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HomeMy WebLinkAboutCS 39/01 ,- REPORT TO COUNCIL FROM: Gillis A. Paterson Director, Corporate Services & Treasurer DATE: November 19, 2001 REPORT NUMBER: CS 39-01 SUBJECT: 2002 Interim Spending Authority RECOMMENDATION: 1. It is recommended that Report CS 39-01 of the Director, Corporate Services & Treasurer be received; 2. The 2002 Interim Operating Expenditures be approved at 50% of the prior years' budget including exceptions as contained in Attachment I, pending approval of the formal 2002 Current Budgets by Council; and, 3. The appropriate City of Pickering officials be authorized to take the necessary actions to give effect thereto. ORIGIN: - Director, Corporate Services & Treasurer AUTHORITY: The Municipal Act, RSO 1990, as amended 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. EXECUTIVE SUMMARY: Not applicable BACKGROUND: - Each year, pending approval by City Council of the annual Operating Budget, it is necessary to provide expenditure authority respecting the payment of accounts for the interim period from January 1 until the Budgets are 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. Report to Council 39-01 Date: November 19, 2001 Subject: 2002 Interim Spending Authority Page 2 - The 2001 Current budget was considered by Council in May, 2001. Fiscal year 2002 may prove to be as challenging as 2000 and/or 2001 due mainly to Bill 140 and its impact on taxation. Therefore, we are seeking approval to provide for interim spending authority for up to the first six months of 2002 or when COUNCIL APPROVES THE 2002 BUDGET, whichever occurs first. At the conclusion ofthe budget process, all interim appropriations are nullified and replaced with the detail appropriations as approved by Council. Appropriate adjustments have been made in the departmental appropriations listed as Attachment I where the spending patterns indicates that something greater than 6/12's will be necessary for the first six months of 2002 such as snow clearing (Roads). The Interim Appropriations as listed are based upon the former administrative structure of the City and being the basis upon which the 2001 Budget was presented and approved. Any capital projects proposed prior to the approval of 2002 Capital budget will require specific approval by Council. A TT ACHMENTS: 1. 2002 Interim Appropriations for Current Operating Expenditures Prepared By: Prepared / Approved / Endorsed By: - <-Q~~ Caryn Kong Senior Financial Analyst ~~ ~ ~ 'UIilis A. Paterson Director, Corporate Services & Treasurer GAP:vw Attachment Copy: Chief Administrative Officer Department Heads Chief Executive Officer, Library Recommended for the consideration of Pickering City Council Thomas J. uinn, Chief Administrative Officer - AlTACHMENT#...LTOREPOIlT# C.S3Q ;0/ - CITY OF PICKERING 2002 INTERIM CURRENT OPERATING APPROPRIATIONS -, 2002 2001 (Jan. 1 - June 30) Approved INTERIM Account Department BudQet APPROPRIATION 2111 Mayor $141,545 $70,773 2113 Council 353,460 176,730 2121 Chief Administrative Officer 300,430 150,215 2122 Clerk 377 ,262 188,631 2124 Civic Complex 340,214 170,107 2125 Legal Services 320,266 160,133 2127 Finance 1,315,340 657,670 2129 Customer Care Centre 114,667 57,334 2132 City Property Maintenance 323,154 161,577 2133 Supply and Services 308,360 154,180 2139 Human Resources 516,196 258,098 2141 Safety & Training 82,300 41 ,1 50 2191 Elections 0 0 2192 Economic Development 421,145 210,573 2196 Information System 546,624 273,312 2197 City/Corporate Efficiency & Exp. 278,451 139,225 2198 Microfiching 15,000 7,500 2199 Print Shop/Mail Room 358,991 179,496 2220 By-Law 398,633 199,317 2230 Crossing Guards 240,000 120,000 2240 Fire Protection 7,358,354 3,679,176 2241 Emergency Operations Control 8,553 4,277 - 2290 Public Works 865,062 432,531 2293 Animal Control 249,100 124,550 2315 Municipal Garage 126,000 63,000 2320 Roads 3,111,275 1,897,877 2325 Street Lights 506,000 253,000 2350 Transit 3,329,343 1,664,671 2360 Transit - Specialized Services 580,752 290,376 2430 Solid Waste 1,430,557 715,278 2572 Senior Citizens Centre 175,976 87,988 2610 Planning Development Admin. 574,497 287,249 2611 Planning 945,217 472,609 2612 Building Services 574,617 287,309 2613 Development Control 403,862 201,931 2710 Parks & Facilities -Admin. 298,113 149,057 2711 Culture & Recreation - Admin. 648,583 324,292 2712 C.S. & F. - Programs 1,414,948 707,473 2713 C.S. & F. - Dunbarton Pool 224,006 112,003 2715 C.S. & F. - Don Beer Arena 568,294 284,147 2718 C.S. & F. - Parks 1,866,262 933,130 2719 C.S. & F. - Community Centres 352,349 176,175 2731 Rec. Complex - Central Core 1,637,388 818,694 2733 Recreation Complex - Pool 572,634 286,317 2735 Recreation Complex - Arenas 566,784 283,392 2743 L.A.CAC. 10,150 5,075 2744 Museum 302,218 151 ,1 09 2745, Libraries 3,084,844 1,542,421 Various - General Government 4,537.377 1.926.448 TOTAL 43.075.153 21.537.576 -