HomeMy WebLinkAboutCS 24-03
Citq o~
REPORT TO FINANCE &
OPERATIONS COMMITTEE
Report Number: CS 24-03
Date: June 5, 2003
From:
Gil Paterson
Director, Corporate Services & Treasurer
Subject:
Development Charges Reserve Fund- Statement of the Treasurer for
2002
Recommendation:
That Report CS 24-03 as the Statement of the Director, Corporate Services &
Treasurer respecting the Development Charges Reserve Fund (G/L 4227 and 4229) be
received by Council for information.
Executive Summary:
Not applicable
Financial Implications:
statement.
There are no financial implications to the receipt of this
Background: Section 43 of the Development Charges Act requires that the
Treasurer furnish to Council a Statement in respect of each Reserve Fund established
under Section 33 (i.e. for each Development Charge). Accordingly, the attached
Schedules 1 to 5 details the activity in the Development Charges Reserve Fund for the
year ended December 31, 2002 in the manner as prescribed by the Development
Charges Act.
We are continuing the practice of not transferring monies out of reserve fund for
projects still underway until the funds are actually required. This practice will ensure,
that the Reserve Fund continues to earn interest income on these unspent monies until
such time that the actual expense is incurred. Schedule 1 presents the Reserve Fund
balance, before unspent commitments of $12,866,750. Taking into account the
unspent commitments at December 31, 2002 of $1,675,789 the uncommitted fund
balance available for future expenditures is $11,190,961.
Report CS 24-03
Date: June 5, 2003
Subject: Development Charges Reserve Fund-Statement
of the Treasurer for 2002
Page 2
The development charges collected in 2002 were $2,340,781 an increase of 74% from
amounts collected in 2001. The increase in building activities was due in part to the
economic condition of low interest rates and the booming housing market.
The 2002 budgeted draw from this Reserve Fund was $731,460. . Schedule 2 provides
a detailed breakdown of 2002 budgeted capital projects. The capital expenditures
incurred in 2002 that were actually funded from this Reserve Fund amounted to
$398,836. Schedule 3 provides a summary by projects of these capital expenditures
funded by development charges and other sources as prescribed by Regulation 12(3).
In 2002, the City undertook additional internal loans of $1,224,000 from this Reserve
Fund, bringing the combined 2001 and 2002 internal loans at $7,431,893 as of Dec.
31,2002. Schedule 4 provides detailed information on the 2002 internal borrowings and
the purpose for which it was borrowed as prescribed by Regulation 12 (2). Interest and
principal repayment on 2002 internal loans will commence in 2003.
Please note that the annual charges of $904,719 paid in 2002 and as indicated in
Schedule 5 are related to 2001 internal loans. This amount was funded from the
general tax levy. Schedule 5 also provides a summary of amount and source of any
money used by the municipality to repay money borrowed from the fund and interest on
such money as required by Reg. 12 (2) 5.
Though the fund balance has increased significantly due to increase in building
activities, caution has to be used when budgeting for draws for capital projects as this
trend may not continue in the future due to the limited availability of land in Pickering
and the uncertainty of economic times ahead of us.
Attachments:
1.
2.
2002 Annual Statement of Development Charges Reserve Fund
Projects Approved in 2002 to be Funded from Development Charges Reserve
Fund
2002 Capital Expenditures Summarized by Project
2002 Internal Loans from Development Charges Reserve Fund
Total Dev. Charges Reserve Fund Internal Loans & Annual Repayment
3.
4.
5.
Report CS 24-03
Date: June 5, 2003
Subject: Development Charges Reserve Fund-Statement
of the Treasurer for 2002
Page 3
Prepared By:
Approved 1 Endorsed By:
-e~~
Caryn Kong,
Senior Financial Analyst
---: ~ C>-- --
'-GTilis A. Paterson,
Director, Corporate Services & Treasurer
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Attachments
Copy: Chief Administrative Officer
Recommended for the consideration of
Pickering City Council
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CITY OF PICKERING
Schedule 1
Sec 43
Open. Balance as at Jan. 1, 2002 671,627 314,545 99,936 218,830 746,035 2,117,541 314,988 85,522 127,566 1,131,771 83,208 1,689,544 733,147 1,884,853 24,414 120,855 29,233 10,393,615
REVENUE
Dev. Charges Collected 0 33,269 19,617 32,426 0 1,002,911 146,634 37,448 66,757 17,353 72,061 0 368,630 409,428 14,612 65,147 54,488 2,340,781
Interest Received- External Investments 8,191 4,512 1,620 3,331 9,098 45,035 6,630 1,736 2,885 14,093 2,656 20,605 17,651 31,460 602 2,820 1,725 174,650
Interest Received-Internal Loan 24,788 11,217 3,462 7,700 27,534 64,297 9,564 2,597 3,873 41,457 2,527 62,354 24,815 64,996 741 3,730 888 356,540
32,979 48,998 24,699 43,457 36.632 1,112.243 162,828 41,781 73,515 72,903 77,244 82,959 411,096 505,884 15,955 71,697 57,101 2,871,971
Sub-total 704,606 363,543 124,635 262,287 782,667 3,229,784 477,816 127,303 201,081 1,204,674 160,452 1,772,503 1,144,243 2,390,737 40,369 192,552 86,334 13,265,586
EXPENDITURES
Capital Expenditures 0 (13,796) 0 0 (49,802) 0 0 0 0 0 0 0 (335,238) 0 0 0 0 (398,836)
Total Expenditures 0 (13,796) 0 0 (49,802) 0 0 0 0 0 0 0 (335,238) 0 0 0 0 (398,836)
Bal. before commitments Dec. 31, O. 704,606 349,747 124,635 262,287 732,865 3,229,784 477,816 127,303 201,081 1,204,674 160,452 1,772,503 809,005 2,390,737 40,369 192,552 86,334 12,866,750
Commitments Unpaid Dec, 31,2002 0 (51,204) 0 0 (649,683) (497,660) (182,197) (56,250) (103,900) (92,000) (7,813) 0 (55,082) 0 0 0 0 (1,675,789)
Uncommitted Balance, Oec.31,2002 704,606 298,543 124,635 262,287 83,182 2,732,J24 315,619 71,053 97,181 1,112,674 152,639 1,772,503 753,923 2,390,737 40,369 192,552 86~34 11,190
. No longer collectable
(1) Under new By-law, this category now collected under 4 new sub-categories, which are Roads, Sidewalk & Streetlights, StOfT11 Water Management
Dev, Charges Apportionment-2002.XLS
Combined RTC
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ATTACHMENT#~ TO REPORT # c5 ~~ ~{):1
Source of Funding Dev. Charge D.C-City's General Total
Reserve Fund Portion Fund
Projects: $ $ $ $
Planning
Development Studies 25,000 0 0 25,000
External Subdivision (Storm Water Management)
Storm Water Management 116,800 48,200 0 165,000
External Subdivision ( Roads)
Valley Farm Rd. East Side-N Esplanade 64,350 0 0 64,350
Engineer, design & estimates for new road 0 0 0
(North of Dunbarton-east of Fairport) 0 30,000 0 30,000
Rosebank Rd. Bridge-Granite CrtlToynevale 230,800 494,800 0 725,600
Strouds Lane Extention to Altona Rd 147,510 0 0 147,510
Strouds Extension Culvert (oversizing) 55,000 0 0 55,000
Pickering Pkwy-Glenanna to HEPC Corridor 0 36,960 0 36,960
Sub-total External Subdivision 497,660 561,760 0 1,059,420
Total Ext. Subdivision 614,460 609,960 0 1,224,420
Roads
Vehicles- 4 Ton Dump Truck (new) 92,000 56,000 5,580 153,580
Grand Total 731,460 665,960 5,580 1,403,000
DC Reserve Fund 2002.xls
Projects
05/06/2003
ATTACI-;\¡
4,.3._- "10 REPORT # &.id. Ý ~ ð 3
Dev. Charges Com. Facilities Internal
Reserve Fund Reserve Fund Gen. Fund Loans Total
Corporate Services
2000 budqeted project
Master Financing Plan 13,796 13,796
External Subdivision
2001 and prior budqeted projects
Road Construction
Rosebank Rd Bridge Analysis ES 1996 01 B 7,000 3,000 300 10,300
Rosebank Bridge-GranitefToynevale 01-001-0' 11 ,504 291 11,795
Carey Agreement-Golden Ridge 01-001-06 15,215 34,766 49,981
Squires Beach Rd (Bayly to 750m S) 01-001-1: 1,417 1,417
Sidewalk & Streetlight
Kingston Road (partial) ES 2000 WO-2 14,666 14,666
Parks
1998 budqeted project
Front Street Park 22,456 22,456
2000 budqeted project
Petticoat Creek Bridge 312,782 145,770 231,000 689,552
Total Spent 398,836 3,000 181,127 231,000 813,963
Capital Exp.-2002 Reg 12(3).xls
Total Projects
TTACHMENT#-!:t- TO REPORT#~¥-O3
Original Principal
Loan Repayment Interest Total
Development Charges -4227 Old By-Law
Purpose of Loan:
Fire Hall & Communication $43,000 $0 $0 $0
Parks 155,000
Sidewalks 78,000
Storm Water Management 160,000
Streetlight 40,000
Arena & Recreation 55,000
Sub-total 4227 $531,000 $0 $0 $0
Development Charges -4229 New By-Law
Purpose of Loan:
Roads $693,000 $0 $0 $0
Sub-total 4229 $693,000 $0 $0 $0
Total $1,224,000 $0 $0 $0
Note: Annual repayment for 2002 Internal Loans to commence in 2003.
Capital Exp.-2002 Reg 12(3).xls
DC Loan
'~'mTO REPORT # CS '~Y-o.3
Outstanding Principal Outstanding
Principal Repayment Principal Interest
(Jan 1) 2002 2002 2002
Jan 1 ,2002 Dec 31,2002
Development Charges - 4227
Booked in 2001
Rosebank 831,025 (72,987) 758,038 47,663
Eastshore Community Ctr 721,145 (63,336) 657,809 41,361
Fire Tanker 130,391 3,529 133,920 9,232
Dispatch Ctr 161,588 (14,191) 147,397 9,343
1999 Roads Projects 207,756 (18,246) 189,510 11,916
1999 Roads Projects 655,527 (57,519) 598,008 38,021
1999 Streetlights 527,239 (46,306) 480,933 30,486
2000 Roads Projects 353,647 (31,060) 322,587 20,283
2000 Roads Projects 415,512 (36,494) 379,018 22,684
4,003,830 (336,610) 3,667,220 230,989
Booked in 2002
Fire Hall & Communication 43,000 43,000
Parks 155,000 155,000
Sidewalks 78,000 78,000
Storm Water Management 160,000 160,000
Streetlight 40,000 40,000
Arena & Recreation 55,000 55,000
531,000 531,000
Sub-total 4227 4,534,830 (336,610) 4,198,220 230,989
Development Charges - 4229
Booked in 2001
Specialized Transit 78,486 (24,886) 53,600 3,257
Aerial Truck 369,344 (32,438) 336,906 21,356
Waterfront Trail 450,600 (39,574) 411,026 26,054
Western Branch 1,305,633 (114,671) 1,190,962 74,884
2,204,063 (211,569) 1,992,494 125,551
Booked in 2002
Roads 693,000 693,000
Sub-total 4229 2,897,063 (211,569) 2,685,494 125,551
Grand Total 7,431,893 (548,179) 6,883,714 356,540
. .
Source of Funding Gen. Tax Levy Gen. Tax Levy
Annual Charges (Principal & Interest) 904,719
resfndintioans02.xls
02/06/2003