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HomeMy WebLinkAboutDecember 15, 2003 Council Meeting Agenda Monday, December 15, 2003 (I) ADOPTION OF MINUTES Regular Meeting of December 1, 2003 Special Meeting of December 8, 2003 (11) PRESENTATION Mayor Ryan will present City pins and the City flag to the coaches and players of the Pickering Hockey Association Minor Midget A team and the Major Bantam A team who will be going to Europe this winter to play in a tournament. (111) DELEGATIONS Pat Dunnill, representing the Museum Advisory Committee, will address Council with respect to the Museum. Rob Taylor, representing OVERT, will address Council to provide an overview of the activities and mandate of his organization. (IV) RESOLUTIONS PAGE To adopt the Planning Committee Report dated December 8, 2003. 1-4 2. To adopt the Committee of the Whole Report dated December 8, 5-7 2003. 3. To consider Report OES 42-03 concerning the Supply & Delivery of 8-15 5-Ton Truck. 4. To consider Report CS 43-03 concerning the Formal Quotations - 16-20 Quarterly Report for Information. 5. To consider Report CS 44-03 concerning the Cash Position Report 21-28 as at September 30, 2003. -1- Council Meeting Agenda Monday, December 15, 2003 6. To consider Report CS 45-03 concerning Section 357/358 of the 29-32 Municipal Act - Adjustment to Taxes. 7. To consider Report CS 46-03 concerning Section 357/358 of the 33-36 Municipal Act - Adjustment to Taxes - Public Works Canada 8. To consider Report CS 47-03 concerning 2004 Interim Spending 37-41 Authority. 9. To consider Report CS 48-03 concerning 2004 Temporary 42-45 Borrowing By-law. (V) BY-LAWS By-law Number 6210/03 Being a by-law to authorize the temporary borrowing of moneys to meet the current and capital expenditures of the City of Pickering for the year 2004. By-Law Number 6212/03 Being a by-law to dedicate Lot 112A, Registrar's Compiled Plan 1051, Pickering and Blocks 22, 24, 25 and 26, Plan 40M-2155, Pickering, as public highways. By-law Number 6213/03 Being a by-law to exempt Block 1, Plan 40M-2177, Pickering from part lot control. By-law Number 6214/03 Being a by-law to amend By-law Number 5999/02 to provide remuneration and benefits for Members of Council. 46-47 48-50 51-53 54-55 2 Council Meeting Agenda Monday, December 15, 2003 (VI) 1. NOTICE OF MOTION Moved by Councillor McLean Seconded by Councillor ^she 56 -57 WHEREAS the Pickering Museum Village is a recognized and invaluable historical and educational resource to the community, and delivers heritage learning programs to over 15,000 students annually; and WHEREAS the public programs undertaken at the museum are made possible through the enthusiastic participation of a dedicated group of volunteers, local community organizations, service clubs and businesses; and WHEREAS the Brougham Central Hotel at the Pickering Museum Village currently houses public and staff facilities essential to the operation of programs; and WHEREAS the Brougham Central Hotel is planned for relocation and restoration to a Temperance Hotel as the next joint undertaking by the City and the Pickering Museum Village Foundation, a project which was supported by Council under Resolution #99/02; and WHEREAS, in conjunction with the Hotel restoration, it will be necessary to provide kitchen, meeting, public washrooms and storage space in support of the day to day teaching and maintenance activities at the Village; and WHEREAS significant expenditures have been undertaken to date by the Pickering Museum Village Foundation in site preparation and consulting towards the Hotel restoration project; and WHEREAS the Foundation has committed to fully funding the relocation and restoration of the Hotel at a cost of approximately $500,000, contingent on the provision of a program operations centre; and WHEREAS Council authorized staff to negotiate the acquisition of a suitable at- risk heritage building on Federal lands in order to establish a new operations centre in the Pickering Museum Village; and -3- Council Meeting Agenda Monday, December 15, 2003 WHEREAS the assessment of buildings located on Federal lands undertaken by heritage preservation consultants retained by the Pickering Museum Village Foundation recommended that the Winger House, currently unused, be relocated to the Village, preserved and adapted for use as an operations centre; and WHEREAS Federal Government policies require that its buildings be disposed of in a manner that protects their heritage character, and in the event this building is not relocated it will be demolished; NOW THEREFORE the Council of the Corporation of the City of Pickering formally requests that the Federal Government enable and contribute to the preservation of an example of the community's heritage, through the donation and relocation of the Winger House to the Pickering Museum Village; and FURTHER THAT copies of this resolution be forwarded to: · Federal Minister of Public Works and Government Services · Dan McTeague, MP, Pickering-Ajax-Uxbridge Moved by Councillor Holland Motion regarding 2004 purchase separate cover. of one defibrillator to be circulated under (VII) OTHER BUSINESS (VIII) CONFIRMATION BY-LAW {IX) ADJOURNMENT -4- RESOLUTION OF COUNCIL DATE MOVED BY SECONDED BY That the Planning Committee Report dated December 8, 2003, be adopted. CARRIED: MAYOR Appendix I Planning Committee Report PC 2003-9 That the Planning Committee of the City of Pickering having met on December 8, 2003 presents its ninth report to Council: PLANNING & DEVELOPMENT REPORT PD 43-03 REQUEST TO DEVELOP LANDS BY LAND SEVERANCE 2030606 ONTARIO INC. 526 ROSEBANK ROAD That the request made by 2030606 Ontario Inc., be APPROVED, to permit the division of the land, being Lot 88, Plan 350 (municipally known as 526 Rosebank Road) by land severance rather than a plan of subdivision, subject to the lotting pattern being consistent with the lotting pattern of the draft approved plan of subdivision 18T-86015. PLANNING & DEVELOPMENT REPORT PD 40-03 DURHAM REGION TRANSPORTATION MASTER PLAN CITY OF PICKERING COMMENTS ON RECOMMENDED PLAN That the comments contained in Report PD 40-03 of the Director, Planning & Development and the Director, Operations & Emergency Services, be ENDORSED as the City's comments on the Durham Region Transportation Master Plan: Recommended Plan - October 2003; and That Regional Council be requested to AMEND the recommended Transportation Master Plan, prior to the Plan's approval, as follows: * on Figure 16 - Proposed Regional Road Expansion Projects (2004 - 2021), which identifies road projects to be funded and constructed by the Region of Durham up to 2021; , add two north-south arterial roads connecting Taunton Road with the proposed Highway 407 interchanges (which are not located at North Road and Sideline 24) and Highway 7; · delete the eastedy diversion and separate bridge crossing of West Duffins Creek for Whites Road, and replace it with a widening of the current Whites Road alignment to Taunton Road and an expansion to the current capacity of the Taunton Road bridge; - update any related text and appendices as required; and -3- PICKEI XIG Appendix I Planning Committee Report PC 2003-9 6 That Regional Council be advised that Pickering Council reaffirms its opposition to the designation of Dixie Road as a Type B arterial road, and that Regional Council be requested to AMEND the recommended Transportation Master Plan, prior to the Plan's approval, as follows: . on Figure 13.2 - Freeway and Arterial Road Network, which shows the ultimate road network, to change the designation of Dixie Road from a Type B arterial to a Type C arterial road, . and update any related text or appendices as required. That Regional Council be requested to AMEND the recommended Transportation Master Plan, prior to the Plan's approval, as follows: · technical changes on Figure 16 - Proposed Regional Road Expansion Projects (2004 - 2021), including; · a more easterly realignment of the Brock Road by-pass of Brougham to be consistent with the alignment identified in the draft Environmental Assessment; and, · a more easterly realignment of the Westney Road by-pass of Greenwood consistent with the Pickering Official Plan; · technical changes on Figure 13.2 - Freeway and Arterial Road Network, which shows the ultimate road network, including; · a more northerly alignment of the east-west Type C arterial crossing Brock Road within the Duffin Heights Neighbourhood, to be consistent with refinements in the approval of revision 1 to modification 1 to the Pickering Official Plan; and, · adjustment northerly of the shading used to identify urban areas to follow the St. Lawrence & Hudson (formerly C.P. Belleville) rail line west of Whites Road, to be consistent with Figure 16 and the current urban area boundary in the Durham Regional Official Plan; That Regional Council be requested to ADDRESS funding for the north-south arterial roads to be added to the Plan; and That the Director, Planning & Development be directed to APPEAL the Regional Road Improvement Projects described in the Recommended Durham Region Transportation Master Plan dated October 2003, to the Minister of the Environment; and that the letter of appeal advise the Minister of the City's significant concerns regarding the Transportation Master Plan that have been raised with Regional staff but to date have not been resolved to the City's satisfaction; and that the appeal letter be forwarded to the 4 Appendix I Planning Committee Report PC 2003-9 Minister of the Environment by December 10, 2003, and copied to the Regional Clerk. That the City Clerk FORWARD a copy of Report PD 40-03 and Planning Committee's decision the day after the Planning Committee meeting in order to meet the Region's December 10 deadline for comments, and subsequently, ADVISE the Region of Durham Council of Pickering Council's decision the day after the City Council meeting in light of the Region's December 17, 2003, Committee of the Whole and Council meeting. PLANNING & DEVELOPMENT REPORT PD 41-03 WATERSHED PLANNING INITIATIVES That Report PD 41-03 concerning the TRCA's Watershed Planning Initiatives be RECEIVED for information. That Report PD 41-03 of the Director, Planning & Development be ENDORSED as the City's comments on the TRCA's Watershed Planning Initiatives; and That a copy of Report PD 41-03 be FORWARDED to the Toronto and Region Conservation Authority and to the Region of Durham for their information. -5- 05 RESOLUTION OF COUNCIL DATE MOVED BY SECONDED BY That the Committee of the Whole Report dated December 8, 2003, be adopted. CARRIED: MAYOR Appendix I Committee of the Whole Report COW 2003-10 That the Committee of the Whole of the City of Picketing having met on December 8, 2003, presents its tenth report to Council and recommends: CLERK'S REPORT CL 29-03 APPLICATION FOR VARIANCE FROM SIGN BY-LAW That the application dated November 3, 2003 submitted by John Byberg for a variance to By-law 2439/87 (Signs) to permit a billboard sign on the south side of Highway #7 immediately west of the east intersection of Highway #7 and Concession 6 Road BE REFUSED. REPORT OF THE MUSEUM ADVISORY COMMITTEE YEARS 2001-2003 That the Report of the Pickering Museum Village Advisory Committee dated October 31, 2003 providing an overview of the activities of the Committee during the years 2001-2003 be received. CLERK'S REPORT CL 30-03 COUNCIL REMUNERATION MINOR AMENDMENTS 1. That Clerk's Report CL 30-03 respecting Council Remuneration and Communications Policy be received; and That the draft by-law to implement the amendments with respect to remuneration, per diem payments and life insurance be forwarded to Council for enactment. That Resolution #97/02, Item #2, to establish a Communications Policy be amended by deleting Section 8(b) and substituting therefore the following: 8(b) The City will cover the cost of preparing, printing and mailing newsletters, neighbourhood letters and cooperative letters as well as the cost of creating and maintaining a website. A budget per Councillor of $7,500 for the first calendar year, $7,500 for the second calendar year and $6,000 for the final calendar year of a term will be provided for these -5- Appendix I Committee of the Whole Report COW 2003-10 q7 items. If the budget is under spent in any given year, there wilt be no carry-forward of dollars to subsequent budgets. PROCLAMATION RACING AGAINST DRUGS, DURHAM WEEK- MAY 2-7, 2004 That Mayor Ryan be authorized to proclaim the week of May 2-7, 2004 as Racing Against Drugs Durham Week. -6- 05 RESOLUTION OF COUNCIL DATE MOVED BY SECONDED BY That Report OES 42-03 regarding the supply and delivery of a 5-Ton Tandem Dump Truck, be received; and That Quotation No. Q-36-2003 submitted by Scarborough Truck Centre for the supply and delivery of a 5-Ton Tandem Dump Truck in the amount of $184,705.00, plus applicable taxes (Total $212,410.75) resulting in a net cost of $205,022.92 be accepted; and The total funding of $205,023.00, be approved; and That Council authorize the Director, Corporate Services & Treasurer to finance the purchase through the issuance of debt through the Region of Durham; and a. Debt financing not exceed the amount of $205,000 for a period not exceeding five (5) years, at a rate to be determined; b. Financing and repayment charges in the amount of approximately $45,900 be included in the annual Current Budget for the City of Pickering commencing in 2004 and continuing thereafter until the loan is repaid; c. The remaining balance of $23.00 be funded from the 2003 Current Budget; d. The Director, Corporate Services & Treasurer has certified that this loan and the repayment thereof falls within the City's Debt and Financial Obligations approved Annual Repayment Limit for debt and other financial obligations for 2003, as established by the Province for municipalities in Ontario; e. The Treasurer be authorized to take any actions necessary in order to effect the foregoing; and Staff at the City of Pickering be given the authority to give effect thereto. 09 CARRIED: MAYOR JI_0 REPORT TO COUNCIL Report Number: OES 42-03 Date: December 4, 2003 From: Richard W. Holborn, P. Eng. Division Head Municipal Property & Engineering Subject: Supply & Delivery of 5-Ton Truck Q-36-2003 Recommendation: That Report OES 42-03 regarding the supply and delivery of a 5-Ton Tandem Dump Truck be received; and That Quotation No. Q-36-2003 submitted by Scarborough Truck Centre for the supply and delivery of a 5-Ton Tandem Dump Truck in the amount of $184,705.00, plus applicable taxes (Total $212,410.75) resulting in a net cost of $205,022.92 be accepted; and The total funding of $205,023.00, be approved; and That Council authorize the Director, Corporate Services & Treasurer to finance the purchase through the issuance of debt through the Region of Durham; and a. Debt financing not exceed the amount of $205,000 for a period not exceeding five (5) years, at a rate to be determined; b. Financing and repayment charges in the amount of approximately $45,900 be included in the annual Current Budget for the City of Pickering commencing in 2004 and continuing thereafter until the loan is repaid; c. The remaining balance of $23.00 be funded from the 2003 Current Budget; d. The Director, Corporate Services & Treasurer has certified that this loan and the repayment thereof falls within the City's Debt and Financial Obligations approved Annual Repayment Limit for debt and other financial obligations for 2003, as established by the Province for municipalities in Ontario; e. The Treasurer be authorized to take any actions necessary in order to effect the foregoing; and, 5. Staff at the City of Pickering be given the authority to give effect thereto. Report OES 42-03 Subject: Supply and Delivery of 5-Ton Truck Q-36-2003 Date: December 4, 2003 Page 2 1.1. Executive Summary: Operations & Emergency Services undertook an operational review of its winter control response in the spring of 2003. One of the recommendations from the review was to increase the City's fleet compliment by one piece of heavy equipment to service the increasing demand for service in central and north Pickering. Based on this exercise, the City's Supply & Services Section was requested to procure a 5-ton tandem axle dump truck and defer the approved replacement of a 1993 single axle truck to 2004. In order to purchase the larger truck to service central and north Pickering, additional debt financing will be required. Financial Implications: In the 2003 Roads Capital Budget, the replacement of a 4- ton truck was approved with a budget of $140,000 under account number 2320-6157, project code 03-2320-001-00. The funding was approved as debt not to exceed five (5) years. The purchase of a 5-ton truck with attachments as per Q-36-2003 requires $205,023. The additional funds required over the $140,000 in the 2003 Capital Budget of $65,023, will be made available by issuing additional debt. Background: Effective winter control is an essential competency of progressive cities. To undertake the tasks associated with winter storm management, it is essential that municipalities have the right tools, processes and people to respond efficiently. After the severe winter events that gripped most of southern Ontario in the early part of 2003, the City's Chief Administrative Officer requested a review of the City's winter control operations. The result of the review led to the development of several new business norms and communication protocols for Municipal Operations. The review also revealed a shortage of equipment needed to respond to the service requirements of central and north Pickering residents and recommended opportunities that would not adversely affect future Capital budgets. One of the key observations from the review was the extraordinary infiltration of traffic on the City of Pickering's rural road system. One of the primary contributors of the demand is generated from 407 clients creating more traffic moving through the Pickering rural road system. Another observation is related to the service expectation of residents living in rural Pickering. Generally they feel that the City's response to an event should be equal to the response received in urban Pickering. This also applies to road maintenance in general. With these observations in mind, and the genuine need to respond, Operations & Emergency Services looked at its current inventory of equipment, processes and human resources. What was discovered was that the inventory of heavier equipment used to plow, sand and salt roads had actually decreased over the past 10 years. 12 Report OES 42-03 Subject: Supply and Delivery of 5-Ton Truck Q-36-2003 Date: December 4, 2003 Page 3 Another finding was that a 4-ton truck, scheduled for replacement in 2003 could, according to Fleet Operations, serve an additional year without adversely affecting operating costs or potential trade-in value. The recommendation was made to seek a larger piece of equipment using funds "earmarked" for the replacement of a smaller piece in order to fulfill a demonstrated need for rural Pickering. This acquisition would augment the City's fleet by one larger truck and would also prove advantageous in the spring and summer months for ditching and gravel resurfacing operations. Since it had been more that six years since the City of Pickering purchased a 5-ton tandem dump truck, staff in MP&E contacted other like organizations to investigate current specifications. Fleet Operations also interviewed vendors of equipment to ensure that the City, if it were to make this substantial investment, specified a product that would last many years and serve as a "workhorse" for Municipal Operations. Included in the specifications was a request for vendors to identify units either on the lot or inventory of non-current year models that may be close to the specification provided, however, no such vehicle was available from the lot or from inventory. Quotation No. Q-36-2003 was issued on October 17, 2003. Two addenda resulted in an extension of the closing date to November 14, 2003. Nine (9) companies were invited to participate of which two (2) responded. A copy of memorandum from Corporate Services summarizing the quotation results is attached. The quotation submitted by Scarborough Truck Centre in the total amount of $184,705.00 plus applicable taxes is the Iow quotation and recommended for acceptance. The purchase of a larger truck for winter control purposes translates into a shortfall when considering funding for the acquisition. In the 2003 Capital Budget (6157 Vehicles) $140,000 was approved for the replacement of a 1993 International 4-ton dump truck. A budget shortfall of $65,023 will require additional debt financing in order to purchase this equipment. The unit, if approved will help ensure a more rapid response to winter events for residents and commuters in rural Pickering, increase efficiency of spring and summer ditching operations, help with maintenance of rural road surface maintenance and represent a prudent investment in the City's equipment inventory. The replacement of the 4-ton single axle truck will be requested in the 2004 Capital Budget. Attachments: 1. Memorandum from Corporate Services - Quotation No. Q-36-2003 Report OES 42-03 Subject: Supply and Delivery of 5-Ton Truck Q-36-2003 Date: December 4, 2003 Page 4 ./.3 Prepared / / dent, Mu~ :ipal Operations Approved / Endorsed By: //// E¥ Director, Operations & Emergency Services Di W. Iborn, P. Eng. sion pal Property & Engineering RH/JL:jl Attachments Copy: Chief Administrative Officer I:\COUNC1L\OES42-O3.docDec-03 Gillis Paterson DirectorCorporate Services & Treasurer Recommended for the consideration of Pickering City Council Tho(n~s J. QuidS, Chie[~,~dm~-'i'rff~ative Off, er I November 14, 2003 To: From: Subject: ,~'i '~'ACHHENT#.._.~/,, TOREPORT# 0~',..~ CORPORATE SERVICES DEPARTMENT MEMORANDUM Richard Holborn, Division Head, Municipal Property & Engineering Bob Kuzma Purchasing Analyst Q-36-2003 - Supply & Delivery of a Five Ton Truck Quotations have been received for the above project. Nine (9) companies were invited to participate of which two (2) responded. Copies 'of the quotations are attached for your review along with the summary of costs. Each line item provides a space for the vendor to indicate a "Yes, No, Specify" to provide the city with information and details to subjectively review each line item and the sum total of all specifications. Supplementary Quotation Terms & Conditions Item 8 states where a manufacturer deviates from the quotation specifications, they must indicate "NO" and then specify the changes. The acceptance of these deviations relies solely within the discretion of the User Department/Division. The quotation submitted by Scarborough Truck Centre in the [otal amount of $212,410.75 is the Iow quotation, .subject to further, evaluation of the vehicles conformance to specification. Please advise with your recommendation any reason the Iow bid from Scarborough Truck Centre is not acceptable. Please note that in accordance with Purchasing Policy & Procedures, formal quotations over the amount of $75,000.00 are subject to Council approval. If you require further information or assistance during the evaluation phase of this quotation call, feel free to contact me at extension ~2131. Thank you, /bk Attachments ~:~,"~V~.CHHENT~ ! TOREPORT~OE~) ~:2.-C)3 Subject: Q-36-2003 - Supply & Delivery of Five Ton Truck November 14, 2003 Page 2 'SUMMARY Scarborough Donway Description Truck Centre Sterling ..... inc. TruCks Latest model year 5 ton truck $111,819.00 $183,516.00 chassis and cab All Season Combination Dump 32,835.00 32,825.00 Body/Sander Wing, harness and assembly 7,810.00 7,810.00 Reversible snow plow and 23,521.00 23,521.00 harness Air conditioning tax 100.00 100.00 Electronic Salt Metering 8,620.00 8,620.00 Subtotal $184,705.00 $256,392.00 G.S.T. 12,929.35 17,947.44 G.S.T. Rebate (7,387.83) (10,255.16) P.S.T. 14,776.40 20,511.36 Total $205,022.92 $284,595.64 2003 Capital Budget 140,000.00 140,000.00 Over (Under) $65,022.92 $144,595.64 Royal Woods Ford Lincoln - Unable to bid RESOLUTION OF COUNCIL DATE MOVED BY SECONDED BY That Report CS 43-03 concerning Formal Quotations - Quarterly Report for Information, of the Director, Corporate Services & Treasurer, be received for information. CARRIED: MAYOR PICKERING REPORT TO COUNCIL Report Number: CS 43-03 ,Date: November 26, 2003 17 From: Gillis A. Paterson Director, Corporate Services & Treasurer Subject: Formal Quotations - Quarterly Report for Information Recommendation: It is recommended that report CS 43-03 concerning Formal Quotations - Quarterly Report for information of the Director, Corporate Services & Treasurer be received and forwarded to Council for information. Executive Summary: Council approved the Purchasing By-law on November 5, 2001 which includes a request to have a summary of contract awards arising from the formal quotation process be forwarded to Council as information only on a quarterly basis. Financial Implications: Not applicable Background: In accordance with Purchasing Policy Item 04.06, a summary of contract awards arising from the formal quotation process is provided herein for the information of Council. Formal Quotations Summary July 1,2003 to September 30, 2003 Lump Sum Price Including GST Reference No. Description Vendor Pricing Date Awarded Q-8-2003 1 / 2 Ton Truck Supply and Alex Irvine $27,618.05 July 4, 2003 delivery of one Motors 1/2 ton truck- Fire Services Q-15-2003 Resurface Resurface Court $11,101.25 July 28, 2003 Tennis Courts indoor tennis Contractors Complex courts 2, 3 & 4 at the Pickering Recreation Complex Report CS 43-03 Date: Subject: Formal Quotations - Quarterly Report for Information November 26, 2003 Page 2 Reference No. Description Vendor Pricing Date Awarded Resurface Tennex $19,238.60 July 17, 2003 outdoor tennis Systems courts - Dunmoore Park Q-16-2003 Quotation for Provision of Honeywell Various August 1, Boiler boiler unit pricing2003 Maintenance maintenance per and service location Q-19-2003 Supply & Squash Court & Solar Roofing Area 1.2A - July 10, 2003 Installation of Maintenance & Sheet Metal $36,273.00 Roofing Corridor - Ltd. Pickering Area 2.0 - Recreation $83,246.00 Complex Q-21-2003 School Crossing Provision of Adecco $29,017 August 20, Guard Program school crossing Employment per month 2003 guards Services Ltd. Sept 2003-June 2OO4; Sept 2004-June 2005 Q-23-2003 Bridge Provide bridge Totten Sims $42,800.00 September 16, Conditions condition Hubicki Assoc. 2003 Surveys surveys (4 Bridges) Q-24-2003 Sport Utility Supply of utilityAlex Irvine $27,026.15 September 9, Vehicle vehicle for Motors Limited 2003 -2nd call for Planning & quotations Development Division IFQ-1-2003 Street Print Provision of Taylor Forbes $13,089.85 September 13, Pavement street print Limited 2003 Texturing pavement texturing %279-2003 Cooperative Delivery of Shepstone Unit price July 8, 2003 Tender for sodium chloride Haulage Delivery of Sodium Chloride Report CS 43-03 Date: Subject: Formal Quotations- Quarterly Report for Information November 26, 2003 Page 3 Reference No. Description Vendor Pricing Date Awarded T-283-2003 CooperativeProvision of Miller Paving Unit price July 8, 2003 tender for mixing winter Ltd. Mixing of Winter salt and sand Salt & Sand C518-03 Cooperative Supply and Litemor Various September 3, Tender for delivery of Products unit prices 2003 Lamps & lamps and Ballasts ballasts RFP902 Co-operative Supply of Direct Energy 2na & 3ra July 10, 2003 Proposal natural gas Year Request for -2nd & 3rd year Firm Fixed Direct Purchase price option Unit Price of Natural Gas T-282-2003 Cooperative Supply and Vicdom Sand Unit price September 25, Tender for delivery of & Gravel 2003 Supply and winter sand Delivery of Winter Sand C570-03 Cooperative Provision of Securicor Unit price September 25, Tender for armoured car Cash Services 2003 Armoured Car services Services T-220-00 Cooperative Supply and Tirecraft Various July 16, 2003 Tender for delivery of tiresCommercial unit prices Supply & and tubes - (Ont) Inc. Delivery of Tiresrenewal - Yr 3 and Tubes of 5 year Term Q216-01 Cooperative Provision of Halton Various July 17, 2003 RFP for Testing testing and Inspection unit prices & Inspection of inspection of Services Aerial & Ladder aerial and Devices ladder devices (Fire Services) renewal - Yr 3 of 3 year term CL2003-6 Cooperative Supply and Scugog Signs Various June 18, 2003 Tender for delivery of unit prices Traffic Signs, various traffic Part A, Part B signs Report CS 43-03 Date: Subject: Formal Quotations- Quarterly Report for Information November 26, 2003 Page 4 Attachments: Not applicable Prepared By: Vera A. Felgemacher Manager, Supply & Services Approved / Endorsed By: Gillis A. Paterson Director, Corporate Services & Treasurer Copy: Chief Administrative Officer Recommended for the consideration of Pickering City Co~dncil ~Th~rrT~ ~J. O~/nn, ChiC, J/Administr~Offic~r RESOLUTION OF COUNCIL DATE MOVED BY SECONDED BY That Report CS 44-03 from the Director, Corporate Services & Treasurer, concerning Cash Position Report as at September 30, 2003, be received for information. CARRIED: MAYOR 22 REPORT TO COUNCIL Report Number: CS 44-03 Date: December 3, 2003 From: Gillis A. Paterson Director, Corporate Services & Treasurer Subject: Cash Position Report as at September 30, 2003 Recommendation: It is recommended that Report CS 44-03 from the Director, Corporate Services & Treasurer be received for information. Executive Summary: 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 three months ended September 30, 2003. Financial Implications: The cash position of the Corporation for three months ended September 30, 2003 was a net increase in cash of $2,356,253 to $6,364,016. Sources of Funds totalled $58,778,941 and Use of Funds totalled $56,422,688. 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 third quarter of 2003. Subcategories have been identified to highlight those cash transactions that are significant in nature or large dollar value transactions for the City of Pickering. ~.ontinuity of Taxes Receivable: Attachment 2 summarizes the tax related transactions from July 1 to September 30, 2003 and provides the outstanding taxes receivable as at September 30, 2003 with the exception of Commercial taxes billed in September, but not due until October 15. This balance represents all three levels of taxes billed, such as City, Region and School Boards. Outstandinq Investments: Attachment investments for both the Current Fund September 30, 2003. 3 reflects the short-term and long-term and the Reserve Funds outstanding as at Report CS 44-03 Subject: Cash Position Report as at September 30, 2003 Date: December 3, 2003 Page 2 23 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 $1,958,508 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. Attachments: 2. 3. 4. 5. Statement of Cash Position Continuity of Taxes Receivable Outstanding Investments Statement of Development Charges Collected Other Development Contributions Prepared By: Approved / Endorsed By: Avril Pay~~ Audit Analyst Gillis A. Paterson Director, Corporate Services & Treasurer Attachments Copy: Chief Administrative Officer Recommended for the consideration of Pickering City Council Thd'~s J. Quint/Chief ~dministm~,e.~Officer 24 ATTACHMEN'f# ! TO REPORT# ('~5 ~/,./ ,~ City of Pickering Cash Position Statement for the three months ending September 30, 2003 September, 2003 Sources of Funds: Accounts Receivable collected $ 142,529 Development charges collected 1,958,508 Operating 17,260,260 Grants-in-lieu: Federal 303,667 Provincial Ontario enterprises _ Municipal enterprises 67,635 Linear Properties Federal specific grants 1,460 Ontario specific grants 27,258 Interest Income 278,921 Sale of land Tax payments received 38,738,702 POA Revenue Total $ 58,778,941 Use of Funds: Operating and Capital Expenditures $ 12,050,927 Payroll 6,904,569 Region Levy 24,278,944 Regional portion of Dev. Charges 1,228,037 School Board Levies 9,598,162 School Board portion of Dev. Charges 253,711 APTA Funding 2,108,338 Total $ 56,422,688 Net Cash Increase (Decrease) $ 2,356,253 FINANCIAL POSITION Bank Balance Net Cash Bank Balance July 1, 2003 Provided (Used) Sept. 30, 2003 Current Fund $ 4,007,763 $ 2,356,253 $ 6,364,016 TOTAL $ 4,007,763 $ 2,356,253 $ 6,364,016 Note: Includes City, Region and School Boards Cash Position 3rd quarter 2003.xlsN ET CHANGES ATTACHMENT #_~.._ ~ 0 RE, ORT # ~;~- ~- ~.~ << ~ ~ 0 (1) 0 X ~ I'-- × W r~ IJJ ATTACHMENT #~TO REPORT 000000 000000 000000 0000 0000 0~00 0~ ~000 ~000 0~00 0~ 00~ 0 °1 n,' 0 0 REPORT# ~-o_~ City of Pickering Other Development Contributions For three months ending September 30, 2003 CONTRIBUTIONS: Cash - In - Lieu of Parkland TOTAL CASH-IN-LIEU OF PARKLAND $71,700 $71,700 Cash Position 3rd quarter 2003.xlsOther Dev. Contrbtns RESOLUTION OF COUNCIL DATE MOVED BY SECONDED BY That Report CS 45-03 concerning Section 357/358 of the Municipal Act - Adjustment to Taxes, from the Corporate Services & Treasurer, be received; and That the write-offs of taxes as provided under Section 357/358 of the Municipal Act, 2001 be approved; and That the appropriate officials of the City of Pickering be authorized to take the necessary actions to give effect thereto. CARRIED: MAYOR 3O PICKERING REPO'RT TO COUNCIL Report Number: CS 45-03 Date: November 26,2003 From: Gillis A. Paterson Director, Corporate Services & Treasurer Subject: Section 357/358 of the Municipal Act- Adjustment to Taxes Recommendation: 1. It is recommended that Report CS 45-03 of the Director, Corporate Services & Treasurer be received and that: 2. The write-offs of taxes as provided under Section 357/358 of the Municipal Act, 2001 be approved; and, 3. The appropriate officials of the City of Pickering be authorized to take the necessary action to give effect hereto. Executive Summary: Not Applicable Financial Implications: If approved, the write-off of taxes as contained in this report represents a gross cost of $104,403.43 with a net cost to the City of approximately $21,112.64, the balance being charged back to the Region of Durham and the School Boards. Pickering's share of the costs will be charged to the 2003 Current Budget allocation under General Government - Provision for Uncollectable Taxes. The 2003 budget provision is $316,304 and $85,920.64 including the above has been spent to date. Background: The Municipal Act provides the Treasurer with various tax tools regarding the administration and collection of property taxes. Under the provisions of the new Municipal Act, 2001, as amended, Section 357 of the Act (formerly Section 442) provides for the reduction of taxes due to fire, demolition, exemption, assessment change or error and the tax reduction is applicable to the current year only. Section 358 of the new Municipal Act (formerly Section 443) allows for the reduction of taxes due to assessment error and this section can be applied to property taxes for the two preceding years (2001 & 2002). Change in realty tax class can translate into lower property taxes if the property went from industrial to commercial tax class or commercial to residential tax class. When the City of Pickering acquires property, the property becomes exempt from taxation and Report CS 45-03 Date: November 26, 2003 Subject: Section 357/358 of the Municipal Act- Adjustment to Taxes Page 2 31 therefore, the taxes have to be cancelled, as reflected in the attached report. Demolitions, and other physical changes to a property, such as removing or filling in a swimming pool, or damage caused by fire result in a reduction in assessment and taxes. Attachments: 1. Section 357/358 Adjustment to Taxes Prepared By: GAP:tp Attachment Copy: Chief Administrative Officer Approved / Endorsed By: ~iillis~'A. ~ater~on ' Director, Corporate Services & Treasurer Recommended for the consideration of Pickering City Council Tt1'ef~.s U. O~nn, Chief Ad~]'r~ative Off~cer~ ATTACHMENT #~TO it~PORT #_ ~ ~ '/~'- ~ ~ CITY OF PICKERING SECTION 357/358 ADJUSTMENTS TO TAXES November, 2003 APP # NAME REASON FOR ADJUSTMENT YEAR ROLLNUMBER CITY REGION EDUCATION TOTAL 78/03 Cynthia Samuels& Thomas Rostrick 79/03 Cynthia Samuels& Thomas Rostrlck 101/03 1375379 Ont Ltd & 1566137 Ont Ltd 97/03 City of Pickering 86/03 Hoopp Realty 87/03 Hoopp Realty 86/03 Brigitte LaCourciere Razed by Fire 2002 Razed by Fire 2003 House demolished 2003 Became Exempt 2003 Class Change 2002 Class Change 2003 Razed by Fire 2003 030-020-16503 030-020-16503 01 0-019-28500 020-016-29300 01 0-030-06800 01 0-030-06800 030-004-27500 132.94 31.92 133.06 382.45 9,548.14 10,813.88 70.25 21,112.64 258.72 62.19 259.22 745.09 18,582.37 21,067.31 136.85 41,111.75 132.03 29.87 124.53 1,276.64 13,612.32 26,937.91 65.74 42,179.04 523.69 123.98 516.81 2,404.18 41,742.83 58,819.10 272.84 104,403.43 Note: MPAC is The Municipal Property Assessment Corporation 3,3 RESOLUTION OF COUNCIL DATE MOVED BY SECONDED BY That Report CS 46-03 concerning Section 357/358 of the Municipal Act - Adjustment to Taxes - Public Works Canada, from the Director, Corporate Services Treasurer, be received; and 2. That the write-offs of taxes as provided under Section 357 and 358 of the Municipal Act, R.S.O. 2001, as amended, be approved; and 3. That the appropriate officials of the City of Pickering be authorized to take the necessary actions to give effect thereto. CARRIED: MAYOR 34 REPORT TO COUNCIL Report Number: CS 46-03 Date: November 26, 2003 From: Gillis A. Paterson Director, Corporate Services & Treasurer Subject: Section 357/358 of the Municipal Act- Adjustment to Taxes - Public Works Canada Recommendation: It is recommended that Report CS 46-03 of the Director, Corporate Services be received; and that: The write-offs of taxes as provided under Section 357 and 358 of the Municipal Act, R.S.O. 2001, as amended, be approved; and, The appropriate officials of the City of Pickering be authorized to take the necessary action to give effect hereto. Executive Summary: Not Applicable Financial Implications: The write-off of taxes as reflected in this report pertain to Federal Government properties. For the majority of Government owned properties, the City retains the education portion of the property taxes. If. approved, the write-off of taxes as contained in this report represents a gross cost of $30,518.49 with a net cost to the City of approximately $24,391.51, and the balance being charged back to the Region of Durham. (The education taxes for the Public Works Canada properties will be charged to the City.) Pickering's share of the costs will be charged to the 2003 Current Budget allocation under General Government - Provision for Uncollectable Taxes. The 2003 budget provision is $316,304 and $110,312.15 including the above has been spent to date. Background: The Municipal Act provides the Treasurer with various tax tools regarding the administration and collection of property taxes. Section 357 of the Municipal Act provides for the reduction of taxes due to fire, demolition, exemption, assessment change or error and the tax reduction is applicable to the current year only. Section 358 allows for the reduction of taxes due to assessment error and this section can be applied to property taxes for the two preceding years (2001 & 2002). Report CS 46-03 Date: November 26, 2003 Subject: Section 357/358 of the Municipal Act- Adjustment to Taxes Page 2 - Public Works Canada 35 The properties on the attached document are owned by the Federal Government (Public Works Canada.) Demolition of structures on these properties such as homes and barns has resulted in a reduction in property taxes. MPAC clerical errors are the result of incorrect assessment values being placed on a property at the beginning of the year, or an incorrect assessment value placed on a supplementary assessment notice, issued later in the year. Change in realty tax classification such as commercial to residential will result in lower taxes because the new tax rate is lower than the previous rate. The reduction in property taxes for the Public Works properties are cost shared only between the City and the Region. The Federal Government properties are classifed as a "Payment-in-lieu-of Taxes" or (PIL) properties and the municipality is able to retain the education portion of the property taxes. Therefore, the City's share of the property tax write-off is higher for PIL properties. Attachments: 1. Section 357/358 Adjustment to Taxes Prepared By: GAP:tp Attachment Copy: Chief Administrative Officer Recommended for the consideration of Pickering City Council ,-~h-d'rn-~ts j. ~i, n, Cl~of Ad m,n~a~ice r~~ Approved ! Endorsed By: Gillis ^. Paterson Director, Corporate Services & Treasurer CITY OF PICKERING SECTION 3571358 ADJUSTMENTS TO TAXES November, 2003 APP # NAME REASON FOR ADJUSTME YEAR ROLL NUMBER CITY REGION EDUCATION TOTAL 70~03 Public Works Class Change 2003 030-009-01800 $80.41 $156.66 $669.30 $906.37 68/03 Public Works Class Change 2003 030-001-13500 $173.16 $337.34 $1,441.17 $1,951.67 67103 Public Works Class Change 2003 030-009-22900 $193.20 $376.38 $1,607.92 $2,177.50 66103 Public Works Class Change 2003 030-009-20700 $241.49 $470.48 $2,009.91 $2,721.88 63/03 Public Works Class Change 2003 030-003.14800 $298.42 $58t.37 $2,483.67 $3,363.46 60/03 Public Works Class Change 2003 030-001-39800 $193.20 $376.38 $1,607.92 $2,177.50 59103 Public Works Class Change 2003 030-001-37200 $250.12 $487.28 $2,081.69 $2,819.09 15/03 Public Works House Demolished 2003 030-001.32300 $272.04 $529.99 $254.60 $1,056.63 57103 Public Works Class Change 2003 030-001-26700 $315.86 $615.35 $2,628.81 $3,560.02 56103 Public Works Class Change 2003 030-001.26610 $173.04 $337.13 $1,440.24 $1,950.41 52/03 Public Works Class Change 2003 030-001-06700 $558.89 $1,088.82 $4,651.50 $6,299.21 64/03 Public Works Building Demolished 2003 030-003-21800 $21.48 $41.84 $20.10 $83.42 55/03 Public Works Building Demolished 2003 030-001-14100 $35.80 $69.74 $33.50 $139.04 98/03 Public Works Destroyed by Fire 2003 030-003-12300 $337.87 $658.22 $316.20 $1,312.29 $3,144.98 $6,126.98 $21,246.53 $30,518.49 Note: MPAC is The Municipal Property Assessment Corporation RESOLUTION OF COUNCIL DATE MOVED BY SECONDED BY 1. That Report CS 47-03 concerning 2004 Intedm Spending Authority, from the Director, Corporate Services & Treasurer, be received; and 2. That the 2004 Interim Operating Expenditures be approved at 50% of the prior years' budget including exceptions as contained in Attachment 1, pending approval of the formal 2004 Current Budgets by Council; and That the Treasurer be authorized to transfer to the Ajax Pickering Transit Authority (APTA) a maximum of 50% of APTA (City of Pickering's share) prior years budget, pending approval of the formal APTA 2004 Current Budgets by Council; and 4. That the appropriate City of Pickering officials be authorized to take the necessary actions to give effect thereto. CARRIED: MAYOR 38 PICKERING REPORT TO COUNCIL Report Number: CS 47-03 Date: December 5, 2003 From: Gillis A. Paterson Director, Corporate Services & Treasurer Subject: 2004 Interim Spending Authority Recommendation: 1. That Report CS 47-03 from the Director, Corporate Services & Treasurer be received; and that: the 2004 Interim Operating Expenditures be approved at 50% of the prior years' budget including exceptions as contained in Attachment 1, pending approval of the formal 2004 Current Budgets by Council; the Treasurer be authorized to transfer to the Ajax Pickering Transit Authority (APTA) a maximum of 50% of APTA (City of Pickering's share) prior years budget, pending approval of the formal APTA 2004 Current Budgets by Council; and, 4. the appropriate City of Pickering officials be authorized to take the necessary actions to give effect thereto. Executive Summary: Not applicable Financial Implications: Adoption of interim current operating appropriations does not constitute approval of a formal budget but rather is required to provide funding authorization for the payment of salaries and wages and such other accounts as may be necessary for normal day-to-day operations of the City. At the conclusion of the Budget process, all interim current operating appropriations are nullified and replaced with the detail appropriations as approved by Council. Background: Each year, pending approval by City Council of the annual Operating 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. Report CS 47-03 Subject: 2004 Interim Spending Authority Date: December 5 2003 Page 2 Such authority is in the form of interim current operating appropriations to meet estimated expense requirements of the individual departments, agencies and boards. The 2003 Current Budget was considered by Council in March 2003. Fiscal year 2004 may prove to be as challenging as 2001 to 2003 due mainly to Bill 140 and its impact on taxation. As of 2003, we are still making adjustments to the property taxes affected by re-classification and some of these taxes were paid as far back as 2001. Therefore, we are seeking approval to provide for interim spending authority for up to the first six months of 2004 or when Council approves the 2004 Budget, whichever occurs first. At the conclusion of the budget process, all interim appropriations are nullified and replaced with the detail appropriations as approved by Council. Appropriate adjustments have been made in the departmental appropriations listed as Attachment 1 where the spending patterns indicates that something greater than 6/12's will be necessary for the first six months of 2004 such as snow clearing (Roads). While there is a minor provision for small capital expenditures from current funds, any capital projects proposed prior to the approval of 2004 Capital budget will require specific approval by Council. The Interim Appropriations as listed are based upon the cost centres of the City and being the basis upon which the 2003 Budget was presented and approved. With the transfer of the Public Transit and Specialized Services to the Ajax Pickering Transit Authority (APTA), we continue to exclude this expenditure from the City of Pickering's budget. Instead, the City of Pickering's share of APTA's expenditures is addressed separately in Recommendation 3. Attachments: 1. 2004 Interim Appropriations for Current Budget Operating Expenditures Report CS 47-03 Subject: 2004 Interim Spending Authority Date: December5 2003 Page 3 Prepared By: Caryn ~('~n g Senior Financial Analyst Approved / Endorsed By: Gillis A. Paterson Director, Corporate Services & Treasurer GAP:vw Attachment Copy: Chief Administrative Officer Director, Operations & Emergency Services Director, Planning & Development Chief Executive Officer, Library Recommended for the consideration of Pickering City Council ~horr~s-~. Q~inn, Chief A~ministrab'~..O~ ATTACHMENT N__L_ TO R~?ORT #.~_ x/7_o.f CITY OF PICKERING 2004 INTERIM CURRENT OPERATING APPROPRIATIONS DEPARTMENT 2OO3 BUDGET 2004 (Jan I - June 30) INTERIM APPROPRIATION Animal Control Building Services By-Law C.A.O. Office Civic Complex Clerk Office Community Centres Corp. License, Contracts & Services Corporate Projects and Policy Council Crossing Guards Cult. & Rec. Admin. Customer Care Centre Development Control Don Beer Arena Dunbarton Pool Elections Emergency Operation Control Centre Equipment & Furniture - cap/curr Finance Fire Protection Human Resources Information Technology Legal Services Libraries Mayor Mun. Prop. & Eng. & Admin. Museum Operations & Emerg. Services-Admin. Operations Centre-Municipal Garage Parks Plan & Develop - Admin Planning Print Shop/Mail Room Programs Property Maintenance Records Management Recreation Complex - Arenas Recreation Complex - Central Core Recreation Complex - Pool Roads Safety & Training Senior Citizens Centre Solid Waste Street Lights Supply & Services Various-Gen. Govt. TOTAL APTA $ 268 300 636 300 439 048 313 045 398 679 478 758 433 545 354 715 492 827 431 483 286 000 805 423 129 461 450082 863,442 251,353 235,015 66,999 75,000 1,762,391 8,517,505 542,394 532,662 169,638 3,485,925 159,791 1,174,863 323,219 306,590 702,756 2,036,389 738,111 1,481,776 371,156 1,676,402 312,020 10,000 614,964 1,785,458 620,360 3,406,051 91,109 196,916 1,519,315 482,800 294,533 4,642,691 $ 45,367,260 $ 4,089,726 $ 134,150 318,150 219,524 156,523 199,340 239,379 216,773 177,358 246,414 215,742 143,000 402,712 64,731 225,041 431,721 125,677 117,508 33,500 75,000 881,196 4,258,753 271,197 266,331 84,819 1,742,963 79,896 587,432 161,610 153,295 351,378 1,018,195 369,056 740,888 185,578 838,201 156,010 5,000 307,482 892,729 310,180 2,043,631 45,555 98,458 759,658 241,400 147,267 2,321,346 $ 22,683,630 $ 2,044,863 RESOLUTION OF COUNCIL DATE MOVED BY SECONDED BY = That Report CS 48-03 from the Director, Corporate Services & Treasurer, concerning 2004 Temporary Borrowing By-law, be received; and That the temporary borrowing limit to meet 2004 current expenditures pending receipt of taxes and other revenues be established at $24,000,000 for the period January 1, 2004 to September 30, 2004 inclusive, and $12,000,000 thereafter until December 31, 2004; and That the temporary borrowing limit for capital purposes for 2004 be established at $13,000,000; and That the attached By-law be read three times and passes; and That the appropriate officials of the City of Pickering be authorized to take the necessary actions to give effect thereto. CARRIED: MAYOR REPORT TO COUNCIL Report Number: CS 48-03 Date: December 3, 2003 From: Gillis A. Paterson Director, Corporate Services & Treasurer Subject: 2004 Temporary Borrowing By-law Recommendation: 1. That Report CS 48-03 from the Director, Corporate Services & Treasurer be received; and that: = the temporary borrowing limit to meet 2004 current expenditures pending receipt of taxes and other revenues be established at $24,000,000 for the period January 1, 2004 to September 30, 2004 inclusive, and $12,000,000 thereafter until December 31,2004; 3. the temporary borrowing limit for capital purposes for 2004 be established at $13,000,000; 4. the attached By-law be read three times and passed; and, 5. the appropriate officials of the City of Pickering be authorized to take the necessary actions to give effect thereto. Executive Summary: Not applicable Financial Implications: At this time it is difficult to estimate the interest costs as it is uncertain how much temporary financing may be required and for how long. An estimate will be provided at a later date in the 2004 Current Budget. With internal borrowings being undertaken to the maximum advisable, we will be resorting to external borrowing from the Region in early 2004 for 2003 approved expenditures. For Current purposes, the $23 million limit for 2003 has been increased to $24 million for 2004 and the $11 million has been increased to $12 million. The limit for Capital purposes has been reduced from $16 million for 2003 to $13 million for 2004. This may have to be adjusted once 2004 Capital budget has been approved. Report CS 48-03 Subject: 2004 Temporary Borrowing By-law Date: December 3, 2003 Page 2 Background: The borrowing of funds for current and capital purposes may become necessary during the normal course of operations during 2004. Under the provisions of Section 407 of the Municipal Act, 2001, (the Act), the Council of the City of Pickering may pass a by-law to provide for the temporary borrowing of funds to meet current operating expenditures pending receipt of taxes and.other revenues of the City. Under the Act, the Corporation may also undertake temporary borrowings, under individual project approvals, for capital projects pending permanent financing, including the issuance of debentures by the Region. Current Budget Financing: The amount of such temporary borrowing outstanding at any one time is generally limited by the Act, unless otherwise approved by the Ontario Municipal Board, to 50 per cent of the estimated annual revenues from January 1 to September 30 and to 25 per cent thereafter. Until the current year's estimates are adopted, the limitation may be calculated upon the revenues set forth in the estimates adopted for the next preceding year. Based upon the 2003 estimates of the Corporation, the allowable level of temporary borrowing outstanding under legislation is estimated at $24,000,000 from January 1 to September 30 and $12,000,000 thereafter. The requested $24,000,000 should be sufficient to meet the current expenditures of the City until the levies for 2004 are received. It is hoped that this amount will provide a sufficient level of temporary borrowings taking into account the potential effects of Taxation Legislation and its impact on cash flows. Capital Budget Financing: Borrowing for capital purposes under the Act can only be undertaken on projects approved by Council and will only be undertaken in the event that sufficient funds are not available at the time they are required. Recommendation 3 provides the authority for the Treasurer to obtain additional temporary interim financing (internal or external) for capital projects approved by Council. The $13 million capital borrowing limit would provide sufficient funds to cover the estimated 2004 capital expenditures. Attachments: 1. 2004 Temporary Borrowing By-law Report CS 48-03 Subject: 2004 Temporary Borrowing By-law Date: December 3, 2003 Page 3 Prepared By: Caryn Kong Senior Financial Analyst Attachment Copy: Chief Administrative Officer Approved / Endorsed By: ~i'~ A. Paterson Director, Corporate Services & Treasurer Recommended for the consideration of Pickering City Council The~t"~ J. Quinn~,~hief ,4~min' ' THE CORPORATION OF THE CITY OF PICKERING BY-LAW NO. 6210/03 Being a by-law to authorize the temporary borrowing of moneys to meet the current and capital expenditures of the City of Pickering for the year 2004. WHEREAS Section 407(1) of the Municipal Act, 2001, provides that the Council of the City of Pickering may by by-law authorize the Mayor and Treasurer of the Municipality to borrow from time to time by way of promissory note such sums as the Council may deem necessary to meet, until the taxes for the current year are collected and other revenues are received, the current expenditures of the Municipality for the year, including the amounts required for principal and interest falling due within the year upon any debt of the Municipality, and the sums required by-law to be provided by the Council for any local board of the Municipality; and, WHEREAS Section 407(2) limits the total of such borrowings to not exceed 50 per cent of the estimated annual revenues from January 1,2004 to September 30, 2004 and 25 per cent thereafter; and, WHEREAS it is deemed necessary by the said Council to borrow the sum of twenty four million dollars ($24,000,000) to meet, until the taxes for the current year are received, the current expenditures of the Municipality for the year 2004, including the amounts and sums aforesaid; and, WHEREAS the said sum of twenty four million dollars ($24,000,000) plus any similar borrowings that have not been repaid, is less than 50 per cent of the total amount of the estimated revenues of the Municipality from January 1 to September 30 as set forth in the estimates adopted by the said Council for the year 2003 exclusive of revenues derivable from the sale of assets, borrowings or issues of debentures or from a surplus including arrears of levies and $12,000,000 is less than 25 per cent thereafter; and, WHEREAS the Municipal Act provides that if a municipality has by by-law approved an undertaking to be financed in whole or in part by incurring long-term debt, the council may by by-law authorize temporary borrowing to meet expenditures made in connection with the undertaking; and, WHEREAS it is deemed necessary by the said Council to borrow the sum of thirteen million dollars ($13,000,000) to meet the capital expenditures approved by Council. NOW THEREFORE THE COUNCIL OF THE CORPORATION OF THE CITY OF PICKERING HEREBY ENACTS AS FOLLOWS: The Mayor and Treasurer of the City of Picketing be and they are hereby authorized to borrow from time to time by way of promissory notes a sum or sums not exceeding twenty four million dollars ($24,000,000) to meet, until the levies for the year 2004 are received, the current expenditures of the Municipality for such year, including the amounts required for principal and interest falling due within the year upon any debt of the Municipality for the period January 1, 2004 to September 30, 2004 inclusive and $12,000,000 thereafter until December 31, 2004. The Mayor and Treasurer of the City of Pickering be and they are hereby authorized to borrow from time to time by way of promissory notes a sum or sums not exceeding in all the sum of thirteen million dollars ($13,000,000) to meet the capital expenditures as approved by Council, of the Municipality including the amounts required for principal and interest. Any promissory notes made under the authority of this By-law shall be sealed and signed in accordance with the provisions of the Municipal Act and may be countersigned in writing by the Manager, Accounting Services of the Corporation in accordance with the provisions of the said Act. 4. This By-law shall come into effect on the first day of January 2004. BY-LAW read a first, second and third time and finally passed this 15th day of December, 2003. David Ryan, Mayor Bruce Taylor, Clerk PLANNING & DEVELOPMENT DEPARTMENT MEMORANDUM December 5, 2003 To: From: Subject: Bruce Taylor City Clerk Denise Bye Coordinator, Property & Development Services Request for Road Dedication By-Law - 1441483 Ontario Inc. - Lot 112A, Registrar's Compiled Plan 1051, Pickering (Fairport Road) - Block 22, Plan 40M-2155, Pickering (Fairport Road) - Blocks 24, 25 and 26, Plan 40M-2155, Picketing (Goldenridge Road) File: Roadded.425 On February 25, 2003, the above-noted developer entered into an Agreement with the City for the development of 20 residential lots. Prior to the registration of that Agreement, the City required the conveyance of certain lands for reserve purposes, which reserves were to be dedicated as public highways upon the satisfactory completion of the roads within the Plan. As the conveyances have been made to the City and the developer has now completed the construction of the road works within the Plan to standards sufficient to permit public access, a By-law should be enacted to dedicate them as public highway. Attached hereto is a location map and draft By-law for the consideration of City Council at its meeting scheduled for December 15, 2003. DB:bg Attachments · ~ Denise Bye Copy: Director, Planning & Development Division Head, Municipal Property & Engineering Supervisor, Development Control THE CORPORATION OF THE CITY OF PICKERING BY-LAW NO, 6212/03 Being a By-law to dedicate Lot 112A, Registrar's Compiled Plan 1051, Pickering and Blocks 22, 24, 25 and 26, Plan 40M-2155, Pickering, as public highways. WHEREAS The Corporation of the City of Picketing is the owner of Lot 112A, Registrar's Compiled Plan 1051, Pickering and Blocks 22, 24, 25 and 26, Plan 40M-2155, Pickering and wishes to dedicate them as public highways; NOW THEREFORE, the Council of The Corporation of the City of Pickering HEREBY ENACTS AS FOLLOWS: Lot 112A, Registrar's Compiled Plan 1051, Pickering is hereby dedicated as public highway (Fairport Road). Block 22, Plan 40M-2155, Pickering is hereby dedicated as public highway (Fairport Road). Blocks 24, 25 and 26, Plan 40M-2155, Pickering are hereby dedicated as public highways (Goldenridge Road). BY-LAW read a first, second and third time and finally passed this 15th day of December, 2003. David Ryan, Mayor Bruce Taylor, Clerk 5;) ~INGARDEN CRESCENT --- -- ~o~ L.I 4/ J -- "%% P. ROPERTI ~,., , ,>,, ~ -- ~ '~ -- - ..... c.~.~. "<L c.~.~. City of Pickering Planning & Development Department LOT 112~ BCP 1051 AND PROPERTY DESCRIPTION BLOCKS 2~, 24, 2s, 26 AND LOT ll2A, PLAN OWNER CFEY OF PIOKEFIING DATE DEC. 8~ 2003 DRAWN BY J~ FILE No. FIBBED SCALE 1:5000 CHECKED BY DB FOR DEPARTMENT USE ONLY PN-7 PA- PLANNING & DEVELOPMENT DEPARTMENT MEMORANDUM December 3, 2003 To: Bruce Taylor City Clerk From: Denise Bye Coordinator, Property & Development Services Subject: Part Lot Control By-Law - Marshall Homes (Village) Ltd. - Block 1, Plan 40M-2177 - File: PLC.40M-2177 The above-mentioned land is being developed in accordance with the appropriate Subdivision Agreement and Zoning By-Law in such a manner to allow more than one dwelling unit to be constructed on the Block referred to. Attached hereto is a location map and a draft by-law, enactment of which will exempt this land from the part lot control provisions of the Planning Act, thus permitting transfers of those units into separate ownership. This By-law is attached for the consideration of City Council at its meeting scheduled for December 15, 2003. DB:bg Attachments Denise Bye THE CORPORATION OF THE CITY OF PICKERING BY-LAW NO. Being a By-law to exempt Block 1, Plan 40M-2177, Pickering, from part lot control. WHEREAS pursuant to the provisions of section 50 of the Planning Act, R.S.O. 1990, chapter P.13, the Council of a municipality may by By-law p~:ovide that section 50(5) of the Act does not apply to certain lands within a plan of subdivision designated in the By-law; NOW THEREFORE, the Council of The Corporation of the City of Pickering HEREBY ENACTS AS FOLLOWS: Section 50(5) of the Planning Act, R.S.O. 1990, chapter P.13, does not apply to the land described as follows: Block 1, Plan 40M-2177, Pickering. This By-law shall remain in force and effect for a period of eighteen months from the date of the passing of this By-law and shall expire on June 15, 2005. BY-LAW read a first, second and third time and finally passed this 15th day of December, 2003. David Ryan, Mayor Bruce Taylor, Clerk o w SHEARER I,lr1 ~ > PARK ROAD n.' LAIJE WATERP NT ~ ~ k, DRIVE ~\ ~~ STREii LC ' STREET ~ COL~k % \,~'¢~~ , -~=~ ;;' "VI~IV ~ ~A~ STREET Ci~ of Pickering Planning & Development Depa~ment PROPER~ DESCRIPTION B~OOK ~, ~ OWNER ~ARS~ALL ~O~ES ~Ib~6E} LTB. DATE BEO. S, 2QOS DRAWN BY F~LE No. PABT hOT OO~TBOb SCALE ~:~Q88 CHECKED BY FOR DEPARTMENT USE ONLY P~-S 54 THE CORPORATION OF THE CITY OF PICKERING BY-LAW NO.6214/o3 Being a by-law to amend By-law Number 5999/02 to provide remuneration and benefits for Members of Council. WHEREAS the Council of the Corporation of the City of Picketing enacted By-law Number 5999/02 on June 24, 2002 to provide remuneration and benefits for Members of Council; and WHEREAS at a meeting held on November 17, 2003, Council has requested that certain amendments be made to that By-law; NOW THEREFORE THE COUNCIL OF THE CORPORATION OF THE CITY OF PICKERING HEREBY ENACTS AS FOLLOWS: Section 2(a) of By-law Number 5999/02 is hereby amended by deleting the following: The remuneration payable to the Mayor shall be as follows: First year in office Second consecutive year in office Third and subsequent consecutive years in office $54,000.00 $58,OOO.OO $60,000.00 And substituting therefore the following: The remuneration payable to the Mayor shall be $60,000 per annum. Section 3(a) of By-law Number 5999/02 is hereby amended by deleting the following: The remuneration payable to a Councillor shall be as follows: First year in office Second consecutive year in office Third and subsequent consecutive years in office $22,000.00 $24,000.00 $25,000.00 and substituting therefore the following: The remuneration payable to a Councillor shall be $25,000 per annum. Section 4(a)(iii) of By-law Number 5999/02 is hereby amended by deleting the following: attending a meeting, workshop, seminar or convention authorized by the Mayor, by policy, such as .... and substituting therefore the following attending a meeting, workshop, seminar or convention such as .... CORP0223-07/01 4. By-law Number 5999/02 is hereby amended by adding thereto the following Section: A Life Insurance Policy that is paid by the City of Picketing on behalf of Members of Council in the following amounts: Councillor - $100,000.00 Mayor - $200,000.00 5. Sections 1 and 2 of this By-law shall take effect as of December 1, 2003. BY-LAW read a first, second and third time and finally passed this 15~ day of December, 2003. David Ryan, Mayor Bruce Taylor, Clerk NOTICE OF MOTION DATE: DECEMBER 15, 2003 MOVED BY: COUNCILLOR McLEAN SECONDED BY: COUNCILLOR ASHE WHEREAS the Pickering Museum Village is a recognized and invaluable historical and educational resource to the community, and delivers heritage learning programs to over 15,000 students annually; and WHEREAS the public programs undertaken at the museum are made possible through the enthusiastic participation of a dedicated group of volunteers, local community organizations, service clubs and businesses; and WHEREAS the Brougham Central Hotel at the Pickering Museum Village currently houses public and staff facilities essential to the operation of programs; and WHEREAS the Brougham Central Hotel is planned for relocation and restoration to a Temperance Hotel as the next joint undertaking by the City and the Pickering Museum Village Foundation, a project which was supported by Council under Resolution #99/02; and WHEREAS, in conjunction with the Hotel restoration, it will be necessary to provide kitchen, meeting, public washrooms and storage space in support of the day to day teaching and maintenance activities at the Village; and WHEREAS significant expenditures have been undertaken to date by the Pickering Museum Village Foundation in site preparation and consulting towards the Hotel restoration project; and WHEREAS the Foundation has committed to fully funding the relocation and restoration of the Hotel at a cost of approximately $500,000, contingent on the provision of a program operations centre; and WHEREAS Council authorized staff to negotiate the acquisition of a suitable at- risk heritage building on Federal lands in order to establish a new operations centre in the Pickering Museum Village; and WHEREAS the assessment of buildings located on Federal lands undertaken by heritage preservation consultants retained by the Pickering Museum Village Foundation recommended that the Winger House, currently unused, be relocated to the Village, preserved and adapted for use as an operations centre; and WHEREAS Federal Government policies require that its buildings be disposed of in a manner that protects their heritage character, and in the event this building is not relocated it will be demolished; and NOW THEREFORE the Council of the Corporation of the City of Pickering formally requests that the Federal Government enable and contribute to the preservation of an example of the community's heritage, through the donation and relocation of the Winger House to the Pickering Museum Village; and FURTHER THAT copies of this resolution be forwarded to: · Federal Minister of Public Works and Government Services · Dan McTeague, MP, Pickering-Ajax-Uxbridge 7 CARRIED: Btaylor:Notices of Motion:Winger House MAYOR NOTICE OF MOTION DATE: DECEMBER '15, 2003 MOVED BY: COUNCILLOR HOLLAND SECONDED BY: COUNCILLOR MCLEAN THAT the Council of the Corporation of the City of Pickering hereby gives pre- budget approval for the purchase and installation of a defibrillator at the Don Beer Arena; and FURTHER THAT staff be directed to work in partnership with the Men's Progress Club to have the Club pay for and install a second defibrillator to be available at the Delaney and 'O'Brien ice dnks; and FURTHER THAT the purchase and installation of the referenced defibrillators be undertaken as soon as possible. CARRIED: Btaylor:Notices of Motion:Defibrillators MAYOR