water Resources & Development Services ' Water Resources & Development Services Employee Complement 5 Non-Union FT O Non-Union PT 9 Union FT 0 Union PT January 23, 2023 (Chart No. 7b) .) Landscape & Parks Development Employee Complement 1 Non-Union FT 0 Non-Union PT 2 Union FT 0 Union PT 0 Union FT Term Chart No. 7 -~bf- P1CKER 1NG The Corporation of the City of Pickering Engineering Services Department CA) u, ~ Capital Projects & Infrastructure Section Director, Engineering Services Manager, Capital Projects & Infrastructure (1-NUFT) r Senior Coordinator, Capital Coordinator, Infrastructure Projects Design (1-UFT) (1-UFT) Inspector, Capital Projects r (1-UFT) Technologist, Design & Construction (2-UFT) ' Coordinator, Infrastructure Maintenance Contracts r (1-UFT) GIS Technician , Asset ' Management Technical Assistant, Infrastructure (1-UFT) Maintenance Contracts (1-UFT) Authorized by: Chief Administrative Officer ~·· January 23, 2023 ' ~ ' , 0 Union Part-Time (UPT) 0 Union Full-Time Term (UFTT) 0 Union Part-Time Term (UPTT) Transportation Engineer (1-UFT) Coordinator, Traffic Operations (1-UFT) Technician , Traffic Operations (1-UFT) Chart No. 7 (a) i r I -;- -~o/- PJ(KERJNG The Corporation of the City of Pickering Engineering Services Department Water Resources & Development Services Division Director, Engineering Services I ' Division Head, Water Resources & Development Services (1-NUFT) ,I 9 0 0 0 Administrative Assistant, - Union Full-Tin Union Part-Tir Union Full-Tin Union Part-Tir Water Resources & Development Services (1-NUFT) w 01 01 I Senior Water Resources Engineer Manager, Development Services (1-NUFT) I (1-NUFl) Water Resources Engineer Project Manager, Development (1-UFT) Approvals (1-NUFT) ' Senior Coordinator, Development ,..._ Services (1-UFT) Coordinator, Development Approvals -Inspector, Development Services (3-UFT) -(3-UFT) Technician, Development Approvals ----- (1-UFT) Authorized by: Chief Administrative Officer ~ January 23, 2023 Chart No. 7 (b) ' City of Pickering 2023 Approved Current Budget Summary Engineering Services Department 2021 2022 2022 Actuals Actuals Account Description Approved Increase I Budget Decrease Expenditures 2,380,171 2,615,289 Salaries & Wages 3,053,881 341,821 5,092 17,243 Overtime 9,400 6,000 661,460 688,694 Employee Benefits 844,323 76,113 1,065 1,316 Uniforms 3,500 - 215 -Conferences 1,000 - (270) 1,757 Seminars & Education 9,660 1,300 185 14 Travel 2,050 (550) 6,014 8,015 Cellular Phones 10,440 650 7,843 8,756 Telephone & Data 9,105 1,095 1,192 1,144 Internet 610 500 --Subscriptions & Publications 1,650 (500) 559 1,860 Photo, Mapping, Print 4,000 - 177,246 176,700 Insurance Premium 176,700 17,670 19,396 27,078 Insurance Deductible 7,950 25,000 92,287 168,020 Consulting & Professional Fees 962,915 (107,624) 15 6,913 Meals, Promotions & General 300 200 8,010 5,926 Memberships 10,040 245 355,938 540,631 Outside Agency Services 789,800 (104,500) 894 -Winter Control Maintenance -- 37,746 18,708 Repairs & Maintenance Materials 30,000 10,000 6,536 7,667 Vehicle -Repairs & Maintenance 13,000 (3,000) 8,565 13,677 Gas, Oil, Tire, Etc. 18,000 (3,500) 324,210 283,223 Misc. Equip. -Repairs & Maintenance 471,200 (10,000) --Misc. Equip. Rentals 200 - 2,826 2,597 Stationary & Office Supplies 3,300 - --Forms 750 - -61 Programs & Event Supplies -- 766 5,238 Supplies & Tools 8,150 - 456,930 453,529 Utilities -Hydro 500,000 (25,000) 14,229 32,559 Software & Hardware Mtce. Contracts 58,415 (440) 1,723 37,592 Misc. Equipment 51,500 - 160,078 5,151 other Fixed Assets 260,000 250,000 4,730,921 5,129,358 Total Expenditures 7,311,839 475,480 Revenues (1,801,284) (2,309,277) Department User Fees (890,000) (315,000) 357 Run Date: Sep 13, 2023 2023 Approved %Change Budget From 2022 3,395,702 11.19% 15,400 63.83% 920,436 9 .01% 3,500 -% 1,000 -% 10,960 13.46% 1,500 (26.83%) 11 ,090 6.23% 10,200 12.03% 1,110 81 .97% 1,150 (30.30%) 4,000 -% 194,370 10.00% 32,950 314.47% 855,291 (11.18%) 500 66.67% 10,285 2.44% 685,300 (13.23%) --% 40,000 33.33% 10,000 (23.08%) 14,500 (19.44%) 461,200 (2.12%) 200 -% 3,300 -% 750 -% --% 8,150 -% 475,000 (5.00%) _57,975 (0 .75%) 51,500 -% 510,000 96.15% 7,787,319 6.50% (1,205 ,000) 35 .39% City of Pickering 2023 Approved Current Budget Summary Engineering Services Department 2021 2022 2022 Actuals Actuals Account Description Approved Increase I Budget Decrease (57,430) (108,322) Othe r User Fees -(2,000) --Fines & Charges (100,000) 100,000 (1 ,738) -Misc. Revenue (2,000) 1,500 (23,587) (66,950) Cost Recoveries (96,935) (235,605) (1,884,039) (2,484,549) Total Revenues (1,088,935) (451,105) Transfers (40,488) (70,644) Transfer to/(from) DC Oblg RF (488,800) 108,554 (23,649) 76,889 Transfer to(from) Cntg Sty Res . (61,615) (65,679) --Transfer to(from) Reserve (25,000) 14,749 (157,788) -Transfer to (from) Oblig RF (200,000) (250 ,000) (221,925) 6,245 Total Transfers (775,415) (192,376) 2,624,957 2,651,054 Net Expenditures (Revenues) 5,447,489 (168 ,001) Cherrywood Development --Salar ies & Wages -92,600 --Overtime -500 --Employee Benefits -27,780 --Travel -500 --Cellular Phones -3,300 --Building -Repairs & Maintenance -3 ,700 --Gas, Oil , Tire, Etc. -500 --Build i ng Rentals -19,400 --Stationary & Office Supplies -500 --Supplies & Tools -500 --Software & Hardware Mice. Contracts -3,000 --Misc. Equipment -30,000 --Department User Fees -(5,500) --Licences & Permits -(7 ,500) --Transfer to(from) Reserve -(169,280) --Net Expenditures (Revenues) -- 2,624,957 2,651,054 Total Net Expenditures (Revenues) 5,447,489 (168,001) 358 Run Date : Sep 13, 2023 2023 Approved %Change Budget From 2022 (2,000) -% -(100.00%) (500) (75.00%) (332 ,540) 243.05% (1,540,040) 41.43% (380,246) (22 .21%) (127,294) 106.60% (10,251) (59 .00%) (450,000) 125.00% (967,791) 24.81% 5,279,488 (3.08% 92,600 -% 500 -% 27,780 -% 500 -% 3,300 -% 3,700 -% 500 -% 19,400 -% 500 -% 500 -% 3,000 -% 30,000 -% (5 ,500) -% (7,500) -% (169,280) -% -- % 5,279,488 (3.08%) City of Pickering 2023 Approved Current Budget Summary 10500 Engineering Services -Admin 2021 2022 2022 Actuals Actuals Account Description Approved Increase I Budget Decrease Expenditures 1,371,490 1,430,094 Salaries & Wages 1,640,860 224,760 3,524 11,764 Overtime 6,500 3,000 384,756 388,043 Employee Benefits 458,290 50,815 194 665 Uniforms 2,000 - 215 -Conferences 1,000 - 1,496 619 Seminars & Education 3,860 - -14 Travel 750 - 3,196 4,710 Cellular Phones 6,120 650 4,182 4,668 Telephone & Data 4,855 1,245 636 610 Internet 610 - --Subscriptions & Publications 1,000 (500) 559 1,860 Photo, Mapping, Print 4,000 - 9,590 9,590 Insurance Premium 9,590 959 534 -Insurance Deductible 2,000 - 52,829 104,773 Consulting & Professional Fees 490,500 (100,027) -6,913 Meals, Promotions & General 200 200 5,523 3,780 Memberships 5,740 - 81,886 129,771 Outside Agency Services 355,800 (120,000) 2,056 1,935 Vehicle -Repairs & Maintenance 8,000 (3,000) 3,217 5,721 Gas, Oil, Tire, Etc. 10,190 (4,000) --Misc. Equip. -Repairs & Maintenance 200 - --Misc. Equip . Rentals 200 - 1,310 1,683 Stationary & Office Supplies 2,100 - --Forms 750 - -61 Programs & Event Supplies -- 48 495 Supplies & Tools 150 - 4,842 21,140 Software & Hardware Mtce . Contracts 45,840 (200) 1,723 37,592 Misc. Equipment 51,500 - 1,933,806 2,166,501 Total Expenditures 3,112,605 53,902 Revenues -200 Other User Fees -(2,000) --Fines & Charges (100,000) 100,000 (1,738) -Misc. Revenue (2,000) 2,000 --Cost Recoveries -(233,000) (1,738) 200 Total Revenues (102,000) (133,000) 362 Run Date: Sep 13, 2023 2023 Approved %Change Budget From 2022 1,865,620 13.70% 9,500 46.15% 509,105 11 .09% 2,000 -% 1,000 -% 3,860 -% 750 -% 6,770 10.62% 6,100 25.64% 610 -% 500 (50.00%) 4,000 -o/o 10,549 10.00% 2,000 -% 390,473 (20.39%) 400 100.00% 5,740 -% 235,800 (33.73%) 5,000 (37 .50%) 6,190 (39 :25%) 200 -% 200 -% 2,100 -% 750 -% --% 150 -% 45,640 (0.44%) 51,500 -% 3,166,507 1.73% (2,000) -% -(100.00%) -(100.00%) (233,000) -% (235,000) 130.39% City of Pickering 2023 Approved Current Budget Summary 10500 Engineering Services -Admin 2021 2022 2022 Actuals Actuals Account Description Approved Increase I Budget Decrease Transfers (34,519) (67,031) Transfer to/(from) DC Oblg RF (270,000) 101,486 (18,557) 31,460 Transfer to(from) Cntg Sty Res . -(31,459) (53,076) (35,571) Total Transfers (270,000) 70,027 1,878,992 2,131,130 Net Expenditures (Revenues) 2,740,605 (9,071) 363 Run Date: Sep 13, 2023 2023 Approved %Change Budget From 2022 (168,514) (37 .59%) (31,459) -% (199,973) (25.94%) 2,731,534 (0.33%) City of Pickering 2023 Approved Background Information 10500 Engineering Services -Adm in Run Date: Sep 13, 2023 Expenditures 501000.0000 Salaries & Wages Base Salaries and Wages One new full-time Manager, Transportation & Traffic Services position, July 1, 2023 start date One new full-time Senior Coordinator, Asset Management position, July 1, 2023 start date Total 501000.0000 Salaries & Wages 501010.0000 Overtime Design and Construction Traffic and Engineering (Special Events and Data Collection) Streetlight Inspections Total 501010.0000 Overtime 501020.0000 Employee Benefits This item includes mandatory deductions (CPP, El, EHT) and employer provided benefits such as extended health and dental Benefits related to one new full-time Manager, Transportation & Traffic Services position, July 1, 2023 start date Benefits related to one new full-time Senior Coordinator, Asset Management position, July 1, 2023 start date Total 501020.0000 Employee Benefits 501040.0000 Uniforms As per the Collective Agreement, Personal Protective Equipment Total 501040.0000 Uniforms 501100.0000 Conferences International Society of Arboriculture Ontario Conference -Coard., Forestry Mgmt Ont. Assoc. of Landscape Architects Conference -Manager, Landscape & Parks Dev. Total 501100.0000 Conferences 501110.0000 Seminars & Education Business Related Seminars & Workshops Ontario Traffic Council Workshops (Coord. Traffic Oper. & Transp. Eng) Ontario Traffic Manual -Book 7 Training (Transportation Engineer, Coard. Traffic Operations, Coord. Infrastructure Maintenance Contracts, Technical Assistant, Infrastructure Maintenance Contracts) AutoDesk infraWorks 2021 -Fundamentals Training Class (Coordinator, Infrastructure Design) Total 501110.0000 Seminars & Education 501130.0000 Travel 364 Approved 2023 Budget 1,774,620 47,700 43,300 1,865,620 7,000 2,000 500 9,500 481,785 14,320 13,000 509,105 2,000 2,000 500 500 1,000 1,000 500 960 1,400 3,860 City of Pickering 2023 Approved Background Information 10500 Engineering Services -Admin Run Date: Sep 13, 2023 Parking & Mileage Total 501130.0000 Travel 502020.0000 Cellular Phones Annual Smartphone Charges (12) -Manager (2) and staff (10) Smartphone and Tablet Charges -Director, Engineering Services Smartphone equipment and monthly charges for new Manager, Transportation & Traffic Studies Total 502020.0000 Cellular Phones 502030.0000 Telephones & Data Voice/ Data Total 502030.0000 Telephones & Data 502040.0000 Internet Internet Total 502040.0000 Internet 502120.0000 Subscriptions&Publcs Reference material, standards, regulations, AutoCAD publications, safety legislations, traffic & transportation publications Total 502120.0000 Subscriptions&Publcs 502150.0000 Photo,Mapping,Print Plotting (cartridges), colour printing, oversize scanning Total 502150.0000 Photo,Mapping,Print 502210.0000 Insurance Premium Annual cost of insurance policy that provides protection for municipal activities and property. (Policy coverage includes: liability, automobile and property) Total 502210.0000 Insurance Premium 502220.0000 Insurance Deductible Insurance Deductible Total 502220.0000 Insurance Deductible 502230.0000 Consult&Prof Fees 2023 Road Needs Study -roads condition assessment update Culvert Inspection and Appraisal Report (biennial) Pre-Engineering -Soils Investigations, Surveys & Utility Locates for future Capital Works Projects Bridge and Culvert Structural Inspections/ Assessments Centralized Collision Reporting Program (shared services with Region of Durham) Annual Average Daily Traffic (AADT) Count Program TRCA permit for Sideline 12 culvert repair Total 502230.0000 Consult&Prof Fees 365 Approved 2023 Budget 750 750 4,920 1,200 650 6,770 6,100 6,100 610 610 500 500 4,000 4,000 10,549 10,549 2,000 2,000 90,000 35,000 30,000 10,000 3,000 7,500 15,000 190,500 City of Pickering 2023 Approved Background Information 10500 Engineering Services -Adm in Run Date: Sep 13, 2023 502230.4630 Consult&Prof Fees -Fund-ContStudies-ENG City Centre Transportation Master Plan (PO#4500000477 -90% funded from Development Charges and 10% funded from Continuing Studies Reserve) 2022 Structure Inspections (PO#4500000648 -funded from Continuing Studies Reserve) Pre-Engineering Survey Old Brock Rd (PO# 4500000790 -funded from Continuing Studies Reserve) Total 502230.4630 Consult&Prof Fees -Fund-ContStudies-ENG 502240.0000 Meals/Prom/General Miscellaneous Meetings/ Functions/ Promotional Events Total 502240.0000 Meals/Prom/General 502250.0000 Memberships Association of Professional Engineers of Ontario (3 staff) -Director, Eng Services, Transportation Engineer, Sr. Coordinator, Capital Projects Ontario Association of Certified Engineering Technicians & Technologists -(8 staff) Municipal Engineers Association -Director, Eng Services Ontario Association of Landscape Architects -Manager, Parks & Landscape Development Canadian Association of Certified Planning Technicians -Coord., Infrastructure Design Institution of Transportation Engineers -Coord. Traffic Oper. Ontario Traffic Council (City Membership) International Society of Arboriculture/Society of Municipal Arborists -Coord., Forestry Management Total 502250.0000 Memberships 502260.0000 Outside Agency Srvc Cloud based subscription for radar speed signs (7) Automated Speed Enforcement Camera Services -annual costs to operate two cameras. Automated Speed Enforcement Camera Services -addition of one camera (August 2023) Total 502260.0000 Outside Agency Srvc 502370.0000 Vehicle Rpr & Mntc Repairs to Section's utility vehicles Total 502370.0000 Vehicle Rpr & Mntc 502375.0000 Gas, Oil, Tires, Etc Unleaded Fuel: 3,565 litres @ $1 .40/litre Oil changes and tires, vehicle washes Total 502375.0000 Gas, Oil, Tires, Etc 366 Approved 2023 Budget 187,238 9,072 3,663 199,973 400 400 860 2,000 160 900 230 375 740 475 5,740 2,800 200,000 33,000 235,800 5,000 5,000 4,990 1,200 6,190 City of Pickering 2023 Approved Background Information 10500 Engineering Services -Ad min 502380.0000 Misc Equip Rpr&Mntc Traffic counting classifier and portable speed message boards. Total 502380.0000 Misc Equip Rpr&Mntc 502410.0000 MiscEquip Rentals Miscellaneous equipment rentals Total 502410.0000 MiscEquip Rentals 502500.0000 Stationery&OfficeSup General office supplies Total 502500.0000 Stationery&OfficeSup 502510.0000 Forms Miscellaneous forms and door knockers Total 502510.0000 Forms 502540.0000 Supplies & Tools Various sundry items such as spray paint, small tools, traffic counter tubes, etc. Total 502540.0000 Supplies & Tools 502700.0000 Sfwr/Hdwr Mntc Contr Maintenance -Traffic Engineering Software (TES) License Upgrade Maintenance -Auto Turn Upgrades (x2) Maintenance -HRIS Maintenance -AutoCad 3yr licence for 6 staff Total 502700.0000 Sfwr/Hdwr Mntc Contr 502750.0000 Misc. Equipment Traffic Speed Management Equipment/ Signs/ Devices Traffic Data Recorder Total 502750.0000 Misc. Equipment Total Expenses Revenues 403120.0000 Other User Fee Revenue Driveway widening applications Total 403120.0000 Other User Fee Revenue 406540.0000 Cost Recoveries Funding from Region of Durham for Automated Speed Enforcement Program Total 406540.0000 Cost Recoveries Total Revenues Transfers 408009.0000 Trf fr Cntg Stdy Res Funding (10%) for City Centre Transportation Master Plan 367 Run Date: Sep 13, 2023 Approved 2023 Budget 200 200 200 200 2,100 2,100 750 750 150 150 1,400 2,000 2,240 40,000 45,640 50,000 1,500 51,500 3,166,507 (2,000) (2,000) (233,000) (233,000) (235,000) (18,724) City of Pickering 2023 Approved Background Information 10500 Engineering Services -Admin Funding for 2022 Structure Inspections Funding for Pre-Engineering SuNey Old Brock Rd Total 408009.0000 Trf fr Cntg Stdy Res 408600.0000 Trf fr DC Oblg RF DC Funding (90%) for City Centre Transportation Master Plan Total 408600.0000 Trf fr DC Oblg RF Total Transfers NetExpenses(Revenues) 368 Run Date: Sep 13, 2023 Approved 2023 Budget (9,072) (3,663) (31,459) (168,514) (168,514) (199,973) 2,731,534 City of Pickering 2023 Approved Current Budget Summary 10505 Crossing Guards 2021 2022 2022 -- Actuals Actuals Account Description Approved Increase/ Budget Decrease Expenditures 2,400 2,400 Insurance Premium 2,400 240 264,789 399,432 Outside Agency Services 422 ,000 9,500 267,189 401,832 Total Expenditures 424,400 9,740 Revenues --Total Revenues -- Transfers --Total Transfers -- 267,189 401,832 Net Expenditures (Revenues) 424,400 9,740 369 Run Date : Sep 13, 2023 2023 Approved %Change Budget From 2022 2,640 10.00% 431,500 2 .25% 434,140 2.30% -- % --% 434,140 2.30% City of Pickering 2023 Approved Background Information 10505 Crossing Guards Expenditures 502210.0000 Insurance Premium Annual cost of insurance policy that provides protection for municipal activities and property. (Policy coverage includes: liability, automobile and property) Total 502210.0000 Insurance Premium 502260.0000 Outside Agency Srvc School Crossing Guard Program as per Quotation No. Q2021-7 Total 502260.0000 Outside Agency Srvc Total Expenses Total Revenues Total Transfers Net Expenses (Revenues) 370 Run Date: Sep 13, 2023 Approved 2023 Budget 2,640 2,640 431,500 431,500 434,140 434,140 City of Pickering 2023 Approved Current Budget Summary 10510 Water Resources & Development Services 2021 2022 . 2022 Actuals Actuals Account Description Approved Increase I Budget Decrease Expenditures 1,008,681 1,185 ,196 Salaries & Wages 1,413,021 117,061 1,568 5,479 Overtime 2 ,900 3 ,000 276,703 300 ,652 Employee Benefits 386,033 25 ,298 871 651 Uniforms 1 ,500 - (1,766) 1,138 Seminars & Educat ion 5,800 1,300 185 -Travel 1,300 (550) 2 ,818 3 ,306 Cellular Phones 4 ,320 - 3,660 4 ,088 Telephone & Data 4,250 (150) 557 534 Internet -500 --Subscriptions & Publications 650 - 7,390 7,390 Insurance Premium 7 ,390 739 -986 Insurance Deductible 1,000 - 33 ,248 60,001 Consulting & Professional Fees 419 ,315 21,131 15 -Meals, Promotions & General 100 - 2,487 2 ,146 Memberships 4,300 245 6,478 6,848 Repairs & Maintenance Materials 10,000 10,000 4,479 5 ,733 Vehicle -Repairs & Maintenance 5,000 - 5 ,349 7 ,956 Gas, Oil, Tire, Etc . 7,810 500 -1,017 Misc. Equip . -Repairs & Maintenance 1,000 - 1,516 914 Stationary & Office Supplies 1,200 - 718 4,744 Supplies & Tools 8,000 - 9,387 11,420 Software & Hardware Mtce. Contracts 12 ,575 (240) 1,364,344 1,610,199 Total Expenditures 2,297,464 178,834 Revenues (1,801,284) (2,309 ,277) Department User Fees (890,000) (315,000) (23 ,587) (66,950) Cost Recoveries (96 ,935) (2,605) (1,824,871) (2,376,227) Total Revenues (986,935) (317,605) Transfers (5,969) (3 ,613) Transfer to/(from) DC Oblg RF (218,800) 7,068 (663) 44,157 Transfer to(from) Cntg Sty Res. (58 ,515) (32,948) --Transfer to(from) Reserve (25,000) 14,749 (6,632) 40,544 Total Transfers (302,315) (11,131) (467,159) (725,484) Net Expenditures (Revenues) 1,008,214 (149,902) 371 Run Date: Sep 13, 2023 2023 Approved %Change Budget From 2022 1,530,082 8 .28% 5 ,900 103.45% 411 ,331 6 .55% 1,500 -% 7 ,100 22.41% 750 (42 .31%) 4,320 -% 4 ,100 (3 .53%) 500 -% 650 -% 8,129 10 .00% 1,000 -% 440,446 5.04% 100 -% 4,545 5.70% 20,000 100.00% 5 ,000 -% 8,310 6.40% 1,000 -% 1,200 -% 8,000 -% 12 ,335 (1.91%) 2,476,298 7.78% (1,205 ,000) 35 .39% (99,540) 2.69% (1,304,540) 32.18% (211 ,732) (3.23%) (91,463) 56.31% (10 ,251) (59 .00 %) (313,446) 3.68% 858 ,312 (14.87%) City of Pickering 2023 Approved Current Budget Summary 10510 Water Resources & Development Services -2021 2022 2022 Actuals Actuals Account Description Approved Increase/ Budget Decrease Cherrywood Development --Salaries & Wages -92,600 --Overtime -500 --Employee Benefits -27,780 --Travel -500 --Cellular Phones -3,300 --Building -Repairs & Maintenance -3,700 --Gas, Oil, Tire, Etc. -500 --Building Rentals -19,400 --Stationary & Office Supplies -500 --Supplies & Tools -500 --Software & Hardware Mice. Contracts -3,000 --Misc. Equipment -30,000 --Department User Fees -(5,500) --Licences & Permits -(7 ,500) --Transfer to(from) Reserve -(169,280) --Net Expenditures (Revenues) -- (467,159) (725,484) Total Net Expenditures (Revenues) 1,008,214 (149,902) 372 Run Date: Sep 13, 2023 2023 Approved %Change Budget From 2022 92,600 -% 500 -% 27,780 -% 500 - % 3 ,300 - % 3,700 -% 500 -% 19,400 - % 500 -% 500 - % 3,000 -% 30,000 -% (5,500) - % (7,500) -% (169,280) - % -- % 858,312 (14.87%) City of Pickering 2023 Approved Background Information 10510 Water Resources & Development Services Run Date: Sep 13, 2023 Expenditures 501000.0000 Salaries & Wages Base Salaries and Wages Technician, Development Approvals contract position (funded by Third Party) One new full-time Coordinator, Development Approvals position, July 1, 2023 start date One new full-time Engineer, Water Resources position, July 1, 2023 start date Total 501000.0000 Salaries & Wages 501000.4008 Salaries & Wages -Cherrywood-10510 One new full-time Project Manager, Development Services position -September 1 start date One new full-time Water Resources Engineer position -September 1 start date Two new full-time Coordinators, Development Approvals position -December 1 start date One new full-time Technician, Development Approvals position -December 1 start date One new full-time Inspector, Development Services position -December 1 start date Total 501000.4008 Salaries & Wages -Cherrywood-10510 501010.0000 Overtime Development Review Various Inspections Water Resources Total 501010.0000 Overtime 501010.4008 Overtime -Cherrywood-10510 Overtime required to meet workload demands -Engineering staff Total 501010.4008 Overtime -Cherrywood-10510 501020.0000 Employee Benefits This item includes mandatory deductions (CPP, El, EHT) and employer provided benefits such as extended health and dental Benefits related to Technician, Development Approvals contract position (funded by Third Party) Benefits related to one new full-time Coordinator, Development Approvals position, July 1, 2023 start date Benefits related to one new full-time Engineer, Water Resources position, July 1, 2023 start date Total 501020.0000 Employee Benefits 501020.4008 Employee Benefits -Cherrywood-10510 373 Approved 2023 Budget 1,369,582 70,500 41,700 48,300 1,530,082 33,000 32,200 13,900 5,800 7,700 92,600 2,200 2,200 1,500 5,900 500 500 365,311 19,040 12,500 14,480 411,331 City of Pickering 2023 Approved Background Information 10510 Water Resources & Development Services Run Date: Sep 13, 2023 Benefits related to one new full-time Project Manager, Development Services position - September 1 start date Benefits related to one new full-time Water Resources Engineer position -September 1 start date Benefits related to two new full-time Coordinators, Development Approvals position- December 1 start date Benefits related to one new full-time Technician, Development Approvals position - December 1 start date Benefits related to one new full-time Inspector, Development Services position - December 1 start date Total 501020.4008 Employee Benefits -Cherrywood-10510 501040.0000 Uniforms As per the collective agreement -Personal Protective Equipment Total 501040.0000 Uniforms 501110.0000 Seminars & Education General Education Assistance and Various Seminars and Workshops First Aid/CPR-C Recertification - ( 12 staff) Courses related to Certified Inspector of Sediment & Erosion Control (CISEC) and exam fee for 3 staff. TRCA Source to Stream Annual Conference (11 staff) Total 501110.0000 Seminars & Education 501130.0000 Travel Mileage and Parking Total 501130.0000 Travel 501130.4008 Travel -Cherrywood-1051 0 Travel -Engineering staff Total 501130.4008 Travel -Cherrywood-1051 0 502020.0000 Cellular Phones Annual Smartphone Charges (8) -Division Head, Water Resources & Dev Ser. and 7 staff New Smartphones (2 staff) ( Water Resources Engineer and Technician, Development Approvals positions) Annual Smartphone Charges (2 staff) (Water Resources Engineer and Technician, Development Approvals positions) Total 502020.0000 Cellular Phones 502020.4008 Cellular Phones -Cherrywood-10510 Smartphone equipment and monthly charges for new staff Total 502020.4008 Cellular Phones -Cherrywood-10510 374 Approved 2023 Budget 9,900 9,660 4,170 1,740 2,310 27,780 1,500 1,500 1,000 600 2,200 3,300 7,100 750 750 500 500 3,000 600 720 4,320 3,300 3,300 City of Pickering 2023 Approved Background Information 10510 Water Resources & Development Services 502030.0000 Telephones & Data Voice/ Data Total 502030.0000 Telephones & Data 502040.0000 Internet Internet Total 502040.0000 Internet 502120.0000 Subscriptions&Publcs Development Services -Construction Cost Index Total 502120.0000 Subscriptions&Publcs 502210.0000 Insurance Premium Annual cost of insurance policy that provides protection for municipal activities and property. (Policy coverage includes: liability, automobile and property) Total 502210.0000 Insurance Premium 502220.0000 Insurance Deductible Insurance Deductible Total 502220.0000 Insurance Deductible 502230.0000 Consult&Prof Fees Foundation Drainage Discharge Policy Excess Soils Management-Consulting Services for Fill and Topsoil Disturbance By-law Update Total 502230.0000 Consult&Prof Fees 502230.4631 Consult&Prof Fees -Fund-ContStudies-WATR Pickering City Centre Stormwater Management Strategy Update (PO# 190121 -90% DC funded and 10% funded from Continuing Studies Reserve) Claremont Drainage Plan -PO# 450000001&4500000778 (60% funded from Continuing Studies Reserve, 40% funded from the Tax Rate Stabilization Reserve) Pine Creek Erosion Assessment Municipal Class EA Study(PO# 4500000591) (13% DC funded and 87% funded from the Continuing Studies Reserve) Total 502230.4631 Consult&Prof Fees -Fund-ContStudies-WATR 502230.4632 Consult&Prof Fees -Fund-Dvlp/Ownrs-WATR Technical Peer Reviews for Development Applications (partially funded from developers/land owners) Total 502230.4632 Consult&Prof Fees -Fund-Dvlp/Ownrs-WATR 502240.0000 Meals/Prom/General Miscellaneous Meetings/Functions/Promotional Events Total 502240.0000 Meals/Prom/General 502250.0000 Memberships Ontario Assn. of Certified Engineering Technicians & Technologists -(7 staff) 375 Run Date: Sep 13, 2023 Approved 2023 Budget 4,100 4,100 500 500 650 650 8,129 8,129 1,000 1,000 50,000 50,000 100,000 226,384 25,627 61,435 313,446 27,000 27,000 100 100 1,645 City of Pickering 2023 Approved Background Information 10510 Water Resources & Development Services Run Date: Sep 13, 2023 Certified Inspector of Sediment & Erosion Control -(5 staff) Association of Professional Engineers of Ontario, PEO (6 staff) -Div. Head, Water Res. & Dev. Ser., Senior Water Resources Eng., Water Resources Eng., Coord. Dev. Approvals (3) International Erosion Control Association -Sr. Coord. Dev. Serv. Municipal Engineers Association -Div. Head, Water Res. & Dev. Serv. Total 502250.0000 Memberships 502315.0000 Rpr&Mntc Materials Curb Cuts, Newspaper Pads and Sidewalk Repairs (includes 2022 program) Total 502315.0000 Rpr&Mntc Materials 502340.4008 Building Rpr & Mntc -Cherrywood-10510 Operating costs at satellite office leased space Total 502340.4008 Building Rpr & Mntc -Cherrywood-10510 502370.0000 Vehicle Rpr & Mntc Repairs to Division utility vehicles Total 502370.0000 Vehicle Rpr & Mntc 502375.0000 Gas, Oil, Tires, Etc Fuel -Unleaded 4,935 litres@ $1 .40/litre Oil changes tires, and vehicle washes Total 502375.0000 Gas, Oil, Tires, Etc 502375.4008 Gas, Oil, Tires, Etc -Cherrywood-10510 Vehicle operating costs -engineering staff vehicle Total 502375.4008 Gas, Oil, Tires, Etc -Cherrywood-10510 502380.0000 Misc Equip Rpr&Mntc Repairs and annual maintenance to confined space & survey equipment. Total 502380.0000 Misc Equip Rpr&Mntc 502400.4008 Building Rentals -Cherrywood-1051 O Satellite office lease costs beginning Nov 1, 2023 Total 502400.4008 Building Rentals -Cherrywood-10510 502500.0000 Stationery&OfficeSup Office supplies Total 502500.0000 Stationery&OfficeSup 502500.4008 Stationery&OfficeSup -Cherrywood-10510 Stationary and office supplies -Engineering staff Total 502500.4008 Stationery&OfficeSup -Cherrywood-10510 502540.0000 Supplies & Tools Confined space entry equipment & various sundry items Total 502540.0000 Supplies & Tools 502540.4008 Supplies & Tools -Cherrywood-10510 376 Approved 2023 Budget 550 1,930 260 160 4,545 20,000 20,000 3,700 3,700 5,000 5,000 6,910 1,400 8,310 500 500 1,000 1,000 19,400 19,400 1,200 1,200 500 500 8,000 8,000 City of Pickering 2023 Approved Background Information 1051 O Water Resources & Development Services Supplies & tools-Engineering staff Total 502540.4008 Supplies & Tools -Cherrywood-10510 502700.0000 Sfwr/Hdwr Mntc Contr Maintenance -PCSWMM Professional 2D License Annual Upgrade (x2) Maintenance -Visual Otthymo License Annual Upgrade (x2) Maintenance -HRIS Total 502700.0000 Sfwr/Hdwr Mntc Contr 502700.4008 Sfwr/Hdwr Mntc Contr -Cherrywood-10510 Software licensing -Engineering Total 502700.4008 Sfwr/Hdwr Mntc Contr -Cherrywood-10510 502750.4008 Misc. Equipment-Cherrywood-10510 Computers and related equipment for new staff Total 502750.4008 Misc. Equipment-Cherrywood-10510 Total Expenses Revenues 403000.4008 Department User Fees -Cherrywood-10510 Engineering fees -Fill permits Total 403000.4008 Department User Fees -Cherrywood-10510 403000.9540 Department User Fees -Engineering Design Review Fees Engineering Design Review fees Total 403000.9540 Department User Fees -Engineering Design Review Fees 403000.9541 Department User Fees -Dev Inspection Fees -Subdivisions Development Inspection fees for subdivisions Total 403000.9541 Department User Fees -Dev Inspection Fees -Subdivisions 403000.9542 Department User Fees -Dev Inspection Fees -Site Plan Development Inspection fees for site plans Total 403000.9542 Department User Fees -Dev Inspection Fees -Site Plan 403000.9543 Department User Fees -Development Inspect Fees-Direct/Monthly Run Date: Sep 13, 2023 Approved 2023 Budget 500 500 5,000 5,500 1,835 12,335 3,000 3,000 30,000 30,000 2,658,578 (5,500) (5,500) (250,000) (250,000) (600,000) (600,000) (200,000) (200,000) Development Inspection fees for monthly and direct billed accounts (5,000) Total 403000.9543 Department User Fees -Development Inspect Fees-Direct/Montt (5,000) --~--~ 403000.9544 Department User Fees -Topsoil/Fill Permits Topsoil/Fill Permits Total 403000.9544 Department User Fees -Topsoil/Fill Permits 403000.9545 Department User Fees -Other Revenue -Engineering Services City's component of fees associated with Ministry of Environment & Climate Change Environmental Compliance Approval for storm sewer installation related to development, and residential lot grading fees Total 403000.9545 Department User Fees -Other Revenue -Engineering Services 377 (30,000) (30,000) (40,000) (40,000) City of Pickering 2023 Approved Background Information 10510 Water Resources & Development Services Run Date: Sep 13, 2023 403000.9546 Department User Fees -Pool Enclosure Permits Pool Enclosure Permits Total 403000.9546 Department User Fees -Pool Enclosure Permits 403000.9547 Department User Fees -Municipal Consent Fees Revenue from Telecommunication and Utility Companies for Municipal Consent & Occupancy of Right of Ways Total 403000.9547 Department User Fees -Municipal Consent Fees 403000.9548 Department User Fees -Public Works Services Revenue Curb Cuts / Newspaper Pads/ Sidewalk Repairs Total 403000.9548 Department User Fees -Public Works Services Revenue 404000.4008 Licences and Permits -Cherrywood-10510 Functional Stormwater Servicing Report charges -Engineering Total 40400.0.4008 Licences and Permits -Cherrywood-10510 406540.0000 Cost Recoveries Partial funding from Developers for Technical Peer Reviews for Development Applications Funding from Third Party for Technician, Development Approvals position (salary and benefits) Total 406540.0000 Cost Recoveries Total Revenues Transfers 408007.0000 Trf fr RateStblz Res Tax Rate Stabilization Res. funding (40%) for Claremont Drainage Plan Total 408007.0000 Trf fr RateStblz Res 408009.0000 Trf fr Cntg Stdy Res Continuing Studies Res. funding (60%) for Claremont Drainage Plan Continuing Studies Res. funding (10%) for Pickering City Centre SWM Strategy Continuing Studies Res. funding (87%) for Pine Creek EA Total 408009.0000 Trf fr Cntg Stdy Res 408040.4008 Trf fr Cherrywood Res -Cherrywood-1051 O Funding for Cherrywood development operating expenses Total 408040.4008 Trf fr Cherrywood Res -Cherrywood-10510 408600.0000 Trf fr DC Oblg RF DC funding (90%) for Pickering City Centre Stormwater Management Strategy Update DC funding (13%) Pine Creek Erosion Assessment Municipal Class EA Study Total 408600.0000 Trf fr DC Oblg RF Total Transfers 378 Approved 2023 Budget (10,000) (10,000) (50,000) (50,000) (20,000) (20,000) (7,500) (7,500) (10,000) (89,540) (99,540) (1,317,540) (10,251) (10,251) (15,376) (22,638) (53,449) (91,463) (169,280) (169,280) (203,746) (7,986) (211,732) (482,726) City of Pickering 2023 Approved Background Information 10510 Water Resources & Development Services Net Expenses (Revenues) 379 Run Date: Sep 13, 2023 Approved 2023 Budget 858,312 10515 Sidewalks 2021 2022 Actuals Actuals 151,186 150,640 18,862 26,092 894 - 31 ,268 11,860 160,078 5,151 362,288 193,743 (47,595) (105,432) (47,595) (105,432) (157 ,788) - (157,788) - 156,905 88,311 City of Pickering 2023 Approved Current Budget Summary 2022 Account Description Approved Increase/ Budget Decrease Expenditures Insurance Premium 150 ,640 15,064 Insurance Deductible 4,950 25,000 Winter Control Maintenance -- Repairs & Maintenance Materials 20,000 - Other Fixed Assets 220,000 250,000 Total Expenditures 395,590 290,064 Revenues Other User Fees -- Total Revenues -- Transfers Transfer to (from) Oblig RF (200,000) (250 ,000) Total Transfers (200,000) (250,000) Net Expenditures (Revenues) 195,590 40,064 380 Run Date: Sep 13, 2023 2023 Approved %Change Budget From 2022 165,704 10.00% 29,950 505 .05% --% 20,000 -% 470,000 113.64% 685,654 73.32% --% --% (450 ,000) 125.00% (450,000) 125.00% 235,654 20.48% City of Pickering 2023 Approved Background Information 10515 Sidewalks Expenditures 502210.0000 Insurance Premium Annual cost of insurance policy that provides protection for municipal activities and property. (Policy coverage includes: liability, automobile and property) Total 502210.0000 Insurance Premium 502220.0000 Insurance Deductible Insurance Deductible Total 502220.0000 Insurance Deductible 502315.0000 Rpr&Mntc Materials Sidewalk repair materials (forms, expansion joint, concrete) Total 502315.0000 Rpr&Mntc Materials 502760.0000 Other Fixed Assets Sidewalk Installation -miscellaneous locations (TBD) 2022 Sidewalk Rehabilitation program (funded 100% from FGT) 2023 Sidewalk Rehabilitation program (funded 100% from FGT) Total 502760.0000 Other Fixed Assets Total Expenses Total Revenues Transfers 408502.0000 Trf fr FGT Oblg RF Federal Gas Tax Funding for 2022 sidewalk rehabilitation program. Federal Gas Tax Funding for 2023 sidewalk rehabilitation program. Total 408502.0000 Trf fr FGT Oblg RF Total Transfers Net Expenses (Revenues) 381 Run Date: Sep 13, 2023 Approved 2023 Budget 165,704 165,704 29,950 29,950 20,000 20,000 20,000 200,000 250,000 470,000 685,654 (200,000) (250,000) (450,000) (450,000) 235,654 10520 Streetlights 2021 2022 Actuals Actuals 6,680 6,680 6,210 3,246 9 ,263 11,428 324,210 282,206 456,770 453,529 -- 803,133 757,089 (9 ,835) (3,090) -- (9,835) (3,090) (4,429) 1,272 (4,429) 1,272 788,869 755,271 City of Pickering 2023 Approved Current Budget Summary 2022 Account Description Approved Increase I Budget Decrease Expenditures Insurance Premium 6 ,680 668 Consulting & Professional Fees 53,100 (28,728) Outside Agency Services 12,000 6,000 Misc. Equip. -Repairs & Maintenance 470 ,000 (10,000) Utilities -Hydro 500,000 (25 ,000) Othe r Fixed Assets 40 ,000 - Total Expenditures 1,081,780 (57,060) Revenues Other User Fees -- Misc. Revenue -(500) Total Revenues -(500) Transfers Transfer to(from) Cntg Sty Res . (3,100) (1 ,272) Total Transfers (3,100) (1,272) Net Expenditures (Revenues) 1,078,680 (58,832) 382 Run Date : Sep 13, 2023 2023 Approved %Change Budget From 2022 7,348 10.00% 24,372 (54 .10%) 1a;ooo 50.00% 460,000 (2.13%) 475 ,000 (5.00%) 40,000 -% 1,024,720 (5.27%) -- % (500) -% (500) - % (4,372) 41 .03% (4,372) 41.03% 1,019,848 (5.45%) City of Pickering 2023 Approved Background Information 10520 Streetlights Run Date: Sep 13, 2023 Expenditures 502210.0000 Insurance Premium Annual cost of insurance policy that provides protection for municipal activities and property. (Policy coverage includes: liability, automobile and property) Total 502210.0000 Insurance Premium 502230.0000 Consult&Prof Fees General consulting for streetlighting needs Rodd Avenue Streetlighting Improvements -PO# 700700/450000046 (funded from Continuing Studies Reserve) Lane Street pole certification -PO# 4500000156 (funded from Continuing Studies Reserve) Lane Street Streetlight Design Total 502230.0000 Consult&Prof Fees 502260.0000 Outside Agency Srvc Ontario One call fees (legislated requirement) Total 502260.0000 Outside Agency Srvc 502380.0000 Misc Equip Rpr&Mntc Monthly repairs on existing streetlights by contractor, including labour, vehicle, material costs for replacements and underground cable repairs, and street light locate requests. Cracked concrete pole replacement program Total 502380.0000 Misc Equip Rpr&Mntc 502620.0000 Utilities -Hydro Budget based on 2022 projected actuals Total 502620.0000 Utilities -Hydro 502760.0000 Other Fixed Assets Streetlight installations -miscellaneous locations (TBD) Total 502760.0000 Other Fixed Assets Total Expenses Revenues 406602.0000 Misc. Revenue Misc. Revenue Total 406602.0000 Misc. Revenue Total Revenues Transfers 408009.0000 Trf fr Cntg Stdy Res Continuing Studies Reserve funding for Rodd Avenue Streetlighting Improvements 383 Approved 2023 Budget 7,348 7,348 10,000 3,100 1,272 10,000 24,372 18,000 18,000 395,000 65,000 460,000 475,000 475,000 40,000 40,000 1,024,720 (500) (500) (500) (3,100) 10520 Streetlights City of Pickering 2023 Approved Background Information Continuing Studies Reserve funding for Lane Street pole certification Total 408009.0000 Trf fr Cntg Stdy Res Total Transfers Net Expenses (Revenues) 384 Run Date: Sep 13, 2023 Approved 2023 Budget (1,272) (4,372) (4,372) 1,019,848 Finance Department 2021 2022 Actuals Actuals 2,458,798 2,744,503 41,048 22,395 656,956 708,620 356 6,767 6,479 12,287 -596 -112 1,049 1,793 7,617 8,756 1,192 1,144 153,463 179,651 2,394 2,623 25,065 27 ,881 16,200 16,200 207,674 267,395 2,287 2,118 14,218 17,063 8,888 8,520 1,715 1,275 7,404 13,179 -- 4,376 7,519 483,006 522,278 -- -669 537 (13) 93,656 119,165 (1,043) 2,863 4,193,335 4,695,359 (338,066) (314,174) (134,271) (155,213) (2,701,669) (3,311,796) (293,505) (2,097,817) (800) - City of Pickering 2023 Approved Current Budget Summary 2022 Account Description Approved Increase I Budget Decrease Expenditures Salaries & Wages 3,030,830 338,413 Overtime 30,750 - Employee Benefits 855,393 58,386 Conferences 8,750 1,900 Seminars & Education 31,250 (300) Travel 1,900 - Postage -- Cellular Phones 2,100 300 Telephone & Data 9,105 2,695 Internet 1,135 - Data Processing Services 172,000 13,000 Subscriptions & Publications 4,000 - Brochures/Newsletters Printing 22,000 6 ,000 Insurance Premium 16,200 1,620 Consulting & Professional Fees 407,000 65,280 Meals, Promotions & General 2,000 - Memberships 18,780 300 Outside Agency Services 11,600 - Misc. Equip. -Repairs & Maintenance 2,300 - Stationary & Office Supplies 10,200 - Forms 1,500 - Programs & Event Supplies 15,000 - Software & Hardware Mice. Contracts 564,930 (19,265) System & Software Upgrade 8,600 - Hardware Replacements -- Miscellaneous Expenses -- Financial Services Charges 75,000 - Exchange Rate -Gain or Loss -- Total Expenditures 5,302,323 468,329 Revenues Department User Fees (281,000) - Other User Fees (70,000) - Pen. & Interest -Prop. Taxes (2,690,000) (200,000) Investment Income (525,000) (500,000) Misc. Revenue -- 391 Run Date: Sep 13, 2023 2023 Approved %Change Budget From 2022 3,369 ,243 11 .17% 30,750 -% 913,779 6 .83% 10,650 21.71% 30,950 (0 .96%) 1,900 -% --% 2,400 14.29% 11,800 29.60% 1,135 -% 185,000 7.56% 4,000 -% 28,000 27.27% 17,820 10.00% 472,280 16.04% 2,000 -% 19,080 1.60% 11 ,600 -% 2,300 -% 10,200 -% 1,500 -% 15,000 -% 545,665 (3.41 %) 8,600 -% --% --% 75 ,000 -% --% 5,770,652 8.83% (281,000) -% (70,000) -% (2,890,000) 7.43% (1,025,000) 95.24% --% Finance Department 2021 2022 Actuals Actuals (3 ,468,311) (5,879,000) (25,710) (64,171) -- -(90 ,128) (59 ,621) (10,949) (85,331) (165,248) 639,693 (1,348,889) -- -- -- -- -- -- 639,693 (1 ,348,889) City of Pickering 2023 Approved Current Budget Summary 2022 ----=-·· Account Description Approved Increase I Budget Decrease Total Revenues (3,566,000) (700,000) Transfers Transfer to/(from) DC Oblg RF (90,760) 90,760 Transfer to(from) Cntg Sty Res . -(14,100) Transfer to(from) Reserve (250 ,940) 189,440 Transfer to (from) Oblig RF (100,100) (56 ,100) Total Transfers (441,800) 210,000 Net Expenditures (Revenues) 1,294,523 (21,671) Cherrywood Development Salaries & Wages -2,190 Employee Benefits -660 Consulting & Professional Fees -50,000 Other Contributions -(50,000) Transfer to(from) Reserve -(2 ,850) Net Expenditures (Revenues) -- Total Net Expenditures (Revenues) 1,294,523 (21,671) 392 Run Date : Sep 13, 2023 2023 Approved % Change Budget From 2022 (4,266,000) 19.63% -(100 .00%) (14 ,100) -% (61 ,500) (75.49%) (156 ,200) 56 .04% (231,800) (47.53%) 1,272,852 (1.67%' 2,190 -% 660 -% 50,000 -% (50,000) -% (2,850) -% --% 1,272,852 (1.67%) 10600 Finance 2021 2022 Actuals Actuals 2,129,561 2,464,248 34,067 19,229 572,282 632,471 356 5,851 6,463 10,957 -596 -112 710 1,529 6 ,548 7,587 1,033 991 153,463 179,651 2,394 2,623 25,065 27,881 14,280 14,280 207,674 267,395 2,287 2,118 13,271 16,312 7,296 6,928 1,715 1,275 7,389 9,696 -- 4,376 7,519 482,872 520,762 -- -669 537 (13) 93,656 119,165 (1 ,043) 2,863 3,766,252 4,322 ,695 (338,066) (314,174) (134 ,271) (155,213) (2 ,701,669) (3 ,311,796) (293,505) (2,097,817) (800) - City of Pickering 2023 Approved Current Budget Summary 2022 Account Description Approved Increase I Budget Decrease Expenditures Salaries & Wages 2,673,749 187,025 Overtime 25,750 - Employee Benefits 759,222 24,820 Conferences 6,350 1,900 Seminars & Education 22,550 (300) Travel 1,000 - Postage -- Cellular Phones 2,100 - Telephone & Data 7,890 2,210 Internet 985 - Data Processing Services 172,000 13,000 Subscriptions & Publications 4,000 - Brochures/Newsletters Printing 22,000 6,000 Insurance Premium 14,280 1,428 Consulting & Professional Fees 407,000 22,280 Meals, Promotions & General 1,600 - Memberships 17,295 - Outside Agency Services 10,000 - Misc. Equip. -Repairs & Maintenance 2,300 - Stationary & Office Supplies 9 ,200 - Forms 1,500 - Programs & Event Supplies 15,000 - Software & Hardware Mtce. Contracts 564 ,370 (19,315) System & Software Upgrade 8,600 - Hardware Replacements -- Miscellaneous Expenses -- Financial Services Charges 75,000 - Exchange Rate -Gain or Loss -- Total Expenditures 4,823,741 239,048 Revenues Department User Fees (281,000) - other User Fees (70,000) - Pen . & Interest -Prop. Taxes (2,690,000) (200,000) Investment Income (525,000) (500,000) Misc. Revenue -- 394 Run Date: Sep 13, 2023 2023 Approved %Change Budget From 2022 2,860,774 6.99% 25,750 -% 784,042 3.27% 8,250 29.92% 22,250 (1 .33%) 1,000 -% --% 2,100 -% 10,100 28.01% 985 -% 185,000 7 .56% 4,000 -% 28,000 27.27% 15,708 10.00% 429,280 5.47% 1,600 -% 17,295 -% 10,000 -% 2,300 -% 9,200 -% 1,500 -% 15,000 -% 545,055 (3.42%) 8,600 -% --% --% 75,000 -% --% 5,062,789 4.96% (281,000) -% (70,000) -% (2,890,000) 7.43% (1,025,000) 95 .24% --% 10600 Finance 2021 2022 Actuals Actuals (3,468,311) (5,879,000) (25,710) (64 ,171) -- -(90,128) (59,621) (10,949) (85,331) (165,248) 212,610 (1,721,553) -- -- -- -- -- -- 212,610 (1,721,553) City of Pickering 2023 Approved Current Budget Summary 2022 Account Description Approved Increase I Budget Decrease Total Revenues (3,566,000) (700,000) Transfers Transfer to/(from) DC Oblg RF (90,760) 90,760 Transfer to(from) Cntg Sty Res. -(14,100) Transfer to(from) Reserve (250,940) 189,440 Transfer to (from) Oblig RF (100,100) (56 ,100) Total Transfers (441,800) 210,000 Net Expenditures (Revenues) 815,941 (250,952) Cherrywood Development Salaries & Wages -2,190 Employee Benefits -660 Consulting & Professional Fees -50,000 Other Contributions -(50,000) Transfer to(from) Reserve -(2,850) Net Expenditures (Revenues) -- Total Net Expenditures (Revenues) 815,941 (250,952) 395 Run Date: Sep 13, 2023 2023 Approved %Change Budget From 2022 (4,266,000) 19.63% -(100 .00%) (14,100) -% (61,500) (75.49%) (156,200) 56.04% (231,800) (47.53%) 564,989 (30.76%) 2,190 -% 660 -% 50 ,000 -% (50,000) -% (2,850) -% --% 564,989 (30.76%) City of Pickering 2023 Approved Background Information , 10600 Finance Run Date: Sep 13, 2023 Expenditures 501000.0000 Salaries & Wages Base Salaries and Wages One full-time SAP Clerk position transferred to 10200 One new full-time Accounts Payable Clerk position -starting May 1, 2023 One new full-time Senior Financial Analyst position -starting May 1, 2023 One new full-time Systems Analyst -SAP position -starting December 1, 2023 Total 501000.0000 Salaries & Wages 501000.4009 Salaries & Wages -Cherrywood-10600 One new full-time Senior Financial Analyst position -December 1 start date Total 501000.4009 Salaries & Wages -Cherrywood-10600 501010.0000 Overtime Year End Processing Payroll Budgets Tax Due Dates Ongoing SAP Financial System Support Total 501010.0000 Overtime 501020.0000 Employee Benefits This item includes mandatory deductions (CPP, El, EHT) and employer provided benefits such as extended health and dental Benefits related to one full-time SAP Clerk position transferred to 10200 Benefits related to one new full-time Accounts Payable Clerk position beginning May 1, 2023 Benefits related to one new full-time Senior Financial Analyst position -starting May 1, 2023 Benefits related to one new full-time Systems Analyst -SAP position -starting December 1, 2023 Total 501020.0000 Employee Benefits 501020.4009 Employee Benefits -Cherrywood-10600 Benefits related to one new full-time Senior Financial Analyst position-December 1 start date Total 501020.4009 Employee Benefits -Cherrywood-10600 501100.0000 Conferences Municipal Finance Officers' Association -Treasurer Property Tax Conference (Spring & Fall) -Asse$sors & Compliance (Supervisor & Tax Analyst) 396 Approved 2023 Budget 2,803,269 (64,175) 42,780 70,100 8,800 2,860,774 2,190 2,190 4,000 2,750 4,750 4,250 10,000 25,750 765,937 (20,535) 14,980 21,020 2,640 784,042 660 660 1,500 1,250 City of Pickering 2023 Approved Background Information 10600 Finance Run Date: Sep 13, 2023 CityWide User Group Conference -Registration and accommodation for 3 nights (Division Head, Finance, Senior Financial Analyst, Senior Financial Analyst, Capital & Debt Management and Senior Budget & Financial Analyst) Society of Public Insurance Administrators of Ontario (SPIAO) Spring Conference (Treasurer and Manager Budgets & Internal Audit) Total 501100.0000 Conferences 501110.0000 Seminars & Education Professional Development Course Requirements for Finance, Budget & Accounting staff (8) Insurance and risk mgmt. courses -Division Head, Finance and Director, Finance & Treasurer Property Tax Courses -Tax staff Public Sector Virtual Conference, Mgr. Accounting Services Public Sector Certificate Program Level II-Capstone -Senior Financial Analyst (1) Financial System (SAP) Finance staff training Payroll PD Courses (2 staff) Total 501110.0000 Seminars & Education 501130.0000 Travel Staff: Parking & Mileage Total 501130.0000 Travel 502020.0000 Cellular Phones Annual Smartphone Charges -Director, Finance & Treasurer, Division Head, Finance and ERP Project Manager Total 502020.0000 Cellular Phones 502030.0000 Telephones & Data Voice/ Data Total 502030.0000 Telephones & Data 502040.0000 Internet Internet Total 502040.0000 Internet 502070.0000 Data Processing Srvc Processing of City's payroll Total 502070.0000 Data Processing Srvc 502120.0000 Subscriptions&Publcs Reference materials, journals and reports Total 502120.0000 Subscriptions&Publcs 502130.0000 Brchrs/NewsLtr-Print Printing costs for tax bills 397 Approved 2023 Budget 5,000 500 8,250 3,500 1,500 1,500 1,200 1,600 12,000 950 22,250 1,000 1,000 2,100 2,100 10,100 10,100 985 985 185,000 185,000 4,000 4,000 28,000 City of Pickering 2023 Approved Background Information 10600 Finance Run Date: Sep 13, 2023 Total 502130.0000 Brchrs/Newsltr-Print 502210.0000 Insurance Premium Annual cost of insurance policy that provides protection for municipal activities and property (policy coverage includes: liability, automobile and property) Total 502210.0000 Insurance Premium 502230.0000 Consult&Prof Fees Audit & Professional Services (City, Public Sector Accounting Board) Property tax legislation changes, capping, preparation & review of tax rates and various property tax issues and assessment appeals Consulting services to support TXM system Review and revise Investment Policy Municipal BMA Study FMW (Budget software) Refresh (PO# 4500000611 -funded from the Continuing Studies Reserve) Cyber Insurance Study with Durham Region and Area Municipalities Asset Management Planning (AMP). This project will consist of completing the Data Governance Policy and Procedures. PO#4500000757 -funded from FGT Asset Management Planning (AMP). Development and delivery of an Asset Management Strategy which includes a detailed roadmap, business process mapping, training, etc. This is required to ensure the City's AMP information is kept up to date, as well as meet future AMP requirements such as Proposed Levels of Service. PO#4500000742 -funded from FGT Continuing Asset Management Training and Support to advance the action plan deliverables (estimated 80 hours) -funded from FGT Proposed Level of Service Frameworks with Optimization Scenarios and Citizen Engagement sessions (Phase 1) -funded from FGT Training related to Asset Management Plan (AMP) to meet Ontario Regulation 588/17 requirements. PO#4500000065 -funded from FGT Financial Impact Study on impacts of North East Pickering development. (Council Resolution #37/23) Financial Impact Study on impacts of City Centre project, Bill 23, Seaton and Cherrywood developments. (Council Resolution #37/23) Total 502230.0000 Consult&Prof Fees 502230.4009 Consult&Prof Fees -Cherrywood-10600 Financial impact study/ new Development Charge Background Study Total 502230.4009 Consult&Prof Fees -Cherrywood-10600 502240.0000 Meals/Prom/General Receptions & Promotions 398 Approved 2023 Budget 28,000 15,708 15,708 100,000 12,500 10,000 11,000 5,500 14,100 4,000 13,500 63,000 16,300 50,500 4,300 50,000 74,580 429,280 50,000 50,000 1,600 City of Pickering 2023 Approved Background Information 10600 Finance Run Date: Sep 13, 2023 Total 502240.0000 Meals/Prom/General 502250.0000 Memberships Chartered Professional Accountants of Ont. -Corporate ( 1 O staff) Americas SAP User Group Dept., Membership Assoc. of Mun. Managers, Clerks & Treasurers -Acct. Mgr., Senior Fin. Analyst, & Taxation Supervisor Municipal Financial Officers Assoc. -Corporate (8 staff) Ont. Mun. Tax & Rev. Assoc. -Tax Supervisor & Tax Analyst Canadian Payroll Assoc. -Payroll Supervisor, Payroll Admin., Mgr., Accounting Services and Senior Financial Analyst Insurance and Risk Management Associations -Division Head, Finance and Director, Finance & Treasurer Ont. Public Buyers Assoc. (OPBA) -(1 staff) Total 502250.0000 Memberships 502260.0000 Outside Agency Srvc Armoured car services for daily pick-up of bank deposits (Civic Complex & Recreation Complex). Budget savings realized by moving to a non-cash environment has resulted in a decrease in armoured car pickups Total 502260.0000 Outside Agency Srvc 502380.0000 Misc Equip Rpr&Mntc Service contract for cheque signer and perforator Service contract for cash handling machines Total 502380.0000 Misc Equip Rpr&Mntc 502500.0000 Stationery&OfficeSup General office supplies Budget document supplies Total 502500.0000 Stationery&OfficeSup 502510.0000 Forms Cash Receipt Forms Total 502510.0000 Forms 502520.9740 Program&Event Supps -Garbage Tags Garbage Bag Purchases (approx. 6,000 tags purchased each year at $2.50 a tag - expense is offset by revenue from the program) Total 502520.9740 Program&Event Supps -Garbage Tags 502700.0000 Sfwr/Hdwr Mntc Contr Maintenance -FMW Web Budget Software & Salary Planning Module Contract -Reamined -Assessment Data Conversion Contract-MPAC -Property Information 399 Approved 2023 Budget 1,600 10,250 2,500 1,000 1,650 500 875 300 220 17,295 10,000 10,000 800 1,500 2,300 8,200 1,000 9,200 1,500 1,500 15,000 15,000 15,700 800 350 City of Pickering 2023 Approved Background Information 10600 Finance Maintenance -TXM system maintenance fees for tax system Maintenance -CityWide Asset Manager Maintenance -CityWide GIS Maintenance -CityWide Decision Support Maintenance -CityWide CPA (PO #160247) Maintenance -HRIS Maintenance -CORE (Point of Sale) SAP Financials Hosting and Template Maintenance Fees SAP Annual Software Licences Fees (funded from Financial Systems Reserve) Total 502700.0000 Sfwr/Hdwr Mntc Contr 502720.0000 System&Sftwr Upgrade CityWide Decision Support Module (PO# 4500000814) -Funded from FGT Total 502720.0000 System&Sftwr Upgrade 503080.0000 Financial Srvc Chrgs Property Tax Processing (Royal Bank) Debit & credit card charges (All banks) Electronic Funds Transfer (EFT) charges for pre-authorized payment plans and direct deposit to City vendor's bank accounts. U.S. Acct. Fees & Other Parking tickets electronic payment Total 503080.0000 Financial Srvc Chrgs Total Expenses Revenues 403000.951 O Department User Fees -Regular Tax Certificates Tax Certificates Total 403000.9510 Department User Fees -Regular Tax Certificates 403000.9511 Department User Fees -Rush Tax Certificates Rush Tax certificates (24 hr. turnaround) Total 403000.9511 Department User Fees -Rush Tax Certificates 403000.9512 Department User Fees -Duplicate Tax Receipts/Bills/Statements Run Date: Sep 13, 2023 Approved 2023 Budget 67,500 8,965 1,905 5,100 1,300 3,435 134,500 244,000 61,500 545,055 8,600 8,600 13,100 32,100 17,200 100 12,500 75,000 5,115,639 (22,000) (22,000) (30,000) (30,000) Duplicate tax receipts/reprint of tax bills/statement of accounts (6,000) Total 403000.9512 Department User Fees -Duplicate Tax Receipts/Bills/Statements (6,000) --~-~ 403000.9513 Department User Fees -Returned Payment Fee (NSF/Dishonoured) Electronic payment correction (9,000) Total 403000.9513 Department User Fees -Returned Payment Fee (NSF/Dishonom (9,000) --~-----'-- 403000.9514 Department User Fees -Change in Ownership Fee Ownership change fee (59,000) Total 403000.9514 Department User Fees -Change in Ownership Fee (59,000) 400 City of Pickering 2023 Approved Background Information 10600 Finance Run Date: Sep 13, 2023 403000.9515 Department User Fees -Mortgage Company Billing Fee Tax billing for mortgage companies Total 403000.9515 Department User Fees -Mortgage Company Billing Fee 403000.9516 Department User Fees -Other Revenue -Finance Other fees (Application fees for Sect. 357 & 358 property tax refunds, recovery of costs for tax collection and tax registration letters, roll# set-up fees, registration of farm debt notices, etc.) Total 403000.9516 Department User Fees -Other Revenue -Finance 403000.9517 Department User Fees -Arrears Notice Fee Property tax arrears reminder notices fees Total 403000.9517 Department User Fees -Arrears Notice Fee 403120.0000 Other User Fee Revenue Internal management fee for investment portfolio Total 403120.0000 Other User Fee Revenue 403120.9740 Other User Fee Revenue Garbage Bag Tag Sales Total 403120.9740 Other User Fee Revenue 405500.0000 Pen. & Interest -Taxes The City charges 15% per annum for unpaid property taxes Total 405500.0000 Pen. & Interest -Taxes 406000.0000 Investment Income Investment income is based on prior year estimated actuals Total 406000.0000 Investment Income 406550.4009 Other Contributions -Cherrywood-10600 Third-party contributions for development related studies Total 406550.4009 Other Contributions -Cherrywood-10600 Total Revenues Transfers 408009.0000 Trf fr Cntg Stdy Res Funding for FMW (Budget Software) Refresh Total 408009.0000 Trf fr Cntg Stdy Res 408020.0000 Trf fr Fl System Res Financial Systems Reserve funding for SAP Annual Software Licences Fees Total 408020.0000 Trf fr Fl System Res 408040.4009 Trf fr Cherrywood Res -Cherrywood-10600 Funding for Cherrywood development operating expenses Total 408040.4009 Trf fr Cherrywood Res -Cherrywood-10600 408502.0000 Trf fr FGT Oblg RF 401 Approved 2023 Budget (84,000) (84,000) (6,000) (6,000) (65,000) (65,000) (55,000) (55,000) (15,000) (15,000) (2,890,000) (2,890,000) (1,025,000) (1,025,000) (50,000) (50,000) (4,316,000) (14,100) (14,100) (61,500) (61,500) (2,850) (2,850) 10600 Finance City of Pickering 2023 Approved Background Information Federal Gas Tax Funding for Asset Management Planning (AMP) Data Governance Policy and Procedures Federal Gas Tax Funding for training related to Asset Management Plan (AMP) to meet Ontario Regulation 588/17 requirements Federal Gas Tax Funding for CityWide Decision Support Module Federal Gas Tax Funding for AMP training and development of AMP milestones and roadmap for City departments Federal Gas Tax Funding for Proposed Level of Service Frameworks Federal Gas Tax Funding for continuing Asset Management Training and Support Total 408502.0000 Trf fr FGT Oblg RF Total Transfers Net Expenses (Revenues) 402 Run Date: Sep 13, 2023 Approved 2023 Budget (13,500) (4,300) (8,600) (63,000) (50,500) (16,300) (156,200) (234,650) 564,989 City of Pickering 2023 Approved Background Information 10605 Supply & Services Run Date: Sep 13, 2023 Expenditures 501000.0000 Salaries & Wages Base Salaries and Wages One new full-time Senior Procurement Analyst (pre-budget Approval RTC CAO-17-22 Recommendation #20/22) -Feb 1, 2023 start date One full-time contract Buyer position Total 501000.0000 Salaries & Wages 501010.0000 Overtime To meet service level/workload commitments and support implementation of new financial system. Total 501010.0000 Overtime 501020.0000 Employee Benefits This item includes mandatory deductions (CPP, El, EHT) and employer provided benefits such as extended health and dental Benefits related to one new full-time Senior Procurement Analyst (pre-budget approval RTC CAO-17-22, Recommendation #20/22) -Feb 1, 2023 start date Benefits related to one contract full-time Buyer position Total 501020.0000 Employee Benefits 501100.0000 Conferences Ontario Public Buyers Assoc. Supply Chain Management Association Total 501100.0000 Conferences 501110.0000 Seminars & Education Ontario Public Buyers Association (OPBA) Seminars -Manager, Procurement Ontario Public Buyers Association (OPBA/SCMA) Seminars -Senior Procurement Analyst Ontario Public Buyers Association (OPBA/SCMA) Seminars -Buyers (2) Ontario Public Buyers Association (OPBA) Seminars -Junior Buyer New Financial System (SAP) staff training Total 501110.0000 Seminars & Education 501130.0000 Travel Parking & mileage Total 501130.0000 Travel 502020.0000 Cellular Phones Annual Smartphone charges -Manager, Procurement Total 502020.0000 Cellular Phones 502030.0000 Telephones & Data Voice/ Data 404 Approved 2023 Budget 361,269 76,400 70,800 508,469 5,000 5,000 99,757 22,900 7,080 129,737 1,600 800 2,400 900 900 1,800 900 4,200 8,700 900 900 300 300 1,700 City of Pickering 2023 Approved Background Information 10605 Supply & Services Run Date: Sep 13, 2023 Total 502030.0000 Telephones & Data 502040.0000 Internet Internet Total 502040.0000 Internet 502210.0000 Insurance Premium Annual cost of insurance policy that provides protection for municipal activities and property. (Policy coverage includes: liability, automobile and property) Total 502210.0000 Insurance Premium 502230.0000 Consult&Prof Fees Consulting Services for Policy Review/Revision and Contracts Development Total 502230.0000 Consult&Prof Fees 502240.0000 Meals/Prom/General Hosting an area Manager's Meeting and an OPBA Purchasing Seminar Total 502240.0000 Meals/Prom/General 502250.0000 Memberships Manager -Ontario Public Buyers Association (OPBA) Manager -National Institute of Governmental Purchasing, Inc. (NIGP) Senior Procurement Analyst -Ontario Public Buyers Association (OPBA)/Supply Chain Buyer -Supply Chain Management Association Ontario (SCMAO) Buyers (3) -Ontario Public Buyers Association (OPBA) Buyer -National Institute of Governmental Purchasing, Inc. (NIGP) Total 502250.0000 Memberships 502260.0000 Outside Agency Srvc Access Copyright fee -add digital copies Total 502260.0000 Outside Agency Srvc 502500.0000 Stationery&OfficeSup General office supplies Total 502500.0000 Stationery&OfficeSup 502700.0000 Sfwr/Hdwr Mntc Contr Maintenance -HRIS Total 502700.0000 Sfwr/Hdwr Mntc Contr Total Expenses Total Revenues Total Transfers Net Expenses (Revenues) 405 Approved 2023 Budget 1,700 150 150 2,112 2,112 43,000 43,000 400 400 160 260 460 300 475 130 1,785 1,600 1,600 1,000 1,000 610 610 707,863 707,863 City of Pickering 2023 Approved Current Budget Summary Fire Services Department 2021 2022 2022 Actuals Actuals Account Description Approved Increase/ Budget Decrease Expenditures 12,623,851 12,944,864 Salaries & Wages 12 ,894 ,979 1,091,460 249,684 252,545 Overtime 250,000 - 3,383,612 3,597,288 Employee Benefits 3,552,522 213,508 171,507 177,243 Uniforms 210,000 10,000 -4 ,055 Conferences 3,500 3,000 107,329 122,317 Seminars & Education 139,000 15,000 455 675 Travel 1,000 - 50 102 Freight, Express & Cartage -- -57 Environmental Charges -- 14,729 17,952 Cellular Phones 16,300 - 45,519 62,382 Telephone & Data 61,635 (235) 15,537 1,156 Internet 1,160 - 184 2,481 Cable TV 2 ,205 300 1,007,847 1,059,383 Dispatch Comunications 1,068,967 38,273 1,104 -Advertising 1,000 - --Subscriptions & Publications 2,000 - --Photo, Mapping, Print 1,000 - 69,500 95 ,925 Insurance Premium 95,925 (6,027) --Insurance Deductible 2,000 - 4,889 6,830 Consulting & Professional Fees 15,000 145,000 410 1,927 Meals, Promotions & General 4,250 - 4 ,120 2,417 Memberships 6,450 - 10,150 750 Outside Agency Services 1,000 - 125,333 192,431 Building -Repairs & Maintenance 96,000 50,200 203,623 201,335 Vehicle -Repairs & Maintenance 165,600 - 62,825 135,546 Gas, Oil, Tire, Etc. 129,700 4,000 98,392 53,525 Misc. Equip. -Repairs & Maintenance 80,000 8 ,500 -86 Grounds Upkeep -- 4 ,384 6,375 Stationary & Office Supplies 5 ,000 1,000 494 -Forms 1,500 - 6,590 6,847 Programs & Event Supplies 18,000 3,000 93,590 108,569 Supplies & Tools 79,000 16 ,000 --COVID Related Expenses 28,000 (28 ,000) 10,313 12,812 Utilities -Water 13,850 5 ,000 46,979 50 ,727 Utilities -Hydro 62 ,710 5,000 20,475 27,183 Utilities -Natural Gas 27,535 10,000 407 Run Date : Sep 13, 2023 2023 Approved % Change Budget From 2022 13,986,439 8.46% 250,000 - % 3,766,030 6 .01% 220,000 4.76% 6,500 85 .71% 154,000 10.79% 1,000 - % --% -- % 16,300 - % 61,400 (0 .38%) 1,160 - % 2,505 13 .61% 1,107,240 3 .58% 1,000 -% 2,000 -% 1,000 - % 89,898 (6.28%) 2,000 - % 160,000 966.67% 4,250 -% 6,450 -% 1,000 - % 146,200 52.29% 165,600 - % 133,700 3.08% 88,500 10.63% -- % 6,000 20 .00% 1,500 -% 21 ,000 16.67% 95,000 20 .25% -(100 .00%) 18,850 36 .10% 67,710 7 .97% 37,535 36.32% City of Pickering 2023 Approved Current Budget Summary Fire Services Department 2021 2022 2022 Actuals Actuals Account Description Approved Increase/ Budget Decrease 168 -Utilities -Oil -- 5,003 17,899 Software & Hardware Mtce . Contracts 20,045 (3,250) -2,834 System & Softwa re Upg rade 8 ,500 - 15,740 7 ,968 Hardware Replacements -- 7,789 9,239 Furniture & Fixtures 8,000 15,000 15,140 8 ,885 Misc. Equipment 28 ,500 - 18,427,315 19,192,610 Total Expenditures 19 ,101,833 1,596,729 Revenues (27,200) -Ontario Grants -- (7,500) -Other Agency Grants -- (129,275) (146,318) Department User Fees (75,000) (25,000) -(5,432) Other User Fees -- --Sponsorships (500) - --Marketing Sponsors (500) - (259 ,215) (250,000) Cost Recoveries (250 ,000) - (423,190) (401,750) Total Revenues (326 ,000) (25,000) Transfers --Transfer to/(from) DC Oblg RF -(112,500) --Total Transfers -(112,500) 18,004,125 18,790,860 Net Expenditures (Revenues) 18,775,833 1,459,229 Cherrywood Development --Consulting & Professional Fees -30,000 --Other Contributions -(30,000) - - Net Expenditures (Revenues) - - 18,004,125 18,790,860 Total Net Expenditures (Revenues) 18,775,833 1,459,229 408 Run Date : Sep 13, 2023 2023 Approved % Change Budget From 2022 -- % 16,795 (16 .21%) 8 ,500 -% -- % 23 ,000 187.50% 28 ,500 - % 20,698,562 8.36% --% --% (100,000) 33.33% --% (500) - % (500) - % (250,000) -% (351,000) 7.67% (112,500) - % (112,500) - % 20,235,062 7.77% 30 ,000 -% (30 ,000) -% --% 20,235,062 7.77% 10700 Fire Protection 2021 2022 Actuals Actuals 12,462,382 12,780,544 249,684 252,545 3,364,175 3,564,585 171,507 177,243 -4 ,055 107,329 122,317 455 675 50 102 -57 14,125 17,365 43,888 62,361 15,532 1,156 74 873 1 ,007,847 1,059,383 1 ,104 - -- -- 68,820 95,245 -- 4,889 6,830 410 1,866 4,036 2,417 10,150 750 125,333 191,542 203,623 201,335 62,825 135,546 98,392 53,133 -86 3 ,936 6,375 494 - 6,590 6,847 93,590 107,795 -- 10,313 12 ,812 46,979 50,727 20,475 27,183 City of Pickering 2023 Approved Current Budget Summary --2022 Account Description Approved Increase I Budget Decrease Expenditures Salaries & Wages 12,762,004 1,086,727 Overtime 250,000 - Employee Benefits 3,519 ,553 213,086 Uniforms 210 ,000 10,000 Conferences 3,500 1,500 Seminars & Education 135,500 15,000 Travel 1,000 - Freight, Express & Cartage -- Environmental Charges -- Cellular Phones 15,500 - Telephone & Data 59,815 1,085 Internet 1,100 - Cable TV 885 - Dispatch Comun ications 1,068,967 38,273 Advertising 1,000 - Subscriptions & Publications 2,000 - Photo, Mapping, Print 500 - Insurance Premium 95,245 (6,095) Insurance Deductible 2,000 - Consulting & Professional Fees 15,000 145,000 Meals, Promotions & G.eneral 3,500 - Memberships 6,050 - Outside Agency Services 1,000 - Building -Repairs & Maintenance 96,000 50,200 Vehicle -Repairs & Maintenance 165,600 - Gas , Oil, Tire, Etc. 129,700 4 ,000 Misc. Equip. -Repairs & Maintenance 79,500 8,500 Grounds Upkeep -- Stationary & Office Supplies 4,000 1,000 Forms 1,500 - Programs & Event Supplies 18,000 3,000 Supplies & Tools 77,500 16,000 COVID Related Expenses 28,000 (28,000) Utilities -Water 13,850 5,000 Utilities -Hydro 62,710 5,000 Utilities -Natural Gas 27,535 10,000 410 Run Date : Sep 13, 2023 2023 Approved %Change Budget From 2022 13,848,731 8.52% 250,000 -% 3,732,639 6 .05% 220,000 4 .76% 5 ,000 42.86% 150,500 11 .07% 1,000 -% --% --% 15,500 -% 60,900 1.81% 1,100 ~ % 885 -% 1,107,240 3.58% 1,000 -% 2,000 -% 500 -% 89,150 (6.40%) 2,000 -% 160,000 966.67% 3,500 -% 6,050 -% 1,000 -% 146,200 52 .29% 165,600 -% 133,700 3 .08% 88,000 10.69% --% 5,000 25.00% 1,500 -% 21,000 16.67% 93,500 20.65% -(100.00%) 18,850 36 .10% 67,710 7.97% 37,535 36.32% City of Pickering 2023 Approved Background Information 10700 Fire Protection Run Date: Sep 13, 2023 Expenditures 501000.0000 Salaries & Wages Base Salaries and Wages Five new full-time Seaton Fire Fighter positions (Council Resolution #20/22) -Feb. 1, 2023 start date) Total 501000.0000 Salaries & Wages 501010.0000 Overtime Overtime to meet service level/workload commitments Emergency callback Total 501010.0000 Overtime 501020.0000 Employee Benefits This item includes mandatory deductions (CPP, El, EHT) and employer provided benefits such as extended health and dental Benefits related to five new full-time Seaton Fire Fighter positions (Council Resolution #20/22) -Feb. 1, 2023 start date) Total 501020.0000 Employee Benefits 501040.0000 Uniforms Uniform Articles -Coats, t-shirts, hats, epaulettes, equipment bags, etc. Station wear & bunker gear Repairs and Alterations Testing and cleaning contract for bunker gear Cleaning allowance Dress uniforms Firefighting boots, gloves, helmets & shields, balaclavas Station boots Corporate Wear Total 501040.0000 Uniforms 501100.0000 Conferences Conferences Ontario Association of Fire Chiefs Conference Fire Prevention Conference Training Officers Annual Conference Total 501100.0000 Conferences 501110.0000 Seminars & Education Continuous Education Courses Fire Prevention courses/symposiums/seminars Certification and recertification for high angle, ice & water rescue, auto extrication, company officer, pump operators, trainers and public educators 412 Approved 2023 Budget 13,550,431 298,300 13,848,731 225,000 25,000 250,000 3,628,239 104,400 3,732,639 30,000 70,000 5,000 12,000 9,500 35,000 40,000 18,000 500 220,000 1,500 2,500 500 500 5,000 8,000 5,500 10,000 City of Pickering 2023 Approved Background Information 10700 Fire Protection Run Date: Sep 13, 2023 Emergency Medical Response training Vehicle extrication training Fire Prevention resource materials Municipal management courses -Ontario Tech University Computer based instruction and resource materials T APP-C Arson prevention program Training (OPG MOU) Ontario Fire College online/remote lncid.ent Command Training Total 501110.0000 Seminars & Education 501130.0000 Travel Parking & Mileage Total 501130.0000 Travel 502020.0000 Cellular Phones Annual cell phone charges (on trucks) Annual smartphone charges -Deputy Chief, Fire Inspectors (4), Chief Training Officer, Training Officer, Platoon Chief, Chief Fire Prevention Officer Hardware upgrades Annual smartphone & tablet -Fire Chief Annual charges for cellular data cards -Crisys truck data terminals Total 502020.0000 Cellular Phones 502030.0000 Telephones & Data Voice/ Data Total 502030.0000 Telephones & Data 502040.0000 Internet Internet Total 502040.0000 Internet 502050.0000 Cable TV Cable Total 502050.0000 Cable TV 502060.0000 Dispatch Communications Pickering portion of Regional shared costs (NextGen System) Operational cost for joint fire dispatch -PFS/AFES Dispatch Audio Logger Placement -Pickering share only Total 502060.0000 Dispatch Communications 502100.0000 Advertising Advertising Total 502100.0000 Advertising 502120.0000 Subscriptions&Publcs 413 Approved 2023 Budget 42,500 8,000 1,000 4,500 41,000 1,000 15,000 3,000 11,000 150,500 1,000 1,000 2,000 5,500 3,000 1,500 3,500 15,500 60,900 60,900 1,100 1,100 885 885 62,079 1,030,161 15,000 1,107,240 1,000 1,000 City of Pickering 2023 Approved Background Information 10700 Fire Protection Ontario Fire & Building Codes Updates, Trade Magazines, National Fire Protection Codes, ULC/CSA Codes Total 502120.0000 Subscriptions&Publcs 502150.0000 Photo,Mapping,Print Printing map book updates Total 502150.0000 Photo,Mapping,Print 502210.0000 Insurance Premium Annual cost of insurance policy that provides protection for municipal activities and · property. (Policy coverage includes: liability, automobile and property) Property insurance premiums for new Zents Seaton Fire Hall/HQ Total 502210.0000 Insurance Premium 502220.0000 Insurance Deductible Insurance Deductible Total 502220.0000 Insurance Deductible 502230.0000 Consult&Prof Fees General Consulting, Legal Consulting and Prosecutions Psychology Consultant Retainer Fire Master Plan (75% funded from Development Charges) Total 502230.0000 Consult&Prof Fees 502230.4010 Consult&Prof Fees -Cherrywood-10700 Additional consulting costs related to expanded scope of the Fire Master Plan Total 502230.4010 Consult&Prof Fees -Cherrywood-10700 502240.0000 Meals/Prom/General Hosting visitors, Fire Marshal, special guests Host Durham Region Fire Chiefs, Training, Fire Prevention, TAPP-C meetings Fire Services Bars/Medals Service Awards Meals (conferences, seminars, out of town meetings, events) Total 502240.0000 Meals/Prom/General 502250.0000 Memberships Ontario Association of Fire Chiefs International Fire Chiefs Association Canadian Assoc. of Fire Chiefs Durham Regional Fire Chiefs Ontario Association of Fire Training Officers Municipal Fire Prevention Officers Association Municipal Fire Service Instructors Association Wood Energy Technical Transfer (WETT) Designation Building Code Identification Number International Society of Fire Instructors 414 Run Date: Sep 13, 2023 Approved 2023 Budget 2,000 2,000 500 500 75,702 13,448 89,150 2,000 2,000 5,000 5,000 150,000 160,000 30,000 30,000 500 1,000 1,500 500 3,500 750 275 275 250 150 150 150 150 350 350 City of Pickering 2023 Approved Background Information 10700 Fire Protection National Fire Prevention Association National Association of Fire Investigators Association of Fire Engineers Fire Marshal's Fire Safety Council Certified Municipal Mgr. (CMM) Annual membership Total 502250.0000 Memberships 502260.0000 Outside Agency Srvc Retainer fee for Critical Incident Stress Support Team Total 502260.0000 Outside Agency Srvc 502340.0000 Building Rpr & Mntc Waste Disposal (Stations #1, #2, #5 & #6)) HVAC repairs & maintenance Emergency generators (repairs, service & fuel tank flushing) Apparatus bay doors repairs & maintenance Pump out of hazardous waste tank (Stations #4 and #6) Recycling pick-up (Stations #2, #4, #5, and #6) Electrical repairs Plumbing repairs Diesel exhaust removal systems repairs & maintenance Pest control Cleaning products Cleaning contract for Administration Office -(Station #5) General repairs Drinking water (for Station #4) Bio-hazardous waste removal Lighting LED upgrades Cleaning Supplies Bio Hazard waste removal Total 502340.0000 Building Rpr & Mntc 502370.0000 Vehicle Rpr & Mntc Pump, engine and aerial device repairs Annual testing and certification for aerial devices PMVCI (periodic motor vehicle certification inspections) Annual pump tests Total 502370.0000 Vehicle Rpr & Mntc 502375.0000 Gas, Oil, Tires, Etc Fuel: Unleaded 16,215 litres@$1.40/litre Fuel: Diesel 51,942 litres@ $1.75/litre Oil changes and tires 415 Run Date: Sep 13, 2023 Approved 2023 Budget 2,000 300 200 100 600 6,050 1,000 1,000 15,000 12,000 9,600 9,600 3,000 3,600 6,000 5,000 9,600 3,600 9,600 16,800 18,000 1,200 3,600 2,000 10,000 8,000 146,200 121,300 3,500 36,800 4,000 165,600 22,700 90,900 20,100 City of Pickering 2023 Approved Background Information 10700 Fire Protection Total 502375.0000 Gas, Oil, Tires, Etc 502380.0000 Misc Equip Rpr&Mntc Portable and mobile radio repairs Extrication tools repair and testing Fire extinguisher repairs, refill and testing Breathing air compressor maintenance & testing Traffic pre-emption system maintenance/repairs Hydro static testing SCBA Functional Testing SCBA Ground ladder testing Thermal Imaging Camera repairs Gas detector calibration & repairs Repairs to Fire Prevention props Repairs to fitness equipment Fire hose testing and repairs Repairs to turnout gear extractor wash machines Defibrillator maintenance and calibration Total 502380.0000 Misc Equip Rpr&Mntc 502500.0000 Stationery&OfficeSup General office supplies Total 502500.0000 Stationery&OfficeSup 502510.0000 Forms Fire Services Forms Total 502510.0000 Forms 502520.0000 Program&Event Supps Fire Prevention Program (Home Safety, Buddy Bear, Fire Prevention Week, and Canada Day) Zents Hall Grand Opening Total 502520.0000 Program&Event Supps 502540.0000 Supplies & Tools Fire hose/nozzles/couplings Spill absorbent materials Miscellaneous supplies Rescue equipment & tools Station Supplies Ladder (replacement) Firefighting foam Miscellaneous medical response equipment Food and drink for emergency situations 416 Run Date: Sep 13, 2023 Approved 2023 Budget 133,700 20,000 5,000 2,500 8,000 2,000 8,000 9,000 3,500 1,000 1,000 1,000 3,000 12,000 2,000 10,000 88,000 5,000 5,000 1,500 1,500 18,000 3,000 21,000 4,000 4,000 5,000 15,000 6,000 1,000 20,000 8,000 3,500 City of Pickering 2023 Approved Background Information 10700 Fire Protection Run Date: Sep 13, 2023 Equipment and Supplies (OPG MOU) Personal Protective Equipment (PPE) Total 502540.0000 Supplies & Tools 502600.0000 Utilities -Water Budget based on 2022 projected actuals and regional water rate increase expected in 2023 Total 502600.0000 Utilities -Water 502610.0000 Utilities -Gas Budget based on 2022 projected actuals and anticipated increase in natural gas prices Total 502610.0000 Utilities -Gas 502620.0000 Utilities -Hydro Budget based on 2022 projected actuals Total 502620.0000 Utilities -Hydro 502700.0000 Sfwr/Hdwr Mntc Contr Maintenance -HRIS Total 502700.0000 Sfwr/Hdwr Mntc Contr 502720.0000 System&Sftwr Upgrade Pre-planning Program Software (Vantage) Vehicle maintenance program software (Check It Apparatus) Total 502720.0000 System&Sftwr Upgrade 502740.0000 Furniture & Fixtures Replacement of furniture (Stations #2, #4, #5, and #6) Zents Station Fit Out Total 502740.0000 Furniture & Fixtures 502750.0000 Misc. Equipment New intersection traffic pre-emption device installation SCBA parts for repairs Fitness equipment replacement Accountability system ID tags Total 502750.0000 Misc. Equipment Total Expenses Revenues 403000.9535 Department User Fees -Sale of Srv -Fire Reports Highway 401 related calls, fire alarm inspections and reports, and extinguishing grass fires on railway lines. Fire vehicle & crew for production of movies Total 403000.9535 Department User Fees -Sale of Srv -Fire Reports 406520.0000 Sponsorships 417 Approved 2023 Budget 17,000 10,000 93,500 18,850 18,850 37,535 37,535 67,710 67,710 16,630 16,630 5,000 3,500 8,500 8,000 15,000 23,000 15,000 10,000 2,500 1,000 28,500 20,543,920 , (100,000) (100,000) City of Pickering 2023 Approved Background Information 10700 Fire Protection Fire Services Sponsorships (No tax) Total 406520.0000 Sponsorships 406530.0000 Marketing Sponsors Fire Services Marketing Sponsorships (Taxable) Total 406530.0000 Marketing Sponsors 406540.0000 Cost Recoveries Reimbursement from OPG -Annual Fire Inspection Service Reimbursement from OPG -Annual Fire Safety Plan Review and Approval Reimbursement from OPG -Joint Fire Training Reimbursement from OPG -Specialized Training for City of Pickering Fire Fighters Reimbursement from OPG -Equipment & Supplies Total 406540.0000 Cost Recoveries 406550.401 O Other Contributions -Cherrywood-10700 Third-party contributions for development related studies Total 406550.4010 Other Contributions -Cherrywood-10700 Total Revenues Transfers 408601.0000 Trf fr DC-ProtectORF Fire Protection Development Charge funding (75%) for Fire Master Plan Total 408601.0000 Trf fr DC-ProtectORF Fire Protection Total Transfers Net Expenses (Revenues) 418 Run Date: Sep 13, 2023 Approved 2023 Budget (500) (500) (500) (500) (5,000) (3,000) (60,000) (15,000) (17,000) (100,000) (30,000) (30,000) (231,000) (112,500) (112,500) (112,500) 20,200,420 City of Pickering 2023 Approved Current Budget Summary 10705 Emergency Operations 2021 2022 2022 Actuals Actuals Account Description Approved Increase/ Budget Decrease Expenditures 161,469 164,320 Salaries & Wages 132,975 4,733 19,437 32 ,703 Employee Benefits 32,969 422 --Conferences -1 ,500 --Seminars & Education 3,500 - 604 587 Cellular Phones 800 - 1,631 21 Telephone & Data 1,820 (1,320) 5 -Internet 60 - 110 1,609 Cable TV 1,320 300 --Photo, Mapping , Print 500 - 680 680 Insurance Premium 680 68 -61 Meals, Promotions & General 750 - 84 -Memberships 400 - -890 Building -Repairs & Maintenance -- -392 Misc. Equip. -Repa irs & Maintenance 500 - 448 -Stationary & Office Supplies 1,000 - -773 Supplies & Tools 1,500 - 52 183 Software & Hardware Mtce. Contracts 205 (40) -(994) Furniture & Fixtures -- 59 3 ,720 Misc. Equipment -- 184,579 204,945 Total Expenditures 178,979 5,663 Revenues (150 ,000) (150,000) Cost Recoveries (150,000) - (150,000) (150,000) Total Revenues (150,000) - Transfers --Total Transfers -- 34,579 54,945 Net Expenditures (Revenues) 28,979 5,663 419 Run Date : Sep 13, 2023 2023 Approved % Change Budget From 2022 137,708 3 .56% 33,391 1.28% 1,500 -% 3 ,500 -% 800 -% 500 (72 .53%) 60 -% 1,620 22 .73% 500 -% 748 10.00% 750 -% 400 -% --% 500 -% 1,000 -% 1,500 -% 165 (19 .51%) --% --% 184,642 3.16% (150,000) -% (150 ,000) -% --% 34,642 19.54% City of Pickering 2023 Approved Background Information 10705 Emergency Operations Expenditures 501000.0000 Salaries & Wages Base Salaries and Wages Total 501000.0000 Salaries & Wages 501020.0000 Employee Benefits This item includes mandatory deductions (CPP, El, EHT) and employer provided benefits such as extended health and dental Total 501020.0000 Employee Benefits 501100.0000 Conferences Conferences Total 501100.0000 Conferences 501110.0000 Seminars & Education Emergency Management courses -MECG Total 501110.0000 Seminars & Education 502020.0000 Cellular Phones Smartphone -Deputy Fire Chief Total 502020.0000 Cellular Phones 502030.0000 Telephones & Data Voice/ Data Total 502030.0000 Telephones & Data 502040.0000 Internet Internet Total 502040.0000 Internet 502050.0000 Cable TV Cable Total 502050.0000 Cable TV 502150.0000 Photo,Mapping,Print Photo, Mapping, Printing Total 502150.0000 Photo,Mapping,Print 502210.0000 Insurance Premium Annual cost of insurance policy that provides protection for municipal activities and property. (Policy coverage includes: liability, automobile and property) Total 502210.0000 Insurance Premium 502240.0000 Meals/Prom/General Emergency training sessions --Refreshments & other incidental requirements Total 502240.0000 Meals/Prom/General 502250.0000 Memberships Ontario Association of Emergency Managers Emergency Management Accreditation Prg. 420 Run Date: Sep 13, 2023 Approved 2023 Budget 137,708 137,708 33,391 33,391 1,500 1,500 3,500 3,500 800 800 500 500 60 60 1,620 1,620 500 500 748 748 750 750 150 250 City of Pickering 2023 Approved Background Information 10705 Emergency Operations Total 502250.0000 Memberships 502380.0000 Misc Equip Rpr&Mntc General equipment repairs Total 502380.0000 Misc Equip Rpr&Mntc 502500.0000 Stationery&OfficeSup General office supplies Total 502500.0000 Stationery&OfficeSup 502540.0000 Supplies & Tools Misc. equipment/tools Total 502540.0000 Supplies & Tools 502700.0000 Sfwr/Hdwr Mntc Contr Maintenance -HRIS Total 502700.0000 Sfwr/Hdwr Mntc Contr Total Expenses Revenues 406540.0000 Cost Recoveries OPG Grant for Emergency Management Coordinator's Salary Total 406540.0000 Cost Recoveries Total Revenues Total Transfers Net Expenses (Revenues) 421 Run Date: Sep 13, 2023 Approved 2023 Budget 400 500 500 1,000 1,000 1,500 1,500 165 165 184,642 (150,000) (150,000) (150,000) 34,642 City of Pickering 2023 Approved Current Budget Summary Human Resources Department 2021 2022 2022 Actuals Actuals Account Description Approved Increase I Budget Decrease Expenditures 903,137 979,112 Salaries & Wages 984,036 130,886 1,339 866 Overtime 1,600 1,400 258,399 271,286 Employee Benefits 279,390 31,470 36,252 31,328 Employee Recognition 42,250 - 76 -Conferences 2,450 200 6,614 2,414 Seminars & Education 14,700 (8,200) 7 ,924 12,836 Corporate Training 30,000 30 ,000 -71 Travel 850 (350) 1,186 708 Cellular Phones 1,300 - 2,558 2 ,969 Telephone & Data 3,035 665 397 381 Internet 380 - 11,248 16 ,068 Advertising 10 ,000 5 ,000 4 ,330 4,330 Insurance Premium 4 ,330 433 173,025 212,166 Consulting & Professional Fees 185,100 14,900 1,915 2 ,878 Meals, Promotions & General 2,500 1,000 1 ,603 1,580 Memberships 2,160 1,370 1,452 978 Stationary & Office Supplies 1 ,500 - -52 Programs & Event Supplies -- -699 Educational Material 1,400 - --Workplace Accomodation 900 - 7,009 8 ,090 Software & Hardware Mtce . Contracts 7 ,732 620 1,418,464 1,548,812 Total Expenditures 1,575,613 209,394 Revenues (174,999) (229,941) Netted Revenue (227,958) (12 ,582) (174,999) (229,941) Total Revenues (227,958) (12,582) Transfers 50 ,090 (50,090) Transfer to(from) Cntg Sty Res . (50,100) 25,100 (7,448) (10 ,912) Transfer to (from) Oblig RF (20 ,000) (15,000) 42,642 (61,002) Total Transfers (70,100) 10,100 1,286,107 1,257,869 Net Expenditures (Revenues) 1,277,555 206,912 423 Run Date : Sep 13, 2023 2023 Approved % Change Budget From 2022 1,114,922 13 .30% 3,000 87.50% 310,860 11 .26% 42,250 -% 2,650 8 .16% 6,500 (55.78%) 60,000 100.00% 500 (41 .18%) 1 ,300 -% 3,700 2 1.91% 380 - % 15,000 ·50 .00% 4,763 10.00% 200 ,000 8 .05% 3,500 40 .00% 3,530 63.43% .1 ,500 - % --% 1,400 - % 900 - % 8,352 8 .02% 1,785,007 13.29% (240,540) 5 .52% (240,540) 5.52% (25,000) (50 .10%) (35,000) 75 .00% (60,000) (14.41%) 1,484,467 16.20% City of Pickering 2023 Approved Current Budget Summary 10800 Human Resources 2021 2022 2022 Actuals Actuals Account Description Approved Increase I Budget Decrease Expenditures 793,680 862 ,321 Salaries & Wages 874,193 116,842 1,339 866 Overtime 1,000 2 ,000 228,537 238,975 Employee Benefits 248,247 29,244 36,252 31 ,328 Employee Recognition 42 ,250 - 76 -Conferences 1,800 200 6 ,614 2,414 Seminars & Education 14,200 (8,200) 475 1,630 Corporate Train ing 10,000 15,000 -71 Travel 300 - 1,186 708 Cellular Phones 1,300 - 2,296 2,674 Telephone & Data 2 ,730 970 357 343 Internet 340 - 11 ,248 16,068 Advertis ing 10,000 5,000 3 ,570 3,570 Insurance Premium 3,570 357 173,025 212,166 Consulting & Profess ional Fees 185,100 14,900 1,848 2,879 Meals, Promotions & General 2 ,500 1,000 1,463 1,440 Memberships 1,960 1,370 1,452 978 Stationary & Office Supplies 1,200 - 3,499 4,487 Software & Hardware Mtce. Contracts 4,862 640 1,266,917 1,382,918 Total Expenditures 1,405,552 179,323 Revenues (174,999) (229 ,941) Netted Revenue (227,958) (12,582) (174,999) (229,941) Total Revenues (227 ,958) (12,582) Transfers 50,090 (50,090) Transfer to(from) Cntg Sty Res . (50 ,100) 25,100 50,090 (50,090) Total Transfers (50,100) 25,100 1,142,008 1,102,887 Net Expenditures (Revenues) 1,127,494 191 ,841 425 Run Date : Sep 13, 2023 2023 Approved %Change Budget From 2022 991,035 13.37% 3,000 200.00% 277,491 11.78% 42 ,250 -% 2,000 11 .11% 6,000 (57.75%) 25 ,000 150.00% 300 -% 1,300 -% 3,700 35.53% 340 -% 15,000 50 .00% 3,927 10.00% 200,000 8 .05% 3 ,500 40.00% 3,330 69.90% 1,200 -% 5,502 13.16% 1,584,875 12.76% (240,540) 5.52% (240 ,540) 5.52% (25,000) (50 .10%) (25,000) (50.10%) 1,319,335 17.01% City of Pickering 2023 Approved Background Information 10800 Human Resources Run Date: Sep 13, 2023 Expenditures 501000.0000 Salaries & Wages Base Salaries and Wages One new Human Resources Associate position, July 1, 2023 start date Total 501000.0000 Salaries & Wages 501010.0000 Overtime To meet service level/workload commitments Total 501010.0000 Overtime 501020.0000 Employee Benefits This item includes mandatory deductions (CPP, El, EHT) and employer provided benefits such as extended health and dental Benefits related to one new Human Resources Associate position, July 1, 2023 start date Total 501020.0000 Employee Benefits 501025.0000 Employee Recognition Annual Luncheon Retirements -Union Affiliated Retirements -Non -Union Employee Recognition Program Awards Total 501025.0000 Employee Recognition 501100.0000 Conferences Benefits & HR Conferences Total 501100.0000 Conferences 501110.0000 Seminars & Education Training HR staff to maintain knowledge of new legislative requirements and emerging HR issues Employee education assistance under Policy (HUR 160) Training funds -provided from Library Total 501110.0000 Seminars & Education 501120.0000 Corporate Training Corporate Training including team-building and business writing Total 501120.0000 Corporate Training 501130.0000 Travel Parking & Mileage Total 501130.0000 Travel 502020.0000 Cellular Phones Annual smartphone charges -Director, Human Resources Total 502020.0000 Cellular Phones 502030.0000 Telephones & Data 426 Approved 2023 Budget 955,135 35,900 991,035 3,000 3,000 266,691 10,800 277,491 15,000 2,750 4,500 20,000 42,250 2,000 2,000 1,500 2,000 2,500 6,000 25,000 25,000 300 300 1,300 1,300 City of Pickering 2023 Approved Background Information 10800 Human Resources Run Date: Sep 13, 2023 Voice/ Data Total 502030.0000 Telephones & Data 502040.0000 Internet Internet Total 502040.0000 Internet 502100.0000 Advertising Funds allocated for possible retirements, turnover of staff and advertising cost increases Total 502100.0000 Advertising 502210.0000 Insurance Premium Annual cost of insurance policy that provides protection for municipal activities and property. (Policy coverage includes: liability, automobile and property) Total 502210.0000 Insurance Premium 502230.0000 Consult&Prof Fees Employee & Family Assistance Program (Council Resolution 441/97) Pre-employment Medicals (City Policy HUR-040) Pre-employment Criminal Reference Checks (City Policy HUR-040) Ongoing legal advice Provision for legal counsel related to Library Requested Medical Certificates Diversity & Inclusion Strategy Consultant -(funded from Continuing Studies Reserve) Diversity & Inclusion Strategy Consultant for focus groups (Phase 2) -Additional Focus Groups Total 502230.0000 Consult&Prof Fees 502240.0000 Meals/Prom/General Employee Relations/flowers/condolences Total 502240.0000 Meals/Prom/General 502250.0000 Memberships HRPAO (HR, Associate x3) HRPAO (Manager, Employee Services) HRPAO (Mgr. of People & Culture and Human Resources Associate) Total 502250.0000 Memberships 502500.0000 Stationery&OfficeSup General office supplies Total 502500.0000 Stationery&OfficeSup 502700.0000 Sfwr/Hdwr Mntc Contr Maintenance -HRIS Maintenance -Organization Software Maintenance -Parklane 427 Approved 2023 Budget 3,700 3,700 340 340 15,000 15,000 . 3,927 3,927 60,000 2,000 10,000 70,000 4,000 4,000 25,000 25,000 200,000 3,500 3,500 1,665 555 1,110 3,330 1,200 1,200 1,190 512 3,800 City of Pickering 2023 Approved Background Information 10800 Human Resources Total 502700.0000 Sfwr/Hdwr Mntc Contr Total Expenses Revenues 406721.0000 Netted Revenue HR staff salary and benefits -cross charge to Library 10900 HR staff HR PAO Memberships -cross charge to Library 10900 Training -cross charge to Library 10900 Legal counsel -cross charge to Library 10900 Total 406721.0000 Netted Revenue Total Revenues Transfers 408009.0000 Trf fr Cntg Stdy Res Continuing Studies reserve funding for Diversity & Inclusion Strategy Consultant Total 408009.0000 Trf fr Cntg Stdy Res Total Transfers Net Expenses (Revenues) 428 Run Date: Sep 13, 2023 Approved 2023 Budget 5,502 1,584,875 (232,940) (1,100) (2,500) (4,000) (240,540) (240,540) (25,000) (25,000) (25,000) 1,319,335 10805 Health & Safety 2021 2022 Actual s Actuals 109,457 116,791 -- 29,863 32,311 -- -- 7,449 11,206 -- 262 295 40 39 760 760 67 - 140 140 -- -52 -699 -- 3 ,510 3,602 151,548 165,895 -- (7,448) (10,912) (7,448) (10,912) 144,100 154,983 City of Pickering 2023 Approved Current Budget Summary 2022 Account Description Approved Increase/ Budget Decrease Expenditures Salaries & Wages 109,843 14,044 Overtime 600 (600) Employee Benefits 31,143 2,226 Conferences 650 - Seminars & Education 500 - Corporate Training 20,000 15,000 Travel 550 (350) Telephone & Data 305 (305) Internet 40 - Insurance Premium 760 76 Meals, Promotions & General -- Memberships 200 - Stationary & Office Supplies 300 - Programs & Event Supplies -- Educational Material 1,400 - Workplace Accomodation 900 - Software & Hardware Mtce. Contracts 2,870 (20) Total Expenditures 170,061 30,071 Revenues Total Revenues -- Transfers Transfer to (from) Oblig RF (20,000) (15,000) Total Transfers (20,000) (15,000) Net Expenditures (Revenues) 150,061 15,071 429 Run Date: Sep 13, 2023 2023 Approved %Change Budget From 2022 123,887 12.79% -(100.00%) 33 ,369 7 .15% 650 -% 500 -% 35,000 75 .00% 200 (63 .64%) -(100.00%) 40 -% 836 10.00% --% 200 -% 300 -% --% 1,400 -% 900 -% 2,850 (0.70%) 200,132 17.68% --% (35,000) 75.00% (35,000) 75.00% 165,132 10.04% City of Pickering 2023 Approved Background Information 10805 Health & Safety Expenditures 501000.0000 Salaries & Wages Base Salaries and Wages Total 501000.0000 Salaries & Wages 501020.0000 Employee Benefits This item includes mandatory deductions (CPP, El, EHT) and employer provided benefits such as extended health and dental Total 501020.0000 Employee Benefits 501100.0000 Conferences PSHSA (Public Services Health & Safety Association) membership meetings Total 501100.0000 Conferences 501110.0000 Seminars & Education Education Assistance -Manager, Human Resources Total 501110.0000 Seminars & Education 501120.0000 Corporate Training Corporate health & safety training program to reduce WSIB claims. Expenditure includes: in-house training, external trainers, wellness initiatives, safety supplies inclusive of food and beverage. Program funded from the WSIB reserve. Total 501120.0000 Corporate Training 501130.0000 Travel Parking and mileage Total 501130.0000 Travel 502040.0000 Internet Internet Total 502040.0000 Internet 502210.0000 Insurance Premium Annual cost of insurance policy that provides protection for municipal activities and property. (Policy coverage includes: liability, automobile and property) Total 502210.0000 Insurance Premium 502250.0000 Memberships OMHSPA Membership -Manager, Human Resources Total 502250.0000 Memberships 502500.0000 Stationery&OfficeSup General office supplies Total 502500.0000 Stationery&OfficeSup 502570.0000 Educational Material Training & Educational Material Total 502570.0000 Educational Material 502580.0000 Wrkplc Accommodation 430 Run Date: Sep 13, 2023 Approved 2023 Budget 123,887 123,887 33,369 33,369 650 650 500 500 35,000 35,000 200 200 40 40 836 836 200 200 300 300 1,400 1,400 City of Pickering 2023 Approved Background Information 10805 Health & Safety Physical Demands Analyses (assistive devices, workplace modifications for injured workers) Total 502580.0000 Wrkplc Accommodation 502700.0000 Sfwr/Hdwr Mntc Contr MSDS Online (H&S compliance) Maintenance -HRIS Total 502700.0000 Sfwr/Hdwr Mntc Contr Total Expenses Total Revenues Transfer~ 408702.0000 Trf fr WSIB RF Transfer from WSIB reserve to offset the cost associated with the additional Health & Safety Training Total 408702.0000 Trf fr WSIB RF Total Transfers Net Expenses (Revenues) 431 Run Date: Sep 13, 2023 Approved 2023 Budget 900 900 2,700 150 2,850 200,132 (35,000) (35,000) (35,000) 165,132 ~ c.,,) N ~r,s~Rv ORGANIZATIONAL CHART PP L Staff Complement 10 x Non-Union Full Tlme 1 x Non-Union Full Time Term 29 x Union Full llme Executive Assistant 20 x Union Part llme 1FTNU I 13x ~sual l&xTukforce Total: 89 pos itions I Events Coordinator Manager of Client Experience I (Term) 1 FT NU 1 FTNU I I Assistant Manager of I Borrower Services 1FTNU I Senior Client Experience Associate-Client Experience Specialist-Digital Borrower Services 1 X FT UNION lxFTUNION Client Experience Specialist-Children 2 x PT UNION lx FT UNION Cll ent Experience Associate -Borrower Client Experience Specialist-Youth Services 1 x FT UNION Bx PT UN ION Client Experience Specialist• Adults Client Experience Courier 1 x FT UNION 1 x PT UNIO N Client Experience Specialist• Courier & Operations Support Technology Outreach 1 x FT UNION lx FT UNION Client Experience Taslcforce x14 casual Team Members x13 I Director, Engagement & Client I Experience 1 FTNU I I I Assistant Manager of I Info Tech Services 1FTNU I Client Experience Specialist-Info Tech 1 x FT UNION Senior Client Experience Associate- Info Tech Sx FT UNION lxPTUNION Senior Client Experience Associate- Digital 1 x FT UNION Client Experience Associate• Info Tech 2x FT UNION 6 X PT UNIO N Client Experience Taskforce • Technology x 2 I Library Board I I CEO I I Manager, People and Culture I I I (□tystatr) 1 FTNU 1FTNU I Director of Support Services f ~ Administrative Services Assistant I I HR Associate . 1 FT NU lx FT UNION IC•yst;iH) 1FTNU Manager of Community I Manager of IT and Collections I Engagement & Marketing 1FTNU 1FTNU I Assistant Manager of I Collections I 1FTNU I Client Experience Associate-Outre.i:ch Systems Administrator Client Experience Specialist 1 x FT UNION 1 x FT UNION 3 X FT UNION lx PT UNION IT Support Technician Senior Support Services Associate Senior Client Experience Associate lxFTUNION lx FT UNION lx FT UNION Digi tal Services Tech Client Experience Associate• Support Services Marketing Strategist 1 x FT UNION 1 x FT UN ION lx FT UNION 1 x PT UNION Marketing Asslstomt lxFTUNION Library 2021 2022 Actuals Actuals 3,094,936 3,308 ,620 2,768 6,560 837,447 874,733 1,997 2,273 3,104 1,585 3,695 5,790 29,174 20,178 305 1,527 1,040 2,622 162 365 13,245 15,427 50,692 21,292 4,979 35,179 119 1,299 13,627 13,149 5,425 3,172 24,830 24,830 -- 14,594 4,202 3 ,844 5,212 7,019 9,543 242,819 305,554 233,832 257,247 1,839 3,164 1,566 2,807 44,485 41 ,077 21,239 28 ,150 29,807 33,757 -8 ,342 6,287 7,446 314,398 321,992 -- 9,928 13,816 133,853 110,247 31,057 35 ,956 225 ,826 201,213 City of Pickering 2023 Approved Current Budget Summary 2022 Account Description Approved Increase/ Budget Decrease Expenditures Salaries & Wages 3,582,424 147,537 Overtime -3,275 Employee Benefits 1,001,984 40,095 Employee Recognition 4,135 (335) Uniforms 3 ,950 (2,880) Conferences 7,000 3,000 Seminars & Education 28,600 (5,100) Travel 3 ,000 540 Postage 1,150 50 Freight, Express & Cartage 400 100 Cellular Phones 12,980 4,300 Telephone & Data 23,165 (865) Internet 38 ,500 13,460 Cable TV 1,425 - Advertising 11,800 8,200 Brochures/Newsletters Printing 7 ,000 4,000 Insurance Premium 24,830 2,483 Insurance Deductible 2,000 - Consulting & Professional Fees 18,500 116,500 Meals, Promotions & General 6 ,000 1,000 Memberships 7,580 7,000 Outside Agency Services 286,698 57,212 Building -Repairs & Maintenance 238,843 13,975 Vehicle -Repairs & Maintenance 4,000 (2,000) Gas, Oil, Tire, Etc. 2,930 500 Misc. Equip . -Repairs & Maintenance 41,490 1,650 Stationary & Office Supplies 18,500 500 Programs & Event Supplies 26,000 20,000 Committee Expenses 11,000 100 Supplies & Tools 8 ,000 1,500 Library Materials 319,990 (13,990) COVID Related Expenses 53,000 (53,000) Utilities -Water 18,300 (1,000) Utilities -Hydro 189,000 (24,000) Utilities -Natural Gas 36,185 2,000 Software & Hardware Mtce . Contracts 222,051 16,975 433 Run Date : Sep 13, 2023 2023 Approved %Change Budget From 2022 3,729,961 4.12% 3,275 - % 1,042,079 4 .00% 3,800 (8 .10%) 1,070 (72 .91%) 10,000 42.86% 23 ,500 (17 .83%) 3,540 18.00% 1,200 4 .35% 500 25.00% 17,280 33.13% 22 ,300 (3.73%) 51 ,960 34.96% 1,425 -% 20,000 69.49% 11,000 57.14% 27,313 10.00% 2,000 -% 135,000 629.73% 7,000 16.67% 14,580 92 .35% 343,910 19.96% 252,818 5.85% 2,000 (50.00%) 3,430 17.06% 43 ,140 3.98% 19,000 2.70% 46,000 76.92% 11 ,100 0.91% 9,500 18.75% 306,000 (4.37%) -(100.00%) 17,300 (5.46%) 165,000 (12.70%) 38,185 5 .53% 239,026 7 .64% Library 2021 2022 Actuals Actuals -- 32,583 28 ,059 14,331 8 ,153 5,456,852 5,764,538 (36 ,574) (13,333) (136,689) (146,689) (11 ,939) (26 ,776) (291) (1,807) -(723) (12,204) (1 ,939) (9,338) (6,079) (3,995) (6,354) (211,030) (203,700) -- 100,000 100,000 100,000 100,000 5,345,822 5,660 ,838 City of Pickering 2023 Approved Current Budget Summary 2022 Account Description Approved Increase/ Budget Decrease System & Software Upgrade -20,000 Hardware Replacements 16 ,000 - Furniture & Fi xtures 5 ,000 5,000 Total Expenditures 6,283 ,410 387,782 Revenues Federal Grants (27,600) (9,400) Ontario Grants (106,425) (51 ,000) Department User Fees (53 ,000) - Vending Machines (2 ,500) - Rentals -Meeting Rooms (3,500) (2,000) Other User Fees . (10 ,000) - Fines & Charges (20,000) - Donations (25,000) 5,000 Total Revenues (248,025) (57,400) Transfers Transfer to/(from) DC Oblg RF -(78,750) Transfer to(from) Reserve 100,000 - Total Transfers 100,000 (78,750) Net Expenditures (Revenues) 6,135,385 251,632 434 Run Date: Sep 13, 2023 2023 Approved %Change Budget From 2022 20 ,000 -% 16 ,000 -% 10,000 100.00% 6,671,192 6.17% (37 ,000) 34.06% (157,425) 47.92% (53,000) -% (2,500) -% (5,500) 57.14% (10,000) -% (20,000) -% (20,000) (20.00%) (305,425) 23.14% (78,750) -% 100,000 -% 21,250 (78.75%) 6,387,017 4.10% City of Pickering 2023 Approved Background Information 10900 Library Expenditures 501000.0000 Salaries & Wages Base Salaries and Wages Pay in Lieu of benefits for casual staff (level 3) Position changes and gapping Summer Students -4 positions -(subject to Young Canada Works grant funding approval) Additional hours to staff extended Sunday hours at the Central Library and George Ashe branch Total 501000.0000 Salaries & Wages 501010.0000 Overtime Staff overtime Total 501010.0000 Overtime 501020.0000 Employee Benefits This item includes mandatory deductions (CPP, El, EHT) and employer provided benefits such as extended health and dental Benefits related to Employee Post Retirement Benefits Benefits related to additional hours to staff extended Sunday hours at the Central Library and George Ashe branch Benefits related to position changes and gapping Total 501020.0000 Employee Benefits 501025.0000 Employee Recognition Long Service and Retirement Awards for staff Recognition event for volunteers Total 501025.0000 Employee Recognition 501040.0000 Uniforms Uniform and Safety apparel for staff Total 501040.0000 Uniforms 501100.0000 Conferences Ontario Library Association Annual Conference (OLA) Other Conferences Total 501100.0000 Conferences 501110.0000 Seminars & Education Staff training based on Staff Development plan Legally required staff training Total 501110.0000 Seminars & Education 501130.0000 Travel Staff and Board travel at City's approved rate 436 Run Date: Sep 13, 2023 Approved 2023 Budget 3,828,791 5,100 (158,930) 37,000 18,000 3,729,961 3,275 3,275 1,071,208 9,977 1,800 (40,906) 1,042,079 2,800 1,000 3,800 1,070 1,070 4,000 6,000 10,000 18,500 5,000 23,500 2,040 City of Pickering 2023 Approved Background Information 10900 Library Travel costs for seminars and education Total 501130.0000 Travel 502000.0000 Postage Overdue notices Other mail Total 502000.0000 Postage 502010.0000 Frght,Exprss&Cartage Freight, express & cartage Total 502010.0000 Frght,Exprss&Cartage 502020.0000 Cellular Phones Library cell phones Public Hotspot and Internet Kit connectivity costs Total 502020.0000 Cellular Phones 502030.0000 Telephones & Data Voice/ Data Total 502030.0000 Telephones & Data 502040.0000 Internet Internet Total 502040.0000 Internet 502050.0000 Cable TV Cable Total 502050.0000 Cable TV 502100.0000 Advertising Advertising (recreation newsletter, advertisements, job postings) Seniors Community Grant -Library Partnership Technology -Marketing costs Total 502100.0000 Advertising 502130.0000 Brchrs/NewsLtr-Print Printed brochures, newsletters, signs, banners, etc. Total 502130.0000 Brchrs/Newsltr-Print 502210.0000 Insurance Premium Annual cost of insurance policy that provides protection for Library activities and property. (Policy coverage includes: liability, automobile and property) Total 502210.0000 Insurance Premium 502220.0000 Insurance Deductible Insurance Deductible Total 502220.0000 Insurance Deductible 502230.0000 Consult&Prof Fees Strategic Plan -(75% funded from Development Charges) Brand Strategy 437 Run Date: Sep 13, 2023 Approved 2023 Budget 1,500 3,540 500 700 1,200 500 500 3,280 14,000 17,280 22,300 22,300 51,960 51,960 1,425 1,425 16,000 4,000 20,000 11,000 11,000 27,313 27,313 2,000 2,000 105,000 10,000 City of Pickering 2023 Approved Background Information 10900 Library External Audit Fees Pay Equity Review EFAP Program Board Education Roof Anchor Inspection Miscellaneous costs Total 502230.0000 Consult&Prof Fees 502240.0000 Meals/Prom/General Board / Community linkage activities Employee & Board relations, condolence, meeting costs etc. Total 502240.0000 Meals/Prom/General 502250.0000 Memberships Library Association memberships Other miscellaneous memberships Total 502250.0000 Memberships 502260.0000 Outside Agency Srvc Human Resources staff salaries & benefits -cross charge from 10800 HR Training -cross charge from 10800 HR Professional memberships (HRPAO) -cross charge from 10800 HR Legal counsel -cross charge from 10800 Security staffing and facility attendant for George Ashe branch -cross charge from 10220 Social worker contract Security Services for Central Library Additional Security Services for Central Library Saturdays & Sundays Rental of storage space for Local History documents Accessibility Services Security Alarm System Service (all branches) & Defibrillator monitoring Total 502260.0000 Outside Agency Srvc 502340.0000 Building Rpr & Mntc Sanitact Services Central and George Ashe All Branches -Washroom & Janitorial Supplies All Branches -Water Testing All Branches -Bed bug inspection and treatment Contingency (All Sites) Claremont Library snow clearing Central Library snow clearing George Ashe snow clearing Air handling maintenance (chillers & starters only) 438 Run Date: Sep 13, 2023 Approved 2023 Budget 6,000 5,000 4,500 2,500 500 1,500 135,000 1,000 6,000 7,000 12,500 2,080 14,580 232,940 2,500 1,100 4,000 11,900 5,000 59,900 19,500 2,670 2,000 2,400 343,910 3,220 8,352 800 3,300 5,000 3,300 16,500 4,950 4,120 City of Pickering 2023 Approved Background Information 10900 Library Total 502520.0000 Program&Event Supps 502530.4619 Committee Expenses Stipend for Members Supplies for Task Force Total 502530.4619 Committee Expenses 502540.0000 Supplies & Tools Miscellaneous & Supplies Total 502540.0000 Supplies & Tools 502541.0000 Supplies & Tools Supplies includes membership cards, printer rolls and related items Total 502541.0000 Supplies & Tools 502550.0000 Library Materials Includes Non-Capital Materials (Online Products, Digital Collections and Periodicals) Total 502550.0000 Library Materials 502600.0000 Utilities -Water Budget based on 2022 projected actuals and regional water rate increase in 2023 -Central Budget based on 2022 projected actuals and regional water rate increase in 2023 -George Ashe Total 502600.0000 Utilities -Water 502610.0000 Utilities -Gas Central, George Ashe and Claremont Libraries -Budget based on 2022 projected actuals and anticipated increase in natural gas prices Total 502610.0000 Utilities -Gas 502620.0000 Utilities -Hydro Budget .based on 2022 projected actuals Total 502620.0000 Utilities -Hydro 502700.0000 Sfwr/Hdwr Mntc Contr RFID Maintenance Contract (CN & GAL) -Hardware ILS Maintenance--Horizon Software and Hardware Support Catalogue & Website Maintenance--BiblioCommons Network Maintenance & Security Software for staff and client use Software to support client experience Software to support organizational systems Maintenance of extended access hardware/software (Claremont) Maintenance -HRIS software Total 502700.0000 Sfwr/Hdwr Mntc Contr 502720.0000 System&Sftwr Upgrade 440 Run Date: Sep 13, 2023 Approved 2023 Budget 46,000 8,000 3,100 11,100 5,000 5,000 4,500 4,500 306,000 306,000 13,125 4,175 17,300 38,185 38,185 165,000 165,000 22,174 53,700 85,677 11,800 14,290 15,850 15,060 16,000 4,475 239,026 City of Pickering 2023 Approved Background Information 10900 Library Replace ILS software Total 502720.0000 System&Sftwr Upgrade 502730.0000 Hardware Replacements Replace UPS and power supplies Replace network core switches & wireless access ports & firewalls Replace public laptops Replace staff devices Total 502730.0000 Hardware Replacements 502740.0000 Furniture & Fixtures Replacements -furniture Total 502740.0000 Furniture & Fixtures Total Expenses Revenues 402500.0000 Federal Grants Young Canada Works Grant Total 402500.0000 Federal Grants 402510.0000 Ontario Grants Household Grant -Province Pay Equity Equalization "down-payment" est. -Prov. Connectivity Grant Seniors Community Grant -Library Partnership Technology (Library Share) Total 402510.0000 Ontario Grants 403000.9590 Department User Fees -Photocopy fees Photocopying Total 403000.9590 Department User Fees -Photocopy fees 403000.9591 Department User Fees -Makerspace Supplies Makerspace supplies payments Total 403000.9591 Department User Fees -Makerspace Supplies 403030.0000 Vending Machines Based on sales of vending machine products Total 403030.0000 Vending Machines 403064.0000 Rentl-Mtg.Room/Publi Rental of rooms to outside groups Total 403064.0000 Rentl-Mtg.Room/Publi 403120.0000 Other User Fee Revenue Payphone, book sales, genealogy research, other revenues Total 403120.0000 Other User Fee Revenue 405000.0000 Fines & Charges 441 Run Date: Sep 13, 2023 Approved 2023 Budget 20,000 20,000 2,000 7,000 2,000 5,000 16,000 10,000 10,000 6,671,192 (37,000) (37,000) (97,833) (8,592) (30,000) (21,000) (157,425) (50,000) (50,000) (3,000) (3,000) (2,500) (2,500) (5,500) (5,500) (10,000) (10,000) City of Pickering 2023 Approved Background Information 10900 Library Replacements, other fees etc. Total 405000.0000 Fines & Charges 406500.0000 Donations Donation funds from various sources Total 406500.0000 Donations Total Revenues Transfers 408607.0000 Trf fr DC-Libr OB RF Library Strategic Plan -75% funded from Development Charges Total 408607.0000 Trf fr DC-Libr OB RF 508036.0000 Trsf to LibrBldg Res Transfer to Library Reserve Total 508036.0000 Trsf to LibrBldg Res Total Transfers Net Expenses (Revenues) 442 Run Date: Sep 13, 2023 Approved 2023 Budget (20,000) (20,000) (20,000) (20,000) (305,425) (78,750) (78,750) 100,000 100,000 21,250 6,387,017 City of Pickering 2023 11005 Council Support Approved Background Information Expenditures 2023 Budget 502210.0001 Insurance Premium Annual cost of insurance policy that provides protection for municipal activities and property. (Policy coverage includes: liability, automobile and property).1,518 Total 502210.0001 Insurance Premium 1,518 502240.0001 Meals/Prom/General Includes provision for Special Meetings (i.e. Council, Budget, etc.)3,500 Total 502240.0001 Meals/Prom/General 3,500 502250.0001 Memberships Executive Assistant, Mayor 150 Total 502250.0001 Memberships 150 502700.0001 Sfwr/Hdwr Mntc Contr Maintenance - HRIS 1,000 Total 502700.0001 Sfwr/Hdwr Mntc Contr 1,000 502500.0001 Stationery&OfficeSup General office supplies, toners 455 Total 502500.0001 Stationery&OfficeSup 455 Total Expenses $377,803 Council 473A