HomeMy WebLinkAbout2012 Capital Budget
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As Submitted to Executive Committee February 9, 2012
City of Pickering
2012 Capital Budget
Table of Contents
Department Page
Budget Summaries 1
Mayor & Council 7
Administration 14
Clerks 5215 15
Animal Services 5219 17
By-Law 5220 19
Fire Protection 5340 21
Office of Sustainability 5192 23
Corporate Services 24
Finance & Taxation 5203 25
Information Technology 5206 27
Community Services
Operations & Fleet Services 30
Property Maintenance 5311 32
Operations Centre - Municipal Garage 5315 37
Roads 5320 39
Parks 5780 61
Engineering Services 78
Streetlights 5325 80
Sidewalks 5323 85
Culture & Recreation 87
Senior Citizens Centre 5701 89
Dunbarton Pool 5713 92
Don Beer Arena 5715 94
Community Centres 5719 96
Recreation Complex-Central Core 5731 98
Recreation Complex-Pool 5733 100
Recreation Complex-Arenas 5735 102
Museum 5744 104
City of Pickering
2012 Capital Budget
Table of Contents
Planning & Development 106
Development Control 5613 107
Development Projects-(DC Funded) 5321 109
Library 5800 118
City Of Pickering
2012 Capital Budget
Expenditure Summary
2011 2012
BUDGET DEPARTMENT BUDGET
$70,000 Mayor, Council & Council Support
$185,000 Admin. Dept. (Includes Fire Services Division) 1,052,000
Office of Sustainability
1,198,850 Corporate Services 420,200
10,699,500 Community Services 20,956,600
3,912,325 Planning & Development 1,192,475
472,150 Libraries 788,350
8,000,000 Land Acquisition Operations Centre
Duffin Heights 7,000,000
$24,537,825 Total 31,409,625
Financing Summary
2011 2012
BUDGET BUDGET
$1,020,395 2823 Capital Paid from Property Taxes $951,575
85,000 1592 Donations 70,000
1595 Sale of Land - Duffin Heights 7,000,000
1610 Federal Grants 3,000,000
363,000 1623A Provincial Grants - Investing in Ontario 318,900
1623E Provincial Grants - Transportation Initiatives 140,000
1623F Provincial Grants -Frenchman's Bay Harbour 3,000,000
1623G Provincial Grants - Municipal Rd. & Infrastructure 235,000
1,440,000 1701 Debt Financing - 5 Year 1,826,000
2,290,000 1702 Debt Financing - 10 Year 2,855,000
10,192,000 1703 Debt Financing - 15 Year
1704 Debt Financing - 20 year 2,875,000
100,000 1711 Internal Loan - 5 Year 345,000
184,000 7000 Replacement of Capital Equipment
18,072 7021 2011 Surplus (Rate Stabilization Reserve) 650,475
697,455 7022 DC-City's Share Reserve 992,724
7032 Dunbarton Pool Surcharge Reserve 33,000
20,000 7033 Don Beer Arena Reserve 90,000
69,500 7034 Rec Complex Core Reserve 50,600
80,000 7035 Rec Complex Pool Surcharge Reserve 18,000
7036 Rec Complex Arena Reserve 50,000
130,000 7040 Vehicle Replacement Reserve 60,000
240,000 7041 Easement Settlement Reserve
14,533 7043 Move Ontario Reserve 56,600
200,000 7047 Land Purchase Reserve 200,000
7049 Reserve - Financial Systems 275,000
200,000 7501 Third Party Contribution Reserve Fund 200,000
531,000 7502 Parkland Reserve Fund 550,000
1,140,000 7505 Federal Gas Tax Reserve Fund 2,957,000
1,592,870 7610 DC- Trnsprtation-Roads & Relatd Res. Fd 622,446
30,000 7611 DC- Trnsprtation-Storm Water Res. Fd 29,760
7620 DC - Parkland Development & Trail 122,545
7702 RF - Public Works
$3,000,000 9960 Other Revenue - York Region Project 1,835,000
$900,000 9990 Other Revenue
$24,537,825 $31,409,625
Annual Debt Charges for Proposed Debt Financed 2012
Captial Projects
Project # Description Annual 2012
Charges BUDGET
5 Year Debt
5311.1206 SIDEWALK PLOW $35,000 $150,000
5320.1204 DUMP TRUCK 49,000 210,000
5320.1205 EXCAVATOR 90,000 385,000
5320.1213 DUFFIN HEIGHTS-THIRD CONCESSION RD 64,000 275,000
5701.1201 RENOVATIONS 47,000 200,000
5701.1202 ROOF REPLACEMENT 37,000 156,000
5701.1203 ESCC PARKING LOT RECONSTRUCTION 47,000 200,000
5800.1203 RADIO FREQUENCY IDENTIFICATION SYSTEM 59,000 250,000
TOTAL COST OF 5 YEAR DEBT $428,000 $1,826,000
Project # Annual 2012
Charges BUDGET
10 Year Debt
5340.1201 55 FT AERIAL VEHICLE $111,000 $840,000
5715.1202 ROOF REPLACEMENT $68,000 515,000
5780.1212 FRENCHMAN'S BAY HARBOUR ENTRANCE $199,000 1,500,000
TOTAL COST OF 10 YEAR DEBT $378,000 $2,855,000
TOTAL COST OF 5 YEAR AND 10 YEAR DEBT $806,000
Project # Annual 20112
Charges BUDGET
20 Year Debt
5315.1201 NEW OPERATIONS CENTRE $123,000 $1,475,000
5320.1212 WHITEVALE BRIDGE 117,000 1,400,000
TOTAL COST OF 20 YEAR DEBT $240,000 $2,875,000
GRAND TOTAL OF ALL DEBT CHARGES $1,046,000
Capital Budget Summary
2001 to 2012
Land Acquisition
Frenchman's Bay Operations
Harbour Centre and York
Construction Region project
$35,000,000.
401 Pedestrian
Bridge
$30,000,000. T
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$25,000,000. COMRIF Bridge
Third Ice Pad Projects
$20,000,000. '
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$15,000,000. {
$10,000,000.
$5,000,000.
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*Duffin Heights ($7.OMillion) - City share as a participating Land Owner.
City costs to be re-imbursed from future land sales.
2012 Vehicle Expenditures
Number Cost
of
Type of Vehicle Vehicles $
Animal Services Fuel Efficient Vehicle 1 $45,000
By-Law Fuel Efficient Vehicle 1 32,000
Fire 55 Ft Aerial Vehicle 1 840,000
Roads - 1 Ton Truck 1 80,000
- 4 Ton Dump Truck with wing Plow 1 210,000
- 1 Ton Pick-up Plow 2 120,000 ($60,000 each)
TOTAL 7 $1,250,000
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CITY OF PICKERING
2012
CAPITAL BUDGET
DUFFIN HEIGHTS
2011 2012
BUDGET BUDGET
EXPENDITURES
6250 Construction Costs $0 $7,000,000
Total EXPENDITURES $0 $7,000,000
FINANCING
1595 Sale of Land - Duffin Heights $0 ($7,000,000)
2823 Paid from Property Taxes
Total FINANCING $0 $7,000,000
CITY OF PICKERING
2012
CAPITAL BUDGET
For Council Consideration
DUFFIN HEIGHTS
FUNDING EXPENSE
1595 Sale of Land - Duffin Heights ($7,000,000)
6250 Construction Costs $7,000,000
Anticipated obligations related to community shared municipal
infrastructure (roads, sewers, stormwater management, water) for
City lands, as identified in the Duffin Heights Cost Sharing
Agreement
Total DUFFIN HEIGHTS $7,000,000 $7,000,000
CITY OF PICKERING
2012
CAPITAL BUDGET
2011 2011 2012
BUDGET YTD Balance
MAYOR RYAN Actuals Remaining
EXPENDITURES
6181 Other Fixed Assets $10,000 $0 $10,000
Total EXPENDITURES $10,000 $0 $10,000
FINANCING
2823 Capital Paid from Property Taxes ($10,000)
Total FINANCING ($10,000)
As per Council Compensation Policy, (Subsection 12.01) $10,000 is provided for
computer hardware, sofware and telecommunication equipment per term. As per
the policy these funds can only be spent during the first three years of office.
Approximately, $10,000 is remaining to be spent this year.
CITY OF PICKERING
2012
CAPITAL BUDGET
2011 2011 2012
BUDGET YTD Balance
J. O'CONNELL, Reg. Coun. Ward 1 Actuals Remaining
EXPENDITURES
6181 Other Fixed Assets $10,000 $154 $9,846
Total EXPENDITURES $10,000 $154 $9,846
FINANCING
2823 Capital Paid from Property Taxes ($10,000)
Total FINANCING ($10,000)
As per Council Compensation Policy, (Subsection 12.01)
$10,000 is provided for computer hardware, sofware and telecommunication equipment per term.
As per the policy these funds can only be spent during the first three years of office.
Approximately, $9,876 is remaining to be spent this year.
CITY OF PICKERING
2012
CAPITAL BUDGET
2011 2011 2012
BUDGET YTD Balance
B. MCLEAN, Reg. Coun. Ward 2 Actuals Remaining
EXPENDITURES
6181 Other Fixed Assets $10,000 $465 $9,535
Total EXPENDITURES $10,000 $465 $9,535
FINANCING
2823 Capital Paid from Property Taxes ($10,000)
Total FINANCING ($10,000)
As per Council Compensation Policy, (Subsection 12.01)
$10,000 is provided for computer hardware, sofware and telecommunication equipment per term.
As per the policy these funds can only be spent during the first three years of office.
Approximately, $9,535 is remaining to be spent this year.
CITY OF PICKERING
2012
CAPITAL BUDGET
2011 2011 2012
BUDGET YTD Balance
P. RODRIGUES, Reg. Coun. Ward 3 Actuals Remaining
EXPENDITURES
6181 Other Fixed Assets $10,000 $2,552 $7,448
Total EXPENDITURES $10,000 $2,552 $7,448
FINANCING
2823 Capital Paid from Property Taxes ($10,000)
Total FINANCING ($10,000)
As per Council Compensation Policy, (Subsection 12.01)
$10,000 is provided for computer hardware, sofware and telecommunication equipment per term.
As per the policy these funds can only be spent during the first three years of office.
Approximately, $7,448 is remaining to be spent this year.
CITY OF PICKERING
2012
CAPITAL BUDGET
2011 2011 2012
BUDGET YTD Balance
K. ASHE, City Coun. Ward 1 Actuals Remaining
EXPENDITURES
6181 Other Fixed Assets $10,000 $2,578 $7,422
Total EXPENDITURES $10,000 $2,578 $7,422
FINANCING
2823 Capital Paid from Property Taxes ($10,000)
Total FINANCING ($10,000)
As per Council Compensation Policy, (Subsection 12.01)
$10,000 is provided for computer hardware, sofware and telecommunication equipment per term.
As per the policy these funds can only be spent during the first three years of office.
Approximately, $7,422 is remaining to be spent this year.
III
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CITY OF PICKERING
2012
CAPITAL BUDGET
2011 2011 2012
BUDGET YTD Balance
D. DICKERSON, City Coun. Ward 2 Actuals Remaining
EXPENDITURES
6181 Other Fixed Assets $10,000 $2,674 $7,326
Total EXPENDITURES $10,000 $2,674 $7,326
FINANCING
2823 Capital Paid from Property Taxes ($10,000)
Total FINANCING ($10,000)
As per Council Compensation Policy, (Subsection 12.01)
$10,000 is provided for computer hardware, sofware and telecommunication equipment per term.
As per the policy these funds can only be spent during the first three years of office.
Approximately, $7,326 is remaining to be spent this year.
1
CITY OF PICKERING
2012
CAPITAL BUDGET
2011 2011 2012
BUDGET YTD Balance
D. PICKLES, City Coun. Ward 3 Actuals Remaining
EXPENDITURES
6181 Other Fixed Assets $10,000 $0 $10,000
Total EXPENDITURES $10,000 $0 $10,000
FINANCING
2823 Capital Paid from Property Taxes ($10,000)
Total FINANCING ($10,000)
As per Council Compensation Policy, (Subsection 12.01)
$10,000 is provided for computer hardware, sofware and telecommunication equipment per term.
As per the policy these funds can only be spent during the first three years of office.
Approximately, $10,000 is remaining to be spent this year.
CITY OF PICKERING
2012
DRAFT CAPITAL BUDGET
ADMINISTRATION DEPARTMENT
2011 2012
BUDGET BUDGET
EXPENDITURES
6157 Vehicles - Under $100,000 $135,000 $77,000
6158 Vehicles - Over $100,000 840,000
6173 Furniture & Fixtures 120,000
6178 Miscellaneous Equipment 50,000 15,000
6175 Hardware Replacements
6181 Other Fixed Assets
Total EXPENDITURES $185,000 $1,052,000
FINANCING
1623A Provincial Grants - Investing in Ontario
1702 Debt - 10 Year ($840,000)
1711 Internal Loan - 5 Year (120,000)
2823 Paid from Property Taxes ($50,000) (15,000)
7040 Vehicle Replacement Reserve (70,000)
7505 RF - Federal Gas Tax 65,000 77,000
Total FINANCING $185,000 $1,052,000
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CITY OF PICKERING
2012
DRAFT CAPITAL BUDGET
CLERKS DIVISION
2011 2012
BUDGET BUDGET
EXPENDITURES
6178 Miscellaneous Equipment $0 $15,000
6181 Other Fixed Assets
Total EXPENDITURES $0 $15,000
FINANCING
2823 Paid from Property Taxes $0 $15,000
Total FINANCING $0 $15,000
CITY OF PICKERING
2012
Capital Budget
For Council Consideration
5215 Clerks Run Date: 21-Jan-2012
FUNDING EXPENSE
5215.1201 FOLDING & INSERTING MACHINE
2823 Paid From Property Taxes (15,000)
6178 Miscellaneous Equipment 15,000
Folding and Inserting Machine - Replacement for 10 year old
folder/inserter in mail room
Total 5215.1201 FOLDING & INSERTING MACHINE (15,000) 15,000
Total 5215 Clerks (15,000) 15,000
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CITY OF PICKERING
2012
DRAFT CAPITAL BUDGET
5219 ANIMAL SERVICES
2011 2012
BUDGET BUDGET
EXPENDITURES
6157 Vehicles - Under $100,000 $0 $45,000
6173 Furniture & Fixtures 120,000
Total EXPENDITURES $0 $165,000
FINANCING
1711 Internal Loan - 5 Year ($120,000)
7505 RF - Federal Gas Tax $0 45,000
Total FINANCING $0 $165,000
CITY OF PICKERING
2012
Capital Budget
For Council Consideration
5219 Animal Services Run Date: 21-Jan-2012
FUNDING EXPENSE
5219.1201 ANIMAL SERVICES FUEL EFFICIENT VEHICLE
6157 Vehicles - under $100,000 45,000
Replacement vehicle for 2006 van with modifications specific to
animal services needs. . New vehicle to be more fuel efficient and
for safety reasons to have power windows and remote keyless entry.
7505 RF - Federal Gas Tax (45,000)
Total 5219.1201 ANIMAL SERVICES FUEL EFFICIENT VEHICLE (45,000) 45,000
5219.1202 LEASEHOLD IMPROVEMENT
1711 Internal Loan - 5 Year (120,000)
6173 Furniture & Fixtures 120,000
Pre-budget approval as per CAO 13-11 report. Leasehold
improvements for 1688 Highway No. 7 ( Brougham). Budgeted
amount slightly increased to reflect building's age.
Total 5219.1202 LEASEHOLD IMPROVEMENT (120,000) 120,000
Total 5219 Animal Services (165,000) 165,000
CITY OF PICKERING
2012
DRAFT CAPITAL BUDGET
5220 By-Law Services
2011 2012
BUDGET BUDGET
EXPENDITURES
6157 Vehicles - Under $100,000 $0 $32,000
Total EXPENDITURES $0 $32,000
FINANCING
2823 Paid from Property Taxes $0 $32,000
Total FINANCING $0 $32,000
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CITY OF PICKERING
2012
Capital Budget
For Council Consideration
5220 By-Law Traffic Enforcement Run Date: 21-Jan-2012
FUNDING EXPENSE
5220.1201 BY-LAW FUEL EFFICIENT VEHICLE
6157 Vehicles -under $100,000 32,000
Replace unit #413 - 1998 Ford Explorer with fuel efficient vehicle
7505 RF - Federal Gas Tax (32,000)
Total 5220.1201 BY-LAW FUEL EFFICIENT VEHICLE (32,000) 32,000
Total 5220 By-Law Traffic Enforcement (32,000) 32,000
®y
CITY OF PICKERING
2012
DRAFT CAPITAL BUDGET
5340 FIRE
2011 2012
BUDGET BUDGET
EXPENDITURES
6157 Vehicles - Under $100,000 $135,000
6158 Vehicles - Over $100,000 $840,000
6173 Furniture & Fixtures
6178 Miscellaneous Equipment 50,000
6181 Other Fixed Assets
6185 Fire Dispatch Communication System
Total EXPENDITURES $185,000 $840,000
FINANCING
1592 Donations
1623A Provincial Grants - Investing in Ontario
1702 Debt - 10 year ($840,000)
2823 Paid from Property Taxes ($50,000)
7040 Vehicle Replacement Reserve (70,000)
7505 RF - Federal Gas Tax 65,000
Total FINANCING $185,000 $840,000
CITY OF PICKERING
2012
Capital Budget
For Council Consideration
5340 Fire Run Date: 21-Jan-2012
FUNDING EXPENSE
5340.1201 55 FT AERIAL VEHICLE
1702 Debt - 10 Year (840,000)
6158 Vehicles -Over $100,000 840,000
55 Ft Aerial Vehicle replacing 1990 Telesquirt
Total 5340.1201 55 FT AERIAL VEHICLE (840,000) 840,000
Total 5340 Fire (840,000) 840,000
CITY OF PICKERING
2012
DRAFT CAPITAL BUDGET
5192 OFFICE OF SUSTAINABILITY
2011 2012
BUDGET BUDGET
EXPENDITURES
6173 Furniture & Fixtures $0 $0
Total EXPENDITURES _ $0 $0
FINANCING
2823 Paid from Property Taxes $0 $0
Total FINANCING $0 $0
CITY OF PICKERING
2012
DRAFT CAPITAL BUDGET
CORPORATE SERVICES
2011 2012
BUDGET BUDGET
EXPENDITURES
6173 Furniture & Fixtures
6174 System & Software Upgrade $275,000
6175 Hardware Replacements $87,250 64,725
6177 IT Infrastructure 80,000 80,475
6178 Miscellaneous Equipment
6181 Other Fixed Assets
6190 New Corporate Projects 181,600
6265 Land Acquisition & Disposition 850,000
Total Cost EXPENDITURES $1,198,850 $420,200
FINANCING
1623D Provincial Grants - Ministry of Culture
1703 Debt Financing - 15 Year ($850,000)
2823 Paid from Property Taxes (199,850) ($64,725)
7000 - Capital Equipment (149,000)
7021 2011 Surplus (Rate Stabilization Reserve) (80,475)
7049 Reserve - Financial Systems (275,000)
7505 RF - Federal Gas Tax
Total Cost FINANCING $1,198,850 $420,200
CITY OF PICKERING
2012
DRAFT CAPITAL BUDGET
5203 FINANCE
2011 2012
BUDGET BUDGET
EXPENDITURES
6174 System & Software Upgrade $275,000
6265 Land Acquisition $850,000
Total EXPENDITURES $0 $275,000
FINANCING
1594 Sale of Land
1703 Debt Financing - 15 Year ($850,000)
7049 Reserve - Financial Systems ($275,000)
Total FINANCING ($850,000) ($275,000)
CITY OF PICKERING
2012
Capital Budget
For Council Consideration
5203 Finance and Taxation Run Date: 23-Jan-2012
FUNDING EXPENSE
5203.1201 TAXATION BILLING SYSTEM
6174 System & Software Upgrade 275,000
Purchase of a new taxation billing (information) system to replace
existing system that is over 14 years old. The new billing system
will meet the City's current and future needs and will provide access
to new online services and billing options. This expenditure
includes all related costs to select, test and implement the new
system. This expense is funded 100% from the Financial Systems
Reserve and has no impact on the tax levy.
7049 Reserve Financial Systems (275,000)
Total 5203.1201 TAXATION BILLING SYSTEM (275,000) 275,000
Total 5203 Finance and Taxation (275,000) 275,000
CITY OF PICKERING
2012
DRAFT CAPITAL BUDGET
5206 INFORMATION TECHNOLOGY
2011 2012
BUDGET BUDGET
EXPENDITURES
6174 System & Software Upgrade
6175 Hardware Replacements $87,250 $64,725
6177 IT Infrastructure 80,000 80,475
6178 Miscellaneous Equipment
6181 Other Fixed Assets
6190 New Corporate Projects 181,600
Total EXPENDITURES $348,850 $145,200
FINANCING
1623D Provincial Grants - Ministry of Culture
2823 Paid from Property Taxes ($199,850) ($64,725)
7000 - Capital Equipment (149,000)
7021 2011 Surplus (Rate Stabilization Reserve) (80,475)
7505 RF - Federal Gas Tax
Total FINANCING ($348,850 $145,200
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CITY OF PICKERING
2012
Capital Budget
For Council Consideration
5206 Information Technology Run Date: 21-Jan-2012
FUNDING EXPENSE
5206.1201 PRINTER
2823 Paid From Property Taxes (5,000)
6175 Hardware Replacements 5,000
Printer - High Capacity for Tax. The original high capacity printer
was purchased in 2000 and is 11 years old. This is the only printer
that has the functionality to print supplementary tax bills (11 by 17)
used for new construction properties (assessment growth). This
printer is shared by at least 15 staff.
Total 5206.1201 PRINTER (5,000) 5,000
5206.1202 SERVERS
2823 Paid From Property Taxes (20,000)
6175 Hardware Replacements 20,000
Purchase of Servers and associated software in accordance with
City's equipment replacement cycle, and as part of the City's
Disaster Recovery/Business Continuity effort.
Total 5206.1202 SERVERS (20,000) 20,000
5206.1203 PCs, LAPTOPS, NOTEBOOKS & TABLETS
2823 Paid From Property Taxes (39,725)
6175 Hardware Replacements 39,725
PCs, Laptop (incl. iPads), Notebooks, & Tablets: Purchase in
accordance with City's equipment replacement cycle.
Total 5206.1203 PCs, LAPTOPS, NOTEBOOKS & TABLETS (39,725) 39,725
5206.1204 CISCO SWITCHES
6177 IT Infrastructure 39,000
Cisco Switches. Replacement of current switches as part of the
City's replacement equipment cycle to ensure the functionality,
dependability, and expandability of the computer network. This is
phase two with phase one completed in 2011. Phases are
independent of each other.
7021 Rate Stabilization Reserve (39,000)
Total 5206.1204 CISCO SWITCHES (39,000) 39,000
5206.1205 SAN DISK UPGRADES
6177 IT Infrastructure 34,475
SAN Disk Capacity Upgrades
7021 Rate Stabilization Reserve (34,475)
Total 5206.1205 SAN DISK UPGRADES (34,475) 34,475
CITY OF PICKERING
2012
Capital Budget
For Council Consideration
5206 Information Technology Run Date: 21-Jan-2012
FUNDING EXPENSE
5206.1206 CONTIGENCY
6177 IT Infrastructure 7,000
Contingency
7021 Rate Stabilization Reserve (7,000)
Total 5206.1206 CONTIGENCY (7,000) 7,000
Total 5206 Information Technology (145,200) 145,200
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CITY OF PICKERING
2012
DRAFT CAPITAL BUDGET
OPERATIONS SUMMARY
2011 2012
BUDGET BUDGET
EXPENDITURES
6129 Parks-Landscape-Refurb. $1,045,000 $700,000
6149 Restoration - Museum Bldg
6157 Vehicles - Under $100,000 115,000 200,000
6158 Vehicles - Over $100,000 340,000 210,000
6173 Furniture & Fixtures
6178 Miscellaneous Equipment 312,000 756,000
6181 Other Fixed Assets 380,000 11,999,000
6182 Frenchmans Bay Rehab
6183 Accessibility
6185 Fire Dispatch Communication System
6250 Construction Costs 2,545,000 4,035,000
6251 Road Improvements 1,500,000
6259 Construction Costs - York Region 1,500,000
6265 Land Acquisition 8,200,000 400,000
6290 Rec. Complex Expansion
Total Cost EXPENDITURES $15,937,000 $18,300,000
FINANCING
1592 Donations ($70,000)
1610 Federal Grants (3,000,000)
1610A Federal Grants - RInC
1623A Provincial Grants - Investing In Ontario ($325,000) (228,900)
1623B Provincial Grants - Ministry Natural Res.
1623E Provincial Grants - T.I. Grant (140,000)
1623F Provincial Grants -Frenchman's Bay Harbour (3,000,000)
1623G Provincial Grants - Municipal Rd. & Infrastructure (235,000)
1623 Provincial Grants
1640 Water Front Toronto
1701 Debt - 5 year (865,000) (1,020,000)
1702 Debt - 10 year (1,280,000) (1,500,000)
1703 Debt - 15 year (8,000,000)
1704 Debt - 20 Year (2,875,000)
1711 Internal Loan - 5 Year (100,000)
2823 Paid from Property 71,467 279,500
CITY OF PICKERING
2012
DRAFT CAPITAL BUDGET
OPERATIONS SUMMARY
2011 2012
BUDGET BUDGET
7000 - Capital Equipment (35,000)
7021 - 2011 Surplus (Rate Stabilization Reserve) (415,000)
7022 - DC-City's Share Reserve (527,455)
7032 - Dunbarton Pool Surcharge Reserve
7033 Don Beer Arena Surcharge Reserve
7034 R/Comp Core Surcharge Res
7035 Rec Compl Pool Surchrge Reserve
7036 Rec Complex Arena Surcharge Reserve
7040 Vehicle Replacement Reserve (60,000) (60,000)
7041 Easement Settlement Reserve
7043 R - Move Ontario (14,533) (56,600)
7045 Cap Mtce & Mgmt Systems
7047 Land Purchase Reserve (200,000) (200,000)
7502 RF - Parkland (531,000) (550,000)
7505 RF - Federal Gas Tax (555,000) (2,160,000)
7610 DC - Roads & Relatd Res. Fund (125,000)
7620 DC - Parkland Development & Trail (122,545)
7702 RF - Public Works
9960 - Other Revenue York Region Enhancement (3,000,000) (1,735,000)
9990 - Other Revenue 900,000
Total Cost FINANCING $15,937,000 ($18,300,000
CITY OF PICKERING
2012
DRAFT CAPITAL BUDGET
5311 PROPERTY MAINTENANCE
2011 2012
BUDGET BUDGET
EXPENDITURES
6178 Miscellaneous Equipment $185,000 $250,000
6181 Other Fixed Assets 30,000. 170,000
Total EXPENDITURES $215,000 $420,000
FINANCING
1623A Provincial Grants - Investing In Ontario ($30,000) ($30,000)
1623 Provincial Grants - T.I. Grant
1701 Debt - 5 year (150,000) (150,000)
2823 Paid from Property Taxes (15,000)
7000 - Capital Equipment (35,000)
7021 - 2011 Surplus (Rate Stabilization Reserve) 225,000
Total FINANCING $215,000 $420,000
CITY OF PICKERING
2012
Capital Budget
For Council Consideration
5311 Property Maintenance Run Date: 21-Jan-2012
FUNDING EXPENSE
5311.1201 WALKWAY LIGHTING
1623 Prov Grant (30,000)
Invest in Ontario
6181 Other Fixed Assets 30,000
Walkway Lighting - Jaywin to Alwin, Dreyber to Portland, and
Portland to Village East Park (approx. $5,000 per pole)
Total 5311.1201 WALKWAY LIGHTING (30,000) 30,000
5311.1202 WALKWAY RECONSTRUCTION
6181 Other Fixed Assets 40,000
Walkway reconstruction - Centennial Park to Baggins Street:
Remove interlock and stairs, replace with asphalt, replace chain
fence
7021 Rate Stabilization Reserve (40,000)
Total 5311.1202 WALKWAY RECONSTRUCTION (40,000) 40,000
5311.1203 FENCES
6181 Other Fixed Assets 100,000
Property line fence replacement
7021 Rate Stabilization Reserve (100,000)
Total 5311.1203 FENCES (100,000) 100,000
5311.1204 ENCLOSED TRAILER
2823 Paid From Property Taxes (15,000)
6178 Miscellaneous Equipment 15,000
Enclosed Trailer for Equipment (High Capacity)
Total 5311.1204 ENCLOSED TRAILER (15,000) 15,000
5311.1205 TRAILER MOUNTED VACUUM EXCAVATOR
6178 Miscellaneous Equipment 85,000
Vacuum excavator of fence post holes, sign posts, catch basin and
culvert clean out (vacuum trailer)
7021 Rate Stabilization Reserve (85,000)
Total 5311.1205 TRAILER MOUNTED VACUUM EXCAVATOR (85,000) 85,000
5311.1206 SIDEWALK PLOW
1701 Debt - 5 Year (150,000)
6178 Miscellaneous Equipment 150,000
Purchase trackless sidewalk plow with attachments
CITY OF PICKERING
2012
Capital Budget
For Council Consideration
5311 Property Maintenance Run Date: 21-Jan-2012
FUNDING EXPENSE
Total 5311.1206 SIDEWALK PLOW (150,000) 150,000
Total 5311 Property Maintenance (420,000) 420,000
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City of Pickering Community Services Department
Operations Division
2012 Budget Proposal
Proposed Budget Amount:
5311.1201 Walkway Lighting Installation $30,000
Location And Proposed Construction:
Walkway Lighting - The proposed works to include installation of walkway lighting from
Jaywin Circle to Alwin Circle, Dreyber Court to Portland Court and Portland Court to
Village East Park.
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City of Pickering Community Services Department
Operations Division
2012 Budget Proposal
Proposed Budget Amount:
5311.1202 Walkway Reconstruction $40,000
Location And Proposed Construction:
Existing Walkway - From Baggins Street to Centennial Park - The proposed works to
include removal of existing interlock pavers and stairs and replace with asphalt path,
and replacement of existing chain fence.
CITY OF PICKERING
2012
DRAFT CAPITAL BUDGET
5315 OPERATIONS CENTRE-MUNICIPAL GARAGE
2011 2012
BUDGET BUDGET
EXPENDITURES
6157 Vehicle - Under $100.000
6178 Miscellaneous Equipment
6181 Other Fixed Assets $1,500,000
6265 Land Acq. & Disp. $8,000,000
Total EXPENDITURES $0 $1,500,000
FINANCING
1623A Provincial Grants - Invest in Ontario
1623 Provincial Grants
1703 Debt Financing - 15 Year ($8,000,000)
1704 Debt - 20 year ($1,475,000)
7610 DC - Roads & Relatd Res. Fund 25,000
Total FINANCING ($8,000,000) ($1,500,000)
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CITY OF PICKERING
2012
Capital Budget
For Council Consideration
5315 Operations Centre-Municipal Garage Run Date: 21-Jan-2012
FUNDING EXPENSE
5315.1201 NEW OPERATIONS CENTRE
1704 Debt - 20 year (1,475,000)
6181 Other Fixed Assets 1,500,000
Consulting & Design of new Operations Centre
7610 RF DC- Roads & Related (25,000)
Total 5315.1201 NEW OPERATIONS CENTRE (1,500,000) 1,500,000
Total 5315 Operations Centre-Municipal Garage (1,500,000) 1,500,000
CITY OF PICKERING
2012
DRAFT CAPITAL BUDGET
5320 ROADS EQUIPMENT & MATERIALS
2011 2012
BUDGET BUDGET
EXPENDITURES
6157 Vehicles - Under $100,000 $55,000 $200,000
6158 Vehicles - Over $100,000 210,000 210,000
6178 Miscellaneous Equipment 51,000 440,000
6250 Construction Costs 2,545,000 4,035,000
6251 Road Improvements
6259 Construction Costs - York Region Enhancement 1,500,000
6265 Land Acq. & Disp. 200,000 400,000
Total EXPENDITURES $4,561,000 $5,285,000
FINANCING
1610 Federal Grands
1623A Provincial Grants - Investing In Ontario ($255,000) ($13,400)
1623E Provincial Grants - T.I. Grant (140,000)
1623G Provincial Grants - Municipal Rd. & Infrastructure (235,000)
1701 Debt - 5 year (585,000) (870,000)
1702 Debt - 10 year (1,280,000)
1704 Debt - 20 year (1,400,000)
1711 Internal Loan - 5 year (100,000)
2823 Paid from Property Taxes (71,467) (40,000)
7021 - 2011 Surplus (Rate Stabilization Reserve) (40,000)
7022 R - DC City's Share (100,000)
7040 Vehicle Replacement Reserve (60,000)
7043 R - Move Ontario (14,533) (56,600)
7045-Cap Mtce & Mgmt Systems
7047-Land Purchase Reserve (200,000) (200,000)
7505 RF - Federal Gas Tax (555,000) (2,030,000)
7610 RF - DC Roads & Related (100,000)
7702 RF - Public Works
9960 Other Revenue - York Region Enhancement (1,500,000)
Total FINANCING ($4,561,000) ($5,285,000)
CITY OF PICKERING
2012
Capital Budget
For Council Consideration
5320 Roads Run Date: 21-Jan-2012
FUNDING EXPENSE
5320.1201 1 TON TRUCK WITH SERVICE BODY
1623 Prov Grant (80,000)
Transportation Initiatives Grant
6157 Vehicles - under $100,000 80,000
Replace unit 033 - 2002 GMC 3500 with 1 ton truck with service
body/tailgate/crane
Total 5320.1201 1 TON TRUCK WITH SERVICE BODY (80,000) 80,000
5320.1202 1-TON PICKUP WITH PLOW
6157 Vehicles - under $100,000 60,000
Replace unit #032 - 2002 with 1 ton pickup with plow
7040 R - Vehicle Replacement (60,000)
Total 5320.1202 1-TON PICKUP WITH PLOW (60,000) 60,000
5320.1203 1-TON PICKUP WITH PLOW
1623 Prov Grant (60,000)
Transportation Initiatives Grant
6157 Vehicles -under $100,000 60,000
Replace unit #035 - 2005 with 1 ton pickup with plow
Total 5320.1203 1-TON PICKUP WITH PLOW (60,000) 60,000
5320.1204 DUMP TRUCK
1701 Debt - 5 Year (210,000)
6158 Vehicles -Over $100,000 210,000
Replace Unit #099 - 2002 Freight Liner with 4 ton dump truck with
wing plow
Total 5320.1204 DUMP TRUCK (210,000) 210,000
5320.1205 EXCAVATOR
1701 Debt - 5 Year (385,000)
6178 Miscellaneous Equipment 385,000
Replace unit #111 - 1990 Badger Hydraulic Boom Excavator
Total 5320.1205 EXCAVATOR (385,000) 385,000
532CSIGN REFLECTOMETER
2823 Paid From Property Taxes (15,000)
6178 Miscellaneous Equipment 15,000
Sign reflectometer (Maintenance Standards)
Total 5320.1206 SIGN REFLECTOMETER (15,000) 15,000
CITY OF PICKERING
2012
Capital Budget
For Council Consideration
5320 Roads Run Date: 21-Jan-2012
FUNDING EXPENSE
5320.1207 ASPHALT ROLLER
6178 Miscellaneous Equipment 40,000
2 Ton asphalt roller with roll bar and trailer
7021 Rate Stabilization Reserve (40,000)
Total 5320.1207 ASPHALT ROLLER (40,000) 40,000
5320.1208 BRIDGE 6003 SIDELINE 30
1623 Prov Grant (13,400)
Invest in Ontario
6250 Construction Costs 70,000
Bridge 6003 (Wilson Bridge) Sideline 30, 0.4 Km south of Seventh
Concession Road. Handrail Replacement and New Guiderail
Installation. (Project partially funded by Invest in Ontario Grant.)
7043 R - Move Ontario (56,600)
Total 5320.1208 BRIDGE 6003 SIDELINE 30 (70,000) 70,000
5320.1209 BRIDGE 6004 SIDELINE 32
1623 Prov Grant (85,000)
Municipal Rd. & Infrastructure Grant
6250 Construction Costs 85,000
Bridge 6004 Sideline 32, 0.7 Km south of Seventh Concession
Road. Handrail Replacement and New Guiderail Installation
Total 5320.1209 BRIDGE 6004 SIDELINE 32 (85,000) 85,000
5320.1210 BRIDGE 9006 SIDELINE 4
1623 Prov Grant (90,000)
Municipal Rd. & Infrastructure Grant
6250 Construction Costs 90,000
Bridge 9006, Sideline 4, 1.4 Km north of Ninth Concession Road.
Handrail Replacement and New Guiderail Installation
Total 5320.1210 BRIDGE 9006 SIDELINE 4 (90,000) 90,000
5320.1211 CULVERT - RADOM STREET
1623 Prov Grant (60,000)
Municipal Rd. & Infrastructure Grant
6250 Construction Costs 60,000
CITY OF PICKERING
2012
Capital Budget
For Council Consideration
5320 Roads Run Date: 21-Jan-2012
FUNDING EXPENSE
Culvert 7 Radom Street, 0.2 Km west of Liverpool Road. New
Concrete Lining
Total 5320.1211 CULVERT - RADOM STREET (60,000) 60,000
5320.1212 WHITEVALE BRIDGE
1704 Debt - 20 year (1,400,000)
6250 Construction Costs 2,400,000
Whitevale Bridge Replacement
7505 RF - Federal Gas Tax (1,000,000)
Total 5320.1212 WHITEVALE BRIDGE (2,400,000) 2,400,000
5320.1213 DUFFIN HEIGHTS-THIRD CONCESSION RD
1701 Debt - 5 Year (275,000)
6250 Construction Costs 275,000
Additional funds required for Third Concession Road in Duffin
Heights (due to updated cost estimate)
Total 5320.1213 DUFFIN HEIGHTS-THIRD CONCESSION RD (275,000) 275,000
5320.1214 TOYNEVALE ROAD
2823 Paid From Property Taxes (25,000)
6250 Construction Costs 25,000
Toynevale Road (Rougemount Drive to Rosebank Road) -
Preliminary Engineering and Design
Total 5320.1214 TOYNEVALE ROAD (25,000) 25,000
5320.1215 ASPEN ROAD RESURFACING
6250 Construction Costs 205,000
Aspen Road - complete asphalt removal and new asphalt surfacing
installed with concrete curb/gutter and sidewalk repairs/replacement
where required, from 160m North of Pebble Court to Spruce Hill
Road
7505 RF - Federal Gas Tax (205,000)
Total 5320.1215 ASPEN ROAD RESURFACING (205,000) 205,000
5320.1216 BARNWOOD SQUARE RESURFACING
6250 Construction Costs 265,000
Barnwood Square - Complete asphalt removal and new asphalt
surfacing installed with concrete curb/gutter and sidewalk
repairs/replacement where required, from Wheatsheaf Lane to
Wheatsheaf Lane.
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CITY OF PICKERING
2012
Capital Budget
For Council Consideration
5320 Roads Run Date: 21-.Jan-2012
FUNDING EXPENSE
7505 RF - Federal Gas Tax (265,000)
Total 5320.1216 BARNWOOD SQUARE RESURFACING (265,000) 265,000
5320.1217 ANTHONY, FOSTER & HOUSTON COURT RESURFACIM
6250 Construction Costs 135,000
Anthony Court, Foster Court & Houston Court Resurfacing -
complete asphalt removal and new asphalt surfacing installed with
concrete curb/gutter and sidewalk repairs/replacement where
required
7505 RF - Federal Gas Tax (135,000)
Total 5320.1217 ANTHONY, FOSTER & HOUSTON COURT RESURI (135,000) 135,000
5320.1218 SIDELINE 20 RESURFACING
6250 Construction Costs 150,000
Sideline 20 - Complete asphalt removal and new asphalt surfacing
installed with granular base repairs/replacement where required,
from Kodiak Street to Regional Road #5.
7505 RF - Federal Gas Tax (150,000)
Total 5320.1218 SIDELINE 20 RESURFACING (150,000) 150,000
5320.1219 RODD AVENUE RESURFACING
6250 Construction Costs 60,000
Rodd Avenue - Complete asphalt removal and new asphalt
surfacing installed with concrete curb/gutter and sidewalk
repairs/replacement where required, from east of Bella Vista to East
terminus.
7505 RF - Federal Gas Tax (60,000)
Total 5320.1219 RODD AVENUE RESURFACING (60,000) 60,000
5320.1220 GREENRIDGE DRIVE RESURFACING
6250 Construction Costs 35,000
Greenridge Drive - Complete asphalt removal and new asphalt
surfacing installed with granular base repairs/replacement where
required, from Westney Road to West terminus.
7505 RF - Federal Gas Tax (35,000)
Total 5320.1220 GREENRIDGE DRIVE RESURFACING (35,000) 35,000
5320.1221 GABLEHURST DRIVE RESURFACING
6250 Construction Costs 100,000
CITY OF PICKERING
2012
Capital Budget
For Council Consideration
5320 Roads Run Date: 23-Jan-2012
FUNDING EXPENSE
Gablehurst Crescent - Complete asphalt removal and new asphalt
surfacing installed with concrete curb/gutter and sidewalk
repairs/replacement where required, from Brookshire Square to
South Terminus.
7505 RF - Federal Gas Tax (100,000)
Total 5320.1221 GABLEHURST DRIVE RESURFACING (100,000) 100,000
5320.1222 DREYBER COURT RESURFACING
6250 Construction Costs 80,000
Dreyber Court - Complete asphalt removal and new asphalt
surfacing installed with concrete curb/gutter and sidewalk
repairs/replacement where required, from Pickering Parkway to
West terminus.
7505 RF - Federal Gas Tax (80,000)
Total 5320.1222 DREYBER COURT RESURFACING (80,000) 80,000
5320.1223 MINOR LAND PURCHASES
6265 Land Acquisition & Disp 200,000
Purchase of small parcels of land to be used for various City
projects such as sidewalks, walking trails and road improvements.
Council approval is required before land can be purchased.
7047 Land Purchase Reserve (200,000)
Total 5320.1223 MINOR LAND PURCHASES (200,000) 200,000
5320.1224 LAND PURCHASE - CLEMENTS RD & CHURCH ST.
6265 Land Acquisition & Disp 200,000
Finalization of property ownership matters respecting the
intersection of Clements Road and Church Street
7022 R - DC's City's Share (100,000)
7610 RF DC- Roads & Related (100,000)
Total 5320.1224 LAND PURCHASE - CLEMENTS RD & CHURCH Sl (200,000) 200,000
Total 5320 Roads (5,285,000) 5,285,000
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City of Pickering Community Services Department
Operations Division
2012 Budget Proposal
Proposed Budget Amount:
5320.1208 Sideline 30 Bridge (ID. #6003) - Handrail Replacement
and New Guiderail Installation $70,000
Location And Proposed Construction:
Sideline 30 Bridge - The proposed works to include handrail replacement and guiderail
installation at the bridge, 0.4km south of Seventh Concession Road on Sideline 30 to
meet new minimum standards.
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City of Pickering Community Services Department
Operations Division
2012 Budget Proposal
Proposed Budget Amount:
5320.1209 Sideline 32 Bridge (ID. #6004) - Handrail Replacement
and New Guiderail Installation $85,000
Location And Proposed Construction:
Sideline 32 Bridge - The proposed works to include handrail replacement and guiderail
installation at the bridge, 0.7km south of Seventh Concession Road on Sideline 32 to
meet new minimum standards.
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Operations Division
2012 Budget Proposal
Proposed Budget Amount:
5320.1210 Sideline 4 Bridge (ID. #9006) - Handrail Replacement
and New Guiderail Installation $90,000
Location And Proposed Construction:
Sideline 4 Bridge - The proposed works to include handrail replacement and guiderail
installation at the bridge, 1.4km north of Ninth Concession Road on Sideline 4 to meet
new minimum standards.
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Operations Division
2012 Budget Proposal
Proposed Budget Amount:
5320.1211 Radom Street Culvert (ID. #7) - New Concrete Lining $60,000
Location And Proposed Construction:
Culvert 7 Radom Street - The proposed works to include a new concrete lining in the
existing culvert at Radom Street 0.2km west of Liverpool Road.
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City of Pickering Community Services Department
Operations Division
2012 Budget Proposal
Proposed Budget Amount:
5320.1212 Whitevale Bridge Replacement $2,400,000
Location And Proposed Construction:
Whitevale Bridge - The proposed works to include the replacement of the existing
bridge on Whitevale Road crossing west Duffin Creek in accordance with the
completed Class Environmental Assessment.
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City of Pickering Community Services Department
Operations Division
2012 Budget Proposal
Proposed Budget Amount:
5320.1213 Third Concession Road in Duffin Heights $275,000
Location And Proposed Construction:
Third Concession Road in Duffin Heights - Additional funds required for City
infrastructure within the proposed Regional project.
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Operations Division
2012 Budget Proposal
Proposed Budget Amount:
5320.1214 Toynevale Road - Preliminary Engineering $25,000
Location And Proposed Construction:
Toynevale Road - The proposed works to include preliminary engineering components
of topographical survey, soils chemical analysis and geotechnical analysis, storm
sewer CCTV inspection, vegetation survey and assessment, and streetlight needs
analysis.
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City of Pickering Community Services Department
Operations Division
2012 Budget Proposal
Proposed Budget Amount:
5320.1215 Aspen Road Resurfacing $205,000
Location And Proposed Construction:
Aspen Road - The proposed works to include complete asphalt removal and new
asphalt surfacing installed with concrete curb/gutter and sidewalk repairs/replacement
where required, from 160m North of Pebble Court to Spruce Hill Road
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City of Pickering Community Services Department
Operations Division
2012 Budget Proposal
Proposed Budget Amount:
5320.1216 Barnwood Square Resurfacing $265,000
Location And Proposed Construction:
Barnwood Square - The proposed works to include complete asphalt removal and new
asphalt surfacing installed with concrete curb/gutter and sidewalk repairs/replacement
where required, from Wheatsheaf Lane to Wheatsheaf Lane.
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City of Pickering Community Services Department
Operations Division
2012 Budget Proposal
Proposed Budget Amount:
5320.1217 Anthony Court, Foster Court & Houston Court Resurfacing $135,000
Location And Proposed Construction:
The proposed works to include complete asphalt removal and new asphalt surfacing
installed with concrete curb/gutter and sidewalk repairs/replacement where required.
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Operations Division
2012 Budget Proposal
Proposed Budget Amount:
5320.1218 Sideline 20 Resurfacing $150,000
Location And Proposed Construction:
Sideline 20 - The proposed works to include complete asphalt removal and new
asphalt surfacing installed with granular base repairs/replacement where required, from
Kodiak Street to Regional Road 15.
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City of Pickering Community Services Department
Operations Division
2012 Budget Proposal
Proposed Budget Amount:
5320.1219 Rodd Avenue Resurfacing $60,000
Location And Proposed Construction:
Rodd Avenue - The proposed works to include complete asphalt removal and new
asphalt surfacing installed with concrete curb/gutter and sidewalk repairs/replacement
where required, from east of Bella Vista to East terminus.
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City of Pickering Community Services Department
Operations Division
2012 Budget Proposal
Proposed Budget Amount:
5320.1220 Greenridge Drive Resurfacing $35,000
Location And Proposed Construction:
Greenridge Drive - The proposed works to include complete asphalt removal and new
asphalt surfacing installed with granular base repairs/replacement where required, from
Westney Road to West terminus.
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City of Pickering Community Services Department
Operations Division
2012 Budget Proposal
Proposed Budget Amount:
5320.1221 Gablehurst Drive Resurfacing $100,000
Location And Proposed Construction:
Gablehurst Crescent - The proposed works to include complete asphalt removal and
new asphalt surfacing installed with concrete curb/gutter and sidewalk
repairs/replacement where required, from Brookshire Square to South Terminus.
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City of Pickering Community Services Department
Operations Division
2012 Budget Proposal
Proposed Budget Amount:
5320.1222 Dreyber Court Resurfacing $80,000
Location And Proposed Construction:
Dreyber Court - The proposed works to include complete asphalt removal and new
asphalt surfacing installed with concrete curb/gutter and sidewalk repairs/replacement
where required, from Pickering Parkway to West terminus.
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City of Pickering Community Services Department
Operations Division
2012 Budget Proposal
Proposed Budget Amount:
5320.1224 Clements Road & Church Street Land Purchase $200,000
Location And Description:
Finalization of property ownership matters respecting the intersection of Clements
Road and Church Street.
CITY OF PICKERING
2012
DRAFT CAPITAL BUDGET
5780 PARKS
2011 2012
BUDGET BUDGET
EXPENDITURES
6129 Parks-Landscape-Refurb $1,045,000 $700,000
6157 Vehicles - Under $100,000 60,000
6158 Vehicles - Over $100,000 130,000
6178 Miscellaneous Equipment 76,000 66,000
6181 Other Fixed Assets 350,000 10,329,000
6259 Construction Costs - York Region Enhancement 1,500,000
6250 Construction Costs
Total EXPENDITURES $3,161,000 $11,095,000
FINANCING
1592 Donations ($70,000)
1610 Federal Grants (3,000,000)
1623 Provincial Grants
1623A Provincial Grants - Investing In Ontario ($40,000) (185,500)
1623F Provincial Grants -Frenchman's Bay Harbour (3,000,000)
1640 Grant-Other Municipalities
1701 Debt- 5 year (130,000)
1702 Debt - 10 year (1,500,000)
2823 Paid from Property Taxes (224,500)
7021 - 2011 Surplus (Rate Stabilization Reserve) (150,000)
7022 R - DC City's Share (427,455)
7040 Vehicle Replacement (60,000)
7502 RF - Parkland (531,000) (550,000)
7505 RF-Federal Gas Tax (130,000)
7620 DC - Parkland Development & Trail (122,545)
9960 Other Revenue - York Region Enhancement (1,500,000) (1,735,000)
9990-Other Revenue 900,000
Total FINANCING $3,161,000 $11,095,000
CITY OF PICKERING
2012
Capital Budget
For Council Consideration
5780 Parks Run Date: 21-Jan-2012
FUNDING EXPENSE
5780.1201 KINSMAN PARK - DRAINAGE IMPROVEMENTS
2823 Paid From Property Taxes (60,000)
6181 Other Fixed Assets 60,000
Kinsman Park Drainage - Ditch re-grading
Total 5780.1201 KINSMAN PARK - DRAINAGE IMPROVEMENTS (60,000) 60,000
5780.1202 KINSMAN PARK - BASEBALL DIAMOND
6181 Other Fixed Assets 100,000
Replace wiring, fixtures, ballast and arms at baseball diamond #1
7505 RF - Federal Gas Tax (100,000)
Total 5780.1202 KINSMAN PARK - BASEBALL DIAMOND (100,000) 100,000
5780.1203 KINSMAN PARK-ANNOUNCERS TOWER RECONSTRUC"
2823 Paid From Property Taxes (25,000)
6181 Other Fixed Assets 25,000
Announcers tower
Total 5780.1203 KINSMAN PARK-ANNOUNCERS TOWER RECONS (25,000) 25,000
5780.1204 KINSMAN PARK-FOOTBALL FIELD UPGRADES
1592 Donations (50,000)
1623 Prov Grant (50,000)
Invest in Ontario
6181 Other Fixed Assets 100,000
Upgrade Football Field Facilities to Mini Stadium for Football and
Soccer Use (bleachers, fencing). Total cost up to $100,000 based
on receiving matching funds from Clubs. Project to proceed when
donations are received.
Total 5780.1204 KINSMAN PARK-FOOTBALL FIELD UPGRADES (100,000) 100,000
5780.1205 DUNMOORE PARK
1592 Donations (20,000)
1623 Prov Grant (83,000)
Invest in Ontario
6181 Other Fixed Assets 133,000
Dunmoore Park - South ball diamond - backstop and wings, replace
outfield fence 6 feet high (with O pipe), players benches, rubberized
(Eco-Flex) pads for bleachers throughout park and energy efficient
lighting.
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62
CITY OF PICKERING
2012
Capital Budget
For Council Consideration
5780 Parks Run Date: 21-Jan-2012
FUNDING EXPENSE
7505 RF - Federal Gas Tax (30,000)
Total 5780.1205 DUNMOORE PARK (133,000) 133,000
5780.1207 AMBERLEA PARK - ASPHALT WALKWAY
2823 Paid From Property Taxes (32,000)
6181 Other Fixed Assets 32,000
Reconstruct existing asphalt walkway
Total 5780.1207 AMBERLEA PARK - ASPHALT WALKWAY (32,000) 32,000
5780.1208 DAVID FARR PARK-ASPHALT WALKWAY
2823 Paid From Property Taxes (39,000)
6181 Other Fixed Assets 39,000
David Farr Park - Replace asphalt w/w from Kitley to the start of
new apron
Total 5780.1208 DAVID FARR PARK-ASPHALT WALKWAY (39,000) 39,000
5780.1209 LIGHTING REPLACEMENT
6181 Other Fixed Assets 50,000
David Farr Park - Replace light posts fixtures wiring - Kitley entrance
7021 Rate Stabilization Reserve (50,000)
Total 5780.1209 LIGHTING REPLACEMENT (50,000) 50,000
5780.1210 MILLENNIUM SQUARE BEACHFRONT PARK-RUBBERIZI
1623 Prov Grant (20,000)
Invest in Ontario
6181 Other Fixed Assets 20,000
Millennium Square Beachfront Park - Rubberized surfacing in front
of seating area to washrooms (slip hazard)
Total 5780.1210 MILLENNIUM SQUARE BEACHFRONT PARK-RUB (20,000) 20,000
5780.1211 DUFFIN HEIGHTS - NEW PARK
6129 Parks - Landscape Refurb 400,000
Duffin Heights - (Mattamy) New Park Construction
7022 R - DC's City's Share (308,400)
7620 RF DC-Parkland Dev & Trls (91,600)
Total 5780.1211 DUFFIN HEIGHTS - NEW PARK (400,000) 400,000
5780.1212 FRENCHMAN'S BAY HARBOUR ENTRANCE
1610 Federal Grants (3,000,000)
I
CITY OF PICKERING
2012
Capital Budget
For Council Consideration
5780 Parks Run Date: 21-Jan-2012
FUNDING EXPENSE
i
1623 Prov Grant (3,000,000)
Frenchman's Bay Harbour Grant
1702 Debt - 10 Year (1,500,000)
6129 Parks - Landscape Refurb 9,000,000
Frenchman's Bay Harbour Entrance - (Subject to external grant
funding and partially funded by Southeast Collector (SEC)
enhancements). Federal & Provincial government jointly funding
the $7.5M
9960 Other Rev. York Reg. Proj (1,500,000)
Total 5780.1212 FRENCHMAN'S BAY HARBOUR ENTRANCE (9,000,000) 9,000,000
5780.1213 RESTORATION OF LAND
6129 Parks - Landscape Refurb 175,000
Restoration of Lands within Petticoat Creek Watershed (funded by
SEC enhancements)
9960 Other Rev. York Reg. Proj (175,000)
Total 5780.1213 RESTORATION OF LAND (175,000) 175,000
5780.1214 RESTORATION OF TRCA LAND
6129 Parks - Landscape Refurb 60,000
Restoration on TRCA lands near Townline Road (funded by SEC
enhancements)
9960 Other Rev. York Reg. Proj (60,000)
Total 5780.1214 RESTORATION OF TRCA LAND (60,000) 60,000
5780.1215 CENTRAL CONTROL IRRIGATION SYSTEM
1623 Prov Grant (32,500)
Invest in Ontario
2823 Paid From Property Taxes (32,500)
6178 Miscellaneous Equipment 65,000
Central Control Irrigation System - controls irrigation via computer
program. Notification of leaks, breaks and non functioning system.
Increased water savings. Will provide better turf and lessen field
closures. Sustainable, increased efficiency freeing up staff.
estimated cost of $5,000 per field (x 12 locations), plus a weather
station.
Total 5780.1215 CENTRAL CONTROL IRRIGATION SYSTEM (65,000) 65,000
5780.1216 PLAYGROUND SURFACING PROGRAM
CITY OF PICKERING
2012
Capital Budget
For Council Consideration
5780 Parks Run Date: 21-Jan-2012
FUNDING EXPENSE
6181 Other Fixed Assets 50,000
Playground Surfacing Program - Remove peastone and add
recycled wood product (If wooden cribbing surrounds unit remove
and replace with concrete curbing and tiles for drainage)
7021 Rate Stabilization Reserve (50,000)
Total 5780.1216 PLAYGROUND SURFACING PROGRAM (50,000) 50,000
5780.1217 KINSMAN PARK - REPLACE OUTFIELD FENCE
2823 Paid From Property Taxes (20,000)
6181 Other Fixed Assets 20,000
Outfield Fence Hydro East Ball Diamond - Replace with 6 feet fence
plus O pipe
Total 5780.1217 KINSMAN PARK - REPLACE OUTFIELD FENCE (20,000) 20,000
5780.1218 BLEACHERS, BENCHES, PICNIC TABLES
6178 Miscellaneous Equipment 50,000
Bleachers, Benches, Picnic tables
7021 Rate Stabilization Reserve (50,000)
Total 5780.1218 BLEACHERS, BENCHES, PICNIC TABLES (50,000) 50,000
5780.1219 TRAILERS
2823 Paid From Property Taxes (16,000)
6178 Miscellaneous Equipment 16,000
2 Equipment Trailers
Total 5780.1219 TRAILERS (16,000) 16,000
5780.1220 DUFFIN HEIGHTS - VILLAGE GREEN
6129 Parks - Landscape Refurb 150,000
Duffin Heights - Village Green (Mattamy)
7022 R - DC's City's Share (119,055)
7620 RF DC-Parkland Dev & Trls (30,945)
Total 5780.1220 DUFFIN HEIGHTS - VILLAGE GREEN (150,000) 150,000
5780.1221 ROSEBANK SOUTH PARK
6129 Parks - Landscape Refurb 250,000
Rosebank South Park
7502 Parkland Reserve Fund (250,000)
Total 5780.1221 ROSEBANK SOUTH PARK (250,000) 250,000
5780.1222 ESPLANADE PARK
CITY OF PICKERING
2012
Capital Budget
For Council Consideration
5780 Parks Run Date: 21-Jan-2012
FUNDING EXPENSE
6129 Parks - Landscape Refurb 300,000
Esplanade Park (Walkway & Lighting, Replacement)
7502 Parkland Reserve Fund (300,000)
Total 5780.1222 ESPLANADE PARK (300,000) 300,000
Total 5780 Parks (11,095,000) 11,095,000
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City of Pickering Community Services Department
Operations Division
2012 Budget Proposal
Proposed Budget Amount:
Kinsman Park
5780.1201 - Drainage improvement $60,000
5780.1202 - Replace lighting at baseball diamond #1 $100,000
5780.1203 - Reconstruct announcer tower $25,000
5780.1204 - Football Field upgrades $100,000
5780.1217 - Hydro East basement diamond outfield fence replacement $20,000
Location And Proposed Construction:
Kinsman Park - The proposed works to include ditch re-grading, replace lighting at
baseball diamond #1, reconstruct announcers tower, upgrade football field facilities
(bleachers and fencing), and replace outfield fence.
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City of Pickering Community Services Department
Operations Division
2012 Budget Proposal
Proposed Budget Amount:
Dunmoore Park
5780.1205 - Install backstop and wings - south baseball diamond $20,000
5780.1205 - Replacement of outfield fence $20,000
5780.1205 - Install player's benches and pads for bleachers $18,000
5780.1205 - Baseball Lighting $75,000
Location And Proposed Construction:
Dunmoore Park - The proposed works to include installation of backstop and wings
(south ball diamond), replacement of the existing six feet high outfield fence with "O"
pipes, installation of players benches and rubberized pads (Eco-Flex) for bleachers
throughout park and energy efficiency lighting (north ball diamond).
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City of Pickering Community Services Department
Operations Division
2012 Budget Proposal
Proposed Budget Amount:
Amberlea Park
5780.1207 - Reconstruction of existing walkway $32,000
Location And Proposed Construction:
Amberlea Park - The proposed works to include removal and replacement of portions
of existing asphalt walkway.
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City of Pickering Community Services Department
Operations Division
2012 Budget Proposal
Proposed Budget Amount:
David Farr Park
5780.1208 - Replace asphalt walkway from Kitley Avenue $39,000
5780.1209 - Replace walkway lighting $50,000
Location And Proposed Construction:
David Farr Park - The proposed works to include removal and replacement of portions
of existing asphalt walkway from Kitley Avenue to the start of new apron, and to replace
various Park lights (posts, fixtures, and wiring).
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City of Pickering Community Services Department
Operations Division
2012 Budget Proposal
Proposed Budget Amount:
Millennium Square Beachfront Park
5780.1210 - Install rubberized surface near washrooms $20,000
Location And Proposed Construction:
Millennium Square Beachfront Park - The proposed works to include installation of
rubberized surfacing in front of seating area to washrooms to address slip hazards.
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City of Pickering Community Services Department
Operations Division
2012 Budget Proposal
Proposed Budget Amount:
Duffin Heights (Mattamy)
5780.1211 -New Park Construction $400,000
5780.1220 - Village Green Construction $150,000
Location And Proposed Construction:
Duffin Heights Park - The proposed works to include new park construction and
construction of village green within the Mattamy subdivision.
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City of Pickering Community Services Department
Operations Division
2012 Budget Proposal
Proposed Budget Amount:
5780.1212 Frenchman's Bay Harbour Entrance $9,000,000
Location And Proposed Construction:
Frenchman's Bay Harbour Entrance - The proposed works to include harbour entrance
construction (subject to external grant funding and partially funded by Southeast
Collector (SEC) enhancements)
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City of Pickering Community Services Department
Operations Division
2012 Budget Proposal
Proposed Budget Amount:
5780.1213 Restoration of Lands within Petticoat Creek Watershed $175,000
Location And Proposed Construction:
Pettiocat Creek Watershed - The proposed works to include restoration of lands within
Petticoat Creek Watershed (funded by SEC enhancements).
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City of Pickering Community Services Department
Operations Division
2012 Budget Proposal
Proposed Budget Amount:
5780.1214 Restoration on TRCA Lands near Townline Road $60,000
Location And Proposed Construction:
TRCA Lands near Townline Road - The proposed works to include restoration on
TRCA lands near Townline Road (funded by SEC enhancements).
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City of Pickering Community Services Department
Operations Division
2012 Budget Proposal
Proposed Budget Amount:
Rosebank South Park
5780.1221 - Park Construction $250,000
Location And Proposed Construction:
Rosebank South Park - The proposed works to include installation of a children
playground (structures, edging and safety surfacing), seating area, walkways,
replacement of fencing along the rail road tracks and a significant planting of native
trees and shrubs as part of the tree removal compensation for Pickering Shores
Development Inc. and Geranium Rosebank Development Inc.
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City of Pickering Community Services Department
Operations Division
2012 Budget Proposal
Proposed Budget Amount:
5780.1222 Esplanade Park Walkway and Lighting Replacement $300,000
Location And Proposed Construction:
Esplanade Park - The proposed works to include walkway and lighting replacement.
CITY OF PICKERING
2012
DRAFT CAPITAL BUDGET
ENGINEERING SERVICES SUMMARY
2011 2012
BUDGET BUDGET
EXPENDITURES
6178 Miscellaneous Equipment
6181 Other Fixed Assets $655,000
6182 Frenchmans Bay Rehab
6250 Construction Costs 150,000 $150,000
6251 Road Improvements
6254 Traffic Signals 15,000 230,000
6265 Land Acquisition 35,000
6290 Rec. Complex Expansion
Total Cost EXPENDITURES $855,000 $380,000
FINANCING
1592 Donations ($85,000)
1610 Federal Grants
1610A Federal Grants - RInC
1623A Provincial Grants - Investing In Ontario
1701 Debt - 5 year (175,000)
1702 Debt - 10 year (200,000)
1703 Debt - 15 year
1704 Debt - 20 Year
1711 Internal Loan - 5 Year ($100,000)
2823 Paid from Property Taxes (80,000) (30,000)
7000 - Capital Equipment
7502 RF - Parkland
7505 RF - Federal Gas Tax (315,000) (150,000)
7610 DC - Roads & Relatd Res. Fund
7620 DC - Parkland Development & Trail
7702 RF - Public Works
9960 - Other Revenue York Region Project Enhancement (100,000)
9990 - Other Revenue
Total Cost FINANCING $855,000 $380,000
II
CITY OF PICKERING
2012
DRAFT CAPITAL BUDGET
5410 STORMWATER
2011 2012
BUDGET BUDGET
EXPENDITURES
6181 Other Fixed Assets $480,000 $0
6182 Frenchmans Bay Rehab
6265 Land Acq. & Disp. 35,000
Total EXPENDITURES $515,000 $0
FINANCING
1701 Debt - 5 year ($175,000) $0
1702 Debt- 10 Year ($200,000)
2823 Paid from Property Taxes (65,000)
7505 RF - Federal Gas Tax (75,000)
7611 RF-DC Storm Water
Total FINANCING $515,000 $0
CITY OF PICKERING
2012
DRAFT CAPITAL BUDGET
5325 STREETLIGHTS
2011 2012
BUDGET BUDGET
EXPENDITURES
6181 Other Fixed Assets $175,000
6254 Traffic Signals 15,000 $230,000
Total EXPENDITURES $190,000 $230,000
FINANCING
1592 Donations ($85,000)
1711 Internal Loan - 5 year ($100,000)
2823 Paid from Property Taxes (15,000) (30,000)
7505 RF - Federal Gas Tax (90,000)
9960 Other Revenue - York Region Project 100,000
Total FINANCING $190,000 $230,000
8
CITY OF PICKERING
2012
Capital Budget
For Council Consideration
5325 Streetlights Run Date: 21-Jan-2012
FUNDING EXPENSE
5325.1201 TRAFFIC SIGNAL / CONTROLLER
2823 Paid From Property Taxes (30,000)
6254 Traffic Signals 30,000
Traffic Signal/Controller at the intersection of Glenanna Road and
Esplanade South
Total 5325.1201 TRAFFIC SIGNAL / CONTROLLER (30,000) 30,000
5325.1202 PEDESTRIAN SIGNAL
6254 Traffic Signals 100,000
Intersection Pedestrian Signal - Finch Avenue at Spruce Hill Road.
(funded through SEC Enhancements)
9960 Other Rev. York Reg. Proj (100,000)
Total 5325.1202 PEDESTRIAN SIGNAL (100,000) 100,000
5325.1203 TRAFFIC SIGNAL
1711 Internal Loan - 5 Year (100,000)
6254 Traffic Signals 100,000
Installation of a traffic control signal in conjunction with the Region
of Durham's widening of Brock Road at Dersan Street (Cost share
with Region of Durham 50/50 split).
Total 5325.1203 TRAFFIC SIGNAL (100,000) 100,000
Total 5325 Streetlights (230,000) 230,000
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City of Pickering Community Services Department
Engineering Services Division
2012 Budget Proposal
Proposed Budget Amount:
5325.1201 Traffic Signal Controller Replacement $30,000
Location And Proposed Construction:
Glenanna Road at Esplanade South - The proposed works to include traffic signal
controller replacement.
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City of Pickering Community Services Department
Engineering Services Division
2012 Budget Proposal
Proposed Budget Amount:
5325.1202 Intersection Pedestrian Signal $100,000
Location And Proposed Construction:
Installation of an intersection pedestrian signal on Finch Avenue at Spruce Hill Road
(funded through SEC enhancements).
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City of Pickering Community Services Department
Engineering Services Division
2012 Budget Proposal
Proposed Budget Amount:
5325.1203 Traffic Signal $100,000
Location And Proposed Construction:
Installation of a traffic control signal in conjunction with the Region of Durham's
widening of Brock Road at Dersan Street (Cost share with Region of Durham 50/50
split).
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CITY OF PICKERING
2012
DRAFT CAPITAL BUDGET
5323 SIDEWALKS
2011 2012
BUDGET BUDGET
EXPENDITURES
6250 Construction Costs $150,000 $150,000
Total EXPENDITURES $150,000 $150,000
FINANCING
1623A Provincial Grants - Investing In Ontario
2823 Paid From Property Taxes
7505 RF - Federal Gas Tax 150,000 $150,000
Total FINANCING ($150,000) ($150,000)
CITY OF PICKERING
2012
Capital Budget
For Council Consideration
5323 Sidewalks Run Date: 21-Jan-2012
FUNDING EXPENSE
5323.1201 KINGSTON ROAD
6250 Construction Costs 150,000
Kingston Road (Location to be Determined)
7505 RF - Federal Gas Tax (150,000)
Total 5323.1201 KINGSTON ROAD (150,000) 150,000
Total 5323 Sidewalks (150,000) 150,000
S
CITY OF PICKERING
2012
DRAFT CAPITAL BUDGET
CULTURE & RECREATION SERVICES SUMMARY
2011 2012
BUDGET BUDGET
EXPENDITURES
6129 Parks-Landscape-Refurb.
6149 Restoration - Museum Bldg $7,500
6157 Vehicles - Under $100,000 $45,000
6158 Vehicles - Over $100,000
6173 Furniture & Fixtures 18,000
6178 Miscellaneous Equipment 187,500 164,600
6181 Other Fixed Assets 1,525,000 2,046,500
6183 Accessibility 40,000
6250 Construction Costs 150,000
Total Cost EXPENDITURES $1,907,500 $2,276,600
FINANCING
1592 Donations
1610 Federal Grants
1623A Provincial Grants - Invest In Ontario ($38,000) ($90,000)
1701 Debt - 5 year (400,000) (556,000)
1702 Debt - 10 year (810,000) (515,000)
1704 Debt - 20 Year
1711 Internal Loan - 5 year (125,000)
2823 Paid from Property Taxes (76,928) (74,000)
7021 - 2011 Surplus (Rate Stabilization Reserve) (18,072) (105,000)
7022 - DC-City's Share Reserve
7032 - Dunbarton Pool Surcharge Reserve (33,000)
7033 Don Beer Arena Surcharge Reserve (20,000) (90,000)
7034 Rec Complex Core Surcharge Reserve (69,500) (50,600)
7035 Rec Compl Pool Surchrge Reserve (80,000) (18,000)
7036 Rec Complex Arena Surcharge Reserve (50,000)
7041 Easement Settlement Reserve (240,000)
7502 RF - Parkland
7505 RF - Federal Gas Tax (155,000) (570,000)
7610 DC - Trnsprtation-Roads & Relatd Res. Fd
7700 Community Facilities Reserve Fund
9990 - Other Revenue
Total Cost FINANCING $1,907,500 $2,276,600)
CITY OF PICKERING
2012
DRAFT CAPITAL BUDGET
5700 CIVIC COMPLEX
2011 2012
BUDGET BUDGET
EXPENDITURES
6173 Furniture & Fixtures
6178 Miscellaneous Equipment
6181 Other Fixed Assets $550,000
Total EXPENDITURES $550,000 $0
FINANCING
1702 Debt- 10 Year ($550,000)
1710 Internal Loan
2823 Paid from Property Taxes
7505 RF - Federal Gas Tax
Total FINANCING $550,000 $0
CITY OF PICKERING
2012
DRAFT CAPITAL BUDGET
5701 SENIOR CENTRE
2011 2012
BUDGET BUDGET
EXPENDITURES
6173 Furniture & Fixtures
6178 Miscellaneous Equipment
6181 Other Fixed Assets $695,000 $556,000
6250 Construction Costs 150,000
Total EXPENDITURES $845,000 $556,000
FINANCING
1623A Provincial Grants - Investing in Ontario
1701 Debt- 5 year ($200,000) ($556,000)
1702 Debt- 10 Year (260,000)
2823 Paid from Property Taxes (16,928)
7021 Rate Stabilization Reserve (18,072)
7041 Easement Settlement (240,000)
7505 RF - Federal Gas Tax (110,000)
7700 RF - Community Facilities
Total FINANCING $845,000 $556,000
i
CITY OF PICKERING
2012
Capital Budget
For Council Consideration
5701 Senior Centre Run Date: 21-Jan-2012
FUNDING EXPENSE
5701.1201 RENOVATIONS
1701 Debt - 5 Year (200,000)
6181 Other Fixed Assets 200,000
Renovations & expanded washroom facilities to Seniors Activity
Centre
Total 5701.1201 RENOVATIONS (200,000) 200,000
5701.1202 ROOF REPLACEMENT
1701 Debt - 5 Year (156,000)
6181 Other Fixed Assets 156,000
Roof Replacement - Remaining flat roof portion (Phase 4) and Roof
Drains - lower flat roof
Total 5701.1202 ROOF REPLACEMENT (156,000) 156,000
5701.1203 ESCC PARKING LOT RECONSTRUCTION
I
1701 Debt - 5 Year (200,000)
6181 Other Fixed Assets 200,000
Parking Lot Reconstruction - East Shore Community Centre: The
proposed works to include parking lot reconstruction and drainage
improvements of the existing lot on the west side of the building to
base asphalt including pavement markings.
Total 5701.1203 ESCC PARKING LOT RECONSTRUCTION (200,000) 200,000
Total 5701 Senior Centre (556,000) 556,000
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City of Pickering Community Services Department
Culture & Recreation Division
2012 Budget Proposal
Proposed Budget Amount:
East Shore Community Centre
5701.1203 - Parking Lot Reconstruction $200,000
Location And Proposed Construction:
East Shore Community Centre - The proposed works to include parking lot
reconstruction and drainage improvements of the existing lot on the west side of the
building to base asphalt including pavement markings.
CITY OF PICKERING
2012
DRAFT CAPITAL BUDGET
5713 DUNBARTON POOL
2011 2012
BUDGET BUDGET
EXPENDITURES
6178 Miscellaneous Equipment $24,000
6181 Other Fixed Assets 143,000
Total EXPENDITURES $0 $167,000
FINANCING
1711 Internal Loan - 5 Year ($125,000)
2823 Paid from Property Taxes (9,000)
7032 - Dunbarton Pool Surcharge Reserve (33,000)
7505 RF - Federal Gas Tax
Total FINANCING $0 $167,000
CITY OF PICKERING
2012
Capital Budget
For Council Consideration
5713 Dunbarton Pool Run Date: 21-Jan-2012
FUNDING EXPENSE
5713.1201 CHAIR LIFT
6178 Miscellaneous Equipment 15,000
Chair Lift for Pool Access
7032 Dunbarton Pool Surcharge (15,000)
Total 5713.1201 CHAIR LIFT (15,000) 15,000
5713.1202 ADDRESS SPEAKER SYSTEM
2823 Paid From Property Taxes (9,000)
6178 Miscellaneous Equipment 9,000
Public Address Speaker System
Total 5713.1202 ADDRESS SPEAKER SYSTEM (9,000) 9,000
5713.1203 DIVING STAND & BOARD
6181 Other Fixed Assets 18,000
Replacement of 1 metre Durafirm Diving Stand and Board
7032 Dunbarton Pool Surcharge (18,000)
Total 5713.1203 DIVING STAND & BOARD (18,000) 18,000
5713.1204 REPLACE PIPING
1711 Internal Loan - 5 Year (125,000)
6181 Other Fixed Assets 125,000
Replace Deteriorated Piping in Tunnel
Total 5713.1204 REPLACE PIPING (125,000) 125,000
Total 5713 Dunbarton Pool (167,000) 167,000
I
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CITY OF PICKERING
2012
DRAFT CAPITAL BUDGET
5715 DON BEER ARENA
2011 2012
BUDGET BUDGET
EXPENDITURES
6178 Miscellaneous Equipment $103,000 $90,000
6181 Other Fixed Assets 515,000
Total EXPENDITURES $103,000 $605,000
FINANCING
1610A Federal Grants - RInC
1623A Provincial Grants - Investing In Ontario (38,000)
1623C Provincial Grants - Ont. REC
1702 debt - 10 Year ($515,000)
2823 Paid from Property Taxes ($45,000)
7033 R - Don Beer Arena (20,000) (90,000)
7505 RF - Federal Gas Tax
Total FINANCING $103,000 $605,000
CITY OF PICKERING
2012
Capital Budget
For Council Consideration
5715 Don Beer Arena Run Date: 21-Jan-2012
FUNDING EXPENSE
5715.1201 ICE RESURFACER
6178 Miscellaneous Equipment 90,000
Replace Existing Ice Resurfacer
7033 R - Don Beer Arena (90,000)
Total 5715.1201 ICE RESURFACER (90,000) 90,000
5715.1202 ROOF REPLACEMENT
1702 Debt - 10 Year (515,000)
6181 Other Fixed Assets 515,000
Rink 1 Roof & Lower Roof - Replacement
Total 5715.1202 ROOF REPLACEMENT (515,000) 515,000
ITotal 5715 Don Beer Arena (605,000) 605,000
CITY OF PICKERING
2012
DRAFT CAPITAL BUDGET
5719 COMMUNITY CENTRES
2011 2012
BUDGET BUDGET
EXPENDITURES
6157 Vehicles - Under $100,000 $45,000
6173 Furniture & Fixtures
6178 Miscellaneous Equipment 15,000
6181 Other Fixed Assets 200,000 $115,000
6183 Accessibility 40,000
Total EXPENDITURES $260,000 $155,000
FINANCING
1610 Federal Grants
1610A Federal Grants - RInC
1623A Provincial Grants - Investing In Ontario ($90,000)
1701 Debt - 5 year ($200,000)
2823 Paid from Property Taxes (15,000) (65,000)
7505 RF - Federal Gas Tax (45,000)
7700 RF-Community Facilities
Total FINANCING $260,000 $155,000
CITY OF PICKERING
2012
Capital Budget
For Council Consideration
5719 Community Centres Run Date: 21-Jan-2012
FUNDING EXPENSE
5719.1201 GENERAL UPGRADES
2823 Paid From Property Taxes (40,000)
6183 Accessibility 40,000
General Upgrades as Identified in Accessibility Plan
Total 5719.1201 GENERAL UPGRADES (40,000) 40,000
5719.1202 ROOF REPLACEMENT
1623 Prov Grant (90,000)
Invest In Ontario
6181 Other Fixed Assets 90,000
Greenwood CC Roof Replacement
Total 5719.1202 ROOF REPLACEMENT (90,000) 90,000
5719.1203 METHANE GAS SEPARATION
2823 Paid From Property Taxes (25,000)
6181 Other Fixed Assets 25,000
Greenwood Methane Gas Separation for Health & Safety
Total 5719.1203 METHANE GAS SEPARATION (25,000) 25,000 --t-- Total 5719 Community Centres (155,000) 155,000
CITY OF PICKERING
2012
DRAFT CAPITAL BUDGET
5731 REC. COMPLEX CORE
2011 2012
BUDGET BUDGET
EXPENDITURES
6173 Furniture & Fixtures
6178 Miscellaneous Equipment $69,500 $50,600
6181 Other Fixed Assets 450,000
6290 Rec. Complex Expansion
Total EXPENDITURES $69,500 $500,600
FINANCING -
2823 Paid from Property Taxes
7034 Rec Complex Core Surcharge Reserve ($69,500) ($50,600)
7505 RF - Federal Gas Tax 450,000
Total FINANCING $69,500 $500,600
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98
CITY OF PICKERING
2012
Capital Budget
For Council Consideration
5731 Rec.Complex-Core Run Date: 21-Jan-2012
FUNDING EXPENSE
5731.1201 EQUIPMENT REPLACEMENT
6178 Miscellaneous Equipment 50,600
Health Club Equipment Replacement
7034 Rec Comp Core Surchrg Res (50,600)
Total 5731.1201 EQUIPMENT REPLACEMENT (50,600) 50,600
5731.1202 BANQUET HALL
6181 Other Fixed Assets 100,000
Banquet Hall - Dimmer control, Lighting Replacement, New
Bulkhead
7505 RF - Federal Gas Tax (100,000)
Total 5731.1202 BANQUET HALL (100,000) 100,000
5731.1203 AIR HANDLING UNIT
6181 Other Fixed Assets 125,000
Replace SF-11 & RF-11 Air Handling Unit
7505 RF - Federal Gas Tax (125,000)
Total 5731.1203 AIR HANDLING UNIT (125,000) 125,000
5731.1204 AIR HANDLING UNIT
6181 Other Fixed Assets 125,000
Replace SF-12 & RF-12 Air Handling Unit
7505 RF - Federal Gas Tax (125,000)
Total 5731.1204 AIR HANDLING UNIT (125,000) 125,000
5731.1205 REPLACE LIGHTING
6181 Other Fixed Assets 100,000
Replace Complex Central Lighting
7505 RF - Federal Gas Tax (100,000)
Total 5731.1205 REPLACE LIGHTING (100,000) 100,000
Total 5731 Rec.Complex-Core (500,600) 500,600
I
CITY OF PICKERING
2012
DRAFT CAPITAL BUDGET
5733 REC. COMPLEX POOL
2011 2012
BUDGET BUDGET
EXPENDITURES
6173 Furniture & Fixtures $18,000
6178 Miscellaneous Equipment
6181 Other Fixed Assets $80,000
Total EXPENDITURES $80,000 $18,000
FINANCING
1592 Donations
2823 Paid from Property Taxes
7035 Rec Compl Pool Surcharge Reserve ($80,000) (18,000)
7505 RF-Federal Gas Tax
Total FINANCING $80,000 $18,000
CITY OF PICKERING
2012
Capital Budget
For Council Consideration
5733 Rec. Complex-Pool Run Date: 21-Jan-2012
FUNDING EXPENSE
5733.1201 DIVING BOARD & STAND
6173 Furniture & Fixtures 18,000
Replacement 1 metre Diving Board and Stand
7035 R/Cmplx Pool Surcharge (18,000)
Total 5733.1201 DIVING BOARD & STAND (18,000) 18,000
Total 5733 Rec. Complex-Pool (18,000) 18,000
CITY OF PICKERING
2012
DRAFT CAPITAL BUDGET
5735 REC. COMPLEX ARENAS
2011 2012
BUDGET BUDGET
EXPENDITURES
6178 Miscellaneous Equipment
6181 Other Fixed Assets $170,000
Total EXPENDITURES $0 $170,000
FINANCING
2823 Paid from Property Taxes
7036 Rec.Complex Arena Surcharge Reserve ($50,000)
7505 RF - Federal Gas Tax 120,000
Total FINANCING $0 $170,000
CITY OF PICKERING
2012
Capital Budget
For Council Consideration
5735 Rec.Complex-Arenas Run Date: 21-Jan-2012
FUNDING EXPENSE
5735.1201 DEHUMIDIFIER SYSTEM
6181 Other Fixed Assets 120,000
Additional Funds for Desiccant Dehumidifier System
7505 RF -Federal Gas Tax (120,000)
Total 5735.1201 DEHUMIDIFIER SYSTEM (120,000) 120,000
5735.1202 REPLACE MATTING
6181 Other Fixed Assets 50,000
Replace Lobby, Dressing Room & Hall Matting - O'Brien
7036 R/Cmplx Arena Surcharge (50,000)
Total 5735.1202 REPLACE MATTING (50,000) 50,000
Total 5735 Rec.Complex-Arenas (170,000) 170,000
CITY OF PICKERING
2012
DRAFT CAPITAL BUDGET
5744 MUSEUM
2011 2012
BUDGET BUDGET
EXPENDITURES
6149 Restoration - Museum Bldg $7,500
6173 Furniture & Fixtures
6178 Miscellaneous Equipment
6181 Other Fixed Assets 97,500
Total EXPENDITURES $0 $105,000
FINANCING
1592 Donations
1610 Federal Grants
7021 - 2011 Surplus (Rate Stabilization Reserve) ($105,000)
7505 RF - Federal Gas Tax
Total FINANCING $0 $105,000
104
CITY OF PICKERING
2012
Capital Budget
For Council Consideration
5744 Museum Run Date: 21-Jan-2012
FUNDING EXPENSE
5744.1201 BARN FOUNDATION
6149 Restoration - Museum Bldg 7,500
Beef Ring Barn Foundation
7021 Rate Stabilization Reserve (7,500)
Total 5744.1201 BARN FOUNDATION (7,500) 7,500
5744.1202 CONSTRUCTION OF PICNIC SHELTER
6181 Other Fixed Assets 52,500
Construction of Picnic shelter. The total project costs is $70,000, of
which $17,500 was approved in 2010 budget (Project# 5744.1005)
7021 Rate Stabilization Reserve (52,500)
Total 5744.1202 CONSTRUCTION OF PICNIC SHELTER (52,500) 52,500
5744.1203 HEATING/COOLING SYSTEM
6181 Other Fixed Assets 45,000
Heating/Cooling system for Admin Building, including humidity and
environmental controls for Collections Storage Room
7021 Rate Stabilization Reserve (45,000)
Total 5744.1203 HEATING/COOLING SYSTEM (45,000) 45,000
Total 5744 Museum (105,000) 105,000
CITY OF PICKERING
2012
DRAFT CAPITAL BUDGET
PLANNING
2011 2012
BUDGET BUDGET
EXPENDITURES
6157 Vehicles - Under $100,000 $50,000
6173 Furniture & Fixtures
6178 Miscellaneous Equipment
6181 Other Fixed Assets 200,000 $200,000
6251 City Roads, Structures & Sidewalks 2,292,825 125,600
6252 Streetlights & Sidewalks 1,069,500 505,000
6253 Storm Water 300,000 186,000
6254 Traffic Signals 175,875
Total Cost EXPENDITURES $3,912,325 $1,192,475
FINANCING
1702 Debt - 10 year
1703 Debt - 15 year ($1,342,000)
1705 DC Funded Debt-10 year
2823 Paid from Property Taxes
7022 R - DC City's Share (697,455) ($465,269)
7501 RF - 3rd Party Contrib. (200,000) (200,000)
7505 RF - Federal Gas Tax (50,000)
7610 RF - DC Roads & Related (1,592,870) (497,446)
7611 RF - DC Storm Water 30,000 29,760
Total Cost FINANCING $3,912,325) ($1,192,475)
CITY OF PICKERING
2012
DRAFT CAPITAL BUDGET
5613 DEVELOPMENT CONTROL
2011 2012
BUDGET BUDGET
EXPENDITURES
6173 Furniture & Fixtures
6157 Vehicles - Under $100,000 $50,000
6178 Miscellaneous Equipment
6181 Other Fixed Assets 200,000 $200,000
Total EXPENDITURES $250,000 $200,000
FINANCING
2823 Paid from Property Taxes
7501 Third Party Contributions ($200,000) ($200,000)
7505 RF - Federal Gas Tax 50,000
Total FINANCING $250,000 $200,000
CITY OF PICKERING
2012
Capital Budget
For Council Consideration
5613 Development Control Run Date: 21-Jan-2012
FUNDING EXPENSE
5613.1201 CONSTRUCTION PROJECTS
6181 Other Fixed Assets 200,000
Various Construction Projects Related to Development (Funded
From Third Party Contributions
7501 RF - Third Party Contribution (200,000)
Total 5613.1201 CONSTRUCTION PROJECTS (200,000) 200,000
Total 5613 Development Control (200,000) 200,000
CITY OF PICKERING
2012
DRAFT CAPITAL BUDGET
5321 DEVELOPMENT PROJECTS DC FUNDED
2011 2012
BUDGET BUDGET
EXPENDITURES
6250 Construction Costs
6251 Road Improvements $2,292,825 $125,600
6252 Streetlights & Sidewalks 1,069,500 505,000
6253 Storm Water 300,000 186,000
6254 Traffic Signals 175,875
Total EXPENDITURES $3,662,325 $992,475
FINANCING;
1702 Debt - 10 year
1703 Debt Financing - 15 Year ($1,342,000)
1705 DC Funded Debt-10 year
7022 R - DC City's Share (697,455) ($465,269)
7610 RF - Roads & Related (1,592,870) (497,446)
7611 RF DC-Roads & Related 30,000 29,760
Total FINANCING $3,662,325 $992,475
CITY OF PICKERING
2012
Capital Budget
For Council Consideration
5321 Development Projects-(DC Funded) Run Date: 21-Jan-2012
FUNDING EXPENSE
5321.1201 DUFFIN HEIGHTS
6251 Road Improvements 125,600
DH-11 Duffin Heights - North Collector (90/10) East of Brock Rd.
(Oversizing)
7022 R - DC's City's Share (12,560)
7610 RF DC- Roads & Related (113,040)
Total 5321.1201 DUFFIN HEIGHTS (125,600) 125,600
5321.1202 KINGSTON RD (Liverpool to Glenanna)
6252 Streetlights & Sidewalks 165,000
TC-18 Kingston Rd. South Side (50/50) Liverpool Rd. to
Glenanna Rd.
7022 R - DC's City's Share (82,500)
7610 RF DC- Roads & Related (82,500)
Total 5321.1202 KINGSTON RD ( Liverpool to Glenanna) (165,000) 165,000
5321.1203 BROCK RD
6252 Streetlights & Sidewalks 142,000
BR-4 Brock Rd. East Side (50/50) Dellbrook To Finch Ave.
7022 R - DC's City's Share (71,000)
7610 RF DC- Roads & Related (71,000)
Total 5321.1203 BROCK RD (142,000) 142,000
5321.1204 KINGSTON RD (Rosebank to Steeple Hill)
6252 Streetlights & Sidewalks 198,000
WO-2 Kingston Road - South Side (50/50) Rosebank Rd. to
Steeple Hill
7022 R - DC's City's Share (99,000)
7610 RF DC- Roads & Related (99,000)
Total 5321.1204 KINGSTON RD (Rosebank to Steeple Hill) (198,000) 198,000
5321.1205 KROSNO CREEK
6253 Storm Water 186,000
B-15 Krosno Creek - Erosion Control of Valley Wall (16/54+30)
Reytan Blvd. to Parkham St.
7022 R - DC's City's Share (156,240)
7611 RF DC - Storm Water Mgmt (29,760)
Total 5321.1205 KROSNO CREEK (186,000) 186,000
CITY OF PICKERING
2012
Capital Budget
For Council Consideration
5321 Development Projects-(DC Funded) Run Date: 21-Jan-2012
FUNDING EXPENSE
I
5321.1206 PICKERING PARKWAY
6254 Traffic Signals 175,875
TC-4 Pickering Parkway at (75/25) Glenanna Rd. - Signalization
7022 R - DC's City's Share (43,969)
7610 RF DC- Roads & Related (131,906)
Total 5321.1206 PICKERING PARKWAY (175,875) 175,875
Total 5321 Development Projects-(DC Funded) (992,475) 992,475
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Duffin Heights - North Collector
East of Brock Road
Location and Proposed Construction
DH-11 (2009-2013) North Collector - east of Brock Road (oversizing). Local road
to Collector road.
Proposed Budget Amount $125,600
Development Projects (DC funded)
5321.1201
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Kingston Road
Liverpool Road to Glenanna Road
Location and Proposed Construction
TC-18 (2009-2013) Kingston Road - Liverpool Road to Glenanna Road -Sidewalk
construction, south side.
Proposed Budget Amount $165,000
Development Projects (DC funded)
5321.1202
DC - 50%/C - 50%
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Dellbrook Avenue to Finch Avenue
Location and Proposed Construction
BR-4 (2009-2013) Brock Road - Dellbrook Avenue to Finch Avenue -Sidewalk
construction, east side
Proposed Budget Amount $142,000
Development Projects (DC funded)
5321.1203
DC - 50%/C - 50%
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Kingston Road
Rosebank Road to Steeple Hill Road
Location and Proposed Construction
WO-2 (2009-2013) Kingston Road - Rosebank Road to Steeple Hill Road - Sidewalk
construction, south side.
Proposed Budget Amount $198,000
Development Projects (DC funded)
5321.1204
DC - 50%/C - 50%
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Krosno Creek - Sandy Beach Road,
Reytan Boulevard to Parkham Crescent
Location and Proposed Construction
B-15 (2009-2013) Erosion control of channel and valley wall within Krosno Creek,
Reytan Boulevard to Parkham Crescent.
Proposed Budget Amount $186,000
Development Projects (DC funded)
5321.1205
DC - 15%/C - 85%
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Pickering Parkway
Intersection of Glenanna Road
Location and Proposed Construction
TC-4 (2009-2013) Signalization of intersection. Pickering Parkway and Glenanna
Road.
Proposed Budget Amount $175,875
Development Projects (DC funded)
5321.1206
DC - 75%/C - 25%
CITY OF PICKERING
2012
DRAFT CAPITAL BUDGET
5800 LIBRARY
2011 2012
BUDGET BUDGET
EXPENDITURES
6173 Furniture & Fixtures $31,800 $26,000
6176 Office Machines & Equip.
6179 Book Collection Material 440,350 462,350
6181 Other Fixed Assets 300,000
Total EXPENDITURES $472,150 $788,350
FINANCING
1623A Provincial Grants - Investing In Ontario
1701 Debt - 5 year ($250,000)
2823 Paid from Property Taxes ($472,150) (488,350)
7021 - 2011 Surplus (Rate Stabilization Reserve) (50,000)
7505 RF - Federal Gas Tax
Total FINANCING $472,150 $788,350
CITY OF PICKERING
2012
Capital Budget
For Council Consideration
5800 Library Run Date: 21-Jan-2012
FUNDING EXPENSE
5800.1201 BOOK COLLECTION
2823 Paid From Property Taxes (462,350)
6179 Book Collection Materials 462,350
Library materials covers the following: Books, movies, music, and
other types of materials along with their processing and packaging.
This budget is based on a formula which includes community
demand, material costs and industry norms.
Total 5800.1201 BOOK COLLECTION (462,350) 462,350
5800.1202 CARPET REPLACEMENT
6181 Other Fixed Assets 50,000
Central First Floor Carpet Replacement (Phase 1). Phase One will
replace the most threadbare and damaged areas with carpet tiles.
7021 Rate Stabilization Reserve (50,000)
Total 5800.1202 CARPET REPLACEMENT (50,000) 50,000
5800.1203 RADIO FREQUENCY IDENTIFICATION SYSTEM
1701 Debt - 5 Year (250,000)
6181 Other Fixed Assets 250,000
Replacement RFID (Radio Frequency Identification) system for
Petticoat Creek and Central Libraries. This electronic inventory
system includes identification tags for library materials and
hardware which reads the tags. It will allow the library to continue to
save staff money through self-checkout and easy check-in of library
materials. The system also deters theft of library materials. A newer
system will position the library for automated sortation systems, self
check-in and self-service payment of fines all of which will save
staffing costs.
Total 5800.1203 RADIO FREQUENCY IDENTIFICATION SYSTEM (250,000) 250,000
5800.1204 PUBLIC TABLE
2823 Paid From Property Taxes (26,000)
6173 Furniture & Fixtures 26,000
New Public Table solution for Central and Petticoat Creek will add
workspace for additional public computers and will provide
additional study space based on community demands.
Total 5800.1204 PUBLIC TABLE (26,000) 26,000
Total 5800 Library (788,350) 788,350