HomeMy WebLinkAbout2000 Current Budget
2000
CURRENT
BUDGET
F PICKERING
NT BUDGET
TABLE OF CONTENTS
DEPT. #
PAGE #
SUMMARIES
Budget Summary
Revenues - General Government
Revenues - Departmental
Expenditures - General Government
Expenditures - Department
2
3
4
5
GENERAL GOVERNMENT BUDGETS
6
MAYOR & COUNCIL
Mayor
Council
2111
2113
42
45
ADMINISTRATION DEP ARTM ENT
OFFICE OF THE CHIEF ADMINISTRATIVE OFFICER
Chief Administrative Officer
Customer Care Centre
Corporate Pro.jects & Policy
Emergency Operations Control Centre
2121
2129
2192
2241
48
52
55
61
CLERKS
Clerk
Elections
Records Mana~ement
Print Shop/Mail Room
By-La"
Crossing Guards
Animal Control
L.A.CA.C
2122 65
2191 70
2198 72
2199 74
2220 77
2230 83
2293 85
2743 88
2125 91
LEGAL SERVICES
HUMAN RESOURCES
Human Resources
Safety & Training
2139
2141
96
100
CORPORATE SERVICES
Finance
Supply and Services
Information Systems
2127
2133
2196
103
109
113
CITY
F PICKERING
2000 C
NT BUDGET
TABLE OF CONTENTS
DEPT. #
PAGE #
OPERATIONS & EMERGENCY SERVICES
Operations & Emergency Services - Administration
2710 117
2240 121
2132 129
2290 132
2320 139
2325 148
2430 150
2718 152
FIRE SERVICES DIVISION
Fire Services
MUNICIPAL PROPERTY & ENGINEERING DIVISION
Property Maintenance
Municipal Propert~. Engineering & Administration
Roads
Street Lights
Solid Waste
Parks
TRANSPORTATION DIVISION
Public Transit
Specialized Services
Municipal Garage
2350
2360
2315
159
166
172
CULTURE & RECREATION DIVISION
Civic Complex
Senior Citizens Centre
Culture & Recreation - Administration
Programs
Dunbarton Pool
Don Beer Arena
Community Centres
Rereation Complex - Central Core
Recreation Complex - Pool
Recreation Complex - Arenas
Museum
2124
2572
2711
2712
2713
2715
2719
2731
2733
2735
2744
178
183
189
193
199
204
210
215
225
230
236
PLANNING & DEVELOPMENT
Planning & Development - Administration
Planning
Building Services
Development Control
2610
2611
2612
2613
243
249
254
260
1.1 B R.\ R Irs
2745
265
DEPARTMENTAL MISSION STATEMENTS
ORGANIZA TION CHARTS
CITY OF PICKERING
. 2000 .
Budget Financial Position
Revenues
General Government Revenue
Departmental Revenue
peA Revenues
Assessment Growth
Insurance Premium Savings
1999 Surplus
OMERS Savings
Total Revenues
ExDenditures
Departmental Expenditures
General Government Expenditures
Capital Expenditures
Total Expenditures
Revenues Over/(Under) Expenditures
1999 Taxation Revenues
Current Operations To Be Financed
Sources of Funds
Debt Financing of Capital
One Time Transfer from Rate Stabilization Reserve
Proposed Tax Increase
Percentage Increase over 1999 Tax Levy
$5,715,318
9,102,553
350,000
225,205
100,000
110,000
656.000
$35,809,065
3,325,656
5.908.683
$16,259,076
45.043.404
($28,784,328)
21.810.146
($6,974,182)
4,488,088
2.332.094
$154.000
0.71%
CITY OF. PICKERING
;if'
2000
SUMMARY BUDGET f!!Z.2 '
Debt Financing
(2,203,483)
(2,203,483)
INCREASE 2000
DECREASE ~','
$1,770.345 ' ($5.715,318)
(621.922) (9.102.553)
2,663,348 35;809,065
(976.363) 3~326;656'
(188.938) 1,420,595
2,184,605 4,488;088
(350.000) (350.000)
(100,000) I (100;000)
'(65$,()()()
(225,205) (225;2ÓS)
400,000
324,829
(110.000) , (110;000)
$4,770,699 $28.784,328.
(2,284,605) (4,488,088)
(2,332,094) 12,332.094\
$154;000 $21,964146,
1999
1999 Revised
~ ~ ~
General Government Revenue ($6.247,259) ($7,485.663)
Departmental Revenue (8,480,631) (8,480.631)
Departmental Expenditure 31,907,314 33,145,717
General Government Expenditure 4,302,019 4,302,019
Capital
Funded from Current 1,609,533 1,609,533
Funded from Debt 2.303,483 2,303,483
Adiustments
peA Revenues
Insurance Premium Savings
Revised OMERS Savings (656.000) (656,000)
2000 - Assessment Growth
Unconditional Grants (400.000) (400.000)
Storm Damage Grant (324,829) (324,829)
(Surplus)
Sub Total
$24,013,630
$24,013,629
ONE TIME
Transfer from Rate Stablization Reserve
NET LEVY for Taxation Purpos..
$21,810,147
$21,810,146
Percentage Increase
0.71%
0211712000
0
Feb 25
1
CITY. OF. PICKERING
2000
BUDGET
I
I
GENERAL GOVERNMENT REVENUE
1999 % CHANGE
1999 Revised INCREASE 2000.. . 2000 BUDGET
BUDGET BUDGET (DECREASE) BUDGET V5, 99 BUDGET
1100 Taxation 0 0 0: 0.00%
1150 Bell Gross Receipts 0 0 0 0,00%
1160 Collections for Special Charges 0 0 () 0.00%
0000 Non-Shared P .I.L.S. 2,746,360 2,746,360 (240.448) 2,505,912' -8.76%
0000 Linear Properties 1.030,707 1,030,707 88,449 .1;119;156 8.58%
1210 Grant-in-Lieu of Taxes - Canada 0 0 0 () 0.00%
1230 Grant-in-Lieu of Taxes - Ontario 0 0 0 0 0.00%
1240 Grant-in-Lieu of Taxes - Onto Enterprises 0 0 0 0 0.00%
1250 Grant-in-Lieu of Taxes - Mun. Enterprises 0 0 0 0. 0.00%
1530 Rentals 36,500 36,500 0 36.500 0.00%
1543 Metro Agreement 92.125 92,125 (12,125) 80,000 -13.16%
1550 Interest from Investments 903,926 903,926 41.074 945,000 4.54%
1551 Interest from Loans to Capital Fund 0 0 0 0 0.00%
1570 Service Charges 0 0 0 0 0.00%
1591 Commissions 750 750 0 750 0,00%
1592 Donations 45,000 45.000 (40.000) 5;000 . -88.89%
1593 Sale of Equipment 4,000 4,000 1,000 5,000 25.00%
1594 Sale of Land 322,651 322,651 37,349 360;000 11.58%
1599 Other Net (Under) Over Levies 0 0 0 0 0.00%
1599 Other Misc, Transactions 10,000 10.000 0 10,000 0.00%
1622 Government Grants 20,000 20,000 (20.000) 0 -100.00%
1910 Tstr. from Reserve - Equip. Replacement 553,766 553,766 (553,766) 0 -100.00%
1910 Tstr. from Reserve - Contingency - Western Branch Book Collection 0 50.000 50;000 NA
1910 Tstr. from Reserve - Contingency -Increases 0 0 0 0 0.00%
1910 Tstr. from Reserve - Contingency - Elections 0 0 110,000 110.000 NA
1910 Tstr. from Reserve - Legal 0 0 0 0 0.00%
1910 Tstr. from Reserve - Inventories 0 0 0 0 0.00%
1910 Tstr. from Reserve - Reskilling & Redeployment 0 0 0 0 0.00%
1920 Tstr. from Res. Fund - Cap. Wks. Program 0 0 0 0 0.00%
1920 Tstr, from Res. Fund - Community Facilities 0 0 0 0 0.00%
1920 Tstr. from Res. Fund - Development Charges 377,238 377,238 (289,238) 88.000 . -76.67%
1920 Tstr. from Res. Fund - Parkland 0 0 0 0 0.00%
1940 Tstr. from Capital 0 0 0 0 0.00%
1950 Tstr. from Rate Stabilization Reserve 104,235 104,235 295,765 400,000 283.75%
1950 Tstr. from Surplus/Pre-Levy 0 0 0 0 0.00%
Allocation for Negotiated Wage Settlement 1.238.405 ($1.238.405) 0
$6,~47.258 $7,485,663 ($1,770,345) $5.715318 -28.34%
0211712000
Feb 25
l
I
CITY OF PICKERING
2000 BUDGET
1411
1412
1413
1424
1430
1429
1461
1461
1510
1512
1513
1514
1516
1517
1517
1519
1520
1529
1560
1570
1570
1570
1570
1570
1570
1570
1570
1570
1570
1570
1570
1570
1570
1570
1570
1580
1592
1593
1610
1623
1623
1623
1623
1623
1623
1623
1623
Note:
0211712000
Sale of Services - Administration
- Financial
- Legal
- Fire Services
- Public Works
- Development Control
- Plan. Develop Admin
- Planning
Licences & Permits - Pool Enclosures
- Business
- Amusement
- Taxi
-Animal
- Building
- Building Services
- Marriage
Fines - Parking
.. - Libraries
Penalty & Interest on Taxes
Service Charges - Civic Complex
- PAR.U.
- Roads
- Transit
-Transit-Special
- Seniors Centre
- Rec. Programs
- Dunbarton Pool
- Don Beer Arena
- Parks
- Centres
- Complex Core
- Complex Pool
- Complex Arenas
- Museum
- Libraries
Photocopies - Libraries
Donations
Sale of Maps etc.
Federal Grants
Ontario Grants - Animal Control
- Transit Operating
- Transit - Spec. Operating
- Seniors Centre
- C.S.& F. - Programs
- Museum
- Libraries
-I.WA.
QEfI.
2122
2127
2125
2240
2290
2613
2610
2611
2220
2220
2220
2220
2293
2290
2612
2122
2220
2745
2127
2124
2259
2320
2350
2360
2572
2712
2713
2715
2718
2719
2731
2733
2735
2744
2745
2745
2192
2192
2712
2293
2350
2360
2572
2712
2744
2745
2126
DEPARTMENTAL REVENUE
Revised
1999 1999 INCREASE 2000
BUDGET BUDGET (DECREASE) BUDGET
$297,000 $297,000 $0 $297,000
131.500 131.500 9.375 140,875
72,000 72,000 13,000 85;000
69.000 69.000 0 69,000
91.500 91,500 (90.500) 1,000
86.500 86;500
96.000 96.000 (88,000) 8;000
88.425 88;425
8,000 8.000 2,000 10,000
119.140 119,140 1,500 120;640
50.000 50,000 0 50,000
20.000 20,000 10,000 30,000
25,000 25.000 0 25;000
1.180,000 1,180,000 (1,180,000) 0
1,250,000 1.250,000
16,875 16,875 0 16.875
200.000 200,000 50,000 250;000
113,400 113.400 23,630 137.030
765,000 765.000 135,000 900,000
2,600 2.600 0 2,600
0 0 0 0
90,275 90.275 (45,275) 45,000
1,199.500 1,199,500 164,000 1,363;500
25,000 25.000 0 25,000
10,500 10,500 0 10,500
1.109.286 1.109,286 66,292 1,175.578
105,450 105,450 2,673 108;123
578.000 578.000 (3.100) 574;900
6.600 6,600 0 6;600
43,200 43,200 300 43,500
956.073 956.073 (1.140) 954,933
214,400 214,400 2,860 217,260
562,500 562,500 17,000 579.500
84,100 84,100 8,500 92,600
13,250 13.250 (2.002) 11.248
23,400 23,400 (5,213) 18,187
0 0 0 0
4.000 4,000 (3.400) 600
8,000 8,000 0 8,000
2,000 2.000 0 2,000
26,600 26,600 (26,600) 0
0 0 0
26.934 26,934 0 26.934
10.000 10,000 0 10,000
11,963 11.963 (1.196) 10,767
112.585 112,585 137,293 249,878
0 0 0 0
$8,480,631 $8,480,631 $621,922 $9,102553
ses.
3
% CHANGE
2000 BUDGET
YS.
Rev. 99 Bud
0.00%
7.13%
18.06%
0.00%
-98.91%
NA
-91.67%
NA
25.00%
1.26%
0.00%
50.00%
0.00%
-100.00%
NA
0.00%
25.00%
20.84%
17.65%
0.00%
0.00%
-50.15%
13.67%
0.00%
0.00%
5.98%
2.53%
-0.54%
0.00%
0.69%
-0.12%
1.33%
3.02%
10.11%
-15.11%
-22.28%
0.00%
-85.00%
0.00%
0.00%
0.00%
0.00%
0.00%
0.00%
-10.00%
121.95%
0.00%
7,33%
Feb 25
rr'-==='C='=C=~C="-'~'-'-'C'"
¡¡
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CITY OF PICKERING
2000
BUDGET
I
GENERAL GOVERNMENT EXPENDITURE
1001 Conversion costs of "Town" identity to "City"
2115 Business Development & City Promotion
2123 Assessment Services
2126 Purchased Services
2128 Audit Fees
2130 Office Machines - Rental
2131 Office Machines - Repair & Maintenance
2134 Provision for Uncollectable Taxes
2135 Property Tax Rebates
2140 Telephone
2193 Insurance
2194 Insurance - Self Insurance
2195 Grants to Organizations & Individuals
2197 Advertising - Community Page
2810 Interest Paid Out on Bank Loans
2811 Interest Paid Over to Own Funds
2812 Debenture Debt Charges
2815 lease Payment Charges
2819 Bank, Credit Card & For. Exchange Charges
2821 Tsfr. to Reserve for Equip. Replacement
2821 Tsfr.to Reserve for Contingency-Elections
2821 Tsfr. to Reserve for Contingency - WCB NEER
2821 Tsfr. to Reserve for Contingency-Fire/Soc. Con.
2821 Tsfr. to Reserve for Westem Br, Book Collection
2821 Tsfr.to Res.Contingency-Assessmenl Appeals
2821 Trans. to Reserve for Accrued Vac. Pay
2821 Trans. 10 Reserve for Reskilling
2821 Tsfr.to Reserve for Cont.- Rate Stabilization
2822 Trans. to Reserve Fund - Comm. Fac.
2823 Trans. to Capital Fund
2891 City Share of DC Projects
2900 Contingency
02128/2000
"10 CHANGE
1999 INCREASE 2000 2000 BUDGET
BUDGET (DECREASE) BUDGET VS, 99 BUDGET
$0 $37,500 $37,500 NA
18.000 0 18,000 0.00%
0 0 0 0.00%
173.522 (69762) 103,760 -40.20%
33.172 15,000 48,172 45.22%
22,907 0 22.907 0.00%
23,000 (3000) 20.000 -13.04%
150,000 (50.000) 100,000 -33.33%
3.100 3,100 NA
166.786 19.267 186,053 11.55%
49.400 0 49.400 0.00%
5,000 500 5,500 10.00%
174.936 3,958 178,894 2.26%
54.487 0 54.487 0.00%
7.500 (2.500) 5,000 -33.33%
563,768 (63768) 500.000 -11.31%
276,100 337,597 613.697 0.00%
10,016 2,896 12,912 0.00%
38,850 5.425 44,275 13.96%
1,141.000 (1141,000) 0 -100.00%
55,000 (55.000) 0 -100.00%
0 0 0 0.00%
0 0 0 0.00%
50.000 (50.000) 0 0.00%
321,386 (171.386) 150,000 -53.33%
0 0 0 0.00%
0 0 0 0.00%
0 0 o 0.00%
699,889 (261.889) 438,000 -37.42%
3.913,016 1.831.667 5.744,683 46.81%
0 400.000 400,000 NA
267,300 66,700 334,000 24.95%
$8,215,035 $855,304 $9,070,339 10.41%
4
March 6
:F-~-==~"'===-
III
i¡
-.. - ~_u_----.-.- -.-.-.-.-.----.- -.---------.------ -------.--. -----_._--.-..- .---- ---------.-
--"-----"'.'--'---'-."'-'--'--'..-'----""'----"---'-"--.--.--.---- -'--"'--"--------'-'.-.--
=~~="1
CITY OF PICKERING
2000 BUDGET
:;
Ii
iI
I'
¡I 2111
ii 2113
Ii
:¡
I.
112121
! 2122
Ii 2124
112125
,¡ 2127
112129
ii' 2132
I 2133
112139
il2141
! 2191
,12192
112196
!12198
il2199
112220
Ii
Ii 2230
!! 2240
1,12241
1 2290
Ii 2293
I¡ 2315
!12320
r 2325
! 2350
I. 2360
, 2430
1,2572
!! 2610
112611
i 2612
11' 2613
! 2710
i 2711
112712
!I 2713
"
'12715
! 2718
!12719
112731
:! 2733
!i 2735
Ii 2743
Ii 2744
ii 2745
1!
;1
i
ì
,~
Mayor
Council
Chief Administrative Officer
Clerk
Civic Complex
Legal Services
Finance
Customer Care Centre
Property Maintenance
Supply and Services
Human Resources
Safety & Training
Elections
Corporate proj & Policy
Information Systems
Records Management
Print Shop/Mail Room
By-Law
Crossing Guards
Fire Services
Emergency Operations Cont. Centre
Municipal Prop. Engineering & Admin.
Animal Control
Municipal Garage
Roads
Street Lights
Public Transit
Specialized Services
Solid Waste
Senior Citizens Centre
Planning Development Admin.
Planning
Building Services
Development Control
Operations & Emergency Services Admin.
Culture & Recreation - Admin.
Culture & Recreation - Programs
Rec.& Fac. - Dunbarton Pool
Parks & Fac. - Don Beer Arena
Parks & Fac. - Parks
Parks & Fac. - Community Centres
Rec.&Fac.-Rec.Comp.-Central Core
Rec.&Fac.-Rec.Comp. - Pool
Parks & Fac. - Rec.Comp. - Arenas
LAC.A.C.
Museum
Libraries
DEPARTMENTAL EXPENDITURE
1999
BUDGET
$130.041
305,685
315,966
264,982
290,303
359.264
1.061,134
158,091
276.656
281,918
475.032
68.699
0
228.985
511,325
10,300
303.884
327.721
214,184
6,072,930
8.390
1.591,826
194.126
52,109
2,784,626
506,000
2,993,079
548.316
851.050
148.227
1.087,105
274,150
443.176
1.265,778
215.763
518,835
1,326,883
192.386
1,394,038
545.898
495,661
9.450
255.199
2,548,145
531,907,314
REVISED
% CHANGE
2000 BUDGET
1999 INCREASE 2000 VS.
BUDGET (DECREASE) BUDGET Rev, 99 BUD.
$132.932 $6,159 $139.091 4.63%
308,218 19.879 328.097 6.45%
347.731 (62345) 285,386 -17.93%
278.575 28.105 308,680 10.09%
292.793 21,083 313.876 7.20%
379,825 51.423 431,248 13.54%
1,158,032 108.691 1.268.723 9.39%
181,118 (1237) 179;881 -0.68%
289.437 12,162 301.599 4.20%
302.076 7.590 309,666 2.51%
504.406 (3239) 501.167 -0.64%
68,699 9,189 77.888 13.38%
0 201.105 201.105 NA
235,047 112.557 347.604 47.89%
588.401 93.259 681,660 15.85%
10,300 4,700 15,000 45.63%
307,574 31,888 339.462 10.37%
341.970 59,902 401.872 17.52%
214,184 25.816 240,000 12.05%
6.229,116 216,370 6.445.486 3.47%
8,390 (1308) 7.082 -15.59%
1,674,670 1890.041) 784.629 -53.15%
194,126 33,574 227.700 17.29%
75,779 16.451 92,230 21.71%
2,859,091 86,670 2,945,761 3.03%
506.000 0 506.000 0.00%
3,077,149 84,948 3,162,097 2.76%
567.266 (2968) 564.298 -0.52%
851,050 404.930 1.255.980 47.58%
152.918 16.429 169,347 10.74%
1,140,982 (614839) 526,143 -53.89%
839,974 839.974 NA
552.186 552,186 NA
383,387 383.387 NA
295,735 (5525) 290,210 -1.87%
476.987 86.651 543.638 13.97%
1,310.649 78,121 1,388,770 5.96%
223,392 2.823 226,215 1.26%
533.149 3.301 536.450 0.62%
1,361.148 210.155 1.571.303 15.44%
194,516 26,522 221,038 13.63%
1.472,611 12.501 1,485.112 0.85%
560,716 14,246 574.962 2.54%
510,180 4.891 515,071 0.96%
9,450 9.200 18.650 97.35%
267,123 8.044 275,167 3.01%
2,652,206 389,969 3042,175 14.70%
533,145,717 52,673,348 $35,819,065 8,38%
---- -~-._--- - -.
--------- -_m______- ---------.---- - - - m____._---- --------- __nO -- .
5
March 6
I
CITY OF PICKERING
. . 2000 ...' .
BUDGET
&~.'
1001 - CONVERSION COSTS OF "TOWN" IDENTITY TO "CITY"
Costs associated with converting the 'Town" name
to 8 .City",
this cost ¡ndudes:
letterhead
business cards
re-design of logo
change of logo on all vehicles
change exterior building signs
change promotional material
change all interior signs and
displays,
TOTAL
0211612000
6
1999
BUDGET
,-
,
INCREASE
(DECREASE)
$37,500
~
I
Feb 25
I
CITY OF PICKERING
2000
BUDGET
1160 - COLLECTIONS FOR SPECIAL CHARGES
1) ON TAX ROLL
Water
Sewer
Storms
TIle Drainage/Shoreline
Pick. Pkwy UI to 1998 - Storms
Pick, Pkwy UI to 1998 - Roads
Others
2) PREPAYMENT OF UI CHARGES
Pick. Pkwy UI to 1998 - Storms
Pick. Pkwy UI to 1998 - Roads
Others
ACCRUED INTEREST
Previous Yea,.
1998 1999
ACTUAL Est. ACTUAL
$0 $0
21 21
0 0
0 0
222,236 222,236
117,513 117,513
0 0
2,155 2,155
7,207 7,207
349,132 349,132
0 0
$349,132 $349,132
$0 $0
21 21
124,720 124,720
226,690 224,391
402 0
$351,833 $349.132
SUMMARY
Water
NOTE:
0211612000
Water
Sewer
Roads
Storms
Shoreline Assistance - to 1997
These financial obligations matured in 1998.
0
7
1999
BUDGET
INCREASE
(DECREASE)
$0
0
0
0
0
0
0
0
0
0
0
$0
so $0
0 0
0 0
0 0
0 0
$0 $0
so
0
0
0
0
0
0
200Ð
BUDGET
$0
0
0
0
0
0
0
0
0
0
0
$0
SO
0
0
0
0
$0
0
0
0
0
$0
I
Feb 25
I
CITY OF PICKERING
2000
BUDGET
I
0000-0000 NON-SHARED P .I.L.S.
1998
8111ed
1999
Billed
2000
Projected
Canada Post
Airport Lands
Ontario Realty Corporation
Management Board Secret
(Property rental - 1085 Toy Ave)
Ontario Hydro
$22,269
583,395
36,039
1,341
$21,508
613,938
43,523
1,341
$21,508
559,780
43,523
1,341
1,747,664
1,936,307
1,871,705
Loss of Federal PIL Revenues
Municipal Enterprises
84,294
$2,475,002
129,743
(120,000)
128,055
Total
$2,746,360
$2,505,912
Percentage Change
-8.760'Y.
. ExDianation
There are three fadors contributing to a decrease in revenues:
A. Decrease in residential education tax rate.
B Decrease in large industrial education tax rate.
C Loss of Federal Pils
Decrease in Residential Education Tax Rate
The City of Pickering retains the education portion of the tax rate,
The education tax rate is established ~ the Province.
In 1999. the Province reduced the education tax rate by 10% for the residential realty tax class
and this reduction translated into a revenue loss for the Federal Airport Lands.
Decrease in Larae Industrial Education Tax Rate
The industrial and large industrial education tax rates are established by the Province through
the tax requisition. The current large industrial education tax rate is 4.78%.
The Provincial average for the education industrial tax rate is 3.3%,
The Province introduced a program to phase-in the education tax rate
to the Provincial average, In 1999, the Province reduced the large
industrial tax rate, The 2000 budget reflects an estimated further reduction
in the education tax rate,
Loss of Federal Pils
The Federal Government has unilaterally decided not to follow the assessment property reforms
introduced by the Provincial government in 1998. The Province eliminated the business
occupancy tax (BOT) and increased the realty tax component of property taxes, The Federal
Government has decided not to oav the hiGher realtY tax comoonent.
0211612000
8
Feb 25
CITY OF PICKERING
2000
BUDGET
I
0000-0000 LINEAR PROPERTIES
CN RAIL
02-25-52900
132.50 acres x $352.17 (Mun,)
$46,663
CP RAIL
03-20-32600
224,52 acres x $183.76 (Mun.)
41.258
HYDRO
01-18-02320
954,28 acres X $635.46 (Mun,)
954.28 acres X $939,00 (Educ.)
$606,407
896.069
1,502,476
LESS:
Region share 67,87% of Municipal
portion ($694,328)
(471,240)
$1,119,156
The tax rates for land are established under the Education Ad (Regulation 392) and the Municipal
Ad (Regulation 387), The distribution of the tax revenue between the Region and the Town is
detennined under subsection 368.3 of the Municipal Act.
The increase over 1999 is due to the change in Provincial regulations which allows municipalities a
seven year phase-in to reach the Provincial average. The above changes per acre refleds year two of
. the seven year phase-in.
In 1999, the City of Pickering budgeted revenue for this revenue element was $1,030,707,
0211612000
Feb 25
9
I
CITY OF. PICKERING
2000
BUDGET
1530/1570/1591 - RENTALS, SERVICE CHARGES & COMMI6tONS
:".
"
PREVIOUS YEARS
1... 1999 1999
ACTUAL Est. ACTUAL BUDGET
1530 . RENTALS
0001) Con. 3 Pt. Lot 19
Roll Number 03-011-21910
Rented to 1317970 Ont. Inc.,
T/A Pickering Driving Range
Rental agreement is from Jan 1/99 to
Dee 31.2001 - $17,500 per annum $17,500 $17,500 $17.500
0002) Con. 3 Pt. Lot 19, 20
Roll Number 03-011-22810
Rented to T. Amta:
Rental $551 per month to Dec.l2000 19,000 19,000 19,000
$36,500 $36,500 $36,500
1570. SERVICE CHARGES
Administration fee to 'subsidizable"
accounts of Transit and Specialized
Transit:
From
2350-9370
$0
$0 $0
0 0
$0 $0
From
2360-9370
0
$0
1591 - COMMISSIONS
1) Received from Bell Canada for
pay telephones in the Municipal
Buildings
$650
$650 $650
100 100
$750 $750
2) Received from Federal &
Provincial Sales Tax remittances
100
$150
0211812000
10
INCREASE 2000
(DECREASE) BUDGET
'.
$0 $17,500
0 19,000
$0 $36,500
$0
0
$0
$0 $650
0 100
$0 $750
I
$0
0
$0
Feb 25
,
CITY OF PICKERING
2000 .
BUQGET
I
1543 - LANDFILL OPERATIONS - METRO AGREEMENT
1543 . METRO AGREEMENT
Revenue paid to General Fund
by Metro Toronto
1) Metropolitan Toronto pays to the
Town 10% of its royalties from
Landfill gas operations at Brock
West Landfill Site. The methane
gas produces hydro which is sold
to various end users,
3) Metropolitan Toronto pays to the
Town $1.50 per tonne for waste
transferred from Brock North
(150,000 tonne)
4) Metropolitan Toronto pays to Town
one-time setUement
0211612000
PREVIOUS YEARS
1998 1999
ACTUAL Est ACTUAl
92,125 80,000
0 0
0 0
$92.125 $80,000
I
1999
BUDGET
92,125
0
INCREASE 2000
(DECREASE) BUDGET
(12,125) $80.000
0 0
0 0
($12.125) $80,000
0
11
$92,125
Feb 25
I
CITY OF PICKERING
2000
BUDGET
I
NET REVENUE FROM CASH MANAGEMENT
PREVIOUS YEARS
1998
ACTUAL
1ttt
EST, ACTUAL
1ttt
BUDGET
INCREASE
(DECREASE)
BUDGET
1550 - INTEREST FROM INVESTMENTS
Interest earned by the City's
General Fund on both short and
long term investments.
Discounts
$1.174,121
$1,110,000
$903,926
$41.074
$945,000
1551 - INTEREST FROM LOANS TO
CAPITAL FUND
$1.174,121 $1.110,000 $903,926 $41,074 $945 000
2810 - INTEREST PAID OUT ON
BANK LOANS
Interest paid out on short term bank
loans that are taken out prior to
receipt of taxation revenue,
government grants or investment
maturities. $0 $0 $7.500 ($2.500) $5;000
2811 -INTEREST PAID OVER TO
OWN FUNDS
Paid over to our own R- Funds;
to the Local Improvement
Prepayment Fund; and to other
Special Purpose Funds (340.990) (450.000) (563,768) 63,768 (500,000)
($340.990) ($556,268) $61,268
NET REVENUE FROM
CASH MANAGEMENT $833,131 $680 ,000 $347,658 102,342 $450,000
0211612000
12
Feb 25
CITY OF PICKERING
2000
BUDGET
1160 - COLLECTIONS FOR SPECIAL CHARGES
1) ON TAX ROLL
Water
Sewer
Stonns
TIle Drainage/Shoreline
Pick. Pkwy UI to 1998 - Stonns
Pick, Pkwy UI to 1998 - Roads
Others
2) PREPAYMENT OF UI CHARGES
Pick. Pkwy UI to 1998 - Stonns
Pick. Pkwy UI to 1998 - Roads
Others
ACCRUED INTEREST
Water
SUMMARY
Water
Sewer
Roads
Stonns
Shoreline Assistance - to 1997
Previous Yea,.
1988 1999
ACTUAL Est ACTUAL
$0 $0
21 21
0 0
0 0
222,236 222,236
117,513 117,513
0 0
2,155 2,155
7,207 7,207
349,132 349,132
0 0
$349132 $349,132
$0 $0
21 21
124,720 124,720
226,690 224,391
402 0
$351.833 $349,132
NOTE:
These financial obligations matured in 1998.
0211612000
1~
1999
BUDGET
INCREASE
(DECREASE)
$0
0
0
0
0
0
0
0
0
0
0
$0
$0 $0
0 0
0 0
0 0
0 0
$0 $0
I
$0
0
0
0
0
0
0
2000
BUDGET
$0
0
0
0
,0
0
0
0
0
0
0
$0
$0
0
0
0
0
$0
0
0
0
0
$0
Feb 25
I
CITY OF PICKERING
2000
BUDGET
1592 - DONATIONS MISCELLANEOUS
1592 - DONATIONS
PREVIOUS YEARS
1998 1999 1999
ACTUAL EST. ACTUAL BUDGET
$71,634 $40,000 $45,000
$71,634 $40,000 $45,000
Major 1999 donations were for:
LED Sign
Altona Road Detention Pond
Wateñront Trail Extension
$5.000
9,200
25,000
Total
$39,200
0211812000
14
INCREASE
(DECREASE)
($40.000)
($40,000)
2000
BUDGET
$5,000
5000
Feb 25
I
"
.¡'" ,
I
CITY OF PICKERING
2000
BUDGET
1593/1594. SALE OF EQUIPMENT & LAND'
¿-"'
-_u
Miscellaneous equipment sold
at Regional auction, etc,
PREVIOUS YEARS
1998 1999
ACTUAL EST. ACTUAL
$17,811 $7,800
$17,811 $7,800
1StS . SALE OF EQUIPMENT
1594 . SALE OF LAND
0211612000
Various land transactions
during the year (net)
Sale of Rouge Hill Ubrary
1999 INCREASE 2000
BUDGET (DECREASE) BUDGET
$4 ,000 $1,000 $5,000
$4,000 $1,000 S5,ooO
$211,000 $322,651 $37,349 $10,000
350,000
$211,000 $322,651 $37.349 $360,000
$95,270
Transfer to Reserve Funds
$95,270
The 1999 estimated adual reflects known and advertised sales to date.
The revenue for the sale of these properties is allocated to the Capital Works Reserve Fund as directed
by Council in report PIF 009196.
Council resolution #183/99 approved the sale of the Rouge Hill Ubrary to be used to offset the cost of the Western Branch,
15
Feb 25
0211612000
I
CITY OF PICKERING
2000 .
BUDGET
1599. OTHER MISCELLANEOUS TRANSACTIONS. REVENUE ACCOUNT
1599 Miscellaneous Transactions
PREVIOUS YEARS
1998 1999 1999 INCREASE 2000
ACTUAL EST. ACTUAL BUDGET (DECREASE) BUDGET
$19,644 $9,700 $10,000 $0 $10,000
$19,644 $9,700 $10,000 $0 $10,000
This account captures the miscellaneous revenue activity of the Corporation.
This account includes items such as rental income from Velidan for
the transformer located at the Recreation Complex.
16
I
Feb 25
I
CITY OF PICKERING
2000
BUDGET
1599 - OTHER - NET (UNDER) OVER LEVIES
1) School Boards
PREVIOUS YEARS
1998 1999
ACTUAL EST. ACTUAL
$1,497,999 $0
(30.482) 0
$1,467.517 $0
2) Region
0211612000
17
1999
BUDGET
INCREASE
(DECREASE)
$0
0
$0
2000
BUDGET
$0
0
$0
I
$0
0
$0
Feb 25
CITY OF PICKERING
2000
BUDGET
1622 - 1623 - GOVERNMENT & CROWN AGENCY GRANTS
1 Transit Capital AssistérlC8
Offset Transfer to Reserve
2821 (part)
2 Unconditional Grant
3 Ontario Hydro - to pay for
economic stu:ty
0211612000
PREVIOUS YEARS
1998 1999
ACTUAL EST. ACTUAL
553,766 0
950,000 0
$1.503.766 SO
18
1999
BUDGET
20,000
$20.000
0
INCREASE 2000
(DECREASE) BUDGET
0 0
0 0
(20,000) 0
($20,000) SO
0
I
FeÞ 25
11 From. RESERVE FOR REPLACEMENT OF
CAPITAL EQUIPMENT. GIL 4611
This lranlfer il to cover the COlt of
replacement iteml in the annual
Capital budget
21 From. RESERVE FOR CONTINGENCY.
GIL 4612
AI Weltam Branch Community Centre
Tranlfer of $50.000, budgeted in 1999
for the book collection.
B) To cover provision for 2000
election
31 From . RESERVE FOR RESKlLLlNG AND
REDEPLOYMENT. GIL 4618
AI To lranlfer excell contribution I back to
General Fund .
TOTAL TRANSFERS FROM RESERVES
0211612000
CITY OF PICKERING
2000
BUDGET
1910. TRANSFERS FROM RESERVES
PREVIOUS YEARS
1"8 1'" 1"'
ACTUAL EST, ACTUAL BUDGET
$115,000 $553,766 $553,766
$115.000 $553,766 $553,766
$0 $0 $0
0 0 0
$0 $0 $0
83.900 0 0
$0 $0 $0
$198,900 $553,766 $553,766
1'"
Reviaed
BUDGET
$553,766
$553,766
INCREASE
(DECREASE)
($553.766)
$50,000
0
$0
110,000
$160,000
19
$0
$553,766
$0
($393.766)
2000
BUDGET
$0
$50,000
110000
180,000
0
0
$0
$180000
Feb 25
I CITY OF PICKERING I
2000
BUDGET
;i'"
1920. TRANSFERS FROM RESERVE FUNDS .........
..........
1998 1999 1999 INCREASE
ACTUAL EST. ACTUAL BUDGET (DECREASE) BUDGET
1) From - CAPITAL WORKS PROGRAM
RESERVE FUND. GfL 4Z29
By-Law C-9 authorizes a contribution to the
General Fund to cover the General Municipal
Debt Charges as recorded under GlL 2812 $0 SO $0 SO $0
$0 $0 $0 $0 SO
2) From - DEVELOPMENT CHARGES
RESERVE FUND - GfL 4Z27
Fa cost recovery
(1) City Offices $235,926 $84,000 $234,480 ($234,480) $0
(~ Ubrary Facilities 143,418 $51,000 142,758 (54,758) 88,000
Under Development Charges Act 1997,
the City can not collect for municipal
administration offices,
$379,344 $135,000 $377,238 ($289.238) $88,000
3) From. COMMUNITY FACIUTIES DEV.
RESERVE FUND - GfL 4225
SO $0 $0 SO SO
SO SO SO SO SO
TOTAL CONTRIBUTIONS FROM
RESERVE FUNDS $37&,344 S136.ooo $377,238 (S289.238) S88 000
0211612000
Feb 25
20
0211612000
I
CITY OF PICKERING
2000
BUDGET
-
1950 - TRANSFERS FROM RATE STABLIZATION RESERVE
1998
ACTUAL
1999
Est. Actual
1999
BUDGET
INCREASE
(DECREASE)
From G/L 4900
$402,123
$107,324
$104,236
$295,764
21
I
2000
BUDGET
$400,000
Feb 25
CITY OF PICKERING
2000
~
2115 - BUSINESS DEVELOPMENT & CITY PROMOTION
PREVIOUS YEARS
1998
ACTUAL
Provision
$5,850
0211612000
1999
EST. ACTUAL
$14,660
0
22
1999
BUDGET
$18,000
INCREASE
(DECREASE)
2000
BUDGET
$0
$18,000
I
Feb 25
0211612000
,
CITY OF PICKERING
2000
QUDGET
2123 - ASSESSMENT SERVICES
Charged by OPAC
PREVIOUS YEARS
1'" 1... 1...
ACTUAL EST. ACTUAL BUDGET
$150,000 $0 $0
0 0 0
0 0 0
$150,000 $0 $0
INCREASE 2000
(DECREASE) BUDGET
$0 $0
0 0
0
$0 $0
2~
I
Feb 25
0211612000
I
CITY OF PICKERING
. 2000
BUDGET
2126 - GENERAL GOVERNMENT - PURCHASED SERVICES
2392 Consultive & Professional
1998 1999 1999
ACTUAL EST. ACTUAL BUDGET
$29.134 $173,000 $173,522
$29,134 $173,000 $173,522
INCREASE
(DECREASE)
($69,762)
($69.762)
1)
For 1998. each Operating Department was direded to be responsible for budgeting specific
Consultive & Professional needs leaving a base amount in this account for corporate requirements.
2)
3)
Strategic Planning session ($6,000).
4)
1999 Year in Review (Report/Brochure) ($12,000).
Website support ($32,760),
:24
I
2000
BUDGET
$103.760
$103,760
I
Feb 25
CITY OF PICKERING
CONSULTIVE & PROFESSIONAL
2000 BUDGET
BUDGET COMPARISONS
"....
£~:"
BUDGET INCREASE BUDGET
DEPARTMENT 1m (DECREASE) 2000
General Government 5173,522 (569.762) 5103,780
2111 Mayor 1,030 0 1,030
2122 Clerks 300 0 300
2125 Legal Services 75,000 5,000 80,000
2127 Finance 10,300 14,700 25,000
2139 Human Resources 123,373 (3,364) 120,009
2141 Safety & Training 1,030 0 1,030
2192 Corporate Projects & Policy 0 0 0
2198 Microfiching 10,300 4,700 15,000
2198 Information Systems 4,000 33,000 37,000
2220 By-Law 1.000 500 1,500
2240 Fire Services 20,000 20,000
2290 Public Works 18,540 3,745 22,285
2315 Municipal Garage 10,400 0 10,400
2350 Transit 30,600 (10.000) 20,600
2610 Planning & Development - Admin 20,000 (20.000) 0
2611 Planning 105,000 105,000
2743 LAC.A.C. 4,500 9,000 13,500
2745 Libraries 1,030 1,236 2,266
Total $484,925 $93.755 $578,680
25
CITY OF PICKERING
2000
BUDGET
2128. AUDIT FEES
2392 Consultive & Professional
PREVIOUS YEARS
1998 1999
ACTUAL EST. ACTUAL
$30,855 $35,000
$30,855 $35,000
1999
BUDGET
$33,172
$33,172
INCREASE
(DECREASE)
$15,000
$15,000
Increase in cost to refled additional adivity such as expanded audits, internal reviews and
special assignments,
0211612000
26
2000
BUDGET
$48,172
$48,172
I
Feb 25
CITY OF PICKERING
2000
BUDGET
2130 - OFFICE MACHINES - RENTAUOPERATING
Provision for Rental/Operating Costs
PREVIOUS YEARS
1998 1999
ACTUAL EST. ACTUAL
$17,<46& $17,000
0
$17,<46& $17,000
Rental of various equipment such as the postage meter.
0211612000
0
27
1999
BUDGET
$22.907
0
$22,907
[
INCREASE 2000
(DECREASE) BUDGET
$0 $22,907
0 0
$0 $22,907
Feb 2S
0211612000
I
CITY OF PICKERING
2000
BUDGET
2131 - OFFICE MACHINES - REPAIR & MAINTENANCE
Provision for Equipment Repairs
PREVIOUS YEARS
1898 1999 1991 INCREASE 2000
ACTUAL EST. ACTUAL BUDGET (DECREASE) BUDGET
$18,122 $19.000 $23,000 ($3,000) $20.000
$18,122 $19,000 $23,000 ($3.000) $20000
This account captures expenditures associated with maintenance agreements and general repairs.
Equipment covered by maintenance agreements includes faxes and mailing equipment.
28
I
Feb 25
CITY OF PICKERING
2000
BUDGET
2134. PROVISION FOR UNCOLLECTABLE TAXES
Recommended Provision
PREVIOUS YEARS
1998 1999
ACTUAL EST.ACTUAL
$77,000 $98,000
$77,000 $98,000
1999
BUDGET
$150,000
$150,000
INCREASE 2000
(DECREASE) BUDGET
($50,000) $100,000
($50,000) $100 000
Uncolledible taxes were mainly due to business occupancy taxes (BOT) , Property tax reform
eliminated the BOT in 1998 and therefore, there are fewer tax write-offs.
0211612000
29
I
Feb 25
;i"
CITY OF PICKERING
2000
BUDGET
I
Property Tax Rebates
2135 . CharitY Proøertv Tax Rebabts
Registered charities that rent either
commercial or industrial units can
receive a partial rebate of their
property taxes.
2137. Proøertv Tax Rebate
At the December 20, 1999, Council meeting,
Council passed resoIuti0n#237199 granting
Royal Canadian Legion Branch 483 an exemption
from City property taxes for a period not
exceeding ten years effec:tive January 1, 1999.
1991
Est. Actual
1,830
1,200
30
1991 INCREASE
BUDGET (DECREASE)
$1,900
1,200
2000
BUDGET
$1,900
$1900
1,200
$1 200
I
Feb 25
I
CITY OF PICKERING
2000
BUDGET
2140 - TELEPHONE
PREVIOUS YEARS
1998 1989 1999
ACTUAL EST. ACTUAL BUDGET
2124 . Municipal Building:
0001 Service $98,381 $99,500 $94,150
0002 Long Distance 8,200 7,000 9.000
0003 Repairs 12,495 20,250 13,000
$119,076 $126,750 $116,150
2240 - Fire Department:
0001 Service $28,824 $33,700 $30,186
0002 Long Distance 370 400 1.000
0003 Repairs 40 700 500
$29,234 $34,800 $31,686
2711. Recreation Facilities:
0001 Service $8,404 $9,900 $8,300
0002 Long Distance 15 20 50
0003 Repairs 0 0 200
$8,419 $9,920 $8,550
2731 - Recreation Complex:
0001 Service $9.979 $8,950 $9,000
0002 Long Distance 440 1,067 900
0003 Repairs 300 267 500
$10,719 $10,284 $10,400
$167,448 $181,754 $166,786
INCREASE 2000
(DECREASE) BUDGET
$12.315 $106,0465
(1,510) 7,490
0 13,000
$10,805 $126955
$5.873 $36,059
(572) 428
249 749
$5,550 $37,236
$2.293 $10,593
0 50
0 200
$2,293 $10,843
$577 $9.577
242 1,142
(200) 300
$619 $11.019
$19,267 $186.053
Increase in telephone expenditures reflects the Bell Ceneda increase of 7%.
0211612000
31
I
Feb 25
I
CITY OF PICKERING
2000
BUDGET
2193/2194 - INSURANCEISELF-INSURANCE
1998 1999 1999
ACTUAL EST. ACTUAL BUDGET
2193 -INSURANCE:
2122 General Government $49,400 $49,400 $49,400
$49,400 $49,400 $49,400
2194 - SELF-INSURANCE:
2122 General Government $4,950 $5 , 500 $5,000
$4,950 $5,500 $5,000
0211612000
32
INCREASE
(DECREASE)
$0
2000
BUDGET
$49400
$49,400
$5,500
$5;500
$0
$500
$500
I
Feb 25
CITY OF PICKERING
2000
BUDGET
2196 . GRANTS TO ORGANIZATIONS & INDIVIDUALS
PREVIOUS YEARS
11t8 1m 1199 INCREASE
ACTUAL EST. ACTUAL BUDGET (DECREASE)
2570 - Social & Charitable:
Camp Oochigeas $200 $200 $0 $0
United Way (25,990 X $2.65 per household) 65,272 65,272 66 . 000 2,674
Equity Initiatives 3.000
Ajax-Pickering Community Uving 0 0 500' 0
Grant to University for Termite Control 0 0 16,016 (3.516)
(Approved at the March 22.1999 council meeting)
Termite extermination Grant I 0 0 500 (500)
(Approved at the April 12,1999 council meeting)
Durham Police Disabled Games -
Facilities 1.500 1.500 1,500 0
Convnittee for Multiculturalism &
Race Relations 500 500 500 1,000
Waste Reduction Committee 104 104 500 o
Multiple Sclerosis 500 500 500 0
City of Pickering Award - students 400
Taxation Grants made under the Charity
PARU Vessel 0 0 0 0
Krynowel Family House Burned - Rental 358 358 0 0
Durham Hospice 1.000 1.000 1.000 0
$69,434 $69,434 $67.016 $3,258
2572 . Senior Citizens:
Claremont Seniors - Bus to Shopping/52 10,140 10,140 10,140 0
Whitevale Seniors - Bus/13 «D $195 1,560 1,625 2.535 0
Seniors Transit Subsidy 25.000 25,000 25,000 0
Grants to Seniors' Groups 8,858 7,808 10,000 0
Seniors' Tea - Facility Rental 250 250 250 0
$45.808 $44,823 $47,925 $0
2842 . Agriculture:
Durham Region Plowmens' Association $100 $100 $100 $0
Durham Region Farm Safety 55 55 55 '0
Durham West Junior Farmers 90 90 90 0
$245 $245 $245 $0
2000
BUDGET
$0
68,874'
3,000
500
12.500
o
1,500
1,500
500
500
400
0
o
1,000
$90 274
10,140
2,535
25.000
10,000
250
$47 925.
$100
55
90
$245
The City at Pickering..a for 8tud8nta provJCes. 5100 went 10.,. Pick8ring hiQIIldIooIa.
0211812000
33
I
Feb 25
CITY OF PICKERING
2000
BUQGET
2195. GRANTS TO ORGANIZATIONS & INDIVIDUALS
2712 ' Culture & Recreation:
Youth Convention - Facility Rental
Pickering Rotary Music Festival
Pickering Arts Council- Facilities
Christmas Dance - Grant & Facility Rent
PickeringJMetro East Music Festival
Kinsmen Santa Claus Parade
Frenchmans Bay Festival
Multicultural & Race Relations Events
PAR.U.
Ontario Summer Games 2000
(Council resolution #101198)
Durham Ontario Senior Games
Camp Samac Reconstruction
0211812000
1998 1m 1m INCREASE
ACTUAL EST. ACTUAL BUDGET DECREASE
$0 $500 $500 $0
500 500 500 0
1,000 1,000 1,000 0
2,000 3.000 3,000 0
250 250 250 0
1,000 1,000 1,000 . 0
1,000 1,000 1,000 500
1,500 1,500 1,500 0
20,000 20,000 20,000 0
11.000 11,000 0
200
5.000 0 0 0
$32,250 $39,750 $39,750 $700
$147,737 $154,252 $174,936 $3.958
zuvu
BUDGET
$500
500
1,000
3,000
250
1.000
1,500
1,500
20,000
11,000
200
0
$40,450
$178 894
134
I
Feb 25
---
;11""
ç""
-~
2210
0211612000
Advertising
CITY OF PICKERING
2000
BUDGET
2197 - ADVERTISING - COMMUNITY PAGE
1998 1999
ACTUAL EST. ACTUAL
$48,672 $51,000
0 0
$48,672 $51,000
35
1999 INCREASE 2
BUDGET (DECREASE) BUDGET
$54,487 0 $54,487
0 0 0
$54,487 0 $54,487
I
Feb 25
I
Projects Financed by Debt
19t9 Debt
5 Year Debt
10 Year Debt
Tota119t9 Debt
1198 Debt
Total Debt
CITY OF PICKERING
2000
BUDGET .
2812 . DEBENTURE DEBT CHARGES
S348,ooo
1 955483
2.303,483
1 649 000
S3 952 483
Debt Issuance Cost - 1.25% of the 1999 Debt
7'110 InI8nt8I CD8t
TOTAL DEBENTURE DEBT CHARGES
0211612000
PREVIOUS YEARS
1198 19t9
ACTUAL EST, ACTUAL
25.732
229,755
20,613
SO
276,100
36
19t9
BUDGET
25,732
229,755
20,613
276,100
I
INCREASE 2000
(DECREASE) BUDGET
329.416 355,148
229,755
8,181 28,794
0
0 SO
0
0
337,597 $613 697
Feb 25
f
CITY OF PICKERING
2000
BUDGET
2815 - LEASE PAYMENT CHARGES
1-
EST. ACTUAL
1998 Vehlel.. Fln.nced through Le.slna
Lease payments are for 36 months
Public Wor1<s
2 Ford Explorer vehicles
$10,978
TOTAL LEASE PAYMENT CHARGES
$10,978
Lease charges for vehicles include the following cost elements:
Security deposit
Registration fee
Ucense Fee
0211612000
137
1-
BUDGET
$10.016
$10,016
INCREASE
(DECREASE)
2,896
$2,896
2000
BUDGET
$12.912
$12912
I
Feb 25
I
CITY OF PICKERING
2000'
BUDGET
I
2819 BANK, CREDIT CARD & FOREIGN EXCHANGE CHARGES
BANK CHARGES
Service charge to C.LB.C. on
Town's General bank account
Electronic Fund Transfer charges
Cost of Money Orders and other
bank account charges
Tax Payment Processing-
Royal Bank (Lock Box Fees)
Royal Bank lock box fee is based 0
CREDIT CARD CHARGES
Clulrge on VISA
transactions:
Clulrge on MASTERCARD
transactions:
FOREIGN EXCHANGE CHARGES
U,S, Dollar Fees
TOTAL FINANCIAL CHARGES
0211612000
PREVIOUS YEARS ACTIVITY
1998 1998 1999
ACTUAL ACTUAL EST. ACTUAL
$12,000 $12,000 $12,000
4,551 4.000 6,600
120 600 575
6,470 13,119 14.100
$23,141 $29,719 $33.275
n the dollar value of the deposit.
$8,317 $6,354 $8,250
1,716 1.650 2,275
$10,033 $8.004 $10,525
$0 $97 $92
$33.174 $37,820 $43.892
1999 INCREASE. 2000
BUDGET (DECREASE) BUDGET
$12,700 ($450) $12,250
4.000 2.600 6.600
600 0 600
13,250 950 14,200
$30,550 $3.100 $33,650
$6,500 $1,750 $8,250
1,700 575 2,275
$8,200 $2,325 $10525
$100 $0 $100
$38.850 $5.425 $44.275
138
Feb 25
'-
I I
CIn1 OF' PICKERING
. '
2000 .
BUDQET
2821 . TRANSFERS TO RESERVES
PREVIOUS YEARS
1998 1999 1999
ACTUAL EST. ACTUAL BUDGET
A To. RESERVE FOR REPLACEMENT
OF CAPITAL EQUIPMENT - GlL 4611
Provincial Transit Capital Assistance $553,766 $0 $0
Provision (Miscellaneous) 1,214,930 1,141,000 1,141,000
$1,768,696 $1,141,000 $1,141,000
B To. RESERVE FOR CONTINGENCY -
GIL 4612
1 From #2191 Elections - 113rd estm8ted cost $55,000 $55,000 $55,000
2 To cover estimated cost increase resulting
from the end of the Social Contract on March
31/96 0 0 0
3 To cover Assessment Appeals due to CVA
1998 - (3% of 1997 tax billing) 786,318
1999 - (1,5% of 1998 tax billing) 321,386 321,386
Reflects stablization of assessment base
4 Book Collection - Westem Branch Ubrary 0 50,000 50,000
As per Budget Committee Meeting
April 6, 1999
$841,318 $426,386 $426,386
E To - RESERVE FOR RATE
STABIUZATION - G/L 4619
Offset (net (under)/over levies) $1,571,817 $0 $0
$1,571,817 $0 $0
TOTAL TRANSFERS TO RESERVES $4,181,831 $1,567,386 $1,567,386
I
0211612000
39
INCREASE 2000
(DECREASE) BUDGET
0 0
(1,141.000) 0
($1,141,000) $0
($55,000) $0
0 o
(171.386) 150,000
(50,000) 0
($276.386) $150,000
$0 $0
$0 $0
($1,417,386) $150,000
Feb 25
CITY OF PICKERING
2000
BUDqET
;i~' -
I
?- .
2822 - TRANSFERS TO RESERVE FUNDS
PREVIOUS YEARS
1898 1189 1111
ACTUAL EST.ACTUAL BUDGET
1) To - COMMUNITY FACIUTIES
DEVELOPMENT RESERVE FUND -
G/L 4225
(A) Repayment of Town funded Local
Improvements that are collected as
Special Charges through GIl1160,
This financial obligation matured
in 1998 and therefore zero dollars
are budgeted in 1999, $698,111 $0 $0
(B) To set aside 'cost recovery' amount on
GlL 1920 for future Capital Works 379,344 135,000 377,238
(C) Sale of Land - Offset (1594)
Capital Works Projects (4228) 211.000 322,651
(Rouge Hill Ubrary)
TOTAL TRANSFERS TO
RESERVE FUNDS $1,077.455 $ 346,000 $699,889
INCREASE 2000
(DECREASE) BUDGET
$0 $0
(289,238) 88,000
27,349 350,000
($261.889) $438,000
0211612000
i40
I
Feb 25
CITY OF PICKERING
2000
BUDGET
I
2823 - CAPITAL EXPENDITURES FINANCED FROM CURRENT & DEBT
1999
BUDGET
Office of the Chief Admin. Officer
Cler!(s
Human Resources
Corporate Services
Fire Services Division
466,651
Municipal Property & Engineering
2,421,915
Transportation Division
229,820
Culture & Recreation Division
473,419
Planning & Development
Ubraries
188,723
Western Branch Community Centre
TOTAL TRANSFERS TO CAPITAL FUND
$3.913.016
$6,363
29,000
INCREASE 2000
(DECREASE) BUDGET
$4,437 $10,800
(1.000) 28,000
500 500
(29.525) 59.050
143,349 610,000
(14.175) 2,407,740
(54.820) 175.000
(404.759) 68,660
842,651 851,201
201,109 389,832
1,307,900 1,307,900
$1,995.667 $5.908.683
0
88,575
8,550
Note:
The above amounts were taken from the Capital Fund
budget 'Summary' as follows:
GeMraIFund
Debt (5 years)
Debt (10 years)
$1,609,533
348,000
1,955.483
$3,913.016
($188.938)
(173.000)
2,357,605
$1.995,667
$1,420,595
175,000
4.313.088
$5.908,683
0211612000
41
Feb 25
I CITY OF2~~KERING I
CURRENT BUDGET
2111 - MAYOR
CLASSIFICATION
1100 Salaries & Wages
1200 Overtime
1400 Employer Contributions
1800 Conferences
..:..
N
2220 Subscriptions & Publications
2340 Seminars & Education
2370 Insurance
2392 Consultive & Professional
2394 RecptlProm.& Sp,Ev.lGen P/R
2457 Vehicle - Repair & Maintenance
2657 Vehicle
2678 Misc, Equipment Rentals
5300 Stationery' & Office Supplies
5398 G.S.T, Exempt
5900 Gas, Oil, Tires, etc,
PREVIOUS YEARS ACTIVITY
1998
ACTUAL
$81,100
0
11,670
790
120
670
0
5,810
690
4,860
210
360
30
890
$107,200
0
1999 EST.
ACTUAL
$92,980
0
19,320
2,050
650
770
8,200
520
8,350
380
600
1,870
$135,690
1999
BUDGET
$87,190
0
13,950
4,610
309
1,030
630
1,030
8,240
1,030
8,652
280
1,030
2,060
$130,041
1999
Revised
BUDGET
$89,682
0
14,349
4,610
309
1,030
630
1,030
8,240
1,030
8,652
280
1,030
0
2,060
$132,932
% CHANGE
2000 BUDGET
INCREASE I 2000 I VS.
{~~ÇREASE) BUDGET REV. 99 BUDGET
$3,585
0
574
0
2,000
0
$6,159
$93,267
0
4,00%
0,00%
0
0
14,923
4,610
0,00%
4,00%
309
1,030
0.00%
0
0
. 0.00%
630
0.00%
1,030
10,240
0.00%
24,27% .
0
0
1,030
8,652
0,00%
0.00%
0
0
280
1,030
0,00%
0,00%
0
0
0,00%
0
2,060
$139,091
4.63%
0,00%
2111 - MAYOR
BACKGROUND INFORMATION
1100 Salaries and WaDes
Total from Final Page.
~ Overtime
~ EmDlover Contributions
This item ¡ndudes mandatory deductions (CPP" EL, EHT.,)
and employer provided benefits such as dental, optical,
OMERS, life insurance and long term disability benefits,
jJQQ Conferences
Provision to attend A.M,O., C.P,R.A.. O.P.A"
O,S,U,M" Great lakes, U,D,L & Mun. Affairs.
2220 SubscriDtions and Publications
Provision to cover Municipal World and other publications,
~ Seminars and Education
Misc. provision for Mayor and Executive Assistant.
~ Insurance *
¡u¡ Consultive & Profession~1
For Professional Advice,
~ ReceDtions. Promotions and Saecial Events
General Public Relations
Provision to cover Mayor's dinners, gifts & public
relations expenses. An additional amount has been
included to provide for the Inaugural Meeting.
0211812000
43
$93,267
$14,923
$4,610
$309
$1,030
$630
$1,030
$10,240
Page 1
$0
Febtuary 25
2111 . MAYOR
BACKGROUND INFORMATION
æz Vehicle. Reoalrs & Maintenance *
,'"
For Mayor's car,
.,;e" -, .
'-'-
¡uz Vehicle *
*
Lease of automobile.
Upon expiration of the current lease, all vehicle costs will be converted
to an annual car allowance based on 1999 actual costs,
2iZJ. Miscellaneous Eauioment Rentals
Pager Rental.
~ Stationery and Office Suoolies
For Mayor's Office.
ÐU G.S.T. Exemot
aü Gas. 011. TIres. Etc. *
For Mayor's car,
0211812000
4-4
$1,030
$8,652
$280
$1,030
$0
$2,060
Page 2
Febru8ry 25
I CITY OF PICKERING .1
2000 .
CURRENT BUDGET
2113 - COUNCIL
CLASSIFICATION
1100 Salaries & Wages
1200 Overtime
1400 Employer Contributions
1800 Conferences
~
U1.
2110 Travel
2220 Subscriptions & Publications
2340 Seminars & Education
2394 RecptlProm.& Sp.Ev./Gen P/R
2395 Memberships
2399 Outside Agency Services
5300 Stationery & Office Supplies
5398 G.S.T. Exempt
PREVIOUS YEARS ACTIVITY
1998 1999 EST 1999
ACTUAL ACTUAL BUDGET
$126,600 $171,280 $161,990
0 0
19,800 33,800 58,295
1,550 11,010 12,000
17 , 300 15,990 21,600
710 140 1,000
10 1,000
18,500 33,660 17 ,000
7,200 7,230 7,200
21,630 19,350 21,600
3,500 6.200 4,000
610 0
I $217,410 $298,660 $305.685
1999
Revised INCREASE
BUDGET (DECREASE)
$164,272 $11,296
0 0
58,546 4,483
12,000 0
21,600 3,600
1,000 200
1,000 0
17,000 0
7,200 300
21,600 0
4,000 0
0 0
$3081~111 $191879
2000
BUDGET
$175,568
0
63,029
12,000
25,200
1,200
1,000
17 , 000
7,500
21,600
4,000
0
$328097
% CHANGE
2000 BUDGET
VS.
REV. 99 BUDGET
6.88%
NA
7.66%
0,00%
16.67%
20.00%
0,00%
0.00%
4.17%
0.00%
0.00%
0.00%
6.45%
lli2
1200
1400
1800
2110
2220
2340
~
9:04 AM
2000 BUDGET
Page 1
2113 - COUNCIL
I
I
BACKGROUND INFORMATION
Salaries and Waoes
$175,568
Total from Final Page
Overtime
EmDlover Contributions
$63,029
This item includes mandatory deductions (CPP" EI., EHT,,)
and employer provided benefits such as dental, optical,
OMERS, RRS.P., life insurance and long term disability benefits.
Conferences
$12,000
6 Councillors @ $2,000 each
Term maximum $6,000
Travel
$25,200
Provision for 6 Councillors,
SubscriDtions and Publications
$1,200
Municipal World (6)
Miscellaneous
$800
400
Seminars and Education
$1,000
An allocation of $1,000 has been provided to cover
various seminars that Members of Council or support
staff may attend in the Year 2000,
ReceDtions. Promotions and SDeCial Events
General Public Relations
$17,000
An allocation has been provided to include
the provision for luncheons, floral tributes, pins, flags,
plaques, etc.
0211612000
46
February 25
n!§
m!
5300
5398
9:04 AM
I 2000 BUDGET
~113 - COUNCIL
BACKGROUND INFORMATION
MembershlDS
$7,500
Association of Municipalities of Ontario
Outside Aaencv Services
$21,600
6 Councillors @ $3,600 each (secretarial services)
Statlonerv and Office SuDDlies
$4,000
An allocation has been provided for the
stationery and office supplies,
G.S.T. ExemDt
0211612000
'1
47
Page 2
$0
February 25
I CITY OF :~~KERING I
C~
CLASSIFICATION
~
(X)
1100 Salaries & Wages
1200 Overtime
1400 Employer Contributions
1800 Conferences
2110 Travel
2131 Cellular Phones
2220 Subscriptions & Publications
2340 Seminars & Education
2394 RecptlProm,& Sp.Ev./Gen P/R
2395 Memberships
2678 Misc, Equipment Rentals
5300 Stationery & Office Supplies
5398 G.S.T, Exempt
5902 Misc,Equip.&Tools(Under $100)
2121 - CHIEF ADMINISTRATIVE OFFICER
PREVIOUS YEARS ACTIVITY
1999
1998 1999 EST. 1999 Revised
ACTUAL ACTUAL Budaet BUDGET
$225,190 $280.400 $236,330 $257,940
6,326
31.500 40,070 61,516 65,345
1,460 2,000 3,000 3.000
320 3,380 3,850 3,850
0 1,150 1,200 1,200
200 120 200 200
5,990 650 2,815 2,815
4,150 4,610 4,000 4.000
450 330 1,055 1.055
200 440 700 700
1,880 2,000 1,300 1,300
200 0 0
0 0 0
$271,540 $335,150 $315,966 $347,731
INCREASE 2000
(DECREASE) BUDGET
($45,245) $212,695
(3,326) 3,000
(9,264) 56,081
0 3,000
(3,750) 100
0 1.200
0 200
145 2,960
0 4,000
(555) 500
(350) 350
0 1,300
0 0
0 0
'.'..
====:J.S62,345)= $285,386
0/. CHANGE
2000 BUDGET
VS.
REV. It BUDGeT
-17,54%
-52,58%
-14,18%
0,00%
-97,40%
0,00%
0,00%
5,15%
0,00%
-52.61%
-50,00%
0,00%
0,00%
0,00%
-17.93%
1100.
1200
1400
1800
2110
2131
2220
9:16 AM
2121 . CHIEF ADMINISTRATIVE OFFICER
BACKGROUND INFORMATION
Salaries and Wages
Total from Final Page
Transfer of staff to:
Corporate Projects & Policy Division (2192)
Emergency Operations Control Centre (2241)
The 1999 budget reflected a $60,000 grant
from Ontario Hydro. The $60,000 grant
is transferred to 2241,
(Upgrade of temporary position to full time.
The cost of this position is shared 50% with 2113),
$333,090
(83.620)
(50,825)
14,050
Overtime
EmDlover Contributions
This item includes mandatory deductions (CPp,. El.o EHT,,)
and employer provided benefits such as dental, optical,
OMERS, life insurance and long term disability benefits,
Conferences
Federation of Canadian Municipalities (FCM) - CAD
Association of Municipalities of ant. (AMO) - CAD
Travel
To cover parking expenses for administrative support staff,
Cellular Phones
To provide for monthly cellular phone charges - CAD
SubscriDtions and Publications
To purchase various resource material.
0211612000
49
Page 1
$212,695
$3,000
$56,081
$3,000
$100
$1,200
$200
February 25
Page 2
2121 . CHIEF ADMINISTRATIVE OFFICER
BACKGROUND INFORMATION
~ Seminars and Education $2,960
To provide for senior management $1,500
quarterly strategy sessions,
Study Session 750
(Mayor, Council, CAO)
To provide for various topical seminars 400
(Supervisor, Administrative Services)
Minute Taking (Secretary) 110
Communication - Business Writing 200
(Secretary)
aæ Public Relations $4,000
Provision for general public relation
fundions including receptions I
promotions and special events,
2395 MembershlDs $500
Parks & Recreation Ontario - CAO $170
OMA (Ontario Municipal Administrators) 125
OMMI (Ontario Municipal Managers Inst.) 80
Cordillera Institute 125
9:16 AM
0211612000
50
February 25
DZI
ÐH
WI
5902
9:16 AM
Page 3
2121 . CHIEF ADMINISTRATIVE OFFICER
BACKGROUND INFORMATION
Miscellaneous EQuiDment Rentals
$350
To provide rental pager (CAO)
Stationery and Office SuDDlies
To provide stationery and office supplies.
$1,300
GoS.T. ExemDt
$0
Misc. EQuiD. & Tools (Under $100)
$0
1~1~
February 25
I CITY ~ING I
CURRENT BUDGET
2129 - CUSTOMER CARE CENTRE
PREVIOUS YEARS ACTIVITY ,
1999
1998 1999 EST. 1999 Revised
CLASSIFICATION ACTUAL ACTUAL B BUDGET
II
tJ1
l\:) .. 1100 Salaries & Wages $122,800 $143,090 $125,202 $145,947
1200 Overtime 0
1400 Employer Contributions 19,880 19,530 28,170 30,452
1800 Conferences 0 140 1,500 1,500
2110 Travel 10 180 300 300
2220 Subscriptions & Publications 0 50 50
2340 Seminars & Education 380 500 500
2394 RecptlProm,& Sp.Ev.lGen P/R 340 320 515 515
2395 Memberships 0 0 0
2396 Photo, Mapping, Printing 30 309 309
2399 Outside Agency Services 0 0 0
2457 Vehicle - Repair & Maintenance 0 0 0
2678 Misc. Equipment Rentals 0 0 0
5300 Stationery & Office Supplies 1,100 1,210 1,545 1,545
5398 G,S,T, Exempt 40 0 0
5900 Gas, Oil, Tires, etc. 0 0 0
$144,580 $164,470 $158J)91 $181,118
INCREASE 2000
(DECReASE) BUDGET .
.
($2,571) $143,376
300 300
1,808 32,260
(750) 750
0 300
0 50
(500) 0
485 1,000
0 '. 0
(9) ~
0 ,0
0 0
0 0
0 1,545
0 0
0 0
,~ $179,881
% CHANGE
2000 BUDGET
VS.
REV. 99 B
-1.76%
NA
~ "
5,94%
-50,00%
0.00%
0.00%
-100.00%
94.17%
0.00%
-2.91%
0.00%
0.00%
0.00%
0.00%
0.00%
0.00%
-0.68%
.un
m2
jg
1UI
23.1i
am
zæ
9:17 AM
2129 - CUSTOMER CARE CENTRE
BACKGROUND INFORMATION
Salaries and WaGes
Total from Final Page
Customer Care - Public Relations Cieri<
8taFt Date May 1, 2Qgg (New PesitieA)
$143.376
S2Q.833
Overtime
Compensation for anticipated overtime hours (Dee, 31/Jan 1) re Y2K
EmDlover Contributions
This item ¡ndudes mandatory deductions (CPP.. EI.. EHT.,)
and employer provided benefits such as dental, optical.
OMERS. life insurance and long term disability benefits.
Conferences
Funds are being set aside in the event a NvaluableN
conference/seminar becomes available throughout
the year.
Iæ!!
Allowance paid to Manager
& Public Relations Representative
for use of their own vehides for City
business.
SubscriDtions and Publications
Seminars and Education
Ontario Management Development Program
- Public Relations Representative
0211612000
53
$143,376
Deleted T JQ
$300
$32,260
Page 1
~ Reduced T JQ
$750
$300
$50
$300 Deleted T JQ
February 25
aæ
nu
mi
mi
2m
mI
Ð9!l
GII
W.Q
9:17 AM
2129 . CUSTOMER CARE CENTRE
BACKGROUND INFORMATION
ReceDtions. Promotions and Soecial Events
General Public Relations
Public Relations - Promotional Items
- Employee Appreciation Awards
Membershios
Photo. MaDDina and Printing
Film and developing
Printing of Flyers. Brochures, etc,
Outside Aaencv Services
Vehicle ReDair and Maintenance
Miscellaneous EauiDment Renþals
Statlonerv and Office SuDDlies
Includes day to day stationery and office supplies,
business cards, custom papers for brochures.
toner cartridges for printer, etc.
G.S.T. ExemDt
Gas. 011, Tires. etc.
0211612000
54
$1,000
$300
$1,545
Page 2
$0
$0
$0
$0
$0
$0
February 25
c.n
c.n
I CITY OF PICKERING I
2000
CURRENT BUDGET
2192 - CORPORATE PROJECTS AND POLICY
% CHANGE
1100
1200
1400
1800
2110
2135
2210
2211
2220
2340
2365
2392
2394
2395
2396
2399
2435
2478
2678
5300
5302
5398
PREVIOUS YEARS ACTIVITY 1999 2
1998 1999 EST. 1999 Revised INCREASE 2000
CLASSIFICATION ACTUAL ACTUAL Budaet BUDGET 'DECREASEI BUDGET RE..n ----.
Salaries & Wages . $123,600 $139,120 $126,090 $131,038 $86,896 $217,934 66.31%
Overtime 0 0 2,000 2,000 NA
Employer Contributions 22,200 20,710 28,370 29,484 19,551 49,035 66.31%
Conferences 700 740 1,050 1,050 150 1,200 14.29%
Travel 900 1,680 2,250 2,250 (350) 1,900 -15.56%
Cellular Phones
Advertising 22,100 19,600 20,600 20,600 4,400 25,000 21.36%
Tr. Shows, Exhib. & Displays 2,860 590 3,100 3,100 (2.100) 1,000 -67.74%
Subscriptions & Publications 220 140 260 260 765 1,025 294.23%
Seminars & Education 430 560 825 825 900 1,725 109.09%
Pur. Pr./Broch.lNews Ur. 2,210 22,110 23,700 23,700 (3,200) 20,500 -13.50%
Consultive & Professional 0 0 0 0 0 NA
RecptIProm.& Sp.Ev./Gen P/R 7,610 7,620 8,250 8,250 2,950 11,200 35.76%
Memberships 9,770 2,100 10,600 10,600 (90) 10,510 -0.85%
Photo, Mapping, Printing 110 1,100 1,300 1,300 (100) 1,200 -7.69%
Outside Agency Services 0 0 0 0 0 0.00%
Building Repairs and Maint.
Misc. Equip, Repairs & Maint. 10 525 525 (525) 0 -100.00%
Miscellaneous Equip. Rental 375 375 NA
Stationery & Office Supplies 1,050 2,200 2,065 2,065 935 3,000 45.28%
Fonns
G.S.T. Exempt 270 0 0 0 0
$194,040 $218,270 $228,985 $235,047 $112,557 $347 &04 47.89%
CITY O.'FPICKE RING '..1
.' 2000 .
CURRENT BUDGET
2192. CORPORATE PROJECTS AND POLICY
1593
PREVIOUS YEARS ACTIVITY 1999 21
1998 1999 EST. 1999 Revised (INCREASE) 2000
CLASSIFICATION ACTUAL ACTUAL BudGet BUDGET DECREASE BUDGET RE
REVENUE
Misc. - Sale of Business Diredory ($1,325) (18,630) ($4,000) ($4.000) $3,400 ($600)
.
($1,325) ($18,630) ($4,000) ($4,000) $3,400 ($600)
..
$192.715 $111.640 $224985 $231,047 $115.957 $347.004 --..-,.
% CHANGE
c.n
~
'1\ \"
>., <
11B
1iQ!l
1400
1800
2110
2210
9:28 AM
Salaries and Wages
Total from Final Page
Transfer of one staff from the CAO's office
$134,314
83,620
Overtime
EmDlover Contributions
This item includes mandatory deductions (CPP" EI., EHT.,)
and employer provided benefits such as dental, optical,
OMERS, life insurance and long tenn disability benefits,
Conferences
Economic Development Council of Ontario
(Manager and Econ. Dev. Officer)
AMO conference
(Division Head)
$1,200
ICY
Page 1
$217,934
$2,000
$49,036
$1,200
4;éOO Deleted T JQ
Travel
Provision for miscellaneous travel
expenses based on 1999 actuals,
Advertlslna
Economic Development Publications
Advertising
(e.g, Durham Region Tourist Guide, Ajax -
Pickering Board of Trade Directory and Trade
Talk, News Advertiser - Business Review
2000, Canada's Business Centre Ontario EDCO)
Local Business Newspaper Advertising
(e.g. Durham Business News, Durham Business
TImes, Durham Lakeshore Communities)
$10,000
10,000
Discretion amount
~
0211612000
57
$1,900
$25,000
5,000 Reduced TJQ
February 25
21'2 - T=:::;'~=" POUCY
Page 2
'm!
Trade Shows & Exhibitions
Exhibit and display material for Toronto Real
Estate Show and other Economic Development
trade shows
$1,000
~
SubscrlDtions and Publications
$1,026
Financial Post - Canadian Markets (CD ROM)
Canadian Business Magazine and other
topical subscriptions and publications related
to economic development
$825
200
2340 Seminars and Education $1,726
Seminars
Topical municipal and economic development $500
seminars (e.g. UDI, Society of Industrial and
Office Realtors)
Administrative Assistant Seminars 250
Education
EDAC certification (Econ. Dev. Officer) 975
(Second year of a three year program)
2366 Purch. Pr./BrochJNewsletter $20,600
Business Review Newsletters $5,500
(production and printing 3 issues)
New Business "Lure" BrochurelMap 10,000
(design. production and printing)
Discretionary Brochures/Promotional Pieces 5,000
9:28 AM
0211612000
February 25
58
ma
2394
mi
9:28 AM
Page 3
Consultive & Professional
$0
Corporate Image I Marketing Program
Discretionary consultative for special
economic development & corporate projects,
cost of study)
i&;OOO
~ Transferred to 2001 . T JQ
ReCDll Prom. & SD.Ev. I Gen. Public Relations
$11,200
Corporate Sponsorship
(Annual Board of Trade Business
Excellence Awards)
Increase in promotional items due to City status
Discretionary public relations
(includes ribbon cuttings, plaques, business
meetings, etc.)
Civic Awards Ceremony
(certificates, catering, photographer, etc)
4,700
2,000
1,500
3,000
MembershlDs
$10,510
Individual MembershiDS
Economic Dev. Council of Ontario (x2)
Economic Dev. Assoc. of Canada (x2)
Canadian Institute of Planners (Division Head)
$450
350
300
Provision for Col'DOrate Membe,..hiDs
Ajax/Pickering Board of Trade
Tourist Association of Durham
Durham Networks of Excellence
Durham Region Manufacturers Assoc,
Greater Toronto Marketing Alliance
800
160
250
200
8.000
0211612000
59
February 25
ill!
nil
2678
5300
5302
Revenue
1693
9:28 AM
2192 - CO
BA
Photo. MaDDinG. PrintinG
Civic Complex
Outside Aaencv Services
Miscellaneous EaulDment Rental
Pager Rental
Division Head
Stationery and Office SuDDlle~
Civic Complex
Forms
Miscellaneous
$1,200
$376
$3,000
$0
($600)
Sale of Business Directory and miscellaneous
promotional items
0211612000
60
Page 4
$0
February 25
I CITY OF PICKERING . I
. 2000
CURRENT BUDGET
,
c:n
~
2241 EMERGENCY OPERATIONS CONTROL CENTRE
% CHANGE
PREVIOUS YEARS ACTMTY 1999 21
1998 1999 EST. 1999 Revised INCREASE 2000
CLASSIFICATION ACTUAL ACTUAL BudGet BUDGET (DECREASE) BUDGET RE_'n _-
Salaries & Wages ($9.175) ($9,175) NA
Overtime
Employer Contributions 11,182 11,182 NA
Conferences 1,200 1,200 NA
Travel 520 600 600 0 600 0.00%
Cellular Phones
Advertising 500 500 (500) 0 -100.00%
Tr, Shows, Exhib. & Displays
Subscriptions & Publications 100 100 NA
Seminars & Education 450 450 0 450 0.00%
Pur. Pr.lBroch.lNews Ltr.
Consultive & Professional 0.00%
RecptiProm.& Sp.Ev./Gen PIR 220 470 470 (170) 300 -36.17%
Memberships 150 150 45 195 30.00%
Photo, Mapping, Printing 700 700 (700) 0 -100.00%
Outside Agency Services
Building Repairs and Maint. 560 500 500 (500) 0 -100.00%
Misc. Equip. Repairs & Maint. 390 900 900 (500) 400 -55.56%
Miscellaneous Equip. Rental 375 375 375.00%
Stationery & Office Supplies 2,440 2,000 2,000 (1,750) 250 . -87.50%
oons 500 500 (500) 0 "\. -100.00%
Supplies (MOC - Claremont) 350 350 25 375 7,14%
Utilities - Gas (MOC)
Utilities - Hydro (MOC) 220 220 (220) 0 -100.00%
Utilities - Cable TV (MOC) 450 450 450 30 480 6.67%
Utilities - Internet Access (MOC) 250 250 (250) 0 -100.00%
Misc. Equip & Tools (under $100) 5 350 350 0 350 0.00%
$0 $4,585 $8,390 $8,390 ($1.308) 7.082 -15.59%
1100
1200
1400
1800
2110
2135
2210
2211
2220
2340
2365
2392
2394
2395
2396
2399
2435
2478
2678
5300
5302 F,
5340
5520
5530
5540
5540
5902
1100
1200
~
lliQ
2110
2210
2220
9:33 AM
2241 EMERGE CY OPERATION C NTROL CENTRE
SA KGROUNDINFORMATION
Salaries and Wages
Transfer of one staff from the CAO's office
Transfer of Hydro Grant from CAO's office
$50,825
(60,000)
Overtime
EmDlove, Contributions
This item includes mandatory deductions (CPP., EL, EHT,,)
and employer provided benefits such as dental, optical,
OMERS, lite insurance and long term disability benefits.
Conferences
Disaster Management Conference
(Project Coordinator)
Travel
Provision for miscellaneous travel
expenses based on 1999 actuals,
Advertisina
SubscriDtions and Publications
Topical subscriptions/publications related
to emergency planning
0211612000
62
Page 1
($9,175)
$11,182
$1,200
$600
$0
$100
February 25
ZHI
nH
am
nil
2478
9:33 AM
2241 EMERGE~CY OPERATIONS CONTROL CENTRE
BAÇKGROUND INFORMATION
Page 2
Seminars and Education
$450
Education
Durham College - communications course
Seminars
Emergency preparedness seminars
$250
200
RecDll Prom. & SD.Ev. I Gen. Public Relations
$300
Emergency Training Sessions - lunches
MembershlDs
$195
Individual MembershiDs
Assoc, For Can. Registered Safety
Professionals (Project Coorct)
Canadian Emergency Preparedness
. Association (Project Coord.)
$125
70
Photo. Maoolna. Printlna
$0
Miscellaneous EaulDment ReDalrs & Maintenance
$400
MOC (Claremont)
UHF radio licenses
General radio repairs
$300
100
0211612000
63
February 25
2678
iB2
1m
Iæ
5520
æI
§æ
Iæ
5902
9:33 AM
Page 3
Miscellaneous EauiDment Rental
;Ji"
$375
/"-. .
.....~~ -
Pager Rental
Project Coordinator
StationerY and Office SUDDlies
$250
MOC (Claremont)
(includes initial stocking of Public Information Centre)
Fonns
$0
SuDDlies (MOC . Claremont)
$375
Emergency dry food supply for MOC
Utilities. Gas (MOC . Claremont)
$0
Utilities - Hvdro (MOC - Claremont)
$0
Utilities - Cable TV (MOC - ClaremoQt)
$480
Utilities - Internet Access (MOC - Claremont)
$0
Misc. EauiD. & Tools (Under $100)
$350
(Miscellaneous equipment I tools for MOC)
0211612000
64
February 25
I CITY.. OFP ICKERINGI
2000
C~
CLASSIFICATION
~
CJ1
1100 Salaries & Wages
1200 Overtime
1400 Employer Contributions
2110 Travel
2210 Advertising
2220 Subscriptions & Publications
2340 Seminars & Education
2392 Consultive & Professional
2395 Memberships
2396 Photo, Mapping, Printing
2399 Outside Agency Services
5300 Stationery & Office Supplies
5302 Forms
5398 G,S.T. Exempt
2122 - CLERK
PREVIOUS YEARS ACTIVITY
1999
1998 1999 EST. 1999 Revised
ACTUAL ACTUAL Budaet BUDGET
$211,670 $232,470 $203,210 $212,933
3,163
40,460 34,450 45,722 46,429
200 460 700 700
3,700 920 6,000 6,000
1,000 1,050 1,000 1,000
170 40 200 200
400 290 300 300
230 660 350 350
650 380 1,000 1,000
0 660 0 0
6,200 4,840 5,500 5,500
650 1,000 1,000 1,000
200 0 0
$265,530 $277,220 $264,982 $278,575
% CHANGE
2000 BUDGET
INCREASE 2000
(DECREASE) BUDGET R -
$19,255 $232,188 9,04%
837 4.000 26.46%
6,713 53,142 14.46%
0 700 0,00%
1,000 7,000 16.67%
0 1,000 0,00%
300 500 150,00%
0 300 0,00%
0 350 0,00%
0 1,000 0,00%
0 0 0,00%
0 5,500 0,00%
0 1,000 0,00%
0 0 0.00%
$28,105 $306 680 10.09%
I CI.TY........~.....O.....FP.ICKERING I
. . .. 2000
CURRENT BUDGET
ClASStFtCA TION
c:D
en
REVENUE
1411 Sale of Services-Administration
1519 Licenses & Permits-Marriage
2122 - CLERK
PREVIOUS YEARS ACTIVITY
1998 1999 EST. 1999
ACTUAL ACTUAL Budget
($269,340) ($224,020) ($297,000)
(8,060) (14,040) (16,875)
($277,400) ($238,060) ($313,875)
($11,870) $39,160 ($48,893)
1999
Revised
BUDGET
(INCREASE)
DECREASE
% CHANGE
VS.
REV. 99 BUDGET
($297,000) $0 II ($297,000)11 0.00%
(16,875) 0 II . (16,875)JJ 0.00%
($313,875) $0 U ($313,875)11 0.00%
($35,300) $28,105 II ($7,195M! -79.62%
1m
lli2
1400
~
2210
am
aæ
9:34 AM
2122 - qLERK'S DEPARTMENT
I
BACKG~OUNDINFORMA~ON
Salaries and WaGes
Total from Final Page
Upgrade to Supervisor - Legislative
Services (Jan 1,2000 start date)
Reduced T JQ (April 1 start date)
. Overtime
Election year.
EmDlover Contributions
This item includes mandatory deductions (CPP., EI., EHT,,)
and employer provided benefits such as dental, optical,
OMERS, life insurance and long term disability benefits.
IrIxII
Clerk - Various meetings
Advertlslna
This account includes provisions for advertising road
closings, Official Plan amendments and other
legislative matters that are not published on the
community pages of the local newspapers,
SubscrlDttons and Publications
Municipal World
Miscellaneous
Seminars and Education
The amount of $500 has been allocated to provide for
seminars put on by the Province respecting new
legislation.
0211612000
67
$218,256
a,ooa
13,932
$125
875
Page 1
$232,188
$4,000
$63,142
$700
$7,000
$1,000
$600
February 25
m¡
m§
mi
ill!
6300
iW
mI
9:34 AM
~22 . ~E~ pARTMENT
BACKGROUNDINFORMA~ON
Consultive & Professional
This account provides for the cost of referrals of
zoning and Official Plan objections to the Ontario
Municipal Board,
MembershlDs
AM,C,T,
O.M.M,I.
- City Clerk
- City Clerk
Photo. MaDDinG. PrintinG
An allocation of $1,000 is required to provide for the
purchase of film or for specialized printing,
Outside AGencY Services
Statlonerv & OffIce SUDDlies
This account provides for the purchase of general
office supplies such as pens, pencils. staples, binders, etc.
Forms
This account includes various forms from Municipal
World, some Provincial agencies and purchasing forms.
G.S.T. ExemDt
0211612000
68
$300
50
Page 2
$300
$360
$1,000
$0
$6,600
$1,000
$0
February 25
Revenue
1411
1519
9:34 AM
!
2122 -lLERK'S DEPARTMENT
BACKGROUND INFORMATION
Sale of Services - Administration
This account derives its revenue primarily from the
$125 fee for answering lawyers' property inquiries, This
account also includes subscriptions to agendas,
photocopying, microfilm and printing for outside
organizations.
Marrlaae Licenses
This account provides for the revenue from the issuance
of approximately 275 marriage licenses.
0211612000
69
Page 3
;;I)'" .
;$.:~'
($297,000)
($16,875)
February 25
I CITY~ING I
CURRENT BUDGET
CLASSIFICATION
"'I
0
1100 Salaries & Wages
1400 Employer Contributions
2121 Postage
2210 Advertising
2399 Outside Agency Services
2635 Building Rentals
2678 Misc, Equipment Rental
5300 Stationery & Office Supplies
5398 G,S,T. Exempt
Sub Total
Less
2191 - ELECTIONS
PREVIOUS YEARS ACTIVITY
1999
1998 1999 EST 1999 Revised INCREASE 2000
ACTUAL ACTUAL BUDGET BUDGET (DECREASE) BUDGET
$0 $0 $0 $0 $56,280 $56,280
0 0 O' 0 2,025 2,025
0 0 0 0 13,000 13,000
0 0 0 0 9 0
0 0 0 0 9,000 9,000
0 0 0 0 800 800
0 0 0 0 90,000 90,000
0 0 0 0 30,000 30,000
40 0 0 0 0 0
...'
$40 $0 $0 $0 $201,105 $201.105
Net Expenditure
For 1998 and 1999, $55,000 was budgeted per year to help offset the election expenses in 2000,
$91,105
% CHANGE
2000 BUDGET
VS.
REV. 99 BUDGET
NA
11.Qg
,tg
m.t
m.I
DB
2m
§B2
9:35 AM
2191 GENERAL GOVERNMENT. ELECTIONS
BACKGROUND INFORMATION
Salaries & Wages
$56,280
This account provides for the following salaries:
One election assistant to worK
a 35 hour week for 14 weeks
$9,000
2 Adv, Poll DROs
12 Adv, Poll ClerKs
2 Adv. Poll Revision
33 Election Day DROs
150 Election Day PC
33 Revision ClerKs
25 Constables
@
@
@
@
@
@
@
$220
$200
$180
$200
$180
$180
$180
440
2,400
360
6.600
27,000
5,940
4,500
EmDloyer Contributions
$2,025
The Employer Contributions are based on 22,5%
of the salary for the Election Assistant
Postage
$13,000
This account provides primarily for the mailing
of the Voter Notification Cards,
Outside Aaency Services
$9,OOb
This account provides for the production of
the Voter Notification Cards,
Bulldlna Rentals
$800
An allocation of $800 is provided to rent some
churches or buildings. other than schools, as
polling places,
Misc. EaulDment Rental
$90,000
Estimate from Global Election Systems
on the rental of tabulating machines,
Statlonerv & OffIce SuDDl1es
$30,000
This account provides for the cost of printing
ballots and the purchase of various election
forma.
0211612000
71
Page1
February 25
L~
~
ro
CLASSIFICATION
2392 Consultive & Professional
5398 G,S,T, Exempt
-----~--~-
CITY OF PICKERING
2000 .
CURRENT BUDGET
2198 - RECORDS MANAGEMENT
PREVIOUS YEARS ACTIVITY
1999
1998 1999 EST. 1999 Revised
ACTUAL ACTUAL BUDGET BUDGET
$7,800 $19,270 $10,300 $10,300
100 0 0
$7,900 $19.270 $10.300 $10,300
INCREASE 2000
(DECREASE) BUDGET
$4,700 $15,000
0 0
$4,700 $16,000
=~]
% CHANGE
2000 BUDGET
VS.
REV. 99 BUDGET
45,63%
0.00%
46.63%
9:36 AM
2392
1m
2198 . RECORDS MANAGEMENT
BACKGROUND INFORMATION
Consultive & Professional
Microfiching of documents,
G.S.T. ExemDt
0211612000
73
Page 1
;Ji" .
/'- .
---'
$15,000
so
February 25
c~-
CLASSIFICATION
1100 Salaries & Wages
1200 Overtime
~
~
1400 Employer Contributions
2121 Postage
2122 Freight, Express & Cartage
2365 Purch, Pr,/Broch./News Ltr,
2399 Outside Agency Services
5300 Stationery & Office Supplies
5301 Printing Supplies
5398 G.S,T, Exempt
5902 Misc, Equipment(Under $100)
CITY OF PICKERING
2000
CURRENT BUDGET
=
2199 . PRINT SHOP/MAIL ROOM
PREVIOUS YEARS ACTIVITY
1999
1998 1999 EST. 1999 Revised
ACTUAL ACTUAL Budget BUDGET
$65,300 $81,460 $61.497 $63,773
1,054
12.340 13.710 13,837 14,197
66,130 79,740 100,000 100,000
11,260 13,630 12,000 12,000
10,330 9,340 9.000 9,000
18,460 22,960 19,500 19.500
6,820 21.550 8,000 8.000
81,400 103.500 80,000 80,000
3,090 0 0
20 50 50
$275,150 $345.890 $303.884 $307,574
INCREASE 2000
(DECREASE) BUDGET
$1,594 $65.367
446 1,500
848 15,045
0 100,000
4.000 16,000
0 9.000
0 19.500
0 aooð'
"
25,000 105,000
0 0
0 50
$31,888 $339,462
-/e CHANGE
2000 BUDGET
VS.
REV. 99 BUDGET
2,50%
42,31%
5,97%
0.00%
33,33%
0.00%
0.00%
\" 0.00%
31,25%
0.00%
0,00%
10.37%
1100
mi
j,g
m1
m¡
mi.
9:36 AM
2199. PRINT St!'°PIMAIL ROOM
BACKGROUND INFORMATION
Salarie. and Wages
$65,367
Total from Final Page
Overtime
$1,500
Election year,
Emolover Contributions
$15,045
This item indudes mandatory deductions (CPP" EI., EHT,,)
and employer provided benefits such as dental, optical,
OMERS, life insurance and long term disability benefits.
Postage
$100,000
This account provides for the postage costs
of all City mail.
Freiaht. Exoress & Cartage
$16,000
Cost of courier services
Purchased PrintInG. Brochures. Newsletters
$9,000
Cost of printing (specialized) done by outside
sources.
0211612000
75
Page 1
February 25
2399
gm
5301
mI
an
9:36 AM
2199 - PRINT SHOPIMAIL ROOM
BACKGROUND INFORMATION
Outside Agencv Services
$19,500
This account provides for the cost of outsourcing
the City's daily, scheduled mail delivery
between facilities as well as a daily courier service
to deliver incoming and interdepartmental mail
as well as Agendas to remote City locations
on a routine basis.
StationerY & OffIce SuDDlies
$8,000
The print shop requires a provision for the general
supply of stationery and envelopes for corporate-wide
use and computer supplies,
Printing SuDDlies
$105.000
This account provides for the purchase of supplies
for all photocopiers, drafting equipment, mapping
equipment, fax machines and binding machines, Also,
maintenance to photocopiers is reflected in this
account. Increase reflects 1999 estimated aduals,
G.S.T. ExemDt
Miscellaneous EguiDment (Under $100)
$50
This account provides for the cost of any
extraordinary or minor purchases,
0211612000
76
Page 2
$0
February 25
CITY OF PICKERING
2000
CURRENT BUDGET
2220 PROTECTION SERVICES - BY-LAN
PREVIOUS YEARS ACTIVITY
1998 1999 EST. 1999
CLASSIFICATION ACTUAL ACTUAL Bud et
1100 Salaries & Wages $232,640 $280,010 $230,254
~ 111200 Overtime
-J 1400 Employer Contributions 39,180 40,310 51,807
1900 Uniforms 3,210 2,240 3.500
2110 Travel 1,650 3,000 2.000
2131 Cellular Phones 860 1,960 1,200
2220 Subscriptions & Publications 0 150
2340 Seminars & Education 1,660 3,150 3,450
2370 Insurance 660 770 630
2371 Self-Insurance 0 0
2392 Consultive & Professional 480 1,430 1,000
2395 Memberships 800 1,000 2,030
2399 Outside Agency Services 2,670 5,320 6,000
2457 Vehide-Repair & Maintenance 6,320 3,760 6.000
2678 Misc. Equipment Rentals 810 120 3,000
5302 Forms 6,930 2,280 8,000
5398 G.S.T. Exempt 210 0
5900 Gas, Oil, Tires, etc. 4,630 4,280 8,000
5902 Misc, Equipment (Under $100) 1,000 1,480 700
6000 MOT Admin Fee 720 9,900
$304,430 $361,010 . $327,721
1999
% CHANGE
2000 BUDGET.
id INCREASE 2000
..:T (DECREASE) BUDGET R_-- -- -----.
-
$239,928 $35,739 $275,667 14.90%
3,163 4,837 8,000 152.92%
53,219 10,606 63,825 19.93%
3,500 700 4,200 20,00%
2,000 0 2.000 0.00%
1,200 600 1,800 0.00%
150 0 150 0,00%
3,450 1.600 5,050 46.38%
630 0 630 0,00%
0 0 0 0.00%
1,000 500 1,500 50 . 00%
2,030 20 2,050 0.99%
6,000 (5,000) 1, 00à¡ ""'" 0.00%
6,000 0 6,OOO~ . 0.00%
3,000 (2.000) 1,000 -æ.67%
8,000 0 8,000 0,00%
0 0 0 0.00%
8,000 0 8.000 0.00%
700 300 1,000 42.86%
12,000 12,000 NA
$341,970 $59,902 $401,872 17.52%
I CITY OFP. ICKERING I
2000
CURRENT BUDGET
2220 PROTECTION SERVICES - BY-LÞW
CLASSIFICATION
REVENUE
1510 Lic. & Per-Pool Enclosures
~
CO
1512 Uc. & Per-Business
1513 Lic. & Per-Amusement
1514 Lic. & Per-Taxi
1520 Lic. & Per-Parking, etc.
PREVIOUS YEARS A TIVITY
1998 1999 EST. 1999
ACTUAL ACTUAL Bud et
($1.500) ($11,200) ($8.000)
(75.000) (151.710) (119,140)
(48.510) (46.820) (50,000)
(38.450) (28.460) (20,000)
(193,210) (231,430) (200,000)
($356,670) ($469,620) ($397,140)
% CHANGE
2000 BUDGET
Revised (INCREASE) 2000
BUDGET DECREASE BUDGET R -- -- -----.
($8.000) ($2.000) ($10,000) 25.00%
(119.140) (1,500) (120,640) 1.26%
(50.000) 0 (50,000) 0.00%
(20,000) (10,000) (30,ÖQO) 50.00%
(200.000) (50.000) (250,000) 25.00%
($397,140) ($63,500) ($460,640) 15.99%
..
($55,170) ($3,598) ($5e,768 6.52%
lli2
~
~
1900
2110
ill!
9:37 AM
2220 PROT~CTlON SERVICES - BY-LAW
BACKGROUND INFORMATION
Salaries and WaGes
Total from Final Page
Additional Staffing:
Part Time Parking Control Officer
MYAieipal b.aw IiAfeF68R18At Oftieer
¡taft Cate {ApFiI 1, 2000)
Overtime
Although the Officers are working in shifts to cover evenings
and weekends. there are many instances when they will be
required to work overtime due to other Officers being on
vacation, etc.
EmDloyer Contributions
This item includes mandatory deductions (CPP" EI., EHT,,)
and employer provided benefits such as dental, optical,
OMERS. life insurance and long term disability benefits,
Unltonns
This account provides a uniform allowance of $600 for the
Manager of By-law Enforcement Services, four
Municipal Law Enforcement Officers and two
Parking Control Officers,
Travel
Officers mileage.
Cellular Phones
The amount allocated in this account is based on
1999 cell phone charges.
0211612000
7U
$275,667
$254.206
21,461
~ Deferred to
July, 2001 -
TJQ
$8,000
$63,825
$4,200
$2,000
$1,800
Page 1
February 25
¡m
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2370
m1
nu
am
9:37 AM
2220 PROTEþTlON SERVICES - BY-LAW
BACKQ~OUND INFORMATION
Page 2
SubscriDtions and Publications
$150.
Miscellaneous publications
Seminars and Education
$5,050
3 Officers for Property Standards Course @ $850 = $2,550
Municipal Law Enforcement Officers Course
for 3 Officers @ $500 = $1,500
Various seminars and training sessions. - $1,000
Insurance
$630
Self-Insurance
$0
Consultive & Professional
$1,500
This account is used for company and title searches,
MembershiDs
$2,050
This account is comprised of the following:
4 memberships to MlEO Assoc. at $200
(Manager & 3 Officers)
4 memberships to Ontario Assoc, of
Property Standards Officers at $250
(Manager & 3 Officers)
Assoc. of Municipal Clerks & Treasurers
(Manager)
0211612000
8.0
February 25
2399
2457
2678
5302
5900
œ¡
U5m
9:37 AM
Outside Aaency Services
$1,000
This account provides for the use of process servers
for information that is to be served upon defendants
who live outside of Pickering,
Vehicle Reoair and Maintenance
$6,000
This account provides for the servicing
of vehicles,
Miscellaneous Eauioment Rentals
$1,000
This account has been reduced from 1999 because we
have provided for the purchase of cell phones to
replace the existing pagers,
Forms
$8,000
This account provides for the purchase of
taxi license plates, lottery permits, parking
tickets and Court related documents,
Gas. Oil. Tires. Etc.
$8,000
This account provides for the fuel used by four
vehicles,
Miscellaneous Eauloment (Under $100)
$1,000
This account provides for the purchase of
extraordinary items such as film, batteries, etc.
MOT Admin Fee
$12,000
The Ministry of Transportation charges an administration fee
to attach outstanding parking ticket fines to a drivers license renewal.
0211612000
81
. Page 3
February 25
Revenue
1510
1512
1513
~
1520
9:37 AM
2220 PROTECTION SERVICES. BY-LAW
~ROUND INFORMATION
Licenses and Penn its . (Pool Enclosures)
This account should increase somewhat over
1999 due to increased development and a
better economy,
Licenses and Pennits . (Businesses)
Public Halls
Wrecking Yards
Signs
Carnivals
Adult Video Shop
Flea Market
$10 x 10
$20x2
$150 x 100
= $100
= $40
= $15,000
$1,500 x 1 = $1,500
$1,000 x 104 = $104,000
Licenses and Penn its . (Amusements)
This account derives its revenue from the issuance
of licenses for Raffles, Bingos, etc.
Licenses and Pennits - (Taxis)
This allocation is provided based on
previous years' experience.
Licenses and Pennits . (Parkina)
This account reflects revenue received from parking
and other by-law fines in 1999,
0211612000
82
;.#'"
~..
"""-'"
Page 4
($10,000)
($120,640)
($50,000) -
($30,000)
($250,000)
February 25
L
00
w
CLASSIFICATION
1100 Salaries & Wages
1400 Employer Contributions
1900 Uniforms
2210 Advertising
2399 Outside Agency Services
5398 G,S,T, Exempt
CITY OF PICKERING
2000
CURRENT BUDGET
--.--
I
2230 PROTECTION SERVICES - CROSSING GUARDS
PREVIOUS YEARS ACTIVITY
1998 1999 EST. REVISED 1999
ACTUAL ACTUAL 1999 BUDGET
$0 $0 $0 $0
0 0 0
0 0 0
0 0 0
202,170 233,700 214,184 214,184
2,160 0 0
$204,330 $233,700 $214,184 $214,184
INCREASE 2000
(DECREASE) BUDGET
-.-
$0 $0
0 0
0 0
0 0
25,816 . 240,000
0 0
$25,816 $240.000
:
% CHANGE
2000 BUDGET
VS.
REV. 99 BUDGET
0,00%
0.00%
0,00%
0,00%
\i\ \.," 12.05%
>., .
0,00%
12.05%
Page 1
2230 PROTECTION SERVICES - CROSSING GUARDS
BACKGROUND INFORMATION
1100 Salaries & Wages $0
1400 Emoloyer Contributions $0
~ Uniforms $0
m1 Advertislna $0
2399 Outside Aaency Services $240,000
The allocation in this account reflects the contract
with Adecco employment agency for the 199912000
school year. It also includes a provision
for the additional crossings in the Westcreek
area.
5398 G.S.T. Exemot $0
9:38 AM
0211612000
st
February 25
c:
CI~U:;~U::IN~_____- I
CLASSIFICATION
2110 Travel
2399 Outside Agency Services
00
(J1
7180 PAW Animal Control Centre
7181 Livestock Killed
REVENUE
1516 Uc. & Per, - Animal
1623 ant. Specific Grants
2293 PROTECTION SERVICES - ANIMAL CONTROL
PREVIOUS YEARS ACTIVITY
1999
1998 1999 EST. 1999 Revised
ACTUAL ACTUAL BUDGET BUDGET
$60 $100 $100 $100
810 6,420 800 800
207,990 190,980 189,226 189,226
4,090 4,820 4,000 4,000
$212.950 $202,320 $194.126 $194,126
($7,370) ($30,990) ($25,000) ($25,000)
(6,920) (6,580) (2,000) (2,000)
($14,290) ($37,570) ($27,000) ($27,000)
$198,660 $164,750 $167,126 $167,126
% CHANGE
2000 BUDGET
INCREASE 2000 VS.
(DECREASE) BUDGET REV. 99 BUDGET
$0 $100 R 0.00%
5,200 6.000 I 650,()()oAi
28,374 217,600 14.99%
O~~I 0.00%
$33,574 $227,700 . 17,29%
$0 ($25,000)1 0.00%
° (2,000)1 0.00%
$0 ($21,000)1 0.00%
$33,574 $200,700 B 20.09%
mR
am
zœ
zw.
9:38 AM
2293 PROTECTION Sø:RVICES . ANIMAL CONTROL
BACKGROUND INFORMATION
Travel
This account provides for the mileage costs of the
Livestock Valuers.
Outside Aaencv Services
This account covers the Livestock Valuers' fees of $50
per claim based on 12 claims, This account
also provides for the commission paid to the
persons selling dog tags.
P.A.W. Animal Control Centre
The PAW Joint Animal Control Committee has not yet
recommended a budget for the Year 2000, however, I
understand that there will be a slight increase to provide
for one additional staff person.
livestock Killed
Based on the claims experience over the last
several years, an allocation of $4,000 has been
provided to cover the cost of livestock killed
by dogs and wild animals.
0211612000
86
Page 1
$100
$6,000
$217,600
$4,000
February 25
Revenue
1516
1623
9:38 AM
2293 PROTECTION SERVICES. ANIMAL CONTROL
BACKGROUND INFORMATION
Licences and Pennits . Animal
This account provides for the revenue received
from the sale of dog tags, We will be carrying out
the door-to-door program of selling dog tags due to
the success of this program in 1999,
Ontario SDecific Grants
The revenue in this account is derived from grants
from the Province to offset the amount paid.to a
farmer for livestock killed or injured by coyotes,
02116/2000
81
:#'
/-
....--.'
($25,000)
($2,000)
Page 2
February 25
l~=-- .~-_....
CLASSIFICATION
co
Q)
2110 Travel
2210 Advertising
2220 Subscriptions & Publications
2340 Seminars & Education
2392 Consultive & Professional
2394 RecptlProm,&Spec,Ev,/Gen, P/R
2395 Memberships
2396 Photo, Mapping, Printing
5300 Stationery & Office Supplies
5398 G,S.T, Exempt
5400 Gift Shop/Plaques
5902 Misc, Equipment (Under $100)
CITY OF PICKERING
2000
CURRENT BUDGET
-- .. .i I
---~--------- ----- --~--
._._~---_.
2743 CULTURAL SERVICES - LA.C.A.C.
PREVIOUS YEARS ACTIVITY
1999
1998 1999 EST. 1999 EST. Revised INCREASE 2000
ACTUAL ACTUAL ACTUAL BUDGET (DECREASE) BUDGET
$240 $100 $600 $600 $0 $600
0 700 700 0 700
240 50 200 200 0 200
330 400 400 200 600
2670 3,370 4,500 4,500 9,000 13,500
10 240 500 500 0 500
90 40 200 200 0 200
90 30 1,500 1,500 0 1,500
0 190 300 300 0 300
4 0 0 0 0
0 500 500 0 500
20 50 50 0 50
0 0
-.
$3,694 $4,020 $9,450 $9,450 $9,200 $18,650
Ok CHANGE
2000 BUDGET
VS.
REV. 99 BUDGET
0,00%
. 0,00%
0.00%
50,00%
200,00%
0,00%
0,00%
0,00%
0,00%
0,00%
0.00%
0.00%
97.35%
9:39 AM
nn
m2
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ll!2
m¡
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2743 CUl rURAL SERVICES - LA.C.A.C,
BACKGROUND INFORMATION
I!m!1
LA.C.A.C. Members may attend the Provincial Conference
in 2000 and an allocation is required for mileage to
this event.
Advertisina
To prepare a number of walking, driving, and educational
brochures. and to increase our advertising to give a
greater profile for the wort( Heritage Pickering does.
SubscriDtions and Publications
This account provides for the purchase of
various books and magazines respecting
the designation of buildings.
Seminars and Education
To provide for the attendance of members
at annual conferences and local seminars.
Consultative & Professional
To provide for the hiring of consultant firms
for the purpose of providing information
leading to the designation of properties.
6,000
7,500 Added by TJQ
Phase I of completing Heritage Pickering
inventory of Pickering's built heritage,
RecDUProm. & SDeCial Events
To provide for the promotion of Pickering's
heritage during Heritage Week, and to help
promote Durham Heritage Fest which will
be held this year in Pickering in the Fall.
0211612000
89
$600
$700
$200
$600
$13,500
$500
Page 1
February 25
m§
1m
lliR
WI
æQ
an
9:39 AM
2743 CULTURAL SERVICES - L.A.C.A.C.
BACKGROUND INFORMATION
MembershiDS
$200
To provide for annual fees for memberships in
Community Heritage Ontario and the
Architectural Conservancy of Ontario.
Photo. MaDDina. Printing
$1,500
To print a number of brochures; to provide for
a resource-based mapping system on which
to plot heritage sites; and to provide for the
storage and maintenance of the Land
Registry documents.
StationerY & Office SuDDlles
$300
To purchase minor supplies for cataloguing
and maintaining the Land Registry documents.
G.S. T. ExemDt
$0
Gift ShoD/PlaQues
$500
To purchase plaques for designated properties
and for undesignated properties of historical
significance,
Misc. EauiDment (Under $100)
$50
This account provides for minor equipment such
as film, etc.
0211812000
90
Page 2
February 25
I CITY OF PICKERING I
2000
CURRENT BUDGET
CLASSIFICATION
cg
.....
1100 Salaries & Wages
1200 Overtime
1400 Employer Contributions
1800 Conferences
2110 Travel
2131 Cellular Phones
2220 Subscriptions & Publications
2320 legal Services Expenses
2340 Seminars & Education
2392 Consultive & Professional
2394 RecpJProm.&Sp.Ev.lGen P/R
2395 Memberships
2399 Outside Agency Services
2678 Misc. Equipment Rentals
5300 Stationery & Office Supplies
5902 Misc.Equip.&Tools(Under $100)
2125 - LEGAL SERVICES
PREVIOUS YEARS ACTIVITY
1999
1998 1999 EST. 1999 Revised
ACTUAL ACTUAL Budget BUDGET
$277,000 $264,140 $215,109 $227,306
6,326
60,750 36,770 48,150 50,188
900 150 500 500
1,250 1,480 1,900 1,900
470 200 250 250
7,000 7,240 6,000 6,000
6,500 5,610 6,000 6,000
2,050 1,140 1,000 1,000
17,550 76,720 75,000 75,000
20 250 250
2,400 2,160 2,255 2,255
0 0 0
0 350 350
2,130 2,600 2,500 2,500
0 0 0
$378 020 $398 210 $369.264 $379,826
INCREASE
m~CREASE)
2000
BUDGET
% CHANGE
2000 BUDGET
VS.
REV. 99 BUDGET
$37,941 $265,247 16,69%
(1,326) 5,000 -20.96%
10,293 60,481 20.51%
0 500 0.00%
0 1,900 0.00%
0 250 0.00%
0 6,000 0.00%
0 6,000 0.00%
0 1,000 0.00%
5,000 80,000 6.67%
0 250 0.00%
(135) 2,120 -5.99%
0 0 0.00%
(350) 0 -100,00%
0 2,500 'i\ "" 0.00%
0 0 " 0.00%
$61,423 $431,2481 13.64%
I CITY OF fot~KERING .1
CURRENT BUDGET
2125. LEGAL SERVICES
CLASSIFICATION
PREVIOUS YEARS ACTIVITY
1999
1998 1999 EST. 1999 Revised
ACTUAL ACTUAL Budget BUDGET
($69.520) ($78,000) ($72,000) ($72,000)
($69,520) ($78,000) ($72,000) ($72,000)
$308 600 $320.210 $287.264 $307,826
(INCREASE) 2000
DECREASE BUDGET
($13.000) ($85.000)
($13,000) ($86,000)
$38,423 $346 248
REVENUE
c.c
l\)
1413 Sale of Services - Legal
% CHANGE
2000 BUDGET
VS.
REV. 99 BUDGET
18.06%
18.06%
12.48%
1100
1200
~
1800
2110
ill!
9:40 AM
2125 - LE9AL SERVICES DIVISION
BACKGROUND INFORMATION
Page 1
Salaries and Wages
$265,247
Overtime
$I,QOO
Overtime for staff.
Reduced TJQ
$5,000
EmDlover Contributions
This item includes mandatory deductions (CPP., EI.. EHT.,)
and employer provided benefits such as dental, optical,
OMERS, life insurance and long tenn disability benefits.
$60,481
Conferences
$500
All Local and Regional Conferences (Solicitor)
6 conferences in 2000 @ $25,00 ea,
Canadian Bar Association (CBA) and CBA-Qntario
also hold conferences (usually one day in length) in
Toronto regarding Municipal Law and related matters.
Travel
$1,900
City Solicitor/Clerk for various
outside meetings, registry office and court,
Cellular Phones
Pager
$250
February 25
0211612000
93
2220
2320
2340
2392
2394
9:40 AM
2125. LE9AL SERVICES DIVISION
Page 2
BACKGROUND INFORMATION
SubscriDtions and Publications
$6,000
Rogers - Canadian Law of Planning & Zoning
Municipal & Planning Law Reports
Rogers - Law of Canadian Municipal Corporation
Ontario Regulations
Ontario Reports
OMB Reports
Miscellaneous
Leaal Services ExDenses
Expenses incurred in searching titles,
registering documents, filing documents
and obtaining transcripts - i.e. disbursements
to other agencies in payment of their fees
for services provided and purchase of Teraview
(automated Land Registry System).
$6,000
Seminars and Education
$1,000
Various Seminars - CBA; Law Society (Solicitor)
POA Training - Clerk/Solicitor
Municipal Prosecutors Seminars.
Consultative and Professional
Expenses incurred for.
Reble, Ritchie ($5,000 for 12 mo. = $60,000)
Official Plan Appeal; Various ,other Utigation Matters
$80,000
RecDtlProm.&SD.Ev.lGen P/R
$250
Meetings with outside solicitors.
February 25
0211612000
94
2395
2399
2678
5300
5902
Revenue
1413
9;40 AM
2125. LEGAL SERVICES DIVISION
BACKGROUND INFORMATION
MembershiDs
Law Society of Upper Canada - Solicitor
Canadian Bar AssociationlCBAO - Solicitor
Durham Law Association - Corporate
Toronto Law Office Management Assoc, - Manager
Institute of Law Clerks of Ontario - Clerk
Municipal Law Enforcement Officers Assoc, - Clerk
Prosecutors Association - Clerk
Outside Aaencv Services
Miscellaneous EauiDment ~entals
Stationerv and Office SuDDlies
To provide stationary and office supplies,
Misc. EauiDment Under $100
Sales of Services
Estimate based on revenue derived from the processing
of various agreements/leases, lot control by-laws,
building code prosecutions and other miscellaneous
services provided by the Legal Services Division.
0211612000
95
"
...r'"-
........ .
$1,415
175
115
200
115
75
25
Page 3
$2,120
$0
$0
$2,500
$0
($85,000)
February 25
I CITY OF ~~KERING I
CURRENT BUDGET
2139 - HUMAN RESOURCES
PREVIOUS YEARS ACTIVITY
I
1999
1998 1999 EST. 1999 Revised
CLASSIFICATION ACTUAL ACTUAL Bud et BUDGET
1100 Salaries & Wages $244,300 $309,970 $260,520 $286,983
<.0 111200 Overtime 0 0
0) 1400 Employer Contributions 39,250 41,160 58,617 61,528
1700 Long Term Service Gifts 6,800 6,260 7,437' 7,437
1800 Conferences 1,770 2,010 2,060 2,060
2110 Travel 30 70 200 200
2131 Cellular Phones 0 450 927 927
2210 Advertising 8,630 33,220 10,300 10,300
2220 Subscriptions & Publications 1,670 1,480 1,597 1,597
2340 Seminars & Education 1,330 1,470 1,592 1,592
2392 Consultive & Professional 98,970 96,440 123,373 123,373
2394 Public Relations 900 3,030 2,060 2,060
2395 Memberships 1,340 1,610 1,199 1,199
2396 Photo, Mapping, Printing 480 130 1,030 1,030
2399 Outside Agency Services 0 0 0
5300 Stationery & Office Supplies 6,500 2,070 4,120 4,120
5302 Forms 0 0 0
5398 G,S,T. Exempt 1,200 0 0
5902 Misc. Equipment (under $100) 0 0 0
$413,170 $499,370 $475,032 I $504,406
INCREASE 2000
(DECREASE) BUDGET
($7,040) $279,943
2,605 2,605
2,045 63,573
(772) 6,665
0 2,060
0 200
0 927
0 10,300
(53) 1,544
2,850 4,442
(3,364) 120,009
0 2,060
490 1,689
0 1,030
0 0
0 4,120
0 0
0 0
0 0
($3,239) $501,167
% CHANGE
2000 BUDGET
VS.
REV. 99 BUDGET
-2,45%
100.00%
3.32%
-10.38%
0.00%
0.00%
0,00%
0.00%
-3.32%
179.02%
-2,73%
0.00%
40,87%
0.00%
0.00%
0,00%
0,00%
0,00%
0,00%
-0.64%
11M
~
~
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1Bi
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m2
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9:40 AM
2'38 . HUMAN RESOURCES
BACKGROUNDINFORMA~ON
Salaries and Waaes
Total from Final Page
Overtime
Staff to perform overtime work and/or
evenings meeting as required
by the Corporation.
EmDlover Contributions
This item includes mandatory deductions (CPP" EI" EHT,,)
and employer provided benefits such as dental, optical,
OMERS, life insurance and long term disability benefits,
Lona Tenn Service Gifts
2000 Retirements 8 @ $300
25 year Employee Recognition
(3 watches at $220)
Employee Recognition Presentation of Awards
Employee Appreciation Event
Conferences
H.R. Professionals Association
of Ontario (Division Head)
I!n!1
Estimated travel expense for outside meetings
Cellular Phones
Advertlslna
Newspaper Advertising of employment opportunities
SubscrlDtions and Pu~lIcations
Canadian H.R. Reporter
Contract Clauses Lancaster Reporters
Benefits Canada
0211612000
97
$2,400
660
1,030
2,575
$105
1,339
100
Page 1
$278,143
$2,801
$83,173
$8,685
$2,080
$200
$827
$10,300
$1,144
February 25
2138. HUMAN RESOURCES
BACKGROUND INFORMATION
Page 2
~ Seminars and Education $4,442
Employment Law Update $721
(Employment Services Coordinator)
SeminarsIT rainingJDev ,/Networ1<ing
for HR Staff 3,000
Canadian Compensation Association
(Supervisor of Human Resources) 721
¡m Consultative and Professional $120,009
Provision for York University Assessments 53 ,090
(Part-time firefighters. $2251applicant)
Employment Medicals 3,090
PPFA Negotiations 12,000
Ongoing legal advice 20,000
(Account shared by CAO and HR respecting
Amalgamation/Governance, collective bargaining,
and miscellaneous labour relations issues).
1 Rights Arbitration (1 - 2 day hearing) 13,400
2 Rights Arbitration (2 - 1 day hearings) 16,400
Employee & Family Assist. Program(Res.441/97) 25,750
Job Analyst (Phase II completion of project)
plus 10% Employer contributions ~ Reduced T JQ
26,279
2394 Public Relations $2,060
Employee Relations
Flowers, Condolences, etc,
2395 MembershlDs $1,8.8
H,R. Professionals Association $340
of Ontario (Division Head)
Ontario Mun. Human Resource Assn. 154
(Division Head)
H.R. Professionals Association 340
of Ontario (Supervisor of Human Resources)
H,R. Professionals Association 155
of Ontario
(Employment Services Coordinator)
H,R. Professionals Association 100
Durham Region
(Employment Services Coordinator)
Ontario Municipal Management
Institute Renewal (OMMI) 600
(Corporate Membership)
9:40 AM
02/.1612000
February 25
98
mi
mi
5300
æ¡
5398
9:40 AM
~u - ~U- RESOURCES
BACKGROUNDINFORMA~ON
Photo. MaDDina and PrIntInG
Miscellaneous Printing
(Employment Services Fonns)
Outside Aaency Services
StatIonerY and Office SuDDlie.
EmnI
G.S.T. ExemDt
0211612000
99
Page 3
;Ji"
/, ~.
--~..
$1,030
$0
$4,120
$0
$0
February 25
I CITY OF PICKERING I
2000
CURRENT BUDG ET
CLASSIFICATION
1100 Salaries & Wages
1200 Overtime
1400 Employer Contributions
.....
0
0
1800 Conferences
1900 Uniforms
2110 Travel
2220 Subscriptions & Publications
2340 Seminars & Education
2392 Consultive & Professional
2395 Memberships
2678 Misc, Equipment Rentals
5300 Stationery & Office Supplies
5398 G.S.T. Exempt
2141- SAFETY & TRAINING
PREVIOUS YEARS ACTIVITY
1999
1998 1999 EST. 1999 Revised
ACTUAL ACTUAL Budaet BUDGET
57,300 37,260 43,940 43,940
9,500 4,090 4,394 4,394
590 0 0
0 0 0
180 160 200 200
90 270 335 335
11,400 13,930 17,785 17,785
0 1,030 1,030
590 380 500 500
160 0 0
630 570 515 515
40 0 0
$80 480 $56.660 $68699 $68,699
8k CHANGE
2000 BUDGET
INCREASE 2000
(DECREASE) BUDGET RL.. -- ---- .
$3,840 $47,780 8.74%
0 0 0.00%
384 4,778 8.74%
0 0 0.00%
0 0 0.00%
0 200 0.00%
10 345 2.99%
5,325 23,110 29.94%
0 1,030 \i\ "'" 0.00%
',: !
(255) 245 -51,00%
0 0 0.00%
(115) 400 -22.33%
, 0 0 0.00%
. $9,189 $77,888 13.38%
!1B
.m2
Jg
j,g
nH
am
mg,
2340
9:42 AM
¡
J1 - SAFETY & TRAINING
BACKGROUNDINFORMA~ON
Salaries and WaGes
Total from Final Page
Overtime
EmDlover Contributions
This item includes mandatory deductions (CPP" EI., EHT.,)
and employer provided benefits such as dental, optical,
OMERS, life insurance and long term disability benefits,
Conferences
Uniforms
Iw!l
Provision for travel allowance to cover parking
and mileage for outside meetings,
SubscrlDtlons and Publications
OHS Magazine
Accident Prevention Magazine
WSIB Policy Manual Update
Training Magazine
Seminars and Education
St John Ambulance - First Aid
Fire - 50. Firefighters
StJohn Ambulance - First Aid
Civic Complex - 10 staff
Annual OHS Conference - 3 staff
MIPP Follow-up
The Musculoskeletal Injury Prevention Program (MIPP)
is required as a proactive strategy to help reduce WSIB
claims that fall under this category. The training provided
by this program will help to r~ce claims and, therefore,
reduce future WSIB costs.
0211612000
101
Page 1
$47,780
$0
$4,778
$0
$0
$200
$346
$100
25
90
130
$23,110
$5,150
620
310
1,030
February 25
am
2395
.2m
ÐU
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9:42 AM
~41 . SAFETY & TRAINING
BACKGROUND INFORMATION
Seminars and Education (Cont'd.,)
Co roo rate Staff Tralnlna and Develooment ProGram
True Colors,
Maximizing Communications.
Management & Development of People.
Team Building,
Change Management.
Customer Service Excellence.
Consultive and Professional
Provision for WSIB Claims. Management Assessment.
Presentation and Schedule 2 Review
Membershlos
Q,S.T.D Membership
Ontario Society for Training and Development
WSIB Users Group
Misc. Eauloment Rentals
Provision for Pager
Stationery and OffIce Suooilies
Miscellaneous office supplies including toner cartridges,
binders, transparencies. business cards. day timer,
G.S.T. Exemot
, 0211612000
102'
16,000
$180
65
Page 2
$1,030
$245
$0
$400
$0
February 25
I CITY OF :~;KERING I
CURRENT BUDGET
2127 - FINANCE
,..
Q
c..>
1100
1200
1400
1500
1800
2110
2131
2191
2210
2220
2340
2365
2392
2394
2395
2399
5300
5302
5398
PREVIOUS YEARS ACTIVITY
1998 1999 EST. 1999
CLASSIFICATION ACTUAL ACTUAL Budget
Salaries & Wages $830,000 $879,690 $790,890
Overtime
Employer Contributions 126,200 126,730 164,435
Bill 79 0 12,800 22,436
Conferences 400 700 3,920
Travel 1,100 840 1,~00
Cellular Phones 630 1,040 700
Data Processing Services 23,400 27,680 26,500
Advertising 0 1,236
Subscriptions & Publications 2,220 3,500 1,999
Seminars & Education 1,200 2,460 2,942
Purchased Printing 31,240 13,670 16,300
Consultive & Professional 26,000 100 10,300
RecptlProm.& Sp,Ev./Gen P/R 1,400 3,220 1,200
Memberships 2,400 3,240 4,195
Outside Agency Services 150 300 1,820
Stationery & Office Supplies 9,700 15,660 7,000
Forms 5,250 1,570 3,761
G.$,T, Exempt 920 0
$1,062,210 $1,093,200 $1,061,134
% CHANGE'
2000 BUDGET
1999
.d INCREASE 2000
.=T (DECREASE) BUDGET R_.. -- ____T
$860,369 $72,136 $932,505 8,38%
15,816 5,738 21,554 36~
176,038 22,311 198,349 12,67%
22,436 (9,536) 12,900 -42.50%
3,920 0 3,920 0.00%
1,500 0 1,500 0,00%
700 0 700 0.00%
26,500 0 26,500 0,00%
1,236 0 1,236 0,00%
1,999 0 1,999 0,00%
2,942 1,058 4,000 35,96°A,
16,300 0 16,300 0,00%
10,300 14,700 25,000 142.72%
1,200 1,600 2,-800 133,33%
4,195 0 4,1~ II.," 0,00%
1,820 0 1,820 0,00%
7,000 3,000 10,000 42,86%
3,761 (2,316) 1,445 -61,58%
0 0 0 0.00%
$1,168,032 $108,691 $1.266,723 9.39%
I CITY OF PICKERING I
2000
C~
2127 - FINANCE
....
0
~.
PREVIOUS YEARS ACTIVITY
1998 1999 EST. 1999
CLASSIFICATION ACTUAL ACTUAL Budaet
REVENUE
Sale of Services - Financial ($114,640) ($133,860) ($131,500)
Penalties & Interest on Taxes (748,660) (1,150.000) (765,000)
($863,300) ($1,283,860) ($896,500)
$198,910 ($190,660) $164,634
1412
1560
1999
% CHANGE
2000 BUDGET
Revised (INCREASE) 2000
BUDGET DECREASE BUDGET R__- -- -----.
($131,500) ($9,375) ($140,875) 7,13%
(765,000) (135,000) (900,000) 17.65%
($896,500) ($144,375) ($1,040,875) 16,10%
$261,532 ~35684l $225,848 -13.64%
====
~
mR
1400
jg
9:45 AM
I
f127 . FINANCE
. BACKG~OUND INFORMATION
Salaries and Waaes
Total from Final Page
Plus:
Temporary help due to increased volume,
lnaease in part time hours for Tax Clerk to 4 days per week
from 3 days per week. lnaease is required to partially replace full time
staff that have been allocated for Bill 79 work.
Conversion of two part time secretary positions to junior financial
analyst. lnaease reflects inaemental cost.
Overtime
Budgets
Year end Accounting Matters
Tax Due Dates
Bill 79 - Overtime for preparing bills and
addressing realty tax conœms
EmDlover Contributions
This item ¡ndudes mandatory deductions (CPP" EI., EHT.,)
and employer provided benefits such as dental, optical,
OMERS, lite insurance and long term disability benefits.
.mu..n (Capping Legislation)
The complexity of the Bill requires resources for a
communication strategy and access to legal professionals,
In addition, many large property owners have hired tax consultants
to challenge their tax bills.
Communication Strateav
Advertising
2000 Final Bill
Consultina & Professional
Consulting and professional for legal challenges
and services for Bill 79 (MTE)
Training
Bill 79 workshops
0211612000
105
$910,847
5,000
6,658
10,000
$7,000
7,000
1,054
6,500
$8-ti
12,000
900
Page 1
$932,505
$21,554
$198,349
$12,900
Deleted T JQ
February 25
1IWl
Z112
2131
ill!
2m
2m
9:45 AM
2127 - FINANCE
BACK~OUND INFORMATION
Conferences
Treasury Management Assoc. of Can, - Treasurer
Mun, Fin. Officers Assoc. - Treasurer
Municipal Tax Conference - Manager of Finance
Mun, Fin. Officers Assoc. - Bet of Directors
Mtg.(2 days)- Treasurer
Canadian Payroll Conference - Payroll SupelVisor
Canadian institute of Chartered Accounts Conference -
Manager of Accounting
$520
1.050
520
0
260
520
1.050
TIm!
Travel for Director and Staff (meetings, ete,)
Cellular Phones
Treasurer
Data Processing Services
Processing of City's Payroll
Comcheq (C,I.B.C,)
Advertisina
Tax Billing
Final x 2 June and September
SubscriDtions and Publications
Economist
Globe & Mail
Toronto Star
Ontario Gazette
Ontario Statute Citator
Canadian Business
Municipal World
Canadian Investment Review
Municipal Ad
Assessment Ad
Current Bill Service
Miscellaneous Material
$68
219
118
130
233
26
125
62
206
206
206
400
0211612000
106
Page 2
$3,920 .
$1,500
$700
$26,500
$1,236
$1,999
February 25
zæ
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2394
2m
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9:45 AM
2127 . FINANCE
BACKGROUND INFORMATION
Seminars and Education
Various educational training courses relating to:
tax collection, accounting courses and advanced
computer courses.
Purchased PrintinG
Tax Bill Printing - Royal Bank
Consultive & Professional
Consulting/legal - Assessment Appeals,
ego Ontario Hydro Nudear Plant
Receotions. Promotions and Soecial Events
General Public Relations
Treasurers Meetings
Other Governments - Special meetings
Membershios
Financial Management Institute - Treasurer
Institute of Public Administration of Canada - Treasurer
Society of Management Accountants of Ont. - Treasurer
Society of Management Accountants of Onto - Mgr, Finance
Canadian Institute of Chartered Accountants - Mgr Accounting
Association of Municipal Tax Collectors - Treasurer
Govemment Fin. Officers Assoc, of the U.S, & Can. - Treasurer
Treasury Management Association of Canada - Treasurer
Association of Municipal Clerks & Treasurers - Mgr. & Payroll Super,
Municipal Finance Officers Association - Corporate (4)
Canadian Payroll Association - Payroll Supervisor
Outside AGency Services
Security Services - Bank Deposits (52 x $35)
StationerY and Office Suoolles
Stationery, Computer Paper
Printer Cartridges & misc. supplies
Corporate printer toner charged to this account,
0211612000
107-
$800
2,000
$31
103
565
565
772
93
170
258
503
670
465
Page 3
$4,000
$16,300
530,000
$25,000
Reduced T JQ
$2,800
$4,195
$1,820
$10,000
February 25
2127 - FINANCE
BACK~ROUND INFORMATION
5302
f2m1I
;Ji"
.",,-... ...
....---'.
Accounts Payable Adion Slips (2,000)
Invoices & Statements
Cash Receipts
§m
G.S.T. Exemot
1412
Revenue
Sales of Services - Financial
Tax Certificates Quantitv Rate
January to June 1,125 $60
July to December 1,125 $65
Sub Total 2,250
($67,500)
($73,125)
($140,625)
Miscellaneous Receipts (250)
1æ Penalties & Interest on Taxes
Adual Adual Budget Est. Adual
1997 1998 Wi 1999
($804,151) ($748,655) ($765,000) ($1,150,000)
The increase in revenues reflects 1999 estimated aduals,
It is anticipated that for the 2000 tax cycle that the residential tax bills
will follow the traditional billing pattern of February, April, June and September.
However, for the Bill 79 properties, the final bill will probably be issued
in the last quarter,
9:45 AM
0211612000
108
$160
235
1,050
Page 4
$1,445
$0
($140,875)
($900,000)
February 25
I CITY 'OF f~;KERING I
CURRENT BUDGET
2133 - SUPPLY AND SERVICES
PREVIOUS YEARS ACTIVITY .
1999
1998 1999 EST. 1999 Revised
CLASSIFICATION ACTUAL ACTUAL au t BUDGET
1\
...
0 111100 Salaries & Wages $223,400 $248,490 $224,296 $241,408
CD 1200 Overtime 1,054
1400 Employer Contributions 41,600 40,070 50,466 52,458
1800 Conferences 610 0 0
1900 Uniforms 150 200 250 250
2110 Travel 130 170 300 300
2220 Subscriptions & Publications 0 300 300
2340 Seminars & Education 1,000 1,110 1,786 1,786
2394 RecptlProm.&Sp.Ev.lGen P/R 160 90 200 200
2395 Memberships 1,590 1,820 1,620 1,620
2457 Vehicle - Repair & Maintenance 1,600 700 1,600 1,600
2478 Misc. Equipment Repair & Maint. 130 270 500 500
5300 Stationery & Office Supplies 630
5398 G,S,T, Exempt 100 0 0
5900 Gas, Oil, Tires, etc, 280 100 400 400
5902 Misc. Equipment (under $100) 170 200 200
$270,920 $293,650 ,$281,918 I $302,076
% CHANGE
2000 BUDGET
INCREASE 2000
(DECREASE) BUDGET REn -
$6,034 $247,442 2,50%
(54) 1,000 -5,12%
3,441 55,899 6,56%
800 800 NA
0 250 0,00%
(100) 200 -33.33%
(170) 130 -56.67%
(792) 994 -44,34%
0 200 0,00%
231 1,851 ~i\ \'" 14,26%
(1,600) 0 ':'; -100.00%
(200) 300 -40.00%
400 400 NA
0 0 0,00%
(400) 0 -100,00%
0 200 0,00%
$7,590 $309.666 2.51%
11U
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1U2
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9:46 AM
2133 ~ SUPPLY & SERVICES
BACKGROUND INFORMATION
Salaries and WaGes
$247,442
Total from Final Page
Overtime
$1,000
To cover special activities such as inventory
and call-ins,
EmDlover Contributions
$51,888
This item includes mandatory deductions (CPP" EI., EHT,,)
and employer provided benefits such as dental, optical,
OMERS, life insurance and long tenn disability benefits.
Conferences
Ontario Public Buyers Association, Ottawa
$800
Unlfonns
$250
An allocation of $250 has been provided to allow for
woJ'1( clothing for the Stores CleJ'1( as required by the
Collective Agreement
IIn!I
$200
Staff mileage,
SubscrtDtions and Publications
$130
This account provides for the cost of subscribing to
the Constroction Law Letter
I 0211612000
110
Page 1
February 25
¡æ
nH
mI
9:46 AM
2133 . SUPPLY & SERVICES
BACKGROUNDINFORMA~ON
Seminars and Education
This account provides for the following:
Buyer 2:
Seminar, to be determined
OPBA Wor1<shop
Certificate of Purchasing, Buyer 2
Materials Buyer 2
PMAC Pro-Dev Program, Mandatory Course
Introduction to Organizational Behaviour
OPBA Wor1<shop
Certificate of Purchasing, Material Buyer 2
ReceDtions. Promotions and Soeclal Events
General Public Relations
MembershlDs
Manaaer
Purchasing Management Association
of Canada (PMAC)
Ontario Public Buyers Association (OPBA)
Ontario Municipal Management Institute
~
PMAC
OPBA
Materials Buyer 2
PMAC
OPBA
0211612000
111
$250
40
107
450
40
107
$392
200
75
392
200
392
200
$114
$200
$1,8&1
Page 2
February 25
WI
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9:46 AM
2133 . SUPPLY & SERVICES
BACK9ROUND INFORMATION
Vehicle ReDal, & Maintenance
Miscellaneous EaulDrnent & ReDalrs
$300
This account provides for the repairs and maintenance
of the hydraulic lift, forK lift and miscellaneous equipment
Stationery & Office Supplies
$<tOo
This account provides for the supply of stationery
and office supplies
G.S.T. ExemDt
$0
Gas. 011. Tires. Etc.
Miscellaneous EaulDrnent 'unde, $100)
This account provides for the purchase of inexpensive
operating materials such as stock boxes, small
hardware, etc.
$200
0211612000
112
Page 3
February 25
[--
CLASSIFICATION
....
I-'
~"
1100 Salaries & Wages
1200 Overtime
1400 Employer Contributions
1800 Conferences
2110 Travel
2191 Data Processing Services
2220 Subscriptions & Publications
2340 Seminars & Education
2392 Consultive & Professional
2394 Recpt.,Prom, & Spec.Ev.,Gen, P/R
2395 Memberships
2478 Mise, Equip, Repairs & Maint.
2678 Mise, Equip, Rental
5300 Stationery & Office Supplies
5398 G.S,T, Exempt
5902 Mise, Equipment (Under $100)
~ . .
_u CITY OF ~~~KERING-- ._-- -.-. -- ---~ ---l
---- CURRENT BUDGEL_____~--------------~
2196 - INFORMATION SYSTEMS
PREVIOUS YEARS ACTIVITY
1999
1998 1999 EST, 1999 Revised
ACTUAL ACTUAL Budaet BUDGET
$260,000 $271,120 $282,588 $343,591
8,435
43,200 40,310 63,582 71,220
0 0 0
460 720 500 500
0 0 0
1,200 350 600 600
14,900 11,690 13,450 13,450
19,950 36,090 4,000 4,000
130 330 300 300
320 280 1,100 1,100
115,440 128,630 134,655 134,655
0 19,300 5,750 5,750
1,720 3,210 3,500 3,500
2,320 0 0
1,310 1,600 1,300 1,300
$460 950 $513.630 $511,325 $588,401
8k CHANGE
2000 BUDGET
INCREASE VS.
(DECREASE) REV. 99 BUDGET
$8,589 $352,180 2.50%
1,565 10,000 18,55%
10,271 81,491 14,42%
0 0 0,00%
200 700 40,00%
0 0 0,00%
400 1,000 68,67%
1,654 15.104 12,30%
33,000 37,000 825,00%
0 300 0,00%
(25) 1,075 -2.27%
42,905 177,560 \1\ 1;, 31,86%
(5,750) 0 '. ~ -100.00%
500 4,000 14.29%
0 0 0,00%
(50) 1,250 -3,85%
$93,259 $681,660 U 15.85%
11Ø
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9:51 AM
2198 -INFORMATION SYSTEMS
IðfKGROUNDINFORMATION
SalarIH & Waaes
Total From Final Page
New Position - Business Analyst (Odober 1, 2000 start date)
Overtime
To complete work after hours and on weekends so as to disrupt
Town staff at a minim8llevel. Servers are to be converted to
Windows 2000 from Novell after hours and on weekends.
EmDlover Contribution.
This item includes mandatory deductions (CPP., EI., EHT.,)
and employer provided benefits such as dental, optical,
OMERS, life insurance and long term disability benefits,
Conferences
IœIl
Support offsite facilities, after-hours support
Data Proc...lna Services
SubacrlDtion. & Publication.
Reference Material and Manuals, Including T echnet
Seminara & Education
Strategic Information Systems Planning - Manager
Mgmnt Skills & Techniques for Supervisors - NetwolX Administrator
Designing Windows 2000 - Network Administrator
Admin, Windows 2000 - Manager & PC Analyst II
Various courses for staff,
Office 2000 Support - PC Analyst I, PC Analyst II
Consultative & Professional
G.I,S, Programming Support
P & C Consulting - Oracle Support
VaUtech - Bill 79/ Tax Support
Vailtech - Fmancials, Viking Attendance Management, HR
0211612000
114
$352,180
44;QiQ
D8f8rr8d to 2001 - T JQ
5,000
$2,454
~ Deleted T JQ
2,460
2,950
3;QOO Reduced T JQ
2,240
25,000
iO;QQO Reduced T JQ
3,000
5,000
4,000
Page 1
$352, 180
$10,000
$81,491
$0
$700
$0
$1,000
$15,104
$37,000
February 25
9:51 AM
¡æ
mI
lliI
2111 . INFORMATION SYSTEMS
BACKGROUND INFORMATION
RecDt. Prom. & SD.Ev.. Gen PIR
To meet with suppliers to detennine industry trends; to seek
solutions regarding specific issues; for general hosting.
MemberahlDS
Oracle User's Group - Oracle DBA
EEE Standards - Netwcn Administrator
Municipallnfonnation Systems Association - Manager
Certified Municipal Management Program - Manager
EauiDment ReDSlr & Maintenance
x
Software Maintenance Contracts
HR:lnfo - Human Resources System
Maintenance fee for T ouchtone Registration,
Viking - Attendance Management
Vailtech - Tax Billing & Receivable
Vailtech - General Ledger
Vailtech - Accounts Payable
Vailtech - Accounts Receivable
JPH - Budgeting
Oracle - Server & Client Modules
Escom - Program Registration and Facility Bookings.
Auto Desk - VP Subscription for AutoCAD
McAfee Anti-VIl'US Software - 3 Year Ucense
x
Hardware and SYStem SuDDOrt Aareements
Network Support from Conpute - onsite
Network Support from Conpute - phone
Microsoft Support - Office Products
Microsoft Support - 15 Systems
Service Contrad - HP65OC Plotter
Service Contrad - HP75OC Plotter
NetMedia - Registered Domain - Web Site
NetMedia - Virtual Hosting and Storage - Web Site
PSI- Six Months 128kb Internet Connection
PSI - Six Months 256kb Internet Connection
Reamined - Convert Asseaament Data
HP D25O - Oracle Server - 3 Year License
3COM - Network Hubs
x
~
Equipment Repair - rune & Material
Sundry Software Upgrades
Netwcn Cable InataUation and Repair
AutoCad and SoftDeak Upgrades
Windows 2000 Network Upgrade & Conversion Support
CeU Phone - Manager to be on-caH
General Expenditures
Page 2
$300
$1,075
S3OO
475
200
100
$177,510
$3,800
5,300
2,450
5.610
5,610
2.530
2.530
5,800
29,051
7,000
2,400
15,750
3,000
1,200
1,000
2,000
900
1,100
180
800
2,860
6,099
600
12.840
2.350
10,000 ~ Reduced T JQ
2,000
3,000
4,000
25,300
500
10,000
x - The eccount ha inct8888d from the previous yeIIr due to the renewal of
(2) th.... yeIIr contr8ct8 and the OIi8-tIme converaion to Windows 2000.
0211612000
115
February 25
.am
Ð22
DU
au
9:51~
21M .INFORMA110N SYSTEMS
BACKGROUND INFORMA 110N
Miscellaneous EaulDment Rental
StatIonerY & OffIce SuDDII..
$4,000
General day-to-day office stationery & supplies
G.S.T. Exemot
Miscellaneous EaulDment Under S1oo
$1,250
Provision for small replacement PC items
0211612000
116'
Page 3
$0
$0
FebnI8ry 25
¡.Cf1'Y. ..OF p. I.CKE. RING
.. . 2000 ...
. . ' CURRENT BUDG ET
2710 - OPERATIONS & EMERGENCY SERVICES - ADMINISTRATION
CLASSIFICATION
-4
.....
~
1100 Salaries & Wages
1200 Overtime
1400 Employer Contributions
1800 Conferences
2110 Travel
2131 Cellular Phones
2210 Advertising
2220 Subscriptions & Publications
2340 Seminars & Education
2394 RecptiProm.&Spec.Ev.lGen. P/R
2395 Memberships
2396 Photo, Mapping, Printing
2399 Outside Agency Services
2457 Vehicle Repairs & Maint.
5300 Stationery & Office Supplies
5302 Fonns
5398 G.ST Exempt
5900 Gas, Oil, Tires, etc.
PREVIOUS YEARS ACTMTY
1998
ACTUAL
$201,230
33,730
0
200
1,410
0
460
760
1,070
460
20
0
130
1,700
0
30
0
$241,240
1999 EST.
ACTUAL
$236,270
30,310
470
650
1,420
710
640
620
490
2,560
$2741360
1999
Budget
$219,054
44,171
1,500
3, ()()()
1,300
0
300
1 ,()()()
500
475
100
0
0
2,500
250
0
0
$2741150
1999
Revised
BUDGET
$236,469
2 , ()()()
46,321
1,500
3, ()()()
1,300
0
300
1, ()()()
500
475
100
0
0
2,500
250
0
0
$295l35
INCREASE
(DECRI;ASE)
($7.726)
0
201
2, ()()()
0
0
0
0
0
0
0
0
0
0
0
0
0
0
($5,525}
2000
BUDGET
$226..7.6, ..31'
2,000
46,522
3,500
3, ()()()
, 1, 300
0
300
1,000
500
475
100
0
0
2,500
250
0
0
, $290,210
0/. CHANGE
2000 BUDGET
VS.
REV. 99 BUDGET
-3.27%
0.00%
0.43%
133.33%
0.00%
0.00%
0.00%
0.00%
0.00%
0.00%
0.00%
0.00%
0.00%
0.00%
0.00%
0.00%
0.00%
0,00%
-1.87%
1100
NEW
1200
1400
1800
2110
2131
2210
2220
9:53 AM
2710 - OPERATIONS & EMERGENCY SERVICES - ADMINISTRATION
BACKGROUND INFORMATION
Salaries and Waaes
Total from Final Page
Transfer of one staff to dept (2711)
Transfer of summer student hours to dept (2290)
Landscape & Parks Development Technician (Mars::¡ 112000)
Reduced TJQ (July 1, 2000)
Overtime
Overtime for Administration Support.
EmDlover Contributions
This item includes mandatory deductions (CPP., EL, EHT,,)
and employer provided benefits such as dental, optical,
OMERS, life insurance and long term disability benefits,
Conferences
Ontario Parks Association - Director
To allow for attendance at one out of Province conference
Travel
Automobile mileage expenses for Administrative staff
(includes contributions to the Toronto Region
Conservation Authority Coordinator)
Cellular Phones
To pay cellular phone expenses for 2 staff
Advertisina
SubscriDtions & Publications
To enhance Department's resource library
0211612000
118
$242,400
($32,852)
(5.985)
42;OOQ
25,200
$228,763
$2,000
$46,522
$3,500
$3,000
$1,300
$300
$0
Page 1
I
I
t
¡
February 25
2340
2394
nu
2396
2399
2457
9:53 AM
2710 - OPERATIONS & EMERGENCY SERVICES - ADMINISTRATION
BACKGROUND INFORMATION
Seminars and Education
To allow staff to attend training and Educational
Courses and Workshops
Educational Seminar (Ontario Parks Association) - Director
Various Ministry Workshops - Facility Superintendent
Computer Training - various staff
Health and Safety - various staff
Public Relations
Administrative staff
MembershiDs
1 @ $75 C,M,M. (Certified Municipal Manager)
1 @ $100 Niagara Parks Assoc.
1 @ $300 National Rec, & Parks Assoc,
Photo, MaDDina. Printing
To cover professional services for photography
and outside reproduction
Outside Aaencv Services
Vehicle ReDairs & Maintenance
0211612000
119
$1,000
$500
$475
$100
Page 2
$0
$0
February 25
2710 - OPERATIONS & EMERGENCY SERVICES -ADMINISTRATION
BACKGROUND INFORMATION
~
StationelV & OffIce SuDDlies
$2,500
To provide stationery & misc. supplies
(indudes contributions to the Toronto Region
Conservation Authority Coordinator)
5302 Fonns
mI G.S.T. ExemDt
~ Gas. Oil. Tires. etc.
9:53 AM
$250
0211612000
120
Page 3
$0
$0
{
February 25
I CITY.....OF.P. I.C. K...... ER .1. NGI
... . ... .. ...2000.. . . ... .. ..
. . CURRENTBUDGET. . .
2240 - FIRE SERVICES
....
N
...
CLASSIFICATION
1100 Salaries & Wages
1200 Overtime
1400 Employer Contributions
1800 Conferences
1900 Uniforms
2110 Travel
2131 Cellular Phones
2210 Advertising
2220 Subscriptions & Publications
2340 Seminars & Education
2370 Insurance
2371 Self-Insurance
2392 Consultive & Professional
2394 RedProm.&Sp,Ev.lGen P/R
2395 Memberships
2396 Photo, Mapping, Printing
2435 Building Repairs & Maint.
2457 Vehicle-Repair & Maint.
2478 Misc. Equip. Repairs & Maint.
2678 Rental Equipment
5300 Stationery & Office Supplies
5302 Forms
5398 G.S,T, Exempt
5510 Utilities - Water
5520 Utilities - Gas
5530 Utilities - Hydro
5540 Utilities - Oil
5900 Gas, Oil, Tires, etc.
5902 Mise, Equipment (Under $100)
PREVIOUS YEARS ACTIVITY
1998 1999 EST.
ACTUAL ACTUAL
4,624,490 4,951,150
788,850
1,030
76,330
9,440
3,890
1,720
1,600
10,560
24,205
0
3,200
1,500
1,090
33,000
75,580
31,000
1,250
4,050
560
3,360
3,820
9,610
27,630
1,950
22,620
15,210
$5,779,565
692,440
2,320
67,300
7,470
3,380
7,120
1,460
16,230
24,205
220
2,600
1,670
700
31,900
77,530
37,660
2,630
6,110
3,360
14,000
30,760
1,240
20,630
13,950
$6,018,235
1999
BUDGET
$4,652,232
1,020,785
1,939
93,658
10,095
3,914
6,000
2,000
17,050
24,205
1,854
3,000
1,823
1,236
33,269
72,100
35,277
1,545
4,068
515
0
5,356
9,991
30,694
2,215
24,205
13,904
6,072,930
1999
Revised
BUDGET
$4,770,456
6,000
1,052,747
1,939
93,656
10,095
3,914
6,000
2,000
17 , 050
24,205
1,854
3,000
1,823
1,236
33,269
72,100
35,277
1,545
4,068
515
0
5,356
9,991
30,694
2,215
24,205
13,904
$6,229,116
INCREASE
(DECREASE)
$169,504
0
32,397
876
430
(7,095)
0
600
0
5,450
0
0
20,000
0
0
0
700
(7,100)
0
1,006
2,432
1,485
0
(1.106)
5,009
0
(215)
(6,205)
0
$216,370
2000
. .
BUDGET.
.. . .. .
$4,939,960
.6,000
1,065,144
".2,815
.94,086
..3,000
3.914
E),800
.2;000
22,500
.24,205
1,654
20,000
.3,000
1;823
1,236
33,969
. 65,000
. 35,277
2,553
6,500
2,000
0
.4,250
15,000
30,694
2,000
. 16,000
13,S04
$6.445.486
% CHANGE
2000 BUDGET
VS.
REV. 99 BUDGET
3.55%
0.00%
3,06%
45.18%
0.46%
-70,28%
0.00%
13.33%
0.00%
31.96%
0.00%
0.00%
NA
0.00%
0.00%
0.00%
2.10%
-9.85%
0.00%
65,24%
59,78%
288.35%
0.00%
-20.65%
50.14%
0.00%
-9,71%
-33.90%
0.00%
3.47%
f CITY.......O.F........p. I..C.K. E.:.R..........ING ...1
. . ... . 2000.. .
CURRENT BUDGET . .
2240 . FIRE SERVICES
% CHANGE
1999 II ~B~~
1998 1999 EST. 1999 Revised (INCREASE)~~OOO VS.
DECREASE BUDGEt¡ REU BUDGET
CLASSIFICATION ACTUAL ACTUAL BUDGET BUDGET
REVENUE
¡... II 1424 Sale of Services - Fire Prot. I ($68,510) ($30,910) ($69,000)1 ($69,000) $0 D ... ($69,000). 0.00%
tV
I\:) I I
"
$0 0.00%
$5,711,055 $5,987,325 $6.003.9:1 $6,160j~6 $216,370 . $6,37$,486 3.51%
~
1200
1400
jJgg
9:55 AM
. FIRE SERVICES
BACK1ROUND INFORMATION
Salaries & WaGes
Total from Final Page
Provisions for:
Part TIme Firefighters
Call Back Pay
Ueu Day Pay
Acting Rank Pay
Meetings Occup, H. and Safety & Lab.
3 New Firefighters Claremont: (MaFGh 1, 2000)
Deferred to 2001 - T JQ
Overtime
Overtime for Non-Union Staff
EmDlover Contributions
This item indudes mandatory deductions (CPP., EI., EHT,.)
and employer provided benefits such as dental, optical,
OMERS, life insurance and long term disability benefits,
Provision in lieu of opticnal benefits, such as dental,
optical, life insurance and long term disability for permanent
part-time employees,
Conferences
Ontario Association of Fire Chiefs - Fire Chief
Municipal Fire Service Instructors Assoc. Conference
- Training Officer
Municipal Fire Dept. Fire Prevention Officers Assoc,
- Fire Prevention Officer - FPIC
0211612000
123
Page 1
$4,939,960
$4,507,865
106,690
106,690
192,042
21,338
5,335
121,333
$6,000
$1,085,144
$2,815
$800
515
1,500
February 25
1Jgg
zm
am
mil
am
9:55 AM
2240 FIRE SERVICES
BACKGROUND INFORMATION
Uniforms
Safety shoes and uniforms - This expenditure is mainly
for replacement of volunteer uniforms that are 8 years old,
New Part TIme Firefighters (ten)
Protective Firefighting Bunker Gear -
Replacement and Maintenance, Full and Part time
Jackets Part-time
Dry Cleaning (as per Collective Agreement 77X$90)
Travel
Fire College Courses
Fire Prevention and Training Mileage
Cellular Phones
Truck #231
Truck #50 1
Truck #631
Fire Chief
Deputy Fire Chief
Fire Prevention Officer
Training Officer
Fire Inspector
Advertlsina
Smoke/Carbon Monoxide Alarm Programs
Reauitment for entire City
Fire Department Information, Fire Prevention
SUbsCriDtiOns
Trade Magazines
National Fire Protection Codes
ULClCSA Codes
Ontario Fire and Building Codes Updates
0211612000
124
Page 2
$94,088
$28,840
15,000
38,110
5,000
7,138
$3 , 000
$1,545
1,455
$3,914
$6,800
$2,000
February 25
~
2370
2371
2392
2394
10:38 AM
~40 FIRE SERVICES
BACKc;ROUND INFORMATION
Seminars and Education
Community College Courses
Arson Seminars
American Heat Video Tapes
WETT Course (Fireplace Inspections - FPO)
IFSTA Manuals 20 x $65
Resource Materials
Recertification for High Angle Rescue Trainers
Train the Trainer Courses
Basic Trauma & Life Support
Human Resources & Development
Westleyville Uve Fireground Training
Pool Rental Ice H2O
Auto - for extrication
Scott Breathing Apparatus Course (2 persons)
Other Training as required
Insurance Premium
Self-Insurance
Consultive & Professional
Prosecutions for non compliance issues. Offsetting revenues aP'! in POA.
ReceDtion. Promotion. SDeCial Events &
General Public Relations
Visitors, Fire Marshal, Guests, Honoraria
Host Durham Regional Fire Chiefs
Host Durham Regional Mutual Aid
Host Durham Regional Training Officers
Host Durham Regional Fire Prevention Officers
Food for Emergency Situations
0211612000
125
Page 3
Reduced T JQ
$27,100
$22,500
$24,205
$1,854
$20,000
$3,000
$681
412
309
155
155
1,288
F ebruaty 25
DU
mi
am
~
9:55 AM
~ FIRE SERVICES
BAC~GROUND INFORMATION
Membershios
Ontario Association of Fire Chiefs
Canadian Assoc. of Fire Chiefs (Chief and Deputy)
Durham Regional Fire Chiefs
Durham Regional Mutual Aid Association
Toronto Arson Task Force
Municipal Fire Prevention Officers Association
Municipal Fire Service Instructors Association
Canadian Safety Officers Association
WETT Memberships
NENAlAPCOIIAFC
Photo. MaDDina & Printing
Buildinas Reoairs & Maintenance
Lawn Spraying - 3 halls
Fumace and Air Conditioning Maintenance Contract
Paint Fire Hall #2
Standby Generators Maintenance Contract
Apparatus Doors Maintenance Contract
Air Compressor Maint. Contracts (SCBA Refills)
Pump out of Hazardous Waste Tank at Station 6
General Repairs
Vehicle Reoairs & Maintenance
Pump, engine and aerial device repairs
Certification for Aerial Devices
PMVCI (periodic motor vehicle certification inspections)
0211612000
126
Page 4
$1,823
;Ji
£.$144
113
103
206
206
124
103
134
360
330
$1,236
$33,969
$700
6,695
10,300
1,339
4,635
3,090
1,030
6,180
$65,000
$35,130
2,060
27,810
February 25
~
2678
~
5302
5398
5510
5520
9:55 AM
aro FIRE SERVICES
I
~ROUNDINFORMATION
Misc. EQuiD. Reoairs and Maintenance
UHF Radio Ucenses
Radio, Pagers-, Sirens
Resuscitator Service Centrad
SURPASS Alarm Repair Contrad
SCBA Masks - Fit testing recalibration
Air Cylinder Hydrostatic Testing
Fire Extinguisher Repairs, Refill & Testing
Typewriter, Copier, Dictaphone Service Contrad
SCBA Repair Parts
Opticom Repairs
Genesis Auto Resuscitation Service Contrad
General Repairs
EQuiDment Rentals
Pagers: Chief, Deputy, T.O, & F.P,O, ($21 x 12 x 6)
Cell phones.
StationarY & Office SuDDlies
Fonns
G.S. T. ExemDtion
Utilities - Water
Utilities - Gas
Stations 2, 5, 6
Station 4
0211612000
127
Page 5
$35,277
$5 , 356
2,678
824
515
1,339
1,236
772
1,545
5,150
9,270
824
5,768
$2,553
$1,008
$6,500
$2,000
$0
$4,250
$15,000
$8 , 446
1,545
February 25
5530
5540
5900
5902
~
9:55 AM
Utilities - Hydro
Station 2, 3, 5, 6
Station 4
Utilities - Oil
Station 3
Gas. Oil. Tires. HeDtane etc.
~ FIRE SERVICES
~ROUND INFORMATION
Miscellaneous EQuiD. (under $100)
Flares and Barricade tape
Grass Fire Brooms
Absorbal (Clay Pick-up)
Rescue Supplies
Miscellaneous Supplies
Revenue
Sale of Services
Highway 401 related calls (out of our area)
Fire & alarm inspections and reports
Extinguishing grass fires on railway lines
Fire vehide & crew for production of movies
0211612000
128
Page 6
$30,694
$28,840
1,854
$2,000
$16,000
$13,904
$360
412
4,635
2,369
6,128
($69,000)
February 25
.....
N
co
2132 - PROPERlY MAINTENANCE
PREVIOUS YEARS ACTIVITY % CHANGE
1999 2000 BUDGET
1998 1999 EST. 1999 Revised INCREASE 2000 VS.
CLASSIFICATION ACTUAL ACTUAL BUDGET BUDGET (DECREASE) BUDGET REV. 99 BUDGET
1100 Salaries & Wages $138,800 $187,020 $152,944 $163,404 $4,085 $167,489 2.50%
1200 Overtime 1,054 3,946 5.000 374.38%
1400 Employer Contributions 25,300 30,430 34,412 35,679 3,131 38,810 8.78%
1900 Unifonns 850 1,300 700 700 0 700 0.00%
2132 Cellular Phones 0 0 0 1,000 1,000 N/A
2340 Seminars & Education 0 100 100 0 100 0.00%
2437 Tree Maintenance 33,200 30,630 30,000 30 ,000 0 30. 000 0.00%
2438 lighting & Repair Maintenance 1,080 2,120 2,000 2,000 0 2,000 0.00%
2457 Vehide - Repair & Maintenance 3,480 5,490 3,500 3,500 0 3,500 0.00%
2478 Misc, Equipment Repair & Maint. 4,000 2,180 7,000 7,000 0 7,000 0.00%
2482 Grounds Upkeep 36,800 2,180 3,500 3,500 0 3,500 0.00%
2678 Misc. Equipment Rentals 600 34,860 35,000 35,000 0 35,000 0.00%
5398 G.S.T. Exempt 345 0 0 0 0 0.00%
5900 Gas, Oil, Tires, etc. 7,550 6,630 7,000 7,000 0 7,000 0.00%
5902 Misc. Equipment (under $100) 220 270 500 500 0 500 0,00%
$252225 $303110 $276656 $289,437 $12,162 $301.599 t i\ \.,., 4.20%
REVENUE
9990 CXherRevenue ($290) $0 SO $0 $0 0.00%
$290 $0 $0 $0 $0 0.00%
$251 935 $303110 $276656 $289,437 $12,162 $301,599 4.20%
I ClnU~:E~~::ING I
11B
UH
~
1Bi
ill!
aæ
2m
2m
9:56 AM
2132 . PROPERTY MAINTENANCE
BACKC¡;ROUND INFORMATION
Salaries and WaGes
$167,489
Total from Final Page
Overtime
$6,000
Mainly for winter control operations, emergency
call-ins or assistance on City events,
EmDlover Contributions
$38,810
This item includes mandatory deductions (CPP" EI., EHT.,)
and employer provided benefits such as dental. optical,
OMERS, life insurance and long term disability benefits.
Uniforms
$700
Boots, Shirts, Trousers. etc. (4)
Cellular Phone
$1,000
Seminars and Education
$100
To cover workshops. seminalJ & safety
education (WHMIS)
Tree Maintenance
$30,000
For pruning and removal of dead and
dangerous trees
Llahtlna ReDalr & Maintenance
$2,000
To cover maintenance costs of walkway
morality lights
0211812000
130
Page 1
February 25
æz
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2482
æI
iUI
§HQ
un
Revenue
DB
9:56 AM
I
~132 - P"OPERTY MAINTENANCE
BACKGROUND INFORMATION
Vehicle - ReDalr & Maintenance
'A' Service
'B' Service
Major repairs
$1,500
1,000
1,000
Misc. EaulDment ReDalrs & Malnl
To cover repairs and maintenance for
various equipment. Significant equipment
failure costs due to aging equipment
Grounds UDkeeD
To cover maintenance costs of sidewalk,
boulevard, and walkway repair, etc.
miscellaneous repairs (sod. concrete, fence)
Miscellaneous EaulDment Rentals
Rental of equipment for specific length of time
as required, High costs for equipment and
operator rentals for Winter storms.
G.S.T. ExemDt
Gas. 011. Tires. etc.
For vehicles & equipment
Misc. EaulDment Under $100
First Aid & Safety supplies (replacement)
Small hand tools (replacement)
Other Revenue
0211612000
131
¿,.
........~..
;Ji' ,.
$3,600
$7,000
$3,600
$36,000
$0
$7,000
$600
$0
Page 2
February 25
I CITY OF f~KERING I
CURRENT BUDGET
2290 - MUNICIPAL PROPERTY ENGINEERING - ADMINISTRATION
CLASSIFICATION
....
~
N
1100 Salaries & Wages
1200 Overtime
1400 Employer Contributions
1900 Unifonns
2110 Travel
2131 Cellular Phone Charges
2210 Advertising
2220 Subscriptions & Publications
2340 Seminars & Education
2370 Insurance
2371 Self-Insurance
2392 Consultive & Professional
2394 RecptlProm,&Spec.Ev./Gen. P/R
2395 Memberships
2396 Photo, Mapping, Printing
2399 Outside Agency Services
2457 Vehicle-Repair & Maintenance
2478 Misc. Equip. Repairs & Maint.
2481 Other Fix. Assets - Rep.& Maint.
2678 Misc. Equipment Rentals
5300 Stationery & Office Supplies
5302 Fonns
5398 G.S.T. Exempt
5900 Gas, Oil, Tires, etc.
5902 Misc. Equipment (Under $100)
PREVIOUS YEARS ACTIVITY
1999
1998 EST. 1999 EST. 1999 Revised INCREASE 2000
ACTUAL ACTUAL Budaet BUDGET (DECREASE) BUDGET
$1,134,000 $1,264,450 $1,212,822 $1,234,736 ($659,516) $575,220
52,720 (33,720) 19,000
201,830 186,190 272,885 281,095 (147,395) 133,700
770 1,560 1,250 1,250 (900) 350
20,120 20,410 20,000 20,000 (18,400) 1,600
11,100 13,130 11,850 11,850 (8,000) 3,850
0 10 0 0 0 0
2,630 530 2,575 2,575 (2,000) 575
6,050 5,100 6,225 6,225 (3,000) 3,225
2,460 2,460 2,460 2,460 0 2,460
1,670 9,390 6,000 6,000 0 6,000
24,310 8,550 18,540 18,540 3,745 22,285
370 220 250 250 50 300
2,800 2,920 4,164 4,164 (1,570) 2,594
3,630 3,280 3,600 3,600 (2,000) 1,600
0 0 0 0 0
9,870 6,560 8,200 8,200 (6,000) 2,200
1,700 660 2,575 2,575 (1,500) 1.075
290 8,690 260 260 0 260
50 1,135 1,135 (1,085) 50
6,040 8,690 6,200 6,200 (2,000) 4,200
1,100 1,660 2,060 2,060 (1,500) 560
830 0 0 0 0
7,550 7,420 7,725 7,725 (4,450) 3,275
1,180 1,300 1,050 1,050 (800) 250
$1,440.350 $1,553,180 $1,591 826 $1,674,670 ($890,041) $7".629
% CHANGE
2000 BUDGET
VS.
REV. 99 BUDGET
-53.41%
-63.96%
-52.44%
-72.00%
-92.00%
0.00%'
0.00%
-7il7%
-48.19%
0.00%
0.00%
20.20%
20.00%
-37.70%
-55.56%
0.00%
-73.17%
-58.25%
0.00%
-95.59%
-32.26%
-72.82%
0.00%
-57.61%
-76.19%
-53.15%
I CITY. OF fol~KER'NG ..1
CURRENT BUDGET
2290 - MUNICIPAL PROPERTY ENGINEERING - ADMINISTRATION
REVENUE
PREVIOUS YEARS ACTIVITY
1999
1998 EST. 1999 EST. 1999 Revised
ACTUAL ACTUAL Budaet BUDGET
($145,730) ($146,700) ($91,500) ($91,500)
(1,206,290) (1,542,270) (1,180,000) (1,180,000)
($1,352,020) ($1,688,970) ($1,271,500) ($1,271,500)
$88.330 ($135,7901 $320.326 $403,170
(INCREASE) 2000
DECREASE BUDGET
$90,500 (1 ,000
1,180,000 0
$1,270,600 ($1,000
$380 469 $783 829
% CHANGE
2000 BUDGET
VS.
I REV. 99 BUDGET
CLASSIFICATION
1430 Sale of Services - Public Works
-98,91%
1517 'icences & Pennüs
-1vv.
....
~
t.IJ
-99.92%
94.37%
2290 . MUNICIPAL PRO~RTY ENGINEERING. ADMINISTRATION
i
. ~ROUND INFORMATION
Page 1
.11!m Salaries and Wages $575,220
Total from Final Page $1,269,910
Transfer of one staff to Planning Administration (35,556)
Transfer of nine staff to Building Standards (2612) (413,499)
Transfer of six staff to Develop, Control (2613) (270.119)
Transfer of summer student hours from dept. (2710) 5,985
Annualization of Traffic Tech, Salary approved in the
1999 budget, (position has been filled). 18.499
1200 Overtime $19,000
Provision for overtime $42,000
Provision for overtime (chargeback) 12,000
Transfer to Building Stds, (2612) (10,000)
Transfer to Develop Control (2613) (25,000)
1400 Emolover Contributions $133,700
This item includes mandatory deductions (CPP" EI., EHT.,) $303,389
and employer provided benefits such as dental, optical,
OMERS, life insurance and long term disability benefits,
Transfer to Planning Admin (2610) (8,000)
Transfer to Building Stds, (2612) (95,287)
Transfer to Develop Control (2613) (66,402)
jHJl Uniforms $350
Personal protective equipment and uniforms
Work boot and winter jacket allowances, safety vests
and safety T-shirts, rubber work boots (safety), hard hats, gloves,
1999 Budgeted Amount
Transfer to Building Stds. (2612)
Transfer to Develop Control (2613)
$1,250
(435)
(465)
2110
Travel
Allowance paid to employees that use their own
vehicle for City business.
$1,600
Building Inspectors (2)
Plumbing Inspectors (2)
Sr, Examiner/Inspector (2)
Misc. Public Works Employees
1999 Budgeted amount
Transfer to Building Stds. (2612)
Transfer to Develop Control (2613)
$20,000
(15,400) .
(3,000)
134
9:57 AM
February 25
02116/2000
am
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9:57 AM
2290. MUNICIPAL PROPERTY ENGINEERING. ADMINISTRATION
Page 2
BACKGROUND INFORMATION
Cellular Phone CharGes
The residual balance in this account is for 4 staff,
1999 Budgeted amount
Transfer to Building Stds. (2612)
Transfer to Develop Control (2613)
Advertlsina
SubscriDtions and Publications
Canadian Standards Association and
National Fire Prevention Association
Standards, Codes, Regulations
Safety Legislation, Autocad publications,
Seminars and Education
Employee training and development.
Business related seminars and workshops - various employees
Ontario Traffic Conference - Training Course (Alymer)
(Traffic technician)
First Aid and C.P.R Training
for confined space entry - 6 staff
Insurance
Self.lnsurance
Consultive and Professional
Consulting services for reports on
stormwater ,computer modeling, materials
testing, miscellaneous surveys.
Speed Rationalization Study
(approved in 1999. deferred to 2000)
Centralized Collision Reporting Program
(shared services with Region of Durham)
Pickering's share of Public Works Service Delivery
Study facilitated process.
Bridge and Structure Needs Analysis
(last update done in 1994)
(Legislated requirement)
135
0211612000
;Ji" .
$3,850
.,.;"; ...
. m:S50
(4.000)
(4.000)
$0
$575
$3,225
$400
1,500
1,325
$2,460
$&,000
$22,285
$2,060
5,150
2,575
5,000
7,500
February 25
llH
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9:57 AM
Page 3
2290 - MUNICIPAL PROP~RTY ENGINEERING - ADMINISTRATION
~ROUND INFORMATION
Receotions. Promotions and Soecial Events
General Public Relations
Transfer to 2610
Durham Region Public Works Officials
Utilities Coordination meetings
Misc. meetings and Millennium City Promotions
Membershios
Membershios in associations related to the functions of the deoartment
Association of Professional Engineers of Ontario (1) - Div. Head
Association of Technicians and Technologists (7)
- Technicians and Supervisors
Durham Public Works Association (1) -
Municipal Works Supervisor
Municipal Engineers Association (1) - Division Head
Association of Municipal Clerks and Treas, (3)-
Administration Supervisor, Administrative Coordinator,
Municipal Works Supervisor .
Institute of Traffic Engineers (1) - Traffic Coordinator
Autodesk User Group International (AUGI) (2) -
Eng, Design Systems Coordinator/Construction and Design
Technician
Greater Toronto Transportation Conference (1) -
Traffic Coordinator
Photo. Maooina. Printina
Film and developing
Printing of Microfilmed Drawings
(The 1999 budget was $3,600 and $2,000 is transferred to 261 O),
Outside Aaencv Services
136
0211612000
$300
($125)
125
75
225
$2,594
$145
1,085
129
70
695
155
115
200
$1,600
$0
February 25
æz
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æ1
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9:57 AM
2290 - MUNICIPAL PROPERTY ENGINEERING - ADMINISTRATION
'BACK9ROUNDINFORMATION
Vehicle ReDair and Maintenance
Repairs to division utility vehicles.
#618 -1989 GMC Jimmy - Municipal Works
#627 - 1999 Ford Explorer - Municipal Works
#630 - 1999 Chev Blazer - Municipal Works
Miscellaneous EauiDment ReDalrs and Maintenance
Repairs and annual maintenance and cleaninglrecalibration
to gas detectors, survey equipment, cameras, cellular phones
radar gun and traffic counting board and Traffic Counter Classifier
Replacement of rechargeable battery packs for the above equipment.
Other Fixed Assets - ReDair and Malntenan~e
Miscellaneous EaulDment Rentals
Misc. equipment rentals
StatIonerY and OfficeSuDDlies
Includes plotter pens and accessories, bond roll paper,
mylar stock, day to day stationary and office supplies,
print cartridges for colour printer and black printers, folders
and tabs for file conversion.1999 Budgeted Amount
Transfer to Planning Administration (2610)
fm!!Œ
Various forms such as work permits, receipts and
materials testing reports.
Gas. 011. TIres. etc.
For division's utility vehicles
137
0211612000
$6.200
(2,000)
Page 4
$2,200
$1,075
$260
$50
$4,200
$560
$3,275
Febl'uary25
un
~
1517
9:57 AM
Page 5
2290 . MUNICIPAL PROPJ:RTY ENGINEERING. ADMINISTRATION
BACKcpROUND INFORMATION
Misc. Eauioment (Under $100)
Various sundry items such as disposable batteries,
spray paint, wooden stakes, and lens cleaning kits,
flashlights, measuring tapes, small tools.
Traffic recorder hoses, Hilti Gun
Revenue
Sale of Services. Public Works
Transfer of $90,500 (various revenue sources) to
Development Control (2613)
Administration Fee - Newspaper box pads
Licenses and Penn its
Transfer of $1,180,000 revenue to Building Standards (2612)
138
0211612000
;Ji"
$250
~
.........- .
($1,000)
$0
February 25
I CITY OFfo~KERING .1
CURRENT BUDGET
2320 - ROADS
....
Co.)
CD
CLASSIFICA 110N
1100 Salaries & Wages
1200 Overtime
1400 Employer Contributions
1900 Uniforms
2110 Travel
2131 Cellular Phone Charges
2210 Advertising
2220 Subscriptions & Publications
2340 Seminara & Education
2370 Insurance
2371 Self-Insurance
2394 Rec:pIProm.&Spec.Ev.lGen.P/R
2395 Memberships
2396 Photo, Mapping, Printing
2407 Roads - Repair & Maintenance
2409 Highway Aids - Repair & Maint.
2435 Building Repairs & Maintenance
2457 Vehicle-Repair & Maintenance
2476 Off.Mach.lEqpt-Repairs & Maint.
2478 Misc. Equipment Repairs & Maint.
2678 Misc. Equipment Rentals
5300 Stationery & Office Supplies
5398 G.S.T. Exempt
5640 Small Tools
5900 Gas, Oil, Tires, etc.
5902 Misc. Equipment (Under $100)
9991 Misc.Roads Cap.Constr.Rev.
PREVIOUS YEARS AC11VITY
1999
1998 1999 EST. 1999 Revised
AC1\JAL AC1\JAL Budaet BUDGET
$1,029,190 $1,131,540 $1,052,489 $1,059,474
60,101
181,840 175,830 236,810 244,189
11,310 11,210 10,300 10,300
190 780 1,500 1,500
3,740 3,260 4,000 4,000
0 0 0
0 240 105 105
0 1,400 2,000 2,000
89,200 89,200 89,200 89,200
12,900 31,540 15,000 15,000
990 1,110 1,072 1,072
420 160 515 515
685,120 881,150 819,600 819,600
53,060 93,600 128,000 128,000
129,630 129,000 129,000 129,000
149,670 147,800 126,875 126,875
0 100 100
95,350 85,200 87,550 87,550
410 240 515 515
360 110 310 310
12,960 0 0
1,130 3,130 4,325 4,325
107,150 102,600 113,300 113,300
1,550 1,380 2,060 2,060
(9,560) (14,050) (40,000) (40.000)
$2,556,610 $2,876,430 $2,784,626 $2,859,091
% CHANGE
2000 BUDGET
INCREASE VS.
(DECREASE) REV. 99 BUDGET
. $34,698 $1,094,172 3.28%
1,499 61,600 2.49%
15,860 260,049 6,49%
1,700 12,000 16.50%
0 1,500 0.00%
0 4,000 0.00%
0 0 0.00%
0 105 0.00%
4,000 6,000 200 00%
0 89,200 0.00%
0 15,000 0.00%
225 225 NA
188 1,260 17.54%
0 515 0.00%
18,800 838,400 2,29%
(8,000) 120,000 -6.25%
0 129,000 0.00%
13,125 140,000 10.34%
0 100 0.00%
0 87,550 0.00%
0 515 0.00%
0 310 0.00%
0 0 0.00%
75 11;~~ " 1.73%
1,700 1,50%
0 2,060 0.00%
2,800 (37.200) -7,00%
$86,670 2 945 761 3.03%
I CITY OF rJ~KERING .,
CURRENT BUDGET .
2320 - ROADS
CLASSIFICA liON
PREVIOUS YEARS ACTIVITY
1999
1998 1999 EST. 1999 Revised
ACTUAL ACTUAL Budget BUDGET
(46,890) (107,630) (90,275) (90,275)
($14,050\
$2.509 720 $2,754.750 $2.694 351 $2,768,816
REVENUE
9990 Other Revenue
9991 Misc, Roads Cap. Constr.
~
0
% CHANGE
2000 BUDGET
(INCREASE) 2000
DECREASE BUDGET R_u -- -----.
$45,275 (45,000) -50.15%
$131 945 $2,900,781 4.77%
.11B.
1222
~
j,g
Z112
¡m
2m
mi
~
9:58 AM
2320 - ROADS
~ROUND INFORMATION
Page 1
Salaries & Waaes
Total from Final Page
$1,094,172
Overtime
$61,600
Provision for Overtime:
Primarily relates to winter plowing.
salting and sanding
EmDlover Contributions
This item indudes mandatory deductions (CPP" EI., EHT,,)
and employer provided benefits such as dental, optical,
OMERS, lite insurance and long term disability benefits.
$260,049
Unifonns
Personal protective equipment and uniforms,
Work boot and winter jacket allowances, hearing
protection, hard hats, safety vests and T-shirts,
gloves and other necessary protective dothing.
$12,000
Ir:m!
$1,500
Provision for mileage charges,
Cellular Phone Charon
$4,000
Advertlsina
$0
SubscriDtions and Publications
Allowance for standards, codes and legislation.
$105
Seminars and Education
$6,000
First Aid and CPR and Safety Training for confined space
entry - 5 staff.
Job Related Seminars ( Roads Insp,. Supervisor, Foreperson)
Heavy Equipment training (Gradall)
141
0211612000
February 25
am
am
2æ
~
mI
~
9:58 AM
2320 - ROADS
~ROUND INFORMATION
Insurance
Self-Insurance
RecplProm.&Spec.Ev JGen.P/R
Durham Public Works Association required to host
4 executive meetings in 2000
MembershiDs
Ontario Association of Certified Engineering
Technicians & Technologists (2) Roads Supervisor
and Roads Inspector
Ontario Association of Road Supervisors
(1) Roads Supervisor
Durham Public Works Association (1) Roads Supervisor
Ontario Good Roads Association (City Membership)
Photo. MaDDina. Printing
Printing of snow plow route maps
Film and Developing
(Road Hazards, Pre-Construction Pictures etc.)
Roads - ReDaif & Maintenance
Material allowance for road maintenance
after provision for wages and the overhead costs.
Granular A I Limestone
Asphalt incl. Asphalt Patching Program & street printing
Liquid Calcium Contract and Flake Calcium purchase
Winter Sand
Winter Salt
Topsoil and Sod
Culverts
Curb Cutting Contract
Catch basin Cleaning Contract
Stonn Septor Manhole Cleaning Contract
142
02116/2000
$330
75
130
725
$149,350
103,000
66,950
30,000
248,100
8,240
20,600
12,360
12,875
5,000
Page 2
$89,200
$15,000
$225
$1,260
$515
$838,400
February 25
æz
~
9:58 AM
2320 . ROADS
. BACKGROUND INFORMATION
Roads. ReDair & Maintenance Con't
Large & Small Equipment Rentals
Easement Charges
Catchbasin and Manhole Repair Materials
Storm Sewer Repairs
(Repairs required as determined by video inspection
program.)
Sewer Flushing and Inspection Program
The amount budgeted for 2000 will translate into
another 20,000 m of sewers being deaned and inspected.
Third year of the program
Shared Road Maintenance (boundary roads)
Neighbourhood Issues ( grading, fencing,
retaining walls, disposal of illegally dumped waste)
Miscellaneous Items ( hardware, lumber,
concrete, consultants, testing etc, )
Newspaper Box Pads Phase 3 - Regional Roads
(concrete, hitching posts, hardware)
The cost of this item is 100% recovered. Please
mference the Revenue section (Acct. 9990)
Sidewalk maintenance supplies
(concrete, formwork, expansion joint material)
HiGhwav AIds. ReDair and Maintenance
CN/CP Railroad Signal Charges
Railway Crossing Safety Charges
(Insurance for crossing gates)
Traffic Signals, Flashing Signals
Pedestrian Crossovers, IPS
Misc. signs incl. hardware & posts
Une Painting Contract and purchased materials
Soecial Prolects . 2000
a) Signs required at all school locations to bring
up to date as per bylaws (completion from 1999)
b) Valley Farm Road (Finch to Conc.3)
installation of traflic safety signage/barriers
Phase 2 ( Completion from 1999 )
143.
0211612000
14,420
6,200
12,360
50 , 000
41,200
3,090
10,300
8,755
5,000
30,600
Reduced T JQ
$27,450
3,000
10,300
20,700
35,750
10,300
50,000
Page 3
$157,500
$120,000
February 25
am
WI
IlnU
021
024
023
030
078
080
082
083
084
086
087
091
092
089
090
093
094
095
mI
am
9:58 AM
2320 - ROADS
BACKGROUND INFORMATION
BuildinG Reoalrs and Maintenance
Share of Overhead of Municipal Garage
Vehicle Reoalr and Maintenance
Repair and maintenance of Roads Division
Licensed vehicles
Eauloment TvDe
1998 Chev, Pickup Truck
1999 Ford Utility Vehicle
1999 Chev, Pickup Truck
1999 Ford 1 Ton Stake Truck
19891nt. 4 Ton Dump Truck
1989 Int. 4 Ton Dump Truck
1991 Int. 4 Ton Dump Truck
19921nt. 4 Ton Dump Truck
1992 Int. 5 Ton Dump Truck
1993 Dodge 1 1/2 Ton Stake Truck
1993 Ford 1 1/2 Ton Stake Truck
1994 Ford 1 Ton Stake Truck
1994 Ford 4X4 Pickup Truck
1993 Int. 4 Ton Dump Truck
1994 Int. 4 Ton Dump Truck
1997 Int. 4 Ton Dump Truck
19975 Ton Dump Truck
1999 Int. 4 Ton Dump Truck
OffIce Machlnes/EGuioment R.,oalrs and Maintenance
Repairs to misc. office equipment
Miscellaneous Eauloment Reoairs and Maintenance
(Off road equipment and non licensed vehicles,
chainsaws etc.)
14 .'
0211812000
Page 4
;Ji"
$129,000
..r--
.......--'"
$140,000
$100
$87,550
February 25
lliI
J.l!!ll!
106
107
110
111
112
118
119
123
124
125
142
mI
~
æi
9:58 AM
2320 - ROADS
~ROUND INFORMATION
Page 5
Miscellaneous EauiDment Reoairs and Maintenance Con't
EauiDment TvDe
1990 Champion Grader
1999 Champion Grader
1989 Badger Hydroscopic Boom Excavator
1995 Badger Hydroscopic Boom Excavator
1997 Case Loader
1985 Case Loader4WD
1995 Ford Sweeper
1989 Case Tractor
1993 John Deere Tractor
1984 Thomas Skid Steer Loader
1986 Sunvac Sweeper
Misc. EauiDment
1 - Asphalt Roller
12 - Plows & Wings
4 - Chain Saws
3 - Quick Cut Saws
3 - Weed Eaters
1 - Asphalt/Concrete Grinder
3 - Water Pumps
1 - Generator
2 - Water Tanks
2 - Plate Tampers
2 - Rotary Mowers
Miscellaneous EauiDment Rentals
Items not used for specific road
Construction or maintenance operations
Pagers for Roads Staff during winter control
$515
Stationery and OffIce SuDDlies
$310
Small Tools
$4,400
Tape measures, rakes, shovels, hammers, drill bits
drill bits, etc, for road maintenance activities.
Includes provision for small tools and safety items
required for the operation of line painter converted to
cold plastic application.
145
0211612000
February 25
W2
021
024
023
030
086
087
091
092
ug¡
9:58 AM
2320 . ROADS
. BACKGROUND INFQRMA TION
Gas. 011. TIres. etc.
078
080
082
083
084
089
090
093
094
095
106
107
110
111
112
118
119
123
124
125
Operation of Roads Division Vehides
and equipment
Diesel Fueled Trucks & EauiDment
1989 Int. 4 Ton Dump Truck
19891nt. 4 Ton Dump Truck
1991 Int. 4 Ton Dump Truck
19921nt. 4 Ton Dump Truck
19921nt. 5 Ton Dump Truck
19931nt. 4 Ton Dump Truck
1994 Int. 4 Ton Dump Truck
19971nt. 4 Ton Dump Truck
19975 Ton Dump Truck
1999 Int. 4 Ton Dump Truck
1990 Champion Grader
1999 Champion Grader
1989 Badger Hydroscopic
1995 Badger Hydroscopic
1997 Case Loader
1985 Case Loader4WD
1995 Ford Sweeper
1989 Case Tractor
1993 John Deere Tractor
1984 Thomas Skid Steer Loader
Gas Powered Vehlclts
1998 Chev. Pickup Truck
1999 Ford Utility Vehide
1999 Chev. Pickup Truck
1999 Ford 1 Ton Stake Truck
1993 Dodge 1 1/2 Ton Stake Truck
1993 Ford 1 1/2 Ton Stake Truck
1994 Ford 1 Ton Stake Truck
1994 Ford 4X4 Pickup Truck
Pumps, Chainsaws, Etc.
Miscellaneous EauiDment fUnder $100.00)
Sundry consumable items such as survey stakes,
spray paint, etc.
146
0211612000
Reduced T JQ
Page 6
S1:¡i.OOO
$115,000
$2,060
February 25
Revenue
9990
9991
9:58 AM
12320 - ROADS
BACKGROUND INFORMATION
Other Revenue
Revenue from Curb Cuts and
Driveway Entrances
Revenue from Newspaper Box pad construction
Miscellaneous Roads Capital, Construction Revenue
Estimated amount of 'Capital' chargebacks
on Roads and Sidewalk projects
Whites Road and Oklahoma Drive
Sidewalk
Salem Road
Frost Boil Excavation
Culvert Replacement
Concession 5
Culvert Replacement
Ditching
147
0211612000
;Ji"
£
.....---<
($40,000)
($5,000)
. ($4,000)
(6,500)
(3.350)
(3,350)
(20,000)
Page 7
($45,000)
($37,200)
February 25
I CITY OF fo!~KERING I
CURRENT BUDGET
~
2325 - STREET LIGHTS
PREVIOUS YEARS ACTIVITY
I
1999
1998 1999 EST. 1999 Revised
CLASSIFICATION ACTUAL ACTUAL Bud et BUDGET
2478 Misc. Equipment Repairs & Maint. $178,570 $150,180 $196,000 $196,000
5398 G,S,T, Exempt 4,190 0 0
5530 Utilities - Hydro 316,740 322,630 310,000 310,000
$499,600 $472,810 $606,«)00 $506,000
INCREASE 2000
(DECREASE) BUDGET
$0 $196,000
0 0
0 310,000
h.
~ . ~ ","
r <: ~
$0 $&06,000
,
% CHANGE
2000 BUDGET
VS.
REV. 99 BUDGET
0,00%
0,00%
0,00%
0.00%
2478
5530
9:58 AM
232' - STREET LIGHTS
BACKGROUND INFORMATION
Reoalrs and Maintenance
Monthly repairs on existing streetlights by
Veridian including labour, vehicle,
material costs for replacements and UIG
cable repairs.
Streetlight Patrols (provided by City
Parking Control Officer).
Veridian connections pole replacement
program that affects existing streetlights
(Details to be provided),
UtilItY Charges
Monthly bill for streetlight energy
charges,
0211612000
149
$132,000
16,800
47,200
$196,000
$310,000
February 25
I CITY OF PICKERING I
2000
CURRENT BUDGET
2430 - SOLID WASTE
~
C'J1
0
CLASSIFICATION
PREVIOUS YEARS ACTIVITY
1999
1988 1999 EST. 1999 Revised
ACTUAL ACTUAL Budget BUDGET
$10,220 $11,260 $17,000 $17,000
160 4,120 13,100 13,100
138,060 109,200 139,950 139,950
622,290 695,310 681,000 681,000
6,270 0 0
$777,000 $819,890 $851 050 $851,050
INCREASE 2000
(DECREASE) BUDGET
$1,000 $18,000
(2,850) 10,250
16,270 156,220
390,510 1,071,510
0 0
: $404,930 $1 255,980
% CHANGE
2000 BUDGET
vs.
REV. 99 BUDGET
2210 Advertising
5.88%
2393 Recycling Collection
-21.76%
2397 Compost Collection
11,63%
2398 Garbage Collection
57.34%
5398 G.S.T. Exempt
0,00%
47.58%
1
~
BACKG OUND INFORMATION
2210
Advertlslna
Waste management calendar
Non-compliance tags
Bylaw/User pay promotional activities
2393 Recvcllna Collection
Purchase of blue boxes
Composter Subsidies
(Program Expansion)
2397 ComDost Collection
Yard Waste Pickup
23 collections X 24,000 stops X $0,2526
Christmas Tree Pickup
2 collections X 24,000 stops X $0.2526
The contract expired on
October 31, 1999. The projected
amount reflects a contract extension
of 5,25% and a unit growth factor,
Current Contract expires on September 30, 2000.
nH.. Garbaae Collection
Curbside Contract
6 Months X 23,602 X $3.58
6 Months x 24,000 x $3.58
The contract expired on
October 31, 1999, The projected
amount reflects a contract extension
increase of 55.6% and a unit growth factor.
Current Contract expires on September 30, 2000.
Bulk Container Contract
12 months X 2,200 X $0.6736
The contract expired on
October 31, 1999. The projected
amount reflects a contract extension
of 5.25% and a unit growth factor.
Current Contract expires on September 30, 2000.
10:00 AM
o~ fi'1o0
$11,000
2,000
5,000
$250
10.000
$143,620
12,600
$522,185
530,990
18,335
$18,000
$10,250
$156,220
$1,071,510
February 25
I CITY OF r~rKER'NG I
CURRENT BUDGET
2718 - PARKS
CLASSIFICATION
.....
CJ1
l\)
1100 Salaries & Wages
1200 Overtime
1400 Employer Contributions
1900 UnifoRns
2131 Cellular Phones
2340 Seminars & Education
2370 Insurance
2371 Self-Insurance
2395 Memberships
2396 Photo, Mapping, Printing
2429 Parks Repairs &Maint.
2435 Building Repairs & Maint.
2457 Vehicle Repairs & Maint.
2478 Misc. Equip. Repairs & Maint.
2482 Grounds Upkeep
2648 Rec. Building Rentals
2678 Misc. Equipment Rentals
5300 Stationery & Office Supplies
5398 G.S.T. Exempt
5510 Utilities - Water
5520 Utilities - Gas
5530 Utilities - Hydro
5900 Gas, Oil, Tires, etc.
5901 Fertilizer, Grass, etc.
5902 Misc. Equipment (Under $100)
8960 Taxes - Tenant
PREVIOUS YEARS ACTMTY
1999
1998 1999 EST. 1999 Revised INCREASE
ACTUAL ACTUAL Bud et BUDGET (DECREASE)
$729,580 $841,830 $711,774 $738,161 $133,228
4,575 10,425
118,250 117,030 151,920 155,223 33,932
6,680 6,020 3,920 3,920 0
1,130 3,610 1,000 1,000 1,000
290 480 500 500 0
23,350 23,350 25,350 25,350 0
11400 0 5,000 5,000 0
540 540 530 530 70
0 90 100. 100 0
32,890 17,980 25,000 25,000 0
47,650 10,430 50,000 50,000 0
28,000 33,690 30,000 30,000 0
40,090 45,440 35,000 35,000 0
88,200 85,700 78,000 78,000 5,000
0 35 35 0
11,360 14,240 10,000 10,000 6,000
240 1,560 1,500 1,500 0
3,950 0 0 0
4,150 2,520 4,000 4,000 0
0 0 0 0
33,540 37,360 32,000 32,000 0
37,330 42,630 42,000 42,000 0
750 5,240 4,000 4,000 16,000
2,390 1,950 3,000 3,000 4,500
117,360 4,100 112,254 112,254 0
$1 339 120 $1 295790 $1 326 883 $1 361148 $210 155
% CHANGE
2000 BUDGET
2000 VS.
BUDGET REV. 99 BUDGET
$871,389 18.05%
$15,000 227.87%
189,155 21.86%
3,920 0.00%
2,000 0.00%
500 0.00%
25,350 0.00%
5,000 0.00%
600 13.21%
100 0.00%
25,000 0.00%
50 ,000 0.00%
30,000 0.00%
35,000 0.00%
83 , 000 6.41%
35 0.00%
16,000 60.00%
1,500 0.00%
0 0.00%
4,000 0.00%
0 0,00%
32,000 0,00%
42,000 0.00%
20,000 400.00%
7,500 150.00%
112,254 0.00%
$1,671,303 15.44%
I CITY OF r~KERING I
CURRENT BUDGET
2718 . PARKS
REVENUE
PREVIOUS YEARS ACTIVITY
1999
1998 1999 EST. 1999 Revised
ACTUAL ACTUAL Budaet BUDGET
($12,950) ($10,720) ($6,600 ($6,600)
($12,950) ($10,720) ($6,600) ($6,600)
$1 326.170 $1 285.070 $1 320.283 $1,354,548
(INCREASE) 2000 '
DECREASE BUDGET
..
$0 ($6,600
$0 ($6,6001
$210,155 $1.564.103
% CHANGE
2000 BUDGET
VS.
REV. 99 BUDGET
CLASSIFICATION
9930 User Fees
0.00%
0.00%
....
U1
~
,I
15.51%
~~. 10.'"
.'} ,
',,: ,
1100
~
1400
1Jsm
ill!
10:01 AM
2718 - PARKS
BACKGROUND INFORMATION
Salaries and Wages
Total from Final Page
Plus/(Iess) Cost Sharing with others:
Transfer Arena Staff to Parks
Don Beer Arena (35% of 3 maintenance salaries)
Complex Arena (35% of 3 maintenance salaries)
Utility Person (Playground Inspector) (MarsA 1, 2000)
(Replacing a position 2 years ago)
CeFtifieEl AFbeFistIClimÞer (MarGA 1, 2OQQ)
2 ~ AElElitieAal b.aÞeyreF6 (Þ.pFiI te NevemÞer 5,120 Aeyrs)
i Additional Student Labourers (3,200 hours)
Provision for Vacation Pay (4%):
Overtime
Increased staff time required for Special Events
Emolover Contributions
This item includes mandatory deductions (CPP., EI.. EHT,,)
and employer provided benefits such as dental. optical,
OMERS. life insurance and long term disability benefits,
Provision in lieu of optional benefits, such as dental,
optical, life insurance and long term disability for permanent
part-time employees.
Unitonns
To supply uniforms in accordance with Union Contract
Boots (14) ($80 ea,)
Coats (14) ($50 ea.)
Misc. (14) ($50 ea,)
Pants/Shirts (14) ($100 ea.)
Cellular Phones
Cellular Phones for 2 staff
0211612000
154
$687,441
42,668
42.668
4O;Gê
24,400
4O;Gê
~
45.930
~
22.810
5,472
$1,120
700
700
1,400
Page 1
. $871,389
Reduced T JQ-
July 1, 2000 start date
Deleted T JQ
Reduced T JQ
(Reduced to 3
students - T JQ)
$15,000
$189,155
$3,920
$2,000
February 25
zæ
zm
m1
mi
mi
~
2m
2m:
10:01 AM
2718 . PARKS
BACKGROUND INFORMATION
Seminars and Education
To pay cost of attendance at various workshops
seminars, correspondence education, & WHMIS
training and College approved reimbursement
Insurance
Self-Insurance
MembershiDs
International Society of Arboculture
Ontario Parks Association
Ontario Turfgrass Association
Miscellaneous
Photo. MaDDina, PrintinG
Film for taking photos for insurance claims
Parks ReDairs & Maintenance
To cover maintenance costs of outdoor lighting
Buildina ReDalrs & Maintenance
Repairs & Maintenance supply costs for general
repairs & maintenance of park buildings and
accessories
Caretaking supplies
Misc. Building supplies
Contracted repairs
Snow Removal
Storage charges for space at Works Centre
Vehicle ReD.irs & Maintenance
A Service
B Service
Major Repairs (trucks)
0211612000
155
Page 2
$500
$25,350
$5,000
$600
$110
320
100
70
$100
$25,000
$50,000
$1,000
6,000
2,000
3,000
38 , 000
$30,000
$10,000
5,000
15,000
February 25
am
æ¡
~
am
ÐSm
10:01 AM
2718 . PARKS
BACKGROUND INFORMATION
Misc. EQuiD ReDalrs & Maintenance
To cover repairs to various Parks Equipment
and pay overhead costs at Works Centre
Mower repairs (small)
Snow Removal equipment repairs
Misc. equipment repairs
Mower repairs (gang mowers)
Misc, repairs and supplies
Tractor repairs
Grounds UDkeeD
To cover costs of annual improvements and
maintenance of existing City properties
Ball Diamonds
Fencing
Topsoil and Sod
Lumber
Snow removal
Flowers
Shrubs and Trees
Mise, Supplies
Weed Spraying (contracted out)
Rec. BuildlnQ Rentals
Brougham Park
Miscellaneous Rentals
Rental of equipment on specific length
of time basis
Portable Washrooms
Vehides (2)
Power Tools and equipment
StatIonerY & OffIce SUDDlies
To provide staff with necessary stationery.
pens. pencils. etc,
0211612000
156
Page 3
~
/.. .
--.
$35,000
$10,000
3,500
8.000
5.000
3.000
5,500
$83,000
$8,000
6,000
12,000
10.000
5.000
15.000
3.000
13,000
11,000
$35
$16,000
$4,000
11.250
500
$1,500
February 25
2718 . PARKS
BACKGROUND INFORMATION
mI G.S.T. ExemDt
UD Utilities. Water
mil Utilities. Gas
Wit Utilities. Hvdro
m2 Gas. Oil. Tires
œ1
Fertilizer. Grass. Etc.
To provide material for proper Turt & Plant
maintenance
Fertilizer
Seed
Miscellaneous (Grub control, etc.)
un
Misc. EauiDment Under $100
Tree maintenance equipment (replacement)
First Aid supplies (replacement)
UH
II!u
Property Taxes on leased properties
Equipment Replacement
(Hydro) Kinsmen
(Hydro) Sandy Beach
(Hydro) Beachfront
10:01 AM
0211812000
157
Page 4
$0
$4,000
$0
$32,000
$42,000
$20,000
$12,500
1,000
6,500
$7,500
$6,500
1,000
$112.254
February 25
9930
10:01 AM
2718 - PARKS
BACKGROUND INFORMATION
(MTRCA) Bruce Handscomb
(Region) Rosebank Reservoir
(Private) Frenchman's Bay Ratepayers
Revenue
User Fees
6 Tournaments @ $500 each
The parks for which this fee will apply are as follows:
Kinsmen
Dunmoore Park
Rick Hull Park
East Woodlands Park
Ambertea Park
Forestbrook Park
Major Oaks Park
Centennial Park
User Fees - Hydro Costs Tennis Courts
$200 per CDurt per season
Sandy Beach (4 CDurtS)
Dunmoore (4 CDurtS)
Rosebank (2 CDurtS)
Ambertea (2 CDurtS)
Glendale (4 CDurtS)
Maple Ridge (2 CDurtS)
02116/2000
1158
Page 5
($6,600)
($3,000)
($3,600)
February 25
¡CITY 0. t=P.I...CK. ERINGI
. . ..... ... ...2000 .. . ..
: ...CURRENT BUDGET ....
2350 - PUBLIC TRANSIT
~
CJ1
CO
CLASSIFICATION
1100 Salaries & Wages
1200 OVertime
1400 Employer Contributions
1800 Conferences
1900 Unifonns
2110 Travel
2131 Telephone *Works Centre
2210 Advertising
2220 Subscriptions & Publications
--2340 SemInars & Education
2370 Insurance - General
2371 Insurance - Direct Payment
2392 Consultive & Professional
2394 RecptIProm,&Sp.Ev.lGen PIR
2395 Memberships
2396 Photo, Mapping, Printing
2399 Outside Agency Services
2435 Building Repairs & Malnt.
2457 Vehicle-Repair & Maintenance
2478 Misc. Equip. Repairs & Maint.
2635 Building Rentals
2678 Misc. Equipment Rentals
5300 Stationery & Office Supplies
5398 G.S.T, Exempt
5900 Gas, Oil, Tires, etc.
9370 Administration Charge
9998 Service Chg.lSpace Rental
PREVIOUS YEARS ACTIVITY
1998 1999 EST. 1999
ACTUAL ACTUAL BUDGET
$1,427,380 $1,669,020 $1,528,248
280,950 282,220 367,229
2,960 3,000 3,000
9,170 10,860 15,965
80 440 500
28,720 23,650 36,000
50 7,660 7,500
150 200
780 2,610 3,000
109,000 109,000 100,000
3,010 3,320 0
82,970 53,400 30,600
2,200 1,780 2,050
2,830 3,080 2,850
17 ,170 15,980 20,000
20 0
102,790 3,890 102,000
318,780 425,430 414,000
6,820 7,420 15,038
5,510 1,180 5,000
64,830 48,550 58,349
3,950 4,790 5,200
3,970 0
309,660 232,450 276,350
0 0
0 0
$2,783.750 $2,909 730 $2.993.079
1999
Revised
BUDGET
$1,538,435
65,056
376,056
3,000
15,965
500
36,000
7,500
200
3,000
100,000
0
30,600
2,050
2,850
20,000
0
102,000
414,000
15,038
5,000
58,349
5,200
0
276,350
0
0
$3.()77,149
INCREASE
{DECREASE)
$111,387
36,016
0
(1,965)
0
(10,000)
0
0
2,550
0
2,000
(10,000)
0
250
5,756
0
0
(4,200)
(3,038)
0
(46,892)
50
0
3,090
0
0
$84.948
..2000 ...
. 8UOGÈT
. .. $1;649,822
65,000
412.072
3,000
14,000
500
26;000
.7.500
200
5,550
100,000
.2,000
.20,600
2,050
3,100
25,756
.0
102.000
409,800
12,000
5,000
11,457
5,250
0
.. 279,440
... 0
0
$3.162,097
% CHANGE
2000 BUDGET
VS.
REV. 99 BUDGET
7.24%
0,00%
9.58%
0,00%
-12.31%
0.00%
-27.78%
0.00%
0.00%
85,00%
0.00%
2000.00%
-32.68%
0.00%
8.77%
28.78%
0,00%
0.00%
-1,01%
-20.20%
0.00%
-80.36%
0,96%
0.00%
1.12%
0.00%
0,00%
2.76%
rCITY. 0... FP.I.C..... K.ERINGI
.. .. ......... 2000 . ... .. ...
..... . ...CURRENTBUDGET. . >.
2350 - PUBLIC TRANSIT
PREVIOUS YEARS ACTIVITY
1623 Ontario Specific Grants
($63,110)
($36,890)
($26,600)
($26,600)
($26,6()()
2000
. . 8UOGET
% CHANGE
2000 BUDGET
VS.
REV. 99 BUDGET
CLASSIFICATION
1998
ACTUAL
1999 EST.
ACTUAL
1999
BUDGET
1999
Revised
BUDGET
REVENUE
-100,00%
$26,600
-100.00%
.....
0'}
0
REVENUE
9940 Advertising Space
9950 Fares
9952 Charter
9990 ~herRevenue
TOTAL REVENUE
($56,950) ($47,570) ($74,500) ($74,500) ($30.000)1 . .($104,500) 40.27%
(1,290,950) (1,373,370) (1,113,000) (1,113,000) (140,000) (1,253,000) 12.58%
(10,940) (11,700) (12,000) (12,000) 6,000 .. . (6.000) -50.00%
(10) 0 0 0 0 .. 0 0.00%
($1,358,850) ($1,432,640) ($1,199,500) ($1,199,500) ($164,000) . .. ($1,363,500) 13.67%
($1,421,960) ($1,469,530) ($1,226,100) ($1,226,100) ($137,400) ($1,36t500)a 11.21%
$1,361,790 $1,440,200 $1,766,97~ - $1 M1,O49 ($52,452) . $1,798.597 H -2.83%
wm
1200
1400
10:05 AM
2350 - PUBLIC TRANSIT
BACKGROUND INFORMATION
Salaries and Wages
Total from Final Page
Plus/(Iess) Cost Sharing with others:
Manager of Transportation
Salary 50% transferred to Depl # 2360
Transit Inspector
Salary 50% transferred to Dept. # 2360
Conventional coverage of Handi-Transit vacation
Sav-A-CentreiClaremont costs to Dept. # 2360
Provision for Shift Premium.
Provision for Charters:
Defensive Driving (50 drivers @ 8 hrs.)
Equipment Familiarization (50 drivers @ 4 hrs.)
Overtime
Operators
Servicepersons
Inspector
Emolover Contributions
This item includes mandatory deductions (CPP., EI., EHT.,)
and employer provided benefits such as dental, optical,
OMERS, life insurance and long term disability benefits.
Provision in lieu of optional benefits, such as dental,
optical, life insurance and long term disability for permanent
part-time employees.
02116/2000
161
$1,677,817
Page 1
$1,649,822
(37,134)
(25,438)
(13,351)
(4,068)
24,534
16,211
$7,501
3,750 11,251
$65,000
$412,072
February 25
page.2 -
2350 . PUBUC TRANSIT
BACKGRpUND INFORMATION
~ Conferences $3,000
C,U.TA Spring Conference (1) Victoria $2,000
C,U.TA Winter Conference (1) 1,000
1i2Q Unlfonns $18,223
Reduced T JQ $14,000
To supply uniforms in accordance with Union Contract
19 Full-time Operators @ 300 ea, $5,871
33 Part-time Operators @ 200 ea 6,798
3 Full-time Service staff@ 300 ea, 927
2 Part-time Service staff @ 200 ea, 412
Inspector @ 500 515
Work Boot Replacement 20 @ 65 ea, 1,700
m2 Ir.m! $500
Auto expenses for full-time staff
ill! TeleDhone $38,000
Reduced T JQ $26,000
System Charges $31,000
Cellular (3) 5,000
mJl Advertlslna $7,500
To provide brochure advertisement
mg SubscrlDtions & Publications $200
Reference Material
2æ Seminars and Education $5,550
Defensive Driving Facilitation $900
Accident Investigation Training 2,500
C.U,TA Administrative Seminar 750
First aid & diploma courses 1,400
February 25
10:05 AM
0211612000
162
m2
2371
~
2394
2395
2m
10:05 AM
Insurance General
Based on 1999 actual cost
Insurance. Self Insurance
Consultive and Professional
Route Planning I Scheduling
Page 3
2350 . PUBUC TRANSIT
BACKGROUND INFORMATION
ReeDt.. Promotions, & Soecial Events. P.R.
Transit Planning
Regional Coordination
Community Events
MembershiDs
Ontario Transportation Association
Canadian Urban Transportation Association
(Joint billing @ $3100)
Photo. MaDDina. Printing
Print Advertising
Reprint Transit Route Maps
Co-fare Tickets and Passes
Bus Pass Printing
Interior Bus Sign Printing
Student Bus Tickets
Adult Bus Tickets
Student Pass Separate Brd,
Student Pass Public Brd.
Bus Transfers
Transit Monthly Pass Printing
0211612000
163
$100,000
$2,000
$20,600
$20,600
$2,050
$200
500
1,350
$3,1 00
$25,756
$5.150
10,665
2,060
1,030
206
1,030
515
1,200
1,200
1,200
1,500
February 25
~
mI
5300
10:05 AM
2350 - PUBUC TRANSIT
BACKGROUND INFORMATION
am
Outside Agency Services
~
Building ReDalrs & Maintenance
Works Centre, Office and Bus Storage Costs
for Central Core area:
2457
Vehicle ReDalr and Maintenance
8 buses @ 8500
7 buses @ 11000
9 buses @ 15500
Motor and Transmission Rebuilds (3)
Decals
Urgent Body Repair
Rustproofing Program
Ministry Vehicle Emission Testing Program
. Vehicle Ucensing
ill!
Misc. EgulD ReDalrs & Maintenance
Coin Counter and Roller Maintenance Contract
Call Pro Maintenance Contract
Two-Way Radio Service Contract
Fare Box Locks and Hardware
Radio Ucence Renewal
Photocopy, Fax, Time Clock Emergency Repair
Work Station Relocation
Building Rental
Go Station lease Agreement
Miscellaneous EgulDment Rentals
WInter Spare (Bus rental)
( 1 full day bus x 8 mths, x $1.400 ea.)
Camel Pager Rental
Statlonerv & OffIce SuDDlles
Stationery & office supplies
General Stationery
Coin Wrappers
Computer Related Supplies
0211612000
164
Page 4
$0
$102,000
$409,800
$68, 000
77 ,000
139,500
60, 000
10,000
40, 000
1,300
5,000
9,000
SH,OOa
Reduced T JQ $12,000
$1,236
7,210
1,957
412
1,648
1,545
4;Q3O Deleted T JQ
$5.000
$11,457
$11,200
257
$5,250
$1,900
900
1,000
1,450
February 25
Page 5
2350 - PUBLIC TRANSIT
BACKGR9UND INFORMATION
m! GST ExemDt $0
5900 Gas. 011, Tires $279,440
Tires $39,090
Oil Consumption 8,650
Anti-Freeze 3,100
Gas Consumption 228,600
9370 Administration Charae $0
i
9998 Service Charae - SDace Rental $0
Revenue
1623 Ontario Soeclflc Grants $0
9940 Advertlslna SDace ($104,500)
\ Advertising Space Revenue on Buses ($55,000)
Advertising Space Revenue on Shelters (45,000)
Advertising Space Revenue on Benches (4,500)
9950 Em! ($1,253,000)
Regular Riders 97,000 ($128,250)
Co-fare Riders 355, 000 (179,025)
Seniors - Council Grant (Acct, #2195) 0 0
Seniors - Cash Fare 16,000 (7,440)
Child/Student - Cash Fare 142,000 (127,800)
Student Passes 395,000 (419,221)
Camp Busing (31,264)
Fare Integration paid by Go Transit nla (360,000)
Total Annual Passengers 1,005,000
9952 Charter ($6.000)
Charters to Seniors through Acct. #2195
9990 Other Revenue $0
10:05 AM
February 25
0211612000
165
I........ >CITY.........O.....F.....P...I.C. K..ER......ING . ...1
.. . ... .... 2000. . . ..
. . . CURRENT BUDGET. ..
CLASSIFICATION
.¡...t.
0)
en
1100 Salaries & Wages
1200 Overtime
1400 Employer Contributions
1800 Conferences
1900 Uniforms
2110 Travel
2131 Telephone
2340 Seminars & Education
2370 Insurance - General
2371 Insurance - Direct Payment
2392 Consultive & Professional
2395 Memberships
2396 Photo, Mapping, Printing
2399 Outside Agency Services
2436 Vehicle Storage
2457 Vehicle-Repair & Maint.
2478 Misc, Equip, Repairs & Maint.
2657 Vehide Rentals
5300 Stationery & Office Supplies
5398 G.S.T. Exempt
5900 Gas, Oil, Tires, etc.
9370 Administration Charge
2360 . SPECIALIZED SERVICES
PREVIOUS YEARS ACTIVITY % CHANGE
1999 2000 BUDGET
1998 1999 EST. 1999 Revised INCREASE .. 2000 VS.
ACTUAL ACTUAL BUDGET BUDGET IDECREASE) . BUDGET REV. 99 BUDGET
$300,680 $278,700 $309,251 $321,051 $8,652 $329,703 2.69%
0 5,272 (272) . . 5,000 -5.16%
46,370 41,520 64,065 65,943 3,407 69,350 5.17%
0 980 1,500 1,500 500 .2.000 33.33%
970 2.540 900 900 195 .1,095 21,67%
0 500 500 (250) 250 -50.00%
10 30 0 0 0 0 0.00%
30 550 1,700 1,700 (700) 1,000 -41.18%
12,000 12,000 12,000 12,000 0 12,000 0,00%
0 0 0 0 0 0.00%
0 0 0 0 0 0,00%
0 410 400 400 0 400 0.00%
1,280 1,090 1,500 1,500 0 1.500 0,00%
30.120 31,180 54,500 54 ,500 (14,500) 40,000 -26.61%
0 0 0 0 0 0.00%
25,780 36.320 40,000 40,000 0 40,000 0.00%
40 0 0 0 .. . 0 0.00%
32,180 40,880 39,000 39,000 0 39,000 0,00%
0 0 0 0 .0 0.00%
930 0 0 0 0 0.00%
22,090 25,590 23,000 23,000 0 23,000 0.00%
0 0 0 0 .. .. 0 0.00%
.. ..
$472,480 $471,790 $548,316 $567,266 ($2,968) . . $564.298 -0.52%
I.. . CITY. O.FP...I....C...K. ER.ING .1
' ',.. ",' ,,',,2000, ' .,'
, ,CUBB.ENT BU_DG ET ,:
cLASSIFICATION
¡.-
(j')
-..:¡
REVENUE
1623 Ontario Specific Grants
REVENUE
1895 Charters
9950 Fares
9990 CXherRevenue
TOTAL REVENUE
2360 - SPECIALIZED SERVICES
PREVIOUS YEARS ACTIVITY
1999
1998 1989 EST. 1999 Revised
ACTUAL ACTUAL BUDGET BUDGET
$0 $0 $0
$0 $0 $0
($720) ($600)
($22.020) ($19,610) ($25,000) ($25,000)
0 0 0 0
($22,020) ($20,210) ($25,000) ($25,000)
($22,020) ($20,210) ($25,000) ($25,000)
$450.460 $451,580 $523316 $542,266
""-"'-"
(INCREASE)
DECREASE
$0
$0
$0
0
$0
(U$;OOO)I
$0
,($25,000)1
" $539.298
'k CHANGE
2000 BUDGET
VS,
REV. 99 BUDGET
0.00%
0.00%
0,00%
0.00%
0.00%
-0.55%
Page 1
2360 1 SPECIAUZED SERVICES
BACKGROUND INFORMATION
llim Salaries and Waaes $329,703
Total from Final Page $248.496
Plusl(less) Cost Sharing with others:
Manager of Transportation
Salary 50% transferred from Dept. # 2350 37,134
Transit Inspector
Salary 50% transferred from Dept. # 2350 25,438
Conventional coverage of Handi- Transit vacation 13.351
Sav-A-CentrelClaremont costs from Dept. # 2350 4,068
WSIB Training - Cost of Wages: 1,216
.m2 Overtime $5,000
Overtime for operators.
~
EmDlover Contributions
$69,350
This item includes mandatory deductions (CPp,. EI., EHT,,)
and employer provided benefits such as dental, optical,
OMERS, life insurance and long term disability benefits.
Provision in lieu of optional benefits, such as dental,
optical, life insurance and long term disability for permanent
part-time employees.
~
Conferences
$2,000
CUT A Winter Conference (2)
~
Uniforms
$1,095
To supply uniforms in accordance with Union Contract
I
¡
¡
3 Full-time Operators @ 300 ea,
3 Workboot replacement @ 65 ea,
FebNary 25
10:06 AM
0211612000
168
2m
2131
2340
2370
am
2392
m§
mi
m!
10:06 AM
2360 . SPECIALIZED SERVICES
BACKGROUND INFORMATION
Travel
Auto expenses for full-time staff
TeleDhone
Included in Ajax Specialized Services Agreement
Acct. #2399
Seminars and Education
Accident Investigation Training
Insurance General
Based on 1999 estimated actual cost
Insurance. Direct PaYment
Consultive & Professional
Membershios
Canadian Urban Transportation Association
Photo, MaDDlna. PrInting
Handi- Transit Promotional Brochure
Adult Bus Tickets
$1,000
500
Outside Aaencv Services
Contracted Services as per Specialized Services
Agreement with Ajax
Space Rental, Bus Cleaning, PST/GST
0211612000
169
Page 2
$250
$0
$1,000
$12,000
$0
$0
$400
$1,500
$40,000
February 25
2360 - SPECIALIZED SERVICES
BACKGROUND INFORMATION
2m Vehicle Storaae $0
Induded in Ajax Specialized Services Agreement
Acct. #2399
2457 Vehicle Reoalr and Maintenance $40,000
Contracted Services as per Specialized Services
Agreement with Ajax
3 buses @ $5,500 (H07 & H14 & H15) $16,500
2 buses @ $7,000 (H011 & H12) 14,000
1 bus @ $9,500 (H10) new in 1999 9.500
2478 Misc. EauiD ReDairs & Maintenance $0
Induded in Ajax Specialized Services Agreement
Acct. #2399
2657 Vehicle Rental
$39,000
Contracted Evening & Weekend Access Taxi Service
induding Sunday service
~ Stationery & Office SuDDlies $0
Induded in Ajax Specialized Services Agreement
Acct. #2399
m! GST ExemDt $0
~ Gas. 011. Tires $23,000
Contracted Services as per Specialized Services
Agreement with Ajax
Tire Replacement $2,650
Oil Consumption 300
Anti-Freeze 50
Gas Consumption 20,000
im Administration Charae $0
10:06 NIl
0211612000
170
Page 3
February 25
Revenue
9950
9990
10:06 AM
1623 Ontario SDecific Grants
2360 . SPECIALIZED SERVICES
BACKGROUND INFORMATION
MTO Subsidy discontinued effective January 1998
Fares'
Local Fare @ $1,50
Out-at-Boundary Fare @ $3.00
Other Revenue
($25,000)
f'71000
Page 4
$0
$0
February 25
I . CITY OF PICKERING . .1
. ... .. .2000 .
. . CURRENT BUDGET .
2315 - MUNICIPAL GARAGE
PREVIOUS YEARS ACTIVITY
1998 1999 EST. 1999
CLASSIFICATION ACTUAL ACTUAL BUDGET
1100 Salaries & Wages $380,360 $439,840 $392,362
1200 Overtime
1400 Employer Contributions 62,250 60,800 88,281
1900 Uniforms 10,170 10,570 8,000
2110 Travel 30 180 100
2122 Freight, Express & Cartage 670 560 800
,... 2131 Cellular Phones
2220 Subscriptions & Publications 0 100
-..J 2340 Seminars & Education 1,010 2,860 4,480
N 2370 Insurance - General 7,250 8,320 8,000
2392 Consultive & Professional 9,120 10,520 10,400
2395 Memberships 250 400 200
2399 Outside Agency Services 0 0
2435 Building Repairs & Maintenance 98,320 105,020 85,000
2457 Vehicle-Repair & Maintenance 3,150 3,280 3,000
2478 Misc. Equipment Repairs & Maint. 5,180 6,700 6,000
2678 Misc. Equipment Rentals 100 790 200
5300 Stationery & Office Supplies 220 530 1,000
5302 Forms 790 930 1,000
5398 G.S.T. Exempt 3,400 0
5520 Utilities - Gas 8,910 12,050 10,000
5530 Utilities - Hydro 50,810 48,770 57,000
5540 Utilities - Oil 1,100 1,300 2,000
5900 Gas, Oil, Tires, etc. 1,610 2,650 3,000
5902 Misc. Equipment (Under $100) 2,380 2,460 1,700
5903 Shop Supplies 6,400 11,390 6,000
$653,480 $729,920 $688,623
1999
- - - -
Revised INCREASE 2000
BUDGET (DECREASE) BUDGET
$403,142 $10,080 $413,222
10,544 (44) 10,500
90,627 4,710 95,337
8,000 0 8,000
100 25 125
800 0 8Q(J
480 480
100 0 100
4,480 0 4,480
8,000 0 8,000
10,400 0 10,400
200 200 400
0 0 0
85,000 1,000 86,000
3,000 0 3,000
6,000 0 6,000
200 0 200
1,000 0 1,000
1,000 0 1,000
0 0 0
10,000 0 10,000
57,000 0 57,000
2,000 0 2,000
3,000 0 3,000
1,700 0 1,700
6,000 0 6,000
$712,293 $16,451 $728 744
% CHANGE
2000 BUDGET
VS.
REV. 99 BUDGET
2.50%
-0.42%
5.20%
0.00%
25.00%
--0:00%
NA
0.00%
0.00%
0.00%
0.00%
100.00%
0.00%
1.18%
0.00%
0.00%
0.00%
0.00%
0,00%
0.00%
0.00%
0.00%
0.00%.
0.00% .
0.00%
0.00%
2.31°h
...
~
~
"~C.......I..TY..... !1°i.~t.~I<Ei...IN.....G..... . .1
.. .. .c RR TBUDGE. . .
CLASSIFICATION
REVENUE
9916
Vending Machines
9954
Netted Revenue-Municipal Garage
Service Charges
Storage Charges
2315 - MUNICIPAL GARAGE
PREVIOUS YEARS ACTIVITY
1999
1998 1999 EST. 1999 Revised
ACTUAL ACTUAL BUDGET BUDGET
($400) ($720) ($500) ($500)
(326,200) ($299,160) ($369,100) ($369,100)
(231,400) (266,000) ($266,914) ($266,914)
($558,000) ($565,880) ($636,514) ($636,514)
$95.480 $164.040 $52,109 $75,779
(INCREASE) 2000
DECREASE BUDGET
$0 ($500)
0 (369,100)
0 (266,914)
$0 ($636,514
$16,451 $92.230
Ok CHANGE
2000 BUDGET
VS.
REV. 99 BUDGET
0.00%
0.00%
0.00%
0.00%
21.71%
1100
\
1122
~
1900
2110
2122
~
am
~
10:06 AM
2315 - MUNICIPAL GARAGE
BACKGROUND INFORMATION
Salaries and Wa~es
$413,222
Total from Final Page
Overtime
$10,500
To complete MTO's as required,
Winter call-ins & emergencies.
EmDlover Contributions
This item includes mandatory deductions (CPP" EI., EHT.,)
and employer provided benefits such as dental, optical,
OMERS, life insurance and long term disability benefits,
$95,337
Uniforms
Overall and Tool allowance
$8,000
Travel
For mileage payments when City Vehicle
is not available
Freight Charges
To pay for shipment of Auto repair parts
Cellular Phones
SubscriDtions
For trade and information journals
Seminars and Education
To allow staff to attend training, educational,
courses and workshops
Mechanic Certification - Mechanics & Forepersons
Natural Gas Certification - Mechanics & Forepersons
World Transmission Training and Series 50 engines - Mechanics
Legislated Emission Testing Certification per
Drive Clean Program - Forepersons
$4,480
0211612000
174
Page 1
$125
$800
$480
$100
February 25
Page 2
2315 . MUNICIPAL GARAGE
BACKGROUND INFORMATION
2370
Insurance
$8,000
Works Centre perimeter
Cost based on 1999 Estimated Actual
nu
Consultive & Professional
$10,400
Soil Contamination Monitoring
2395 MembershiD $400
Automotive Transportation $100
Superintendents Association 100
Drive Clean Registration 200
2399 Outside Aaencv Services $0
2435 Buildina ReDairs & Maintenance "$86,000
Cleaning contract $16,000
In-house labour/security 20,000
Door maintenance contract 4,000
Furnace maintenance 5,000
Electrical maintenance 6,000
Fuel pump maintenance 1,200
Misc. building repairs 3,000
Plumbing repairs 4,500
Health & Safety maintenance and test 4,000
Disposal of waste water 5,000
Disposal of waste oil 5,600
Removal of garbage/recycling 7,000
Rental of water coolers 2,700
Disposal of Waste Anti-freeze 2,000
2457 Vehicle. ReDair & Maintenance $3,000
Repair & maintenance of service vehicles
lliI Misc. EauiDment ReDairs & Maint. $6,000
To cover repairs and maintain
hoists, jacks. scopes, etc.
10:06 AM
0211612000
February 25
175
5398 G.S.T. Exemot
5520 Utilities - Gas
5530 Utilities. Hvdro
Bn
5300
~
5540
5900
5902
¡
!
\
5903
10:06 AM
Page 3
2315 - MUNICIPAL GARAGE
BACKGROUND INFORMATION
Misc. Eauioment Rentals
$200
For rental of tools or equipment
for specific job
Stationerv & Office Suoolies
$1,000
For provision of stationery & misc. supplies.
E2m!!
$1,000
$0
$10,000
$57,000
Utilities - Oil/Gas
$2,000
Gas. Oil. Tires. etc.
$3,000
For service vehicle operation
Misc. Eauioment Under $100
$1,700
For purchase of small tools. bits and
welding equipment
Shoo Suoolies
$6,000
To purchase nuts, bolts, etc,
0211612000
176
February 25
Revenue
9916
iæ
10:06 AM
2315 - MUNICIPAL GARAGE
BACKGROUND INFORMATION
Vendina Machines
Netted Revenue - Municipal Garaae
Service Charges
Storage Charges
($500)
($369,100)
($266,914)
For additional information, please reference the attached sheets,
0211612000
177
Page 4
February 25
¡..CITY. .ÖF.PI.Ci<. ER.ING I
.... . 2000.. . .....
. CURR~UDGET . .. .
2124 - CIVIC COMPLEX
CLASSIFICATION
1100 Salaries & Wages
1200 Overtime
1400 Employer Contributions
1900 Unifonns
2110 Travel
2340 Seminars & Education
2370 Insurance
2395 Memberships
2435 Building(Fumiture) Rep, & Maint.
2478 Misc, Equipment Rep.& Maint.
2678 Misc. Equipment Rentals
5398 G.S.T. Exempt
5510 Utilities - Water
5520 Utilities - Gas
5530 Utilities - Hydro
5902 Misc,Equip.&Tools(Under $100)
~
"'-1
00
PREVIOUS YEARS ACTIVITY
1999
1998 1999 EST. 1~99 Revised
ACTUAL ACTUAL BUDGET BUDGET
$30,700 $38,740 $40,822 $41,980
1,000
930 1,320 3,100 3,432
0 120 0 0
930 200 200
0 0 0
10,350 10,350 10,350 10,350
140 140 140
106,750 108,490 90,000 90,000
34,300 35,820 35,941 35,941
400 140 250 250
3,800 0 0
4,430 3,580 5,000 5,000
12,400 15,730 19,000 19,000
71,000 78,950 85,000 85,000
550 460 500 500
$276,680 $293,700 $290,303 $292,793
8k CHANGE
2000 BUDGET
INCREASE 2000>.
(DECREASE) . BUDGET. R _on
$1,050 . $43,030 2.50"/0
0 ...1,000 0.00%
3,173 .6,605 92.45%
0 0 0.00%
0 200 0.00%
0 0 0.00%
0 10,350 0.00%
(140) 0 -100.00%
11,000 101,000 12.22%
6,000 41,941 16,69%
0 250 0.00%
0 0 0,00%
0 . 5,000 0.00%
0 19,000 0.00%
0 85 ,000 0.00%
0 500 0.00%
.. .
$21,083 .. $313.876 7.20%
ICITY..........O.,.'., F, P,I."CK, E. R,',..ING "I
... ' ,', "2000 . <,' , ..
.'.CURRENT BUDGET, '.."
2124. CIVIC COMPLEX
PREVIOUS YEARS' ACTIVITY
1999 % CHANGE
1998 1999 EST. 1999 I Revised (INCREASE) I~~2õoo<I VS.
CLASSIFICATION I ACTUAL ACTUAL BUDGET BUDGET DECREASE 'BUDGET' REV. 99 BUDGET
REVENUE
..... I 9916 Vending Ma""ines I ($3001 ($5601 ($60011 ($6001 $0 '$Boo, 0,00%
~ 9990 Other Revenue (2,000) (2,070) (2,000)1 (2.000) 0 I . (2.00ml 0.00%
($2,300) ($2,630) ($2,6ÒO) ($2,600) $0. ($2,61)0\ 0.00.1.
$274,380 $291,070 $287,703 $2..q.193 $21,083~$311¡27il 7.27%
¡ .
10:26 AM
llim
1200
1400
1900
~
2340
~
U!§
2124 - CIVIC COMPLEX
BACKGROUND INFORMATION
I
Salaries and Wages
Total from Final Page
Plusl(less) Cost Sharing with others:
Mechanical Maintenance Mechanic
(50% from Recreation Complex)
Facilities Maintenance Person
(50% from Dept. #2719)
Part-time Community Centre Custodian
(from Dept. #2719)
Overtime
EmDlover Contributions
This item indudes mandatory deductions (CPP., EI., EHT,,)
and employer provided benefits such as dental, optical,
OMERS, life insurance and long term disability benefits,
Provision in lieu of optional benefits, such as dental,
optical, life insurance and long term disability for permanent
part-time employees,
Unlfonns
Personal protective equipment and uniforms
Work boot allowances, safety vests and T-shirts,
rubber boots (safety), hard hats, gloves.
Travel
Allowance paid to employees that use
their own vehide for City business,
Seminars and Education
Insurance
MembershlDs
0211612000
180
Page 1
$43,030
$0
22,791
18,655
1,584
$1,000
$6,605
$0
$200
$0
$10,350
$0
February 25
Page 2
2124 - CIVIC COMPLEX
BACKGROUND INFORMATION
~ Bulldlna (Furniture) ReDalrs & Maint. $101,000
Maintenance Contracts $46,000
Security Contract 22,000
Provision for building repairs & services 13,000
Provision for furniture repairs 2,000
Provision for supplies 10,000
Garbage Disposal 3,500 (50%)
Misc, Costs (outside lighting, signage, etc.) 2,500 (50%)
Underground - power washing 2,000
2478 Misc. EauiDment ReDairs & Maint. $41,941
To cover mechanical equipment service
contracts & various repairs:
Standby Generator (diesel generator) $950 (50%) *
Honeywell
(Centrifugal Chiller & Starters) 4,614 (50%) *
Johnson Damery (boilers) 1,050 (50%) *
Otis Canada (elevator) 4,627 (50%) *
Fire Alarm, Sprinkler System and
Fire Extinguishers ( Collins Fire Protection) 4,200 (50%) *
Misc. provision for electrical, plumbing,
mechanical & other supplies 17 ,000
(e.g. water chemical, oils, filters, belts)
Overhead garage doors
(Eastern Overhead Doors) 1,000
Provision for inspection of positioners and
blades on 3 air handling fans, service &
perform vibration analysis 2,000
Sound system service (Council Chamber) 500
Electrical Safety Authority
(yearly inspection fee as per legislation under
Electrical Code) 6,000
2678 Miscellaneous EauiDment Rentals $250
un G.S.T. ExemDt $0
10:26 AM
0211612000
February 25
181
Page 3
2124 - CIVIC COMPLEX
BACKGROUND INFORMATION
5510 Utilities - Water (50% of total).
5520 Utilities - Gas (50% of total).
5530 Utilities - Hydro (50% of total).
5902 Misc. Eauioment Under $100
First Aid & Safety supplies
Small tools
. Expense shared with Library
$5,000
$19,000
$85,000
$500
$200
300
Revenue
9916
Vendina Machines
($600)
9990
Other Revenue
($2,000)
Payment from Library for services provided by
Civic Complex staff
10:26 AM
02116/2000
182
February 25
I CITY.......O.. F..........P.I..C. K.ER..ING I
... . ... ... 2000 .
CURRENT BUDGET
CLASS1FICA TIOH
1100 Salaries & Wages
1200 Overtime
1400 Employer Contributions
2110 Travel
2131 Telephone
2210 Advertising
2340 Seminars & Education
2394 RecptlProm.&Spec.Ev.lGen.P/R
2399 Outside Agency Services
2435 Building Repairs & Maint.
2478 Misc. Equip, Repairs & Maint.
5320 Seniors Program Supplies
5398 G.S.T, Exempt
5510 Utilities - Water
5520 Utilities - Gas
5530 Utilities - Hydro
5902 Misc. Equip, (Under $100)
2572 - SENIOR CITIZENS CENTRE
PREVIOUS YEARS ACTIVITY
1999
1998 1999 EST. 1999 Revised
ACTUAL ACTUAL BUDGET BUDGET
$68,220 $68,940 $73,607 $77,564
332
8,950 8,220 15,070 15,472
700 400 600 600
2,270 2,550 2,000 2,000
200 200 200
50 50 500 500
0 2,170 2,000 2,000
9,200 10,250 12,500 12,500
7,530 17,660 19,000 19,000
5,080 4,300 3,500 3,500
970 1,060 1,000 1,000
370 0 0
1,830 1,740 3,000 3,000
2,950 3,630 5,000 5,000
6,850 6,200 10,000 10,000
20 230 250 250
$115,190 $127,400 $148,227 $152,918
INCREASE 2000
(DECREASE) BUPc:;ET
$3,857 $81,421
(32) 300
3,104 18,576
0 600
0 2,000
0 . . 200
0 500
1,500 3,500
0 12,500
3,000 22,000
3,000 6,500
0 1,000.
0 0
0 3,000
2,000 7,000
0 . 10,000
0 250
$16,429 $169,347
% CHANGE
2000 BUDGET
VS.
REV. 99 BUDGET
4,97%
-9.64%
20,06%
0,00%
0.00%
0,00%
0,00%
75,00%
0,00%
15,79%
85.71% .
0,00%
0,00%
0,00%
40,00%
0.00%
0.00%
0,00%
10.74%
I.... . .CI~U<:.U=ING .1
2572 - SENIOR CITIZENS CENTRE
CLASSIFICATION
PREVIOUS YEARS ACTIVITY
1999
1998 1999 EST. 1999 Revised
ACTUAL ACTUAL BUDGET BUDGET
($26,930) ($26,930) ($26,934) ($26,934)
($26,930) ($26,930) ($26,934) ($26,934)
($8,130) ($7,570) ($10,500) ($10,500)
($8,130) ($7,570) ($10,500) ($10,500)
($35,060) ($34,500) ($37,434) ($37,434)
$80.130 $92.900 $110,793 $115,484
REVENUE
1623 Ontario Specific Grants
REVENUE
9990 Other Revenue
TOTAL REVENUE
(INCREASE)
DECREASE
$16!429
2000 ..
BUDGET
$0
$0
$0
$0
($10,600)
$0
($37;434)
"'$1~1,913.
% CHANGE
2000 BUDGET
VS.
REV. 99 BUDGET
0,00%
0.00%
0.00%
0.00%
0.00%
14.23% .
1100
1200
1400
2110
2131
10:26 AM
2572 - S~NIOR CITIZENS CENTRE
BACKGROUND INFORMATION
Salaries and Wages
Total from Final Page
Plus/(Iess) Cost Sharing with others:
Part-time Civic Complex Custodian
(100 hours @ $15,84 charged to Acct #2124
General Government - Municipal Building)
Provision for additional Facility Security Guard
Provision for Vacation Pay (4%)
Overtime
Emolover Contributions
This item includes mandatory deductions (CPP" EI., EHTo,)
and employer provided benefits such as dental, optical,
OMERS, life insurance and long term disability benefits,
Travel
Automotive mileage,
Teleohone
Emergency and business telephone.
0211612000
185
Page 1
$81,421
$71,251
(1,584)
11,247
507
$300
$18,576
$600
$2,000
February 25
Page 2
2572 . SIiNIOR CITIZENS CENTRE
BACKGROUND INFORMATION
2210 Advertisina $200
Display and promotion
~ Seminars and Education $500
PRO Municipal Administration Training $300
Conflict Resolution Workshop - Program Supervisor 200
,
$3,500 ! I
2394 RecotlProm.&Soec.Ev JGen. PIR I
I
To provide events for older persons during
Millennium Celebrations
5 Big Band Events $1,200
Poinsettia Tea 1,500
Mayor's Light Tour 800
mI Outside Aaency Services $12,500
To provide program instructional staff
for Older Adult programs
~ Buildina ReDairs & Maintenance $22,000
Cost increases are due to deletion of cost-sharing
with Library.
To cover repairs and maintenance
Maintenance Contract $13,000
Caretaking supplies 5,000
General supplies 2,000
Electrical and Plumbing 2,000
10:26 AM
0211612000
186
February 25
ill!
5320
~
§ill
5520
5530
5902
10:26 AM
2572 - SE;NIOR CITIZENS CENTRE
BACKGþOUND INFORMATION
Misc. Eaulo. ReDalrs & Maintenance
To cover repairs and maintenance
HV AC Servicing
General repairs and maintenance
Boiler repair and maintenance
Fire Inspection
Emergency Lighting
Seniors Program Suoolies
To assist in the provision of supplies and
equipment for various Older Adult Programs
G.S.T. Exemot
Utilities - Water
Utilities - Gas
Utilities - Hvdro
Misc. Eauioment Under $100
First Aid & Safety supplies (replacement) and
Small tools (replacement)
0211612000
187
Page 3
$6,500
$3,000
1,500
1,000
500
500
$1,000
$0
$3,000
$7,000
$10,000
$250
February 25
1623
9990
10:26 AM
2572 - S NIOR CITIZENS CENTRE
BACKGROUND INFORMATION
Revenue
Provincial Grant
Elderly Persons Centre Operating Grant
Other Revenue
Program Registrations for Older Adult Programs
Keep Fit
Art
Clogging
Country Dancing
TaiChi
Spanish
Golf
Crafts
Other
02116/2000
188
Page 4
($26,934)
($10,500)
($3,700)
(600)
(550)
(1,700)
(750)
(650)
(350)
(200)
(2,000)
February 25
I ..CITY..........O...FPI.CK..E....R I. NGI
. . ....... .. 2000 ..... ... ..
. . CURRENT BUDGET. '....
2711 - CULTURE & RECREATION - ADMINISTRATION
CLASSIFICA nON
.....
00
(.C
1100 Salaries & Wages
1200 Overtime
1400 Employer Contributions
1800 Conferences .
2110 Travel
2131 Cellular Phones
2210 Advertising
2211 Tr. Shows, Exhib. & Displays
2220 Subscriptions & Publications
2340 Seminars & Education
2394 RecptlProm.&Spec.Ev.lGen. P/R
2395 Memberships
2396 Photo, Mapping, Printing
2399 Outside Agency Services
5300 Stationery & Office Supplies
5302 Forms
5398 G.S.T. Exempt
PREVIOUS YEARS ACTIVITY
1998 1999 EST. 1999
ACTUAL ACTUAL Budget
$324,750 $395,230 $347,821
45,160 52,950 74,865
0 1,500
1,230 240 1,500
1,370 1,110 1,500
9,590 7,270 8,800
0 0
150 30 300
110 1,900
320 350 300
450 250 690
340 50 500
0 0
3,360 5,350 3,000
720 500
150 0
$387,700 $462,830 $443,176
1999
Revised
BUDGET
$375,868
2,400
78,229
1,500
1,500
1,500
8,800
0
300
1,900
300
690
500
0
3,000
500
0
$476,987
INCREASE .2000 ..
(DECREASE) "UDGET
$52,249 $428,117
0 ... 2400.
.,. .
13,902 . . 92.131
0 .. .1,~OO
0 .1.500
0 .1.500
0 8.800
0 . ......0
0 ..300
0 t~OO
0 ...300
0 . .690
0 500
0 . ...0
500 3,500
0 500
0 0
$66,651 S543.638
Ok CHANGE
2000 BUDGET
VS.
REV. 99 BUDGET
13.90%
0.00%
17,77%
0.00%
0.00%
0.00%
0.00%
0.00%
0.00%
0,00%
0.00%
0.00%
0.00%
0.00%
16.67%
0,00%
0.00%
13.97"'0
1100
1200
1400
1800
2110
nu
Ujjl
10:27 AM
I
2711 - CULTURE ~ECREA TION - ADMINISTRATION
BACKGROUND INFORMATION
Salaries and Wages
Total from Final Page
Plus/(Iess) Cost Sharing with others:
Additional resources for Phase I - master plan
Transfer of one staff from Dept (2710)
Program Superintendenfs salary
(50% charged to C&R Programs)
Corporate Event/Promotion/Graphic Designer
Overtime
Overtime for Department Administration Staff working
events held on weekendslholidays
Emolover Contributions
This item includes mandatory deductions (CPP., EI., EHT,,)
and employer provided benefits such as dental, optical,
OMERS, life insurance and long term disability benefits.
Conferences
To permit Administrative Staff to attend a
conference - Canadian Parks & Recreation - Division Head
Travel
Automobile mileage for Administrative staff
Cellular Phones
Cover costs of Division cell phones
(Division Head & Program Superintendent)
Advertlsina
Includes all sections within the Division
Special Events, Programs, Summer Programs,
Youth Promotions, Radio Advertising,
Additional City Promotion/Advertising
Contra Deals
0211612000
190
$347,813
10,000
32,852
27,799
9,653
Page 1
$428,117
$2,400
$92,131
$1,500
$1,500
$1,500
$8,800
February 25
10:27 AM
2211
2220
~
2394
~
2396
un
~
2711 . CULTUREI RECREATION . ADMINISTRATION
BACKGROUND INFORMATION
Trade Shows. Exhib. & DisDlavs
SubscriDtions and Publications
Includes all Division Sections excluding
Museum and Complex
Seminars and Education
PRO Municipal Administration Training -
Program Superintendent (2)
COREL 8 Training - Graphic Designer
Page 2
$0
$300
$1,900
$600
1,300
Public Relations
Administrative Staff plus Marketing/Promotion
area
MembershiDs
1 x $140 Parks & Recreation Ontario
1 x $550 Canadian Parks & Recreation Assoc,
(Municipal Membership)
Photo. MaDDina. Printing
To cover professional services for photography
map and printing reproductions
Outside Aaencv Services
Stationery & Office SuDDlies
To provide stationery and office supplies for
Division, including printer cartridges
0211612000
191
$300
$690
$500
$0
$3,500
February 25
10:27 AM
§m
5398
Page 3
2711 - CULTURE RECREATION - ADMINISTRATION
BACKGROUND INFORMATION
f2Dn
$500
To provide professional printing services of forms
for the Department
G.S.T. Exemot
$0
0211612000
192
February 25
- "-- - -- '- - -',- - -- .- --- "--- -- -'-- --~ ---' .'-_." '--'.'
2712 - CULTURE & RECREATION - PROGRAMS
PREVIOUS YEARS ACTIVITY 'A. CHANGE
1999 2000 BUDGET
1998 1999 EST. 1999 Revised INCREASE ,2000 vs.
CLASSIFICATION ACTUAL ACTUAL BUDGET BUDGET (DECREASE) BUDGET' , REV. 99 BUDGET
1100 Salaries & Wages $188,650 $279,290 $197,348 $209,413 $25,592 $235,005 12.22%
1200 Overtime 1,000 o ' 1,000 0.00%
l--., ~ -1400 Employer Contributions 68 , 950 70,290 72,945 72,945 13,197 " 86,142 18.09%
to 1900 Uniforms 1,370 1,570 1,500 1,500 o ' 1,500 0.00%
2110 Travel 5,080 4,040 2,000 2,000 o 2,000 0.00%
W 2131 Cellular Phones 3,660 1,490 1,200 1,200 o 1,200 0.00%
2220 Subscriptions & Publications 80 10 100 100 0 100 0.00%
2340 Seminars & Education 110 20 600 600 0 600 0.00%
2365 Purch, Pr.lBroch.lNews ltr. 62,530 68,740 65,000 65,000 3,000 68,000 4.62%
2394 RecptlProm.&Spec.Ev.lGen. P/R 39,290 51,390 42,500 42,500 3,000 45,500 7.06%
2395 Memberships 140 20 400 400 0 400 0.00%
2399 Outside ~ency Services 0 0 0 0 0 0 0.00%
2478 Misc. Equipment Repairs & Maint. 270 430 200 200 0 200 0.00%
2642 Community-Use-of-Schools 2,340 3,660 3,000 3,000 1,000 4,000 33.33%
2678 Misc. Equipment Rental 40 1,740 1,000 1,000 0 1,000 0.00%
5302 Forms 0 500 500 0 500 0.00%
5330 Drop-In Centre Supplies 1,540 1,290 1,500 1,500 500 2,000 33.33%
5398 G.S.T. Exempt 0 0 ° 0 0 0.00%
5902 Misc. Equipment (Under $100) 1,390 1,280 2,000 2,000 0 2,000 0,00%
9398 Program Expenditures 885,275 888,400 873,985 905,791 31,832 937.623 3.51%
..
$1 260.715 $1,373.660 $1 265 778 $1,310,649 $78,121 'S1.3811.7'70 5.96%
I CITY..,O F P, I"CKE, 'R".',ING I
'.' " ' .,,' 2000 ' ,
'.CURRENT BUDGET ",
CrTYPFPICI<;ERIIIIG.. ....1
.. ... ..........2000 ... ... . .
...CURRENTBUDGET . ..
2712 - CULTURE & RECREATION - PROGRAMS
ClASSIFICA 110N
REVENUE
1610 Federal Grant
1623 Ontario Specific Grants
¡-.
to
~
REVENUE
9397 Program Registrations
9940 Advertising Space
9977 Donations
9990 Other Revenue
TOTAL REVENUE
PREVIOUS YEARS AC11VIlY % CHANGE
1999 2000 BUDGET
1998 1999 EST. 1999 Revised 2000 YS.
ACTUAL ACTUAL BUDGET BUDGET BUDGET REV. 99 BUDGET
($8,000) $0 ($8,Ùpþ) 0,00%
(10,000) 0 to,QOO O.~
($18,000) $0 18 000 0.00%
($1,137,570) ($1,083,186) ($1,083,186) ($62,493) . ($1,145,679) 5.77%
(8,225) (15,000) (15,000) 0 (15,{)OO) 0.00%
o o 0 0.00%
11,100 (11,100) (3,799) 34.23%
($1,109,286) ($66,292) 5.98%
($1,147,047) ($1,211,775) ($1,127.286) ($1,127,286) ($66,292) ($1,19;1,$78) 5.88%
$113668 $161 885 $138492 $183,363 $11,829 $195192 6.45%
Page 1
2712 - CULTURE & RECREATION - PROGRAMS
BACKGROUND INFORMATION
1100 Salaries and Waaes $235,005
Total from Final Page $237,166
Plus/(Iess) Cost Sharing with others:
Program Superintendent
(50% charged to C&R Administration) (27,799)
Provision for Vacation Pay (4%): 5,280
Provision for Millennium Event Coordinator Top Up 6,716
Provision for NEW Youth Drop-In Programs 9,261
Provision for additional Integration Support Staff 4,381
1200 Overtime $1,000
Overtime for Program Supervisor and
Program Superintendent
1400 Emolover Contributions $86,142
Based on Total Salaries which also covers
instructors whose salaries are charged directly to the
individual programs, under #9398
This item includes mandatory deductions (CPP" EI., EHT.,)
and employer provided benefits such as dental, optical,
OMERS, life insurance and long term disability benefits.
1900 Uniforms $1,500
Summer Programs:
(Le. Camps - Sports, Arts, Mini Pidaca, etc.)
Camp Staff/Program Staff T-shirts
Volunteer Program T-shirts
2110 Travel $2,000
Automobile mileage:
Program Superintendent $1,000
Program Supervisor 1,000
2131
Cellular Phones
$1,200
10:28 AM
Cost of Division Cell Phones
for Youth Programs (2)
°î1g~00
February 25
lli.Q
~
2365
¡æ
10:28 AM
2712. CULTURE & RECREATION. PROGRAMS
BACKGROUND INFORMATION
Subscrlotlons and Publications
To continue to enhance the general program
resource library
Seminars and Education
PRO Municipal Administration Training - Program Supervisor
Health/Safe Community Training - Various staff
Purch. Pr./Broch./News Letter
City of Pickering Brochures
Additional cost projected due to increased number
of copies required for residents
Receol Prom. & So. Ev.lGeneral P/R
Canada Day:
Fireworks
Program
New Years Eve Countdown
Arts & Culture Events:
Artfest on the Esplanade
GazebQ Concerts in the Park 4 @ $500
Ethnocultural Functions/Events
Youth Events:
Youth Fest
Millennium Youth Events
Drug Awareness - Off the Wall Events
0211612000
196
$300
300
$16,000
13,000
5,000
3,000
1,500
2,000
1,000
3,000
1,000
Page 2
$100
$600
$68,000
$45,500
February 25
2395
am
2478
2642
2678
5302
~
WI
10:28 AM
Page 3
BACKGROUND INFORMATION
2712 - CULTURE & RECREA TaON - PROGRAMS
þ
Membershlos
Membership in Trade & Other Related Associations:
Parks and Recreation Ontario
Festivals & Events Ontario
$400
$280
120
Outside Aaencv Services
Misc. Eauloment Reoairs & Maint.
To cover repairs and maintenance for
various equipment
CommunitY Use-of-Schools
To pay for Custodian Wages for General
Recreation Programs
Miscellaneous Eauloment Rentals
Pager (Youth)
Miscellaneous Rentals for youth + camp programs
Forms
Preprinted confirmation paper and cash application
forms for Escom computer system
Droo-in Centre Suoolies
To assist in the provision of supplies and
equipment for various Youth Programs
G.S.T. Exemot
fflOOO
$0
$200
$4,000
$1,000
$500
$2,000
$0
February 25
5902
9398
Revenue
1610
1623
9397
9940
9977
9990
10:28 AM
Page 4
2712 - CULTURE & RECREATION - PROGRAMS
BACKGROUND INFORMATION
Misc. Eauloment Under $100
$2,000
Various Sports Equipment for Programs
(volleyballs, basketballs, soccer balls replacement)
$1,200
First Aid Supplies (replacement)
400
Various Camp Equipment (replacement)
400
Proaram Exoendltures
$937,623
Federal Soeclflc Grants
($8,000)
Federal financial assistance from S,E,E,D. Grant
Ontario Soeclflc Grants
($10,000)
Proaram Realstratlons
($1,145,679)
Advertlslna Soace
($15,000)
The sale of advertising space in City Brochures:
Spring/Summer
Fall Advertisers
Winter Advertisers
($5,000)
($5,000)
($5,000)
Donations
$0
Other Revenue
($14,899)
Revenue generated from charges to community
school user groups to offset security costs
02116/2000
February 25
198
....,-.-.
¡erN...... Ö. F. PI....C .....K. ..E....R..ING I
. ... ... .... .. 2000 .. .
... > CURRENT BUDGET
2713 - DUNBARTON POOL
CLASSIFICATION
....
(0
c:.c
1100 Salaries & Wages
1200 Overtime
1400 Employer Contributions
1900 Uniforms
2110 Travel
2340 Seminars & Education
2370 Insurance
2395 Memberships
2435 Building Repairs & Maintenance
2478 Misc. Equipment Repairs & Maint.
5510 Utilities - Water
5520 Utilities - Gas
5530 Utilities - Hydro
5902 Misc, Equipment (Under $100)
Contribution to Reserve for
Capital Replacement
PREVIOUS YEARS ACTIVITY
1998 1999 EST. 1999
ACTUAL ACTUAL Budget
$118,170 $141,700 $121,905
27,010 29,110 30,389
2,300 2,060 2,649
150 350 400
510 160 500
2,900 2,900 2,900
130 130 140
11,200 11,020 12,000
7,600 5,680 7,000
0 2,500
21,510 19,670 21,000
0 8,000
1,170 .1,270 1,418
0
4,962 4,962 4,962
$197,612 $219,012 $215,763
1999
Revised
BUDGET
$127,039
1,763
31,121
2,649
400
500
2,900
140
12,000
7,000
2,500
21,000
8,000
1.418
0
4,962
$223,392
% CHANGE
2000 BUDGET
INCREASE 2000..... VS.
(DECREASE) BUDGET. REV. 99 BUDGET
--
($115) $126,924 -0.09%
(263) .. .1,500 -14.92%
(299) 30,822 -0.96%
0 2,649 0.00%
0 400 0,00%
0 500 0.00%
0 2,900 0.00%
0 .. 140 0,00%
0 . .12,000 0,00%
3,500 .10,5<)0 50.00%
0 . 2,500 0.00%
0 . 21,000 0,00%
0 .. 8;000 0,00%
0 1,418 0,00%
0 ..4,962 0,00%
$2,823 .........$226.215 1.268/8
I .CITY..........OF......P I.CK.ER.INGI
.... ... .... ..2000..... ..
. . ..CURRENT BUDGET .....
2713 - DUNBARTON POOL
CLASSIFICATION
PREVIOUS YEARS ACTIVITY
1999
1998 1999 EST. 1999 Revised
ACTUAL ACTUAL Budget BUDGET
($160) ($300) ($250) ($250)
(8,540) (8,700) (9,000) (9,000)
(78,930) (88,200) (87,200) (87,200)
$0 $0 (2,000) (2,000)
(7,040) (7,000) (7,000) (7,000)
($94,670) ($104,200) ($105,450) ($105,450)
$102,942 $114,812 $110,313 $117,942
.N
<=>
0
REVENUE
9916 Vending Machines
9923 Admissions - Public Swimming
9932 Rentals - Pool
9936 Rentals - Pool - School Board
9943 Memberships - PooVHealthClub
(INCREASE)
DECREASE
% CHANGE
2000 BUDGET
VS.
REV, 99 BUDG~I
$0 II . ($2$0) 0,00%
0 II (9,000) 0,00%
(2,673) II (89,873) 3,07%
0 II (2,000) 0,00%
0 II (7,000) 0,00%
. ..
($2,673) II ($108,U3)11 2.53%
$150 II.. . $118109211 0.13%
1100
~
1400
~
1112
10:29 AM
BAC~ROUNDINFORMATION
Salaries and Wages
Total from Final Page
Plus/(Iess) Cost Sharing with others:
Aquatic Program Supervisor
Increase work week from 35 hours to 40 hours
$fi,êJ6 3er year (aElElitieRal 269 lIewF6) see attaslleEl
fe39R
50% transferred to Recreation Complex Pool
Provision for Vacation Pay (4%):
Term Employees plus Non-Bargaining Unit Staff
Overtime
To meet program demands,
Emolover Contributions
This item includes mandatory deductions (CPP., EI., EHT.,)
and employer provided benefits such as dental, optical,
OMERS, life insurance and long term disability benefits.
Uniforms
To supply uniforms in accordance with Union Contract
Boots, Coat, Assorted
Aquatic Program Supervisor:
Bathing Suit
Track Suit
Part-time Maintenance
15 Lifeguard shirts
20 Instructor T-shirts
21 Sweatshirts
29 Bathing Suits
IœIl
Automobile Expenses for staff,
0211612000
201
$148,559
ê;ê3i Deleted T JQ
(23,598)
1,963
$305
50
80
50
264
150
750
1,000
Page 1
$126,924
$1,500
$30,822
$2,649
$400
February 25
~
1m
m§
Hä
HII
~-DUNBARTONPOOL
BACKGROUND INFORMATION
Seminars and Education
PRO Municipal Administration Training
Recertifications
Insurance
Membershios
. Red Cross
Royal Life Saving Association
BuildinG ReDairs & Maintenance
To cover repairs and maintenance - Pool Equip.
Repairs and upkeep on:
Pool chemicals
Caretaking supplies
General supplies
Electrical and plumbing repairs
Misc. EauiD ReDairs & Maintenance
To cover repairs and maintenance
on pool equipment
Filter System
General repairs & maintenance
Electrical and Plumbing
Heating and Air Handling (contract)
Boiler repair and maintenance (contract)
1m Utilities - Water
1m Utilities - Gas
~ Utilities . Hydro
10:29 AM
0211612000
202
Page 2
$500
$300
200
$2,900
$140
$65
75
$12,000
$3 , 000
3,000
2,000
4,000
$10,500
$4 , 000
3,000
500
1,500
1,500
$2,500
$21,000
$8,000
February 25
im
9916
9923
un
un
,gg
10:29 AM
~1~-DUNBARTONPOOL
BAC~ROUND INFORMATION
Misc. EGuiDment Under 5100
Tools and Safety supplies (replacement)
Flutter Boards (replacement)
Toys (replacement)
Contribution to Reserve for CaDital ReDlacement
Funds to be transferred to Reserve for Capital
Equipment Replacement
Revenue
VendinG Machines
Admissions. Public SwimminG
Youth singles
Adult singles
Family singles
Youth - 10 pass
Adult-10 pass
Rentals. Pools
Learn to Swim
Private
Masters
Swim Club
Synchro
Learn to Swim Contribution to Capital Reserve
Other Pool Rental Contribution to
Capital Reserve
Rentals - Pool. School Board
MembershiDs . Pool
Youth
Adult
Family
0211612000
203
Page 3
$1,418
$500
318
600
$4,962
(5250)
($9,000)
($3,800)
(2,000)
(2,000)
(784)
(416)
($89,873)
($53,600)
(1,908)
(3,419)
(15,400)
(10,584)
(3,660)
(1,302)
($2,000)
($7,000)
($400)
(4,000)
(2,600)
February 25
CITY.OF. .PI..C. KERING I
. .... .2000 ..
. CURRENT BUDGET
2715 - DON BEER ARENA
CLASSIFICATION
N
0
~
1100 Salaries & Wages
1200 Overtime
1400 Employer Contributions
1900 UnifonT1s
2110 Travel
2131 Cellular Phones
2340 Seminars & Education
2370 Insurance
2395 Memberships
2435 Building Repairs & Maint.
2478 Misc. Equip. Repairs & Maint.
2678 Misc. Equipment Rentals
2682 Land Rentals
5300 Stationery & Office Supplies
5302 FonT1s
5510 Utilities - Water
5520 Utilities - Gas
5530 Utilities - Hydro
5900 Gas, Oil, Tires, etc.
5902 Misc. Equipment (Under $100)
Reserve Contribution
PREVIOUS YEARS ACTIVITY
1998 1999 EST. 1999
ACTUAL ACTUAL Budget
$226,590 $229,170 $224,159
35,680 32,100 44,226
1,000 1,100 1,000
120 300
400 170 0
270 240 200
30,250 30,250 30,250
60 260 450
28,430 23,430 29,000
22,090 19,820 22,000
120 250
4,800 4,800
0 290 300
260 300
12,040 12,210 12,000
12,740 14,290 13,000
104,860 88,990 105,000
20 20 400
510 120 1,000
30,000 30,000 30,000
$510,240 $482,460 $518,635
1999
Revised
BUDGET
$234,072
3,163
45,664
1,000
300
0
200
30,250
450
29,000
22,000
250
4,800
300
300
12,000
13,000
105,000
400
1,000
30,000
$533,149
INCREASE .. 2000 . .
(DECREASE) BUDGET
$5,733 $2~9,8()5
37 . 3,200
2,281 47,945
0 1,000
0 >300
800 $00
50 ..250
0 30,250
0 .450
(1,000) . 28,000
0 22,000
0 .. ..250
0 4.800
0 .300
0 . . 300
0 12,000
0 13,000
(5.000) 100,000
400 .800
0 1,000
0 30,000
$3,301 . $5~$,"50
% CHANGE
2000 BUDGET
VS.
REV. 99 BUDGET
2.45%
1.17%
5.00%
0.00%
0.00%
NA
25.00%
0.00%
0.00%
-3.45%
0.00%
0.00%
0.00%
0.00%
0.00%
0.00%
0.00%
-4.76%
100.00%
0.00%
0.00%
0.62%
N
0
~
I CITY...>.O.... FPI CKE. R.ING
. .. . ... .2000. . ...
. .. CURRENT BUDGET.
2715 - DON BEER ARENA
PREVIOUS YEARS ACTIVITY
CLASSIFICATION
1998
ACTUAL
REVENUE
9915 Snack Bar
($6,000)
(3,650)
9916 Vending Machines
9922 Admissions - Shlnney
. (3,140)
9930 Rentals - Pro Shop
(2,050)
9931 Rentals -Ice Suñace
(494,860)
9935 Rentals - Halls
( 13,170)
(3,150)
9990 Other Revenue
Reserve Surcharge
(30,000)
($556,020)
($45,780)
1999 EST.
ACTUAL
($6.200)
(6,510)
(2,005)
(487,645)
(14,950)
(8,320)
(30,000)
($555,630)
1$73,170)
1999
BUDGET
($6,000)
($4.000)
($3.000)
($2,000)
($510,000)
($18,000)
($5,000)
($30.000)
($578,000)
($59,365)
1999
Revised
BUDGET
($6,000)
($4,000)
($3,000)
($2,000)
($510,000)
($18,000)
($5,000)
($30,000)
($578,000)
"~Mjl
(INCREASE)
DECREASE
($400)
0 I
(500)
4,000
0
$3,100
$6,401
~øøo ...
BUDGET .
($6,400)1
. (4,OOQ
0
. (3,000'
. .(2,500'
0
...(510;000)1
(18.000)1
0
{1,000)1
(3Ô,OOO)1
.($574.900
. . .. ..
. ($38.450)
o¡. CHANGE
2000 BUDGET
VS.
REV. 99 BUDGET
6.67%
0.00%
0.00%
25.00%
0.00%
0.00%
-80.00%
0.00%
.0.64%
-14.27%
1100
1200
1400
1900
2110
2131
~
10:30 AM
I
I
p15. DON BEER ARENA
BACKGROUND INFORMATION
Salaries and Wages
Total from Final Page
Plus/(Iess) Cost Sharing with others:
Transfer to Parks (35% of 3 maint. salaries)
Transfer Superintendent of Facilities 1 (50%)
Provision for Shift Bonus:
Overtime
To meet workload demands.
EmDlover Contributions
This item includes mandatory deductions (CPP., EI., EHT.,)
and employer provided benefits such as dental, optical,
OMERS, life insurance and long term disability benefits.
Unifonns
To supply uniforms in accordance with Union Contract
Boots, Shirts, Trousers Coveralls
Travel
Travel expenses for Foreperson
Cellular Phones
Cellular Phone for 1 staff
Seminars and Education
To cover cost of Refrigeration certificate.
~O6
$239,805
$251,981
(42,668)
29,042
1,450
$3,200
$47,945
Page 1
~
$1,000 Reduced TJQ
$300
$800
$iOO Reduced T JQ
$250
February 25
mi
am
~
2478
2m
¡m
~
10:30 AM
1715 - DON BEER ARENA
Page 2
BACKGROUND INFORMATION
Insurance
MemberahiDS
Memberships & Other related Associations
BuildinG ReDaira & Maintenance
Snow Removal
Caretaking supplies
General repairs (supplies)
Electrical repairs
Plumbing repairs
Door and lock repairs
Parking lot maintenance
Misc. EGuiD ReDaira & Maintenance
Refrigeration repairs maintenance and
dehumidifiers (contract)
Overhaul Compressor (1)
Fan & motor repairs, supplies & accessories
Electrical and Plumbing repairs
Ice Resurfacer maintenance
Mise, small equipment repairs
Misc. EauiDment Rentals
Land Rentals
StationerY & Office SuDDlies
To provide stationery & office supplies,
including printer toner,
0211612000
207
$30,250
$450
$aO,OOO
$28,000 Reduced TJQ
$2,000
10,000
11,000
3,000
2,000
1,000
1,000
$22,000
$8,000
5,000
3,000
2,000
2,000
2,000
$250
$4,800
$300
February 25
~
IDi
1m
~
5900
~
10:30 AM
~715 - DON BEER ARENA
BACKGROUND INFORMATION
E2m!!
Printing of facility permits and receipt forms
Utilities. Water
Utilities - Gas
Utilities. HYdro
Gas, Oil, lires. etc.
To supply necessary services to ice
resurfacing machine
Misc. EauiDment Under 5100
First Aid Supplies (replacement)
Small Tools, etc. (replacement)
Contribution to Reserve for CaDital ReDlacement
Funds to be transferred to Reserve for Capital
Equipment Replacement
0211612000
208
$300
$12,000
$13,000
Page 3
510l,Ogg
$100,000 Reduced TJQ
$800
$1,000
$500
500
$30,000
February 25
U1§
ill!
un
1m
W1
9935
9990
10:30 AM
Revenue
Snack Bar
Under contract 'Nith Pickering Hockey Assoc,
8 months at $800/month
Vending Machines
Admissions Shinnev
Daily admissions for individuals to play
shinney hockey - daytime
Rentals. Pro ShOD
Yearly contract 'Nith Pickering Hockey Assoc,
Rentals. Ice Surface
Based on a rental fee average of $100/hour
Rentals. Banquet Halls
Various Hall rentals, activities
Other Revenue
Revenue from other miscellaneous sources
Reserve SurcharGe
Surcharge on every hour of rental based on
surcharge of $5/hour
2115 - DON BEER ARENA
BACKGROUND INFORMATION
($6,400)
($4,000)
($3,000)
($2,500)
($510,000)
($18,000)
($1,000)
($30,000)
0211612000
209
Page 4
February 25
I C...............I...T...........Y.........~...O.........F.......... P........I..C......K. E.. ..... R....I...N........G.............
.. ... .....2000.. .. ......
. .. C RRENT BUDGET. .
2719 - COMMUNITY CENTRES
CLASSIFICATION
tV
I-'"
0
1100 Salaries & Wages
1200 Overtime
1400 Employer Contributions
1900 Uniforms
2110 Travel
2340 Seminars & Education
2370 Insurance
2435 Building Repairs & Maint.
2457 Vehicle - Repairs & Maint.
2478 Misc. Equip. Repairs & Maint.
2648 Rec. Building Rentals
2678 Misc. Equipment Rentals
5398 G.S.T, Exempt
5510 Utilities - Water
5520 Utilities - Gas
5530 Utilities - Hydro
5540 Utilities - Oil
5900 Gas, Oil, Tires, etc.
5902 Misc. Equipment (Under $100)
PREVIOUS YEARS ACTIVITY
1999
1998 1999 EST. 1999 Revised
ACTUAL ACTUAL BUDGET BUDGET
$19,980 $30,230 $35,264 $36,933
250
6,710 5,290 11,827 12,038
50 80 100 100
0 200 200
0 0 0
5,000 4,270 5,735 5,735
41,120 51,100 46,000 46,000
1,180 900 1,500 1,500
10,960 7,670 10,500 10,500
0 10 10
20 60 250 250
810 0 0
2,510 2,590 3,000 3,000
10,060 13,110 20,000 20,000
45,870 45,750 55,000 55,000
1,450 1,460 1,700 1,700
930 1,430 1,000 1,000
170 430 300 300
$146,820 $164,370 $192,386 $194,516
INCREASE 2000 .
(DECREASE) . BUDGET
$10,251 $47,184
0 250
3,871 15,909
0 100
0 200
0 0
0 5,735
9,000 55,000
0 1,500
3,000 13.500
0 10
0 250
0 0
0 3,000
0 20,000
0 . . 55,000
0 . 1,700
200 1,200
200 500
..
$26,522 $221.038
% CHANGE
2000 BUDGET
VS.
REV, 99 BUDGET
27.76%
0.00%
32.16%
0.00%
0.00%
0.00%
0.00%
19.57%
0.00%
28,57%
0.00%
0,00%
0.00%
0.00%
0.00%
0.00%
0.00%
20.00%
66,67%
13.63%
IC........ITY......... ~Ffo~.2K.ER.I.N.....G....... ...
. . CU RENT BUDGET .
2719 - COMMUNITY CENTRES
PREVIOUS YEARS ACTIVITY
1999
1998 1999 EST. 1999 Revised (INCREASE) 2000
ACTUAL ACTUAL BUDGET BUDGET DECREASE BUDGET.
($100) ($190) ($200) ($200) ($300) ($5()0)
(27,480) (30,830) ($28,000) (28,000) 0 (28,000)
(2,010) (950) ($3.000) (3,000) 0 (3,000)
(2,500) (2,175) ($5.000) (5,000) 0 (~,OQO)
(6,100) (6,300) ($6,500) (6,500) 0 (6,500)
0 0 ($500) (500) 0 (500
($38,190) ($40,445) ($43,200) ($43,200) ($300) ($43;500)
$108,630 $123,925 $149,186 $151,316 $26,222 $177.638
% CHANGE
2000 BUDGET
VS.
REV. 99 BUDGET
CLASSIFICATION
N
~
....
REVENUE
9916 Vending Machines
150.00%
9937 Rentals - West Shore C.C.
0.00%
9938 Rentals - East Shore C.C.
0.00%
9947 Rentals - Claremont C.C,
0.00%
9956 Rentals - Green River C.C.
0.00%
9990 cnherRevenue
0.00%
Total Revenue
0.69%
17.33%
Page 1
2719 - FOMMUNITY CENTRES
~ROUND INFORMATION
1100 Salaries and Waaes $47,184
Total from Final Page $65.657
Plus/{Iess) Cost Sharing with others:
Facilities Maintenance Person
(50% charged to Acct, #2124) (18,656)
Provision for Vacation Pay (4%): 183
1200 Overtime $250
Snow removal and call-ins
1400 EmDlover Contributions $15,909
This item includes mandatory deductions (CPP" EI., EHT.,)
and employer provided benefits such as dental, optical,
OMERS, life insurance and long term disability benefits,
1900 Uniforms $100
To supply uniforms in accordance with Union Contract:
Boots $80
Miscellaneous 20
~ Travel $200
Mileage expenses for full-time staff
2340 Seminars and Education $0
10:30 AM
0211612000
212
February 25
msl
am
2457
ill!
~
mI
nu
10:30 AM
2719 . fOMMUNITY CENTRES
BACK~ROUNDINFORMAt~
Insurance
BuildinaReoairs & Maintenance
To cover repairs and maintenance to all
Community Centres:
Maintenance Contract East Shore C.C,
Caretaking supplies
General Supplies
Window door and lock repair
Electrical & Plumbing repairs
Service Contracts (snow removal, garbage
disposal, pest control)
Provision for pumping out Septic System Mt. Zion
Environmental monitoring
Vehicle ReDairs & Maintenance
Misc. EauiD ReDairs & Maintenance
HVAC
Fire Inspection
Emergency Lighting
Pumps, motor, etc.
Boiler Repair & Maint.
Buildina Rentals
Brougham Community Centre
Miscellaneous Rentals
Pager for Community Centre Maintenance Person
G.S.T. ExemDt
0211612000
213
Page 2
$5,735
$55,000
$13,000
5,000
5,000
7,000
6,000
12,000
2,500
4.500
$1,500
$13,500
$7,000
2,000
2,000
1,500
1,000
$10
$250
$0
February 25
5510
m2
~
5540
5900
5902
9916
9937
~
9947
9956
9990
10:30 AM
2719 - OMMUNITY CENTRES
~ROUND INFORMATION
Utilities - Water
Utilities - Gas
Utilities - Hvdro
Utilities - Oil (Mt. Zion Community Centre)
Gas, Oil, Tires. etc.
Misc. Eauioment Under $100
First Aid & Safety (replacement)
Small tools, etc. (replacement)
Revenue
Vending Machines
West Shore CommunitY Centre
Nursery School Lease
Hall Rentals
East Shore CommunitY Centre
Hall Rentals (Saturday evenings only)
Claremont CommunitY Centre
Nursery School
Hall Rentals (Saturday evenings only)
Green River CommunitY Centre
Unity Church Lease
Other Revenue
Damage deposit forfeited
0211612000
214
Page 3
$3,000
$20,000
$55,000
$1,700
$1,200
$500
($500)
($4,000) ($28,000)
(24,000)
($3,000)
($5,000)
($3,000)
(2,000)
($6,500)
($500)
February 25
I..CITY. O.Ffoo.I~KER. ING. I
. .CURRENT BUDGET
2731 RECREATION COMPLEX - CENTRAL CORE
PR~OUSYEARSACTI~TY
1999
1998 1999 EST. 1999 Revised INCREASE .. 0 Q
CLASSIFICATION ACTUAL ACTUAL BUDGET BUDGET (DECREASE) . BUDGEr
1100 Salaries & Wages $783,270 $889,250 $811,338 $871,383 ($5,963) $865,420
1200 Overtime 10,741 0 ... 10,741
1400 Employer Contributions 123,980 132,390 167,381 175,168 5,584 . 180,752
1900 Uniforms 1,450 1,750 2,500 2,500 0 2,500
2110 Travel 2,680 4,090 4,000 4,000 1,000 .5,000
2131 Cellular Phones 1,920 1,380 2,000 2,000 0 2,000
2210 Advertising 10,640 14,920 13,700 13,700 0 13,700
2220 Subsaiptions & Publications 260 560 1,000 1,000 0 1,000
2340 Seminars & Education 1,220 570 1,000 1,000 0 1,000
N I 2370 Insurance 31,100 31,100 31,100 31,100 0 31,100
,... 2371 Self-Insurance 10,000 2,300 4,000 4,000 0 4,000
~ 2395 Memberships 1,090 1,150 1,500 1,500 130 1,630
2399 Outside Agency Services 35,460 37,110 37,844 37,844 0 37,844
2435 Building Repairs & Maint. 46,790 54,070 51,000 51,000 4,000 55,000
2478 Misc. Equip. Repairs & Maint. 13,630 18,310 20,000 20,000 0 20,000
2481 Other Fix. Assets-Rep.&Main. 47,190 37,150 34,000 34,000 6,000 40,000
2678 Misc. Equipment Rentals 200 290 700 700 0 700
5300 Stationery & Office Supplies 5,020 6,410 5,000 5,000 0 5,000
5302 Forms 450 190 400 400 0 400
5340 Supplies - Spec. Events/Bar 10,430 15,660 10,000 10,000 1,000 11,000
5510 Utilities - Water 10,640 10,930 9,000 9,000 0 . 9,000
5520 Utilities - Gas 21,420 26,860 24,000 24,000 0 24,000
5530 Utilities - Hydro 135,520 131,050 128,000 128,000 0 128,000
5902 Misc. Equipment (Under $100) 6,700 5,770 8,000 8,000 750 8,750
8960 Taxes - Tenant 1,580 1,520 1,575 1,575 0 1,575
Contribution to Reserve for 0 0
Capital Replacement 17,277 25,000 25,000 25,000 0 I 25,000
$1,319,917 $1,449,780 $1,394,038 $1,472,611 $12,501 U. $1,485.112
% CHANGE
2000 BUDGET
VS.
REV. 99 BUDGET
-0.68%
0.00%
3.19%
0.00%
25.00%
0.00%
O.oo%~.
0.00%
0.00%
0.00%
0.00%
8.67%
0.00%
7.84%
0.00%
17.65%
0.00%
0.00%
0.00%
10.00%
0.00%
0,00%
0.00%
9.38%
0.00%
0.00%
0.85%
I....... .'C..............I....TY...........................0...............F...:...Þ..I...C.....K.........E..............R.........I....N..........G............. .1
...2000' ................ . .
.. . .. . ..... CURR NTBUDGET ... .
2731 RECREATION COMPLEX - CENTRAL CORE
CLASSIFICA110N
REVENUE
tV
~
O?
9915 Snack Bar
9916 Vending Machines
9921 Admissions - Tennis
9924 Admissions - Squash
9925 Admissions - Fitness Room
9926 Admissions - Racquet Ball
9933 Rentals - Mtg. Room/Public
9934 Rentals - Mtg. Room/Prog.
9935 Rentals - Halls
9939 Rentals -lockers
9941 Memberships - Tennis
9943 Memberships-Pool/Health Club
9944 Memberships - Squash
9945 Memberships - General
9946 Memberships - Racquet Ball
9957 Rentals - Pottery Studio
9958 Rentals - Wellness Clinic
9970 Child Supervision
9975 Fitness Testing
9990 CKherRevenue
PREVIOUS YEARS ACT1V1TY % CHANGE
1999 2000 BUDGET
1998 1999 EST. 1999 Revised (INCREASE) .2000> . vs.
AC1\JAL AC1\JAL BUDGET BUDGET DECREASE BUDGET REV. 99 BUDGET
($8,360) ($5,180) ($10,000) ($10,000) $10,000 $(I -100.00%
(5,700) (7,300) (5,000) (5,000) 0 (5.000) 0,00%
(73,200) (73,600) (81,000) (81,000) 0 (af,OOO) 0.00%
(28,610) (24,110) (32,000) (32,000) 4,000 (28,000 -12,50%
(31,010) (30,250) (33,000) (33,000) (3,000) .(36,000) 9,09%
(7,580) (7,020) (10,000) (10,000) 2,000 .(8.000) -20.00%
(21,400) (24,040) (25,000) (25,000) 0 (25,000) 0.00%
(57,500) (50,000) (58,500) (58,500) 0 .. (58,500) 0,00%
(64,080) (77,150) (70,000) (70,000) 0 .(70,000) 0.00%
(2,470) (1,590) (1,500) (1,500) 0 ..(1,~OO) 0.00%
(45,820) (78,270) (45,000) (45,000) . (5,000) .(50,000) 11.11%
(378,860) (445,750) (343,723) (343,723) (9,000) (352,723) 2.62%
(101,440) (138,780) (100,000) (100,000) (2,000) . (102,000) 2.00%
(35,900) (43,520) (41,000) (41,000) 6,000 .. (35,000) -14,63%
(30,630) (29,350) (30,000) (30,000) 3,000 .(27,000) -10.00%
(6,600) (7,800) (6,600) (6,600) (1,800) (MOO) 27,27%
(11,720) (39,340) (33,000) (33,000) 4,440 (28,560) 0.00%
(14,640) (12,880) (13,500) (13,500) 0 (13,~OO) 0.00%
(13,050) (8,650) (9,750) (9,750) 0 ....(9.7SÒ) 0.00%
(6,730) (21,190\ (7,500\ 17,500\ (7,500) .(15,000 100.00%
($945,300) ($1,125,770) ($956,073) ($956,073) $1,140 .. ($$$4,9;13) -0.12%
$374,617 $324.010 $437,965 $516,538 $13,641 $530.179 2.64°'"
1100
1200
1400
jJQQ
ID.!!
10:38 AM
2731 RECREA ON COMPLEX. CENTRAL CORE
BACK ROUND INFORMA nON
Salaries and Wages
Total from Final Page
Plus/(Iess) Cost Sharing with others:
Superintendent of Facilities 1
Salary 75% transferred to Dept. # 2715 & 2735
Superintendent of Facilities 1
Mechanical Maintenance Mechanic
Wage 50% transferred to Dept. #2124
Provision for Shift Premium (hourly) new
Provision for Vacation Pay (4%):
Schedule C employees & non-bargaining unit
hourly employees
Overtime
Vacation CQverage,emergency call-ins, snow removal.
EmDlover Contributions
This item inetudes mandatory deductions (CPP., EI., EHT.,)
and employer provided benefits such as dental, optical,
OMERS, life insurance and long term disability benefits,
Uniforms
To supply uniforms in accordance with Union Contract
Boots (7) ($80ea,)
Shirts, Trousers, Overalls
Travel
Mileage expenses for full-time staff
?rogram
Facility
0211612000
217
$500
4,500
$915,898
(43.564)
(22,791)
10,731
5,146
Page 1
$865,420
$10,741
$180,752
$2,500
$5,000
February 25
2131
2210
2220
2340
m2
ill!
nn
10:38 AM
. CENTRAL CORE
Page 2
BACKc;ROUND INFORMATION
Cellular Phones
Cellular phones for 3 staff
Advertlslna
To provide newspaper & brochure advertisements
and promotions packages
SubscrlDtions & Publications
To compile a library of pertinent resource material
Program
Health & Safety
Seminars and Education
For attendance at various training programs
and workshops etc.
Program:
PRO Mun, Admin, Training - Assistant Complex Coordinator
OASES PD Day - Fitness Supervisor .
Can-Fit Pro Training - Fitness Supervisor
Facilities - Superintendent of Facilities
Insurance
Self.lnsurance
MembershlDs
To cover costs of Membership in various
professional organizations
Facility Licenses: Mech. Lic" Prof. fees, etc,
Program Memberships:
Squash Ontario
Tennis Ontario
Ontario Fitness Council
Fitness Centre Accreditation
Certified Fitness Appraiser
Durham Region Fitness Council
0211612000
218
$2,000
$13,700
$1,000
$400
600
$1,000
$300
200
300
200
$31,100
j
I
$4,000
. $1,630
$250
450
560
125
150
65
30
February 25
2731 RECREA ON COMPLEX. CENTRAL C RE
Page 3
BACK ROUND INFORMATION
ill! Outside Aaency Services $37,844
Tennis Professional $12,845
Squash Professional 24,999
Services for setting up instructional programs, leagues and
tournaments
2435 Bulldlna ReDalrs & Maintenance $55,000
To cover repairs and maintenance
for Central Core area:
Carpet Cleaning $1,500
Caretaking Supplies 15,000
General Supplies (paper, etc,) 6,000
Glass Cleaning (quarterly) 4,000
Snow Removal 5,000
Building Supplies & Repairs 5,500
Electrical Repairs 4,500
Plumbing Repairs 4,000
Lamps, Ballasts, Fuses 4,500
Window, Door & Lock Repairs 5.000
2478 Misc. EQuiD ReDalrs & Maintenance $20,000
To cover repairs & maintenance of various
program equipment at the Recreation Complex
~ Other Fixed Assets. ReDalrs & Maintenance $43,000
Reduced T JQ $40,000
Air Circulation Equipment (contact out) $4 , 000
Elevator Inspection & Repair (contract out) 2,500
Air Conditioning (contract out) 15,000
Pneumatic Controls 1,000
Boiler Inspection & Repair (contract out) 3,500
Water Treatment 4,000
Electrical Repair & Maintenance 2,000
Plumbing Repair & Maintenance 3,000
Fire Alarm Inspection & Service (contract out) 2,000
Motors, Belts, Filters 1,000
Custodial Repairs & Maintenance 2,000
Diesel Generator Repair & Maint. (contract out) 3,000
10:38 AM
0211612000
219
February 25
mJ
~
~
5340
w.g
5520
5530
5902
10:38 AM
N COMPLEX - CENTRAL C R
Page 4
ROUND IN FORMA TI N
Miscellaneous EauiDment Rentals
To cover the cost of occasional equipment needs
Other Equipment Rentals
StatIonerY & OffIce SuDDlles
To provide stationery & office supplies
General Stationery
Computer Related
Forms
To provide professional printing services for forms
Program
Facilities
SUDDlies . SDecial Events/Bar
To provide mix, etc. for banquet hall and
meeting room rentals
Utilities - Water
Utilities. Gas
Utilities - Hvdro
Miscellaneous EaulDment (Under $100)
Program Section:
Polaroid Film Pouches (replacement)
First Aid Supplies (replacement)
Racquets, balls, eyewear for Elective Programs
(replacement)
Fitness Testing Supplies (replacement)
Replacement of Toys and Games for Children's
Creative Centre and Child Supervision Centre
Combination locks (replacement)
Facility Section:
First Aid Supplies (replacement)
Small Tools
0211612000
220
$700
$5,000
$3,500
1,500
$400
$250
150
$11,000
$9,000
$24,000
$128,000
$8,750
$2,500
500
1,200
500
1,500
750
500
1,300
February 25
8960
9916
9921
\
\
t
9924
~
9926
i
10:38 AM
BAC
2731 RECREA ION COMPLEX - CENTRAL CORE
. Page 5
Taxes (Tenant)
ROUND INFORMATION
Contribution to Reserve for CaDltalReDlacement
Funds to be transferred to Reserve for Capital
Equipment Replacement
Vendlna Machines
Based on 12% of total Complex Vending Machine
Sales
Admissions - Tennis
Tennis Members and Pay as you Play
Prime Time Court Admissions
Non Prime Time Court Admissions
Admissions - SQuash
(Pay as you Play)
Prime Time Court Admissions
Non Prime Time Court Admissions
Admissions - Fitness Room
Adult - Singles
Adult - 5 pass
Adult-10 pass
Admissions - Racauetball
(Pay as you Play)
Prime Time Court Admissions
Non Prime Time Court Admissions
0211612000
221
$1,575
$25,000
($5,000)
($81,000)
($45,000)
(36,000)
($28,000)
($19,360)
(8,640)
($36,000)
($14,100)
(8,100)
(13,800)
($8,000)
($4,620)
(3,380)
February 25
9933
~
!m
. 9939
~
9943
10:38 AM
Page 6
2731 RECREATION COMPLEX. CENTRAL CORE
~ROUND INFORMATION
Rentals. Meetina Room/Public
Various private rentals for Complex Meeting
Rooms (1,2 & 3)
Rentals - Meetlna Rooms Programs
Rentals for Department of Culture & Recreation
(i.e. fitness, pottery, arts, crafts, photography,
pre-school, judo, etc,) operating at the
Pickering Recreation Complex
Contribution to Capital Reserves
Rental Halls
Various private rentals for Complex East and
West Salons (Banquet Halls)
Rentals. Lockers/Misc. Racauets Eauipment
Locker Rentals
Misc. Racquet Rentals
Memberships - Tennis
Annual
Seasonal
Contribution to Capital Reserves
Memberships -Health Club
Annual
Seasonal
Monthly
Contribution to Capital Reserves
02116/2000
222
($25,000)
($58,500)
($50,000)
(8.500)
($70,000)
($1,500)
($800)
(700)
($50,000)
($35,282) I
J
(13.218) j
(1,500) !
($352,723)
($287,988)
(32,770)
(22,530)
(9,435)
¡
I
February 25
9944
9945
9946
i
:,
,\
I
9957
9958
im
10:38 AM
Page 7
2731 RECREA~ION COMPLEX - CENTRAL CORE
BACKpROUND INFORMATION
MembershlDs -Sauash
Annual
Seasonal
Monthly
Contribution to Capital Reserves
MembershlDs -General
Annual
Seasonal
Monthly
Contribution tD Capital Reserves
MembershiDs -Racauetball
Annual
Seasonal
Monthly
Contribution to Capital Reserves
Rental Pottery Studio
Contractual Agreement with "The Turning Point"
for lease of space
Rentals - Wellness Clinic
Contractual Agreement with "Joints 'N Things"
for lease of space
Child SuDervislon
Single hour admission
6 hour pass
15 hour pass
~
02/16/2000
223
($102,000)
($94.860)
(3,000)
(3,000)
(1.140)
($35,000)
($29,622)
(1,751)
(1,752)
(1.875)
($27,000)
($25,975)
(351)
(174)
(500)
($8,400)
($28,560)
($13,500)
($3.944)
(1.772)
(7.784)
February 25
9975
9990
10:38 AM
2731 RECREA' ON COMPLEX. CENTRAL CORE
Page 8
Fitness Testlna
Member Fitness Assessment
Non-Member Fitness Assessment
Other Revenue
Upper/Lower Concourse Rental
Leased equipment/space
Miscellaneous rentals
BACKGROUND INFORMATION
0211612000
1224
($9,750)
($7,350)
(2.400)
($15,000)
($1,700)
(10,000)
(3,300)
February 25
,. CITY..... OF~t.~K. ER.. IN G...!
. CUR~ENT BUDGET . .
2733 RECREATION COMPLEX - POOL
CLASSIFICATION
r
1
1100 Salaries & Wages
1200 Overtime
1400 Employer Contributions
1900 Unifonns
2110 Travel
2340 Seminars & Education
2395 Memberships
2435 Building Repairs & Maint.
2478 Misc. Equip. Repairs & Maint.
5510 Utilities - Water
5520 Utilities - Gas
5530 Utilities - Hydro
5902 Misc, Equipment (Under $1 OO)
Contribution to Reserve for
Capital Replacement
PREVIOUS YEARS ACTIVITY
1999
1998 1999 EST. 1999 Revised
ACTUAL ACTUAL BUDGET BUDGET
$284,440 $323,040 $285,151 $296,867
2,252
37,530 38,050 53,049 53,899
2,230 3,180 3,118 3,118
110 140 300 300
300 60 300 300
270 130 280 280
41,680 34,500 34,000 34,000
14,040 16,590 18,000 18,000
10,650 10,930 20,000 20,000
21,420 26,860 25,000 25,000
98,560 92,700 90,000 90,000
1,630 1,910 1,700 1,700
15,000 15,000 15,000 15,000 .
$527,860 $563,090 $545,898 $560,716
.
% CHANGE
2000 BUDGET
INCREASE 2000 VS.
(DECREASE) BUDGeT. REV. 99 BUDGET
$3,777 $300,644 1,27%
(52) . 2,200 -2.31%
2,021 55,920 3.75%
0 3,118 0.00%
0 300 0,00%
2,500 2,800 833,33%
0 280 0.00%
4,000 38,000 11,76%
2,000 20,000 11.11%
0 20,000 0.00%
0 25,000 0.00%
o 90,000 0,00%
0 1,700 0,00%
0,00%
0 15,000 0.00%
$14,246 $&74,962 2.54%
I.. , , , ..' '. .'.. ".' , '... ',' .. ...' '. .. ..'.'.'.,'. '... '. .' '.. '. '...'. .. . . I
" "CITY OF PICKERING ".,
," ',,>. .>,','"',.,,.' 2000' ',' ' '",'
,", ..'CU~UDGET' '.>,
2733 RECREATION COMPLEX - POOL
CLASSIFICATION
REVENUE
9923 Admissions - Public Swimming
9932 Rentals - Pool
9936 Rentals - Pool - School Board
9943 Memberships - Pool/Health Club
PREVIOUS YEARS ACTIVITY
1998 1999 EST. 1999
ACTUAL ACTUAL BUDGET
($61,350) ($52,740) ($61,400)
(126,790) (115,040) (116,500)
(1,850) (3,460) (3,500)
(34,880) (38,020) (33,000)
($224,870) ($209,260) ($214,400)
$302,990 $363,830 $331,498
:
1999
Revised
BUDGET
(INCREASE)
DECREASe
($61,400)
(116,500)
$0
($2,860)
(3,500)
$0
$0
(33,000)
($214,400)
($2,860)
$346,316
$11,386
"" 2000'""
BUi:)~ET.,..
" ($151,400)
(119,360)1
, (3,1500)
(33.000)
($217,2~)
$3fS,7,70~
-Yo CHANGE.
2000 BUDGET
VS.
REV. 99 B
0,00%
2.45%
0,00%
0,00%
1.33%
3.29%
1100
1200
1400
lliS!
2110
10:42 AM
2733. RECREATION COMPLEX. POOL
BACKGROUND INFORMATION
Salaries and Waaes
Total from Final Page
Plus/(Iess) Cost Sharing with others:
Aquatic Program Supervisor's salary
50% charged to Acct, #2713
Provision for Vacation Pay (4%):
Term Employees
Overtime
To meet program demands,
EmDlover Contributions
This item includes mandatory deductions (CPp,. EI.. EHT.,)
and employer provided benefits such as dental. optical,
OMERS, life insurance and long term disability benefits.
Provision in lieu of optional benefits, such as dental,
optical, life insurance and long term disability for permanent
part-time employees.
Uniforms
To supply uniforms in accordance with Union Contract
Facilitv:
Boots, Shirts, Trousers, Coveralls
Proaram:
29 Bathing Suits
40 Sweatshirts
26 Lifeguard Shirts
22 T-Shirts,
Proaram SuDerintendent:
Track Suit
Bathing Suit
Irml
Mileage expenses for:
Program Superintendent
0211612000
227
Page 1
$300,644
$270.673
23.598
6,373
$2,200
$55,920
$3,118
$150
1,000
1,250
288
300
80
50
$300
February 25
Page 2
2733 - REC~EA TION COMPLEX - POOL
BACKGROUND IHFORMA TIOH
2340 Seminars and Education $2,800
PRO Municipal Aquatic Training $300
& Recertification (Program Superintendent)
(CPO) Certified Pool Operators Course i;OOO 2,500 Reduced T JQ
2395 MembershiDs $280
PRO $140
RL.S.S. 75
Red Cross 65
~ Buildina ReDairs & Maintenance $40,000
Reduced TJQ $38,000
To cover repairs and maintenance - Pool Equip.
Repairs and upkeep on:
Pool chemicals $15.000
Cleaning Supplies 9,500
Miscellaneous 1,000
Electrical and plumbing repairs 2,500
Lamps & Ballasts 2.500
Filters, etc. 1,500
TIle, painting. door and lock repairs 5,000
Emergency lighting (replacement) 3,000
2478 Misc. EauiD ReDairs & Maintenance $20,000
To cover repairs and maintenance
on pool equipment
Filter System $5,000
Pool Supplies & Equipment 5,000
Electrical and Plumbing 2,000
Dry-O-Tron repairs (contract) 4,000
Pumps, Motors. Valves. Seals 2,500
Repair parts for pool vacuum 1,500
5510 Utilities - Water $20,000
WJ! Utilities - Gas $25,000
5530 Utilities - Hvdro $90,000
10:42 AM
0211612000
228
February 25
Page 3
2733 . REC~EATION COMPLEX. POOL
BACKGROUND INFORMATION
5902 Misc. Eauioment Under $100 $1,700
First Aid Supplies $1,000
Flutterboards (replacement) 400
Toys (replacement) 300
Contribution to Reserve for Caoital Reolacement $15,000
Funds to be transferred to Reserve for Capital
Equipment Replacement
Revenue
9923 Admissions. Public Swimmina ($61,400)
Youth singles ($25,400)
Adult singles (15.000)
Family singles (14,000)
Youth - 10 pass (3,000)
Adult - 10 pass (4,000)
ill-' Rentals. Pools ($119,360)
Learn to Swim ($67,660)
Private (7,800)
Pickering Swim Club (27,500)
Synchro Club (1,100)
Disabled Swim (300)
Learn to Swim Contribution to Capital Reserve (6,600)
Other Pool Rental Contribution to
Capital Reserve (8.400)
9936 Rentals. Pool - School Board ($3,500)
9943 Membershios - Pool ($33,000)
Youth ($1,600)
Adult (20,000).
Family (11.400)
10:42 AM
0211612000
February 25
229
r.CITY....OFP...I..C....K...E. R.ING I
. .. . 2000
CURRENT BUDGET ..
2735 RECREATION COMPLEX - ARENAS
CLASSifiCATION
~
W
0
1100 Salaries & Wages
1200 Overtime
1400 Employer Contributions
1900 Uniforms
2340 Seminars & Education
2435 Building Repairs & Maint.
2478 Misc, Equip. Repairs & Maint.
2678 Misc. Equipment Rentals
5300 Stationery & Office Supplies
5302 Forms
5510 Utilities - Water
5520 Utilities - Gas
5530 Utilities - Hydro
5900 Gas, Oil, Tires, etc,
5902 Misc. Equipment (Under $100)
Reserve Contribution
PREVIOUS YEARS ACTIVITY
1999
1998 1999 EST. 1999 Revised INCREASE 2000
ACTUAL ACTUAL BUDGET BUDGET (DECREASE) . BUDGET
$230,060 $231,470 $229,875 $239,792 $5,995 $245,787
3,163 37 3,200
34,840 33,230 43,336 44,775 2,159 46,934
1,020 2,020 1,000 1,000 500 1,500
480 240 350 350 (100) .250
38,400 33,310 35,000 35,000 0 35,000
31,120 31,040 40,000 40,000 (4,000) 36,000
0 500 500 0 500
0 300 300 0 300
260 300 300 0 300
2,370 2,430 6,500 6,500 0 .6,500.
7,010 6,690 7,000 7,000 o . . 7,000
101,640 95,890 100,000 100,000 0 100,000
50 510 200 200 600 . . 800
430 470 1,300 1,300 (300) .1;000
30,000 30,000 30,000 30,000 0 .30,000
$477,680 $467,300 $495,661 $510,180 $4,891 . . $515,071
% CHANGE
2000 BUDGET
VS.
REV. 99 BUDGET
2.50%
1.17%
4.82%
50,00%
-28.57%
0.00%
-10,00%
0,00%
0,00%
0,00%
0,00%
0.00%
0.00%
300.00%
-23.08%
0,00%
0.96%
I" . CITY,. 0 F P I,.CK,ERING,'
, " ".',.,,' ...2000 ' ,
, ' CURRENT BUDGET, ,
2735 RECREATION COMPLEX - ARENAS
PREVIOUS YEARS ACTIVITY I % CHANGE
1999 2000 BUDGET
I 1998 1999 EST. 1999 I Revised (INCREASE) fl " 21 ',' I~
CLASSIFICATION ACTUAL ACTUAL ACTUAL BUDGET DECREASE, BUDGE,
REVENUE
9915 Snack Bar I ($2,010) ($3,540) ($2,000) ($2,000) (:þ6,OOO) I ($8,00,"
I
t" 9916 Vending Machines (1,910) (4,620) (2,000) (2,000) (1,000)11 ,(3,00(",
W
¡-.. 9922 Admissions - Pleasure Skating (25,200) (22,380) (23,500) (23,500) 0 II ,,(23,500)11
9931 Rentals - Ice Surface (433,980) (444,300) (450,000) (450,000) (10,000) II'. ,,(460,0°]
I
9933 Rentals - Meeting Room/Public (27,430) (27,580) (20,000) (20,000) 0 II (20,000)1 .. ,.
19934 Rentals - Meeting Room/C & R (1,000) (1,000) , (1,000) (1,000) 0 II .(1.000)11
9940 Advertising Space (3,300) 70 (3,000) (3,000) 0 II (3,000)11 . .... n
9990 OtherRevenue (38,550) (34,000) (31,000) (31,000) 0 II ,(31.000)11
Reserve Surcharge (30,000) (30,000) (30,000) (30,000) 0 ',(30,000) . .......
($563,380) ($567,350) ($562,500) ($562,500) ($17,000) '. ""~n
1$85,700) ~100.050L ($66,839) ($52,320) ($12,109) U"n
i~'
II, BUDGE'.
" 2000
BUDGET .. L-
($8,000)
,(3,000)
II ($8,001
.. u II (3,OOC,-
11(23.500)11
II" ,(460,001
(23,500)
(460,QOOL
(20,000)
,(l,OOOL
II (20,000)0
0 0.000\0
0 (3,OOmU
(3,OOOL
II ' (31.000)0
(31.000)
,1~O,OOOL
.. 0' '(30,000)"
,L - u. .. 10)
.L.. 0 ~9)
I, "-'-- '- ,- ~--,-- -- - .,-.- ~ -----"
. '-- '-.- -'-'-,,' -'-- ...-.'"--'
1100
1200
~
1900
2340
2435
02/16/2000
2000 BUDGET
2735 . RECREATION COMPLEX. ARENAS
BACKGROUND INFORMATION
Salaries and Waaes
Total from Final Page
Plus/(Iess) Cost Sharing with others:
Transfer to Parks (35% of 2 maint. salaries)
Transfer Superintendent of Facilities 1 (25%)
Provision for Shift Bonus:
Provision for Vacation Pay:
Overtime
Emergency call-ins, snow removal
EmDlover Contributions
This item includes mandatory deductions (CPP., EL, EHT,,)
and employer provided benefits such as dental, optical,
OMERS, life insurance and long term disability benefits,
Provision in lieu of optional benefits, such as dental,
optical, life insurance and long term disability for permanent
part-time employees. .
Uniforms
To supply uniforms in accordance with Union Contract
Boots
Shirts, Trousers Coveralls
Seminars and Education
To cover the cost of Refrigeration 'B' exam
training & Q,R.FA courses & safety education
Buildina ReDairs & Maintenance
Caretaking supplies
Building repair supplies & services
Electrical repairs
Plumbing repairs
Door and lock repairs
Parking Lot maintenance
20o2735,xls
232
$256,216
(28,445)
14,521
1,567
1,928
$13,000
13,000
5,000
2,000
1,000
5,000
Page 1
$245,787
$3,200
$46,934
~ Reduced T JQ
$1,500
$iOO Reduced T JQ
$250
$38,000
$35,000 Reduced T JQ
February 25
2000 BUDGET
2735 - RECREATION COMPLEX - ARENAS
BACKGROUND INFORMATION
Page 2
2478 Misc. EaulD ReDairs & Maintenance
S40,OOO
To cover repairs & maintenance to $36,000 Reduced TJQ
various equipment
Ministry of Labour Inspections $2,000
Refrigeration repairs maintenance and
dehumidifiers (contract) 13,500
Overhaul Compressor (2) 10,000
Fan & motor repairs, supplies & accessories 5,000
Electrical and Plumbing repairs 5,000
Ice Resurfacer maintenance 3,500
Misc. small equipment repairs 1,000
2678 Misc. EauiDment Rentals
$500
5300 Stationerv & Office SuDDlies
$300
To provide staff with necessary stationery items $100
and toners for printers 200
5302 Forms
$300
Printing of facility permits and receipt forms
Wi Utilities - Water
$6,500
5520 Utilities - Gas
$7,000
5530 Utilities - Hvdro
$100,000
DiQ Gas. Oil. Tires. etc.
$800
To supply necessary services to ice
resurfacing machine
0211612000
2002735.xls
233
February 25
2000 BUDGET
2735 - RECREATION COMPLEX - ARENAS
BACKGROUND INFORMATION
5902
Misc. EauiDment Under $100
First Aid Supplies (replacement)
Small Tools, etc. (replacement)
Contribution to Reserve for CaDital ReDlacement
Funds to be transferred to Reserve for Capital
Equipment Replacement
Revenue
9915
Snack Bar
Under contract with Pickering Hockey Assoc,
1 0 months at $800/month
9916
Vendina Machines
9922 Admissions- Pleasure Skatina
Daily admissions for individuals
for public Skating
9931 Rentals - Ice Surface
Based on an average of $1 OO/hr.
9933 Rentals - Banauet Hall
Various Hall rentals, activities
9934 Rentals - Culture & Recreation
Various Program room rentals
9940 Advertisina SDace
02116/2000
2002735,xls
234
$500
500
$1,000
$30,000
($8,000)
($3,000)
($23,500)
($460,000)
($20,000)
($1,000)
($3,000)
Page 3
February 25
9990
02116/2000
2000 BUDGET
2735 - RECREATION COMPLEX -ARENAS
BACKGROUND INFORMATION
Other Revenue
Revenue from other miscellaneous sources
Ball Hockey
Roller Hockey
Reserve SurcharGe
Surcharge on every hour of rental based on
surcharge of $5/hour
2002735,xls
235
($11,000)
(20,000)
($31,000)
($30,000)
Page 4
February 25
,. . CITY.... 0... F.....P....I..C.... K.E R....INGI
.. . ... 2000 . .
..CYBBOOBUDGET ..
2744 - MUSEUM
% CHANGE
1999 2000 BUDGET
1998 1999 EST, 1999 REVISED INCREASE 2000 VS.
CLASSIFICATION ACTUAL ACTUAL BUDGET BUDGET (DECREASE) BUDGET REV. 99 BUDGET
1100 Salaries & Wages $170,990 $213,450 $164,726 $173,705 $3,371 1.94%
1200 Overtime 1,763 37 2,10%
1400 Employer Contributions 20,480 23,270 28,533 29,715 1,436 4.83%
1900 Uniforms (Costumes) 1,330 1,290 1,500 1,500 0 0.00%
2110 Travel 3,460 2,470 3,900 3,900 0 0.00%
2122 Freight, Express & Cartage 0 40 600 600 0 0.00%
N 2131 Telephone 4,030 2,260 4,500 4,500 0 0.00%
W 2210 Advertising 8,860 8,420 10,000 10,000 0 0.00%
2211 Trade Shows, Exhib. & Displays 480 70 500 500 0 0.00%
~ 2220 Subscription & Publications 0 270 0 0 0 0.00%
2340 Seminars & Education 300 500 500 0 0.00%
2370 Insurance 1,500 1,300 1,630 1,630 0 0.00%
2394 Recpt/Prom.&Spec.Ev.lGen.P/R 800 670 800 800 200 25.00%
2395 Memberships 70 170 250 250 0 0,00%
2399 Outside Agency Services 2,300 3,200 3,200 3,200 3,000 93.75%
2435 Building Repairs & Maintenance 10,730 7,500 6,000 6,000 0 0.00%
2478 Misc. Equipment Repairs & Maint. 3,430 4,290 3,300 3,300 0 0.00%
2480 Antique Repairs & Maintenance 750 780 1,000 1,000 0 0.00%
2482 Grounds Upkeep 510 540 500 500 0 0.00%
2682 Land Rentals 0 0 0 0 0.00%
5300 Stationery & Office Supplies 3,500 4,280 3,500 3,500 0 3,50 0.00%
5340 Supplies - Spec. EventslBar 12,980 13,700 12,000 12,000 O . 12, . 0.00%
5345 Antique Purchases 20 10 500 500 0 .5 0.00%
5400 Gift Shop/Plaques 4,120 3,870 4,000 4,000 0 4, 0.00%
5530 Utilities - Hydro 2,700 2,470 2,860 2,860 0 ..2,860 0.00%
5900 Gas, Oil, Tires, etc. 370 470 900 900 0 900 0.00%
5902 Misc. Equipment (Under $100) 0 0 0 0 0 0,00%
$253,710 $294,790 $255,199 $267,123 $8,044 $275,167 3.01%
CI'fY......O...... F. P....I....C........ K...E.R.....ING
... ... ..... ..2000 .
.. ....CWtRENT BUDGET. ..
CLASSIFICATION
REVENUE
1623 Ontario Specific Grants
f\:)
W
~
REVENUE
9910 Gift Shop
9915 Snack Bar
9920 Admissions - Public & Education
9933 Rentals - Mtg. Room - Public
9955 Programs
9977 Donations
9990 ~herRevenue
TOTAL REVENUE
2744 - MUSEUM
1999
1998 1999 EST. 1999 REVISED (INCREASE) .2000
ACTUAL ACTUAL BUDGET BUDGET DECREASE) BUDGET
($13,290) ($16,800) ($11,963) ($11,963) $1,196 Itt'H"""'"
1$13,290) 1$16,800) 1$11,963) 1$11,9631 $1196 1$10,761
($4,860) ($4,220) ($6,500) ($6,500) $0 . ($6,500)
(630) (790) ($1,000) (1,000) 0 " (1,000
(48,110) (56,660) ($50,300) (50,300) (2,500) (52,800
(24,440) (19,580) ($9,000) (9,000) (6,000) (15,000
(12,480) (13,400) ($12,000) (12,000) 0 (12,000)
(4,340) (1,220) ($1,500) (1,500) 0 .(1,500
(3,780) (4,520) ($3,800) (3,800) 0 (3;800
.... .
($98,640) ($100,390) ($84,100) ($84,100) ($8,500) . .($92,600
($111,930) ($117,190) ($96,063) ($96,063) ($7,304) ($103.367
. .
$141.780 $177,600 $159.136 $171,060 $740 5171800
% CHANGE
2000 BUDGET
VS,
REV. 99 BUDGET
-10.00%
-10.00%
0.00%
0.00%
4.97%
66.67%
0.00%
0.00%
0.00%
10.11%
7.60%
0.43%
1100
1200
1400
1900
rug
m¡
6:19 PM
2744 . MUSEUM
BACKGROUND INFORMATION
Salaries and Wages
Total from Final Page
Provision for part-time Collections Staff
Provision for Vacation Pay (4%):
Overtime
Overtime for Superintendent, Education & Collections
Officer and Site Supervisor (Events)
Emolover Contributions
This item includes mandatory deductions (CPP" EI., EHT.,)
and employer provided benefits such as dental, optical,
OMERS, life insurance and long term disability benefits,
Provision in lieu of optional benefits, such as dental,
optical, life insurance and long term disability for permanent
part-time employees,
Uniforms
Workgloves, safety glasses, repair of costumes
Shirts and blouses for volunteers
replacement of costumes
Travel
Mileage for staff:
Outreach Programs, Workshops, School Displays
Frelaht & Cartage
Shipment of Artifacts, steam Engines or displays
0211612000
238
$165,059
10,000
2,017
$500
1,000
$177,076
$1,800
$31,151
$1,500
$3,900
$600
Page 1
February 25
2744 . MUSEUM
BACKGROUND INFORMATION
Page 2
ill1 TeleDhone $4,500
Equipment & Line Charges ($300 x 12) $3,600
Chargeable Messages 900
2210 Advertisina $1&,000 Reduced T JQ
$10,000
Museum brochure, Artwork, P,M,T.'s posters and
printing, display ads. special events local/regional
advertising. Additional new events, and activities for
year 2000,
2211 Exhibits & DisDlavs $500
Supplies & materials for temporary exhibits and
displays, enlargements, photo mounting, coroplast
sings, lettering, folios
¡m SubscriDtlons & Publications $0
¡æ Seminars and Education $500
OMA - Committee Workshop, Honorariums for
on site training workshops (volunteers) $200
WHMIS & Safety 200
Fundraising Workshops 100
¡m Insurance $1,630
2394 ReceDt Prom. & Soeclal Event General PR $4¡iOO Reduced T JQ
$1,000
Very Important Volunteer Night and Appreciation Event to
cover food, entertainment and awards for volunteers - Pig
Roast event - Volunteer Appreciation Night
2m MembershlDs $260
Canadian Museum Association, Ontario Museum
Association and Ontario Historical Society
6:19 PM
0211612000
239
February 25
2399
2435
mI
2480
I
j
~
2iÐ
5300
6:19 PM
2744 - MUSEUM
BACKGROUND INFORMATION
Outside Aaencv Services
Provision for assistance in Gas & Steam Bam
area plus restoration projects
Security patrol services.
Buildlna ReDalrs & Maintenance
Daily maintenance supplies and materials for
building repairs
Misc. EaulDment ReDairs & Malnl
Daily maintenance supplies and restoration
for Steam Bam equipment
Antiaue ReDairs & Maintenance
Conservation & Restoration Materials:
On going repairs and restoration of artifacts
in Collection
Dry cleaning textiles, packing foam, film development
for artifact photo file
Grounds UDkeeD
Annuals, perennial, seeds, vegetable plants, herbs
limestone for pathways and calcium chloride for
driveway
Land Rentals
Stationery & Office SuDDlies
Supplies for Education:
Programs on site
In Class Outreach Programs
General Office Supplies
0211612000
240
$3,200
3,000
$1,500
1,300
700
$6,200
$6,000
$3,300
$1,000
$500
$3,600
Page 3
$0
February 25
5340
5345
5400
5530
5900
5902
1623
9910
6:19 PM
2744 - MUSEUM
BACKGROUND INFORMATION
SDecial Events SuDDlies
Fees for demonstrations by Groups & Craftspeople
Entertainment Fees - Special Events
Demonstration Supplies
13 Special Events
Volunteer Appreciation Night Barbecue
Antiaue Purchases
Reproduction items for programming
Artifacts for the Collection
Gift ShOD
Retail Merchandise for Gift Shop & Consignment
Items
Utilities Hvdro
Gas. Oil. Tires. etc.
Miscellaneous EauiDment (Under $100)
Revenue
Ontario SDeciftc Grants
Museum Operating Grant (decreased 10% from 1999)
Gift ShOD
Retail purchases during Museum operating Season:
May/June
July/August
Sept.lOct.lNov,
0211612000
241
. ($1,750)
(3,000)
(1,750)
$12,000
$500
$4,000
$2,860
$900
($10,767)
($6,500)
Page 4
$0
February 25
12744 - MUSEUM
BACKGROUND INFORMATION
9915 Snack Bar ($1,000)
Sale of lemonade, baked goods, com on the cob
during Special Events
9920 Admissions - Public Education ($52,800)
Admissions during Special Events ($13,900)
On Site Education Programs for Spring (15,900)
On Site Education Programs for Fall (19,000)
General Admissions (4,000)
9933 Rentals - Mta. Room Public ($15,000)
Rentals - various supplies/artifacts ($1,000)
Weddings in the Church 1O @ $200 (2,000)
Film/Photography Rental 3 Rentals (12,000)
9955 Proarams ($12,000)
In Class Outreach Programs:
Sheep to Shawl- 30 programs @ $60,75 ($1,822)
Weaving Wizards - 15 programs @ $65.42 (981)
Thingamajigs - 10 programs @ $42.50 (425)
Christmas Past- 95 programs @ $64,50 (6,127)
Fracture - 5 programs @ $74,70 (373)
Stencils - 10 programs @ $67,20 (672)
Additional Camping/programs (1,600)
9977 Donations ($1,500)
Memberships/individual
9990 Other Revenue ($3,800)
Program Sponsorship (2,500)
Non-Resident Surcharge - School Boards outside
of Durham Region (1,300)
6:19 PM
0211612000
242
Page 5
February 25
IC.....I.T.......Y.~. O....F......~~~.~I:....~.I.N.........G..... I
.... .. URRENT BU GE
2610. PLANNING & DEVELOPMENT. ADMINISTRATION
CLASSIFICATION
tV
~
~
1100 Salaries & Wages
1200 Overtime
1400 Employer Contributions
1800 Conferences
2110 Travel
2131 Cellular Phone Charges
2210 Advertising
2220 Subscriptions & Publications
2340 Seminars & Education
2392 Consultive & Professional
2394 Recpt/Prom.&Sp,Ev./Gen P/R
2395 Memberships
2396 Photo, Mapping, Printing
2399 Outside Agency Services
2635 Building - Rentals
2678 Misc, Equipment Rentals
5300 Stationery & Office Supplies
5302 Forms
5398 G,S.T. Exempt
5902 Misc. Equip. (Under $100)
2678 Misc.Equip, Rental
PREVIOUS YEARS ACTIVITY
1998 1999 EST. 1999
ACTUAL ACTUAL Budaet
$789,680 $780,610 $845,610
141,970 117,890 191,729
2,310 2,160 2,955
1.150 1,160 2,500
0 70 0
0 1,540 1,600
950 1,140 1,000
1,270 1,180 3,420
3,050 10,240 20,000
520 730 900
2,400 2,410 3,291
2,680 1,020 5,500
0 0
0 300
0 0
6,070 11,670 8,000
0 0
210 0
0 300
0 0
$952,260 $931,820 $1,087,105
1999
Revised
BUDGET
$873,060
21,088
197,068
2,955
2,500
0
1,600
1,000
3,420
20,000
900
3,291
5,500
0
300
0
8,000
0
0
300
0
$1,140,982
INCREASE . ~(iOO .
.. .
(DECREASE) BUDGET
($487,517) $385.543
(16,088) 5,000
(109,196) 87.872
(855) 2,100
(1,325) . 1,175
450 450
0 1,600
2,250 . 3,250
(2,016) 1,404
(20,000) 0
400 1,300
(1.942) 1,349
2,000 7,500
0 . 0
0 300
15,000 . 15,000
2,500 10,500
1,500 1,500
0 0
0 300
0 .0
. ...
($614,839) . $526,143
% CHANGE
2000 BUDGET
VS.
REV. 99 BUDGET
-55.84%
-7-629%
-55.41%
-28,93%
-53.00%
NA
0.00%
225.00%
-58.95%
-100.00%
44.44%
-59.01%
36.36%
0.00%
0.00%
N/A
31,25%
N/A
0.00%
0.00%
0.00%
-63.89%
tV
~
~
I CITY..... O..F P...I.C...K.....E. R IN$
~ ..........2()00. ... ..
.... CURRENT BUDGET ..
2610 - PLANNING & DEVELOPMENT - ADMINISTRATION
PREVIOUS YEARS ACTIVITY
% CHANGE
2000 BUDGET
VS.
REV. 99 BUDGET
CLASSIFICATION
1998
ACTUAL
1999
Revised
BUDGET
1999 EST.
ACTUAL
1999
Budget
(INCREASE)
DECREASE
REVENUE
1461 Sale of Services - Planning Day.
($107,620) ($123,000) ($96,000) ($96,000) 88,000 ($8,000) -91,67%
($107,620) ($123,000) ($96,000) -($96,000) ($104,000) 108,33%
$844,640 $808J1~() $991,105 $1,236,982 fR18,839) $518.143 I -58.11%
1100
1200
1400
1800
2110
2131
11:00 AM
2610 . PLAN~ING & DEVELOPMENT. ADMINISTRATION
BACKGROUND INFORMATION
Salaries & Waaes
Total from Final Page
(Transfer of(11) (FT) plus student staff Planning (2611)
(Transfer from 2290 of (1) staff
Overtime
Overtime required mainly due to workload volume.
(Transfer of overtime to Planning 2611)
EmDloyer Contributions
This item includes mandatory deductions (CPP" EI., EHT,,)
and employer provided benefits such as dental, optical,
OMERS, life insurance and long term disability benefits,
Transfer from 2290
(Transfer to Planning 2611)
Conferences
Ontario Ass'n Committees of Adjustment - Huntsville,
Chairman or Member,
Ontario ProfessiQnal Planners Institute - Ottawa - Director
Travel
Committee Members (17 mtgs x 88km per meeting)
and staff (meetings, site inspections)
(Transfer to Planning 2611)
Cellular Phone Charaes
Bell Mobility Pager - Director $35,65 per month (inc, taxes)
0211612000
245
Page 1
$385,543
$894,715
(544,728)
35,556
$5,000
$21,088
(16,088)
$87,872
$202,436
8,000
(122,564)
$2,100
$950
1,150
$1,175
$2,500
(1,325)
$450
February 25
2210
2220
2340
2392
2394
11:00 AM
2610 - PLANNING & DEVELOPMENT. ADMINISTRATION
BACKGROUND INFORMATION
Advertisina
For public meetings regarding various studies and notification of
City Initiated zonings & official plans, other than the Community Page
SubscriDtions & Publications
Magazines, Books and Reports
Increase of $2,000 is attributable to the transfer of
Building Services and Development Control.
Seminars & Education
Original 1999 Budget
(Transfer to Planning 2611)
Ontario Ass'n Committees of Adjustment (Burtington): (3 members - $240)
Ontario Municipal Management: 2 courses @$155
City Subsidy onTechnical courses as-pari-of Staff Education Program
$3,420
(2,016)
Consultive & Professional
Original 1999 Budget.
(Transfer to Planning 2611)
$20,000
(20,000)
RecDt. Prom. & SD.Ev., Gen P/R
Transfer from department 2290 of $125,
Majority of this budget is to provide for refreshments for persons
attending public planning related meetingslworkshops, departmentally
hosted functions & general City promotional situations,
02l16flOoo
2L16
Page 2
$1,600
$3,250
$1,404
$0
$1,300
February 25
2395
2396
2635
2678
5300
11:00 AM
2610 - PLAN ING & DEVELOPMENT - ADMINI TRATION
BACKGROUND INFORMATION
MembershiDS
Ontario Professional Planners Institute/Cdn Institute of Planners - Director
Urban & Regional Info, Systems Ass'n - Ontario & Int'!
Chapters Memberships
Intergovernmental Committee on Urban & Regional Research (Corporate)
Ont. Association of Committees of Adjustment
(5 Memberships)
Other
PhotoaraDhv, MaDDina, Printing
Film purchases/processing & reproductions, and reproductions from
outside organizations for day to day requirements
Transfer from (2290). .
Digital Air Photos
3,000
Buildina Rentals
Rental of facilities & payment for security @ Library
when holding public meetings
Misc. EauiDment Rentals
Licence Agreement with Teranet Land Information System
City's portion - 50%, As per Council resolution 416/97
Stationery & Office SuDDlies
1999 Budgeted Amount
Transfer from 2290
Increase to reflect anticipated usage
~4'OOO
$300
260
386
300
103
$2,500
2,000
Page 3
$1,349
$7,500
&;QOO Reduced T JQ
$8,000
2,000
500
$300
$15,000
$10,500
February 25
5302
5902
2678
1461
11:00 AM
2610 - PLANN NG & DEVELOPMENT - ADMINISTRATION
BACKGROUND INFORMATION
Fonns
Miscellaneous EauiDment Under 5100
For items such as small office & drafting equipment
Miscellaneous EauiDment Rental
REVENUE
Sale of Services. Administration
Original 1999 Budget
(Transfer to Planning 2611)
The revenue is for maps and other planning documents,
0211612000
248
($96,000)
88,000
Page 4
$1,500
$300
$0
($8,000)
February 25
CITYO F.....P..IC. KE R.ING I
.. . . .. 2000
. . CURRENT BUDGET
2611 - PLANNING
PREVIOUS YEARS ACTIVITY
% CHANGE
1999 2000 BUDGET
Revised INCREASE I 2000 I VS.
BUDGET BUDGET REV. 99 BUDGET
(DECREASE)
$0 $561,010 $581,010
0 16,088 16,088 Nt
0 127,622 127,822 NtA
0 2,440 2,440 N/A
200 200 NtA
0 1,625 1,625 NtA
0 0 0 0.00%
0 0 0 0.00%
0 0 0 0.00%
0 3,539 3,539 NtA
0 105,000 105,000 NtA
0 0 0 0.00%
0 2,250 2,250 NtA
0 0 0 0.00%
0 0 0 0.00%
0 0 0 0.00%
0 0 o 0.00%
0 0 0 0.00%
0 0 0 0.00%
0 0 0 0.00%
$0 $839,974 $839,974
CLASSIFICATION
1998 EST.
ACTUAL
1999 EST.
ACTUAL
1999
Budaet
N
~
c.c
1100 Salaries & Wages
1200 Overtime
1400 Employer Contributions
1600 Conferences
1900 Uniforms
2110 Travel
2131 Cellular Phone Charges
2210 Advertising
2220 Subscriptions & Publications
2340 Seminars & Education
2392 Consultive & Professional
2394 RecptlProm.&Sp.Ev./Gen PtR
2395 Memberships
2396 Photo, Mapping, Printing
2399 Outside Agency Services
2635 Building - Rentals
5300 Stationery & Office Supplies
5398 G.S.T. Exempt
5902 Misc. Equip. (Under $100)
2678 Misc.Equip. Rental
tV
CJl
0
I . .. I
... .. CITY OF PICKERING ..
. . .
~ ... .. . 2000.... . . ..
..... ..CURRENTBUDGET. ...
2611 - PLANNING
CLASSIFICATION
PREVIOUS YEARS ACTIVITY
1999
1998 EST. 1999 EST. 1999 Revised
ACTUAL ACTUAL Budaet BUDGET
($0)
($0)
$0
REVENUE
1461 Sale of Services - Planning
(INCREASE)
DECREASE
($88,425)
($88,425)
$751,549
% CHANGE
2000 BUDGE
VS.
REV. 99 BUDGET
0.00%
0.00%
11:01 AM
ll1Q
m1
mi
am
~
2611 . PLANNING
BACKGROUNDINFORMA~ON
11B
Salaries & Waaes
Transfer of 11 staff plus student from (2610)
Planning Technician (MaRIA 1 - Start date)
(T JQ reduced to July 1, start data)
Geographic Information Clerit (J:wII.yeaf Contract JaA-4.. 12000 )
(T JQ reduced to six month contract)
1m
Overtime
Transfer from (Planning) Admin.
Overtime required mainly due to woritload volume, Replacement
of vacant and new positions should reduce overtime for the 2001 budget.
~
Emolover Contributions
Transfer from (Planning) Admin,
This item includes mandatory deductions (CPP., EI., EHT.,)
and employer provided benefits such as dental, optical,
OMERS. life insurance and long term disability benefits.
1.§gQ
Conferences
Ontario Ass'n Committees of Adjustment - Huntsville,
1 staff
Ministry of Municipal Affairs - Richmond HiII- PlannerlManager
Ontario Professional Planners Institute - Ottawa -
Manager or Planner
.æ2
Uniforms
Woritbootslsafety vests.
Irm1
Transfer from (Planning) Admin. Travel is for general site visits.
Additional mileage.
Cellular Phone Charaes
Advertlslna
SubscrlDtions & Publications
Seminars & Education
Transfer from (Planning) Admin.
Increase in education programs for various programs as listed below.
Ontario Ass'n Committees of Adjustment (Surlington):2 staff
Urban Development Institute:Workshops (Toronto): 2 staff/3 woritshops
Educational Planning Seminars (e,g, Insight. Canadian Inst.) (Toronto):1 staff
Ontario Professional Planners Institute: The Planner at the OMS: 2 staff
Ontario Professional Planners Institute: Alternative Dispute Resolution:1 staff
Planning SeminarsIWoritshops - Unknown
Environmental Management
0211612000
251
Page 1
$581,010
$544,728
32;Q24 Reduced TJQ
19.222
34-;42Q Reduced TJQ
17,060
$16,088
$127,822
$122,564
5,258
$2,440
$950
340
1,150
$200
$1,625
$1,325
300
$0
$0
$0
$3,539
$2,016
~ Reduced TJQ
1,523
Febl\l8ry 25
.m.§
mI
~
1m
mI
11:01 AM
2611 . PLANNING
BACKGROUND INFORMATION
1m
Consultive & Profusional
TFBRsfer ffeM (281Q)
Uverpool Rd. South Urban Design/Land Use Study
(Pre budget Council approval by Resolution 222/99).
By-law Review, Waste Transfer in Industrial Areas - Review direc:18d
by Council R8soiutlon 189199.
Duffin Creek Watershed Mgmt Study in conjunction with AjaxlTRCA
(participation and allocation of funding endorsed by Council Resolution 10/00)
Assistance of architect for review of site plans
Technical/Peer Reviews
uu
RecDt Prom. & SD.Ev.. Gen PfR
.nu
MembershlDs
Ontario Professional Planners Institute/Cdn Institute of Planners
(l staff @ $300)
Ontario Association of CIA membership (2 staff @ $75)
PhotoaraDhv. MaDDina. PrintIng
Bulldlna Rantals
Stationery & Office SuDDlies
Miscellaneous EaulDment Under $100
Miscellaneous EauiDmentRental
2512000
Page 2
$105,000
~ o.let8d T JQ
50,000
10,000
20,000
2Q;OOQ Reduced TJQ
10,000
15,000
$0
$2,250
$2,100
150
$0
$0
$0
$0
$0
February 25
.tœ.
11:01 AM
2611 - PLANNING
BACKGROUND INFORMATION
Revenue
Sale of Services - PlanninG
Zoning By-law Amendment Applications
21 @ $800
Revisions by Applicant
1@ $500
Local Official Plan Amendment Applications
2 @ $2,000
Revisions by Applicant
0 @ $500
Regional Official Plan Amendment Applications
1 @ $1,000
Draft Plan of Subdivision Applications
4 @ $1,500
Per Unit Fees
150 @
Revisions by Applicant
O@
$50
$500
Draft Plan of Condominium Applications
2 @ $800
Condominium Conversion Applications
0 @ $1,000
Committee of Adjustment Variance Applications
75 @ $350
10 @ $450
Minister's Zoning Order Amendment Applications
1@ $200
Site Plan Applications
Residential Uses (Multiple-Attached and Apartment House)
1 @ $625
50@ $65
Commercial or CommerciaVResidential Uses
3 @ $625
5 @ $345
IndustriaVOther Uses
5@
$625
Major Revisions to Approved Site Plans
5 @ $625
Minor Revisions to Approved Site Plans
16 @ $250
Site Plan Clearance/ConfonnitylLC Release Report
4 @ $250
Compliance Letter for Ministry Ucenses
27@ $50
Submit
0211612000
253
Page 3
($88,425)
($16,800)
(500)
(4,000)
0
(1,000)
(6,000)
(7,500)
0
(1,600)
0
(30,750)
(200)
(625)
(3,250)
(1,875)
(1,725)
(3,125)
(3,125)
(4,000)
(1,000)
(1,350)
($88.425)
($88,425)
February 25
¡CITY. OFP...I...CK.E. R...'NG]
.... ..... . moo ..
. . CURRENT BUDGET. ....
2612 - BUILDING SERVICES
tv
CJ1
~
1100
1200
1400
1800
1900
2110
2131
2210
2220
-2340
2370
2371
2392
2394
2395
2396
2399
2457
2478
2481
2678
5300
5302
5398
5900
5902
CLASSIFICATION
Salaries & Wages
Overtime
Employer Contributions
Conferences
Uniforms
Travel
Cellular Phone Charges
Advertising
Subscriptions & Publications
Seminars & Education
Insurance
Self-Insurance
Consultive & Professional
RecptIProm,&Spec.EvJGen. PIR
Memberships
Photo, Mapping, Printing
Outside Agency Services
Vehicle-Repair & Maintenance
Misc. Equip. Repairs & Maint.
Other Fix, Assets - Rep.& Maint.
Misc, Equipment Rentals
Stationery & Office Supplies
Forms
G.S.T, Exempt
Gas, Oil, Tires, etc.
Misc. Equipment (Under $100)
PREVIOUS YEARS ACTIVITY
1999
1998 1999 EST. 1999 Revised
ACTUAL ACTUAL BUDGET BUDGET
$0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
$0
% CHANGE
2000 BUDGET
INCREASE VS.
(DECREASE) REV. 99 BUDGET
$413,499 $413,499 N/A
10,000 . . 10,(.)00 N/A
95,287 .95;287 NlA
1,200 ..1,200 NlA
500 500 NlA
15,860 15;860 NlA
4,000 4;000 NlA
0 . . 0 0,00%
0 0 0.00%
1,800 1,800 --N/A
0 0 0.00%
0 0 0.00%
6,000 . 6,000 N/A
0 0 0.00%
1,750 1,750 NlA
0 0 0.00%
0 0 0.00%
1,200 1,200 N/A
0 0 0.00%
0 0 0.00%
0 .0 0.00%
0 0 0.00%
0 0 0.00%
0 0 0.00%
1,090 .1,090 N/A
0 0 0.00%
$552,186 D . $552,186 NlA
I.................'.'... .'.CITY...O. F.P.I.C....K..E. RING
........'.. ... .. .. . ". 2000 .. .. .. ...
...'.... CURRENTSUDGET ..
2612 - BUILDING SERVICES
CLASSIFICATION
PREVIOUS YEARS ACTIVITY
1999
1998 1999 EST. 1999 Revised
ACTUAL ACTUAL BUDGET BUDGET
0
$0
$0
REVENUE
1517
Licences & Permits
N
c:.n
c:.n
(INCREASE)
DECREASE
~. CHANGE
2000 BUDGET
VS.
REV. 99 BUDGET
(1,250,000)
-WA
($1,250,000)
($1,250,000)
NIA
{~~~7.814)
MIA
1100
1200
1400
1800
1900
2110
2131
2210
mil
11:01 AM
J BUILDI~ SERVICES
BACKGROUND INFORMATION
Page 1
Salaries and Wages
Transfer of (9) staff from (2290)
$413,499
Overtime
Transfer of overtime from (2290)
$10,000
EmDlover Contributions
Transfer from (2290)
This item indudes mandatory dedudions (CPP" EI., EHT,,)
and employer provided benefits such as dental, optical,
OMERS, life insurance and long term disability benefits,
$95,287
Conferences
$1,200
LMCBO Workshops SpringlFall
Uniforms
Personal protective equipment and uniforms
Work boot and winter jacket allowances, safety vests
and safety T-shirts, rubber work boots (safety), hard hats. gloves,
Transfer from (2290)
$500
Travel
Allowance paid to employees that use their own
vehide for City business.
$15,860
Cellular Phone Charges
4 staff + 1 mounted in vehide, (Transfer from 2290)
$4,000
Advertisina
$0
SubscriDtions and Publications
$0
256
0211612000
February 25
2æ
2m
m1
2392
¡æ
2395
11:01 AM
J BUILDI~ SERVICES
BACKc;ROUND INFORMATION
Seminars and Education
Employee training and development.
Business related seminars and workshops.
various employees: Manager,
and Inspectors,
Ontario Building Officials Association and
Ministry of Municipal Affairs and Housing technical courses,
Insurance
Self-Insurance
Consultive and Professional
Plan Review (Buildings) - for strudural heating
and ventilation review on major projects.
Rec.Dilons, Promotions and Sceeial Events
General Public Relations
Transferred to 2610
MembershiDs
MembershiDs in associations related to the fundions of the deDartment
Association of Technicians and Technologists
Senior Examinerllnspector (2)
Ontario Building Officials Association (5) - staff + Inspectors
Ontario Plumbing Inspectors Association (3) -
Chief Building Official - 2-lnspectors
Metro Area Code Interpretation Committee (1) -
Senior Examiner
Canadian Farm Building Association (1) . Senior Examiner
Metro Area Plumbing Advisory Committee (1) -
Plumbing Inspector
Ontario Association of Architects (1) - Chief Building Official
Toronto Area Chief Building Officials Committee (1)-
Chief Building Official
Canadian Fire Safety Association
257
0211612000
$400
1,400
$350
250
125
60
60
60
580
200
65
Page 2
$1,800
$0
$0
$6,000
$0
$1,750
February 25
5300 Stationery and Office SuDDlies
5302 Forms
5398 GST ExemDt
¡
I -
2396
2399
~
2478
2481
2678
5900
5902
11:01 AM
Page 3
Photo. MaDDina. Printing
$0
Outside Aaency Services
$0
Vehicle ReDair and Maintenance
Repairs to department utility vehides.
#622 - 1991 Chev, Blazer - Building Division
$1,200
Miscellaneous EauiDment ReDairs and Maintenance
$0
Other Fixed Assets. ReDair and Maintenance
$0
Miscellaneous EauiDment Rentals
$0
$0
$0
$0
Gas. Oil, Tires, etc.
Expense for a utility vehide,
$1,090
Misc. EauiDment (Under S100)
$0
258
0211612000
February 25
1429
1517
11:01 AM
Page 4
REVENUE
Sale of Services
$0
Licenses and Penn its
Revenue from Building Permits
($1,250,000)
ADDlication TvDe
400 new detached dwellings @ $1,800
(420 actual in 1999)
Revenue
(720,000)
100 townhouse and apartment dwelling units @ $1200
(100 actual in 1999)
(120,000)
Other residential permits
($50,000 actual in 1999)
(60,000)
35 million industrial/commercial!
institutional @ 1 %
(63 million actual in 1999)
(350,000)
259
0211612000
February 25
I CITY.... 0. F.....P...I.C. KE. RING ...1
. .. ......~oo.. .
... CURRENT BUDGET ...
2613 - DEVELOPMENT CONTROL
PR~OUSYEARSAC~TY
CLASSIFICATION
1998
ACTUAL
1999
1999 I Revised
BUDGET BUDGET
$0 $270,119
0 25,000
0 66,402
0 600
.0 3,000
0 4,000
0 0
0 0
0 2,265
0 0
0 0
0 0
0 0
0 491
0 0
0 0
0 4,800
0 1,500
0 0
0 50
0 0
0 0
0 0
0 4,360
0 800
$0 $383.387
1999 EST.
ACTUAL
N
en
0
1100 Salaries & Wages
1200 Overtime
1400 Employer Contributions
1900 Uniforms
2110 Travel
2131 Cellular Phone Charges
2210 Advertising
2220 Subscriptions & Publications
-2340 Seminars & Education
2370 Insurance
2371 Self-Insurance
2392 Consultive & Professional
2394 RecpUProm.&Spec.Ev.lGen. P/R
2395 Memberships
2396 Photo, Mapping, Printing
2399 Outside Agency Services
2457 Vehicle-Repair & Maintenance
2478 Misc. Equip. Repairs & Maint.
2481 Other Fix. Assets - Rep.& Maint.
2678 Misc. Equipment Rentals
5300 Stationery & Office Supplies
5302 Forms
5398 G.S.T. Exempt
5900 Gas, Oil, TIres, etc.
5902 Misc. Equipment (Under $100)
:[4_- .
BUDGJ;T
$270,119
25,000
66,402
600
.3,000
4,000
0
0
2,265
0
0
0
0
491
0
0
4,800
1,500
0
50
0
0
0
4,360
800
$383.387
% CHANGE
2000 BUDGET
VS.
REV. 99 BUDGET
N/A
N/A
N/A
N/A
N/A
N/A
0.00%
0.00%
WA
0.00%
0.00%
0.00%
0.00%
N/A
0.00%
0.00%
N/A
N/A
0.00%
N/A
0.00%
0.00%
0.00%
N/A
N/A
NIA
N
0':)
....
f ..CITY.......OFPI...C.K.E. R...ING . >.
. ... ....... 2000 . .... .
.<. <CURRENT BUDGET. . .
2613 - DEVELOPMENT CONTROL
CLASSIFICATION
REVENUE
1429 Sale of Services-Dev.Control
1998
ACTUAl
PREVIOUS YEARS ACTIVITY
% CHANGE
2000 BUDGET
YS.
REV. 99 BUDGET
1999 EST.
ACTUAl
1999
Revised
BUDGET
N/A
1999
BUDGET
(INCREASE)
DECREASE
$0
($86,500)
$0 ($86,500) 1$86,50Q)I NIA
-
$0 $296,887 $296,887 I NIA
1W
j1gQ
1400
1900
IDR
2131
m2
mQ
02/16/2000
BACKGROUND INFORMATION
Salaries and Wages
Transfer from (2290) - 6 staff
Development TeGRFlisisn (MSFGR 1st)
Overtime
Transfer from (2290) $25,000
Provision for overtime
Provision for overtime (chargeback)
Emolover Contributions
This item includes mandatory deductions (CPP" EI" EHT.,)
and employer provided benefits such as dental, optical,
OMERS, life insurance and long term disability benefits.
Uniforms
Transfer from (2290)
Personal protective equipment and uniforms
Work boot and winter jacket allowances, safety vests
and safety T-shirts, rubber work boots (safety), hard hats, gloves.
Increase to reflect current costs of uniforms.
Travel
Transfer from (2290) $3,000
Allowance paid to employees that use their own
vehicle for City business. Some travel costs
are recoverable from backcharges.
Utilities Co-ordinator (1)
Cellular Phone Charges
Transfer from (2290) for five staff,
Advertisina
Subscrlotions and Publications
262
20o2613,xls
$270,119
32,92~ Deleted T JQ
, $12,000
13,000
$465
135
Page 1
$270,119
$25,000
$66,402
$600
$3,000
$4,000
$0
$0
February 25
~
mg
2371
nn
2394
m§
mi
nn
2457
02116/2000
2613 . Dq\'ELOPMENT CONTROL
BACKGROUND INFORMATION
Seminars and Education
Employee training and development.
Business related seminars and workshops,
various employees: Manager,
Supervisors, Inspectors, Technicians etc,
First Aid and C.P,R Training
for confined space entry - 4 staff
In house training cost. confined space materials
Page 2
$2,265
$500
1,250
515
Insurance
Self-Insurance
Consultive and Professional
ReceDtions. Promotions and SDeclal Events
General Public Relations
MembershlDs
MembershiDS in associations related to the functions of the deDartment
Association of Technicians and Technologists
Development Control Inspector
Development Technician
Ontario Association of Road Supervisors (1)
Development Control Supervisor
Durham Public Works Association (1)
Development Control Supervisor
$0
$0
$0
$0
$491
$155
155
52
129
Photo. MaDDlna. PrintInG
Transferred to 2610,
Outside Aaencv Services
Vehicle ReDalr and Maintenance
Repairs to five utility vehicles,
263
20o2613,xls
$0
$0
$4,800
February 25
2478
2481
2678
5300
5302
5398
5900
5902
1429
0211612000
2613 - DE E OPMENT CONTROL
BACKGROUND INFORMATION
Miscellaneous EaulDment ReDairs and Maintenance
Repairs and annual maintenance and cleaninglrecalibration
to gas detectors, survey equipment, cameras, cellular phones
Replacement of rechargeable battery packs for the above equipment.
Other Fixed Assets - ReDair and Maintenance
Miscellaneous EauiDment Rentals
Mise, equipment rentals,
Stationery and Office SuDDlies
Forms
GST ExemDt
Gas. Oil. Tires, etc.
For five utility vehicles,
Mise, EauiDment (Under $100)
Various sundry items such as disposable batteries,
spray paint, wooden stakes, and lens cleaning kits,
flashlights, measuring tapes, small tools.
Revenue
Sale of Services
Subdivision Processing Fees - cost of subdivision
inspection by Public Works Personnel charged back,
Revenue from Telecommunication Companies for
Municipal consent and Occupancy of Right of Ways,
City's component of fees associated with Ministry of
Environment and Energy Certificate of Approval
for Storm Sewer Installation related to development.
264
20o2613.xls
Page 3
$1,500
$0
$50
$0
$0
$0
$4,360
$800
($86,500)
($72,000)
($10.500)
($4,000)
February 25
._.'"~
I . CITY.. 0. F. P I.C ....K. ER...ING ..1
. . .. . 2000 ...
. CURRENT BUDGET. .
2745 LIBRARIES
f\:)
0':)
c.Jl
CLASSIFICATION
1100 Salaries & Wages
1200 Overtime
1400 Employer Contributions
1800 Conferences
2110 Travel
2121 Postage
2122 Freight, Express & Cartage
2131 Telephone
2210 Advertising
2320 Legal
2340 Seminars & Education
2365 Purchased Printing
2370 Insurance
2391 Data Processing
2392 Consultive & Professional
2394 Public Relations
2395 Memberships
2435 Building Repairs & Maint.
2478 Misc.Equip.Repairs&Maint.
2481 Other Fix.Assets Rep.&Maint.
2678 Equipment Rental
5300 Stationery & Office Supplies
5303 Processing Supplies
5310 Library Materials
5311 Other Library Materials
5398 G.S.T. Exempt
5510 Utilities - Water
5520 Utilities - Gas
5530 Utilities - Hydro
5540 Utilities - Oil
5902 Misc.Equip.(Under $100)
Westem Branch Opening
PREVIOUS YEARS ACTIVITY
1999
1998 1999 EST. 1999 Revised
ACTUAL ACTUAL Budaet BUDGET
$1,624,710 $1,734,250 $1,637,444 $1,732,230
-
265,770 247,970 313,920 323,195
1 ,490 1,980 2,946 2,946
7,570 7,600 7,725 7,725
4,390 4,210 4,635 4,635
350 100 309 309
34,920 33,910 36,846 36,846
710 1,230 824 824
700 3,070 1,803 1,803
3,640 3,660 3,450 3,450
440 280 475 475
10,210 8,380 10,780 10,780
410 - 0
0 2,900 1,030 1,030
1,180 1,320 1,030 1,030
550 740 812 812
97,250 115,330 89,633 89,633
71,890 90,660 78,768 78,768
1,320 1,190 2,060 2,060
0 567 567
35,630 34,110 35,205 35,205
0 - 0
189,000 318,960 193,670 193,670
0 63,390 - 0
8,790 - 0
6,150 5,450 4,200 4,200
17,820 24,090 18,798 18,798
87,070 79,470 97,943 97,943
580 940 1,177 1,177
1,710 1,960 2,095 2,095
$2,474,250 $2,787,150 $2,548,145 $2,652,206
% CHANGE
2000 BUDGET
INCREASE . 200(.
fDECREASE) BUDGET R_.. -- -----.
$100,345 .. $1,832,575 5,79%
0 0 0.00%
38,739 . 361,934 11.99%
3,333 6,279 113.14%
515 8,240 6,67%
139 4,774 3.00%
0 . 309 0.00%
(61) ..36,785 -0.17%
618 1,442 75.00%
0 . 1,803 0.00%
2,550 6,000 73.91 %
775 1,250 163.16%
0 10,780 0.00%
138,253 138,253 N/A
1,236 2,266 120.00%
1,545 2,575 150.00%
347 1,159 42.73%
30,756 120,389 34.31%
14,116 . 92,884 17.92%
o 2,060 0.00%
o 567 0.00%
4,590 39,795 13.04%
0 0 0.00%
31,330 225,000 16.18%
0 o 0.00%
0 0 0.00%
30 .4,230 0.71%
2,712 21,510 14.43%
3,864 101,807 3,95%
257 1,434 21.84%
480 2,575 22.91%
3,500 3500 N/A
$379,969 I~. $3,032,175 14.33%
N
<::i)
a;
=:
I CITYe>FPICKERINC3
2000
. . CURRENT BUDGET
2745 LIBRARIES % CHANGE
PREVIOUS YEARS ACTIVITY 2000 BUDGET
1998 1999 EST. 1999 Revised INCREASE .~OOO VS.
CLASSIFICATION ACTUAL ACTUAL Budnet BUDGET 'DECREASE' . ~BUDGET REV. 99 BUD~ET
.
REVENUE
1529 Fines ($129,590) ($142,020) (113,400) ($113,400) ($23,630) (137.030) 20.84%
1580 Sale of Photocopies ($18,860) (20,850) (23,400) (23,400) 5,213 . (18.187) -22.28%
-- 4623 Government Gr8f1ts ($118,270) (137,900) (112,585) (112,585) (137,293) .(249.878) 121.95%
1$266,720\ 1$300 770) ($249,385) ($249,385) 1$155,710 '~405,()95 62.44%
REVENUE
9916 Vending Machines ($430) ($860) ($500) ($500) $0 ($500) 0.00%
9933 Rentals ($7,200) (6,450) (6.000) (6.000) (193) (6.193) 3.22%
9990 Other Revenue ($3,570) (4,290) (6,750) (6,750) 2,195 (4,555) -32.52%
($11,200) ($11,600) ($13,250) ($13.250) $2,002 (11,2481 -15.11%
TOTAL REVENUE ($277,920) ($312,370) ($262,635) ($262,635) ($153,708) ($416,343 58.53%
$2,196,330 $2,474,780 $2,285510 $2,389,571 $226,261 $2615.832 9.47%
"--,-.-
Page 1
1100 Revised Salaries and WaGes $1,832,575
Total From Final Page $1,803,070
Plus Sunday Hours (as per Coil. Agree. Pd. x 1.5) 34,125
Plus/Minus Adjustments for Year
(step increases & adjustments) (39,377)
- Casual Hours 11,000
Plus additional contract staff - Start July /2000 Systems P.T, 14,823
- Start 112000 Admin. P,T. 7,400
Plus New Staff - start Dec 1/2000 Westem Branch 1,534
- start March, 2000 PT Librarian ~ Deferred to 2001
- start March,2000 FT Young Adult Librarian ~ Deferred to 2001
1200 Overtime
1400 EmDlover Contributions $361,934
Rates as of 1999 @ 19,75% for permanent employees;
8% for casuals (plus 4% vacation pay in salaries)
1800 Conventions $6,279
1, Ontario Library Association Annual Conference (OLA) $ 1,777
2, Ontario Library Association Policy Conference 382
3, Other Conferences 1,545
(OL TA, Computers in Libraries, etc.)
4, CLA/Edmonton + TraveURegis.lAccom. for CEO 2,575
2110 Travel $8,240
Courier $ 4,635
Based on 1999 travel at City's approved rate of $0.301
14,950 km @ $0,301
Board & Staff 3,605
11,628 km @ $0.301 (rounded)
2121 PostaGe $4,774
Overdue notices: 8.000 @ $0.46 + 400 @ $0,71 $ 4,120
Other mail 654
2122 CartaGe & Frelaht $309
11:03 AM,
¿>~1~2000
February 25
2131
n1R
nn
2340
nH
~
2391
11:03 AM
2745 PIC~ERlNG PUBLIC LIBRARY
BACKGROUND INFORMATION
Teleahone
Voice & Data Lines
(including Systems Support)
Advertlslna and Proarammina
Advertising (Recreation Newsletter, advertisements)
Programming Funds for literature-based materials for
Children's reading programs
JdsW
Small Claims Court fees (15 x $50)
Provision for legal counsel
Small Claims costs partially offset by Revenue 1529
Seminars and Education
SOLS, OMMI, In-House, Computer training, CPRlHS training
Travel costs
Purchased Printlna
Miscellanéous, includes Pickering 2000 logo, business cards,
Annual Reports (includes 11% P,S,T, & G.S,T,)
Insurance
Estimated by City (not increased with Western Branch)
Data Processlna
Pickering Newspaper Digitization Project
(offset by Revenue in 1623)
City of Pickering Library contribution
(The library has applied to the Federal and Provincial
govemments for funding, Unfortunately, you can only
receive one grant - either Federal or Provincial. The
Provincial grant is $26,000 and the Federal is $9,115.
The library will adjust their expenditures to match the grant),
Internet & Disabled Access Project
(expenditure 100% offset by In revenue account 1623)
Seniors Home Intemet Outreach Project
(expenditure 100% offset by In revenue account 1623)
0211612000
2f)R
$515
927
$773
1,030
$5,000
1,000
$26,000
18,235
85,000
9,018
Page 2
$36,785
$1,442
$1,803
$6,000
$1,250
$10,780
$138,253
February 25
2392
2394
2395
2435
11:03 AM
RY
27
Consultive & Professional Services/Audit
E.F.A.P, Program - 56 emp!. (based on 1999 use of service)
Public Relations
Proforma 1999 (Board Mtgs. etc.)
Membershlos
Canadian Library Association
Ontario Library Association (Institutional)
Association of Medium-Sized Public Libraries of Ontario
Tourist Association of Ontario
Ajax/Pickering Board of Trade
Canadian Dynix Users
Children's Book Centre
Homepreneurs' Association
Social Development Council
Reoalr & Maintenance - Bulldlnas (*= shared with City)
Central
Janitorial (Tendered with City)(includes Sundays)
Sanitact (6 Units)
Evans Security Service (alarm checks)
Security Services 680 hours @ $14,13/hr.
Intruder alarm Monitor/Maintenance: 12 mos, @ $17,95
Electrical door maintenance contingency
W/C deodorizer
* Misc, costs (outside lighting, pest control, etc)
* Washroom & janitorial supplies (all sites)
* Air handling maintenance (chillers & starters only)
* Fan calibration & adjustment
* Fire alarm. sprinkler & fire extinguishers (all sites)
* Elevator maintenance
* Boiler maintenance
* Garbage disposal
* Diesel generator maintenance
* Miscellaneous provision for electrical, plumbing,
mechanical & other supplies, air handling
* For City services (e.g, mowing, landscaping)
Rouge Hili
Janitorial (10 months)
Sanitact (1 Unit)
HVAC service contingency
Evans Security Service (alarm checks)
Intruder alarm MonitorlMaintenance: 12 mos, @ $17.95
* Snow Removal
Greenwood
Janitorial
0211612000
269
Page 3
$2,266
$2,575
$1,159
$309
382
79
106
77
88
54
32
32
$120,389
$36,338
1,179
108
9,896
232
798
920
2,652
4,882
5,150
1,545
4,460
4,913
1,118
3.899
1,545
12,000
2,127
4,040
204
427
106
228
424
1,838
February 25
2478
2481
11:03 AM
2746 PIC~ERING PUBLIC LIBRARY
BACK$ROUND INFORMATION
HV AC service contingency
Snow Removal
Evans Security Service (alarm checks)
Intruder alarm Monitor/Maintenance: 12 mos, @ $17,95
Claremont
Janitorial
* Misc. Repair & Maint. (snow removal, landscaping etc,)
* Misc. Equipment
Whltevale
Janitorial
Contingency (All Sites) 10% R & M Buildings
Western Branch
Janitorial (2 months)
Sanitad 1 unit extra x 2 months
Other services covered under Rouge Hill Branch
EaulDment ReDair & Maintenance
LAN maintenance
Annual phone support (Novell, LAN)
On-site Network support
Network server maintenance
Anti-virus software
Router maintenance (Branches) $197 U,S x 4)
Contingency (incl, upgrades)
Microsoft Support Service
Copier Maintenance
Central (5 Units)
Rouge Hill (1 Unit), Claremont (1 Unit), Greenwood (1Unit)
Sharp Photocopier Maint.Renewal (Every 40M copies)
Colour Photocopier
Cancopy licenses ($125/copier) +100.00 fee
Duplicator Lease & Maint.
Photocopier maintenance costs partially offset by
Revenue Account 1580
3-M Reader/printer maintenance
2 Units
Automated Notification System maintenance (PLATO)
Dynlx maintenance contract
Telecirc
CPU maintenance
Software maintenance
Peripheral maintenance
Contingency (Incl. Coin sorter/Checkpoint/upgrades)
Other Fixed Assets ReDalr & Maintenance
Book Bindery
0211612000
270
212
37
54
232
1,838
3,183
637
1,030
10,249
1,854
34
$1,332
1,515
1,232
1,232
1,277
6,407
2,103
15,032
867
4,805
1,510
2,199
2,095
1,626
4,545
8,325
25,698
9,113
1,971
Page 4
$92,884
r
$2,060
February 25
Page 5 . .
2678 EauiDment Rental $567
Interac Card Reader plus transaction fees
5300 Stationery & OffIce SuDDlies $39,796
General office supplies
Includes photocopier supplies $18,315
Photocopier paper & supplies costs partially offset by
Revenue Account 1580
Security System (Checkpoint)
(Central/Rouge Hili/Western Branch Materials Only)
Sensors 4,928
Security Cases 3,108
Circulation Supplies
Barcodes (43,000) - incl. WB collection 2,755
Patron cards (14,000, includes 2,000 for WB) 5,395
Overdue notices 3,795
Printer Rolls 1,499
5310 Librarv Materials $225,000
Increase in amount due to allocation for 98/99 population
growth, as detailed in 5 Yr. Capital Forecast
Includes shipping and outsourcedlin-house
processing of Collection materials
5510 Utilities. Water (*= shared with CIty) $4,230
Central* $4,000
Rouge Hill (10 months) 166
Western Branch (2 months) 64
5520 Utilities. Gas (*= shared with CIty) $21,510
Central. $15,914
Rouge Hill (10 months) 3,049
Westem Branch (2 months) 1,220
Claremont. 1,327
5530 Utilities. Electricltv (*= shared with CIty) $101,807
Central. $90,177
Whitevale 1,414
Greenwood 849
Rouge Hill (10 months) 5,140
Western Branch (2 months) 2,056
Claremont. 2,171
11:03 AM 02116/2000 February 25
271
5540
5902
1529
1580
1623
11:03 AM
2745 PIC~ERING PUBLIC LIBRARY
BACKGROUND INFORMATION
Utilities-Oil
Greenwood
Miscellaneous EauiDment & SuDDlies <$100
Miscellaneous <$100
Western Branch ODenina
Advertising promotions
Westem Branch Opening Event
Revenue
Fines/Lost & Damaaed/F&S Charges
Fines
Proforma based on fall, 1999 actuals ($/circ)
Total 2000 for estimated 880,000 circulations
Lost & DamaGed (Net GST deducted)
Total 2000 for estimated 880,000 circulations
F & S CharGes (Net GST deducted)
Card replacement fee
Public Fax
Public Service Computers
Children's Program Fees
PhotocoDvlna (Net GST deducted)
Proforma, based on receipts in 1999
(Includes Debit Card, CD-ROM, Microfiche receipts
plus colour copier added in '99)
Government Grants
Household Grant - Province
Pay Equity Equalization "down-payment" est. - Prov,
Digitization Project Federal Govemment
Intemet & Disabled Access Project - Province
Seniors Home Internet Outreach Project - Federal
Local Newspaper Digitization Grant - Province
0211612000
, 272
$1,000
2,500
($115,900)
(7,620)
(7,600)
(1,400)
(4,360)
(150)
($106,425)
(14,320)
(9,115)
(85,000)
(9,018)
(26,000)
Page 6
$1,434
$2,575
$3,500
($137,030)
I,
($18,187)
($249,878)
February 25
I
9916
9933
9990
11:03AM
Page 7
PUBLIC LIBRARY
BACKGROUND INFORMATION
Vendlna Machines (Net GS~ deducted)
($500)
Proforma 1999
Rentals (Net. GST deducted)
($6,193)
Proforma based on 1999
Miscellaneous. Bell Commissions (Net GST deducted) .
($4,555)
Payphone, book sales, other revenues based on '99 actuals
0211612000
273
February 25
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ADMINISTRATION DEPARTMENT
2000 BUDGET
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February, 2000
ADMINISTRATION DEPARTMENT
DEPARTMENTAL MISSION STATEMENT
To provide a central source for commlJmication and co-òrdination between the Council, its
committees and boards, staff departments, the media, the business community and other
levels of government. To initiate and implement corporate wide policies and initiatives which
ensure consistency and quality of service delivery to the City's customers while responding to
the challenges of an ever-changing economic and social climate, applying the best practices
available in the industry.
2000 DEPARTMENTAL GOALS AND OBJECTIVES
. to ensure the corporate goals and objectives of all departments are achieved to the
satisfaction of the Mayor and Members of Council
. to continue to initiate and implement innovative administrative practices, policies and
procedures to ensure we are at the forefront within the GT A in our mandate to provide the
most effective and efficient services to our internal and external customers in a fiscally
responsible manner
. continued review and implementation of cost savings measures, with particular emphasis
on service co-ordination and partnership arrangements
. encourage economic growth, and City promotion in terms of new investment and
employment opportunities to protect Pickering's future prosperity
. coordinate corporate promotions to highlight the City's achievements and image
. to provide innovative, equitable and quality service to the City's customers
. to effectively conduct the Year 2000 Municipal Election
Page 1 of 3
I
ADMINIST
TION DEPARTMENT
2000 CHALLENGES AND OPPORTUNITIES
INTERNAL
. efficient co-ordination of staff resources to clarify roles within the City's administration
. to ensure all departments operate in a fiscally responsible manner
. improve productivity through the review of current processes, procedures and new
reporting structures
. maximize and monitor revenue generating initiatives
. extensive revision of City by-laws in order to achieve conformity with new legislation.
Creation of new by-laws to assist in the enforcement of City policies
EXTERNAL
. an external environment characterized by growth, demographic, economic and legislative
change and the difficulties in keeping track of, and interpreting the effect of such change
on the organization as they unfold
. coordinate administrative functions as a result of any proposed changes encompassing
the GT A affecting either local or regional responsibilities
. ensure residents and taxpayers are treated with courtesy and respect by all City
employees in accordance with customer service initiatives
. review and develop pro-active methods of administering and coordinating services with
other municipalities and agencies
. review the affects of the new Municipal Act which is expected to be re-introduced
Page 2 of 3
ADMINISTRATION DEPARTMENT
POTENTIAL FOR OPERATIONAL IMPROVEMENT
. continue to review and monitor the realignment of staff resources to ensure the effective
utilization of existing staff expertise and complement
. continue to review and implement improved communication processes
. continue to standardize policies and procedures to ensure corporate wide consistency in
practices and procedures
. to increase the use of technology to update systems and processes, particularly with
respect to records management
. to continue the service delivery of a corporate training program that facilitates the
continued development of human resources by educating, training, developing and
broadening the skill and knowledge of employees
. develop a performance management system to facilitate goal setting and staff
accountability to support the changing needs of the new organization
Page 3 of 3
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CORPORATE SERVICES
DEPARTMENT
2000 BUDGET
February 2000
CORPORAtE SERVICES DEP ARTM ENT
DEPARTMENTAL MISSION STATEMENT
It is the mission of the Corporate Services Department of the Corporation of the City
of Pickering to provide responsible, innovative and effective leadership and advice, to
ensure that its financial management, information systems activities and the
acquisition of goods and services are conducted with efficiency and integrity. To
ensure the financial integrity, accountability, and fiscal capacity of the City and to
provide financial services and advice to the Chief Administration Officer (CAO,) other
Department and Division Heads, the Mayor and Council. This is achieved by means
of effective budgeting, accounting, purchasing and financing through planning, policy
setting, transaction processing, quality assurance and the provision of operating and
strategic management information. To promote and maintain the financial strength,
stability and accountability of the Corporation. The Director of Corporate Services and
Treasurer is responsible for advising the CAO, other City Department and Division
Heads and the City Council on all matters pertaining to the efficient and prudent
financial management of the City of Pickering. It is also achieved through an
information systems environment that supports and promotes efficiency in the
business process of the Corporation. This is further enhanced through sound
practices and procedures in the acquisition of goods and services, materials and asset
management and the disposal of assets.
2000 DEPARTMENTAL GOALS AND OBJECTIVES
I
. To implement the new Payroll System with e-time and HR capabilities
. To successfully implement the new Budget Reporting software.
. To continue the development of sound fiscal policies and long range financial
planning for City Services.
. To continue to investigate and develop alternative funding sources for the City.
. To continue to increase efficiencies, timeliness and co-ordination of budget control
systems and financial information.
Page 1 of 6
CORPORATE¡SERVICES DEPARTMENT
. To improve overall budget information to ensure City programs are consistently
presented for budget decision-making purposes.
. To provide more comprehensive and meaningful financial management
information to the CAO, other Departments and the City Council.
. To promote and improve the use of management information technology in the
Corporation to obtain higher levels of timeliness, efficiency and effectiveness in the
provision of services,
. To continue to research and develop optimal possible financing strategies for the
City's current and capital programs.
. To further develop procedures for the timely collection of property taxes and other
receivables to enhance cashflow management.
. To develop and implement Program Budgeting, Performance Measurement and
Activity based costing for the year 2001/2 budget process which would facilitate
more effective utilization of the City's assets.
. To implement a phone-in/fax-in registration system for the purpose of reducing the
workload within Culture and Recreation, and to increase the level of service
provided to City residents.
. To continue with the modernization of the Corporation through the implementation
of new systems.
. To convert the City's network from Novel 4,1 to MS-Windows 2000.
. To continue with the replacement of aging computer equipment, including 486-
based PCs.
. To review current financial systems with the intent to enhance their capabilities or
recommend replacement.
. To complete the second phase of the Parking Tag system with the introduction of
hand-held data entry units.
Page 2 of 6
CORPORATE SERVICES DEPARTMENT
. To review the role of Supply & Services and its responsibilities in an attempt to
achieve efficiencies.
. To participate in co-operative purchasing ventures.
. To review and update the procurement policy and procedures.
. To facilitate the education with clients to enhance knowledge to compliment
purchasing procedures and ensure adherence to corporate standards.
. To continue service delivery with a positive focus.
. To encourage personal development of staff.
\1
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i
Page 3 of 6
CORPORATE SERVICES DEPARTMENT
2000 CHALLENGES AND OPPORTUNITIES
. To review and implement new purchasing and fixed assets management
information systems software.
. To continue to review the major re-alignment of provincial-municipal
responsibilities as they become known and to report on a timely basis their
financial implications to the City.
. To implement the legislative requirements of Bill 79 (Capping Legislation)
and to report on a regular and timely basis the financial implications to the
City.
. To review and update the Development Charges By-Law of the City in
accordance with the new legislative requirements.
. To review and update the policies and procedures of the City which provide
the financial management controls over the receipt and disbursement of the
funds of the Corporation.
. To review the adequacy and need of the City's reserves and reserve funds in
order to update the relevant policies, procedures and by-laws.
. To continue to work with the Treasurers of the Region and the other Area
Municipalities in areas of common interest.
. To continue to update Corporate Strategic Plans regarding computerization.
. To encourage the City to accept new ways of doing business, such as mailing
of forms and documents in regards to accounting, accounts payable, and
other non-financial applications.
. To provide the City with the automated systems necessary to function within
today's business climate.
. To encourage the City to adopt and adhere to corporate standards in the
Departments areas of business.
Page 4 of 6
CORPORATE SERVICES DEPARTMENT
2000 CHALLENGES AND OPPORTUNITIES (Cont'd.,)
. To share systems and resources with other municipalities in the G.TA.
. To undertake a review of the City's banking relationships.
Page 5 of6
CORPORATE SERVICES DEP ARTM ENT
POTENTIAL FOR OPERATIONAL IMPROVEMENT
. To continue to examine the operations of the Corporate Services Department
and its responsibilities in an attempt to obtain greater efficiencies and
effectiveness in the provision of corporate services.
. To facilitate the education and training of staff to enhance knowledge and
skills to compliment the new organization.
. To assist departments in the financial management of their cost centres
through improved financial systems.
. To standardize, improve and automate forms used by the Departments.
. To finalize and implement the Corporate Financial Control Procedure and By-
law.
. To market the City's property information systems for the purposes of
generating revenue.
. To continue to define and refine the business operations of all areas of
activity in order to provide the highest level of service possible in the most
cost effective manner.
Page 6 of 6
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OPERATIONS & EMERGENCY SERVICES DEPARTMENT
2000 BUDGET
February 2000
J
OPERATIONS & EMERGENCY SERVICES DEPARTMENT
DEPARTMENTAL MISSION STATEMENT
'~ progressive service department striving to provide optimal service to meet
the diverse needs of community residents, it's businesses and the
Corporation, through the co-ordinated efforts of the Roads, Recreation,
Culture, Facilities, Parks, Transit and Fire Services resources. 11
2000 DIVISIONAL GOALS AND OBJECTIVES
. to ensure sufficient supply of public land, facilities and programs for
present and future use and located accordingly to community needs.
. to ensure efficiency and safety in the operation of City owned facilities.
. continue to ensure the Division and the community playa proactive role
in providing children and youth programs and services.
. recognize and support the richness and diversity of the arts and cultural
activity in our community.
. develop and implement new registration policies, delivery standards and
registration systems to ensure highest level of customer service.
. to enhance the value of Pickering Transit services to our customers
. to improve communication with our customers through
development of automated feedback systems and surveys
further
. to work in' conjunction with City of Pickering officials, the Region of
Durham and the Province to gather support for initiatives to secure
alternative funding of long-term transit infrastructure requirements
. to identify solutions that address new and developing service needs
based on industry RC (revenue/cost) area demographic benchmarks
. to promote the integration and improved coordination of public
transportation fares and services across boundaries and between buses
and trains operating in the Hwy. #2/ Hwy, #401 corridor
Page 1 of 4
. to plan and implement a program of transit shelter and transit bench
installations in accordance with established criteria and standards that are
supported by senior City staff and elected officials
. the Fire Protection and Prevention Act, 1997 will continue to be th'e basis
for our Fire Prevention endeavours in the future.
.
we will continue to expand and develop the Fire Prevention Home Safety
program.
. our fire suppression officers and firefighters will again provide a high level
of operational service through their knowledge and dedication and with
the effective use of material resources.
.
continue to co-ordinate, evaluate and seek solutions to training Issues
that have been identified by internal and external stakeholders.
.
continue to establish partnerships in communication and operational areas
of concern.
Page 2 of 4
OPERATIONS & EMERGENCY SERVICES DEPARTMENT
2000 CHALLENGES AND OPPORTUNITIES
INTERNAL
. maximize and increase program revenue while maintaining high program
quality and standards for new and existing programs.
. to maintain the Corporate fleet at a high level of operating performance
and cleanliness through a planned approach toward mechanical
maintenance, vehicle refurbishing and vehicle procurement
. to continue our efforts to improve management/labour relationships and
service to the public through adhoc Divisional Committees and ongoing
open dialogue with CUPE Local 129 officials
. we will continue to develop sources of revenue through partnerships with
corporate and charitable organizations to assist us in our fire prevention
and training activities.
. to improve the timeliness of our service delivery in response to public
concerns
. to identify and evaluate innovative and cost. efficient methods of
infrastructure management
. to successfully realign and deliver the programs and services affected by
the Corporate Restructuring of Pickering
EXTERNAL
. to work with elected officials, senior City staff, neighboring properties,
the Region of Durham and the GTSB in addressing transit amalgamation
issues and service partnership initiatives
. to conclude the investigation on the feasibility of operating a joint Fire
Communication Resource Centre with our neighbouring Durham
municipalities
. explore "Automatic Aid" with other municipalities to better protect the
residents of Pickering
Ii
I
¡
Page 3 of 4
OPERATIONS & EMERGENCY SERVICES DEPARTMENT
POTENTIAL FOR OPERATIONAL IMPROVEMENT
. increase staff competency and initiatives through effective training and
development
. to review and
teambuilding
implement improved
communication
process
and
. continue to investigate possible user pay systems, programs and services
. continue to evaluate program participation to identify programs that are
no longer economically efficient to operate
. continue to research and develop grant proposals to obtain funding
through 'Federal and Provincial Grant Funding Programs for community
initiatives
Page 4 of 4
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PLANNING AND
DEVELOPMENT DEPARTMENT
2000 BUDGET
February, 2000
DEPARTMENTAL MISSION STATEMENT
To guide development to enhance the quality of life for the Pickering community,
through professional advice based on sound planning principles, and through the
assurance of health, safety, and accessibility in the built environment.
2000 DEPARTMENTAL GOALS AND OBJECTIVES
. to continue to provide professional recommendations to Council on matters of
planning policy and development, which are consistent with the principles and
strategic policies set out in the City's Official Plan
. to provide an encouraging and healthy professional environment for staff,
while supporting team-building and self-improvement
. to coordinate operational procedures and processes, in recognition of the
new Department structure
. to review staff functions and develop strategies which will increase
Departmental effectiveness through an integrated planning and building
development review and inspection process,
I
I
. to continue to facilitate the resolution of deferrals to the Pickering Official Plan
. to train new staff on City policies, procedures, and processes in an attempt to
bring them to full work level competency
. to complete 1999 planning projects carried over into 2000, and to undertake
any new projects contained within a Council approved 2000 Departmental
Work Program
Page 1 of 3
PLANNING AND
DEVELOPMENT DEPARTMENT
2000 CHALLENGES AND OPPORTUNITIES
INTERNAL
. integrate the Planning Application and Building Permit Application counter
functions
. apply significant staff resources in the areas of greatest strategic importance
to the Corporation, balanced against other necessary and desirable activities
. reduce resources required for routine minor variance and land division
applications through the use of abbreviated reports and limited internal
circulations
. utilization of the City's Geographic Information System in planning analysis
. complete the data verification of the City's Teranet based property parcel
fabric and progress with the conversion of existing mapping to the Teranet
base
EXTERNAL
. determine which planning activities the Department shall undertake given the
increased demand for planning services (by Council, ratepayer associations,
development industry, and the public), in a climate of budget restraint and
reduced staffing levels
. adapt to delegation of responsibilities by both the Province and the Region to
the Local level of government, including implementation of the
recommendations of the Durham Planning System Review Team which were
endorsed by Regional and Local Council in 1999
. meet the increasing demand for more timely development review and
approvals
Page 2 of 3
PLANNING AND
DEVELOPMENT DEPARTMENT
POTENTIAL FOR OPERATIONAL IMPROVEMENT
EFFICIENCY
. continue to develop an operational procedures manual for the Planning and
Development Department
. investigate and implement further staff training, cross-training, and
empowerment opportunities
. improve the effectiveness and efficiency of planning and development control
review processes through more coordinated, comprehensive, and integrated
response mechanisms.
. utilize the Geographic Information System to simplify operations
~
,
I
!
EFFECTIVENESS
. expand the use of a multi-disciplinary team approach to projects and problem
solving
. develop mechanisms and staff routines to help assure conformance of as-
built site development with approved site plans
. establish clear ownership/responsibility for project management
. further develop and use the DART initiative (Development Application Review
Team) to enable early identification of issues and efficient project
management
ECONOMY
. develop informational material for sale to targeted markets (with assistance of
GIS technology and Teranet parcel fabric), and investigate the sale of
customized planning information/mapping to the private sector
. review the Planning and Development budget strategies, including an
examination of the extent that user fees can offset operating costs
. continue to carefully monitor the use of overtime that is paid in cash, using
time-in-lieu and flex time wher,ver possible (given workload)
J: IPLANNIN GIM GM"NION\B UDGETOIJ\PoeJcn ,. DOC
Page 3 of 3
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PICKERING PUBLIC LIBRARY BOARD
2000 BUDGET
February, 2000
PICKERING PUBLIC LIBRARY
MISSION STATEMENT
VISION STA TEMENT:
Pickering Public Library: Your bridge to ideas and information.
MISSION STA TEMENT:
The Pickering Public Library enriches the personal, civic and corporate lives of our
community through access to ideas and information in a variety of media.
A review of the Library's roles indicated that with advances in technology and access to
remote resources it was now feasible to include "Independent Learning Centre" as a primary
role for the Central Library and indeed the system.
Pickering Public Library Roles:
Central Library: Reference Library & Independent Learning Centre
Popular Materials Library
Pre-schoolers'Door To Learning
Branches:
Popular Materials Library
Pre-Schoolers'Door To Learning
2000 LIBRARY GOALS AND OBJECTIVES
.. Development of the Western Branch Facility in co-operation with City Departmental
Partners, to serve the growing population in the western part of Pickering, replacing the
decrepit Rouge Hill Branch.
. Continue to develop partnerships with government funding agencies
. Continue to pursue shared service options with neighbouring systems
. Continue to develop electronically-based operational efficiencies
. Continue to respond to increased public demand for web-based and other digital
information sources, for example, the digitization of 100 years of Pickering's local
newspapers
. Expansion of small business development services
. Review and revise Board's Five-Year Strategic Plan
Page 1 of 4
PICKERING PUBLIC LIBRARY
2000 CHALLENGES AND OPPORTUNITIES
INTERNAL
. Technical challenge of installing remote web-based services
. Scarcity of senior management time
. Constant staff training required to adjust to the new, major, technically-demanding
projects
. Continue to adjust the organizational structure to reflect the changing realities in library
service .
EXTERNAL
. Partnerships:
. With Durham District School Board and Human Resources Development Canada, major
role in Youth Employment Fair
. With other Durham Libraries and Community Information Centres, develop regional
database for access to community services (project to be funded by Indústry Canada)
. Work collaboratively with Pickering, Culture and Recreation Department to enhance the
profile of the new Western Branch and Community Facility
)
¡
Page 2 of 4
PICKERING PUBLIC LIBRARY
POTENTIAL FOR OPERATIONAL IMPROVEMENT
EFFECTIVENESS
. Added public service hours: Northern Branch hours extended; Rouge Hill and Central
branches open 30 minutes earlier on weekdays; additional sundays
. ENHANCED INFORMATION SERVICES TO PUBLIC:
. Number of public workstations continue to increase/doubled since 1998
. All branches now have Internet access
. All single-function workstations will become multi-functional by year end
. Availability for electronic access by public will continue to be developed
. Vigorous Internet training programs for the public
. More budget dollars going to materials
EFFICIENCY
. Use of partnerships results in more projects being completed
. Increased grants from external agencies
. Ongoing automation of processes, e,g. on-line ordering; local history database
ECONOMY
. FTEs less than 1998 level
. Non-municipal budgeted revenues up by 30% 1998-2000
Page 3 of 4
PICKERING PUBLIC LIBRARY
2000 CAPITAL BUDGET OVERVIEW
CAPITAL BUDGET ITEM
RATIONALE ¡IMPACT ON LEVEL OF
SERVICE
DESCRIPTION
AMOUNT
Total Project
Cost
Book collection fund (see note)
$100,000
. Book material for new branch
.:. Western Branch
construction, furnishings, and
equipment
Joint project with Town
Departments in Western Branch
Community Centre (Account
#2999-6181 )
General collection materials &
Development Charges
$92,000
$88,000
$40,500
. normal annual commitment
. one of two accounts for collection
materials (operating, 5310)
. book restoration fund - to bring
collections to former level, as per 5
year capital forecast
. responds to increasing demand for
current, digitized information
. upgrades to allow more public
access to computerized databases
. allows remote acces (from home or
offifce) to library resources on the
web
. ergonomic replacement furnishings
and additional shelvin units
. re-paint Central Library
. additional funds for WB furniture
Collection materials & Book
Collection restoration fund 1
Office machines & equipment
(Western Branch requirements
noted separately above)
$80,849
Furniture and Fixtures
$18,733
Other Items
$57,500
.:. Western Branch and Community Facility construction and completion scheduled to be
completed in 2000. Costs previously approved.
Page 4 of 4
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The Corporation of the City of Pickering
Summary of Staffing By Departments and Divisions Effective January 2000
Chart Department Non-Union Union Total
# Full-Time Contract Temp Total Full-Time Part-Time FT Term PT Term Total Staff
1 Orpanization Structure
la Mayor and Members of Council 1 1 0 1
2 Administration
2a CAO's Office + Council Staff 6 I 7 1 1 8
2b Human Resources Division 6 2 8 0 8
2c Corporate Projects & Policy Division 5 5 0 5
2d City Clerk's Division 3 1 4 8 1 9 13
2e Legal Services Division 5 5 0 5
2 Total 25 3 I 29 9 1 0 0 10 39
3 Ooerations & Emerøel1cv Services
Directors Office 2 2 0 2
3a Culture & Recreation Division 7 7 33 27 300 360 367
3b Fire Services Division 4 4 67 67 71
3c Municipal Property & Engineerin2 Division 5 1 6 48 23 71 77
3d Transportation Division 4 4 38 33 71 75
! 3 !Total ! 22 ! 1 I 0 23 I 186 ï 60 ï 23 i 300 156911 592 I
4 Planninl! & Develonment
Director's Office 2 2 0 2
Policy & Develòpment Plannin2 2 1 3 9 9 12
Buildin2 & Development Services 2 2 13 13 15
Information & SuPPOrt Services 1 1 6 6 7
4 Total 7 1 0 8 28 0 0 0 28 36 .
5 Cornorate Services
Director's Office 3 3 0 3
Finance & Treasury Services 4 4 11 4 15 19
Information Systems 1 1 6 6 7
Supply & Services 1 1 5 5 6
I 5 !Total I 9 I 0 ! 0 I 9 ' 22 I 4 i 0 ì 0 DD 35
-1 17031
6 Corporation Totals 64 5 1 70 245 65 23 300 633
Notes: I. - 54 Specialty Course Instructors and 38 Part-Time Fire Fighters have not been included,
-WIFil"",IC::t"ff4 IFPhr¡¡"rv 1Õ""?ññ0\ .~
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The Corporation of the City of Pickering
Organization Structure
January 2000
,--------------------------------,
1 I
: City of Pickering :
: Employee Complement :
: 64 Non-Union Full-Time (NUFT) :
1 5 Non-Union Full-Time Contract (NUFTC) I
1 I
I I Non-Union Full-Time Temp (NUFT Temp) I
: 245 Union Full-Time (UFT) :
rt-Time (UPT) :
ull-Time Term (UFTT) :
art-Time Term (UPTT) :
I
- - - - - - - - - - - - - - - - - - - - - - _I
Mayoc
Members of CouncH
Chief Administrative Officer
I
r I I I
Administration Operations & Fmergency Planning & Developmenl Corporate Services
Department Services Department Department Department
(CharI No.2) (Cbar1 N<L J) (Chart No.4) (Chart No. 5)
Chart No. I
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11 :'liI: 't
-
January 2000
The Corporation of the City of Pickering
City Council
.------------------------------------,
. . I
: Employee Complement :
: I Non-Union Full-Time (NUFT) :
. I
: . Administrative reporting relationship see Chart 2a, :
i------------------------------------I
City Council
I
I I
Mayor Members of Council
(I) (6)
I I
Executive Assistant Council Support
(I NUFT) Executive Assistant (INUFT)
Clerk-Typist (I NUFIT).
Chart No. I a
lQ~
>-:~;\
fmt
January 2000
The Corporation of the City of Pickering
Administration Department
,--------------------------------
I Employee Complement :
: 25 Non-Union-Full-Time (NUFT) :
: 0 Non-Union-Part-Time (NUPT) I
: I Non-Union Full-Time Temp (NUFT Temp) :
I 3 Non-Union Full-Time Contract (NUFTC) :
I
I 9 Union-Full-Time (UFT) :
: I Union-Part- Time (UPT) :
1______--------------------------
Chief Administrati\\: Officer
Adnùnistralion Department
I I I I I
Office of the Chief Hurmn Resources Corporate Projects & Policy City Clerk's Legal Sernces
Administrati~ Officer Division Division Division Division
(Owt 2a) (Chart No. 2b) (Chart No. le) (Chart No. 2d) (Chart No. le)
,..,.,.............,.....,.......,...........,.....,...........,...... ,........,.,...,.....,..............................................,..
i Office of the Chief ! ¡ Human Resources ¡
I I .
Administrative Officer I. Division
I Employee Complement i I Employee Complement i
II 5 Non-Union-FT !! 6 Non-Union-FT !
I Union-FT !! 0 Non-Union-PT I
! Council Support ! I 2 Non-Union Contract I
I 1 Non-Union-FT I !,' 0 Union-FT i
I . I
! 1 Non-Union-FT Temp * !! 0 Union-PT !
. 1_...._....---.-........_..___..1 1_____...._........,..".......".."......_...1
* Cost-shared with CAO's Office.
r"'cõï:¡;õ¡:ãïë"pï:õj'éëïS"&""""""" j""City"ëier¡{õ's"""""""""""""""""""¡ ~"'Lë'gärŠe¡:Viëeš"""-""""""""'-""
! Policy Division I I Division 1,1 Division
I Employee,Complement I! Employee.Complement I Employee ~ompleß1ent
¡ 5 Non-Umon-FT ! ¡ 3 Non-Umon-FT I 5 Non-Umon-FT
I 0 Non-Union-PT II 0 Non-Union-PT I 0 Non-Union-PT
I 0 Non-Union-FT Contract ill Non-Union-FT Contract II 0 Non-Union-IT Contract
I 0 Union-FT I I 8 Union-FT ! i 0 Union-FT
! 0 Union-PT ill Union-PT I ! 0 Union-PT .
l..............,......"........,......,..........................,.....,; l.""...............,.,..".",....."....,............................J L...,..,...,...........---,..--...................-...
Chart No.2
January 2000
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The Corporation of the City of Pickering
Office of the Chief Administrative Officer
Chief Administrative Officer
(I -NUFI)
I
Supervisor Supervisor
Administrative Services Customer Care Centre
(I-NUFT) (I-NUFT)
I . -- -- -------- __l~~~ ~::::::::::~~~~---- - ---- -- --,
I
Secretary l CI.,k- Typ'" } Execubve A.."'.n' Public Relations Information/Public
(Council Support) - (Council Support) Representative Relations Clerk
(I-NUFT) (I-NUFTl) . (I-NUFT) (I-NUFT) (I-UFT)
--- - --- -- ----- ----- - --- - ----
-----------------------------~
I CAD's Support I
I
I Emplovee Complement :
: 6 Non-Union-Full- Time (NUFT) :
: I Union-Full-Time (UFT) I
: Council Support :
: I Non-Union Full-Time (NUFT) :
I I
I I
I I Non-Union-Full-Time Temp (NUFTT)* :
~ ~~"-n~~ '!- c..~? - - _:
Chart No. 2a
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Coordinator
Safety & Training
(t-NUFf t Yea-Contract)
The Corporation of the City of Pickering
Human Resources Division
Chief Administrative Officer
Division Head
Human Resources
( I - NUFI)
Administrative
Assistant
(I-NUFI)
==c
Supervisor
Human Resources Services
(I-NUFI)
I
~
Coordinator
Emplorment Services
(I-NUFI)
-
Human Resources
Assistant
(I-NUFI)
Job Analyst
( 1- NUFf 6 Month Conlract)
January 2000-
-----------------------------,
I Employee Complement I
: 6 Non-Union-Full- Time (NUFT) :
: 0 Non-Union-Part-Time (NUPT) I
I
: 2 Non-Union Full-Time Contract (NUFTC) I
I 0 Union-FT (UFT) :
: 0 Union-PT (UPT) :
-----------------------------~
I
Manager,Human Resources
(Currently on LTD)
Chart No, 2b
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=
January 2000
The Corporation of the City of Pickering
Corporate Projects & Policy Division
Chief Administrative Officer
Division Head
Corporate Projects & Policy
( I-NUFI)
Project Coordinator
-
(I-NUF"J)
Manager
Corporate Promotions &
Economic Development
(l-NUFT)
Secretary
I-
(l-NUFI)
Economic Development
Officer
(l-NUF"l)
1-----------------------
1 Employee Complement 1
: 5 Non-Union-Full-Time (NUFT) :
: 0 Non-Union-Part-Time (NUPT) :
I 0 Union-Full-Time (UFT) :
1
1 0 Union-Part- Time (UPT) :
1______-----------------
Chart No. 2c
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January 2000
The Corporation of the City of Pickering
City Clerk's Division
Cþief Administrative Officer
City Clerk
(I-NUFT)
T
I I
Manager Supervisor
By-Law Enforcement Legislative Services
Services
(I-NUFT) (I-NUFT I Year Contract)
I
Municipal Law
Enforcement Officer Committee Print/Mailroom
(J-UFT) - Coordinator - Clerk II
(I-NUFT) (I-Wf)
By~law
Secretary Clerk Print/Mailroom
(I-UFT) - Property ...., Clerk I
(I-UFT) (I-Wf)
Parking Control Clerk
Officer
(I-UPT) - Information
(I-UFT)
----------------~------------,
I Emplovee Complement I .
I .
I 3 Non-Union-Full" Time {NUFT} :
: 0 Non-Union-Part-Time {NUPT} :
I I Non-Union-Full- Time Contract {NUFTC} I
I
{UFT} I
{OPT} :
-----------~~--~~
Chart No. 2d
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The Corporation of the City of Pickering
Legal Services Division
Chief Administrative Officer
I
City Solicitor
(I-NUFr)
I
Manager
Legal Services
(l-NUFT)
I
I I I
Administrative Secretary Legal Services
Assistant Clerk
(I-NUFf) (I-NUFf) (I-NUFf)
January 2000
1-----------------------
, Employee Complement ,
,
: 5 Non-Union-Full-Time (NUFT) ,
: 0 Non-Union-Part-Time (NUPT) :
, 0 Union-Full-Time (UFT) :
1
, 0 Union-Pari-Time (UPT) :
,-----------------------
Chart No. 2e
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~
Culture & Recreation
Division
rë'ùl iü¡: e'&;' iië'ë ¡:ë'äïiõ õ'-""" "'1
I Division . i
,. Employee C,omplement I
7 Non-Umon-FT ¡
! 33 U' FT ¡
! mon- ¡
I 27 Union-PT i
. 300 Union-PT Term I
L.,.._.._-.--....,---..---..---....J
The Corporation of the City of Pickering
Operations & Emergency Services Department
Director
Operations & Emergency Services
(I-NUFT)
Administrative
Assistant
(I-NUFT)
Fire Services
Division
(Chart 3a)
(Chart 3b)
Municipal Property
& Engineering
Division
(Chart 3c)
January 2000
--------------------------,
: Department of O&ES 1
1 Emplovee Complement :
: 22 Non-Union-Full-Time (NUFT) :
: I Non-Union-FT Contract (NUFTC) :
: I 86Union-Full-Time (UFT) 1
1
: 23 Union-full-Time Term (UFIT) 1
: 60 Union-Part- Time (OPT) :
1 300 Union-Part- Time Term (UPIT) :
1- - - - - - - - - - - - - - - - - - - - - - - - - - .
Transportation Division
I
Transit Services Fleet Operations
(Chart 3d) (Chart 3d)
f'" M ü ñ iël p'å ï "pi öï;:" &'Eïiif :...'...' 'I
. D... i
i IVISlon . !
¡ Employee Complement I
¡ 5 Non-Union-fT I
! 0 Non-Union-PT !
¡ I Non-Union Contract ¡
. !
¡ 48 Union-FT ¡
! 23 Union-FT Term ¡
l............,.............".........,....,.,.....,...,.....,.".......,;
Note: 62 Specialty Course Instructors and 38 Part-Time Firefighters not included
""""""""""""""""""""--""""""""""""1
I Fire Services ¡
I Division !
¡ ¡
¡ Employee Complement!
¡ 4 Non-Union-FT ¡
. .
! 0 Non-Union-PT i
! 67 Union-FT ¡
1,_"......"....."..,_...,.....,................................1
r"fråñ ši>õ¡:ï ã ïi õõ' ...., ,....._'--,
! Division I'
¡ Employee Complement
! 4 Non-Union-FT .
I 0 Non-Union-PT
i 38 Union-FT
I 33 Union-PT
L,...._"..........,...,....,...,...,.....".............__.-
Chart No.3
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..
Superinlendent
Community Programs
(I-NUFT)
t-
Recreation
Coordinator
II-UFTI
Corporate Event.
Promotion and
Graphic Designer
(I-UPT)
Special Event
Coordinator
(76-UPTT)
The Corporation of the City of Pickering
Culture and Recreation Division
Director
Operations & Emergency Services
Division Bead
Culture & Recreation
(I-NUn)
Administrative Assistant
(I-NUn) I-h
Superintendent
Programs
(I-NUn)
Program
Supervisor
Registration
Supervisor
I-
Program Registration
Assistant
(I-UFT)
Registration Clerk
r-
(2-Upn
Registration Clerk (2-UPTT)
Youth Staff (49-UPTT)
Camp Staff (47-UPTT)
Facility Security Guard (9-UPTT)
Note: 62 Specialty Course Instructors not included,
Clerk- Typist
Superintendenl
Recreation Complex Programs
& Aquatics
(I-NUfTl
Kinesiologis(
(2-UFT)
(I-UFI)
II-UFT)
r-
Assistant Complex
Program Coordinator
(I-UfT)
Aqualics Program
Supervisor
(I-UFT)
Recreation Complex
Secrelary
(I-Ufn
Clerk-Typist
r-
(2-UFT)
Complex Clerk
l-i Aquatic Staff
(7-UPT)
(I-upn
Aquatic Staff
BabySitter
~ Fitness Staff
(43-UPTT)
(l2-UPTT)
(20-UPTT)
(I-Ufn
Superintendent
Museum
r-
Education &
Collections Officer
Site
Supervisor
Education Instructor
Tour Guide
Admission/Receptionist
(l6-UPTl)
January 2000
r"'Ë mpï ~ ÿë ë" ëõ; p ï ë~-;;¡' ,... """""""" -,.,., ,., ""'1
I 7 Non-Union-Full-Time (NUFT)
I 0 Non-Union-Part- Time (NUPT)
i 33 Union-Full-Time (UFT) -
i 27 Union-Part- Time (UPT) I
I 300 Union-Part-Time Term (UPlT)
..,...."......,...,....,.,......._,.,..,.,...,.....,........"......._-_............,..,......J
Superintendent
Facilities I
(I-NUFT)
(t-NUFT)
r-
Foreperson
Facilities
Maintenance
(I-UPTI
(I-UFT)
Foreperson
Complex Arena
II-UPT)
(I-UFT)
Foreperson
Don Beer Arena
(2-UFT)
Facility Booking
Clerk
(I-UFT)
I-
Mechanical Maintenance
Person
(I-UFT)
Maintenance
Staff & Other
(l6-UFT + 14-UPT+26-UPTT)
Chart No. 3a
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..
The Corporation of the City of Pickering
Fire Services Division
I Director I
Operations & Emergency Services
Fire Chief
(I-NUFl)
Secretary Clerk-Typist
f- I-
(J-NUF1) (J-NlJF1)
Deputy Fire Chief
(I-NUFT)
Training Officer Fire Prevention
Officer
(J-UFT) (I-~
1
Firefighter Dispatcher Fire Inspector
(67-UFI) (4-lJF1) (3-UFT)
January 2000
í"'"E'ñiï)ïõveë"ëõ ñïñ ïë'ñiëõr"""""""""""""""""""'l
I 4 Non-Union-Full- Time (NUFT) I
! 67 Union-Full-Time) (UFT) I
I 0 Union-Part- Time (UPT) I
i",..,....,......_....,.,................".""....................._.......,..,..,-,_..,_..,..J
Note: 38 Part-Time Firefighters not
included.
Chart No. 3b.
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Supervisor
Roads
Roads Fcrcpersoo
(2m)
Heavy Equipmenl
Operator III
12.uFT)
Heavy Equipment
Operator II
12m)
Heavy Equipment
Operator I
(8m)
(I-I«JFT )
Roads
Teclvtician
(I-UFT)
Roads Main\cnance
Person II
(l.lIFT)
Roads Maintenance
Person I
(JUT)
The Corporation of the City of Pickering
Municipal Property & Engineering Division
Working Foreperson
ForestI)', HOIIicullure
.t Construction
(1-tIFT)
Parks lead Haoo
(1m)
Small Engine
Repairpersoo
(1m)
Maintenance
Person
(9-UfT)
Division Head
Municipal Property It Engineering
(I.NUfT)
Administralive Assistanl
(1.N\JfTCI
(I-NUfT 00 LTO
Superinlendent
Parks &. Property
January 2000
r------------------------------~
1 Employee Complement 1
: 5 Non-Union-Full~Time (NUFT) :
: I Non-Union-Full-Time Contract (NUFTC) :
: 48 Union-Full-Time (UFT) :
: 0 Union-Part- Time (UPT) :
1 23 Union-Full- Time Term (UFIT) I.
1- - - - - - - - - - - - - - - - - - - - - - - - - - - - - __I
Supervisor
Municipal Works & TraffIC
(I-/UTI
Working Foreperson
Property Operations &
Turf Maintenance:
(I-UFT)
Construction Coordinator!
Inspector
(1m)
Gardcner/Arborist
lead Haoo
Construction .t
Design Technician
(I.lJFT)
(I-UFT)
Gardener
(l.lJFT)
labourer
(J.lJFTT)
Student labourer
(2O-UFTI)
(I.NlIFTI
Engineering Design
& Systems Coordinator
Engineering Design
T eclvtician
TraffIC & Waste
Waslc: Management
Coordinator
Traffic
T eclvtician
A~nllmslra(ive Support
(1.uFT)
Administration
Supervisor
(1m)
AdminÎSlJllive
Coordinatcr
(lID)
Information.t Administrative
Services Clert
(I-Uf!)
(I-tIFT)
(1-tIFT)
(I-Uff)
Chart No. 3c
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--
Transit
Inspector
(I-NUFf)
Transit Operator
(26lJPT = tS FfE)
The Corporation of The City of Pickering
Transportation Division (Chart No. 3d)
Director
Operations & Emergency Services
Transportation Division
I
Manager
Transit Services
(I-NUFT)
--'=
Supervisor,
Transit Operations
(I-NUffl
-
Transit Operator
(Conventional)
(I7-UFT)
Transit Operator
Specialized ~ervices
(3-UFTI
I
---1.
Coordinator
Specialized Transit
Services (I-UFfI
Coordinator
Transit Administrative
Support (I-UFfI
Receptionist!
Clerk -Typist
(2-UFf)
January 2000
¡""Ë'ñi'pïõŸeë"ëõñïpïë'ñië~¡"--""""""""""1 .
I 4 Non-Union-Full-Time (NUFT) f
! 0 Non-Union-Part- Time (NUPT)
Ut~;~;~~];~~J
Superintendent
Facilities II
(I-NUfJ)
Foreperson
(2-UFf)
Vehicle Service
Person Ii-
(2-UFf)
Bus
Cleaner H-
(I-UFf)
Vehicle Service
Person ¡-
(UT)
Mechanic
(6-UFT)
Clem
Service Garage
(2-UP1)
Chart No. 3d
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~
The Corporation of the City of Pickering
Planning & Development Department
January 2000
----------------------------,
I Employee Complemen.! I
me (NUFT) I
I
me (NUPT) I
me Contract (NUFTC) :
FT) I
PT) :
-------------..
Chief Administrative Officer 7 Non-Union-Full- Ti
I 0 Non-Union-Part-Ti
Direclor I I Non-Union-Full-Ti
Planning & Development : 28 Union-Full-Time (1
(I-NUFT) I 0 Union-Part- Time (I
I --------------
Administrative
Assistant
(I-NUFT)
I I
Planning
Manager. Policy Manager. CUrTenl Operations
(I-NUFT) (I-NUFT)
Senior Planner Senior Planner
Site PlalU1ing
(I-UFT) (I-UFT)
Planner I Planner I(
(2-UFT) (2-UFT)
Planning
Technician
(2-UFT)
Student Secretary-Treasurer
Planner Committee of Adjustment
(t-NUFTC) (I-UFT)
ßuilding & Development
I
Manager
Building Services (CBO)
(I-NUFT)
Supervisor
Development Control
, ( I - NUFT )
Sr. Examiner!
Inspector Development
f- Approvals
(2-UFT) Coordinator (I-UFT)
Building Development
Inspector Control
Inspeclor (I-UFT)
(2-UFT)
Construction
Plumbing Inspector
Inspector (t-UFT)
(2-UFT) Development
Technician
Building Clerk Utilities (I-UFT)
L...
Development
(2-UFT) L- Technician
(I-UFT)
Information & Support
Services
GIS Coordinator
{J;UFT)
Mapping & Design
Technician
(I-UFT)
G.I.S. Clerk
(I-UFT)
Planmng &
Development
Clerk (2-UFT)
Receptionisll
Clerk-Typist
(2-UFT)
Chart No.4
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~ ~
..
..
Manager
Accounting Services
( I.NUFT)
Audit Analyst
(I-NUFT)
Audit!
Accounting Clerk
(I-UFT)
Accounts Payable
Clerk II
(2-UFT)
Accounting
Clerk II
(I-UFT)
Accounts Payable
Clerk I
(I-UFT)
Accounting
Clerk I
(I-UFT I-UPT)
The Corporation of the City of Pickering
Corporate Services Department
January 2000
Chief Administrative Officer
Director
Corporate Services & Treasurer
(I-NUfT)
Deputy Administrative
Treasurer I- Assistant
(I-NUFT) (t-NUFT)
I
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! 9 Non-Union-Full-Time (NUFT)
! 0 Non-Union-Part-Time (NUPT)
! 22 Union-Full-Time (UFT)
I 4 Union-Part- Time (UPT)
1......."......._,...".......",............,.......",......,...,...'.""""".."""""'.
Finance & Treasury Services
Supervisor
Payroll
(I-NUFT)
Payroll Clerk
(I.UFT)
Corporate Support Services
Manager
Financial Services
(I-NUI'T)
Manager Manager
Information Systems Supply & Services
(I-NUFT) (I-NUFT)
Oracle Developer Oracle Developer Buyer II
&DBA
(I-UFT) (I-UFT) (I-UFT)
Programmer Network Buyer I
/Analyst Administrator
(I-UFT) (I-UFT) (I.UFT)
PC Analyst I PC Analyst II Materials
Buyer I
(I-UFT) (I-UFT) (t-UFT)
Materials
Buyer II
(t-UfT)
Stores Clerk
(I-UFT)
Coordinator
Taxation Services
(I-UFT)
Secretary, Budget
& Dept. Support
(2-UPT)
Tax Clerk II
Tax Analyst
(I-UFT)
(I-UFT)
Tax Clerk I
(I-UFT I-UPl)
Chart No.5
Children's
Service.
Co-ordinator
Unit Staff
2- FT
4- PT
Reference
Service.
Co-ordinator
PICKERING PUBLIC LIBRARY
ORGANIZATIONAL CHART JANUARY 2000
LIBRARY BOARD
Director of
Public Services
Manager of
Outreach
Services
Office
Manager
Manager of
Buslnessl
Online
Services
Manager of
Branch
Services
Manager of
Technical
Services
Director of
Operations
Systems
Resource
Manager
Manager of
Circulation
I
Courlerl
Maintenance
1. FT