HomeMy WebLinkAboutFIN 22-19Cly of
DICKERING
Report to
Executive Committee
Report Number: FIN 22-19
Date: December 2, 2019
From: Stan Karwowski
Director, Finance & Treasurer
Subject: 2020 Interim Spending Authority
Recommendation:
1. That the 2020 Interim Operating Expenditures be approved at 50 per cent of the
prior year's budget, including adjustments, as contained in Attachment 1, pending
approval of the formal 2020 Current Budget by Council; and
2. That the appropriate City of Pickering officials be authorized to take the necessary
actions as indicated in this report.
Executive Summary: Adoption of the interim current operating spending authority will
provide funding authorization for the payment of salaries, overhead and such other
accounts as may be necessary for the normal day-to-day operations of the City pending
approval of the 2020 Current Budget.
Financial Implications: Adoption of the interim current operating appropriations
does not constitute approval of a formal budget but rather is required to provide funding
authorization at the transitional stage. At the conclusion of the budget process, all
interim current operating appropriations are nullified and replaced with the
appropriations as approved by Council.
Discussion: Each year, pending approval by City Council of the annual Current
Budget, it is necessary to provide expenditure authority respecting the payment of
accounts for the interim period from January 1 until the Budget is adopted by Council.
Such authority is in the form of interim current operating appropriations to meet
estimated expense requirements of the individual departments, agencies and boards.
Staff are seeking approval to provide for interim spending authority for up to the first 6
Report FIN 2219 December 2, 2019
Subject: 2020 Interim Spending Authority Page 2
months of 2020 or when Council approves the 2020 Budget, whichever occurs first. The
Roads cost centre has been adjusted to reflect greater than 6 months of the annual
budget due to the seasonal nature of this cost centre and past spending patterns. This
has been reflected in Attachment 1.
With the requirements of the Public Sector Accounting Board (PSAB) regarding tangible
capital assets being effective since January 1, 2009, small capital items previously
included under the Capital Budget have been gradually transferred to the Current
Budget in the last few years. The 50 per cent interim provision is sufficient to cover this
change.
Under the same PSAB requirements regarding tangible capital assets, library materials
have been deemed capital and included in the Capital Budget starting from 2010. In the
library business, the publishing cycle demands that materials be purchased while they
are "in print". As a result, certain materials must be purchased in a timely manner, and it
is essential for the Library to continue purchasing materials throughout the year. On this
basis, 50 per cent of last's year library capital materials has been included in the interim
appropriations and reflected in Attachment 1.
A minor provision has been included for small capital expenditures from current funds.
Specific capital projects proposed prior to the approval of the 2020 Capital Budget will
require specific approval by Council.
Attachment:
1. 2020 Interim Appropriations for Current Budget Operating Expenditures
Prepared By: ApprovedlEndorsed By:
Caryn Kong, CPA, CGA
Senior Financial Analyst — Capital &
Debt Management
Stan Karwowski, CPA, CMA, MBA
Director, Finance & Treasurer
Report FIN 22-19 December 2, 2019
Subject: 2020 Interim Spending Authority Page 3
Recommended for the consideration
of Pickering City Council
Tony Prevedel, P.Eng.
Chief Administrative Officer
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Attachment #1 to Report # FIN 22-19
City of Pickering
2020 Interim Current Operation Appropriations
Cost Centres
2020 (Jan. 1- June
2019 Approved 30) Interim
Budget Appropriations
2121 Office of the CAO - Admin $1,007,507 $503,754
2129 Customer Care Centre 428,304 214,152
2621 Public Affairs & Corp. Comm. 738,711 369,356
2610 City Development - Admin 709,567 354,784
2611 Planning & Design 3,228,894 1,614,447
2612 Building Services 2,390,440 1,195,220
2620 Strategic Initiatives & Sustainability 930,574 465,287
2630 Committee of Adjustment 10,425 5,213
2743 Heritage Pickering 19,725 9,863
2711 Cult. & Rec. - Admin. 2,646,963 1,323,482
2124 Civic Centre 772,515 386,258
2572 Senior Citizens Centre 555,431 277,716
2712 Programs 2,484,630 1,242,315
2713 Dunbarton Pool 374,915 187,458
2715 Don Beer Arena 1,421,497 710,749
2719 Community Centres 849,886 424,943
2731 Recreation Complex - Central Core 3,384,196 1,692,098
2733 Recreation Complex - Pool 949,400 474,700
2735 Recreation Complex - Arenas 1,077,917 538,959
2744 Museum 1,074,020 537,010
2500 Operations - Admin. 1,123,103 561,552
2132 Property Maintenance 1,109,210 554,605
2315 Fleet Services 1,365,978 682,989
2320 Roads 7,184,110 4,310,466
2718 Parks 4,422,155 2,211,078
2196 Information Technology 2,269,767 1,134,884
2125 Legal Services 806,366 403,183
2122 Clerks Office 578,819 289,410
2191 Records Management & Elections 206,211 103,106
2199 Print Shop/Mail Room 527,826 263,913
2220 By-law 1,250,999 625,500
2293 Animal Services 572,801 286,401
2290 Engineering Services -Admin. 2,299,008 1,149,504
2230 Crossing Guards 358,470 179,235
2613 Water Resources & Development Service 2,369,990 1,184,995
2323 Sidewalks 685,904 342,952
2325 Street Lights 1,009,362 504,681
2127 Finance 3,961,486 1,980,743
2133 Supply & Services 417,955 208,978
2240 Fire Protection 16,382,448 8,191,224
2241 Emergency Operations 163,562 81,781
2139 Human Resources 975,670 487,835
2141 Health & Safety 170,171 85,086
2745 Libraries 5,890,526 2,945,263
Gen Government -Various 25,705,171 11,934,165
Capital -Library Materials 297,000 148,500
Capital -Equipment & Furniture 200,000
TOTAL
$107,159,585 $53,579,793