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HomeMy WebLinkAboutFIN 18-13 Cl 00 Report to Executive Committee ER G Report Number: FIN 18-13 Date: September 9, 2013 • From: Paul Bigioni Director, Corporate Services & City Solicitor Subject: Cash Position Report as at June 30, 2013 Recommendation: It is recommended that Report FIN 18-13 from the Director, Corporate Services & City Solicitor be received for information. Executive Summary: The schedules attached present the City of Pickering's cash position, continuity of taxes receivable, outstanding investments, development charges collected and other development contribution information for the six months ended June 30, 2013. Key indicators in the first half of 2013 are summarized as follows: • Total development charges collected during the first half of 2013 are slightly up by 4% from $7.2M to $7.5M compared to the same period in 2012. • Building permits are down by 7% from 503 to 466 compared to the same period in 2012. The City's investment portfolio remains relatively balanced with the total short term investments slightly higher than the total long term investments but at lower interest rates. Financial Implications: The financial position of the Corporation for the six months ended June 30, 2013 was a net increase in cash of$9,230,430 to $14,412,552. Sources of Funds (as shown in Attachment 1) totaled $153,750,775 and Use of Funds (also shown in Attachment 1) totaled $144,520,345. Discussion: This report presents a six-month period of activity ending June 30, 2013. The discussion below describes the purpose of reporting the selected data with summary information in each of the attached schedules. Statement of Cash Position: Attachment 1 reflects the City's sources and uses of funds for the first half of 2013. Subcategories have been identified to highlight those cash transactions that are material in nature or with large dollar values for the City. This schedule summarizes the increase in cash of $9,230,430 over the first six months of the year. As at June month end, the City had just completed payment of its interim levy and payment-in-lieu of taxes to the Region of Durham and to the respective school boards. 26 Report FIN 18-13 September 9, 2013 Page 2 Note that comparison of the net increase/(decrease) of cash over the same reporting period in prior years may not be useful due to the timing differences of receipts and disbursements in each respective year. Continuity of Taxes Receivable: Attachment 2 summarizes the tax related transactions from January 1 to June 30, 2013 and provides the outstanding taxes receivable as at June 30, 2013. The total amount represents all three levels of taxes billed for the City, Region and School Boards. It includes the amounts owing for the September 27th residential due date of approximately $34.1 M. The commercial final billing is not included in the total as this will be billed later in the year. Outstanding Investments: Attachment 3 reflects the short-term and long-term investments for both Current and Reserve Funds outstanding as at June 30, 2013. Total investment portfolio as at June 30, 2013 is $81.4M with $3.1M from internal loans and $78.3M from general investments. This represents an increase of about $6.6M or 8.8% on total investments from the same period last year. This variation is expected as total investments differ from year to year depending on the timing of collection and remittance of development charges and supplementary taxes. Development Charges Collected: The City is responsible for the collection of development charges on behalf of the City, Region and School Boards. Attachment 4 shows a total collection of$7.5M for the year as at June 30, 2013. $2.2M for the City, $4.8M for the Region and $0.5M for the School Boards. Total collection slightly increased by about 4.2% compared to the $7.2M collected over the same period in 2012. Please note that the development charges collected as reported under the Sources of Funds on Attachment 1 does not match the remittance amounts to the Region and School Boards indicated under the Use of Funds, also in Attachment 1.• This variance is a result of: (a) timing differences in payments to the Region and School Boards, as monies become due 25 days following the month of collection, and (b) the City portion is not reported as a line item under the Use of Funds. Other Development Contributions: Attachment 5 is provided to show other significant development contributions received in the first half 2013. Multi Year Receipts: Attachment 6 shows multiyear receipts of the City's share of development charges as presented on a linear chart. The $2.2M total amount collected for the six months ending June 30, 2013 was the fourth highest six-month collection in the past 20 years. 27 Report FIN 18-13 September 9, 2013 Page 3 Attachments: 1. Statement of Cash Position . 2. Continuity of Taxes Receivable 3. Outstanding Investments 4. Development Charges Collected 5. Other Development Contributions 6. City Portion of Development Charges Collected 2003—2013 (semi-annual) Prepared By: Approved/Endorsed By: C;1" CA-4.L1-1,Z_Loa-k ,------- -.----- -7--- __.--- - 10, Dennis Arboleda Stan Karwowski - Supervisor, Accounting Services (Acting) D' '.'on Head, Finance & Treasurer Paul Bigioni Director, C. prat- Services & City Solicitor Recommended for the consideration of Pickering City -ouncil / ,, . ,z, 2013 Tony Pre edel, P.Eng. Chief Administrative Officer 28 ATTACHMENT it.j TO REPORT#:n I =? f 3 City of Pickering Statement of Cash Position for six months ending June 30, 2013 Sources of Funds: Accounts Receivable collected' $ 1,175,791 Development charges collected 2 7,537,245 Operating 21,461,515 Grants-in-lieu: Federal 867,220 Provincial 517,224 Ontario enterprises 4,110,890 Municipal enterprises 1,918,064 Linear Properties - Federal specific grants 51,399 Ontario specific grants 137,788 Interest Income 242,004 Tax payments received 115,731,635 Total $ 153,750,775 Use of Funds: Operating and Capital Expenditures $ 32,822,433 Payroll 18,109,295 Region Levy 67,359,677 Regional portion of Dev. Charges 4,335,823 School Board Levies 21,110,499 School Board portion of Dev. Charges 436,008 Debenture payment to Region 346,610 Total $ 144,520,345 Net Cash Increase (Decrease) $ 9,230,430 Financial Position Bank Balance Net Cash Bank Balance Jan 1, 2012 Provided (Used) June 30, 2012 Current Fund $ 5,182,122 $ 9,230,430 $ 14,412,552 Total $ 5,182,122 $ 9,230,430 $ 14,412,552 ' Includes DRT fuel and recovery of 2012 levy adjustment due from Region Y Includes City,Region and School Boards 29 ATTACHMENT# ;1 TO REPORT#f ml 1-! a) a) C) v N CO C) r- CO CD O co N- C S r 00 O LO O LO N N CO (fl LO LO •L O a1 '�f CO N O �' O LOU) O C) N� p) 5 N LO (S) CO- CO N- 0) N CO CO N N- 0) ..- O N- N (o N N- O xj N O M j co- LO V LO O CO ti N (D c0 -s- i- C tLO U 0re C o CO N .N N K C _ U C (p r N- N- LO C) LO v- ti LO C--NI LO N C) N N- (D co '(! <t (0 L•) 9-. _ U)) LO LO r- .4- .- ' N 0) V CO_ CO O C co c O) ti co N 0) 05 O CD 0) 'Lt a) CO a) 0) co N '- 0) N N CD CO h- y .-. N V N V' O N (D N O) V CO_ rn N v Ln N O r C c E .''' 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