HomeMy WebLinkAboutCS 15-04PICKERING
REPORT TO
EXECUTIVE COMMITTEE
Report Number: CS 15-04
Date: May 28, 2004
From:
Gillis A. Paterson
Director, Corporate Services & Treasurer
Subject:
Development Charges Reserve Fund - Statement of the Treasurer for
2003
Recommendation:
That Report CS 15-04 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,(i.e. for each
Development Charge) established under Section 33 of the Act. Accordingly, the
attached Schedules 1 to 5 details the activity in the Development Charges Reserve
Fund for the year ended December 31, 2003 in the manner as prescribed by the
Development Charges Act.
As you are aware funds are not transferred out of the Reserve Fund for projects 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 $15,804,668. Taking into account the unspent commitments
at December 31, 2003 of $2,137,590 the uncommitted fund balance available for future
expenditures is $13,667,078.
The development charges collected in 2003 were $2,814,824 an increase of 20% from
amounts collected in 2002. The increase in building activities was due in part to the
economic condition of Iow interest rates and the booming housing market.
Report CS 15-04
Subject: Development Charges Reserve Fund-Statement
of the Treasurer for 2003
Date: May 28, 2004
Page 2
The 2003 budgeted fundin9 from this Reserve Fund was $1,053,735. Schedule 2
provides a detailed breakdown of the 2003 budgeted capital projects that were to be
funded by this Reserve Fund.
The capital expenditures incurred in 2003 that were funded from this Reserve Fund
amounted to $541,155. These expenditures pertained to capital projects approved in
2001 to 2003. Schedule 3 provides a summary by projects of these capital
expenditures funded by development charges and other sources as prescribed by
O. Reg. 82/98 Section 12(3).
In 2003, the City undertook additional internal loans of $349,071 from this Reserve
Fund, bringing the combined 2001 to 2003 outstanding internal loans at $6,275,287 as
of December 31, 2003. Schedule 4 provides detailed information on the 2003 internal
borrowings and the purpose for which it was borrowed as prescribed by O. Reg. 82/98
Section 12(2)3. Interest and principal repayments on 2003 internal loans will
commence in 2004.
Please note that the principal and interest of $1,341,340 paid in 2003 and as indicated
in Schedule 5 are related to 2001 and 2002 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 O. Reg. 82/98 Section 12(2)4,5.
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:
2.
3.
4.
5.
2003 Annual Statement of Development Charges Reserve Fund
Projects Approved in 2003 Funded from Development Charges Reserve Fund
2003 Capital Expenditures Summarized by Projects
2003 Internal Loans from Development Charges Reserve Fund
Total Development Charges Reserve Fund Internal Loans & Annual Repayment
Report CS 15-04
Subject: Development Charges Reserve Fund-Statement
of the Treasurer for 2003
Date: May 28, 2004
Page 3
Prepared By:
Approved / Endorsed By:
Caryn Kong
Senior Financial Analyst
GP:vw
Attachments
Copy: Chief Administrative Officer
Gillis A. Paterson
Director, Corporate Services & Treasurer
Recommended for the consideration of
Pickering City Council
ThoCT~ J. Quij~/n, Chi~ /Adm~n' tive officer
Source of Funding
Dev. Charge Gen. D.C-City's External Total
Reserve Fund Fund Share Reserve Debt
Projects:
External Subdivision (Road Construction)
Sheppard Ave/Whites R( 03-001-03 $12,600
Squires Beach/Bayly 03-001-15 429,750
Sheppard Av/OId Forest 03-001-17 5,160
Liverpool/Wharf St. 03-001-19 4,200
Valley Farm/Pick. Pkwy 03-001-20 43,875
Delta Blvd 03-001-21 12,500
Rosebank/CPRTracks 03-001-22 217,600
$725,685
External Subdivision ( Sidewalk & Streetlight)
Brock/Bayly/H401 03-002-08 50,400
Finch/Altona/Rosebank 03-002-16 7,800
Bayly St./Church St. 03-002-17 14,250
Kingston Rd N/Walnut 03-002-20 19,500
$42840
492 250
16 340
14 280
20 475
12 500
261 120
55,440
922,000
21,500
18,480
64,350
25,000
478,720
$0 $859,805 1,585,490
5,000 55,400
163,800 171,600
14,250 28,500
23,400 42,900
91,950 206,450 298,400
External Subdivision ( Storm Water Management )
Storm Water Management Works 133,000
Subtotal Ext. Subdivision
$950,635
Roads
Champion Road Grader03-004-01
51,000 184,000
$1,117,255 $2,067,890
$53,100
Corporate Services
Development Charges Study
$50,000
$0 $0 $160,900 $214,000
50,000
Tota~
$1,053,735
$0 $1,117,255 $160,900 $2,331,890
Corporate Services
2003 & 2000 bud.qeted project
Development Charges Study & Master Financing Plan
External Subdivision
2002 and prior bud.qeted proiects
Road Construction:
Valley Farm Rd. East Side 02-001-03
Rosebank Rd. Bridge-Granite Crt & Toynedale 02-001
Stmuds Lane Ext.- Treetop Way to Altona 02-001-16
Strouds Lane Ext.- Culvert Oversizing 02-001-17
Squires Beach Road/Bayly 01-001-15
Roads
2003 & 2002 bud,qeted projects
Freightliner 4-ton truck 02-001-00
Champion Road Grader 03-004-01
Dev. Charges D.C-City's Share External
Reserve Fund Gen. Fund Reserve Debt Total
$ 19,458 $ 19,458
$ 19,458 $ t9,458
$ 64.93 $ 64.93
235,140 94,121 504,462 833,723
92,057 92,057
30,354 30,354
18,583 18,583
$ 376,198 $ 94,121 $ 504,462 $ 974,781
$ 92,399 $ 61,580 $ 153,979
53,100 908 160,000 214,008
$ 145,499 $ 908 $ 61,580 $ 160,000 $ 367,987
Total Spent
$ 541,155 $ 95,029 $ 566,042 $ 160,000 $ 1,362,226
Original
Loan
Development Charges -New By-Law
Purpose of Loan:
Road
Pickering Parkway
Amberlea Road
Total Road
$90,828
9,648
$100,476
Library- Central Library
Checkpoint RFID System
Lobby Redesign
Flooring - Lobby redesign
Total Library
$130,000
73,371
37,700
$241,071
Culture & Recreation
Rec. Comp-Parking Lot Imp.
$7,524
Total $349,071
Note: Annual repayment for 2003 Internal Loans and interest thereon commences in 2004.
Development Charges - 4227
Booked in 2001
Rosebank
Eastshore Community Ctr
Fire Tanker
Dispatch Ctr
1999 Roads Projects
1999 Roads Projects
1999 Streetlights
2000 Roads Projects
2000 Roads Projects
Booked in 2002
Fire Hall & Communication
Parks
Sidewalks
Storm Water Management
Streetlight
Arena & Recreation
Sub-total 4227
Development Charges - 4229
Booked in 2001
Specialized Transit
Aerial Truck
Waterfront Trail
Western Branch
Booked in 2002
Roads
Booked in 2003
Roads
Library
Rec. Complex-Core
Outstandin9 Principal Outstanding
Principal Repayment Principal interest
(Jan 1) 2003 2003 2003
Jan. 1,2003 Dec. 31,2003
$ $ $ $
758,038 (77,141)
657,809 (66,941)
133,920 (13,628)
147,397 (15,000)
189,510 (19,285)
598,008 (60,855)
480,933 (48,942)
322,587 (32,828)
379,018 (38,570)
3,667,220 (373,190)
680 897
590 868
120 292
132 397
170 225
537 153
431 991
289 759
340 448
3,294,030
(43,966)
(38,153)
(7,767)
(8,549)
(10,992)
(34,684)
(27,894)
(18,710)
(21,983)
(212,698)
43,000 (7,735) 35,265
155,000 (11,870) 143,130
78,000 (5,974) 72,026
160,000 (12,253) 147,747
40,000 (3,063) 36,937
55,000 (4,212) 50,788
531,000 (45,107) 485,893
(2,279)
(8,990)
(4,524)
(9,280)
(2,320)
(3,190)
(30,583)
4,198,220 (418,297) 3,779,923
(243,281)
53,600 (16,952) 36,648
336,906 (34,285) 302,621
411,026 (313,695) 97,331
1,190,962 (121,197) 1,069,765
1,992,494 (486,129) 1,506,365
693,000 (53,072) 639,928
(2,841)
(19,541)
(8,909)
(69,076)
(100,367)
(40,194)
(140,561)
(383,842)
Gen. Tax Levy
(1,341,340)
Sub-total 4229
Grand Total
100,476 100,476
241,071 241,071
7,524 - 7,524
349,071 349,071
3,034,565 (539,201) 2,495,364
7,232,785 (957,498) 6,275,287
Source of Funding
Annual Charges (Principal & interesti
Gen. Tax Levy
resfr~dintloansO3.xis 2003 DC F',TC 28105/2004