HomeMy WebLinkAboutFIN 13-18PJCKE RiNG
Report to
Executive Committee
Report Number: FIN 13-18
Date: June 18, 2018
From: Stan Karwowski
Director, Finance & Treasurer
Subject: Development Charges Reserve Fund — Statement of the Treasurer for the
Year Ended December 31, 2017
Recommendation:
That Report FIN 13-18 of the Director, Finance & Treasurer respecting the Development
Charges Reserve Fund be received for information.
Executive Summary: Section 43 of the Development Charges Act, 1997 (the "Act")
requires that the Treasurer provides Council with a financial statement relating to the
development charges by-law and reserve fund established for each service as
established under Section 33 of the Act.
On December 3, 2015, the Province passed Bill 73 which amended the Act to add
additional reporting requirements. The Treasurer's Statement attached to this report
has been expanded to comply with the new reporting requirements.
Attachment 1 provides details of the activity of the Development Charges Reserve Fund
for the year ended December 31, 2017 in the manner prescribed by section 43(2)(a) of
the Act. Attachment 2 provides details on information related to assets funded by the
development charges by-law as stipulated by section 43(2) (b) of the amended Act.
The amended Act introduced a new section: 43(2.1), which now requires Council to
ensure that the Statement is made available to the public. The Statement will be posted
on the City's website to facilitate compliance with the amendment.
Financial Implications: Starting from 2011, and continuing into 2017, new
development in the Duffin Heights neighbourhood has resulted in a spike in
development charges revenues. The new development in the Seaton lands has also
contributed to the increase in development charges collected in 2017.
The Reserve Fund remains at a healthy balance of approximately $48.1 million pending
future use of funds for qualified projects. The funds are well managed with investment
returns consistently exceeding market indicators. Investment income is added to the
balance of each fund as such income is earned.
FIN 13-18 June 18, 2018
Subject: Development Charges Reserve Fund -- Statement of the Page 2
Treasurer for the Year Ended December 31, 2017
Discussion: Funds are not transferred out of the Development Charges Reserve
Fund for projects until the funds are actually needed, as required by applicable
accounting rules. This ensures that the Reserve Fund continues to earn interest
income on the unspent monies until such time as actual expenses are incurred.
The total Reserve Fund balance of $48.1 million represented in Attachment 1
represents the unspent monies as at December 31, 2017. Please note that there are
approximately $18.3 million of committed capital projects that have been approved in
prior years, but have not proceeded or are still ongoing as at December 31, 2017.
Taking into account these commitments, the net fund balance available for future
expenditures is approximately $29.7 million.
The construction of the new Operations Centre (approved in 2017) represents 50% of
committed capital projects amount of $18.3 million.
In order to meet the new requirement under section 43(2.1) of the amended Act, it is
recommended that the Statement be placed on the City's website upon approval by
Council.
Attachments:
1. 2017 Statement of the Treasurer — Development Charges Reserve Fund
2. Amount Transferred to Assets — Capital & Current Funds Transactions
Prepared By:
Caryn Kong, CPA, CGA
Senior Financial Analyst — Capital &
Debt Management
Approved/Endorsed By:
Stan Karwowski, CPA, CMA, MBA
Director, Finance & Treasurer
Recommended for the consideration
of Pickering City Council
Tony Prevedel, P.Eng.
Chief Administrative Officer
1141 .4, tote)
City of Pickering
2017 Statement of the Treasurer - Development Charges Reserve Fund
DC Act S 43 (2)(a)
Description
Services to which the Developemnt Charges Relates
100% Recovery (Non -Discounted)
10% Statutory Deduction (Discounted)
Fire Services
(Deficit)*
Roads &
Related
Operations
Services
(Deficit)
Storm Water
Mgmt
Studies
(Deficit)
Parkland Dev Recreation
& Trail Facilities
Library:
Facilities &
Materials
Total
$
$
$
$
$
$
$
$
$
Opening Balance, January 1, 2017
1,057,624
21,939,539
210,797
2,670,648
(29,873)
5,419,851
9,566,196
2,483,323
43,318,105
Plus:
Development Charges Collections
296,648
1,623,161
273,499
191,310
89,727
791,755
1,649,054
396,590
5,311,744
Interest Income -Internal Investments
1,971
40,888
393
4,977
(56)
10,101
17,828
4,628
80,730
Interest Income -External Investments
14,682
304,566
2,926
37,074
(415)
75,239
132,798
34,474
601,344
Less Admin Fee
(1,147)
(23,801)
(229)
(2,897)
32
(5,880)
(10,378)
(2,694)
(46,994)
Sub -Total
312,154
1,944,814
276,589
230,464
89,288
871,215
1,789,302
432,998
5,946,824
Less:
Amount Transferred to Capital Funds 1
(199,275)
(481,435)
(119,442)
(77,697)
-
(552)
(28,595)
-
(906,996)
Amount Transferred to Current Funds 1
--
-
-
(257,348)
-
-
-
(257,348)
Sub -Total
(199,275)
(481,435)
(119,442)
(77,697)
(257,348)
(552)
(28,595)
-
(1,164,344)
Closing Balance, December 31, 2017
before Budget Commitments
1,170,503
23,402,918
367,944
2,823,415
(197,933)
6,290,514
11,326,903
2,916,321
48,100,585
Less Budget Commitments 2
(1,342,616)
(4,748,061)
(9,907,000)
. (1,449,972)
(397,524)
(432,725)
(114,543)
- (18,392,441)
Closing Balance, December 31, 2017
after Budget Commitments
(172,113)
18,654,857
(9,539,056)
1,373,443
(595,457)
5,857,789
11,212,360
2,916,321 29,708,144
1, See Attachment 2 for details
2. Budget commitments include capital projects previously approved, but have not proceeded or still ongoing.
The Information contained in the 2016 Development Charges Reserve Fund Statement is in compliance with Section 59.1(1) of the Development Charges Act, 1997, as amended.
* The deficit position in the Fire Services, Roads & Related, and Admin Studies service categories will be addressed in the next DC Study.
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City of Pickering
Amount Transferred to Assets - Capital & Current Fund Transactions
For the Year Ended December 31, 2017
DC Act S 43 (2)(b)
Project ongoing. Future funding for incomplete component. DC RF will be drawn when expenses are incurred.
'Debt undertaken by the City on behalf of the Pickering Soccer Club.
#!N3WHDV
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DC Recoverable Cost Share
Non - DC Recoverable Cost Share
Description
Project
Code
Gross
Capital
Costs
DC RF:
Funded in
prior year
DC RF:
Funded in
2017
DC RF:
Future
Funding 1
Other
Reserves/
Reserve
Funds
Type of Funds
(R=Reserve,
RF=Reserve
Fund)
Property
Taxes
Other
Sources
Type
Total
Funding
Development Related Studies
Development Charges Study 2017 1920.2127.
86,468
0 86,468 0
- -
86,468
Phase 2 South Pickering Intensificatiot 1920.2611.
223,399
0 17,700 145,381
60,318
223,399
Integrated Transportation Master Plan 1920.2290.
348,925
0 62,856 251,176
34,892
348,925
Facility Asset Management Plan 1920.2711.
97,947
66,591 6,870 0
24,487
97,947
Recreation Services Master Plan 1920.2711.
124,127
9,642 83,453 0
31,032
124,127
Fire Protection
New Fire Hall Seaton -Site Preparation 5340.1601.
430,000
74,946 1,836 342,468
10,750 R -City's Share
430,000
New Fire Hal Seaton - Design 5340.1602.
356,500
0 197,440 150,147
8,913 R -City's Share
356,500
Transportation
ES 2000 RO-10 Sidewalk & Streetlight 5321.0016.
21,282
0 5,763 0
15,520 Loan 10 -Yr
21,282
5321.1002+10
DH -7 and DH -8 Zents Drive Oversizinc 03+1704
286,150
165,077 92,457 0
28,616 R -City's Share
286,150
DH -11 Duffin Heights - North Collector 5321.1201.
125,600
0 29,460 83,580
12,560 R -City's Share
125,600
Park Crescent (Sandcastle Court to CI 5321.1303.
1,000,900
358,750 31,991 109,709
500,450 R -City's Share
1,000,900
BI -15 Squires Beach Road - Intersectio 5321.1607.
607,369
265,835 84,562 105,130
151,842 R -City's Share
607,369
RU -13 Salem Road - Road Reconstruc 5321.1608.
2,200,000
7,563 2,384 1,090,053
1,100,000 Debt 10 -Yr
2,200,000
B-29 Sandy Beach Road - EA, Design 5321.1609.
675,000
0 53,892 283,608
37,500 R-AIP 300,000 Loan 10- Yr
675,000
Kingston Rd. & Brock Rd. Streetlights .5321.1603.
979,500
0 162,060 312,690
354,750 R -City's Share 150,000 Prov Budget Gra
979,500
Walnut Lane Extension Study & EA an 5321.1703.
461,226
0 18,867 327,052
115,307 R -City's Share
461,226
Stormwater Management
B-15 Krosno Creek - Erosion Control 0 5321.1205.
310,345
27,427 27,841 31,859
223,218 R -City's Share
310,345
Browning Avenue Storm Sewer Replac 5410.1102.
244,079
0 4,939 0
74,644 RF-FGT 164,497 Debt 5 -Yr
244,080
York SEC &
Pine Creek Outfall & Channel - Recon; 5410.1501.
1,046,534
0 44,918 48,117
396,624 R -City's Share 556,875 Prov IOA Grant
1,046,534
Operations Facility & Vehicles
Sidewalk Plow with Attachments 5311.1703.
132,713
0 119,442 0
13,271 R -City's Share
132,713
Parks Dev & Indoor Facilities
Duffin Heights - Village Green (West) ( 5780.1419.
197,261
173,038 552 0
23,671 RF -Parkland
197,261
Indoor Soccer Facility and Land -
Design & Construction 5719.1401.
7,296,605
3,340,991 28,595 114,543
78,375 R-DCs City's Sha 101 3,734,000 Debt 15-Yr2
7,296,605
Grand Total -
17,251,931
4,489,860 1,164,344 3,395,514
2,030,491 150,829 6,020,891
17,251,931
Project ongoing. Future funding for incomplete component. DC RF will be drawn when expenses are incurred.
'Debt undertaken by the City on behalf of the Pickering Soccer Club.
#!N3WHDV
#flJOd3 01