HomeMy WebLinkAboutCS 01-11 1
eel d~ Report To
Executive Committee
PICKERING Report Number: CS 01-11
Date: January 10, 2011
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From: Gillis A. Paterson
Director, Corporate Services & Treasurer
Subject: 2011 Interim Spending Authority
Recommendation:
1. That Report CS 01-11 from the Director, Corporate Services & Treasurer be
received;
2. That the 2011 Interim Operating Expenditures be approved at 50% of the prior
years' budget including adjustments as contained in Attachment 1, pending approval
of the formal 2011 Current Budget by Council; and,
3. That the appropriate City of Pickering officials be authorized to take the necessary
actions to give effect thereto.
Executive Summary: Not applicable
Financial Implications: Adoption of interim current operating appropriations does
not constitute approval of a formal budget but rather is required to provide funding
authorization for the payment of salaries and wages and such other accounts as may be
necessary for normal day-to-day operations of the City. At the conclusion of the Budget
process, all interim current operating appropriations are nullified and replaced with the
detail appropriations as approved by Council.
Sustainability Implications: Interim Spending Authority is required to maintain the
operations of the City pending approval of the 2011 Current Budget. Without this
approval the City is unable to maintain financial sustainability during this period.
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Report CS 01-11 January 10, 2011
Subject: 2011 Interim Spending Authority Page 2
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Background: Each year, pending approval by City Council of the annual Operating
Budget, it is necessary to provide expenditure authority respecting the payment of
accounts for the interim period from January 1St until the Budget is adopted by Council.
Such authority is in the form of interim current operating appropriations to meet
estimated expense requirements of the individual departments, agencies and boards.
The 2010 Current Budget was considered by Council in March 2010. The 2011 Budget
may prove to be as challenging as 2005 to 2010 due to the City's unique fiscal situation.
Therefore, we are seeking approval to provide for interim spending authority for up to
the first six months of 2011 or when Council approves the 2011 Budget, whichever
occurs first.
Appropriate adjustments have been made in the departmental appropriations listed as
Attachment 1 where the spending patterns indicates that something greater than 6/12's
will be necessary for the first six.months of 2011 such as snow clearing (Roads) activity.
With the requirements of the Public Sector Accounting Board (PSAB) on tangible
capital assets being effective since January 1, 2009, small capital items previously
included under the Capital Budget have been gradually transferred to the Current
Budget in the last two years. The 50% interim provision is sufficient to cover this
change.
While there is a minor provision for small capital expenditures from current funds, any
capital projects proposed prior to the approval of the 2011 Capital budget will require
specific approval by Council. Under the same PSAB requirements on' tangible capital
assets, the library materials have been deemed capital and included in the Capital
Budget starting from 2010. In the library business, the publishing cycle demands that
materials be purchased while they are "in print", certain materials must be purchased in
a timely manner and clients' expectation of an ongoing flow of library materials make it
essential for the Library to continue purchasing materials throughout the year. On this
basis, a greater than 50% of last's year library capital materials has been included in the
interim appropriations and reflected on Attachment 1.
Attachment:
1. 2011 Interim Appropriations for Current Budget Operating Expenditures
Report CS 01-11 January 10, 2011
Subject: 2011 Interim Spending Authority Page 3
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Prepared By: Approved / Endorsed By:
Caryn Kong Gillis A. Paterson
Senior Financial Analyst - Capital & Director, Corporate Services &Treasurer
Debt Management
GAP:ck
Copy: Chief Administrative Officer
Recommended for the consideration of
Pickering -ty Council
/c/ 20/0
Tony evedel, P.Eng.
Chief Administrative Officer
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ATTACHMENT #.L_TO REPORT #-O-Q(- i t
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CITY OF PICKERING
2011 INTERIM CURRENT OPERATING APPROPRIATIONS
2010
Approved 2011 (Jan. 1 - June 30)
Budget Interim Appropriation
Mayor Ryan 141,124 70,562
B.Littley, Reg. Coun. Ward 1 65,787 32,894
B. Mclean, Reg. Coun. - Ward 2 71,187 35,594
R. Johnson, Reg. Coun. Ward 3 86,288 43,144
J. O'Connell, City Coun. - Ward 1 73,237 36,619
D. Dickerson, City Coun. Ward 2 80,466 40,233
D. Pickles, City Coun. - Ward 3 74,861 37,431
Council Support 355,307 177,654
2121 C.A.O. Office 547,363 273,682
2129 Customer Care Centre 323,994 161,997
2139 Human Resources 537,642 268,821
2141 Health & Safety 133,992 66,996
2125 Legal Services 319,903 159,952
2122 Clerks Office 437,118 218,559
2191 Records Management & Elections 369,118 184,559
2199 Print Shop/Mail Room 400,324 200,162
2220 By-law 734,289 367,145
2293 Animal Services 407,661 203,831
2192 Office Of Sustainability 905,203 452,602
2127 Finance (Accting, Taxes & Payroll) 2,678,603 1,339,302
2133 Supply & Services 347,563 173,782
2196 Information Technology 1,392,014 696,007
2710 Operations & Emerg.Services-Admin. 534,605 267,303
2241 Emerg. Operations-Claremont 157,924 78,962
2240 Fire Protection 13,393,457 6,696,729
2290 Mun. Prop. Eng. & Admin. 2,069,152 1,034,576
2320 Roads 5,734,118 3,440,471
2132 Property Maintenance 701,267 350,634
2230 Crossing Guards 346,340 173,170
2325 Street Lights 813,000 406,500
2430 Environmental Services 139,985 69,993
2718 Parks 3,349,156 1,674,578
2315 Operations Centre-Municipal Garage 1,001,016 500,508
2124 Civic Complex 489,372 244,686
2572 Senior Citizens Centre 316,229 158,115
2711 Cult. & Rec. Admin. 1,031,318 515,659
2712 Programs 2,524,596 1,262,298
2713 Dunbarton Pool 342,996 171,498
2715 Don Beer Arena 983,477 491,739
2719 Community Centres 672,439 336,220
2731 Recreation Complex - Central Core 2,661,200 1,330,600
2733 Recreation Complex - Pool 885,560 442,780
2735 Recreation Complex - Arenas 719,116 359,558
2744 Museum 558,701 279,351
2610 Plan & Develop - Admin 996,959 498,480
2611 Planning 2,495,672 1,247,836
2612 Building Services 993,046 496,523
2613 Development Control 528,735 264,368
2630 Committee of Adjustment 8,566 4,283
2743 Heritage Pickering 8,780 4,390
2745 Libraries 4,590,425 2,295,213
General Government Expenses-Various 11,050,146 4,707,426
Capital -Library Materials 442,350 265,410
Capital -Equipment & Furniture - 200,000
Total 71,022,747 35,511,374
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