HomeMy WebLinkAboutFIN 17-14 CHI r � = Report to
Executive Committee
PICKERING Report Number: FIN 17-14
Date: July 7, 2014
From: Paul Bigioni
Director, Corporate Services & City Solicitor
Subject: Repositioning of Reserves and Reserve Funds
Recommendation:
1. That Report FIN 17-14 of the Director, Corporate Services & City Solicitor be
received;
2. That Council approve the establishment of the following Reserve Funds and
corresponding By-laws:
a) Roads and Bridges
b) Stormwater Management
3. That Council approve the following transfers from the Public Works Reserve Fund:
a) the amount of$755,225.42 to the Roads and Bridges Reserve Fund
b) the amount of$355,274.56 to the Stormwater Management Reserve Fund;
4. That the Public Works Reserve Fund By-law No. 494/76 be repealed;
5. That the Division Head, Finance & Treasurer be authorized to:
a) Transfer the balance of$7,107.49 in the Doubles Squash Courts Reserve
Fund to the Community Facilities Reserve Fund and that the Doubles
Squash Courts Reserve Fund By-law No. 6190/03 be repealed; and,
b) Transfer the balance of$2,723.22 in the Move Ontario Reserve to the Rate
Stabilization Reserve and that the Move Ontario Reserve be closed;
6. That Council authorize a transfer of$700,000.00 from the Rate Stabilization
Reserve to establish a Winter Control Reserve and that the Division Head,
Finance &Treasurer be authorized to transfer funds from this reserve when:
a) the actual winter control costs exceeds budgeted winter control costs; and
b) there are.no other available surplus funds from other City operations;
7. That the draft by-laws attached hereto be enacted; and,
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Report FIN 17-14 July 7, 2014
Subject: Repositioning of Reserves and Reserve Funds Page 2
8. That the appropriate City of Pickering officials be authorized to take necessary
action to give effect thereto.
Executive Summary: The Finance Division has completed a review of the City's
reserves and reserve funds in preparation for the City's 2015 budget cycle. Finance
staff reviewed the various reserves and reserve funds to maximize their use for the
budget cycle either from a capital or current budget perspective. This higher level
review has identified an opportunity to allocate the Public Works Reserve Fund to two
new reserve funds to enhance the matching of financial resources to meet projected
expenditure demand.
The Move Ontario Reserve currently has a small balance of$2,723.22 and from an
accounting staff resource allocation and efficiency perspective, it would be better if this •
balance were transferred and the reserve closed.
The Doubles Squash Courts Reserve Fund was established to assist in the,financing of
the new doubles squash courts. This reserve fund should be closed and the balance
transferred because of the current low contribution levels.
•
In 2013 and for the first half of 2014, the City experienced a higher level of winter
control activity compared to 2011 and 2012. The establishment of the winter control
reserve will provide the City the financial flexibility to meet higher than expected
uncontrollable winter control cost pressures.
•
Financial Implications: The table below provides a breakdown of Reserves and
Reserve Funds being addressed in this report:
Name of Fund Account Fund Balance as at Recommendation
December 31/13
Public Works 7702 $1,110,499.98 Transfer balance to Roads
Reserve Fund and Bridges Reserve Fund
and Stormwater Management
Reserve Fund and repeal By-
law No. 494/76
Doubles Squash 7704 7,107,.49 Transfer balance to
Courts Reserve Fund Community Facilities Reserve
Fund and repeal By-law
No.6190/03
Move Ontario 7043 $2,723.22 Transfer balance to Rate
Reserve Stabilization Reserve and
close reserve
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Report FIN 17-14 July 7, 2014
Subject: Repositioning of Reserves and Reserve Funds Page 3
Road and Bridges new To set up new reserve fund
Reserve Fund and transfer $755,225.42
from Public Works Reserve
Fund
Stormwater new To set up a new Reserve
Management Fund and transfer 355,274.56
Reserve Fund from Public Works Reserve
Fund
Winter Control new To set up a new reserve and
Reserve transfer $700,000.00 from
Rate Stabilization Reserve
Discussion:
Public Works Reserve Fund
This reserve fund was established in 1976 for the Public Works portion of lot levy fees
collected on severances. The purpose and role of the Public Works Reserve Fund has
been replaced by the Development Charges Reserve Fund.
Upon the enactment of the Development Charges Act, 1997, funds deposited to this
reserve fund were mainly cash-in-lieu for storm sewer connections and other generic
public works related items. The total cash-in-lieu collected from 1998 to 2013 is
approximately $250,000.
This reserve fund is no longer required and it is recommended that the related by-law
be repealed and the balance allocated as follows:
Stormwater
Management
Fund
$355,275
Roads and Bridges
Reserve Fund-
$755,225
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Report FIN 17-14 July 7, 2014
Subject: Repositioning of Reserves and Reserve Funds Page 4
Doubles Squash Courts Reserve Fund
This reserve fund was established in 2003 in order to receive proceeds from fundraising
initiatives of the Pickering Squash Club, and the surcharge added for squash
memberships to help contribute toward the construction of new doubles squash courts
in the Pickering Recreation Complex. This reserve fund contributed $200,000 towards
the total construction cost of$3.7 million for the Pickering Recreation Complex
expansion, which included two doubles squash courts.
This reserve fund has served its purpose, and it is recommended that the by-law
creating it be repealed. Recommendation 5a) seeks Council approval to transfer the
unspent amount of$7,107.49 as at December 31, 2013, and any squash surcharges
collected in 2014 to the present to the Community Facilities Reserve Fund. Culture and
Recreation staff have commented that many of the current members are obtaining the
seniors' discount which makes them exempt from the squash surcharge, and that the
surcharge is viewed as a negative factor when promoting and marketing for new
members.
Move Ontario Reserve
This reserve was set-up in 2006 through the annual budget process for funds received
from the Ministry of Transportation in the approximate amount of$1.8 million. This was
a one-time funding grant from the Province to help municipalities outside of the GTA to
invest in municipal roads and bridges. Funds have been directed to fund various
municipal roads and bridges projects since 2006. This reserve has served its original
purpose. Other than a small unspent amount, the original grant has been fully depleted.
This reserve should be closed-out and the unspent amount of$2,723.22 should be
transferred to the Rate Stabilization Reserve.
Roads and Bridges Reserve Fund
Last December, Council adopted report ENG 21-13 that established the City's Asset
Management Plan (AMP) for roads and bridges. The AMP identified the need to invest
$100 million for roads and bridges over the next ten years. The establishment of the
Roads and Bridges Reserve Fund is the first step in implementing the AMP. This
reserve fund will provide a dedicated source of funds for roads and bridges as it relates
to asset replacement activity. The transfer of$755,225.42 to this reserve fund may be
used in the 2015 budget to fund capital roads or bridges projects.
Stormwater Management Reserve Fund
The City maintains 306 kilometers of urban drainage systems and 312 kilometers of.
rural drainage systems, as well as a number of stormwater management facilities (such
as wet and dry ponds). The transfer of$355,274.56 to the Stormwater Management
Reserve Fund will be used for major repairs and investments in the systems and these
funds may be used in the 2015 budget. By maintaining the City's storm drainage
systems, the City is better able to manage stormwater, mitigate flooding and protect the
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Report FIN 17-14 July 7, 2014
Subject: Repositioning of Reserves and Reserve Funds Page 5
environment. Some of the City's storm drainage system is reaching the end of its life-
cycle and requires attention in order to ensure an acceptable level of service and
functionality as well as conformity to Environment Compliance Approvals (formerly
known as Certificates of Approval) and laws (Ontario Water Resources Act and
Environmental Protection Act) are maintained.
Winter Control Reserve
The City currently budgets approximately $1.2 million per year for winter control costs.
Recommendation 6, establishes a Winter Control Reserve to be used whenever the
actual annual winter control costs exceed the budget. The use of a winter control
reserve should be seen as a financial safety net and the employment of this strategy is
becoming more popular with municipalities. The transfer of$700,000 from the Rate
Stabilization Reserve to the Winter Control Reserve will provide adequate financial
protection to offset higher than anticipated winter control costs.
Recommendation 6 provides the Treasurer the authority to draw from this reserve when
there are no available surplus funds from other City operations that can be used to
offset winter control cost pressures. With the transfer, the projected balance at
December 31, 2014 for the Rate Stabilization Reserve will be $11.53 million.
Attachments:
1. Being a by-law to provide for the establishment of a Reserve Fund to be known
as the Roads and Bridges Reserve Fund
2. Being a by-law to provide for the establishment of a Reserve Fund to be known
as the Stormwater Management Reserve Fund
Prepared By: Approved / Endorsed By:
Caryn Kong Stan Karwowski
Senior Financial Analyst-Capital & Division Head, Finance &Treasurer
Debt Management
Paul Bi•'o
Directo Co so :te Services & City Solicitor
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Report FIN 17-14 July 7, 2014
Subject: Repositioning of Reserves and Reserve Funds Page 6
Recommended for the consideration
of Pickering City Council
/ ,/0(1 / 23, 2_0/4
Tony Prevedel, P.Eng.
Chief Administrative Officer
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377
ATTACHMENT# 6 TO REPORT#f'►ni .f� ' t
The Corporation of the City of Pickering
By-law No.
•
Being a by-law to provide for the establishment of a Reserve
Fund to be known as the Roads and Bridges Reserve Fund
Whereas under the Municipal Act, S.O., 2001 as amended, Section 417(1), the Council
of the City of Pickering may establish and maintain a reserve fund for any purpose for
which it has authority to expend funds.
Whereas it is desirable for the City of Pickering to establish such a reserve fund for the
purpose of investing in its roads and bridges infrastructure.
Now therefore the Council of the Corporation of the City of Pickering hereby'enacts as
follows:
1. The establishment of a reserve fund known as the Roads and Bridges Reserve
Fund is hereby authorized.
2. The purpose of this fund is to provide funds for major repairs, rehabilitation,
reconstruction or replacement of the City's roads and bridges, including culverts.
3. The initial source of funds will be a transfer from the Public Works Reserve Fund
in the amount of $755,225.42. Future sources of funds will be as identified by
the Treasurer or as approved by Council including but not limited to the annual
budget or any other source;
4. The Treasurer may draw funds from this reserve fund for major repairs,
rehabilitation, reconstruction or replacement of roads and bridges, including
culverts.
1
5. The Treasurer has the discretion to draw from this fund when project
expenditures exceeds the budget.
6. Interest earned on the investment of fund balances shall form part of this reserve
fund. •
7. That By-law 494/76 be repealed.
8. This By-law shall come into force on the date of its enactment.
By-law passed this 14th day of July, 2014.
David Ryan, Mayor
Debbie Shields, City Clerk
378
•
ATTACHMENT# . ,TO REPORT# i rti (]-1L/
The Corporation of the City of Pickering
By-law No.
Being a by-law to provide for the establishment of a Reserve
Fund to be known as the Stormwater Management Reserve
Fund
Whereas under the Municipal Act, S.O., 2001 as amended, Section 417(1), the Council
of the City of Pickering may establish and maintain a reserve fund for any purpose for
which it has authority to expend funds.
Whereas it is desirable for the City of Pickering to establish such a reserve fund for the
purpose of maintaining the City's stormwater management infrastructure.
Now therefore the Council of the Corporation of the City of Pickering hereby enacts as
follows:
1. The establishment of a reserve fund known as the Stormwater Management
Reserve Fund is hereby authorized.
2. The purpose of this fund is to provide funds for major repairs. Rehabilitation,
reconstruction or replacement of the City's stormwater management system.
3. The initial source of funds will be a transfer from the Public Works Reserve Fund in
the amount of$355,274.56. Future sources of funds will be cash-in-lieu for storm
sewer connections, stormwater management fees, or as identified by the Treasurer
or as approved by Council including but not limited to the annual budget, or any
other source.
4. The Treasurer may draw funds from this reserve fund for major repairs,
rehabilitation, reconstruction or replacement of the City's stormwater management
system.
5. The Treasurer has the discretion to draw from this fund when project expenditures
exceeds the budget.
6. Interest earned on the investment of fund balances shall form part of this reserve
fund.
7. That By-law 494/76 be repealed.
8. This By-law shall come into force on the date of its enactment.
By-law passed this 14th day of July, 2014.
David Ryan, Mayor
Debbie Shields, City Clerk
379