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HomeMy WebLinkAboutCST 24-11 Czry Report To Executive Committee I `KERIN Report Number: CST 24-11 161 Date: June 13, 2011 From: Gillis A. Paterson Director, Corporate Services & Treasurer Subject: Development Charges Reserve Fund - Statement of the Treasurer for 2010 Recommendation: That Report CST 24-11 of the Director, Corporate Services & Treasurer respecting the Development Charges Reserve Fund be received for information. Executive Summary: Section 43 of the Development Charges Act, 1997 (Act) requires-that the Treasurer furnish Council with a statement in respect of each Reserve Fund established for each Development Charge under Section 33 of the Act. Accordingly, the enclosed Attachments 1 to 5 detail the activity in each component of the Development Charges Reserve Fund for the year ended December 31, 2010 in the manner as prescribed by the Act. As required under Section 43(3) of the Act, the Treasurer will be forwarding a copy of this same statement to the Minister of Municipal Affairs and Housing within 60 days upon furnishing the statement to Council. Financial Implications: In summary, development charge revenues increased by approximately 50 percent to $1,653,053 over 2009 due to an increase in building permit. activity. However, receipts still remain low compared to the early to mid 2000's. The Reserve Fund remains at a healthy balance of approximately $29.6 million pending inclusion of the projects for which the funds were collected being proposed in future capital budgets. The funds are well managed with investment returns consistently exceeding market indicators. Investment income becomes part of each fund. Sustainability Implications: The availability of funding from Development Charges Reserve Funds assists in sustaining infrastructure related to growth. l Report CST 24-11 Date: June 13, 2011 Subject: Development Charges Reserve Fund - Statement Page 2 of the Treasurer for 2010 162- Background: Funds are not transferred out of the Development Charges Reserve Fund for projects until the funds are actually needed, as required under accounting rules, which ensures that the Reserve Fund continues to earn interest income on these unspent monies until such time that the actual expenses are incurred. Attachment 1 presents the total Reserve Fund balance under "Fund Balance - Prior to Budget Commitments" of $29,593,895. Taking into account the "Budget Commitments" as at December 31, 2010 of $5,748,608, the "Fund Balance - After Budget Commitments" available for future expenditures is $23,845,287. The development charges collected in 2010 were $1,653,063, an increase of 50% from amounts collected in 2009 ($1,104,861). This significant increase is largely due to the development of a 133 unit retirement home at the corner of Glengrove and Kingston Road. The City's share of the development charges collected for the development of the retirement units was approximately $527,000. The remaining development charges collected in 2010 in the approximate amount of $1.1 million is consistent with amounts collected in 2009. This consistency is a reflection of economic times experienced in the last few years and limited land available in Pickering for development. Attachment 2 provides a chart showing the 10 year historical pattern of the development charges collected, notably the sharp decline starting from 2005 and continuing in 2010. The cumulative total collected for this 10-year period was $22,584,885. The 2010 project funding, based on the 2009 Development Charges Background Study from this Reserve Fund was $1,939,893. Attachment 3 provides detailed information on these approved projects. The capital and current expenditures actually incurred in 2010 that were funded from this Reserve Fund amounted to $494,087 (see Attachment 4). These expenditures pertained to capital and current projects approved in 1996 to 2010. Attachment 4 provides a summary by projects of these expenditures funded by development charges and other sources as prescribed by Ontario Regulation (O.Reg.) 82/98 Section 12(3). Attachment 5 provides detailed information on repayments pertaining to internal loans undertaken from 2001 to 2009 as required by O.Reg. 82/98 Section 12(2)3,4,5. As of December 31, 2010, the total outstanding internal loans are $1,123,472. No internal loan was undertaken in 2010. The principal and interest paid in 2010 was $1,201,884 and was funded from the general tax levy. I Report CST 24-11 Date: June 13, 2011 Subject: Development Charges Reserve Fund - Statement Page 3 163 of the Treasurer for 2010 Attachments: 1. 2010 Annual Statement of Development Charges Reserve Fund -2. Development Charges Collected 2000 - 2010 3. Projects Approved in 2010 to be Funded from Development Charges Reserve Fund 4. 2010 Actual Capital and Current Expenditures Summarized by Projects 5. Development Charges Reserve Fund Internal Loans - Annual Repayment for the Year Ended December 31, 2010 Prepared By: Approved / Endorsed By: Caryn Kong, CGA Gillis A. Paterson, CMA Senior Financial Analyst -Capital & Director, Corporate Services & Treasurer Debt Management Copy: Chief Administrative Officer Recommended for the consideration of Pickering City ouncil 2' Zola Tony Prevedel, P. Eng. Chief Administrative Officer i ATTACHMENT #J--TO REPORT N (D O t , M co 0) a0 n 1 p/~ ~q1 ~ O r M N N co QO (00_ N 1 V T aD M O 'IT co 00 In O aD O N M M N- OV - r 't ~ - r- C\j N v N N N" M co O co to co 06 co CD It co r- - 0 d N N V O i ~ Lo vi (d m 06 .G r. 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Charges Share Debt-DC Source of Funding GL Account Res Fund Reserve Funded Other Total Capital Budget External Subdivision ( Roads) DH-3 Tillings Road - Valley Farm Road to north limit. Oversizing from local road to collector and urbanization. Work be completed in conjunction with servicing SP 2008-08 Lebovic and SP 2005-04 Cougs 5321.1001 $565,200 $62,800 $0 $0 $628,000 DH-7 North (East/West) Collector (West side of Brock Road) Tillings to 250m east. Oversizing from local road to collector and urbanization/forest edge treatment. Work to be completed in conjunction with SP 2008-08 Lebovic and SP 2005-04 Cougs 5321.1002 141,300 15,700 0 157,000 DH-8 North (East/West) Collector (West side of Brock Road) Brock Road to 150m west. Oversizing from local road to collector and urbanization/forest edge treatment 5321.1003 84,780 9,420 0 94,200 TC-25 Town Centre West - Street A-1. Oversizing local road to collector. Work to be completed in conjunction with adjacent site plan including additional road portion. (Council Resolution Nov. 9/09) 5321.1004 95,513 258,527 354,040 Total-Ext Subdivision (Roads) $886,793 $346,447 $0 $0 $1,233,240 External Subdivision (Traffic Signals) TC-24 Pickering Parkway - East of Liverpool Rd. Traffic signalization and intersection realignment in conjunction with expansion to Pickering Town Centre. 5321.1006 667,500 222,500 890,000 Total-Ext Subdivision (Traffic Signals) $667,500 $222,500 $0 $0 $890,000 External Subdivision (Storm Water)) W-6 (Partial) Amberlea-Creek Erosion Control EA, Design, Approvals and Construction (south of Bayly Street) - erosion control of valley wall (Two year project) 5321.1005 327,600 0 2,402,400 2,730,000 327,600 0 2,402,400 0 2,730,000 Total-Capital Budget $1,881,893 $568,947 $2,402,400 $0 $4,853,240 Operation Centre-Revised based on DC Study* Municipal Class Environmental Assessment for a New Operations Centre 5315.0904. $34,435 $65,565 a $100,000 Current Budget DC Study-Appeal 2126.2392 $10,000 $10,000 Planning-City's Official Plan Review 2611.2392. 48,000 52,000 b 100,000 Total-Current Budget $58,000 $52,000 $110,000 Grand Total-Capital & Current Budget $1,939,893 $568,947 $2,402,400 $52,000 $4,963,240 Notes a Provincial Grant-Investing in Ontario b Property Taxes Revised financing based on 2009 DC Background Study. CST14-11 Recommendation 5 I ATTACHMENT# 4 TO REPORT#...~s-n)q °-,r N 167 0 e-I 00 OD CO to LO to r O C4 M M I- I_ O O O F_ 't le N In o) M It er M co) n N M 00 O OD O r O O V N 00 a M M to Ili a? cM N N O W) M , O M to I~ M n ('f 1O co N N N O O M 00 1- 00 1- R b9 dF N N M r- t,: 06 0 0 q~i ti M (D - M M M N Ip r N Lc) Cb V, (A IA ER N LC) (A NEA (A W co U ~ ~ LO 00 cl) cl) N C 641, E0A (a 44 co w J co air (fl C \F M C d C M 44 ~ CW) D C E0A 60A M co 64 co co y r• - N N N 00 p N (p C a co co 0 0 0 0 o co N N iR fR /A EA f!A _ to to 10 r L C ~ to C IC o 0 CL m v n O 00 OD O O r Q> 44 3 0) OOf O (00 y 4) <9 E~9 fA V! q M r.+ V m N .O ~ L IL N 40 40 C) CD (D M M M O O M N N 0V H N O O 1- 0) O O (00 N N LO I- LO In to v 00 U) 00 co O N M Q) U9, co 603, EMA d V a' 60. q N N V m ~ !a ~ r E rn N N N I~ h co tr O P 00 co E d N N CO w co O N O 0) O 0 O v Il- O (0 . 0) P. n n CO CO - 01 7 co co to O 00 d, O M (m0. 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H C a Q m C E -m o a v v o « Y >-0 m tca . c IX U) p R o o w c p L U C a C C 0 (0 0 o Q m N O O L ` r d~ Y ~ d 'D~ C_ N U C m U C C C~ '.Z= Y~ Q C C C O O O C R c tv 7 O~ L~ 2 2 0 72 N U 0 w a s W W n n n m m n Y N U Y U- Q Q Q f`- 168 O rv rn V I M co ao v q co M 07 ONO m Itl E9 ~t ci) c: Lf) 00 N O . a) ~ U Cf) U) C O M U) m ` O co 3 J 00 CO) ° C rn Of N w a) d co O N ~ r a • o o to ~ !fl N O R V C d'i C ~ O ~ CL v m c ~ 3 ' LL ~ fA m M d~1 V d W 0 ~ L CD CD d 6F? Iq H N N 9 cm N V tR E E da ~m 3 e 3 co r t0 co U. N 4 H V 61% 6& G~ > °f U) r_+ C d fl. m rn x r_ LU N co O _ C J N to Q N N N N L t w co 1 C U) L C V C LL U la a V 0 o Q Cf vOi c+~ N ~ C w L N U O Q d p~ fD 3 c c U- M V 3 U e V N- Z M - E U L t0 N f6 N O C N {Q 0 r LL U) °1 'O O 7 O 4) 41 N E V 3 a m C1 ° o fl c a~ Q m e :a C ( E a n C > p ` E p o O o T" ` p d C7 Z a U co I- p 3 N D U ~ N v ATTACHMENT # r TO REPORT #-af :2 169 Development Charges Reserve Fund Internal Loans - O. Reg. 82/98 Annual Repayment for the Year Ended December 31, 2010 S 12(2)3,4,5 Outstanding • Principal Outstanding Principal Repayment Principal Interest Internal Loans Jan. 1, 2010 2010 Dec. 31, 2010 2010 Undertaken in 2001 Rosebank Road 108,777 (108,777) (3,372) Eastshore Community Ctr 94,393 . (94,393) (2,926) Fire Tanker 19,216 (19,216) (596) 1999 Roads Projects 113,009 (113,009) - 2000 Roads Projects 100,676 (100,676) - (3,121) Aerial Truck 48,346 (48,346) - (1,499) Library-Western Branch 170,900 (170,900) - (5,298) 655,317 (655,317) - (16,812) Undertaken in 2002 Parks 34,926 (11,200) 23,726 (1,362) Sidewalks 27,242 (8,736) 18,506 (1,062) Storm Water Management 34,555 (11,081) 23,474 (1,348) Arena & Recreation 19,209 (6,160) 13,049 (749) Roads 242,031 (101,647) 140,384 (9,439) 357,963 (138,824) 219,139 (13,960) Undertaken in 2003 Roads 45,511 (10,686) 34,825 (1,912) Rec.Complex-Core 3,408 (800) 2,608 (143) 48,919 (11,486) 37,433 (2,055) Undertaken in 2004 Parks 96,811 (17,742) 79,069 (4,231) 96,811 (17,742) 79,069 (4,231) Undertaken in 2005 Roads 10,713 (10,713) - (332) Library 36,850 (36,850) - (1,142) Parks 13,925 (13,925) (432) 61,488 (61,488) (1,906) Undertaken in 2006 Protective Services (Fire) 12,161. (12,161) (377) Protctive Services (Bylaw) 21,148 (21,148) (656) Transportation-Roads 7,931 (7,931) - (246) Parks 32,515 (32,515) - (1,008) Recreation Facilities 30,993 (15,230) 15,763 (1,085) 104,748 (88,985) 15,763 (3,371) Undertaken in 2007 Gen Govt (Civic Complex) 29,716 (4,424) 25,292 (1,337) Protective Services (Fire) 93,620 (31,752) 61,868 (3,651) Parks 150,861 (29,055) 121,806 (7,352) Rec Facilities (Arena & Cmmty Ctr) 144,766 (39,941) 104,825 (6,672) 418,963 (105,172) 313,791 (19,012) Undertaken in 2009 Fire(Tools & Equipment for Vehicle) 500,000 (41,723) 458,277 (19,800) 500,000 (41,723) 458,277 (19,800) Total 2,244,209 (1,120,737) 1,123,472 (81,147) Source of Funding Gen. Tax Levy Annual Charges (Principal & Interest) (1,201,884)