HomeMy WebLinkAboutCS 20-02
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REPORT TO THE
FINANCE & OPERATIONS COMMITTEE
Report Number: CS 20-02
Date: September 11, 2002
From:
Gillis A. Paterson
Director, Corporate Services & Treasurer
Subject:
Cash Position Report as at June 30, 2002
Recommendation:
It is recommended that Report CS 20-02 from the Director, Corporate Services &
Treasurer be received for information.
Executive Summary: Section 81 of the Municipal Act provides that semi-annual
cash position statements be prepared by the Treasurer for the information of Council.
The attached schedules provide 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 30,2002.
Financial Implications: The cash position of the corporation for six months ended
June 30, 2002 was a net increase in cash of $183,833. Sources of Funds totalled
$71,414,104 and Use of Funds totalled $71,230,271.
Background: The discussion below describes the purpose and the information
contained in each of the attached schedules.
Statement of Cash Position: Attachment 1 reflects the sources and uses of funds for
the first six months of 2002. Subcategories have been identified to highlight those cash
transactions that are significant in nature or large dollar value transactions for the City
of Pickering.
Continuity of Taxes Receivable: Attachment 2 summarizes the tax related transactions
to June 30, 2002 and provides the outstanding taxes receivable as at June 30, 2002.
This balance represents all three levels of taxes billed, such as City, Region and School
Boards. The significant outstanding balance arises due to the timing of billing and tax
due dates. For example, the final Residential billing was issued June 21,2002 with tax
due dates of July 15 and September 16. Therefore, since the taxes billed for June and
September are reflected on this schedule the taxes receivable appear grossly
disproportionate. This same anomaly will arise in the next quarter report for September
Report CS 20-02
Date: September 11 2002
89
Subject: Cash Position Report as at June 30,2002
Page 2
30, 2002 as final Commercial billing is expected in September with a tax due date
tentatively set for October 29.
Outstandinq Investments: Attachment 3 reflects the short-term and long-term
investments for both the Current Fund and the Reserve Funds outstanding as at June
30, 2002.
Development Charqes Collected: Attachment 4 indicates the total development
charges for the City, Region and School Boards, as the City is responsible for collecting
development charges on behalf of all levels of government. The total amount collected
of $1,719,340 agrees with the balance indicated under Sources of Funds on
Attachment 1. However the remittance of development charges to the Region and
School Boards indicated under the Use of Funds is different than the total collected on
Attachment 4. This variance is a result of timing differences because payments to the
Region and School Boards are due 25 days following the month collected.
Other Development Contributions: Attachment 5 is provided to show other significant
development contributions that have been received.
This report was done in accordance with the provisions of Section 81 of the Municipal
Act, RS.O. (1990).
Attachments:
1.
2.
3.
4.
5.
Statement of Cash Position
Continuity of Taxes Receivables
Outstanding Investments
Statement of Development Charges Collected
Other Development Contributions
Prepared By:
-~~
Approved I Endorsed By:
Æ~/<: ~~
---G1ííis A. Paterson
Director, Corporate Services & Treasurer
ristine Senior
Manager, Accounting Services
Attachments
Co : Chief Administrative Officer
Recommended for th~.~sideration of
Picke~~~f - .\,
, " -J.. i,?, ?
, c"- I'-'f'\
Thomas J. Quinn, Chief Administrative O~er '
90
ATTACHMENT#..L. TO REPORT#E-Jo~O.l
City of Pickering
Cash Position Statement
for the six months ending June 30, 2002
June, 2002
Sources of Funds:
Accounts Receivable collected $ 561,779
Development charges collected 1,719,340
Operating 5,577,411
Grants-in-lieu:
Federal 695,542
Provincial 117,501
Ontario enterprises 4,487,520
Municipal enterprises 578,706
Linear Properties 191,133
Federal specific grants 3,260
Ontario specific grants 63,732
Interest Income 377,085
Sale of land 185,410
Tax payments received 56,350,830
POA Revenue 504,855
Total $ 71,414,104
Use of Funds:
Operating and Capital Expenditures $ 12,164,935
Payroll 12,051,219
Region Levy 25,259,007
Regional portion of Dev. Charges 406,486
School Board Levies 19,828,764
School Board portion of Dev. Charges 242,025
APT A Funding 1,277,835
Total $ 71,230,271
Net Cash Increase (Decrease) $ 183,833
FINANCIAL POSITION
Bank Balance Net Cash Bank Balance
Dec. 31, 2002 Provided (Used) June 30, 2002
Current Fund $ 3,483,961 $ 183,833 $ 3,667,794
TOTAL $ 3,483,961 $ 183,833 $ 3,667,794
Note: Includes City, Region and School Boards
CF June 20021 NET CHANGES
City of Pickering
Continuity of Taxes Receivable
for the six months ending June 30, 2002
31-Dec-O1 Penalty and Taxes Tax Payments and 30-Jun-02
Receivable Interest Added Billed Write Ofts Balance Adjustments Receivable
$ $ $ $ $ $ $
Current Year
Taxes 0 94,676,385 (27,237) 94,649,148 52,254,534 42,394,614
Penalty and Interest 0 200,687 200,687 97,237 103,450
2001
Taxes 6,347,309 (163,167) 6,184,142 2,891,576 3,292,566
Penalty and Interest 261,402 305,201 566,603 234,187 332,416
2000
Taxes 2,329,109 (61,422) 2,267,687 587,725 1,679,962
Penalty and Interest 325,170 112,042 437,212 161,033 276,179
Prior Years
Taxes 1,000,397 1,000,397 462,842 537,555
Penalty and Interest 270,364 59,549 329,913 158,564 171,349
TOTAL 10,533,751 677,479 94,676,385 (251,826) 105,635,789 56,847,698 48,788,091
TOTAL TAXES LEVIED (including Region and School Boards) as at June 30,2002 94,676,385
PERCENT OF CURRENT TAXES OUTSTANDING 51.53%
Tax instalment due dates:
Residential:
Commercial:
Feb27, Apr26, Ju115, Sept 16
Feb 27, Apr 26, Oct 29 (tentative)
(1) This amount includes $41.2 million for final residential taxes billed on June 21,2002 but not due until July 15 and September 16, 2002.
(1 )
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CF June 20021TAXES RECVBL¡""¡'
Name of Financial Purchase Maturity Interest Principal Interest Value at
Security Institution Date Date Rate Amount Payable Yield Maturity
SHORT TERM INVESTMENTS
General & R.F.lnvestments
Nesbitt Burns CIBC BA 25-Apr-02 26-Jul-02 2.40% 3,193,657.74 19,342.26 2.40% 3,213,000.00
Nesbitt Burns TDBA 8-May-02 6-Aug-02 2.45% 4,692,674.00 28,326.00 2.45% 4,721,000.00
Nesbitt Burns TDBA 6-Jun-02 6-Sep-02 2.63% 3,352,792.50 22,207.50 2.63% 3,375,000.00
Nesbitt Burns Firstbank Discount Note 17 -Jun-02 16-Sep-02 2.71% 3,284,843.10 22,156.90 2.71% 3,307,000.00
Nesbitt Burns CIBC BA 20-Jun-02 20-Sep-02 2.76% 2,506,584.40 17,415.60 2.76% 2,524,000.00
Nesbitt Burns CIBC BA 25-Jun-02 20-Sep-02 2.72% 3,010,517.10 19,482.90 2.72% 3,030,000.00
TOTAL SHORT TERM INVESTMENTS 20,041,068.84 128,931.16 20,170,000.00
LONG TERM INVESTMENTS
General & R.F.lnvestments
Nesbitt Burns Export Development Corp. 7-May-01 1-May-08 5.15% 2,001,693.15 May 1 & Nov. 1 5.15% 2,000,000.00
Nesbitt Burns Farm Credit Corp. 22-Jun-01 22-Jun-11 5.25% 250,000.00 Jun. 22 & Dec. 22 5.25% 250,000.00
Nesbitt Burns Export Development Corp. 26-0ct-01 22-0ct-09 4.25% 400,000.00 Oct. 22 & Apr. 22 4.25% 400,000.00
Nesbitt Burns Province of Ontario Note 6-May-02 6-May-09 4.62% 100,000.00 6th of each month 4.62% 100,000.00
SUB TOTAL 2,751,693.15 2,750,000.00
Gananoque,Town of Wood Gundy Safekeeping Dec-10-92 Dec-10-02 8.750% 166,000.00 Jun.10 Dec.10 8.75% 166,000.00
Kempville, Town of Wood Gundy Safekeeping Feb-1-93 Feb-O 1-03 8.875% 35,000.00 Feb.01 Aug.01 8.875% 35,000.00
Tay, Township of Wood Gundy Safekeeping Dec-15-92 Dec-15-02 8.875% 96,000.00 Jun.15 Dec.15 8.875% 96,000.00
SUB TOTAL 297,000.00 96,000.00
TOTAL LONG TERM INVESTMENTS 3,048,693.15 2,846,000.00
TOTAL INVESTMENTS 23,089,761.99 23,016,000.00
Internal Investments to Capital Projects Term: 5 - 10 years Yield: 5.3 - 5.8% $7,072,163.00
City of Pickering
Outstanding Investments
for the month of June, 2002 CJ:)
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CF June 2002SECURITIES
City of Pickering
Development Charges Collected
for six months ending June 30, 2002
Durham District Durham Catholic
City's Portion Region of Durham School Board School Board Total
$ $ $ $ $
AMOUNT COLLECTED
January 136,887 42,136 8,166 19,036 206,226
February 14,236 20,284 2,722 1 ,446 38,688
March 163,714 142,294 31 ,303 16,629 353,940
April 417,667 79,094 85,743 45,965 628,469
May 42,515 33,393 6,805 3,615 86,328
June 198,548 154,367 29,942 22,833 405,690
TOTAL 973,567 471,568 164,681 109,524 1,719,340
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ATTACHMENT#...á:.. TO REPORT#~..) 0 -().À
91
City of Pickering
Other Development Contributions
For six months ending June 30, 2002
CONTRIBUTIONS:
Cash - In - Lieu of Parkland $70,427
TOTAL CASH-IN-LiEU OF PARKLAND $70,427
CF June 200210ther Dev.Contrbtns