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HomeMy WebLinkAbout2005 Capital Budget CITY OF PICKERING 2005 CAPITAL BUDGET TABLE OF CONTENTS DEPT.# PAGE NO. ' EXPENDITURE SUMMARY 1 SUMMARY OF VEHICLES 3 SUMMARY OF FURNITURE 4 MAYOR, COUNCIL & COUNCIL SUPPORT 7 COUNCIL SUPPORT 8 ADMINISTRATION 11 CORPORATE PROJECTS & POLICY Emergency Operation Control Centre 2241 12 LEGAL SERVICES Legal Services 2125 15 CORPORATE SERVICES 18 ' CLERKS Clerks Office 2122 19 Print room 2199 21 By—law 2220 24 1 FINANCE & TREASURY SERVICES 1 Finance (Accounting, Taxes &Payroll) 2127 . 27 CORPORATE SUPPORT SERVICES Information Technology 2196 30 Corporate Projects 2190 45. 1 I 1 I CITY OF PICKERING 2005 CAPITAL BUDGET 1 TABLE OF CONTENTS DEPT.# PAGE NO. I OPERATIONS & EMERGENCY SERVICES 49 I FIRE SERVICES DIVISION Fire Services 2240 50 1 MUNICIPAL PROPERTY& ENGINEERING DIVISION i Municipal Property Engineering&Admin. 2290 57 Roads 2320 60 Property Maintenance 2132 82 Streetlights 2325 85 Parks 2718 88 Sidewalks 2323. 96 Storm Water Management 2410 99 Operations Centre-Municipal Garage 2315 102 CULTURE & RECREATION DIVISION I Civic Complex 2124 105 Senior Citizens Centre 2572 109 Cult. &Rec. Admin. 2711 112 • Programs - 2712 115 Dunbarton Pool 2713 118 I Don Beer Arena 2715 121 Community Centres 2719 124 Recreation Complex—Central Core 2731 129 I Recreation Complex—Pool 2733 136 Recreation Complex—Arenas 2735 139 Museum 2744 . 144 III PLANNING & DEVELOPMENT 150 Planning&Development—Admin. 2610 15.1 i Planning 2611 154 Building Services 2612 156 1 Development Control 2613 159 External Subdivision Works 2321 162 EXTERNAL AGENCIES 190 1 Animal Control 2293 191 1 LIBRARIES . 2745 194 1 1 - - - -- - -0- CITY OF PICKERING ii 2005 CAPITAL BUDGET EXPENDITURE SUMMARY I 2004 _ BUDGET DEPARTMENT 2005 2006/2007 Total II20,000 Mayor,Council&Council Support 9,200 - 9,200 2,000 Admin.Dept. 11,400 11,400 II461,885 Corporate Services 1,077,255 1,836,750 2,914,005 5,966,715 Operations&Emergency Services 9,370,400 33,624,800 42,995,200 1 3,066,940 Planning&Development 3,621,850 12,647,310 16,269,160 10,000 External Agencies 10,000 10,000 it • 360,760 Libraries 320,390 1,045,500 1,365,890 - New Fire Hall • - 3,500,000 3,500,000 9,888,300 Total 14,420,495 52,654,360 67,074,855 FINANCING SUMMARY 2004 I BUDGET 2005 2006/2007 Total 2,023,710 2823 Capital Paid from Property Taxes 2,799,545 5,000,000 7,799,545 70,000 • 1605 Internal Loan/Dealer Financing 110,000 - 110,000 1608 Easement Settlement Agreement Reserve 969,550 - 969,550 - 1610 Federal Grants 1,153,500 - 1,153,500 1,016,500 1623 Provincial Grants 375,000 375,000 I I 190,000 4225 Reserve Fund-Comm.Facilities 25,000 - 25,000 250,000 4228 Capital Works Projects - - - 515,000 4230 Reserve Fund-Parkland 650,000 - 650,000 130,000 4232 Public Works Service 100,000 - 100,000 1 - 4235 Third Party Contribution 50,000 50,000 88,000 4611 Replacement of Capital Equipment 76,000 76,000 1,763,965 4620 DC-City's Portion Reserve 2,027,840 6,008,000 8,035,840 - 4623 Rec.Complex Arena Reserve 120,000 - 120,000 111 792,000 4903 Debt(5 year) 172,000 - 172,000 1,420,000 4906 Debt(10 year) 3,372,800 31,478,150 34,850,950 ff' - 4908 Debt(20 year) 700,000 3,000,000 3,700,000 336,100 4905 Donations 96,000 500,000 596,000 964,345 5003 DC-Roads 946,010 4,271,475 5,217,485 83,750 5004 DC-Sidewalks&Street Lights 453,800 1,647,935 2,101,735 112,500 5005 DC-Traffic Signals - 333,000 333,000 132,430 5006 DC-Storm Water Management 136,000 315,800 451,800 I . - 5010 DC-Major Recreation Facilities 87,450 - 87,450 - 5013 DC-Library Facilities - 100,000 100,000 9,888,300 Total 14,420,495 52,654,360 67,074;855 _ Budgets for 2006 and 2007 have been combined for illustration purposes 1 • II I �: Draft 2005 Capital Budget Summary : City of Pickering -� .� �, ` April°25 to�May 2 2005 ,u- ; 2004 INCREASE 2005 BUDGET (DECREASE) BUDGET Priority Projects $5,661,990 $2,640,660 $8,302,650 ICOMRIF . - 1,730,300 1,730 300 ICorporate Projects - 506,450 506,450 Capital Maintenance & Replacements 3,656,815 (763,105) 2,893,710 I Health and Safety 182 ty 350 401,7 50 584,100 1 New Capital 387.145 16,140 403.285 Total $9,888,300 $4,532.195 $14,420,495 IPercentage Increase 45.83% I CAPITAL BUDGET SUMMARY I $15,000,000 $12 000 000 1 $9,000,000 iririm 11 1 II $6,000,000 $3,000,000 ill! so -- if) ON ON O1 01 01 O O O O O O ON ON O1 01 01 O O O O O O I I• r* N N N N N N • ■ Capital Expenditures . II 2 I • I 2005 Capital Vehicle Expenditures IBackground Information Organization Run Date:4/20/2005 10:50 AM Report Name: Cap Proj-Exp.2005 Vehicles 2005 Budget I6157 Vehicles Vehicles I 05-2220-001-01 Vehicles <-> By-law Enforcement Vehicle- Replacement-Vehicle#407 - $30,000 1994 Ford Explorer II 05-2240-001-00 Vehicles <-> Pumper Replacement-Vehicle#504 - 1990 Telesquirt $600,000 05-2315-001-00 Vehicles <-> Replacement-Vehicle#202 - 1994 Pickup Truck $55,000 <Reduced by TJQ> ($20,000) 05-2320-001-00 Vehicles J <-> Replacement-Vehicle#089- 1993 4 Ton Dump Truck $190,000 05-2320-001-01 Vehicles <-> New Utility Vehicle- Road Patrols/Inspections (Minimal $40,000 I Maintenance Standards) 05-2718-002-01 Vehicles <-> Replacement-Vehicle#708-1996 Pickup-Replace with Utility $45,000 III 05-2718-002-02 Vehicles <-> Replacement--Vehicle#711 -- 1993 Pickup- Replace with 1 $65,000 Ton Stakebody Dump I 05-2719-001-00 Vehicles <-> Replacement-Vehicle#775- Pick Up Truck $35,000 ' Deleted 05-2220-001-00 Vehicles <-> By-law Enforcement Vehicle $37,750 <Deleted by TJQ> ($37,750) . I 05-2240-001-04 Vehicles <-> Deferred to 2005 by TJQ--Vehicle for Proposed Inspector $28,000 <Deleted by TJQ> ($28,000) 1 Deferred 05-2240-001-02 Vehicles <-> Replacement-Vehicle#525-. Platoon Chief $60,000 I <Deferred by TJQ> to 2006 ($60,000) 05-2240-001-03 Vehicles I <-> Replacement-Vehicle#526- Backup command vehicle- $40,000 Training Officer <Deferred by TJQ> to 2006 ($40,000) 05-2612-001-01 Vehicles 0 <-> Replacement-Vehicle#626- 1998 Explorer $30,000 <Deferred by TJQ> to 2006 ($30,000) i . Total Vehicles $1,040,000 V 3 I 2005 Capital Furniture Expenditures IBackground Information 1 Organization Run Date:4/25/2005 10:41 AM Report Name: Cap Proj-Exp.2005 Furniture 2005 Budget 6173 Furniture Furniture & Fixtures 05-2113-002-01 Furniture & Fixtures <-> New Position (Contract) Coordinator, Community Capacity $4,600 I _ Building-Workstation & Chair 05-2113-002-02 Furniture & Fixtures II <-> Replacement - Workstation & Chair- Health & Safety - Front $4,600 05-2125-002-01 Furniture & Fixtures 1 <-> New Position - Administrative Assistant - Workstation & Chair-- . $4,600 Added by C. A. O. 1 05-2127-002-01 Furniture & Fixtures <-> Furniture for secure room ( cash handling function ) $4,300 J 05-2127-002-03 Furniture & Fixtures <-> New Position - Financial Analyst -Workstation & Chair- Added - $4,600 As per the Budget Committee Meeting of April 7 & 8, 2005. II05-2199-002-01 Furniture & Fixtures <-> Replacement Chairs (2) - Health and Safety $800 Ilt 05-2220-002-01 Furniture & Fixtures <-> Replacement chairs (3 @ $400.) Health and Safety I $1,200 05-2220-002-02 Furniture & Fixtures I <-> New Positions - ( 2 ) Municipal Law Enforcement Officers - $9,200 Workstation & Chair <Deferred by TJQ> to 2006 - One Position ($4,600) 5 05-2240-002-00 Furniture & Fixtures <-> Replacement - Furniture for existing Fire Stations $10,000 I 05-2240-002-02 Furniture & Fixtures <-> Replacement-Washing Machine for Bunker Gear at Station #2 $15,000 05-2315-002-01 Furniture & Fixtures I . <-> Deferred to 2005 by TJQ -- Cabinets, Replacement Chairs and $3,000 Lateral File Cabinet _ 05-2610-002-01 Furniture & Fixtures I <-> New Position - Administrative Assistant - for Departmental $4,600 Support - Workstation & Chair II 05-2612-002-01 Furniture & Fixtures <-> Inspector II - Workstation & Chair $4,600 05-2612-002-02 Furniture & Fixtures III <-> Mobile Filing Cabinets - Records Management $25,000 05-2745-002-01 Furniture & Fixtures I 4 I 2005 Capital Furniture Expenditures Background Information Organization Run Date:4/25/2005 10:41 AM Report Name: Cap Proj-Exp.2005 Furniture 2005 Budget <-> I Provision for ergonomic furniture $6,500 05-2745-002-03 Furniture & Fixtures <-> Arms for monitors $800 I 05-2745-002-04 Furniture & Fixtures <-> Replacement Library signs (P.C.) $1,000 05-2745-002-05 Furniture & Fixtures <-> Replacement book trucks $2,000 05-2745-002-06 Furniture & Fixtures J <-> Replacement periodical shelving $7,600 05-2745-002-07 Furniture & Fixtures <-> Replacement shelving $3,340 05-2745-002-08 Furniture & Fixtures <-> Blinds for windows $1,635 i Deleted 05-2127-002-02 Furniture & Fixtures <-> New Position -Administrative Assistant- Departmental Support- 1 $4,600 Workstation & Chair <-> Deleted - As per the Budget Committee Meeting of April 7 & 8, ($4,600) 05-2713-002-00 Furniture & Fixtures <-> Filing Cabinet $700 <Deleted by TJQ> ($700) I 05-2713-002-01 Furniture & Fixtures <-> Portable White Board $900 I <Deleted by TJQ> _ ($900) Deferred 05-2122-002-01 Furniture & Fixtures i <-> New Position - Records Man. & Election Coor. -Workstation & _ $4,600 <Deferred by TJQ> to 2006 ($4,600) 05-2240-002-01 Furniture & Fixtures • <-> Deferred to 2005 by TJQ -- New Positions -- Clerk Typist and Fire $10,000 Inspector I -Workstation and Chair <Deferred by TJQ> to 2006 ($10,000) 05-2611-002-01 Furniture & Fixtures <-> New Position - Environmental Planner-Workstation & Chair $4,600 1 <Deferred by TJQ> to 2006 ' ($4,600) 05-2731-002-00 Furniture & Fixtures <-> Chair Replacements $2,000 5 2005 Capital Furniture Expenditures Background Information Organization Run Date:4/25/2005 10:41 AM Report Name: Cap Proj-Exp.2005 Furniture 2005 • Budget <Deferred by TJQ> to 2006 ($2,000) 05-2733-002-00 Furniture & Fixtures <-> Whiteboard -- Large Portable $900 <Deferred by TJQ> to 2006 ($900) Total Furniture $114,375 • 1. 6 I CITY OF PICKERING 2004 - 2007 CAPITAL BUDGET Mayor, Council & Council Support Run Date:4/20/20059.56AM Y PP Report Name Dept Capital 2004-2007 2004 2005 2006/2007 BUDGET BUDGET BUDGET EXPENDITURES 6173 Furniture& Fixtures $0 $9,200 $0 6181 Other Fixed Assets $20,000 $01 $0 Total EXPENDITURES $20,000 $9,200 $0 FINANCING 2823 Capital Paid from Property Taxes ($20,000) ($9,200) $0 Total FINANCING I ($20,000) ($9,200)I $0 • 1 I I • • 7 I CITY OF PICKERING 2004 - 2007 CAPITAL BUDGET Council Support Run Date:4/20/20059:56AM PP Report Name Dept Capital 2004-2007 2004 2005 2006/2007 BUDGET BUDGET BUDGET EXPENDITURES 1 6173 Furniture& Fixtures $0 $9,200 $0 Total EXPENDITURES • $0 $9,200 $0 FINANCING 2823 Capital Paid from Property Taxes $0 ($9,200) $0 Total FINANCING 1 $01 ($9,200) $0 • • I 1 I 1 I 1 • 1 I 1 8 2005 Capital Expenditures Background Information Run Date:4/20/2005 10:35 AM Council Support Report Name: CaptialProj-Exp.2005 2005 Budget 6173 Furniture & Fixtures 05-2113-002-01 Furniture & Fixtures <-> New Position (Contract) Coordinator, Community Capacity • $4,600 Building-Workstation & Chair 05-2113-002-02 Furniture & Fixtures <-> Replacement - Workstation & Chair- Health & Safety- Front Counter $4,600 Total Expenditures $9,200 I I 1 I I 1 I • 9 1 I City of Pickering 2005 Explanation of Financing ICouncil Support Run Date:4/20/2005 10:36 AM Funding Expense 1 Furniture& Fixtures 05-2113-002-01 Furniture& Fixtures 2823 Capital Paid from Property Taxes ($4,600) $0 I 6173 Furniture& Fixtures <-> New Position (Contract)Coordinator, Community Capacity $0 $4,600 Building-Workstation& Chair 1 Total 6173 Furniture& Fixtures $0 $4,600 Total 05-2113-002-01 Furniture& Fixtures ($4,600) $4,600 05-2113-002-02 Furniture& Fixtures 1 2823 Capital Paid from Property Taxes ($4,600) $0 6173 Furniture&Fixtures <-> Replacement-Workstation& Chair-Health &Safety-Front $0 $4,600 II Total 6173 Furniture&Fixtures Total 05- $0 ($4,600) $4,600 2113-002-02 Furniture&Fixtures 0) $4,600 Total Furniture& Fixtures ($9,200) $9,200 iTotal Funding& Expense ($9,200) $9,200 I 1 1 I I I ' I 10 I CITY OF PICKERING I` 2004 - 2007 CAPITAL BUDGET II Run Date:4/25/2005 2:05 PM Administration Report Name Dept Capital 2004-2007 2004 2005 2006/2007 I BUDGET` BUDGET BUDGET EXPENDITURES 6173 Furniture&Fixtures $0 $4,600' $0 I6176 Office Machines and Equipment I $0 $0 $0 6178 Miscellaneous Equipment $2,000 $6,800 $0 Total EXPENDITURES $2,000 $11,400 $0 FINANCING 2823 Capital Paid from Property Taxes i ($2,000) ($11,400) $0 Total FINANCING ($2,000)1 ($11,400)1 $0 1 I I • 1 I 1 I I 1 11 , I CITY OF PICKERING 2004 - 2007 CAPITAL BUDGET I 2241 Emergency Operation Control Centre Run Date•4'20'20059.56 AM Report Name Dept Capital 2004-2007 2004 2005 2006/2007 BUDGET. BUDGET BUDGET EXPENDITURES 6178 Miscellaneous Equipment $2,000 $6,800 $0 Total EXPENDITURES $2,0001 $6,8001 $0 FINANCING 2823 Capital Paid from Property Taxes ($2,000) ($6,800)1 $0 Total FINANCING ($2,000) ($6,800) $0 1 1 I 1 I I 1 I 1 I I 1 2 I 2005 Capital Expenditures Background Information Control Date:4/20/2005 10:35 AM 2241 1 Emergency Operation Control Centre Report Name: Captial Proj-Exp.2005 2005 Budget 6178 Miscellaneous Equipment 05-2241-004-01 Miscellaneous Equipment <-> LCD Projector ( portable lightweight unit ) $3,200 05-2241-004-02 Miscellaneous Equipment <-> Two Fixed Satellite Telephone Units $3,600 Total Expenditures $6,800 i 1 1 1 I I I I I I I 13 I I 1 City of Pickering 2005 Explanation of Financing I2241 Emergency Operation Control Centre Run Date:4/20/2005 10:36 AM Funding Expense - Miscellaneous Equipment 05-2241-004-01 Miscellaneous Equipment 2823 Capital Paid from Property Taxes ($3,200) $0 I6178 Miscellaneous Equipment <-> LCD Projector(portable lightweight unit) $0 $3,200 Total 6178 Miscellaneous Equipment $0 $3,200 Total 05-2241-004-01 Miscellaneous Equipment ($3,200) $3,200 05-2241-004-02 Miscellaneous Equipment 2823 Capital Paid from Property Taxes ($3,600) $0 I 6178 Miscellaneous Equipment • <-> Two Fixed Satellite Telephone Units $0 $3,600 Total 6178 Miscellaneous Equipment $0 $3,600 1 Total 05-2241-004-02 Miscellaneous Equipment ($3,600) $3,600 Total Miscellaneous Equipment ($6,800) $6,800 Total Funding& Expense ($6,800) $6,800 I I • V 1 . III 1 is . I . I • I 14 I CITY OF PICKERING 2004 -2007 CAPITAL BUDGET 2125 Legal Services Run Date:4/25/2005 2:05 PM 9 Report Name Dept Capital 2004-2007 2004 2005 2006/2007 BUDGET BUDGET BUDGET EXPENDITURES 6173 Furniture& Fixtures $0 $4,600 $0 Total EXPENDITURES $0 $4,6001 $0 FINANCING I 2823 Capital Paid from Property Taxes $0 ($4,600) $0 Total FINANCING $01. ($4,600) $0 1 1 j 1 • I I I I 1 I I 1 15 • 1 2005 Capital Expenditures Background Information Run Date•4/25/2005 2:06 PM 2125 Legal Services Report Name: Captial Proj-Exp.2005 2005 • Budget 6173 Furniture & Fixtures 05-2125-002-01 Furniture & Fixtures <-> New Position - Administrative Assistant- Workstation & Chair--Added $4,600' by C. A. 0. • Total Expenditures $4,600 • I I I I I I I I I 1 IF 16 1 I City of Pickering 2005 Explanation of Financing 2125 Legal Services Run Date:4/25/2005 2:05 PM Funding Expense Furniture& Fixtures 05-2125-002-01 Furniture& Fixtures 2823 Capital Paid from Property Taxes ($4,600) $0 6173 Furniture& Fixtures <-> New Position -Administrative Assistant-Workstation&Chair $0 $4,600 --Added by C.A. 0. Total 6173 Furniture& Fixtures $0 $4,600 Total 05-2125-002-01 Furniture& Fixtures ($4,600) $4,600 Total Furniture& Fixtures ($4,600) $4,600 Total Funding& Expense ($4,600) $4,600 • 1 a I 1 I I I I • I CITY OF PICKERING 1 2004 - 2007 CAPITAL BUDGET Corporate Services Run Date:4/25/2005 2:08 PM F' Report Name: Dept Capital 2004-2007 2004 2005 2006/2007 BUDGET BUDGET BUDGET EXPENDITURES 6157 Vehicles $0 $30,000 $35,000 6173 Furniture& Fixtures $18,165 $15,500 $9,200 6174 System&Software Upgrades $14,700 $12,910 $156,000 6175 Hardware Replacements $135,650 $127,945 $236,200 6176 Office Machines and Equipment 1 $50,400 $6,7001 $0 6177 IT Infrastructure $115,5501 $163,300 $546,000 6190 New Corporate Projects $127,420 $720,900 $854,350 Total EXPENDITURES $461,8851 $1,077,2551 $1,836,750 FINANCING 1 1623 Provincial Grants ($10,500) ($375,000) $0 2823 Capital Paid from Property Taxes ($451,385)1 ($702,255) ($1,836,750) 1 Total FINANCING 1 ($461,885) ($1,077,255)1 ($1,836,750) I • I I I I I I I 18 • CITY OF PICKERING 1 2004 - 2007 CAPITAL BUDGET 2122 Clerks O l l ice Run Date:4/20/2005 9:56 AM Report Name Dept Capital 2004-2007 2004 2005 2006/2007 BUDGET . BUDGET BUDGET EXPENDITURES 6173 Furniture& Fixtures $0 $0 $4,600 Total EXPENDITURES $0 $0 $4,600 FINANCING 2823 Capital Paid from Property Taxes $0 $0 ($4,600) Total FINANCING $0 $0i ($4,600) I I 1 1 I I 1 I I I I 19 I 2005 Capital Expenditures Background Information Run Date:4/20/2005 10:35 AM 2122 Clerks Office Report Name: Captial Proj-Exp.2005 2005 Budget 1 6173 Furniture & Fixtures 05-2122-002-01 .Furniture & Fixtures <-> New Position - Records Man. & Election Coor. - Workstation & Chair $4,600 <Deferred by TJQ> to 2006 ($4,600) I 1 I I 1 11 • I I I I 20 I I CITY OF PICKERING 2004 - 2007 CAPITAL BUDGET Run 2199 Print Shop/Mail Room Report Name a Name Capital 2004-2007 2004 2005 2006/2007 BUDGET BUDGET BUDGET EXPENDITURES 6173 Furniture& Fixtures $0 $800 $0 6176 Office Machines and Equipment $45,000 $2,200 $0 Total EXPENDITURES $45,000 $3,000 $0 FINANCING 2823 Capital Paid from Property Taxes ($45,000) ($3,000) $0 Total FINANCING ($45,000)1 ($3,000) $0 • • I I I I I . I I I . I I 21 I 2005 Capital Expenditures Background Information Run Date:4/20/2005 10:35 AM 2199 Print Shop/Mail Room Report Name: Captial Proj-Exp.2005 2005 Budget I 1 6173 Furniture & Fixtures 05-2199-002-01 Furniture & Fixtures <-> Replacement Chairs (2) - Health and Safety $800 6176 Office Machines and Equipment 05-2199-003-01 Office Machines & Equipment J I <-> Heat seal binding equipment $2,200 Total Expenditures $3,000 • • • I I I I 1 I I I 22 City of Pickering 2005 Explanation of Financing 1 2199 Print Shop/Mail Room Run Date:4/20/2005 10:36 AM Funding Expense Furniture& Fixtures 05-2199-002-01 Furniture& Fixtures 2823 Capital Paid from Property Taxes ($800) $0 6173 Furniture& Fixtures <-> Replacement Chairs(2)-Health and Safety $0 $800 Total 6173 Furniture& Fixtures $0 $800 Total 05-2199-002-01 Furniture&Fixtures ($800) $800 Total Furniture& Fixtures ($800) $800 Office Machines& Equipment 05-2199-003-01 Office Machines& Equipment 2823 Capital Paid from Property Taxes ($2,200) $0 6176 Office Machines and Equipment <-> Heat seal binding equipment $0 $2,200 Total 6176 Office Machines and Equipment $0 $2,200 Total 05-2199-003-01 Office Machines& Equipment ($2,200) $2,200 Total Office Machines&Equipment ($2,200) $2,200 Total Funding& Expense ($3,000) $3,000 I I I I I 1 I 23 I CITY OF PICKERING 2004 - 2007 CAPITAL BUDGET 2220 B law Run Date:4/20/2005 9:56 AM Y- Report Name: Dept Capital 2004-2007 2004 2005 2006/2007 BUDGET BUDGET BUDGET EXPENDITURES 6157 Vehicles $0 $30,000 $35,000 6173 Furniture& Fixtures $0 $5,800 $4,600 Total EXPENDITURES $0 $35,800 $39,600 FINANCING 2823 Capital Paid from Property Taxes $0 ($35,800)1 ($39,600) Total FINANCING $0 ($35,800)! ($39,600) I 1 • I I I I I 1 I I 24 a 2005 Capital Expenditures Background Information Run Date:4/26/2005 9:46 AM 2220 By-law Report Name: Captial Proj-Exp.2005 2005 Budget 6157 Vehicles Vehicles 05-2220-001-01 Vehicles <-> By-law Enforcement Vehicle - Replacement-Vehicle #407 - 1994 $30,000 Ford Explorer Deleted 05-2220-001-00 Vehicles <-> By-law Enforcement Vehicle $37,750 I <Deleted by TJQ> ($37,750) 6173 Furniture & Fixtures Furniture & Fixtures I 05-2220-002-01 Furniture & Fixtures <-> Replacement chairs (3 @ $400) Health and Safety $1,200 05-2220-002-02 Furniture & Fixtures <-> New Positions - ( 2 ) Municipal Law Enforcement Officers - $9,200 Workstation & Chair <Deferred by TJQ> to 2006 - One Position ($4,600) I Total Expenditures $35,800 I I I I I I I 25 I I City of Pickering 1 2005 Explanation of Financing I2220 By-law Run Date:4/20/2005 10:36 AM Funding Expense IVehicles 05-2220-001-01 Vehicles 2823 Capital Paid from Property Taxes ($30,000) $0 I 6157 Vehicles <-> By-law Enforcement Vehicle-Replacement-Vehicle#407- $0 $30,000 1994 Ford Explorer I Total 6157 Vehicles Total 05-2220-001-01 $0 $30,000 20-001-01 Vehicles ($30,000) $30,000 Total Vehicles ($30,000) $30,000 I Furniture& Fixtures 05-2220-002-01 Furniture& Fixtures 2823 Capital Paid from Property Taxes ($1,200) $0 I 6173 Furniture& Fixtures <-> Replacement chairs(3 @ $400) Health and Safety $0 $1,200 Total 6173 Furniture& Fixtures $0 $1,200 I Total 05-2220-002-01 Furniture& Fixtures ($1,200) $1,200 05-2220-002-02 Furniture& Fixtures 2823 Capital Paid from Property Taxes ($4,600) $0 I 6173 Furniture& Fixtures <-> New Positions-(2 )Municipal Law Enforcement Officers- $0 $9,200 Workstation &Chair I <Deferred by TJQ> to 2006-One Position $0 ($4,600) Total 6173 Furniture& Fixtures $0 $4,600 Total 05-2220-002-02 Furniture&Fixtures ($4,600) $4,600 Total Furniture& Fixtures ($5,800) $5,800 Deleted 05-2220-001-00 Vehicles I 6157 Vehicles <-> By-law Enforcement Vehicle $0 $37,750 <Deleted by TJQ> $0 ($37,750) I Total 6157 Vehicles $0 $0 Total 05-2220-001-00 Vehicles $0 $0 Total Deleted $0 $0 1 Total Funding& Expense ($35,800) $35,800 1 I I 1 26 I CITY OF PICKERING 2004 - 2007 CAPITAL BUDGET 2127 Finance (Accting, Taxes & Payroll) Run Date:4/20/20059:56 AM Report Name Dept Capital 2004-2007 2004 2005 2006/2007 BUDGET BUDGET BUDGET EXPENDITURES 6173 Furniture& Fixtures $18,165 $8,900 $0 6176 Office Machines and Equipment $5,400 $4,500 $0 Total EXPENDITURES 1 $23,5651 $13,400 $0 FINANCING 2823 Capital Paid from Property Taxes ($23,565) ($13,400) $0 Total FINANCING ($23,565) ($13,400)1 $0 1 ! i I I I I I I I i 27 • I 2005 Capital Expenditures Background Information Run Date:4/26/2005 9:48 AM 2127 Finance (Accting, Taxes & Payroll) Report Name: Captial Pro;-Exp.2005 2005 Budget 6173 Furniture & Fixtures Furniture & Fixtures 05-2127-002-01 Furniture & Fixtures <-> Furniture for secure room .( cash handling function ) $4,300 05-2127-002-03 Furniture & Fixtures I <-> New Position - Financial Analyst - Workstation & Chair-Added - As $4,600 per the Budget Committee Meeting of April 7 & 8, 2005. Deleted 1 05-2127-002-02 Furniture & Fixtures <-> New Position - Administrative Assistant - Departmental Support- $4,600 Workstation & Chair <-> Deleted -As per the Budget Committee Meeting of April 7 & 8, 2005. ($4,600) 6176 Office Machines and Equipment Office Machines & Equipment 05-2127-003-01 Office Machines & Equipment <-> Replacement fax machine $4,500 I Total Expenditures $13,400 • i I I I I 28 1 I 1 City of Pickering 2005 Explanation of Financing 1 2127 Finance(Accting,Taxes&Payroll) Run Date:4/20/2005 10:36 AM Funding Expense - II Furniture& Fixtures 05-2127-002-01 Furniture& Fixtures 2823 Capital Paid from Property Taxes ($4,300) $0 . 6173 Furniture& Fixtures <-> Furniture for secure room(cash handling function ) $0 $4,300 Total 6173 Furniture& Fixtures $0 $4,300 1 Total 05-2127-002-01 Furniture&Fixtures ($4,300) $4,300 05-2127-002-03 Furniture&Fixtures 2823 Capital Paid from Property Taxes ($4,600) $0 I 6173 Furniture& Fixtures • <-> New Position -Financial Analyst-Workstation &Chair-Added • $0 $4,600 -As per the Budget Committee Meeting of April 7&8, 2005. II Total 6173 Furniture& Fixtures Total 05-21 $0 $4,600 05-2127-002-03 Furniture& ($4,600) $4,600 Total Furniture&Fixtures ($8,900) $8,900 I Office Machines& Equipment 05-2127-003-01 Office Machines& Equipment 2823 Capital Paid from Property Taxes ($4,500) $0 I 6176 Office Machines and Equipment <-> Replacement fax machine $0 $4,500 Total 6176 Office Machines and Equipment $0 $4,500 I Total 05-2127-003-01 Office Machines& Equipment ($4,500) $4,500 Total Office Machines&Equipment ($4,500) $4,500 Deleted I 05-2127-002-02 Furniture& Fixtures 6173 Furniture& Fixtures <-> New Position -Administrative Assistant-Departmental Support $0 $4,600 I -Workstation&Chair <-> Deleted-As per the Budget Committee Meeting of April 7&8, $0 ($4,600) Total 6173 Furniture& Fixtures $0 $0 I Total 05-2127-002-02 Furniture& Fixtures $0 $0 Total Deleted $0 $0 Total Funding & Expense ($13,400) $13,400 I • I I I 29 I CITY OF PICKERING 2004 - 2007 CAPITAL BUDGET 2196 Information Technology Run Date:4/25/2005 2004-2 0 9 7 Report Name Dept Capital 2004-2007 2004 2005 2006/2007 BUDGET BUDGET BUDGET EXPENDITURES 6174 System&Software Upgrades $14,700 $12,910 $156,000 6175 Hardware Replacements $135,650 $127,945 $236,200 6177 IT Infrastructure $115,550 $163,3001 $546,000 6190 New Corporate Projects $127,420 $214,450 $812,250 Total EXPENDITURES $393,320 • $518,605 $1,750,450 FINANCING 1623 Provincial Grants ($10,500) $0 $0 2823 Capital Paid from Property Taxes ($382,820) ($518,605)! ($1,750,450) Total FINANCING ($393,320)! ($518,605); ($1,750,450) • ! I i I . 1 I 1 I I I I i 1 1 3-0 I 2005 Capital Expenditures Background Information , Run Date:4/26/2005 9:15 AM 2196 Information Technology Report Name: Captial Proj-Exp.2005 1 2005 Budget 6174 System & Software Upgrades System Software Upgrades 05-2196-001-02 System & Software Upgrades <-> General Software Upgrades (Core!, Adobe, etc.) $4,000 Total 05-2196-001-02 System & Software Upgrades ( $4,000 05-2196-001-05 System & Software Upgrades <-> Symantec Ghost Upgrade $1,110 I Total 05-2196-001-05 System & Software Upgrades $1,110 05-2196-001-06 System Software Upgrades <-> (100) MS-Windows 2003 PC Licenses $7,800 Total 05-2196-001-06 System Software Upgrades $7,800 Total System Software Upgrades $12,910 I Deferred 05-2196-001-01 System & Software Upgrades <-> MS-Office -- Phase I $65,000 1 <Deferred by TJQ> to 2006 ($65,000) Total 05-2196-001-01 System & Software Upgrades $0 Total Deferred $0 Total 6174 System & Software Upgrades $12,910 Total System & Softfware Upgrades ` F $12;910 1 6175 Hardware Replacements Hardware Replacements 05-2196-002-01 Hardware Replacements <-> PC (4-year Cycle) $35,000 Total 05-2196-002-01 Hardware Replacements $35,000 I 05-2196-002-02 Hardware Replacements <-> LCD Monitor (5-year cycle) $22,200 Total 05-2196-002-02 Hardware Replacements $22,200 ii 05-2196-002-03 Hardware Replacements <-> Printer-- Departmental (4-year cycle) $17,500 I Total 05-2196-002-03 Hardware Replacements $17,500 05-2196-002-04 Hardware Replacements <-> Printer -- Office (3-year cycle) I $3,825 II Total 05-2196-002-04 Hardware Replacements $3,825 05-2196-002-07 Hardware Replacements I <-> Councillor's Communications Policy $49,420 31 I 2005 Capital Expenditures IBackground Information Run Date:4/26/2005 9:15 AM I2196 Information Technology Report Name: Captial Proj-Exp.2005 2005 1 Budget Total 05-2196-002-07 Hardware Replacements 1 $49,420 I Total Hardware Replacements $127,945 Deferred 05-2196-002-05 Hardware Replacements I <-> Corporate Laptop $3,000 <Deferred by TJQ> to 2006 ($3,000) ITotal 05-2196-002-05 Hardware Replacements 1 $0 Total Deferred 1 $0 Total 6175 Hardware Replacements j $127,945 ITotal Hardware Replacements $127,945 6177 IT Infrastructure I IT Infrastructure 05-2196-003-01 IT Infrastructure <-> Server Replacements (4-year cycle) $17,500 ITotal 05-2196-003-01 IT Infrastructure $17,500 05-2196-003-02 IT Infrastructure I <-> Intranet Usage Tracking Software -- WebTrends f $850 Total 05-2196-003-02 IT Infrastructure $850 05-2196-003-03 IT Infrastructure I . <-> Cisco Router Replacements $8,000 Total 05-2196-003-03 IT Infrastructure $8,000 . I 05-2196-003-04 IT Infrastructure <-> Network Security Software - Intrusion Protection $20,000 <Reduced by TJQ> ($10,000) ITotal 05-2196-003-04 IT Infrastructure $10,000 05-2196-003-05 IT Infrastructure I <-> Cable Tester $1,700 Total 05-2196-003-05 IT Infrastructure $1,700 05-2196-003-06 IT Infrastructure I <-> Disaster Recovery for Networks $35,000 <Reduced by TJQ> ($15,000) Total 05-2196-003-06 IT Infrastructure 1 $20,000 05-2196-003-07 IT Infrastructure <-> Replace Cabling on First Floor- Phase II - Civic Complex $25,000 ITotal 05-2196-003-07 IT Infrastructure , $25,000 05-2196-003-08 IT Infrastructure I .32 I 2005 Capital Expenditures Background Information I Run Date:4/26/2005 9:15 AM 2196 Information Technology Report Name: Captial Proj-Exp.2005 1 2005 Budget I <-> Network Connectivity Monitoring Software $4,000 Total 05-2196-003-08 IT Infrastructure $4,000 III 05-2196-003-09 IT Infrastructure <-> Contingency Fund $12,000 Total 05-2196-003-09 IT Infrastructure $12,000 05-2196-003-10 IT Infrastructure <-> Server Rack $6,300 Total 05-2196-003-10 IT Infrastructure 1 $6,300 05-2196-003-11 IT Infrastructure <-> Deferred to 2005 by TJQ -- Uninterruptible Power Supply $3,000 Total 05-2196-003-11 IT Infrastructure $3,000 05-2196-003-12 IT Infrastructure <-> Deferred to 2005 by TJQ -- Gigabyte Cisco Switch for Comp. Room $10,000 Total 05-2196-003-12 IT Infrastructure $10,000 05-2196-003-13 IT Infrastructure I I <-> Deferred to 2005 by TJQ -- Replacement of obsolete back-up system $48,000 <Reduced by TJQ> ($12,000) Total 05-2196-003-13 IT Infrastructure $36,000 II 05-2196-003-14 IT Infrastructure <-> Upgrade Server Operating System $1,150 I Total 05-2196-003-14 IT Infrastructure $1,150 05-2196-003-17 IT Infrastructure <-> Server Disk Defragmentation Software Upgrades $2,300 Total 05-2196-003-17 IT Infrastructure $2,300 05-2196-003-19 IT Infrastructure _ I _ <-> Server load balancer $5,500 Total 05-2196-003-19 IT Infrastructure $5,500 Total IT Infrastructure $163,300 Deferred 05-2196-003-15 IT Infrastructure _ I <-> Deferred to 2005 by TJQ -- Wireless Network -- Integrate with $22,000 computer network <Deferred by TJQ> to 2006 ($22,000) I Total 05-2196-003-15 IT Infrastructure $0 Total Deferred $0 I Total 6177 IT Infrastructure '$163,300 • .33 I 2005 Capital Expenditures IBackground Information Run Date:4/26/2005 9:15 AM I2196 Information Technology Report Name: Captial Pro;-Exp.2005 2005 I Budget Total IT Infrastructure , u > . :, :; $163,300 1 6190 New Corporate Projects New Corporate Projects 05-2196-004-01 New Corporate Projects Il <-> New Position - IT=- Help Desk Support Technician - PC, LCD Monitor,1 $9,000 Office Software, Workstation and Chair-As presented at the Executive Committee Meeting of April 25, 2005. ITotal 05-2196-004-01 New Corporate Projects '.9 000 05-2196-004-03 New Corporate Projects • I <-> FMW - Capital Budgeting Module Software 300 Total 05-2196-004-03 New Corporate Projects I '.28 300 05-2196-004-04 New Corporate Projects II <-> Clerks - AMANDA Property Compliance Module $28,000 Total 05-2196-004-04 New Corporate Projects $28,000 05-2196-004-07 New Corporate Projects I <-> Fire - Firehouse Software - Manage & Plan Fire Readiness Software $28,650 Total 05-2196-004-07 New Corporate Projects $28,650 05-2196-004-08 New Corporate Projects I <-> Fire - Equipment to support Training Centre $25,000 Total 05-2196-004-08 New Corporate Projects $25,000 05-2196-004-11 ,New Corporate Projects I <-> (8) Oracle licenses to support expansion of Customer Care Tracking $11,700 System I Total 05-2196-004-11 New Corporate Projects $11,700 05-2196-004-12 New Corporate Projects <-> C & R -Adobe Suite $1,200 I New Corporate Projects $1,200 05-2196-004-14 New Corpora te Total Projects 05-2196-004-12 <-> MP&E - MS Project 2004 $850 I Total 05-2196-004-14 New Corporate Projects $850 05-2196-004-16 New Corporate Projects <-> MP&E - (2) Corel Draw $2,250 ITotal 05-2196-004-16 New Corporate Projects '.2 250 05-2196-004-19 New Corporate Projects - II <-> By-law - Hand Held Ticket Computer Devices (5) Units $30,000 Total 05-2196-004-19 New Corporate Projects I $30,000 05-2196-004-20 New Corporate Projects I — <-> New Positions - By-law - ( 2 ) Municipal Law Enforcement Officers - $4,800 PC, LCD Monitor and office software <Deferred by TJQ> to 2006 - One Position _ J __ ($2,400 1 , 34 I 2005 Capital Expenditures Background Information I Run Date:4/26/2005 9:15 AM 2196 Information Technology Report Name: Captial Proj-Exp.2005 2005 Budget I Total 05-2196-004-20 New Corporate Projects $2,400 05-2196-004-22 New Corporate Projects <-> Clerks - Laserfiche Records Management Module $13,500 Total 05-2196-004-22 New Corporate Projects $13,500 05-2196-004-23 New Corporate Projects <->. By-law Enforcement Photo identification System I $4,000 Total 05-2196-004-23 Nev./Corporate Projects '.4 000 05-2196-004-24 New Corporate Projects <-> Clerks - Business & Lottery License Systems $36,350 <Deferred by TJQ> to 2006 (Phase II) ($16,350) Total 05-2196-004-24 New Corporate Projects ( $20,000 05-2196-004-25 New Corporate Projects <-> New Position - Council Support (Contract) Coordinator, Community $2,400 I Capacity Building - PC, LCD Monitor and office software Total 05-2196-004-25 New Corporate Projects '.2 400 05-2196-004-26 New Corporate Projects I <-> New Position - Planning -Administration -Administrative Assistant - $2,400 PC, LCD Monitor and office software Total 05-2196-004-26 New Corporate Projects '.2 400 05-2196-004-27 New Corporate Projects <-> New Position-Finance-Financial Analyst-PC, LCD Monitor and office $2,400 software-Added-As per the Budget Committee Meeting of April 7 & 8, 2005. Total 05-2196-004-27 New Corporate Projects $2,400 05-2196-004-29 New Corporate Projects 111<-> New Position - Legal Services - Administrative Assistant - PC, LCD $2,400 Monitor & office software -Added by C. A. 0. Total 05-2196-004-29 New Corporate Projects 2 400 Total New Corporate Projects $214,450 Deferred _ 05-2196-004-02 New Corporate Projects I <-> Fire - New Postion - Inspector- PC, LCD Monitor and office software $2,400 <-> Fire - New Postion - Secretary- PC, LCD Monitor and office software1 $2 400 <Deferred by TJQ> to 2006 '.4 800 1 Total 05-2196-004-02 New Corporate Projects $0 05-2196-004-05 New Corporate Projects — <-> Fire -- Fire Dispatch System ( first year of five year plan ) $120 000 <Deferred by TJQ> to 2006 ($120,000) Total 05-2196-004-05 New Corporate Projects '.0 05-2196-004-10 New Corporate Projects <-> Corporation - Asset Bar Coding $10 000 r 3 5 I 2005 Capital Expenditures Background Information Run Date:4/26/2005 9:15 AM 2196 Information Technology Report Name: Captial Pro;-Exp.2005 2005 Budget <Deferred by TJQ> to 2006 ($10,000) Total 05-2196-004-10 New Corporate Projects $0 05-2196-004-13 New Corporate Projects <-> C & R - Online Internet Registration $44,000 <Deferred by TJQ> to 2006 ($44,000) Total 05-2196-004-13 New Corporate Projects I $0 05-2196-004-21 New Corporate Projects <-> New Position - Finance -Admin Assistant - PC, LCD Monitor and $2,400 office software <-> Deleted - As per the Budget Committee Meeting of April 7 & 8, 2005.L ($2,400) <-> New Position - Records Management and Elections Coordinator- $2,400 PC, LCD Monitor and office software <Deferred by TJQ> New Position - Records Management and Elections ($2,400) Coordinator Total 05-2196-004-21 New Corporate Projects I $0 05-2196-004-28 New Corporate Projects <-> New Position - Planning-Environmental Planner-PC, LCD Monitor& $2,400 office software _. I <Deferred by TJQ> to 2006 ($2,400) Total 05-2196-004-28 New Corporate Projects $0 Total Deferred $0 Total 6190 New Corporate Projects $214,450 Total New Corporate - Projects 3 , $214�,. � .� � 460 Total Expenditures f $518,605 I I 1 I 1 36 I City of Pickering 1 2005 Explanation of Financing 2196 Information Technology Run Date:4/26/2005 9:16 AM I Funding Expense - I System Software Upgrades 05-2196-001-02 System&Software Upgrades 2823 Capital Paid from Property Taxes ($4,000) $0 I • 6174 System&Software Upgrades <-> General Software Upgrades (Corel,Adobe, etc.) $0 $4,000 Total 6174 System&Software Upgrades $0 $4,000 I Total 05-2196-001-02 System &Software Upgrades ($4,000) $4,000 05-2196-001-05 System&Software Upgrades 2823 Capital Paid from Property Taxes ($1,110) $0 I 6174 System&Software Upgrades <-> Symantec Ghost Upgrade $0 $1,110 Total 6174 System&Software Upgrades $0 $1,110 I Total 05-2196-001-05 System&Software Upgrades ($1,110) $1,110 05-2196-001-06 System Software Upgrades 2823 Capital Paid from Property Taxes ($7,800) $0 I 6174 System&Software Upgrades <-> (100) MS-Windows 2003 PC Licenses $0 $7,800 Total 6174 System&Software Upgrades $0 $7,800 1 Total 05-2196-001-06 System Software Upgrades ($7,800) $7,800 Total System Software Upgrades ($12,910) $12,910 Hardware Replacements I 05-2196-002-01 Hardware Replacements 2823 Capital Paid from Property Taxes ($35,000) $0 6175 Hardware Replacements I <-> PC (4-year Cycle) $0 $35,000 Total 6175 Hardware Replacements $0 $35,000 Total 05-2196-002-01 Hardware Replacements ($35,000) $35,000 I 05-2196-002-02 Hardware Replacements 2823 Capital Paid from Property Taxes ($22,200) $0 6175 Hardware Replacements I <-> LCD Monitor (5-year cycle) $0 $22,200 Total 6175 Hardware Replacements $0 $22,200 Total 05-2196-002-02 Hardware Replacements ($22,200) $22,200 I 05-2196-002-03 Hardware Replacements 2823 Capital Paid from Property Taxes ($17,500) $0 6175 Hardware Replacements 1 <-> Printer--Departmental (4-year cycle) $0 $17,500 Total 6175 Hardware Replacements $0 $17,500 • Total 05-2196-002-03 Hardware Replacements ($17,500) $17,500 I 05-2196-002-04 Hardware Replacements 2823 Capital Paid from Property Taxes ($3,825) $0 • 6175 Hardware Replacements I <-> Printer—Office (3-year cycle) $0 $3,825 Total 6175 Hardware Replacements $0 $3,825 Total 05-2196-002-04 Hardware Replacements ($3,825) $3,825 I 37 I City of Pickering 2005 Explanation of Financing I 2196 Information Technology Run Date•4/26/2005 9:16 AM Funding Expense - 05-2196-002-07 Hardware Replacements 2823 Capital Paid from Property Taxes ($49,420) $0 6175 Hardware Replacements • <-> Councillor's Communications Policy $0 $49,420 I Total 6175 Hardware Replacements $0 $49,420 Total 05-2196-002-07 Hardware Replacements ($49,420) $49,420 Total Hardware Replacements ($127,945) $127,945 I IT Infrastructure 05-2196-003-01 IT Infrastructure 2823 Capital Paid from Property Taxes ($17,500) $0 I 6177 IT Infrastructure <-> Server Replacements (4-year cycle) $0 $17,500 Total 6177 IT Infrastructure $0 $17,500 Total 05-2196-003-01 IT Infrastructure ($17,500) $17,500 05-2196-003-02 IT Infrastructure 2823 Capital Paid from Property Taxes ($850) $0 6177 IT Infrastructure <-> Intranet Usage Tracking Software- WebTrends $0 $850 Total 6177 IT Infrastructure $0 $850 Total 05-2196-003-02 IT Infrastructure ($850) $850 05-2196-003-03 IT Infrastructure 2823 Capital Paid from Property Taxes ($8,000) $0 I • 6177 IT Infrastructure <-> Cisco Router Replacements $0 $8,000 Total 6177 IT Infrastructure $0 $8,000 Total 05-2196-003-03 IT Infrastructure ($8,000) $8,000 05-2196-003-04 IT Infrastructure 2823 Capital Paid from Property Taxes ($10,000) $0 I 6177 IT Infrastructure <-> Network Security Software- Intrusion Protection $0 $20,000 <Reduced by TJQ> $0 ($10,000) Total 6177 IT Infrastructure $0 $10,000 Total 05-2196-003-04 IT Infrastructure ($10,000) $10,000 05-2196-003-05 IT Infrastructure 2823 Capital Paid from Property Taxes ($1,700) $0 6177 IT Infrastructure <-> Cable Tester $0 $1,700 I Total 6177 IT Infrastructure $0 $1,700 - Total 05-2196-003-05 IT Infrastructure ($1,700) $1,700 05-2196-003-06 IT Infrastructure 2823 Capital Paid from Property Taxes ($20,000) $0 6177 IT Infrastructure . <-> Disaster Recovery for Networks $0 $35,000 <Reduced by TJQ> $0 ($15,000) Total 6177 IT Infrastructure $0 $20,000 38 1 I City of Pickering 1 2005 Explanation of Financing 2196 Information Technology Run Date:4/26/2005 9:16 AM Funding Expense I Total 05-2196-003-06 IT Infrastructure ($20,000) $20,000 05-2196-003-07 IT Infrastructure 2823 Capital Paid from Property Taxes ($25,000) $0 I 6177 IT Infrastructure <-> Replace Cabling on First Floor-Phase II -Civic Complex $0 $25,000 Total 6177 IT Infrastructure $0 $25,000 I Total 05-2196-003-07 IT Infrastructure ($25,000) $25,000 05-2196-003-08 IT Infrastructure 2823 Capital Paid from Property Taxes ($4,000) $0 I 6177 IT Infrastructure <-> Network Connectivity Monitoring Software $0 $4,000 Total 6177 IT Infrastructure $0 $4,000 I Total 05-2196-003-08 IT Infrastructure ($4,000) $4,000 05-2196-003-09 IT Infrastructure 2823 Capital Paid from Property Taxes ($12,000) $0 I 6177 IT Infrastructure <-> Contingency Fund $0 $12,000 Total 6177 IT Infrastructure $0 $12,000 I Total 05-2196-003-09 IT Infrastructure ($12,000) $12,000 05-2196-003-10 IT Infrastructure 2823 Capital Paid from Property Taxes ($6,300) $0 I 6177 IT Infrastructure <-> Server Rack $0 $6,300 Total 6177 IT Infrastructure $0 $6,300 I Total 05-2196-003-10 IT Infrastructure ($6,300) $6,300 05-2196-003-11 IT Infrastructure 2823 Capital Paid from Property Taxes ($3,000) $0 I 6177 IT Infrastructure <-> Deferred to 2005 by TJQ--Uninterruptible Power Supply $0 $3,000 Total 6177 IT Infrastructure $0 $3,000 Total 05-2196-003-11 IT Infrastructure ($3,000) $3,000 I 05-2196-003-12 IT Infrastructure 2823 Capital Paid from Property Taxes ($10,000) $0 I 6177 IT Infrastructure <-> Deferred to 2005 by TJQ--Gigabyte Cisco Switch for Comp. $0 $10,000 Total 6177 IT Infrastructure $0 $10,000 I Total 05-2196-003-12 IT Infrastructure ($10,000) $10,000 05-2196-003-13 IT Infrastructure 2823 Capital Paid from Property Taxes ($36,000). $0 I 6177 IT Infrastructure <-> Deferred to 2005 by TJQ—Replacement of obsolete back-up $0 $48,000 <Reduced by TJQ> $0 ($12,000) I . Total 6177 IT Infrastructure $0 $36,000 ($36,00 Total 05-2196-003-13 IT Infrastructure ($36,000) $36,000 05-2196-003-14 IT Infrastructure I 9 ., U I City of Pickering 2005 Explanation of Financing I 2196 Information Technology Run Date:4/26/2005 9:16 AM Funding Expense 2823 Capital Paid from Property Taxes ($1,150) $0 I 6177 IT Infrastructure <-> Upgrade Server Operating System $0 $1,150 Total 6177 IT Infrastructure $0 $1,150 I Total 05-2196-003-14 IT Infrastructure ($1,150) $1,150 05-2196-003-17 IT Infrastructure 2823 Capital Paid from Property Taxes ($2,300) $0 I 6177 IT Infrastructure <-> Server Disk Defragmentation Software Upgrades $0 $2,300 Total 6177 IT Infrastructure $0 $2,300 111 Total 05-2196-003-17 IT Infrastructure ($2,300) $2,300 05-2196-003-18 IT Infrastructure 2823 Capital Paid from Property Taxes 111 <-> Unallocated $2,800 $0 <-> Redundant/Load Balancing Data Access(Civic Complex- ($2,800) $0 Operations Center) Total 2823 Capital Paid from Property Taxes $0 $0 Total 05-2196-003-18 IT Infrastructure $0 $0 05-2196-003-19 IT Infrastructure 2823 Capital Paid from Property Taxes ($5,500) $0 6177 IT Infrastructure <-> Server load balancer $0 $5,500 I Total 6177 IT Infrastructure $0 $5,500 Total 05-2196-003-19 IT Infrastructure ($5,500) $5,500 Total IT Infrastructure ($163,300) $163,300 I New Corporate Projects 05-2196-004-01 New Corporate Projects 2823 Capital Paid from Property Taxes ($9,000) $0 6190 New Corporate Projects <-> New Position-IT—Help Desk Support Technician -PC, LCD $0 $9,000 Monitor, Office Software,Workstation and Chair-As presented at the Executive Committee Meeting of April 25,2005. Total 6190 New Corporate Projects $0 $9,000 Total 05-2196-004-01 New Corporate Projects ($9,000) $9,000 05-2196-004-03 New Corporate Projects 2823 Capital Paid from Property Taxes ($28,300) $0 6190 New Corporate Projects 111<-> FMW-Capital Budgeting Module Software $0 $28,300 Total 6190 New Corporate Projects $0 $28,300 • Total 05-2196-004-03 New Corporate Projects ($28,300) • $28,300 05-2196-004-04 New Corporate Projects , 2823 Capital Paid from Property Taxes ($28,000) $0 6190 New Corporate Projects <-> Clerks-AMANDA Property Compliance Module $0 $28,000 Total 6190 New Corporate Projects $0 $28,000 40 111 I City of Pickering 1 2005 Explanation of Financing 2196 Information Technology Run Date•4/26/2005 9:16 AM I Funding Expense Total 05-2196-004-04 New Corporate Projects ($28,000) $28,000 05-2196-004-07 New Corporate Projects 2823 Capital Paid from Property Taxes ($28,650) $0 I 6190 New Corporate Projects <-> Fire-Firehouse Software-Manage& Plan Fire Readiness $0 $28,650 Total 6190 New Corporate Projects $0 $28,650 I Total 05-2196-004-07 New Corporate Projects ($28,650) $28,650 05-2196-004-08 New Corporate Projects 2823 Capital Paid from Property Taxes ($25,000) $0 I 6190 New Corporate Projects <-> Fire-Equipment to support Training Centre $0 $25,000 Total 6190 New Corporate Projects $0 $25,000 I Total 05-2196-004-08 New Corporate Projects ($25,000) $25,000 05-2196-004-11 New Corporate Projects 2823 Capital Paid from Property Taxes ($11,700) $0 I 6190 New Corporate Projects <-> (8)Oracle licenses to support expansion of Customer Care $0 $11,700 Tracking System I Total 6190 New Corporate Projects $0 ($11,70 $11,700 Total 05-2196-004-11 New Corporate Projects ($11,700) $11,700 05-2196-004-12 New Corporate Projects I 2823 Capital Paid from Property Taxes ($1,200) $0 6190 New Corporate Projects <-> C& R-Adobe Suite $0 $1,200 I Total 6190 New Corporate Projects $0 $1,200 Total 05-2196-004-12 New Corporate Projects ($1,200) $1,200 05-2196-004-14 New Corporate Projects . I 2823 Capital Paid from Property Taxes ($850) $0 6190 New Corporate Projects <-> MP&E- MS Project 2004 $0 $850 I Total 6190 New Corporate Projects $0 ($85 $850 Total 05-2196-004-14 New Corporate Projects ($850) $850 05-2196-004-16 New Corporate Projects I 2823 Capital Paid from Property Taxes . ($2,250) $0 6190 New Corporate Projects <-> MP&E -(2)Corel Draw $0 $2,250 I Total 6190 New Corporate Projects $0 $2,250 Total 05-2196-004-16 New Corporate Projects ($2,250) $2,250 05-2196-004-19 New Corporate Projects I 2823 Capital Paid from Property Taxes ($30,000) $0 6190 New Corporate Projects <-> By-law-Hand Held Ticket Computer Devices (5) Units $0 $30,000 Total 6190 New Corporate Projects $0 $30,000 Total 05-2196-004-19 New Corporate Projects ($30,000) $30,000 05-2196-004-20 New Corporate Projects . 1 41 • I City of Pickering 2005 Explanation of Financing I 2196 Information Technology Run Date•4/26/2005 9:16 AM I Funding Expense 2823 Capital Paid from Property Taxes ($2,400) $0 I 6190 New Corporate Projects <-> New Positions-By-law-(2 ) Municipal Law Enforcement $0 $4,800 Officers-PC, LCD Monitor and office software I <Deferred by TJQ> to 2006-One Position $0 ($2,400) Total 6190 New Corporate Projects $0 $2,400 Total 05-2196-004-20 New Corporate Projects ($2,400) $2,400 05-2196-004-22 New Corporate Projects 2823 Capital Paid from Property Taxes ($13,500) $0 6190 New Corporate Projects I <-> Clerks-Laserfiche Records Management Module $0 $13,500 Total 6190 New Corporate Projects $0 $13,500 Total 05-2196-004-22 New Corporate Projects ($13,500) $13,500 05-2196-004-23 New Corporate Projects 2823 Capital Paid from Property Taxes ($4,000) $0 6190 New Corporate Projects <-> By-law Enforcement Photo identification System $0 $4,000 Total 6190 New Corporate Projects $0 $4,000 Total 05-2196-004-23 New Corporate Projects ($4,000) $4,000 05-2196-004-24 New Corporate Projects 2823 Capital Paid from Property Taxes ($20,000) $0 6190 New Corporate Projects I <-> Clerks-Business& Lottery License Systems $0 $36,350 <Deferred by TJQ> to 2006 (Phase II) $0 ($16,350) Total 6190 New Corporate Projects $0 $20,000 111 Total 05-2196-004-24 New Corporate Projects ($20,000) $20,000 05-2196-004-25 New Corporate Projects 2823 Capital Paid from Property Taxes ($2,400) $0 I 6190 New Corporate Projects <-> New Position-Council Support(Contract)Coordinator, $0 $2,400 Community Capacity Building-PC, LCD Monitor and office software Total 6190 New Corporate Projects $0 $2,400 Total 05-2196-004-25 New Corporate Projects ($2,400) $2,400 05-2196-004-26 New Corporate Projects I2823 Capital Paid from Property Taxes ($2,400) $0 6190 New Corporate Projects <-> New Position-Planning-Administration-Administrative $0 $2,400 Assistant-PC, LCD Monitor and office software I Total 6190 New Corporate Projects $0 $2,400 Total 05-2196-004-26 New Corporate Projects ($2,400) $2,400 05-2196-004-27 New Corporate Projects 1 2823 Capital Paid from Property Taxes ($2,400) $0 6190 New Corporate Projects . <-> New Position-Finance-Financial Analyst-PC, LCD Monitor and $0 $2,400 office software-Added-As per the Budget Committee Meeting of April 7 4.2 I I City of Pickering I2005 Explanation of Financing 2196 Information Technology Run Date:4/26/2005 9:16 AM 1 Funding Expense 1 Total 6190 New Corporate Projects $0 $2,400 Total 05-2196-004-27 New Corporate Projects ($2,400) $2,400 05-2196-004-29 New Corporate Projects I 2823 Capital Paid from Property Taxes ($2,400) $0 6190 New Corporate Projects <-> New Position-Legal Services-Administrative Assistant-PC, $0 $2,400 I LCD Monitor&office software-Added by C.A. O. , Total 6190 New Corporate Projects $0 $2,400 Total 05-2196-004-29 New Corporate Projects ($2,400) $2,400 ITotal New Corporate Projects ($214,450) $214,450 05-2196-001-01 System&Software Upgrades I 6174 System&Software Upgrades <-> MS-Office--Phase I $0 $65,000 <Deferred by TJQ> to 2006 $0 ($65,000) I Total 6174 System&Software Upgrades $0 $0 Total 05-2196-001-01 System&Software Upgrades $0 $0 05-2196-002-05 Hardware Replacements I 6175 Hardware Replacements <-> Corporate Laptop $0 $3,000 <Deferred by TJQ> to 2006 $0 ($3,000) I Total 6175 Hardware Replacements $0 $0 Total 05-2196-002-05 Hardware Replacements $0 $0 05-2196-003-15 IT Infrastructure I 6177 IT Infrastructure . <-> Deferred to 2005 by TJQ--Wireless Network--Integrate with $0 $22,000 computer network <Deferred by TJQ> to 2006 $0 ($22,000) ITotal 6177 IT Infrastructure $0 $0 Total 05-2196-003-15 IT Infrastructure $0 $0 05-2196-004-02 New Corporate Projects I 6190 New Corporate Projects <-> Fire-New Postion-Inspector-PC, LCD Monitor and office $0 $2,400 <-> Fire-New Postion-Secretary-PC, LCD Monitor and office $0 $2,400 I <Deferred by TJQ> to 2006 $0 ($4,800) Total 6190 New*Corporate Projects $0 $0 Total 05-2196-004-02 New Corporate Projects $0 $0 I05-2196-004-05 New Corporate Projects 6190 New Corporate Projects <-> Fire--Fire Dispatch System (first year of five year plan ) $0 $120,000 I <Deferred by TJQ> to 2006 $0 ($120,000) Total 6190 New Corporate Projects $0 $0 Total 05-2196-004-05 New Corporate Projects $0 $0 I05-2196-004-10 New Corporate Projects 6190 New Corporate Projects 1 43 • I City of Pickering 2005 Explanation of Financing I 2196 Information Technology Run Date•4/26/2005 9:16 AM Funding Expense <-> Corporation-Asset Bar Coding $0 $10,000 <Deferred by TJQ> to 2006 $0 ($10,000) Total 6190 New Corporate Projects $0 $0 Total 05-2196-004-10 New Corporate Projects $0 $0 III 05-2196-004-13 New Corporate Projects 6190 New Corporate Projects <-> C&R-Online Internet Registration $0 $44,000 I <Deferred by TJQ> to 2006 $0 ($44,000) Total 6190 New Corporate Projects $0 $0 Total 05-2196-004-13 New Corporate Projects $0 $0 05-2196-004-21 New Corporate Projects . 6190 New Corporate Projects <-> New Position- Finance-Admin Assistant-PC, LCD Monitor $0 $2,400 I and office software <-> Deleted-As per the Budget Committee Meeting of April 7&8, $0 ($2,400) <-> New Position-Records Management and Elections $0 $2,400 Coordinator- PC, LCD Monitor and office software <Deferred by TJQ> New Position-Records Management and $0 ($2,400) Elections Coordinator Total 6190 New Corporate Projects $0 $0 Total 05-2196-004-21 New Corporate Projects $0 $0 05-2196-004-28 New Corporate Projects 6190 New Corporate Projects I <-> New Position-Planning-Environmental Planner-PC, LCD $0 $2,400 Monitor&office software <Deferred by TJQ> to 2006 $0 ($2,400) Total 6190 New Corporate Projects $0 $0 Total 05-2196-004-28 New Corporate Projects $0 $0 Total Deferred $0 $0 I Total Funding&Expense ($518,605) $518,605 I I I I I 44 1 1 CITY OF PICKERING 2004 - 2007 CAPITAL BUDGET 2190 Corporate Projects Run Date:Dept Capital sass 00 Report Name Dept Capital 20042007 2004 2005 2006/2007 BUDGET.' BUDGET BUDGET EXPENDITURES 6190 New Corporate Projects $0 $506,450 $42,100 1 Total EXPENDITURES $01 $506,450 $42,100 FINANCING 1623 Provincial Grants $0 ($375,000) $0 2823 Capital Paid from Property Taxes $0 ($131,450) ($42,100) Total FINANCING I $0I ($506,450) ($42,100) 1 1 1 New Corporate Projects includes the GeoSmart project ($459,150) that was approved by Council Resolution #7/05. 1 1 1 1 1 1 1 1 1 1 • 45 1 2005 Capital Expenditures Background Information 1 Run Date:4/20/2005 9:56 AM , 2190 Corporate Projects Report Name: Captial Pro)-Exp.2005 2005 Budget ' 6190 New Corporate Projects New Corporate Projects 05-2190-004-01 GeoSmart Project <-> Data Collection & Conversion $85,650 <-> Hardware $48,388 1 <-> Marketing $1,000 <-> Other (Requirements Analysis/Functional Specifications Document) $26,000 <-> Project Management $45,000 <-> Software $117,732 <-> Systems Integration / Configuration $78,380 111<-> Training $25,000 <-> Database Development & Enhancement $32,000 Total 05-2190-004-01 GeoSmart Project $459,150 05-2190-004-02 Telephone System <-> Back-up system for data/voice communications between Civic $32,400 Complex and Operations Centre 1 Total 05-2190-004-02 Telephone System $32,400 05-2190-004-03 Telephone System <-> Replacement of Voicemail Server ( 4 years old ) hardware and $14,900 ' software. Total 05-2190-004-03 Telephone System $14,900 Total New Corporate Projects $506,450 Deferred 05-2190-004-05 Disaster Recovery Project I <-> Restoration of basic telephone service $42,100 <Deferred by TJQ> to 2006 ($42,100) Total 05-2190-004-05 Disaster Recovery Project $0 I Total Deferred $0 Total 6190 New Corporate Projects $506,450 Total New Corporate Projects $506,450 Total Expenditures $506,450 1 . 1 1 46 1 I I City of Pickering 2005 Explanation of Financing 1 2190 Corporate Projects Run Date:4/20/2005 10:36 AM Funding Expense - 1 New Corporate Projects 05-2190-004-01 GeoSmart Project 1623 Provincial Grants ($375,000) $0 1 2823 Capital Paid from Property Taxes ($84,150) $0 6190 New Corporate Projects <-> Data Collection & Conversion R $0 $85,650 I <-> Hardware $0 $48,388 <-> Marketing $0 $1,000 <-> Other(Requirements Analysis/Functional Specifications $0 $26,000 I <-> Project Management $0 $45,000 <-> Software $0 $117,732 <-> Systems Integration/Configuration $0 $78,380 <-> Training $0 $25,000 <-> Database Development& Enhancement $0 $32,000 Total 6190 New Corporate Projects $0 $459,150 I Total 05-2190-004-01 GeoSmart Project ($459,150) $459,150 05-2190-004-02 Telephone System 2823 Capital Paid from Property Taxes ($32,400) $0 I 6190 New Corporate Projects <-> Back-up system for data/voice communications between Civic $0 $32,400 Complex and Operations Centre 1 Total 6190 New Corporate Projects Total $0 $32,400 05-2190-004-02 Telephone System ($32,400) $32,400 05-2190-004-03 Telephone System 1 2823 Capital Paid from Property Taxes ($14,900) $0 6190 New Corporate Projects <-> Replacement of Voicemail Server (4 years old) $0 $14,900 I hardware and software. • Total 6190 New Corporate Projects $0 $14,900 Total 05-2190-004-03 Telephone System ($14,900) $14,900 I Total New Corporate Projects ($506,450) $506,450 Deferred 05-2190-004-05 Disaster Recovery Project I 6190 New Corporate Projects <-> Restoration of basic telephone service $0 $42,100 <Deferred by TJQ> to 2006 $0 ($42,100) I Total 6190 New Corporate Projects $0 $0 Total 05-2190-004-05 Disaster Recovery Project $0 $0 Total Deferred $0 $0 1 Total Funding& Expense ($506,450) $506,450 I 1 47 1 GeoSmart Project Summary ' GeoSmart Project consists of three Funding Components: City's Contribution 2004 Budget Current $ 37,000 Capital 124,500 • Total 161,500 $ 161,500 2005 Budget Current - Capital 84,150 Total 84,150 84,150 Total City Contribution 245,650 $ 245,650 GeoSmart Grant (Reflected in the 2005 Budget) 375,000 Total Cash Contribution $ 620,650 $ 620,650 ' In-Kind Contribution Consulting Discounts $ 92,903 Hardware/ Software Discounts 62,260 • 155,163 155,163 ' Total GeoSmart Project Value $ 775,813 1 Explanation of 2005 Budget • ' City Contribution $ 84,150 GeoSmart Grant 375,000 ' 2005 Budget $ 459,150 1 1 1 48 I CITY OF PICKERING 2004 -2007 CAPITAL BUDGET 1 Operations & Emergency Services Run Date:4/2apital 9:20 AM P 9 Report Name: Dept Capital 2004-2007 2004 2005 2006/2007 BUDGET BUDGET BUDGET EXPENDITURES 6001 Top Coat $80,000 $0 $0 I 6002 Other Projects $0 $0 $20,000 6003 Road Construction $50,000 $2,462,000 $2,290,000 6004 Damaged/Failing Infrastructure $0 $1,780,300 $1,450,000 I6007 Traffic Signals $115,000 $0 $125,000 6008 Road Rehabilitation $0 $30,000 $0 I 6108 New Construction 6129 Parks $1,290,000 $475,000 $2,800,000 $740,000 $765,000 $3,640,000 6149 Restoration-Museum Buildings $380,000 $563,200 $318,500 I 6157 Vehicles 6173 Furniture&Fixtures $632,000. $1,010,000 $1,580,000 $21,415 $28,000 $34,900 6176 Office Machines and Equipment $0 $0 $15,000 I 6178 Miscellaneous Equipment $1,270,300 $592,900 $1,608,900 6181 Other Fixed Assets $1,363,000 $1,539,000 $22,767,500 6182 Frenchmans Bay Rehabilitation $01 $100,000 $375,000 I. 6183 Accessibility Budget $25,000 $25,000 $100;000 6186 New Fire Hall $0 $0 $0 Total EXPENDITURES $5,966,7151 $9,370,4001 $37,124,800 IFINANCING 1605 Internal Loan/Dealer Financing ($70,000) ($110,000) $0 I 1608 Easement Settlement Agreement Reserve $0 ($969,550) $0 1610 Federal Grants $0 ($1,153,500) $0 1623 Provincial Grants ($1,006,000) $0 $0 I 2823 Capital Paid from Property Taxes ($1,169,615) ($1,880,100) ($30,409,800) 4225 Reserve Fund-Comm. Facilities ($190,000) ($25,000) $0 4228 Capital Works Projects ($250,000) $0 $0 I4230 Reserve Fund-Parkland _ ($515,000) ($650,000) $0 4232 Public Works Services ($130,000) ($100,000) $0 4611 Replacement of Capital Equipment ($88,000) ($76,000) $0 I4623 Rec.Complex Arena Reserve $0 ($120,000) $0 4903 Debt(5 year) ($792,000) $0 $0 I 4905 Donations 4906 Debt(10 year) ($336,100) ($96,000) ($500,000) ($1,420,000) ($3,372,800) ($3,215,000) 4908 Debt(20 year) $0 ($700,000) ($3,000,000) I 5004 DC-Sidewalks&Street Lights $0 ($30,000) $0 5010 DC-Major Recreation Facilities 1 $0 ($87,450) $0 Total FINANCING ($5,966,715) ($9,370,400)1($37,124,800) 49 I . I CITY OF PICKERING 2004 - 2007 CAPITAL BUDGET 1 2240 Fire Protection Run Date:4/20/2005 9:56 AM Report Name: Dept Capital 2004-2007 2004 2005 2006/2007 IBUDGET BUDGET BUDGET EXPENDITURES I 6157 Vehicles $410,000 $600,000 $1,260,000 6173 Furniture& Fixtures $0 $25,000 $30,000 6176 Office Machines and Equipment $0 $0 $15,000 1 6178 Miscellaneous Equipment $100,000 $193,400 $150,600 6181 Other Fixed Assets $50,000 $10,000 $3,547,000 r 6186 New Fire Hall $0 $0 $0 Total EXPENDITURES $560,000 $828,4001 $5,002,600 FINANCING 3 1605 Internal Loan/Dealer Financing ($30,000) $0 $0 2823 Capital Paid from Property Taxes ($150,000) ($228,400) ($1,502,600) I 4905 Donations $0 $0 ($500,000) 4906 Debt(10 year) ($380,000) ($600,000) $0 4908 Debt(20 year) $0 $0 ($3,000,000) I Total FINANCING ($560,000) ($828,400) ($5,002,600) 1 1 I i I I I I I I 50 , I 2005 Capital Expenditures • Background Information II 2240 Fire Protection Run Date:4/20/200510:31 AM Report Name: Captial Proj-Exp.2005 2005 Budge I 6157 Vehicles Vehicles I 05-2240-001-00 Vehicles <-> Pumper Replacement -Vehicle# 504 - 1990 Telesquirt $600,000 Total 05-2240-001-00 Vehicles $600,000 Total Vehicles $600,000 Deleted 05-2240-001-04 Vehicles • <-> Deferred to 2005 by TJQ -- Vehicle for Proposed Inspector $28,000 <Deleted by TJQ> ($28,000) Total 05-2240-001-04 Vehicles $0 Total Deleted $0 1 Deferred 05-2240-001-02 Vehicles I <-> Replacement - Vehicle # 525 -Platoon Chief $60,000 <Deferred by TJQ> to 2006 ($60,000) I Total 05-2240-001-02 Vehicles $0 05-2240-001-03 Vehicles <-> Replacement -Vehicle# 526 - Backup command vehicle -Training $40,000 <Deferred by TJQ> to 2006 ($40,000) Total 05-2240-001-03 Vehicles $0 Total Deferred $0 Total 6157 Vehicles $600,000 Total Vehicles $600,000 6173 Furniture & Fixtures Furniture &_Fixtures 05-2240-002-00 Furniture & Fixtures _ <=> Replacement - Furniture for existing Fire Stations $10,000 Total 05-2240-002-00 Furniture & Fixtures $10,000 I 05-2240-002-02 Furniture & Fixtures <-> Replacement -Washing Machine for Bunker Gear at Station #2 $15,000 . Total 05-2240-002-02 Furniture & Fixtures $15,000 Total Furniture & Fixtures $25,000 Deferred 11 05-2240-002-01 Furniture & Fixtures 51 • I 2005 Capital Expenditures Background Information • I 2240 Fire Protection Run Date:4/20/200510:31 AM Report Name: Captial Proj-Exp.2005 2005 IBudge I <-> Deferred to 2005 by TJQ -- New Positions -- Clerk Typist and Fire $10,000 Inspector I -Workstation and Chair <Deferred by TJQ> to 2006 ($10,000) Total 05-2240-002-01 Furniture & Fixtures $0 Total Deferred $0 Total 6173 Furniture & Fixtures $25,000 ITotal Furniture& Fixtures $25,000 6178 Miscellaneous Equipment Miscellaneous Equipment 05-2240-004-00 Miscellaneous Equipment <-> 10 SCBA Masks (replacement) $4,000 I <-> 10 SCBA Complete Units (replacement) $36,300 <-> 10 SCBA Cylinders (replacement) $14,000 I Total 05-2240-004-00 Miscellaneous Equipment $54,300 05-2240-004-01 Miscellaneous Equipment <-> Fire Hose (replacement) $5,000 ITotal 05-2240-004-01 Miscellaneous Equipment $5,000 05-2240-004-02 Miscellaneous Equipment <-> Deferred to 2005 by TJQ -- 3 Nozzles (for 2004 Pumper) $6 000 Total 05-2240-004-02 Miscellaneous Equipment $6,000 05-2240-004-03 Miscellaneous Equipment II <-> 2 Fragmentation Chambers for refilling SCBA- JHSC $20,000 Total 05-2240-004-03 Miscellaneous Equipment $20,000 1 05-2240-004-04 Miscellaneous Equipment <-> Ancillary equipment for Fire Rescue Readiness $80,000 05-2240-004-04 Miscellaneous Equipment $80,000 I 05-2240-004-05 Miscellaneous Total Equipment <-> Batteries for portable radios (replacement) of 50% of stock $15,000 Total 05-2240-004-05 Miscellaneous Equipment $15,000 05-2240-004-06 Miscellaneous Equipment I <-> Table Top Display Board - Fire Prevention $1,300 Total 05-2240-004-06 Miscellaneous Equipment $1,300 05-2240-004-07 Miscellaneous Equipment 1 __ <-> Digital Camera - Fire Prevention $800 Total 05-2240-004-07 Miscellaneous Equipment $800 I 52 1 2005 Capital Expenditures Background Information 2240 Fire Protection Run Date:4/20/2005 10.31 AM Report Name: Captial Proj-Exp.2005 2005 Budget 05-2240-004-08 Miscellaneous Equipment <-> Propane fire - Live fire extinguisher demonstration plan $8,000 Total 05-2240-004-08 Miscellaneous Equipment $8,000 . 05-2240-004-09 Miscellaneous Equipment <-> Flammable/Combustible LiquidsNapour Hand Held Detection Meter $3,000 Total 05-2240-004-09 Miscellaneous Equipment $3,000 Total Miscellaneous Equipment $193,400 Total 6178 Miscellaneous Equipment $193,400 Total"falai Miscellaneous Equipment $193,400 $ 6181 Other Fixed Assets Other Fixed Assets 05-2240-005-00 Other Fixed Assets <-> Paint Interior of Fire Station #5 $10,000 Total 05-2240-005-00 Other Fixed Assets $10,000 I Total Other Fixed Assets $10,000 Deferred 05-2240-005-03 Other Fixed Assets `1 <-> Deferred to 2005 by TJQ -- Costs associated with the construction of $3,500,000 the new fire hall. Project to be debt financed over 20 years. <Deferred by TJQ> to 2006 ($3,500,000) Total 05-2240-005-03 Other Fixed Assets $0 Total Deferred $0 I Total 6181 Other Fixed Assets $10,000 Total Other Fixed Assets $10,000 Total Expenditures i $828,400 I I I 53 1 I City of Pickering 2005 Explanation of Financing I2240 Fire Protection Run Date:4/20/2005 10:36 AM Funding Expense 1 Vehicles • 05-2240-001-00 Vehicles 4906 Debt(10 year) ($600,000) $0 6157 Vehicles <-> Pumper Replacement-Vehicle#504- 1990 Telesquirt $0 $600,000 Total 6157 Vehicles $0 $600,000 Total 05-2240-001-00 Vehicles ($600,000) $600,000 Total Vehicles ($600,000) $600,000 IFurniture&Fixtures . 05-2240-002-00 Furniture& Fixtures 2823 Capital Paid from Property Taxes ($10,000) $0 6173 Furniture& Fixtures <-> Replacement-Furniture for existing Fire Stations $0 $10,000 Total 6173 Furniture& Fixtures $0 $10,000 I Total 05-2240-002-00 Furniture& Fixtures ($10,000) $10,000 05-2240-002-02 Furniture&Fixtures 2823 Capital Paid from Property Taxes ($15,000) $0 I 6173 Furniture& Fixtures <-> Replacement-Washing Machine for Bunker Gear at Station#2 $0 $15,000 Total 6173 Furniture& Fixtures $0 $15,000 Total 05-2240-002-02 Furniture& Fixtures ($15,000) $15,000 Total Furniture&Fixtures ($25,000) $25,000 Miscellaneous Equipment I05-2240-004-00 Miscellaneous Equipment 2823 Capital Paid from Property Taxes ($54,300) $0 6178 Miscellaneous Equipment I <-> 10 SCBA Masks(replacement) $0 $4,000 <-> 10 SCBA Complete Units (replacement) $0 $36,300 <-> 10 SCBA Cylinders (replacement) $0 $14,000 Total 6178 Miscellaneous Equipment $0 $54,300 Total 05-2240-004-00 Miscellaneous Equipment ($54,300) $54,300 05-2240-004-01 Miscellaneous Equipment 2823 Capital Paid from Property Taxes ($5,000) $0 I6178 Miscellaneous Equipment <-> Fire Hose(replacement) $0 $5,000 Total 6178 Miscellaneous Equipment $0 $5,000 ITotal 05-2240-004-01 Miscellaneous Equipment ($5,000) $5,000 05-2240-004-02 Miscellaneous Equipment 2823 Capital Paid from Property Taxes ($6,000) $0 I6178 Miscellaneous Equipment <-> Deferred to 2005 by TJQ --3 Nozzles(for 2004 Pumper) $0 $6,000 Total 6178 Miscellaneous Equipment $0 $6,000 Total 05-2240-004-02 Miscellaneous Equipment ($6,000) $6,000 05-2240-004-03 Miscellaneous Equipment 2823 Capital Paid from Property Taxes ($20,000) $0 1 54 • I City of Pickering 2005 Explanation of Financing Oh 2240 Fire Protection Run Date:4/20/2005 10:36 AM Funding Expense 6178 Miscellaneous Equipment <-> 2 Fragmentation Chambers for refilling SCBA-JHSC $0 $20,000 Recommendation Total 6178 Miscellaneous Equipment $0 $20,000 Total 05-2240-004-03 Miscellaneous Equipment ($20,000) $20,000 05-2240-004-04 Miscellaneous Equipment 2823 Capital Paid from Property Taxes ($80,000) $0 6178 Miscellaneous Equipment <-> Ancillary equipment for Fire Rescue Readiness $0 $80,000 Total 6178 Miscellaneous Equipment $0 $80,000 Total 05-2240-004-04 Miscellaneous Equipment ($80,000) $80,000 05-2240-004-05 Miscellaneous Equipment 2823 Capital Paid from Property Taxes ($15,000) $0 6178 Miscellaneous Equipment <-> Batteries for portable radios(replacement)of 50%of stock $0 $15,000 Total 6178 Miscellaneous Equipment $0 $15,000 II ' Total 05-2240-004-05 Miscellaneous Equipment ($15,000) $15,000 05-2240-004-06 Miscellaneous Equipment 2823 Capital Paid from Property Taxes ($1,300) $0 6178 Miscellaneous Equipment <-> Table Top Display Board-Fire Prevention $0 $1,300 Total 6178 Miscellaneous Equipment $0 $1,300 '� Total 05-2240-004-06 Miscellaneous Equipment ($1,300) $1,300 05-2240-004-07 Miscellaneous Equipment ii 2823 Capital Paid from Property Taxes ($800) $0 6178 Miscellaneous Equipment <-> Digital Camera-Fire Prevention $0 $800 Total 6178 Miscellaneous Equipment $0 $800 , Total 05-2240-004-07 Miscellaneous Equipment ($800) $800 05-2240-004-08 Miscellaneous Equipment 2823 Capital Paid from Property Taxes ($8,000) $0 II 6178 Miscellaneous Equipment <-> Propane fire-Live fire extinguisher demonstration plan $0 $8,000 Total 6178 Miscellaneous Equipment $0 $8,000 Total 05-2240-004-08 Miscellaneous Equipment ($8,000) $8,000 05-2240-004-09 Miscellaneous Equipment 2823 Capital Paid from Property Taxes ($3,000) $0 I 6178 Miscellaneous Equipment <-> Flammable/Combustible LiquidsNapour Hand Held Detection $0 $3,000 Total 6178 Miscellaneous Equipment $0 $3,000 II Total 05-2240-004-09 Miscellaneous Equipment ($3,000) $3,000 Total Miscellaneous Equipment ($193,400) $193,400 Other Fixed Assets 05-2240-005-00 Other Fixed Assets i 2823 Capital Paid from Property Taxes ($10,000) $0 i 5 i I City of Pickering 2005 Explanation of Financing 1 2240 Fire Protection Run Date:4/20/2005 10:36 AM • I Funding Expense 6181 Other Fixed Assets <-> Paint Interior of Fire Station#5 $0 $10,000 r Total 6181 Other Fixed Assets $0 $10,000 Total 05-2240-005-00 Other Fixed Assets ($10,000) $10,000 Total Other Fixed Assets ($10,000) $10,000 I Deleted 05-2240-001-04 Vehicles 6157 Vehicles I <-> Deferred to 2005 by TJQ--Vehicle for Proposed Inspector $0 $28,000 <Deleted by TJQ> $0 ($28,000) Total 6157 Vehicles $0 $0 Total 05-2240-001-04 Vehicles $0 $0 Total Deleted $0 $0 Deferred I 05-2240-001-02 Vehicles . 6157 Vehicles <-> Replacement-Vehicle#525-Platoon Chief $0 $60,000 I <Deferred by TJQ> to 2006 $0 ($60,000) Total 6157 Vehicles $0 $0 Total 05-2240-001-02 Vehicles $0 $0 05-2240-001-03 Vehicles I 6157 Vehicles <-> Replacement-Vehicle#526-Backup command vehicle- $0 $40,000 Training Officer II <Deferred by TJQ> to 2006 $0 ($40,000) Total 6157 Vehicles $0 $0 Total 05-2240-001-03 Vehicles $0 $0 1 05-2240-002-01 Furniture& Fixtures 6173 Furniture& Fixtures <-> Deferred to 2005 by TJQ--New Positions—Clerk Typist and $0 $10,000 I Fire Inspector I -Workstation and Chair <Deferred by TJQ> to 2006 $0 ($10,000) Total 6173 Furniture& Fixtures $0 $0 Total 05-2240-002-01 Furniture&Fixtures $0 $0 05-2240-005-03 Other Fixed Assets 6181 Other Fixed Assets I <-> Deferred to 2005 by TJQ--Costs associated with the $0 $3,500,000 construction of the new fire hall. Project to be debt financed over 20 <Deferred by TJQ> to 2006 , . $0 ($3,500,000) I Total 6181 Other Fixed Assets $0 $0 Total 05-2240-005-03 Other Fixed Assets $0 $0 Total Deferred $0 $0 ITotal Funding& Expense ($828,400) $828,400 i 56 CITY OF PICKERING 2004 - 2007 CAPITAL BUDGET $ 2290 Mun. Prop. Eng. & Admin. Run Date:4/20/20059:56AM Report Name: Dept Capital 2004-2007 2004 2005 2006/2007 IBUDGET BUDGET BUDGET EXPENDITURES 6157 Vehicles $0 $0 $80,000 6173 Furniture& Fixtures $0 $0 $2,000 6178 Miscellaneous Equipment $5,000 $3,500 $0 1 Total EXPENDITURES $5,000 $3,5001 $82,000 FINANCING 2823 Capital Paid from Property Taxes ($5,000) ($3,500) ($82,000) Total FINANCING ($5,000). ($3,500)1 ($82,000) I L . I 1 ' I 1 I 1 1 I I 5 ? 1 2005 Capital Expenditures Background Information & Run Date:4/20/2005 10:35 AM & 2290 Mun. Prop. Eng. Admin. Report Name: CaptialProj-Exp.2005 2005 Budget 6178 Miscellaneous Equipment 05-2290-004-00 Miscellaneous Equipment J <-> 6 Drawer Lateral Filing Cabinets (2) $3,500 Total Expenditures $3,500 . 1 I a I I I I 1 58 1 I . 1 City of Pickering 2005 Explanation of Financing 0 . 2290 Mun.Prop.Eng.&Admin. Run Date:4/20/2005 10:36 AM Funding Expense Miscellaneous Equipment 05-2290-004-00 Miscellaneous Equipment I 2823 Capital Paid from Property Taxes ($3,500) $0 6178 Miscellaneous Equipment <-> 6 Drawer Lateral Filing Cabinets(2) $0 $3,500 ii Total 6178 Miscellaneous Equipment $0 $3,500 Total 05-2290-004-00 Miscellaneous Equipment ($3,500) $3,500 Total Miscellaneous Equipment ($3,500) $3,500 ITotal Funding& Expense ($3,500) $3,500 I I I I I I I $ I I I I 59 1 CITY OF PICKERING 2004 - 2007 CAPITAL BUDGET 2320 Roads Run Date:4/26/2005 9:21 AM Report Name: Dept Capital 2004-2007 2004 2005 2006/2007 IBUDGET BUDGET BUDGET EXPENDITURES 1 I 6001 Top Coat $80,000 $0 $0 6002 Other Projects $0 $0 $20,000 6003 Road Construction $50,000 $2,462,000 $2,290,000 1 6004 Damaged/Failing Infrastructure $0 $1,780,300 $1,450,000 6008 Road Rehabilitation $0 $30,000 $0 I 6157 Vehicles $222,000 $230,000 $240,000 6178 Miscellaneous Equipment $455,000 $4,000 $710,000 Total EXPENDITURES $807,0001 $4,506,3001 $4,710,000 1 FINANCING 1608 Easement Settlement Agreement Reserve $0 ($392,000) $0 1610 Federal Grants $0 ($1,153,500)1 $0 I1623 Provincial Grants ($6,000) $0 $0 2823 Capital Paid from Property Taxes ($9,000) ($144,000) ($4,195,000) I4232 Public Works Services ($130,000) ($100,000) $0 4903 Debt(5 year) ($662,000) $0 $0 4906 Debt(10 year) $0 ($2,016,800) ($515,000) I4908 Debt(20 year) $0 ($700,000) $0 Total FINANCING ($807,000)1 ($4,506,300)1 ($4,710,000) I - I I I II I • I 1 I 60 2005 Capital Expenditures Background Information 2320 Roads Run Date:4/25/2005 10:27 AM Report Name: Captial Prof-Exp.2005 2005 Budges J 6157 Vehicles Vehicles 05-2320-001-00 Vehicles <-> Replacement -Vehicle # 089 - 1993 4 Ton Dump Truck $190,000 I Total 05-2320-001-00 Vehicles $190,000 05-2320-001-01 Vehicles <-> New Utility Vehicle - Road Patrols/Inspections (Minimal Maintenance $40,000 Standards) Total 05-2320-001-01 Vehicles $40,000 Total Vehicles $230,000 _ v Total 6157 Vehicles $230,000 6178 Miscellaneous Equipment Total Vehicles _ � $230,000 Miscellaneous Equipment 05-2320-004-01 Miscellaneous Equipment <-> Deferred to 2005 by TJQ -- Self Levelling Laser Survey Equipment $2,500 Total 05-2320-004-01 Miscellaneous Equipment $2,500 05-2320-004-02 Miscellaneous Equipment <-> Deferred to 2005 by TJQ --Automatic Construction Level & $1,500 Accessories (Field measuring for Municipal Projects) Total 05-2320-004-02 Miscellaneous Equipment $1,500 Total Miscellaneous Equipment $4,000 Deferred 05-2320-004-03 Miscellaneous Equipment <-> Loader- Replacement for Unit#118 (1995) $170,000 <Deferred by TJQ> to 2006 ($170,000) Total 05-2320-004-03 Miscellaneous Equipment $0 Total Deferred $0 Total 6178 Miscellaneous Equipment $4,000 Total Miscellaneous Equipment $4,000 6003 Road Construction Roads J 05-2320-008-00 Road Construction <-> Liverpool Road - Great Lakes Nautical Theme - Millennium Square to $700,000 north of Wharf Street, including underground utility conversion Total 05-2320-008-00 Road Construction $700,000 61 1 1 2005 Capital Expenditures Background Information I 2320 Roads Run Date•4/25/2005 10:27 AM Report Name: Captial Proj-Exp.2005 2005 I Budge 05-2320-008-02 Road Construction I <-> Concession 7 - York Line to Sideline 28 $375,000 <-> Reduced - Concession 7 - York Line to Sideline 32 -As per the ($200,000) I Budget Committee Meeting of April 7 & 8, 2005. Total 05-2320-008-02 Road Construction j $175,000 05-2320-008-03 Road Construction I <-> Rougemount Overlay $100,000 Total 05-2320-008-03 Road Construction $100,000 05-2320-008-04 Road Construction <-> Deferred to 2005 by TJQ -- Sheppard Avenue - Old Forest Road to $600,000 Altona Road - Phase II (Slope Retention & Guiderails) Total 05-2320-008-04 Road Construction $600,000 II 05-2320-008-06 Road Construction <-> Sideline 16 North of 407-Phase I-full load road to Dutchmaster $200,000 I Nurseries-Added-As per the Budget Committee Meeting of April 7 & 8, 2005. Total 05-2320-008-06 Road Construction $200,000 05-2320-008-11 Road Construction I <-> Park Crescent -Added -As per the Budget Committee Meeting of $75,000 April 7 & 8, 2005. Total 05-2320-008-11 Road Construction $75,000 I05-2320-008-12 Road Construction <-> Land acquisition for road re-alignment at Rosebank and Finch j $20,000 i , Total 05-2320-008-12 Road Construction $20,000 05-2320-008-13 Road Construction <-> Sandy Beach Road - Preliminary engineering and design - Added - $275,000 IAs per the Budget Committee Meeting of April 7 & 8, 2005. Total 05-2320-008-13 Road Construction $275,000 I 05-2320-008-14 Road Construction <-> Brougham Road - Pulverize and asphalt overlay from RR#1 to Hwy $85,000 #7 - Added -As per the Budget Committee Meeting of April 7 & 8, 2005. I 05-2320-008-15 Road Construction Total 05-2320-008-14 Road Construction $85,000 <-> . Hoxton Street - Surface treatment from Old Brock Road to Pickering - $171,000 I Uxbridge Townline Road -Added -As per the Budget Committee Meeting of April 7 & 8, 2005. Total 05-2320-008-15 Road Construction I $171,000 05-2320-008-16 Road Construction I 62 I 2005 Capital Expenditures Background Information 2320 Roads Run Date:4/25/2005 10:27 AM Report Name: Captial Prot-Exp.2005 2005 Budget <-> Westney Road - Surface treatment from RR#5 to Sandtrap Court - $61,000 Added - As per the Budget Committee Meeting of April 7 & 8, 2005. Total 05-2320-008-16 Road Construction $61,000 Total Roads $2,462,000 Deleted 05-2320-008-01 Road Construction <-> Appleview Road (Phase I) Dunbarton to 80m North (West Nile Virus $150,000 Prevention) <-> Deleted --As per the Budget Committee Meeting of April 7 & 8, 2005. 1 ($150,000) Total 05-2320-008-01 Road Construction $0 05-2320-008-05 Road Construction <-> Helen Cres. Stormsewer and Road Improvements $125,000 <-> Deleted -As per the Budget Committee Meeting of April 7 & 8, 2005. ($125,000) Total 05-2320-008-05 Road Construction $0 Total Deleted $0 �. Deferred 05-2320-008-07 Road Construction <-> Trellis Court $60,000 1 <Deferred by TJQ> to 2006 ($60,000) Total 05-2320-008-07 Road Construction $0 05-2320-008-08 Road Construction <-> Radom Culvert - Design and Approval Reports $200,000 <Deferred by TJQ> to 2006 ($200,000) Total 05-2320-008-08 Road Construction ( $0 05-2320-008-09 Road Construction <-> Brands Court $180,000 <Deferred by TJQ> to 2006 ($180,000) Total 05-2320-008-09 Road Construction $0 05-2320-008-10 Road Construction <-> Conc. 6 - Greenwood to Hwy 7 _ $275,000 j <Deferred by TJQ> to 2006 ($275,000) Total 05-2320-008-10 Road Construction $0 Total Deferred $0 Total 6003 Road Construction $2,462,000 Total Road Construction $2,462,000 6004 Damaged/Failing Infrastructure 63 I I 2005 Capital Expenditures Background Information I 2320 Roads Run Date:4/25/2005 10:27 AM Report Name: Captial Prof-Exp.2005 2005 I Budge Other Fixed Assets 1 05-2320-009-02 Damaged/Failing Infrastructure <-> Dunbarton Road Culvert Replacement-Detailed Design & Approvals $50,000 1 Total 05-2320-009-02 Damaged/Failing Infrastructure $50,000 05-2320-009-03 Damaged/Failing Infrastructure I <-> COMRIF - Palmer Bridge $453,200 Total 05-2320-009-03 Damaged/Failing Infrastructure $453,200 05-2320-009-04 Damaged/Failing Infrastructure 1 <-> COMRIF - Greenwood Bridge $460,900 Total 05-2320-009-04 Damaged/Failing Infrastructure $460,900 1 05-2320-009-05 Damaged/Failing Infrastructure <-> COMRIF - Michell Bridge $257,400 J Total 05-2320-009-05 Damaged/Failing Infrastructure $257,400 05-2320-009-06 Damaged/Failing Infrastructure <-> COMRIF - Reesor Creek Bridge $267,300 I _ Total 05-2320-009-06 Damaged/Failing Infrastructure $267,300 05-2320-009-07 Damaged/Failing Infrastructure I <-> COMRIF - Bulmer Bridge $291,500 Total 05-2320-009-07 Damaged/Failing Infrastructure $291,500 Total Other Fixed Assets $1,780,300 Total 6004 Damaged/Failing Infrastructure $1,780,300 Total Damaged/Failing Infrastructure $1,780,300 III6008 Road Rehabilitation Roads I 05-2320-010-01 Road Rehabilitation <-> Deferred to 2005 by TJQ•-- Road Rehabilitation -- Various I $30,000 Locations--Resurfacing including intersection improvements Brock @ Bayly ( Region Project ) Total 05-2320-010-01 Road Rehabilitation 1 $30,000 Total Roads $30,000 1 Total 6008 Road Rehabilitation $30,000 Total Road Rehabilitation ;.: $30,000 Total Expenditures $4,506,300 1 64 I • . City of Pickering 2005 Explanation of Financing I2320 Roads Run Date:4/26/2005 9:22 AM Funding Expense Vehicles 05-2320-001-00 Vehicles I 4906 Debt(10 year) ($190,000) $0 6157 Vehicles <-> Replacement-Vehicle#089- 1993 4 Ton Dump Truck $0 $190,000 1 Total 6157 Vehicles $0 $190,000 Total 05-2320-001-00 Vehicles ($190,000) $190,000 05-2320-001-01 Vehicles I 2823 Capital Paid from Property Taxes ($40,000) $0 6157 Vehicles <-> New Utility Vehicle-Road Patrols/Inspections(Minimal $0 $40,000 Maintenance Standards) 1 Total 6157 Vehicles $0 $40,000 Total 05-2320-001-01 Vehicles ($40,000) $40,000 Total Vehicles ($230,000) $230,000 I Miscellaneous Equipment 05-2320-004-01 Miscellaneous Equipment 2823 Capital Paid from Property Taxes ($2,500) $0 6178 Miscellaneous Equipment <-> Deferred to 2005 by TJQ--Self Levelling Laser Survey $0 $2,500 Total 6178 Miscellaneous Equipment $0 $2,500 I Total 05-2320-004-01 Miscellaneous Equipment ($2,500) $2,500 05-2320-004-02 Miscellaneous Equipment 2823 Capital Paid from Property Taxes ($1,500) $0 I 6178 Miscellaneous Equipment <-> Deferred to 2005 by TJQ--Automatic Construction Level& $0 $1,500 Accessories (Field measuring for Municipal Projects) I Total 6178 Miscellaneous Equipment Total 05-23 $0 $1,500 05-2320-004-02 Miscellaneous Equipment ($1,500) $1,500 Total Miscellaneous Equipment ($4,000) $4,000 II Other Fixed Assets 05-2320-009-02 Damaged/Failing Infrastructure 2823 Capital Paid from Property Taxes ($50,000) $0 I 6004 Damaged/Failing Infrastructure <-> Dunbarton Road Culvert Replacement-Detailed Design& $0 $50,000 Total 6004 Damaged/Failing Infrastructure $0 $50,000 I Total 05-2320-009-02 Damaged/Failing Infrastructure ($50,000) $50,000 05-2320-009-03 Damaged/Failing Infrastructure 1610° Federal Grants ($302,125) $0 I 4906 Debt(10 year) ($151,075) $0 6004 Damaged/Failing Infrastructure <-> COMRIF-Palmer Bridge $0 $453,200 I Total 6004 Damaged/Failing Infrastructure $0 $453,200 Total 05-2320-009-03 Damaged/Failing Infrastructure ($453,200) $453,200 05-2320-009-04 Damaged/Failing Infrastructure I 65 City of Pickering 2005 Explanation of Financing • 2320 Roads Run Date:4/26/2005 9:22 AM Funding Expense 1610 Federal Grants ($307,250) $0 4906 Debt(10 year) ($153,650) $0 6004 Damaged/Failing Infrastructure <-> COMRIF-Greenwood Bridge $0 $460,900 Total 6004 Damaged/Failing Infrastructure $0 $460,900 Total 05-2320-009-04 Damaged/Failing Infrastructure ($460,900) $460,900 05-2320-009-05 Damaged/Failing Infrastructure 1610 Federal Grants ($171,600) $0 4906 Debt(10 year) ($85,800) $0 6004 Damaged/Failing Infrastructure <-> COMRIF-Michell Bridge $0 $257,400 Total 6004 Damaged/Failing Infrastructure $0 $257,400 Total 05-2320-009-05 Damaged/Failing Infrastructure ($257,400) $257,400 05-2320-009-06 Damaged/Failing Infrastructure 1610 Federal Grants ($178,200) $0 4906 Debt(10 year) ($89,100) $0 6004 Damaged/Failing Infrastructure <-> COMRIF -Reesor Creek Bridge _ $0 $267,300 Total 6004 Damaged/Failing Infrastructure $0 $267,300 Total 05-2320-009-06 Damaged/Failing Infrastructure ($267,300) $267,300 05-2320-009-07 Damaged/Failing Infrastructure 1610 Federal Grants ($194,325) $0 4906 Debt(10 year) ($97,175) $0 6004 Damaged/Failing Infrastructure <-> COMRIF-Bulmer Bridge $0 $291,500 . Total 6004 Damaged/Failing Infrastructure $0 $291,500 Total 05-2320-009-07 Damaged/Failing Infrastructure ($291,500) $291,500 Total Other Fixed Assets ($1,780,300) $1,780,300 II Roads 05-2320-008-00 Road Construction 4908 Debt(20 year) ($700,000) $0 6003 Road Construction <-> Liverpool Road-Great Lakes Nautical Theme-Millennium $0 $700,000 Square to north of Wharf Street, including underground utility Total 6003 Road Construction $0 $700,000 Total 05-2320-008-00 Road Construction ($700,000) $700,000 05-2320-008-02 Road Construction I 4906 Debt(10 year) ($175,000) $0 6003 Road Construction • <-> Concession 7-York Line to Sideline 28 $0 $375,000 I <-> Reduced-Concession.7-York Line to Sideline 32-As per the $0 ($200,000) Budget Committee Meeting of April 7&8,2005. Total 6003 Road Construction $0 $175,000 Total 05-2320-008-02 Road Construction ($175,000) $175,000 05-2320-008-03 Road Construction 66 1 City of Pickering 2005 Explanation of Financing I • 2320 Roads Run Date:4/26/2005 9:22 AM Funding Expense i 4232 Public Works Services ($100,000) $0 6003 Road Construction I <-> Rougemount Overlay $0 $100,000 Total 6003 Road Construction $0 $100,000 Total 05-2320-008-03 Road Construction ($100,000) $100,000 II 05-2320-008-04 Road Construction 4906 Debt(10 year) ($600,000) $0 6003 Road Construction I <-> Deferred to 2005 by TJQ--Sheppard Avenue-Old Forest $0 $600,000 Road to Altona Road-Phase II (Slope Retention&Guiderails) Total 6003 Road Construction $0 $600,000 Total 05-2320-008-04 Road Construction ($600,000) $600,000 05-2320-008-06 Road Construction 4906 Debt(10 year) ($200,000) $0 6003 Road Construction 1 <-> Sideline 16 North of 407-Phase I-full load road to Dutchmaster $0 $200,000 Nurseries-Added-As per the Budget Committee Meeting of April 7&8, Total 6003 Road Construction $0 $200,000 I Total 05-2320-008-06 Road Construction ($200,000) $200,000 05-2320-008-11 Road Construction 1608 Easement Settlement Agreement Reserve ($75,000) $0 I 6003 Road Construction <-> Park Crescent-Added-As per the Budget Committee Meeting $0 $75,000 of April 7&8, 2005. I . Total 6003 Road Construction Total 05-2320-008-11 $0 $75,000 2320-008-11 Road Construction ($75,000) $75,000 05-2320-008-12 Road Construction I 2823 Capital Paid from Property Taxes ($20,000) $0 6003 Road Construction <-> Land acquisition for road re-alignment at Rosebank and Finch $0 $20,000 I Total 6003 Road Construction $0 ($20,000) $20,000 Total 05-2320-008-12 Road Construction 0) $20,000 05-2320-008-13 Road Construction I 4906 Debt(10 year) ($275,000) $0 6003 Road Construction <-> Sandy Beach Road-Preliminary engineering and design- $0 $275,000 Added-As per the Budget Committee Meeting of April 7&8,2005. ITotal 6003 Road Construction $0 $275,000 Total 05-2320-008-13 Road Construction ($275,000) $275,000 05-2320-008-14 Road Construction I1608 Easement Settlement Agreement Reserve ($85,000) $0 6003 Road Construction <-> Brougham Road-Pulverize and asphalt overlay from RR#1 to $0 $85,000 IHwy#7-Added-As per the Budget Committee Meeting of April 7&8, Total 6003 Road Construction $0 $85,000 Total 05-2320-008-14 Road Construction ($85,000) $85,000 I 67 1 City of Pickering • 2005 Explanation of Financing 2320 Roads Run Date:4/26/2005 9:22 AM Funding Expense 05-2320-008-15 Road Construction 1608 Easement Settlement Agreement Reserve ($171,000) $0 6003 Road Construction <-> Hoxton Street-Surface treatment from Old Brock Road to $0 $171,000 Il Pickering Uxbridge Townline Road-Added-As per the Budget Committee Meeting of April 7&8,2005. Total 6003 Road Construction $0 $171,000 I Total 05-2320-008-15 Road Construction ($171,000) $171,000 05-2320-008-16 Road Construction 1608 Easement Settlement Agreement Reserve ($61,000) $0 I 6003 Road Construction <-> Westney Road-Surface treatment from RR#5 to Sandtrap $0 $61,000 Court-Added-As per the Budget Committee Meeting of April 7&8, I Total 6003 Road Construction $0 $61,000 Total 05-2320-008-16 Road Construction ($61,000) $61,000 05-2320-010-01 Road Rehabilitation 2823 Capital Paid from Property Taxes • ($30,000) $0 6008 Road Rehabilitation <-> Deferred to 2005 by TJQ--Road Rehabilitation — Various $0 $30,000 Locations—Resurfacing including intersection improvements Brock @ Bayly ( Region Project ) Total 6008 Road Rehabilitation $0 $30,000 ii Total 05-2320-010-01 Road Rehabilitation ($30,000) $30,000 II Total Roads ($2,492,000) $2,492,000 Deleted 05-2320-008-01 Road Construction 6003 Road Construction <-> Appleview Road (Phase I)Dunbarton to 80m North (West Nile $0 $150,000 Virus Prevention) <-> Deleted--As per the Budget Committee Meeting of April 7&8, $0 ($150,000) Total 6003 Road Construction $0 $0 Total 05-2320-008-01 Road Construction $0 $0 I 05-2320-008-05 Road Construction 6003 Road Construction <-> Helen Cres. Stormsewer and Road Improvements $0 $125,000 <-> Deleted-As per the Budget Committee Meeting of April 7&8, $0 ($125,000) Total 6003 Road Construction $0 $0 Total 05-2320-008-05 Road Construction $0 $0 Total Deleted $0 $0 Deferred 05-2320-004-03 Miscellaneous Equipment I 6178 Miscellaneous Equipment <-> Loader-Replacement for Unit#118 (1995) $0 $170,000 <Deferred by TJQ> to 2006 $0 ($170,000) 1 Total 6178 Miscellaneous Equipment $0 $0 Total 05-2320-004-03 Miscellaneous Equipment $0 $0 68 1 I I City of Pickering 2005 Explanation of Financing II2320 Roads Run Date:4/26/2005 9:22 AM Funding Expense I05-2320-008-07 Road Construction 6003 Road Construction I <-> Trellis Court $0 $60,000 <Deferred by TJQ> to 2006 $0 ($60,000) Total 6003 Road Construction $0 $0 I Total 05-2320-008-07 Road Construction $0 $0 05-2320-008-08 Road Construction 6003 Road Construction I <-> Radom Culvert-Design and Approval Reports $0 $200,000 <Deferred by TJQ> to 2006 $0 ($200,000) Total 6003 Road Construction $0 $0 Total 05-2320-008-08 Road Construction $0 $0 I05-2320-008-09 Road Construction 6003 Road Construction 1 <-> Brands Court $0 $180,000 <Deferred by TJQ> to 2006 $0 ($180,000) Total 6003 Road Construction $0 $0 I Total 05-2320-008-09 Road Construction $0 $0 05-2320-008-10 Road Construction 6003 Road Construction <-> Conc. 6-Greenwood to Hwy 7 $0 $275,000 <Deferred by TJQ> to 2006 $0 ($275,000) Total 6003 Road Construction $0 $0 Total 05-2320-008-10 Road Construction $0 $0 ITotal Deferred $0 $0 Total Funding& Expense ($4,506,300) $4,506,300 I I I 1 0 I I 1 69 1 CITY OF PICKERING 2004 - 2007 CAPITAL BUDGET 2132 Property Maintenance Run Date:4/20/2005 P Report Name Dept Capital 2004-2007 20041 2005 2006/2007 BUDGET BUDGET BUDGET EXPENDITURES 6178 Miscellaneous Equipment $175,000 $2,000 $155,000 6181 Other Fixed Assets $100,000 $65,000 $90,000 Total EXPENDITURES l $275,0001 $67,000 $245,000 IFINANCING 1605 Internal Loan/Dealer Financing ($40,000) $0 $0 2823 Capital Paid from Property Taxes ($95,000) ($67,000) ($245,000) 4905 Donations ($5,000) $0 $0 4906 Debt(10 year) ($135,000) $0 $0 Total FINANCING ($275,000)1 ($67,000)1 ($245,000) 1 • 1 I I I I 1 I I I 1 82 • I 2005 Capital Expenditures Background Information Run Date:4/20/2005 10:35 AM 2132 Property Maintenance Report Name: Captial Proj-Exp.2005 2005 Budget I 6178 Miscellaneous Equipment 05-2132-004-01 Miscellaneous Equipment 1 <-> Cord Trimmer- Replacement $2,000 6181 Other Fixed Assets 05-2132-005-00 Other Fixed Assets <-> Trees $10,000 05-2132-005-01 Other Fixed Assets <-> Brick Pillars - Continuation of Fence Replacement $25,000 05-2132-005-02 Other Fixed Assets <-> Kingston Road - Easterly Entry Feature $30,000 I Total Expenditures $67,000 1 I I I I 1 1 I I I 83 1 1 I City of Pickering 2005 Explanation of Financing . I 2132 Property Maintenance Run Date:4/20/2005 10:36 AM • Funding Expense I Miscellaneous Equipment 05-2132-004-01 Miscellaneous Equipment I 2823 Capital Paid from Property Taxes ($2,000) $0 6178 Miscellaneous Equipment <-> Cord Trimmer-Replacement $0 $2,000 I Total 6178 Miscellaneous Equipment $0 $2,000 Total 05-2132-004-01 Miscellaneous Equipment ($2,000) $2,000 Total Miscellaneous Equipment ($2,000) $2,000 I Other.Fixed Assets 05-2132-005-00 Other Fixed Assets 2823 Capital Paid from Property Taxes ($10,000) $0 I 6181 Other Fixed Assets <-> Trees $0 $10,000 Total 6181 Other Fixed Assets $0 $10,000 I Total 05-2132-005-00 Other Fixed Assets ($10,000) $10,000 05-2132-005-01 Other Fixed Assets 2823 Capital Paid from Property Taxes ($25,000) $0 I 6181 Other Fixed Assets <-> Brick Pillars-Continuation of Fence Replacement $0 $25,000 Total 6181 Other Fixed Assets $0 $25,000 Total 05-2132-005-01 Other Fixed Assets ($25,000) $25,000 I 05-2132-005-02 Other Fixed Assets 2823 Capital Paid from Property Taxes ($30,000) $0 I 6181 Other Fixed Assets <-> Kingston Road-Easterly Entry Feature $0 $30,000 Total 6181 Other Fixed Assets $0 $30,000 I Total 05-2132-005-02 Other Fixed Assets ($30,000) $30,000 Total Other Fixed Assets ($65,000) $65,000 Total Funding& Expense ($67,000) $67,000 I . . I I I I 84 I CITY OF PICKERING 2004 - 2007 CAPITAL BUDGET 1 2325 Street Lights Report Name adept capital 2004 007_ 2004 2005 2006/2007 BUDGET BUDGET BUDGET EXPENDITURES I 6007 Traffic Signals $115,000 $0 $125,000 6181 Other Fixed Assets $90,000 $140,000 $220,000, Total EXPENDITURES $205,000 $140,000 $345,000 1 FINANCING 2823 Capital Paid from Property Taxes ($90,000) ($140,000) ($345,000) 4906 Debt(10 year) ($115,000) $0 $0 FINANCING j ($205,000) ($140,000) ($345,000) 1 I I I I 1 I I I I 85 • 1 2005 Capital Expenditures Background Information Run Date:4/20/2005 10:35 AM 2325 Street Lights Report Name: Captfal Proj-Exp.2005 2005 Budget I 6181 Other Fixed Assets 05-2325-005-00 Other Fixed Assets I <-> Bayridges Neighbourhood - Replacement by Street Phase 1 $60,000 05-2325-005-02 Other Fixed Assets <-> Intersection and Streetlighting - Brock Road at Bayly Street in $80,000 conjunction with Regional Project Total Expenditures $140,000 i 1 1 i I 1 1 I I 86 1 I City of Pickering 2005 Explanation of Financing 2325 Street Lights Run Date:4/20/2005 10:36 AM I Funding Expense Other Fixed Assets 05-2325-005-00 Other Fixed Assets 2823 Capital Paid from Property Taxes ($60,000) $0 6181 Other Fixed Assets <-> Bayridges Neighbourhood-Replacement by Street Phase 1 $0 $60,000 Total 6181 Other Fixed Assets $0 $60,000 Total 05-2325-005-00 Other Fixed Assets ($60,000) $60,000 05-2325-005-02 Other Fixed Assets 2823 Capital Paid from Property Taxes ($80,000) $0 6181 Other Fixed Assets <-> Intersection and Streetlighting-Brock Road at Bayly Street in $0 $80,000 conjunction with Regional Project Total 6181 Other Fixed Assets $0 $80,000 Total 05-2325-005-02 Other Fixed Assets ($80,000) . $80,000 Total Other Fixed Assets ($140,000) $140,000 Total Funding& Expense ($140,000) $140,000 • I I I 1 1 I 1 1 87 CITY OF PICKERING 2004 - 2007 CAPITAL BUDGET I 2718 Parks Run Date:4/26/2005 9:21 Ann Report Name Dept Capital 2004-2007 2004 2005 2006/2007 BUDGET BUDGET BUDGET EXPENDITURES I 6129 Parks $740,000 $765,000 $3,640,000 6157 Vehicles $0 $110,000 $0 6178 Miscellaneous Equipment $110,000 $0 $120,000 6181 Other Fixed Assets $0 $100,000 $0 Total EXPENDITURES $850,0001 $975,000 $3,760,000 FINANCING I 1605 Internal Loan/Dealer Financing $0 ($110,000) $0 2823 Capital Paid from Property Taxes $0 ($85,000) ($3,760,000) 1 4225 Reserve Fund-Comm. Facilities $0 ($25,000) $0 4228 Capital Works Projects ($150,000) $0 $0 1 4230 Reserve Fund-Parkland ($515,000) ($650,000) $0 4905 Donations ($50,000) $0 $0 4906 Debt(10 year) ($135,000) ($105,000) $0 - Total FINANCING ($850,000)1 ($975,000) ($3,760,000) 1 i I 1 1 1 1 1 1 88 1 2005 Capital Expenditures Background Information 2718 Parks Report Name:Date Proj eExp.2005 2005 Budget I 6129 Parks Parks ' 05-2718-001-00 Parks <-> Duffin Trail Works $150,000 I <-> Reduced-As per the Budget Committee Meeting of April 7 & 8, 2005. ($45,000) Total 05-2718-001-00 Parks $105,000 05-2718-001-01 Parks I <-> Trees $20,000 Total 05-2718-001-01 Parks $20,000 I 05-2718-001-02 Parks <-> Playgrounds - Replacement and Upgrades $200,000 Total 05-2718-001-02 Parks $200,000 I 05-2718-001-03 Parks <-> As per Council Resolution # 128/02, Council approved the purchase $200,000 of the property known as 509 Park Crescent and 521 Marksbury Road. Total 05-2718-001-03 Parks $200,000 05-2718-001-05 Parks <-> David Farr Park -Amphitheatre removal and Pine Creek in stream $150,000 works - Added -As per the Budget Committee Meeting of April 7 & 8, 2005. Total 05-2718-001-05 Parks $150,000 I 05-2718-001-06 Parks <-> Deferred to 2005 by TJQ -- Relamping of Sports Facility (pre-emptive $20,000 maintenance) Total 05-2718-001-06 Parks $20,000 05-2718-001-07 Parks <-> Deferred to 2005 by TJQ -- Reconstruct Baseball Backstop Fencing $25,000 ( Kinsmen, Dunsmoore ) Total 05-2718-001-07 Parks $25,000 • 05-2718-001-09 Parks • <-> Deferred to 2005 by TJQ -- Waterfront Trail Signage -- Phase I $30,000 Total 05-2718-001-09 Parks $30,000 I 05-2718-001-10 Parks <-> Deferred to 2005 by TJQ — Parks and Open Space Signage $15,000 Total 05-2718-001-10 Parks $15,000 Total Parks $765,000 Deferred f 05-2718-001-04 Parks 9 1 I 2005 Capital Expenditures • Background Information I 271 8 Parks Run Date:4/26/2005 8:27 AM Report Name: Captial Proj-Exp.2005 2005 I Budget <-> Rotary Frenchman's Bay West Park - Phase I $100,000 I <Deferred by TJQ> to 2006 ($100,000) Total 05-2718-001-04 Parks $0 I 05-2718-001-08 Parks <-> Council Resolution # 116/03 - Boardwalk and Docking - dependant $1,300,000 on $400,000 of private funding I <Deferred by TJQ> to 2006 ($1,300,000) Total 05-2718-001-08 Parks I $0 05-2718-001-11 Parks 1 <-> Western Gateway Construction $400,000 <Deferred by TJQ> to 2006 ($400,000) Total 05-2718-001-11 Parks $0 05-2718-001-12 Parks <-> Forestbrook Park - Renovations $300,000 I <Deferred by TJQ> to 2006 ($300,000) Total 05-2718-001-12 Parks $0 I 05-2718-001-13 Parks <-> Claremont Park - Redesign and Renovate $500,000 <Deferred by TJQ> , to 2006 ($500,000) ITotal 05-2718-001-13 Parks $0 05-2718-001-14 Parks I <-> Landscape Corner ( Finch / Rosebank ) $50,000 <Deferred by TJQ> to 2006 I ($50,000) Total 05-2718-001-14 Parks 1 $0 ITotal Deferred $0 Total 6129 Parks $765,000 a Total Parks $765,000 I £ Y 6157 Vehicles Vehicles 1 05-2718-002-01 Vehicles <-> Replacement-Vehicle# 708-1996 Pickup-Replace with Utility Vehicle $45,000 I . Total 05-2718-002-01 Vehicles $45,000 05-2718-002-02 Vehicles <-> Replacement -- Vehicle # 711 -- 1993 Pickup - Replace with 1 Ton $65,000 1 Stakebody Dump I Total 05-2718-002-02 Vehicles $65,000 I 90 • 2005 Capital Expenditures Background Information 2718 Parks Report Name:a w 27 AM Captial Pros BExp.2005 2005 Budgets Total Vehicles $110,000 Total 6157 Vehicles $110,000 Total Vehicles bbg .Y $110,000 6181 Other Fixed Assets Other Fixed Assets 05-2718-006-01 Other Fixed Assets <-> Re-surfacing of Tennis Courts at Amberlea and Rosebank $100,000 Health & Safety - Added by C. A. O. • Total 05-2718-006-01 Other Fixed Assets $100,000 Total Other Fixed Assets $100,000 • I Total 6181 Other Fixed Assets $100,000 Total Other Fixed Assets # ' . .. ' - ; $100,000 Total Expenditures $975,000, I 1 1 1 t 1 I 1 91 1 I City of Pickering 2005 Explanation of Financing I2718 Parks Run Date:4/26/2005 9:22 AM • • Funding Expense Vehicles 05-2718-002-01 Vehicles I 1605 Internal Loan/Dealer Financing ($45,000) $0 6157 Vehicles <-> Replacement-Vehicle#708-1996 Pickup-Replace with Utility $0 $45,000 I Total 6157 Vehicles $0 $45,000 Total 05-2718-002-01 Vehicles ($45,000) $45,000 05-2718-002-02 Vehicles I 1605 Internal Loan/Dealer Financing ($65,000) $0 6157 Vehicles <-> Replacement--Vehicle#711 — 1993 Pickup-Replace with 1 $0 $65,000 I Ton Stakebody Dump Total 6157 Vehicles $0 $65,000 Total 05-2718-002-02 Vehicles ($65,000) $65,000 Total Vehicles ($110,000) $110,000 I Other Fixed Assets 05-2718-006-01 Other Fixed Assets 4230 Reserve Fund-Parkland ($100,000) $0 I6181 Other Fixed Assets <-> Re-surfacing of Tennis Courts at Amberlea and Rosebank $0 $100,000 Health&Safety-Added by C.A. O. 1 Total 6181 Other Fixed Assets $0 $100,000 Total 05-2718-006-01 Other Fixed Assets ($100,000) $100,000 Total Other Fixed Assets ($100,000) $100,000 I Parks 05-2718-001-00 Parks 4906 Debt(10 year) ($105,000) $0 I 6129 Parks <-> Duffin Trail Works $0 $150,000 <-> Reduced-As per the Budget Committee Meeting of April 7&8, $0 ($45,000) I Total 6129 Parks $0 $105,000 Total 05-2718-001-00 Parks ($105,000) $105,000 05-2718-001-01 Parks I 2823 Capital Paid from Property Taxes ($20,000) $0 6129 Parks • <-> Trees. $0 . $20,000 Total6129 Parks $0 $20,000 Total 05-2718-001-01 Parks ($20,000) $20,000 05-2718-001-02 Parks I 4230 Reserve Fund-Parkland ($200,000) $0 6129 Parks <-> Playgrounds-Replacement and Upgrades $0 $200,000 I Total 6129 Parks $0 $200,000 Total 05-2718-001-02 Parks ($200,000) $200,000 05-2718-001-03 Parks I 92 I City of Pickering 2005 Explanation of Financing 2718 Parks Run Date:4/26/2005 9:22 AM I Funding Expense I 4230 Reserve Fund-Parkland ($200,000) $0 6129 Parks <-> As per Council Resolution# 128/02, Council approved the $0 $200,000 purchase of the property known as 509 Park Crescent and 521 III Total 6129 Parks $0 $200,000 Total 05-2718-001-03 Parks ($200,000) $200,000 05-2718-001-05 Parks 4230 Reserve Fund-Parkland ($150,000) $0 6129 Parks <-> David Farr Park-Amphitheatre removal and Pine Creek in $0 $150,000 stream works- Added-As per the Budget Committee Meeting of April Total 6129 Parks $0 $150,000 Total 05-2718-001-05 Parks ($150,000) $150,000 I 05-2718-001-06 Parks 2823 Capital Paid from Property Taxes ($20,000) $0 6129 Parks II <-> Deferred to 2005 by TJQ--Relamping of Sports Facility $0 $20,000 (pre-emptive maintenance) Total 6129 Parks $0 $20,000 Total 05-2718-001-06 Parks ($20,000) $20,000 05-2718-001-07 Parks 4225 Reserve Fund-Comm. Facilities ($25,000) $0 6129 Parks <-> Deferred to 2005 by TJQ — Reconstruct Baseball Backstop $0 $25,000 Fencing(Kinsmen, Dunsmoore) Total 6129 Parks $0 $25,000 Total 05-2718-001-07 Parks ($25,000) $25,000 05-2718-001-09 Parks 2823 Capital Paid from Property Taxes ($30,000) $0 6129 Parks <-> Deferred to 2005 by TJQ—Waterfront Trail Signage --Phase I $0 $30,000 Total 6129 Parks $0 $30,000 Total 05-2718-001-09 Parks ($30,000) $30,000 05-2718-001-10 Parks 2823 Capital Paid from Property Taxes ($15,000) $0 ' 6129 Parks <-> Deferred to 2005 by TJQ--Parks and Open Space Signage $0 $15,000 Total 6129 Parks $0 $15,000 I Total 05-2718-001-10 Parks ($15,000) $15,000 Total Parks ($765,000) $765,000 IDeferred 05-2718-001-04 Parks 6129 Parks <-> Rotary Frenchman's Bay West Park-Phase I $0 $100,000 <Deferred by TJQ> to 2006 $0 ($100,000) l 93 I I . City of Pickering• 2005 Explanation of Financing I2718 Parks Run Date:4/26/2005 9:22 AM I Funding Expense Total 6129 Parks $0 $0 Total 05-2718-001-04 Parks $0 $0 I 05-2718-001-08 Parks 6129 Parks <-> Council Resolution#116/03-Boardwalk and Docking- $0 $1,300,000 dependant on$400,000 of private funding <Deferred by TJQ> to 2006 $0 ($1,300,000) Total 6129 Parks $0 $0 Total 05-2718-001-08 Parks $0 $0 I05-2718-001-11 Parks 6129 Parks • <-> Western Gateway Construction $0 $400,000 I <Deferred by TJQ> to 2006 $0 ($400,000) Total 6129 Parks $0 $0 Total 05-2718-001-11 Parks $0 $0 I05-2718-001-12 Parks 6129 Parks • <-> Forestbrook Park-Renovations $0 $300,000 I <Deferred by TJQ> to 2006 $0 ($300,000) Total 6129 Parks $0 $0 Total 05-2718-001-12 Parks $0 $0 1 05-2718-001-13 Parks 6129 Parks <-> Claremont Park-Redesign and Renovate $0 $500,000 I <Deferred by TJQ> to 2006 $0 ($500,000) Total 6129 Parks $0 $0 Total 05-2718-001-13 Parks $0 $0 1 05-2718-001-14 Parks 6129 Parks <-> Landscape Corner(Finch/Rosebank) $0 $50,000 I <Deferred by TJQ> to 2006 $0 ($50,000) Total 6129 Parks $0 $0 Total 05-2718-001-14 Parks $0 $0 ITotal Deferred $0 $0 Total Funding& Expense ($975,000) $975,000 I I I 94 • I • 1 oZ � �w Z tz n- W .n rnao . t o �> U as in Q c. WCCa 0 Q W '. ° ° o a ,E.a o: o o o 0 0 0 o o ti co n co .,Nt: t) 6 6 Lo o SL• �f n` nZ { ° Q Z. Q �U W E ao .. ? 0 0 111 c g � 000 d L6 L6 ci W `o as Q Q t.i-> 0 IL O O O O 0 Q 10' 0000 0 0 : n 0 �N U I t( N C. I (n � E 0 Z w 4. . ,i al 0 w :<<F Co ;,__ Zr- , - U w.. I ;O; Vi Y Y Y Y Y Ii=? Y f6 N (C fD f0 CO y '0 n•; 0 0 o 0 0 0 0 0 0 E iii w :?r; E o `o E `o c E o` `o `o g 7 a I } ;;;> o o) rn E rn E o rn c .c o Q. IV O N N U d O O N N N c I;,= « Z Z « Z « « z z z Q o ;!0, o I W :.mf M M N e- 1- -- M CO N 0 .° • a c ='ti c Ct 4, W c `x^', Y >- 2 � ;i' d CC co W ': ;.7.:- r Y F- Q O 1- a av�. F- Y i Q O O Q O C9 CC Q E I , .� O� N I �. z' -J d W F- Q �Q O p w W F- O Q p Y a m Q Z cco T rn 0 >- Q w w Q . ° w = W > 2 °CC ="1:i I ± d W Z m � c li .111 Q O 77. ►� ^• Q o nf ' f W O J Z' Z a;r O Q Q Q j m = W Z _UJ Z W W Q O o •O -_-.T ° 2 2 c co m Q c > W N I �, I- Q 0 0 71 0 N 0 N N N 0 0 U �: O O O O O O O O O O co o ` � d C. d d a d o d N • 95 CITY OF PICKERING 2004 - 2007 CAPITAL BUDGET 1 2323 Sidewalks . Run Date:4/26/2005 AM Report Name: Dept Capital 2004-20000 7 2004 2005 2006/2007 BUDGET BUDGET BUDGET EXPENDITURES 6108 New Construction $1,290,000 $475,000 $2,800,000 Total EXPENDITURES $1,290,000 $475,0001 $2,800,000 FINANCING 1608 Easement Settlement Agreement Reserve $0 ($345,000) $0 1623 Provincial Grants ($1,000,000) $0 $0 2823 Capital Paid from Property Taxes ($60,000) ($100,000) ($100,000) 4906 Debt(10 year) ($230,000) $0 ($2,700,000) 5004 DC-Sidewalks&Street Lights $0 ($30,000) $0 ' Total FINANCING ($1,290,000)1 ($475,000)1 ($2,800,000) 1 I r 1 1 I 1 96 2005 Capital Expenditures Background Information • • 2323 Sidewalks Run Date:4/20/2005 10:35 AM 2323 Sidewalks Report Name: Captial Proj-F�cp.2005 2005 Budget ' 6108 New Construction 05-2323-001-01 New Construction I <-> 401 Pedestrian Bridge Project- Design - Bridge between the Pickering $300,000 Town Centre and the Go Station. Added -As per the Budget Committee . Meeting of April 7 & 8, 2005. ' 05-2323-001-02 New Construction <-> Allocation for Safety Matters - Various Locations $100,000 <-> Added -As per the Budget Committee Meeting of April 7 & 8, 2005. $75,000 Total Expenditures $475,000 • r 1 I 1 97 I City of Pickering ' 2005 Explanation of Financing 2323 Sidewalks Run Date:4/26/2005 9:22 AM I Funding Expense New Construction 05-2323-001-01 New Construction ' 1608 Easement Settlement Agreement Reserve ($270,000) $0 5004 DC-Sidewalks&Street Lights ($30,000) $0 6108 New Construction ' <-> 401 Pedestrian Bridge Project-Design -Bridge between the $0 $300,000 Pickering Town Centre and the Go Station. Added-As per the Budget Committee Meeting of April 7&8,2005. Total 6108 New Construction $0 $300,000 ' Total 05-2323-001-01 New Construction ($300,000) $300,000 05-2323-001-02 New Construction 1608 Easement Settlement Agreement Reserve ($75,000) $0 ' 2823 Capital Paid from Property Taxes ($100,000) $0 6108 New Construction <-> Allocation for Safety Matters-Various Locations $0 $100,000 ' <-> Added-As per the Budget Committee Meeting of April 7&8, $0 $75,000 Total 6108 New Construction $0 $175,000 Total 05-2323-001-02 New Construction ($175,000) $175,000 ' Total New Construction ($475,000) $475,000 Total Funding&Expense ($475,000) $475,000 I I 98 I ' CITY OF PICKERING 2004 - 2007 CAPITAL BUDGET 1 2410 Storm Water Management Run Date:4/26/20059:21 AM 9 Report Name: Dept Capital 2004-2007 2004 2005 2006/2007 BUDGET ' BUDGET BUDGET EXPENDITURES 6181 Other Fixed Assets $0 $90,000 $0 6182 Frenchmans Bay Rehabilitation $0 $100,000 $375,000 Total EXPENDITURES $01 $190,000 $375,000 1 FINANCING 1608 Easement Settlement Agreement Reserve $0 ($45,000) $0 2823 Capital Paid from Property Taxes $0 ($145,000) ($375,000) Total FINANCING $OI ($190,000)I ($375,000) 1 j 1 1 1 1 1 • 1 99 1 2005 Capital Expenditures Background Information Storm Date:4/20/2005 10:35 AM 2410 Storm Water Management Report Name: Captial Proj-Exp.2005 2005 Budget ' 6181 Other Fixed Assets 05-2410-005-04 Other Fixed Assets <-> Deferred to 2005 by TJQ -- Contour Mapping Sheets for Pine Creek & $45,000 Krosno <-> Environmental Assessment for the Krosno Creek Watercourse -Added $45,000 ' -As per the Budget Committee Meeting of April 7 & 8, 2005. 6182 Frenchmans Bay Rehabilitation 05-2410-005-03 Frenchmans Bay Rehabilitation 1 <-> Deferred to 2005 by TJQ -- Storm Water initiatives -- recommended $100,000 in TRCA Report on Krosno Creek and Eyles Report on Frenchman's Bay. Estimated cost to complete projects unknown. Phase I: Environmental Assessment. Total Expenditures $190,000 1 1 1 1 1 1 100 I City of Pickering 2005 Explanation of Financing 2410 Storm Water Management Run Date:4/26/2005 9:22 AM I Funding Expense Other Fixed Assets 05-2410-005-03 Frenchmans Bay Rehabilitation 2823 Capital Paid from Property Taxes ($100,000) $0 6182 Frenchmans Bay Rehabilitation <-> Deferred to 2005 by TJQ — Storm Water initiatives -- $0 $100,000 recommended in TRCA Report on Krosno Creek and Eyles Report on Frenchman's Bay. Estimated cost to complete projects unknown. Phase I: Environmental Assessment. Total 6182 Frenchmans Bay Rehabilitation $0 $100,000 Total 05-2410-005-03 Frenchmans Bay Rehabilitation ($100,000) $100,000 05-2410-005-04 Other Fixed Assets 1608 Easement Settlement Agreement Reserve ($45,000) $0 I 2823 Capital Paid from Property Taxes ($45,000) $0 6181 Other Fixed Assets <-> Deferred to 2005 by TJQ.--Contour Mapping Sheets for Pine $0 $45,000 ' Creek& Krosno <-> Environmental Assessment for the Krosno Creek Watercourse $0 $45,000 -Added-As per the Budget Committee Meeting of April 7&8,2005. Total 6181 Other Fixed Assets $0 $90,000 ' Total 05-2410-005-04 Other Fixed Assets ($90,000) $90,000 Total Other Fixed Assets ($190,000) $190,000 Total Funding& Expense ($190,000) $190,000 1 1 1 1 101 CITY OF PICKERING 2004 - 2007 CAPITAL BUDGET I 2315 Operations Centre-Municipal Garage Run Date 4/20/2005 9:56 AM Report Name: Dept Capital 2004-2007 2004 2005 2006/2007 BUDGET °-BUDGET BUDGET • EXPENDITURES 6157 Vehicles $0 $35,000 $0 6173 Furniture& Fixtures $0 $3,000 $0 6178 Miscellaneous Equipment $23,000 $60,000 $0 6181 Other Fixed Assets $118,000 $30,000 $25,000 Total EXPENDITURES 1 $141,000 $128,000 $25,000 I FINANCING 2823 Capital Paid from Property Taxes ($53,000) ($128,000) ($25,000) 4611 Replacement of Capital Equipment ($88,000) $0 $0 Total FINANCING ($141,000)1 ($128,000)1 ($25,000) • 1 I i f 1 I 1 r I 02 2005 Capital Expenditures Background Information I 2315 Operations Centre-Municipal Garage Run Date:4/20/200510:31 AM Report Name: Captial Proj-Exp.2005 2005 Budget j 6157 Vehicles Vehicles I 05-2315-001-00 Vehicles <-> Replacement - Vehicle# 202 - 1994 Pickup Truck $55,000 <Reduced by TJQ> ($20,000) Total 05-2315-001-00 Vehicles $35,000 Total Vehicles $35,000 I Total 6157 Vehicles $35,000 Total Vehicles a$36 000 , < �_:• � � �E - � x � 'mar ,� . . 6173 Furniture & Fixtures Furniture & Fixtures 05-2315-002-01 Furniture & Fixtures <-> Deferred to 2005 by TJQ -- Cabinets, Replacement Chairs and $3,000 Lateral File Cabinet Total 05-2315-002-01 Furniture & Fixtures $3,000 Total Furniture & Fixtures $3,000 Total 6173 Furniture & Fixtures $3,000 Total Furniture & Fixtures .,x.,$3,000 6178 Miscellaneous Equipment Miscellaneous Equipment 05-2315-004-01 Miscellaneous Equipment <-> Air Handling unit in vehicle bay- in order to meet building code $60,000 Total 05-2315-004-01 Miscellaneous Equipment $60,000 Total Miscellaneous Equipment $60,000 Total 6178 Miscellaneous Equipment $60,000 Total Miscellaneous Equipment �Y �� ` $60,000 6181 Other Fixed Assets I Other Fixed Assets 05-2315-005-00 Other Fixed Assets <-> Renovations/Repairs/Replacement of Municipal Garage Hoists $30,000 (Health & Safety) Total 05-2315-005-00 Other Fixed Assets $30,000 Total Other Fixed Assets $30,000 Total 6181 Other Fixed Assets $30,000 � .. Total Other Fixed Assets` �� � � �y' -s�`��t �� ��� ��4 �� ,�,�- m � � -,.:$30;000 Total Expenditures $128,000 103 I I City of Pickering 2005 Explanation of Financing III 2315 Operations Centre-Municipal Garage Run Date:4/20/2005 10:36 AM • • Funding Expense I Vehicles 05-2315-001-00 Vehicles I2823 Capital Paid from Property Taxes ($35,000) $0 6157 Vehicles <-> Replacement-Vehicle#202- 1994 Pickup Truck $0 $55,000 <Reduced by TJQ> $0 ($20,000) - Total 6157 Vehicles $0 $35,000 Total 05-2315-001-00 Vehicles ($35,000) $35,000 Total Vehicles ($35,000) $35,000 Furniture&Fixtures 05-2315-002-01 Furniture& Fixtures I 2823 Capital Paid from Property Taxes ($3,000) $0 6173 Furniture& Fixtures <-> Deferred to 2005 by TJQ--Cabinets, Replacement Chairs and $0 $3,000 Lateral File Cabinet I Total 6173 Furniture& Fixtures $0 $3,000 Total 05-2315-002-01 Furniture& Fixtures ($3,000) $3,000 Total Furniture& Fixtures ($3,000) $3,000 IMiscellaneous Equipment 05-2315-004-01 Miscellaneous Equipment 2823 Capital Paid from Property Taxes ($60,000) $0 I 6178 Miscellaneous Equipment • <-> Air Handling unit in vehicle bay-in order to meet building code $0 $60,000 Total 6178 Miscellaneous Equipment $0 $60,000 I Total 05-2315-004-01 Miscellaneous Equipment ($60,000) $60,000 Total Miscellaneous Equipment ($60,000) $60,000 Other Fixed Assets 1 05-2315-005-00 Other Fixed Assets 2823 Capital Paid from Property Taxes ($30,000) $0 6181 Other Fixed Assets <-> Renovations/Repairs/Replacement of Municipal Garage Hoists $0 $30,000 (Health & Safety) Total 6181 Other Fixed Assets $0 $30,000 Total 05-2315-005-00 Other Fixed Assets ($30,000) $30,000 • Total Other Fixed Assets ($30,000) $30,000 Total Funding& Expense ($128,000) $128,000 104 . • I CITY OF PICKERING 2004 - 2007 CAPITAL BUDGET I 2124 Civic Complex Run Date:4/20/20059:56AM P' Report Name: Dept Capital 20042007 2004 . 2005 2006/2007 BUDGET BUDGET BUDGET EXPENDITURES 6173 Furniture& Fixtures $11,250 $0 $0 6176 Office Machines and Equipment $0 $0 $0 6178 Miscellaneous Equipment $17,000 $0 $20,000 6181 Other Fixed Assets $210,000 $246,000 $355,000 Total EXPENDITURES $238,2501 $246,000 $375,000 FINANCING �j 2823 Capital Paid from Property Taxes ($108,250) ($170,000) ($375,000) 4611 Replacement of Capital Equipment $0 ($76,000) $0 4903 Debt(5 year) ($130,000) $0 $0 Total FINANCING ($238,250) ($246,000)1 ($375,000) 1 I _ _. j I I 1 I I I 1 I 105 1 2005 Capital Expenditures Background Information 1 2124 Civic Complex Run Date:4/20/200510:31 AM Report Name: Captial Proj-Exp.2005 2005 Budget 1 6178 Miscellaneous Equipment Deferred J 05-2124-004-01 Miscellaneous Equipment <-> Microphones for Council Chambers - Replacement $10,000 <Deferred by TJQ> to 2006 ($10,000) Total 05-2124-004-01 Miscellaneous Equipment $0 Total Deferred $0 Total 6178 Miscellaneous Equipment $0 6181 Other Fixed Assets Other Fixed Assets 05-2124-005-00 Other Fixed Assets <-> Supply & Install New Cooling Tower (Replacement) $76,000 Total 05-2124-005-00 Other Fixed Assets $76,000 05-2124-005-01 Other Fixed Assets - <-> Exterior Brick, Mortar& Flashing Repairs - Health & Safety $50,000 Total 05-2124-005-01 Other Fixed Assets $50,000 05-2124-005-02 Other Fixed Assets <-> Perform Inspection & Maintenance on Substation & Main Disconnect $5,000 (3 year inspection) Total 05-2124-005-02 Other Fixed Assets $5,000 05-2124-005-03 Other Fixed Assets <-> Supply & Install Additional Security Cameras $25,000 1 Total 05-2124-005-03 Other Fixed Assets $25,000 05-2124-005-05 Other Fixed Assets _ <-> Deferred to 2005 by TJQ -- Safety & Security Improvements $45,000 I; Total 05-2124-005-05 Other Fixed Assets $45,000 05-2124-005-09 Other Fixed Assets <-> Replace Heat Tracing - Cable Garage $5,000 Total 05-2124-005-09 Other Fixed Assets $5,000 05-2124-005-10 Other Fixed Assets <-> Installation of safety panels on railings on the second floor to meet $40,000 _ building code Total 05-2124-005-10 Other Fixed Assets $40,000 Total Other Fixed Assets j $246,000 Deferred 05-2124-005-04 Other Fixed Assets 1 I . I 2005 Capital Expenditures Background Information 111 2124 Civic Complex Run Date:4/20/200510:31 AM Complex Name: Captial Proj-Exp.2005 ! 2005 IBudget <-> Backup Boiler and Piping Modifications complete with Humidification $80,000 ISystem <Deferred by TJQ> to 2006 ($80,000) Total 05-2124-005-04 Other Fixed Assets $0 05-2124-005-06 Other Fixed Assets <-> Renovations (Vestibule for North Lobby Entrance) $85,000 <Deferred by TJQ> to 2006 ($85,000) Total 05-2124-005-06 Other Fixed Assets j $0 05-2124-005-07 Other Fixed Assets I <-> Soundproof Manager's office wall $10,000 <Deferred by TJQ> to 2006 ($10,000) I Total 05-2124-005-07 Other Fixed Assets $0 Total Deferred $0 Total 6181 Other Fixed Assets $246,000 I Total Other Fixed Assets '''' - $246,000 Total Expenditures $246,000 I I • I I I 1 It I 106 • $ . I City of Pickering 2005 Explanation of Financing I2124 Civic Complex Run Date:4/20/2005 10:36 AM Funding Expense 1 Other Fixed Assets 05-2124-005-00 Other Fixed Assets I4611 Replacement of Capital Equipment ($76,000) $0 6181 Other Fixed Assets <-> Supply& Install New Cooling Tower(Replacement) $0 $76,000 1 Total 6181 Other Fixed Assets $0 ($76,000) $76,000 Total 05-2124-005-00 Other Fixed Assets 0) $76,000 05-2124-005-01 Other Fixed Assets 2823 Capital Paid from Property Taxes ($50,000) $0 I: 6181 Other Fixed Assets <-> Exterior Brick, Mortar&Flashing Repairs-Health&Safety $0 $50,000 I Total 6181 Other Fixed Assets $0 $50,000 Total 05-2124-005 01 Other Fixed Assets ($50,000) $50,000 05-2124-005-02 Other Fixed Assets I2823 Capital Paid from Property Taxes ($5,000) $0 6181 Other Fixed Assets <-> Perform Inspection & Maintenance on Substation& Main $0 $5,000 Disconnect(3 year inspection) I Total 6181 Other Fixed Assets $0 $5,000 Total 05-2124-005-02 Other Fixed Assets ($5,000) $5,000 05-2124-005-03 Other Fixed Assets I 2823 Capital Paid from Property Taxes ($25,000) $0 6181 Other Fixed Assets <-> Supply& Install Additional Security Cameras $0 $25,000 I Total 6181 Other Fixed Assets $0 $25,000 Total 05-2124-005-03 Other Fixed Assets ($25,000) $25,000 05-2124-005-05 Other Fixed Assets 2823 Capital Paid from Property Taxes ($45,000) $0 I 6181 Other Fixed Assets <-> Deferred to 2005 by TJQ--Safety&Security Improvements $0 $45,000 I Total 6181 Other Fixed Assets $0 $45,000 Total 05-2124-005-05 Other Fixed Assets ($45,000) $45,000 05-2124-005-09 Other Fixed Assets I2823 Capital Paid from Property Taxes ($5,000) $0 6181 Other Fixed Assets <-> Replace Heat Tracing-Cable Garage $0 $5,000 I Total 6181 Other Fixed Assets $0 $5,000 Total 05-2124-005-09 Other Fixed Assets ($5,000) $5,000 05-2124-005-10 Other Fixed Assets I 2823 Capital Paid from Property Taxes ($40,000) $0 6181 Other Fixed Assets <-> Installation of safety panels on railings on the second floor to $0 $40,000 1 meet building code Total 6181 Other Fixed Assets $0 $40,000 Total 05-2124-005-10 Other Fixed Assets ($40,000) $40,000 1 107 1 City of Pickering 2005 Explanation of Financing 2124 Civic Complex Run Date:4/20/2005 10:36 AM • • Funding Expense Total Other Fixed Assets ($246,000) $246,000 Deferred 05-2124-004-01 Miscellaneous Equipment 6178 Miscellaneous Equipment <-> Microphones for Council Chambers-Replacement $0 $10,000 <Deferred by TJQ> to 2006 $0 ($10,000) Total 6178 Miscellaneous Equipment $0 $0 Total 05-2124-004-01 Miscellaneous Equipment $0 $0 05-2124-005-04 Other Fixed Assets 6181 Other Fixed Assets <-> Backup Boiler and Piping Modifications complete with $0 $80,000 Humidification System <Deferred by TJQ> to 2006 $0 ($80,000) Total 6181 Other Fixed Assets $0 $0 Total 05-2124-005-04 Other Fixed Assets $0 $0 05-2124-005-06 Other Fixed Assets ill 6181 Other Fixed Assets <-> Renovations(Vestibule for North Lobby Entrance) $0 $85,000 <Deferred by TJQ> to 2006 $0 ($85,000) 1 Total 6181 Other Fixed Assets $0 $0 Total 05-2124-005-06 Other Fixed Assets $0 $0 05-2124-005-07 Other Fixed Assets I 6181 Other Fixed Assets <-> Soundproof Manager's office wall $0 $10,000 <Deferred by TJQ> to 2006 $0 ($10,000) 1, Total 6181 Other Fixed Assets $0 $0 Total 05-2124-005-07 Other Fixed Assets $0 $0 Total Deferred $0 $0 II Total Funding& Expense ($246,000) $246,000 I 1 I I I. i 108 CITY OF PICKERING 2004 - 2007 CAPITAL BUDGET 1 2572 Senior Citizens Centre Run Date:4/26/2005 9 21 AM Report Name Dept Capital 2004-2007 2004 ' 2005 2006/2007 1 BUDGET BUDGET BUDGET EXPENDITURES 6178 Miscellaneous Equipment $7,100 $5,300 $20,000 6181 Other Fixed Assets $15,000 $275,000 $1,040,000 Total EXPENDITURES $22,1001 $280,300 $1,060,000 FINANCING 1608 Easement Settlement Agreement Reserve $0 ($187,550) $0 2823 Capital Paid from Property Taxes ($22,100) ($5,300) ($1,060,000) 5010 DC-Major Recreation Facilities $0 ($87,450) $0 • Total FINANCING ($22,100) ($280,300) ($1,060,000) 1 1 i 1 • 1 I I I I 109 I 2005 Capital Expenditures Background Information 2572 Senior Citizens Centre Run Date:4/27/20058:28 AM Report Name: Captial Proj-Exp.2005 2005 Budget 1 6178 Miscellaneous Equipment Miscellaneous Equipment 111 05-2572-004-01 Miscellaneous Equipment <-> Carpet, Bowls and Mats for Carpet Bowling (PCCC) Replacement $4,000 J Total 05-2572-004-01 Miscellaneous Equipment $4,000 05-2572-004-02 Miscellaneous Equipment <-> Card Tables (PCCC) Replacement $1,300 1 Total 05-2572-004-02 Miscellaneous Equipment $1,300 Total Miscellaneous Equipment $5,300 Total 6178 Miscellaneous Equipment $5,300 Total Miscellaneous Equipment $5,300 6181 Other Fixed Assets Other Fixed Assets 05-2572-005-01 Other Fixed Assets I <-> Design of a second floor addition and parking lot expansion for $275,000 Seniors Activity Centre -- Added -- As per the Budget Committee Meeting of April 7 & 8, 2005. Total 05-2572-005-01 Other Fixed Assets $275,000 Total Other Fixed Assets $275,000 Deleted 05-2572-005-02 Other Fixed Assets <-> Deferred to 2005 by TJQ -- Remove, Prep and Replace tile in mens $5,000 and ladies washrooms <Deleted by TJQ> ($5,000) Total 05-2572-005-02 Other Fixed Assets $0 Total Deleted $0 Total 6181 Other Fixed Assets $275,000 Total Other Fixed Assets $275,000 Total Expenditures $280,300 I 1 11U II I City of Pickering 2005 Explanation of Financing. 2572 Senior Citizens Centre Run Date:4/27/2005 8:40 AM Funding Expense 1 Miscellaneous Equipment 05-2572-004-01 Miscellaneous Equipment J 2823 Capital Paid from Property Taxes ($4,000) $0 6178 Miscellaneous Equipment <-> Carpet, Bowls and Mats for Carpet Bowling (PCCC) $0 $4,000 i . Total 6178 Miscellaneous Equipment $0 $4,000 Total 05-2572-004-01 Miscellaneous Equipment ($4,000) $4,000 05-2572-004-02 Miscellaneous Equipment 2823 Capital Paid from Property Taxes ($1,300) $0 6178 Miscellaneous Equipment <-> Card Tables(PCCC)-Replacement $0 $1,300 - Total 6178 Miscellaneous Equipment $0 $1,300 Total 05-2572-004-02 Miscellaneous Equipment ($1,300) $1,300 Total Miscellaneous Equipment ($5,300) $5,300 I Other Fixed Assets ; 05-2572-005-01 Other Fixed Assets 1608 Easement Settlement Agreement Reserve ($187,550) $0 I 5010 DC-Major Recreation Facilities $0 6181 Other Fixed Assets <-> Design of a second floor addition and parking lot expansion for $0 $275,000 Seniors Activity Centre — Added -- As per the Budget Committee 1 Meeting of April 7&8, 2005. Total 6181 Other Fixed Assets $0 $275,000 Total 05-2572-005-01 Other Fixed Assets ($275,000) $275,000 I Total Other Fixed Assets ($275,000) $275,000 Deleted 05-2572-005-02 Other Fixed Assets 11 6181 Other Fixed Assets <-> Deferred to 2005 by TJQ--Remove, Prep and Replace tile in $0 $5,000 mens and ladies washrooms I <Deleted by TJQ> $0 ($5,000) Total 6181 Other Fixed Assets $0 $0 Total 05-2572-005-02 Other Fixed Assets $0 $0 ITotal Deleted $0 $0 Total Funding& Expense ($280,300) $280,300 I I 1 I 111 I CITY OF PICKERING 2004 - 2007 CAPITAL BUDGET 2711 Cult. & Rec. Admin. Report NamDate Dept Capita 2004-2007 2004 2005 2006/2007 BUDGET BUDGET BUDGET EXPENDITURES 6178 Miscellaneous Equipment $0 $2,400 $12,600 6181 Other Fixed Assets $0 $0 $15,500,000 Total EXPENDITURES $0 $2,400 $15,512,600 1 FINANCING 2823 Capital Paid from Property Taxes $0 ($2,400)1($15,512,600) Total FINANCING $0 ($2,400) ($15,512,600) I I I I I 1 I 1 I 112 • 1 2005 Capital Expenditures Background Information 2711 Cult.& Rec. Admin. Run Date:4/20/200510:31 AM Report Name: Captial Proj-Exp.2005 2005 Budget I 6178 Miscellaneous Equipment Miscellaneous Equipment 05-2711-004-00 Miscellaneous Equipment <-> Rolling Promotions Carts (for City facilities) $2,400 Total 05-2711-004-00 Miscellaneous Equipment $2,400 Total Miscellaneous Equipment $2,400 Deferred 05-2711-004-01 Miscellaneous Equipment <-> Display Easels (for City events) $3,600 <Deferred by TJQ> to 2006 ($3,600) Total 05-2711-004-01 Miscellaneous Equipment $0 Total Deferred $0 Total 6178 Miscellaneous Equipment $2,400 Total Miscellaneous Equipment � 3 `;$2,400 Total Expenditures $2,400 1 I I I I I 113 1 II . 1, , City of Pickering 2005 Explanation of Financing I2711 Cult.&Rec.Admin. Run Date:4/2012005 10:36 AM Funding Expense Miscellaneous Equipment 05-2711-004-00 Miscellaneous Equipment ii II 2823 Capital Paid from Property Taxes ($2,400) $0 6178 Miscellaneous Equipment <-> Rolling Promotions Carts (for City facilities) $0 $2,400 Total 6178 Miscellaneous Equipment $0 $2,400 Total 05-2711-004-00 Miscellaneous Equipment ($2,400) $2,400 Total Miscellaneous Equipment ($2,400) $2,400 I Deferred 05-2711-004-01 Miscellaneous Equipment 6178 Miscellaneous Equipment <-> Display Easels(for City events) $0 $3,600 <Deferred by TJQ> to 2006 $0 ($3,600) Total 6178 Miscellaneous Equipment $0 • $0 Total 05-2711-004-01 Miscellaneous Equipment $0 $0 Total Deferred $0 $0 Total Funding& Expense ($2,400) $2,400 I I . I I 1 I i 114 • • CITY OF PICKERING 2004 - 2007 CAPITAL BUDGET AM 2712 Programs Report Name a Name Capital 2004-2007 2004 2005 2006/2007 BUDGET BUDGET BUDGET EXPENDITURES I 6178 Miscellaneous Equipment $6,000 $6,000 $27,500 Total EXPENDITURES $6,000 $6,0001 $27,500 FINANCING 1 2823 Capital Paid from Property Taxes ($6,000) ($6,000) ($27,500) Total FINANCING ($6,000) ($6,000) ($27,500) I I I t I 1 I I I 1 1 115 1 2005 Capital Expenditures Background Information 2712 PrOgramS at Report Name: Capta/Proj-Exp.2005 2005 Budget 1 6178 Miscellaneous Equipment Miscellaneous Equipment I 05-2712-004-00 Miscellaneous Equipment . <-> 6 Walkie Talkie Units (Camps) Replacement $2,500 1 Total 05-2712-004-00 Miscellaneous Equipment $2,500 05-2712-004-01 Miscellaneous Equipment <-> Lectern with Sound System (City & Department Events) $3,500 Total 05-2712-004-01 Miscellaneous Equipment $3,500 Total Miscellaneous Equipment $6,000 Deferred 05-2712-004-02 Miscellaneous Equipment <-> 3 Canopy Tents (Replacement) $5,000 <Deferred by TJQ> to 2006 ($5,000) Total 05-2712-004-02 Miscellaneous Equipment $0 05-2712-004-03 Miscellaneous Equipment <-> Headworn Mic + Transmitter and Stereo (Replacement for Fitness $2,500 Programs) <Deferred by TJQ> to 2006 ($2,500) Total 05-2712-004-03 Miscellaneous Equipment $0 Total Deferred $0 Total 6178 Miscellaneous Equipment $6,000 Total Miscellaneous Equipment =�' �� ' $6,000 Total Expenditures $6,000 • I I I I 116 1 , 1 City of Pickering 2005 Explanation of Financing I2712 Programs Run Date:4/20/2005 10:36 AM Funding Expense Miscellaneous Equipment 05-2712-004-00 Miscellaneous Equipment I 2823 Capital Paid from Property Taxes ($2,500) $0 6178 Miscellaneous Equipment <-> 6 Walkie Talkie Units (Camps) Replacement $0 $2,500 $ Total 6178 Miscellaneous Equipment $0 $2,500 Total 05-2712-004-00 Miscellaneous Equipment ($2,500) $2,500 05-2712-004-01 Miscellaneous Equipment I 2823 Capital Paid from Property Taxes ($3,500) $0 6178 Miscellaneous Equipment <-> Lectern with Sound System(City&Department Events) $0 $3,500 I Total 6178 Miscellaneous Equipment $0 ($3,500) $3,500 Total 05-2712-004-01 Miscellaneous Equipment 0) $3,500 Total Miscellaneous Equipment ($6,000) $6,000 I Deferred 05-2712-004-02 Miscellaneous Equipment • 6178 Miscellaneous Equipment I <-> 3 Canopy Tents(Replacement) $0 $5,000 <Deferred by TJQ> to 2006 $0 ($5,000) Total 6178 Miscellaneous Equipment $0 $0 Total 05-2712-004-02 Miscellaneous Equipment $0 $0 05-2712-004-03 Miscellaneous Equipment 6178 Miscellaneous Equipment I <-> Headwom Mic+Transmitter and Stereo (Replacement for $0 $2,500 Fitness Programs) <Deferred by TJQ> to 2006 $0 ($2,500) Total 6178 Miscellaneous Equipment $0 $0 I Total 05-2712-004-03 Miscellaneous Equipment $0 $0 Total Deferred $0 $0 ` Total Funding& Expense ($6,000) $6,000 I 1 I 117 CITY OF PICKERING 2004 - 2007 CAPITAL BUDGET 1 2713 Dunbarton Pool Run Date:4/20/2005 9:56 AM • Report Name Dept Capital 2004-2007 2004 2005 2006/2007 BUDGET BUDGET BUDGET EXPENDITURES 6173 Furniture& Fixtures $0 $0 $0 6178 Miscellaneous Equipment $7,100 $10,000 $20,000 6181 Other Fixed Assets $5,000 $10,000 $90,000 ill • Total EXPENDITURES $12,1001 $20,0001 $110,000 FINANCING 2823 Capital Paid from Property Taxes ($12,100) ($20,000) ($110,000) �. Total FINANCING ($12,100) ($20,000) ($110,000) J 1 118 I 2005 Capital Expenditures Background Information 2713 Dunbarton Pool Run Date:4/20/200510.31 AM Report Name: Captial Prot-Exp.2005 2005 Budge 1 6173 Furniture & Fixtures Deleted I 05-2713-002-00 Furniture & Fixtures <-> Filing Cabinet $700 <Deleted by TJQ> ($700) Total 05-2713-002-00 Furniture & Fixtures $0 05-2713-002-01 Furniture & Fixtures I <-> Portable White Board $900 <Deleted by TJQ> ($900) Total 05-2713-002-01 Furniture & Fixtures $0 Total Deleted $0 Total 6173 Furniture & Fixtures $0 6178 Miscellaneous Equipment Miscellaneous Equipment , 05-2713-004-00 Miscellaneous Equipment <-> Pool Vacuum (Replacement) $10,000 Total 05-2713-004-00 Miscellaneous Equipment $10,000 Total Miscellaneous Equipment $10,000 Total 6178 Miscellaneous Equipment $10,000 - Total Miscellaneous Equipment $10,000 6181 Other Fixed Assets Other Fixed Assets 05-2713-005-01 Other Fixed Assets <-> Supply & Install Exterior Sign $10,000 Total 05-2713-005-01 Other Fixed Assets $10,000 Total Other. Fixed Assets $10,000 Deferred 05-2713-005-02 Other Fixed Assets <-> Re-line Mens Sauna & New Element $30,000 <Deferred by TJQ> to 2006 ($30,000) Total 05-2713-005-02 Other Fixed Assets $0 Total Deferred $0 Total 6181 Other Fixed Assets $10,000 Total Other Fixed Assets , $10,000 Total Expenditures $20,000 119 I • City of Pickering 2005 Explanation of Financing 1 2713 Dunbarton Pool Run Date:4/20/2005 10:36 AM Funding Expense IMiscellaneous Equipment 05-2713-004-00 Miscellaneous Equipment I 2823 Capital Paid from Property Taxes ($10,000) $0 6178 Miscellaneous Equipment <-> Pool Vacuum (Replacement) $0 $10,000 I Total 6178 Miscellaneous Equipment $0 ($10,000) $10,000 Total 05-2713-004-00 Miscellaneous Equipment 0) $10,000 Total Miscellaneous Equipment ($10,000) $10,000 I Other Fixed Assets 05-2713-005-01 Other Fixed Assets 2823 Capital Paid from Property Taxes ($10,000) $0 I6181 Other Fixed Assets <-> Supply& Install Exterior Sign $0. $10,000 Total 6181 Other Fixed Assets $0 $10,000 I Total 05-2713-005-01 Other Fixed Assets ($10,000) $10,000 Total Other Fixed Assets ($10,000) $10,000 Deleted 05-2713-002-00 Furniture& Fixtures I6173 Furniture& Fixtures <-> Filing Cabinet $0 $700 1 <Deleted by TJQ> $0 ($700) Total 6173 Furniture& Fixtures $0 $0 Total 05-2713-002-00 Furniture&Fixtures $0 $0 I 05-2713-002-01 Furniture& Fixtures 6173 Furniture& Fixtures <-> Portable White Board $0 $900 <Deleted by TJQ> $0 ($900) Total 6173 Furniture& Fixtures $0 $0 Total 05-2713-002-01 Furniture& Fixtures $0 $0 Total Deleted $0 $0 Deferred 05-2713-005-02 Other Fixed Assets 6181 Other Fixed Assets I <-> Re-line Mens Sauna& New Element $0 $30,000 <Deferred by TJQ> to 2006 $0 ($30,000) Total 6181 Other Fixed Assets $0 $0 Total 05-2713-005-02 Other Fixed Assets $0 $0 Total Deferred $0 $0 Total Funding&Expense ($20,000) $20,000 I • 1 120 • CITY OF PICKERING 2004 -2007 CAPITAL BUDGET 1 2715 Don Beer Arena Run Date:4'20'2005 9:56 AM Report Name Dept Capital 2004-2007 2004 2005 2006/2007 BUDGET BUDGET BUDGET EXPENDITURES 6178 Miscellaneous Equipment $12,100 $100,000 $20,000 6181 Other Fixed Assets $30,000 $25,000 $820,000 Total EXPENDITURES 1 $42,1001 $125,0001 $840,000 IFINANCING 2823 Capital Paid from Property Taxes ($42,100) ($125,000) ($840,000) Total FINANCING ($42,100)1 ($125,000) ($840,000) l 1 I 1 I I I 1 I 1 121 2005 Capital Expenditures • Background Information • 2715 Don Beer Arena Run Date:4/20/2005 1031 AM Report Name: Captial Prot-Exp.2005 2005 Budge 6178 Miscellaneous Equipment Miscellaneous Equipment I' 05-2715-004-00 Miscellaneous Equipment <-> Deferred to 2005 by TJQ - Replacement - Resurfacer (Pad 1 & 2) $90,000 Total 05-2715-004-00 Miscellaneous Equipment j $90,000 05-2715-004-01 Miscellaneous Equipment <-> Ice Edger (Replacement) $10,000 Total 05-2715-004-01 Miscellaneous Equipment $10,000 Total Miscellaneous Equipment $100,000 I Total 6178 Miscellaneous Equipment $100,000 Total Miscellaneous Equipment .. $100,000 6181 Other Fixed Assets Other Fixed Assets 05-2715-005-00 Other Fixed Assets 1 <-> Supply & Install Netting on 3 rinks (H & S) $25,000 Total 05-2715-005-00 Other Fixed Assets j $25,000 Total Other Fixed Assets j $25,000 Deferred 05-2715-005-01 Other Fixed Assets <-> Upgrade Carbon Monoxide System in older rinks (1&2) $25,000 <Deferred by TJQ> to 2006 ($25,000) Total 05-2715-005-01 Other Fixed Assets $0 05-2715-005-03 Other Fixed Assets <-> Banquet Hall Stair Treads & Kitchen Cupboard Upgrades $20,000 <Deferred by TJQ> to 2006 ($20,000) Total 05-2715-005-03 Other Fixed Assets j $0 Total Deferred $0 Total 6181 Other Fixed Assets $25,000 Total Other Fixed Assets $25,000 Total Expenditures $125,000 I I 122 I 111 City of Pickering 2005 Explanation of Financing V2715 Don Beer Arena Run Date:4/20/2005 10:36 AM I Funding Expense Miscellaneous Equipment 05-2715-004-00 Miscellaneous Equipment I 2823 Capital Paid from Property Taxes ($90,000) $0 6178 Miscellaneous Equipment <-> Deferred to 2005 by TJQ-Replacement-Resurfacer(Pad 1 & $0 $90,000 I Total 6178 Miscellaneous Equipment $0 ($90,000) $90,000 Total 05-2715-004-00 Miscellaneous Equipment 0) $90,000 05-2715-004-01 Miscellaneous Equipment I 2823 Capital Paid from Property Taxes ($10,000) $0 6178 Miscellaneous Equipment <-> Ice Edger(Replacement) $0 $10,000 I Total 6178 Miscellaneous Equipment $0 ($10,000) $10,000 Total 05-2715-004-01 Miscellaneous Equipment 0) $10,000 Total Miscellaneous Equipment ($100,000) $100,000 I Other Fixed Assets 05-2715-005-00 Other Fixed Assets 2823 Capital Paid from Property Taxes ($25,000) $0 I 6181 Other Fixed Assets _ <-> Supply& Install Netting on 3 rinks(H &S) $0 $25,000 Total 6181 Other Fixed Assets $0 $25,000 1 Total 05-2715-005-00 Other Fixed Assets ($25,000) $25,000 Total Other Fixed Assets ($25,000) $25,000 Deferred I 05-2715-005-01 Other Fixed Assets 6181 Other Fixed Assets <-> Upgrade Carbon Monoxide System in older rinks (1&2) $0 $25,000 I <Deferred by TJQ> to 2006 $0 ($25,000) Total 6181 Other Fixed Assets $0 $0 Total 05-2715-005-01 Other Fixed Assets $0 $0 I 05-2715-005-03 Other Fixed Assets 6181 Other Fixed Assets <-> Banquet Hall Stair Treads& Kitchen Cupboard Upgrades $0 $20,000 <Deferred by TJQ> to 2006 $0 ($20,000) Total 6181 Other Fixed Assets $0 $0 Total 05-2715-005-03 Other Fixed Assets $0 $0 Total Deferred $0 $0 Total Funding& Expense ($125,000) $125,000 I I 1 123 CITY OF PICKERING 2004 - 2007 CAPITAL BUDGET 2719 Community Centres Run Date Dept 04-200. Report Name Dept Capital 2004-2007 2004 20051 2006/2007 BUDGET BUDGET BUDGET • EXPENDITURES 6157 Vehicles $0 $35,000 $0 6178 Miscellaneous Equipment $74,100 $20,000 $75,000 6181 Other Fixed Assets $0 $62,000 $251,000 6183 Accessibility Budget $25,000 $25,000 $100,000 Total EXPENDITURES 1 $99,100 $142,0001 $426,000 I FINANCING 2823 Capital Paid from Property Taxes ($99,100) ($142,000) ($426,000) Total FINANCING 1 ($99,100)1 ($142,000)1 ($426,000) 1 I I I I I I I I 1 124 I • 2005 Capital Expenditures Background Information II 271 9 Community Centres Run Date 4/20/200510:31 AM Report Name: Captial Proj-Exp.2005 2005 Budges 6157 Vehicles Vehicles I 05-2719-001-00 Vehicles <-> Replacement - Vehicle # 775 - Pick Up Truck $35,000 Total 05-2719-001-00 Vehicles $35,000 Total Vehicles $35,000 Total 6157 Vehicles $35,000 I Total Vehicles $35,000 6178 Miscellaneous Equipment Miscellaneous Equipment 05-2719-004-00 Miscellaneous Equipment <-> Various Cleaning Equipment $20,000 Total 05-2719-004-00 Miscellaneous Equipment $20,000 Total Miscellaneous Equipment $20,000 I Deferred 05-2719-004-01 Miscellaneous Equipment <-> Security Cameras Petticoat Creek Library Community Centre and $35,000 I East Shore Community Centre <Deferred by TJQ> to 2006 ($35,000) Total 05-2719-004-01 Miscellaneous Equipment $0 Total Deferred $0 Total 6178 Miscellaneous Equipment $20,000 1 Total Miscellaneous Equipment $20,000 6181 Other Fixed Assets Other Fixed Assets I 05-2719-005-00 Other Fixed Assets <-> Tie-In for Claremont Community Centre Energy Management $30,000 Computer System Total 05-2719-005-00 Other Fixed Assets $30,000 05-2719-005-01 Other Fixed Assets <-> Water Proof Basement West Wall - West Shore Community Centre $12,000 Total 05-2719-005-01 Other Fixed Assets $12,000 J 05-2719-005-06 Other Fixed Assets <-> Acoustic Improvements - Petticoat Creek Community Centre $20,000 Total 05-2719-005-06 Other Fixed Assets $20,000 Total Other Fixed Assets I $62,000 I 125 I 2005 Capital Expenditures Background Information 2719 Community Centres Run Date ap Copts' 1°.31"M Report Name Copt s'Proj-Exp.2005 . 2005 Budget Deferred 05-2719-005-02 Other Fixed Assets <-> West Shore Community Centre Roof replacement $50,000 <Deferred by TJQ> to 2006 ($50,000) Total 05-2719-005-02 Other Fixed Assets $0 05-2719-005-05 Other Fixed Assets <-> Mt. Zion Community Centre Furnace replacement $10,000 <Deferred by TJQ> to 2006 ($10,000) Total 05-2719-005-05 Other Fixed Assets $0 05-2719-005-07 Other Fixed Assets <-> Screen to cover mechanical rooftop equipment at Petticoat Creek $25,000 1 Community Centre <Deferred by TJQ> to 2006 ($25,000) Total 05-2719-005-07 Other Fixed Assets $0 Total Deferred $0 Total 6181 Other Fixed Assets $62,000 Total Other Fixed Assets :` $62,000 6183 Accessibility Budget Accessibility Budget 1 05-2719-006-01 Accessibility Budget $25,000 Total Accessibility Budget $25,000 ITotal 6183 Accessibility Budget $25,000 Total Accessibility Budget �. -, � $25,000 Total Expenditures $142,000 1 I I I 126 I City of Pickering 2005 Explanation of Financing I2719 Community Centres Run Date:4/20/2005 10:36 AM I Funding Expense Vehicles 05-2719-001-00 Vehicles I 2823 Capital Paid from Property Taxes ($35,000) $0 6157 Vehicles <-> Replacement-Vehicle#775-Pick Up Truck $0 $35,000 I Total 6157 Vehicles $0 ($35,000) $35,000 Total 05-2719-001-00 Vehicles 0) $35,000 Total Vehicles ($35,000) $35,000 I Miscellaneous Equipment 05-2719-004-00 Miscellaneous Equipment 2823 Capital Paid from Property Taxes ($20,000) $0 I 6178 Miscellaneous Equipment <-> Various Cleaning Equipment $0 $20,000 Total 6178 Miscellaneous Equipment $0 $20,000 Total 05-2719-004-00 Miscellaneous Equipment ($20,000) $20,000 Total Miscellaneous Equipment ($20,000) $20,000 Other Fixed Assets I 05-2719-005-00 Other Fixed Assets 2823 Capital Paid from Property Taxes ($30,000) $0 6181 Other Fixed Assets I <-> Tie-In for Claremont Community Centre Energy Management $0 $30,000 Computer System Total 6181 Other Fixed Assets $0 $30,000 Total 05-2719-005-00 Other Fixed Assets ($30,000) $30,000 1 05-2719-005-01 Other Fixed Assets 2823 Capital Paid from Property Taxes ($12,000) $0 6181 Other Fixed Assets I <-> Water Proof Basement West Wall-West Shore Community $0 $12,000 Total 6181 Other Fixed Assets $0 $12,000 Total 05-2719-005-01 Other Fixed Assets ($12,000) $12,000 05-2719-005-06 Other Fixed Assets 2823 Capital Paid from Property Taxes ($20,000) $0 6181 Other Fixed Assets I <-> Acoustic Improvements-Petticoat Creek Community Centre $0 $20,000 Total 6181 Other Fixed Assets $0 $20,000 Total 05-2719-005-06 Other Fixed Assets ($20,000) $20,000 I Total Other Fixed Assets ($62,000) $62,000 Accessibility Budget 05-2719-006-01 Accessibility Budget I 2823 Capital Paid from Property Taxes ($25,000) $0 6183 Accessibility Budget $0 $25,000 Total 05-2719-006-01 Accessibility Budget ($25,000) $25,000 I Total Accessibility Budget ($25,000) $25,000 Deferred 05-2719-004-01 Miscellaneous Equipment I 127 1 City of Pickering 2005 Explanation of Financing • 2719 Community Centres Run Date•4/20/2005 10•36 AM Funding Expense 6178 Miscellaneous Equipment <-> Security Cameras Petticoat Creek Library Community Centre $0 $35,000 and East Shore Community Centre <Deferred by TJQ> to 2006 $0 ($35,000) Total 6178 Miscellaneous Equipment $0 $0 Total 05-2719-004-01 Miscellaneous Equipment $0 $0 05-2719-005-02 Other Fixed Assets 6181 Other Fixed Assets <-> West Shore Community Centre Roof replacement $0 $50,000 <Deferred by TJQ> to 2006 $0 ($50,000) Total 6181 Other Fixed Assets $0 $0 Total 05-2719-005-02 Other Fixed Assets $0 $0 05-2719-005-05 Other Fixed Assets 6181 Other Fixed Assets <-> Mt.Zion Community Centre Furnace replacement $0 $10,000 <Deferred by TJQ> to 2006 $0 ($10,000) I Total 6181 Other Fixed Assets $0 $0 Total 05-2719-005-05 Other Fixed Assets $0 $0 05-2719-005-07 Other Fixed Assets I 6181 Other Fixed Assets <-> Screen to cover mechanical rooftop equipment at Petticoat $0 $25,000 Creek Community Centre <Deferred by TJQ> to 2006 $0 ($25,000) Total 6181 Other Fixed Assets $0 $0 Total 05-2719-005-07 Other Fixed Assets $0 $0 Total Deferred $0 $0 Total Funding & Expense ($142,000) $142,000 I i I I I I 128 CITY OF PICKERING 2004 - 2007 CAPITAL BUDGET 1 2731 Recreation Complex - Central Core. Run Date:4/20/20059:56AM P Report Name: Dept Capital 2004-2007 2004 : ;, ;,,. 2005 2006/2007 BUDGET BUDGET BUDGET 1 EXPENDITURES 6173 Furniture& Fixtures $5,000 $0 $2,000 6178 Miscellaneous Equipment $171,800 $121,300 $212,000 6181 Other Fixed Assets $570,000 $270,000 $459,500 Total EXPENDITURES I $746,8001 $391,3001 $673,500 FINANCING 2823 Capital Paid from Property Taxes ($137,800) ($191,300) ($673,500) 4228 Capital Works Projects ($100,000) $0 $0 4905 Donations ($84,000) $01 $0 I4906 Debt(10 year) ($425,000) ($200,000) $0 Total FINANCING ($746,800) ($391,300)1 ($673,500) I I 1 I I 1 I I I 129 1 2005 Capital Expenditures Background Information 1 2731 Recreation Complex - Central Core Run Date:4/20/2005 1031 AM Report Name: Captial Proj-Exp.2005 2005 Budges • 6173 Furniture & Fixtures Deferred I 05-2731-002-00 Furniture & Fixtures <->• Chair Replacements $2,000 <Deferred by TJQ> to 2006 ($2,000) Total 05-2731-002-00 Furniture & Fixtures $0 Total Deferred $0 Total 6173 Furniture & Fixtures I $0 6178 Miscellaneous Equipment Miscellaneous Equipment I 05-2731-004-00 Miscellaneous Equipment <-> Security Cameras- $50,000 I Total 05-2731-004-00 Miscellaneous Equipment $50,000 05-2731-004-01 Miscellaneous Equipment •j <-> Concept II Plus Rowers (Replacement) $7,400 Total 05-2731-004-01 Miscellaneous Equipment $7,400 05-2731-004-02 Miscellaneous Equipment I <-> Bikes -- Upright and Incumbent (Replacement) $40,000 Total 05-2731-004-02 Miscellaneous Equipment $40,000 05-2731-004-03 Miscellaneous Equipment <-> Barbells and Racks (Replacement) $7,700 Total 05-2731-004-03 Miscellaneous Equipment $7,700 I 05-2731-004-05 Miscellaneous Equipment <-> Crosstrainers (Replacement) $16,200 I Total 05-2731-004-05 Miscellaneous Equipment $16,200 Total Miscellaneous Equipment $121,300 Deferred I 05-2731-004-04 Miscellaneous Equipment <-> Benches $12,000 <Deferred by TJQ> to 2006 I ($12,000) Total 05-2731-004-04 Miscellaneous Equipment $0 Total Deferred $0 Total 6178 Miscellaneous Equipment $121,300 Total Miscellaneous Equipment $121,300 1 6181 Other Fixed Assets 130 1 • I I 2005 Capital Expenditures Background Information I 2731 Recreation Complex - Central Core Run Date•4/20/2005 10:31 AM Report Name: Captial Proj-Exp.2005 2005 i Budge Other Fixed Assets 1 05-2731-005-01 Other Fixed Assets <-> Design of double squash courts and fitness/ aerobics studio ( 100% $200,000 I City Cost ) Total 05-2731-005-01 Other Fixed Assets i $200,000 05-2731-005-02 Other Fixed Assets I <-> Various Doors, Windows, Skylight Repairs & Re Key all doors $10,000 Total 05-2731-005-02 Other Fixed Assets $10,000 • 05-2731-005-03 Other Fixed Assets g <-> Sub-Station Inspection & Maintenance (3 year inspection) $5,000 Total 05-2731-005-03 Other Fixed Assets $5,000 I 05-2731-005-04 Other Fixed Assets <-> Duct Cleaning - Tennis Court Area $10,000 Total 05-2731-005-04 Other Fixed Assets $10,000 1 05-2731-005-05 Other Fixed Assets <-> Tile and Grout Repairs -Various Locations $20,000 I Total 05-2731-005-05 Other Fixed Assets $20,000 05-2731-005-06 Other Fixed Assets <-> Renovations to Changerooms (Phase 2) $25,000 iTotal 05-2731-005-06 Other Fixed Assets $25,000 • Total Other Fixed Assets $270,000 I Deferred 05-2731-005-07 Other Fixed Assets <-> Capacitator Banks on main electrical feeds (Energy Efficiency) $20,000 I <Deferred by TJQ> to 2006 ($20,000) Total 05-2731-005-07 Other Fixed Assets $0 I 05-2731-005-08 Other Fixed Assets <-> New counter in mens and ladies washroom in upper concourse $8,500 <Deferred by TJQ> to 2006 ($8,500) 1 Total 05-2731-005-08 Other Fixed Assets $0 05-2731-005-09 Other Fixed Assets I <-> Supply and Install New VAT Flooring in Meeting Rooms 1, 2 and 3 $10,000 <Deferred by TJQ> to 2006 ($10,000) Total 05-2731-005-09 Other Fixed Assets $0 I05-2731-005-10 Other Fixed Assets <-> Indoor Facility Signage $6,000 1 131 1 2005 Capital Expenditures Background Information 2731 Recreation Complex - Central Core Run Date:4/20/2005 10.31 AM Report Name: Captial Pro]-Exp.2005 2005 • Budget I <Deferred by TJQ> to 2006 ($6,000) Total 05-2731-005-10 Other Fixed Assets $0 Total Deferred $0 Total 6181 Other Fixed Assets $270,000 Total Other Fixed Assets a $270,000 Total Expenditures $391,300 • I I I 1 • I I I I i I I 132 I , I I City of Pickering 2005 Explanation of Financing I2731 Recreation Complex-Central Core Run Date:4/20/2005 10:36 AM Funding Expense IMiscellaneous Equipment 05-2731-004-00 Miscellaneous Equipment I 2823 Capital Paid from Property Taxes ($50,000) $0 6178 Miscellaneous Equipment <-> Security Cameras $0 $50,000 I Total 6178 Miscellaneous Equipment $0 ($50,000) $50,000 Total 05-2731-004-00 Miscellaneous Equipment 0) $50,000 05-2731-004-01 Miscellaneous Equipment I 2823 Capital Paid from Property Taxes ($7,400) $0 6178 Miscellaneous Equipment <-> Concept II Plus Rowers(Replacement) $0 $7,400 I Total 6178 Miscellaneous Equipment $0 ($7,400) $7,400 Total 05-2731-004-01 Miscellaneous Equipment 0) $7,400 05-2731-004-02 Miscellaneous Equipment I 2823 Capital Paid from Property Taxes ($40,000) $0 6178 Miscellaneous Equipment <-> Bikes--Upright and Incumbent(Replacement) $0 $40,000 I Total 6178 Miscellaneous Equipment $0 $40,000 Total 05-2731-004-02 Miscellaneous Equipment ($40,000) $40,000 05-2731-004-03 Miscellaneous Equipment I 2823 Capital Paid from Property Taxes ($7,700) $0 6178 Miscellaneous Equipment <-> Barbells and Racks(Replacement) $0 $7,700 • Total 6178 Miscellaneous Equipment $0 $7,700 II Total 05-2731-004-03 Miscellaneous Equipment ($7,700) $7,700 05-2731-004-05 Miscellaneous Equipment I 2823 Capital Paid from Property Taxes ($16,200) $0 6178 Miscellaneous Equipment <-> Crosstrainers (Replacement) • $0 $16,200 I Total 6178 Miscellaneous Equipment $0 $16,200 Total 05-2731-004-05 Miscellaneous Equipment ($16,200) $16,200 Total Miscellaneous Equipment ($121,300) $121,300 Other Fixed Assets I05-2731-005-01 Other Fixed Assets 4906 Debt(10 year) ($200,000) $0 6181 Other Fixed Assets <-> Design of double squash courts and fitness/aerobics studio( $0 $200,000 100%City Cost) . Total 6181 Other Fixed Assets $0 $200,000 I Total 05-2731-005-01 Other Fixed Assets ($200,000) $200,000 05-2731-005-02 Other Fixed Assets 2823 Capital Paid from Property Taxes ($10,000) $0 I 6181 Other Fixed Assets <-> Various Doors,Windows, Skylight Repairs& Re Key all doors $0 $10,000 Total 6181 Other Fixed Assets $0 $10,000 I 133 . • 11 City of Pickering 2005 Explanation of Financing 2731 Recreation Complex-Central Core Run Date:4/20/2005 10:36 AM Funding Expense Total 05-2731-005-02 Other Fixed Assets ($10,000) $10,000 05-2731-005-03 Other Fixed Assets 2823 Capital Paid from Property Taxes ($5,000) $0 6181 Other Fixed Assets <-> Sub-Station Inspection& Maintenance(3 year inspection) $0 $5,000 Total 6181 Other Fixed Assets $0 $5,000 Total 05-2731-005-03 Other Fixed Assets ($5,000) $5,000 05-2731-005-04 Other Fixed Assets 2823 Capital Paid from Property Taxes ($10,000) $0 6181 Other Fixed Assets <-> Duct Cleaning-Tennis Court Area $0 $10,000 • Total 6181 Other Fixed Assets $0 $10,000 Total 05-2731-005-04 Other Fixed Assets ($10,000) $10,000 05-2731-005-05 Other Fixed Assets 2823 Capital Paid from Property Taxes ($20,000) $0 6181 Other Fixed Assets <-> Tile and Grout Repairs-Various Locations $0 $20,000 Total 6181 Other Fixed Assets $0 $20,000 Total 05-2731-005-05 Other Fixed Assets ($20,000) $20,000 05-2731-005-06 Other Fixed Assets 2823 Capital Paid from Property Taxes ($25,000) $0 6181 Other Fixed Assets <-> Renovations to Changerooms(Phase 2) $0 $25,000 Total 6181 Other Fixed Assets $0 $25,000 Total 05-2731-005-06 Other Fixed Assets ($25,000) $25,000 Total Other Fixed Assets ($270,000) $270,000 Deferred 05-2731-002-00 Furniture& Fixtures 6173 Furniture& Fixtures <-> Chair Replacements $0 $2,000 <Deferred by TJQ> to 2006 $0 ($2,000) Total 6173 Furniture& Fixtures $0 $0 Total 05-2731-002-00 Furniture&Fixtures $0 $0 05-2731-004-04 Miscellaneous Equipment 6178 Miscellaneous Equipment <-> Benches $0 $12,000 <Deferred by TJQ> to 2006 $0 ($12,000) Total 6178 Miscellaneous Equipment $0 $0 Total 05-2731-004-04 Miscellaneous Equipment $0 $0 05-2731-005-07 Other Fixed Assets 6181 Other Fixed Assets <-> Capacitator Banks on main electrical feeds(Energy Efficiency) $0 $20,000 <Deferred by TJQ> to 2006 $0 ($20,000) Total 6181 Other Fixed Assets $0 $0 Total 05-2731-005-07 Other Fixed Assets $0 $0 1 I 34 I I City of Pickering 2005 Explanation of Financing I 2731 Recreation Complex-Central Core Run Date:4/20/2005 10:36 AM • . Funding Expense 05-2731-005-08 Other Fixed Assets 6181 Other Fixed Assets I <-> New counter in mens and ladies washroom in upper concourse $0 $8,500 <Deferred by TJQ> to 2006 $0 ($8,500) Total 6181 Other Fixed Assets $0 $0 Total 05-2731-005-08 Other Fixed Assets $0 $0 I 05-2731-005-09 Other Fixed Assets 6181 Other Fixed Assets I <-> Supply and Install New VAT Flooring in Meeting Rooms 1, 2 $0 $10,000 <Deferred by TJQ> to 2006 $0 ($10,000) Total 6181 Other Fixed Assets $0 $0 Total 05-2731-005-09 Other Fixed Assets $0 $0 05-2731-005-10 Other Fixed Assets 6181 Other Fixed Assets I <-> Indoor Facility Signage $0 $6,000 <Deferred by TJQ> to 2006 $0 ($6,000) Total 6181 Other Fixed Assets $0 $0 I Total 05-2731-005-10 Other Fixed Assets $0 $0 Total Deferred $0 $0 Total Funding& Expense ($391,300) $391,300 I I I . I . I I I I 135 I CITY OF PICKERING 2004 -2007 CAPITAL BUDGET 2733 Recreation Complex - Pool Run Date•4/20/2005 9 M P Report Name Dept Capital 2004-2007 2004 2005 2006/2007 BUDGET BUDGET BUDGET 6173 Furniture& Fixtures $0 $0 $900 6178 Miscellaneous Equipment $17,000 $22,000 $40,000 6181 Other Fixed Assets $20,000 $10,000 $160,000 Total EXPENDITURES $37,0001 $32,000 $200,900 FINANCING 2823 Capital Paid from Property Taxes ($37,000) ($32,000) ($200,900) Total FINANCING ($37,000) ($32,000) ($200,900) I 1 1 I 1 I I I I I I I I I 1 136 • I 2005 Capital Expenditures Background Information I 2733 Recreation Complex - Pool Run Date:4/20/200510:31 AM Report Name: Captial Proj-Exp.2005 2005 Budges 6173 Furniture & Fixtures Deferred 05-2733-002-00 Furniture & Fixtures <-> Whiteboard -- Large Portable $900 <Deferred by TJQ> to 2006 ($900) Total 05-2733-002-00 Furniture & Fixtures $0 Total Deferred $0 Total 6173 Furniture & Fixtures $0 6178 Miscellaneous Equipment Miscellaneous Equipment 05-2733-004-00 Miscellaneous Equipment <-> Various Cleaning Equipment - Replacement $20,000 Total 05-2733-004-00 Miscellaneous Equipment $20,000 05-2733-004-01 Miscellaneous Equipment <-> Stainless Steel Storage Reel for Lanemarkers (Replacement) $2,000 il Total 05-2733-004-01 Miscellaneous Equipment $2,000 Total Miscellaneous Equipment $22,000 I Total 6178 Miscellaneous Equipment $22,000 Total Miscellaneous Equipment � ,.-°1'. .7--, r. , �.�z.� ..�, �. .;. � :: ,� .. . .:.. .,$22 000 6181 Other Fixed Assets Other Fixed Assets 05-2733-005-01 Other Fixed Assets <-> Deferred to 2005 by TJQ -- 2 Guard Chairs ( Replacement - Safety ) $10,000 Total 05-2733-005-01 Other Fixed Assets $10,000 III Total Other Fixed Assets $10,000 Deferred 05-2733-005-00 Other Fixed Assets <-> Battery Emergency Lighting and HVAC unit for Lifeguard Office $80,000 <Deferred by TJQ> to 2006 ($80,000) Total 05-2733-005-00 Other Fixed Assets $0 Total Deferred $0 Total 6181 Other Fixed Assets $10,000 Total Other Fixed Assets �.:4 >... $- , ---. . $10,000 Total Expenditures $32,000 I I 137 I • I City of Pickering 2005 Explanation of Financing I2733 Recreation Complex•Pool Run Date:4/20/2005 10:36 AM Funding Expense IMiscellaneous Equipment 05-2733-004-00 Miscellaneous Equipment I 2823 Capital Paid from Property Taxes ($20,000) $0 6178 Miscellaneous Equipment <-> Various Cleaning Equipment-Replacement $0 $20,000 ' Total 6178 Miscellaneous Equipment $0 ($20,000) $20,000 Total 05-2733-004-00 Miscellaneous Equipment 0) $20,000 05-2733-004-01 Miscellaneous Equipment I 2823 Capital Paid from Property Taxes ($2,000) $0 6178 Miscellaneous Equipment <-> Stainless Steel Storage Reel for Lanemarkers(Replacement) $0 $2,000 I Total 6178 Miscellaneous Equipment $0 $2,000 • Total 05-2733-004-01 Miscellaneous Equipment ($2,000) $2,000 Total Miscellaneous Equipment ($22,000) • $22,000 I Other Fixed Assets 05-2733-005-01 Other Fixed Assets 2823 Capital Paid from Property Taxes ($10,000) $0 I 6181 Other Fixed Assets <-> Deferred to 2005 by TJQ--2 Guard Chairs(Replacement- $0 $10,000 Total 6181 Other Fixed Assets $0 $10,000 I Total 05-2733-005-01 Other Fixed Assets ($10,000) $10,000 Total Other Fixed Assets ($10,000) $10,000 Deferred I 05-2733-002-00 Furniture& Fixtures 6173 Furniture& Fixtures <-> Whiteboard— Large Portable $0 $900 <Deferred by TJQ> to 2006 $0 ($900) ITotal 6173 Furniture&Fixtures $0 $0 Total 05-2733-002-00 Furniture& Fixtures $0 $0 05-2733-005-00 Other Fixed Assets I6181 Other Fixed Assets <-> Battery Emergency Lighting and HVAC unit for Lifeguard $0 $80,000 <Deferred by TJQ> to 2006 $0 ($80,000) ' Total 6181 Other Fixed Assets $0 $0 Total 05-2733-005-00 Other Fixed Assets $0 $0 Total Deferred $0 $0 I Total Funding & Expense ($32,000) $32,000 I I I 138 1 CITY OF PICKERING 2004 - 2007 CAPITAL BUDGET 1 2735 Recreation Complex -Arenas Run Date•4/20/2005 9 M P Report Name Dept Capital 2004-2007 2004 2005 2006/2007 BUDGET. BUDGET BUDGET EXPENDITURES I 6178 Miscellaneous Equipment $90,100 $33,000 $24,000 6181 Other Fixed Assets 1 $125,000 $206,000 $165,000 Total EXPENDITURES $215,1001 $239,0001 $189,000 FINANCING 2823 Capital Paid from Property Taxes ($208,000) ($119,000) ($189,000) 4623 Rec. Complex Arena Reserve $0 ($120,000) $0 4905 Donations ($7,100) $0 $0 Total FINANCING 1 ($215,100) ($239,000) ($189,000) I - 1 I I I 1 1 1 1 I 1 1 139 1 2005 Capital Expenditures Background Information 2735 Recreation Complex - Arenas Run Date:4/20/20051031 AM Report Name: Captial Proj-Exp.2005 2005 Budget I 6178 Miscellaneous Equipment Miscellaneous Equipment ' 05-2735-004-00 Miscellaneous Equipment . <-> Wall Mount Score Clock Delaney Rink (Replacement) Centre Score $20,000 I Clock to be removed Total 05-2735-004-00 Miscellaneous Equipment $20,000 05-2735-004-01 Miscellaneous Equipment , <-> Supply 20 New Round Tables - Replacement $8,000 Total 05-2735-004-01 Miscellaneous Equipment $8,000 05-2735-004-02 Miscellaneous Equipment <-> Deferred to 2005 by TJQ -- 2 Walkie Talkies - Replacement $2,000 Total 05-2735-004-02 Miscellaneous Equipment $2,000 , 05-2735-004-03 Miscellaneous Equipment <-> Deferred to 2005 by TJQ -- Ice Cutting Knives - Replacement $1,200 1 Total 05-2735-004-03 Miscellaneous Equipment $1,200 05-2735-004-04 Miscellaneous Equipment <-> Deferred to 2005 by TJQ -- Goal Frames - Replacement $1,800 I Total 05-2735-004-04 Miscellaneous Equipment $1,800 Total Miscellaneous Equipment $33,000 I Total 6178 Miscellaneous Equipment $33,000 Total Miscellaneous Equipment sz $33,000 6181 Other Fixed Assets Other Fixed Assets 05-2735-005-00 Other.Fixed Assets I <-> Supply & Install New Plate & Frame Ammonia Chiller- Delaney Rink $120,000 (As Per Design & Prep Work performed in 2004) Replacement Total 05-2735-005-00 Other Fixed Assets $120,000 I 05-2735-005-01 Other Fixed Assets <-> Ammonia Compressors (1) Delaney Rink (Replacement) $50,000 Total 05-2735-005-01 Other Fixed Assets $50,000 05-2735-005-02 Other Fixed Assets <-> Supply & Install Glass & Netting on 2 Rinks (Replacement) (H&S) $30,000 I Total 05-2735-005-02 Other Fixed Assets $30,000 05-2735-005-04 Other Fixed Assets ,. <-> Supply & Install 1/4 inch plastic wall covering on North Wall - O'Brien $6,000 Rink. Health and Safety _ 140 • i 2005 Capital Expenditures Background Information • 2735 Recreation Complex - Arenas Run Date a /2005 1°.31 AM Cp Report Name tiI al Prot-Exp.2005 2005 Budget I Total 05-2735-005-04 Other Fixed Assets j $6,000 1 Total Other Fixed Assets j $206,000 Deferred ' 05-2735-005-05 Other Fixed Assets <-> Seating for Delaney Rink - Phase I (Replacement) $25,000 <Deferred by TJQ> to 2006 ($25,000) Total 05-2735-005-05 Other Fixed Assets $0 05-2735-005-06 Other Fixed Assets <-> Display Cabinet for Sports Memorabilia $10,000 <Deferred by TJQ> to 2006 ($10,000) Total 05-2735-005-06 Other Fixed Assets $0 Total Deferred $0 Total 6181 Other Fixed Assets $206,000 ITotal Other Fixed Assets ,z k $206,000 Total Expenditures $239,000 I 1 1 1 . 1 1 1 1 1 141 1 I City of Pickering 2005 Explanation of Financing I 2735 Recreation Complex-Arenas Run Date:4/20/2005 10:36 AM • Funding Expense IMiscellaneous Equipment 05-2735-004-00 Miscellaneous Equipment I 2823 Capital Paid from Property Taxes ($20,000) $0 6178 Miscellaneous Equipment <-> Wall Mount Score Clock Delaney Rink(Replacement)Centre $0 $20,000 Score Clock to be removed I Total 6178 Miscellaneous Equipment $0 $20,000 Total 05-2735-004-00 Miscellaneous Equipment ($20,000) $20,000 05-2735-004-01 Miscellaneous Equipment I2823 Capital Paid from Property Taxes ($8,000) $0 6178 Miscellaneous Equipment <-> Supply 20 New Round Tables-Replacement $0 $8,000 ITotal 6178 Miscellaneous Equipment $0 $8,000 Total 05-2735-004-01 Miscellaneous Equipment ($8,000) $8,000 05-2735-004-02 Miscellaneous Equipment II2823 Capital Paid from Property Taxes ($2,000) $0 6178 Miscellaneous Equipment <-> Deferred to 2005 by TJQ--2 Walkie Talkies-Replacement $0 $2,000 ITotal 6178 Miscellaneous Equipment $0 $2,000 Total 05-2735-004-02 Miscellaneous Equipment ($2,000) $2,000 05-2735-004-03 Miscellaneous Equipment 2823 Capital Paid from Property Taxes ($1,200) $0 6178 Miscellaneous Equipment <-> Deferred to 2005 by TJQ--Ice Cutting Knives-Replacement $0 $1,200 1 Total 6178 Miscellaneous Equipment $0 $1,200 Total 05-2735-004-03 Miscellaneous Equipment ($1,200) $1,200 05-2735-004-04 Miscellaneous Equipment 2823 Capital Paid from Property Taxes ($1,800) $0 6178 Miscellaneous Equipment <-> Deferred to 2005 by TJQ—Goal Frames-Replacement $0 $1,800 I . Total 6178 Miscellaneous Equipment $0 $1,800 Total 05-2735-004-04 Miscellaneous Equipment ($1,800) $1,800 Total Miscellaneous Equipment ($33,000) $33,000 Other Fixed Assets 05-2735-005-00 Other Fixed Assets 4623 Rec. Complex Arena Reserve ($120,000) $0 1 6181 Other Fixed Assets <-> Supply& Install New Plate& Frame Ammonia Chiller-Delaney $0 $120,000 Rink(As Per Design & Prep Work performed in 2004) Replacement I Total 6181 Other Fixed Assets $0 $120,000 Total 05-2735-005-00 Other Fixed Assets ($120,000) $120,000 05-2735-005-01 Other Fixed Assets I 2823 Capital Paid from Property Taxes ($50,000) $0 6181 Other Fixed Assets <-> Ammonia Compressors(1) Delaney Rink(Replacement) $0 $50,000 I 142 . . 1 City of Pickering 2005 Explanation of Financing 2735 Recreation Complex-Arenas Run Date:4/20/2005 10:36 AM 111 Funding Expense Total 6181 Other Fixed Assets $0 $50,000 Total 05-2735-005-01 Other Fixed Assets ($50,000) $50,000 05-2735-005-02 Other Fixed Assets I2823 Capital Paid from Property Taxes ($30,000) $0 6181 Other Fixed Assets <-> Supply& Install Glass&Netting on 2 Rinks(Replacement) $0 $30,000 I Total 6181 Other Fixed Assets $0 $30,000 Total 05-2735-005-02 Other Fixed Assets ($30,000) $30,000 05-2735-005-04 Other Fixed Assets 2823 Capital Paid from Property Taxes ($6,000) $0 6181 Other Fixed Assets <-> Supply& Install 1/4 inch plastic wall covering on North Wall- $0 $6,000 O'Brien Rink. Health and Safety Total 6181 Other Fixed Assets $0 • $6,000 Total 05-2735-005-04 Other Fixed Assets ($6,000) $6,000 Total Other Fixed Assets ($206,000) $206,000 I Deferred 05-2735-005-05 Other Fixed Assets 6181 Other Fixed Assets I <-> Seating for Delaney Rink-Phase I (Replacement) $0 $25,000 <Deferred by TJQ> to 2006 $0 ($25,000) Total 6181 Other Fixed Assets $0 $0 I Total 05-2735-005-05 Other Fixed Assets $0 $0 05-2735-005-06 Other Fixed Assets 6181 Other Fixed Assets I <-> Display Cabinet for Sports Memorabilia $0 $10,000 <Deferred by TJQ> to 2006 $0 ($10,000) Total 6181 Other Fixed Assets $0 $0 I Total 05-2735-005-06 Other Fixed Assets $0 $0 Total Deferred $0 $0 Total Funding&Expense ($239,000) $239,000 I I I I I 143 1 CITY OF PICKERING 2004 -2007 CAPITAL BUDGET 1 2744 Museum Report Name a Dep4/20/2005 OO 2 07 2004 2005 2006/2007 BUDGET BUDGET BUDGET EXPENDITURES 6149 Restoration-Museum Buildings $380,000 $563,200 $318,500 6178 Miscellaneous Equipment $0 $10,000 $2,200 6181 Other Fixed Assets $30,000 $0 $45,000 Total EXPENDITURES $410,0001 $573,2001 $365,700 FINANCING 2823 Capital Paid from Property Taxes ($30,000) ($26,200) ($365,700) 4225 Reserve Fund-Comm. Facilities ($190,000) $0 $0 4905 Donations ($190,000) ($96,000) $0 4906 Debt(10 year) $01 ($451,000)' $0 Total FINANCING 1 ($410,000)1 ($573,200) ($365,700) I I . 1 1 1 1 1 1 1 1 1 144 2005 Capital Expenditures Background Information I • 2744 Museum Run Date 4/20/200510:31 AM Report Name: Captial Proj-Exp.2005 20051 Budge 6149 Restoration - Museum Buildings Restoration - Museum Buildings I 05-2744-001-01 Restoration - Museum Buildings <-> Construction of the Museum Program Centre & the Relocation of the $547,000 I Brougham Central Hotel (Phase 2). City Share $382,800. Donation of $96,000 from Pickering Museum Village Foundation. Total 05-2744-001-01 Restoration - Museum Buildings $547,000 05-2744-001-02 Restoration - Museum Buildings <-> Replace Footings -- Collins House $8,000 Total 05-2744-001-02 Restoration - Museum Buildings 1 $8,000 I 05-2744-001-03 Restoration - Museum Buildings <-> Repair to Chimneys, Miller-Cole House $1,200 I Total 05-2744-001-03 Restoration - Museum Buildings $1,200 05-2744-001-04 Restoration - Museum Buildings <-> General Paint Repair/ Replace & Gazebo $7,000 Total 05-2744-001-04 Restoration - Museum Buildings 1 $7,000 Total Restoration - Museum Buildings 1 $563,200 Deferred I 05-2744-001-05 Restoration - Museum Buildings <-> Paint Exterior-- Oddfellows Hall $9,000 I <Deferred by TJQ> to 2006 ($9,000) Total 05-2744-001-05 Restoration - Museum Buildings $0 Total Deferred $0 Total 6149 Restoration - Museum Buildings $563,200 Total Restoration Museum Buildings $563,200 6178 Miscellaneous Equipment Miscellaneous Equipment 05-2744-005-00 Miscellaneous Equipment I <-> Relocation of Sawmill to Permanent Foundation 0 $6,000 Total 05-2744-005-00 Miscellaneous Equipment $6,000 I 05-2744-005-01 Miscellaneous Equipment <-> Road Repairs and Drainage Tile $4,000 Total 05-2744-005-01 Miscellaneous Equipment $4,000 Total Miscellaneous Equipment $10,000 Deferred I 05-2744-005-02 Miscellaneous Equipment J 145 I 2005 Capital Expenditures Background Information 2744 Museum Run Date:4/20/2005 10:31 AM Report Name: Captial Prot-Exp.2005 2005 ' Budge <-> Commercial Refrigerator $2,200 <Deferred by TJQ> to 2006 ($2,200) Total 05-2744-005-02 Miscellaneous Equipment $0 Total Deferred $0 Total 6178 Miscellaneous Equipment I $10,000 Total Miscellaneous Equipment - $10,000 ' 6181 Other Fixed Assets Deleted 05-2744-006-01 Other Fixed Assets <-> Garbage Crates $1,200 <Deleted by TJQ> ($1,200) ' Total 05-2744-006-01 Other Fixed Assets $0 05-2744-006-02 Other Fixed Assets ' <-> Portable Lighting System $5,000 <Deleted by TJQ> ($5,000) Total 05-2744-006-02 Other Fixed Assets $0 ' Total Deleted $0 Total 6181 Other Fixed Assets $0 Total Expenditures $573,200 1 1 1 1 1 ' 146 I I City of Pickering 2005 Explanation of Financing • II2744 Museum Run Date:4/20/2005 10:36 AM Funding Expense IMiscellaneous Equipment 05-2744-005-00 Miscellaneous Equipment I 2823 Capital Paid from Property Taxes ($6,000) $0 6178 Miscellaneous Equipment <-> Relocation of Sawmill to Permanent Foundation $0 $6,000 I Total 6178 Miscellaneous Equipment $0 ($6,000) $6,000 Total 05-2744-005-00 Miscellaneous Equipment 0) $6,000 05-2744-005-01 Miscellaneous Equipment 2823 Capital Paid from Property Taxes ($4,000) $0 6178 Miscellaneous Equipment <-> Road Repairs and Drainage Tile $0 $4,000 I Total 6178 Miscellaneous Equipment $0 ($4,000) $4,000 Total 05-2744-005-01 Miscellaneous Equipment 0) $4,000 Total Miscellaneous Equipment ($10,000) $10,000 I Restoration -Museum Buildings 05-2744-001-01 Restoration - Museum Buildings 4905 Donations ($96,000) $0 I 4906 Debt(10 year) _ ($451,000) $0 6149 Restoration-Museum Buildings <-> Construction of the Museum Program Centre&the Relocation $0 $547,000 of the Brougham Central Hotel (Phase 2). City Share$382,800. I Donation of$96,000 from Pickering Museum Village Foundation. Total 6149 Restoration-Museum Buildings $0 $547,000 Total 05-2744-001-01 Restoration-Museum Buildings ($547,000) $547,000 I 05-2744-001-02 Restoration -Museum Buildings 2823 Capital Paid from Property Taxes ($8,000) $0 6149 Restoration-Museum Buildings I <-> Replace Footings—Collins House $0 $8,000 Total 6149 Restoration-Museum Buildings $0 $8,000 Total 05-2744-001-02 Restoration-Museum Buildings ($8,000) $8,000 U 05-2744-001-03 Restoration-Museum Buildings 2823 Capital Paid from Property Taxes ($1,200) $0 6149 Restoration - Museum Buildings I <-> Repair to Chimneys, Miller-Cole House $0 $1,200 Total 6149 Restoration-Museum Buildings $0 $1,200 Total 05-2744-001-03 Restoration-Museum Buildings ($1,200) $1,200 I 05-2744-001-04 Restoration - Museum Buildings 2823 Capital Paid from Property Taxes ($7,000) $0 6149 Restoration -Museum Buildings I <-> General Paint Repair/Replace&Gazebo $0 $7,000 Total 6149 Restoration-Museum Buildings $0 $7,000 Total 05-2744-001-04 Restoration-Museum Buildings ($7,000) $7,000 I Total Restoration-Museum Buildings ($563,200) $563,200 Deleted 05-2744-006-01 Other Fixed Assets I 147 I City of Pickering 2005 Explanation of Financing I 2744 Museum Run Date:4/20/2005 10:36 AM ' Funding Expense I6181 Other Fixed Assets <-> Garbage Crates $0 $1,200 <Deleted by TJQ> $0 ($1,200) ITotal 6181 Other Fixed Assets $0 $0 Total 05-2744-006-01 Other Fixed Assets $0 $0 05-2744-006-02 Other Fixed Assets I 6181 Other Fixed Assets <-> Portable Lighting System $0 $5,000 <Deleted by TJQ> $0 ($5,000) Total 6181 Other Fixed Assets $0 $0 Total 05-2744-006-02 Other Fixed Assets $0 $0 Total Deleted $0 $0 IDeferred 05-2744-001-05 Restoration-Museum Buildings 6149 Restoration -Museum Buildings <-> Paint Exterior—Oddfellows Hall $0 $9,000 <Deferred by TJQ> to 2006 $0 ($9,000) Total 6149 Restoration-Museum Buildings $0 $0 ITotal 05-2744-001-05 Restoration-Museum Buildings $0 $0 05-2744-005-02 Miscellaneous Equipment 6178 Miscellaneous Equipment <-> Commercial Refrigerator $0 $2,200 I <Deferred by TJQ> to 2006 $0 ($2,200) Total 6178 Miscellaneous Equipment $0 $0 Total 05-2744-005-02 Miscellaneous Equipment $0 $0 I Total Deferred $0 $0 Total Funding&Expense ($573,200) $573,200 I I I I I I 148 I I Museum Project Summary Museum Project consists of two parts: A. Program Centre B. Hotel Restoration ' Summary of Proposed Funding Based on Estimated Costs Museum ' C Foundation Total Program Centre $ 651,000 $ 250,000 $ 901,000 ' Hotel Restoration 250,000 651,000 901,000 $ Total 901,000 $ 901,000 $1,802,000 Program Centre Project - Total Costs $901,000 • 2003 City- Property Taxes $ 10,000 I2004 City- (Comm Facilities Res.) 190,000 2005 City- (10 year Debt) 451,000 $ 651,000 2004 Museum Foundation (Fixed) • 190,000 2005 Museum Foundation (Fixed) 60,000 250,000 Total $ 901,000 Hotel Restoration Project - Estimated Cost $901,000 ' 2003 Museum Foundation $ 8,890 2005 Museum Foundation 36,000 2006/07 Museum Foundation 606,110 $ 651,000 2006 City (Fixed) 250,000 ' Total $ 901,000 Summary of 2005 Museum Project Costs (05-2744-001-01) Prj Centre City 10 year Debt $ 451,000 ' Prj. Centre Museum Foundation 60,000 Hotel Rest. Museum Foundation 36,000 Sub-Total $ 547,000 1 U 1 149 - I CITY OF PICKERING 1 2004 -2007 CAPITAL BUDGET . I Run Date:4/20/2005 9:56 AM Planning & Development Report Name Dept Capital 2004-2007 2004 2005 2006/2007 IBUDGET BUDGET BUDGET EXPENDITURES I 6003 Road Construction $2,528,690 $2,385,650 $8,360,350 6005 Sidewalks&Streetlights $167,500 $988,0001 $3,256,060 6006 Storm Water Management $155,800 $160,000 $315,800 i • 6007 Traffic Signals $205,000 $0, $644,000 6157 Vehicles $01 $0 $55,000 I 6173 Furniture& Fixtures $3,450 $34,200 $9,600 6178 Miscellaneous Equipment $6,500 $4,000 $6,500 6181 Other Fixed Assets $0 $50,000, $0 ITotal EXPENDITURES $3,066,9401 $3,621,8501 $12,647,310 FINANCING I 2823 Capital Paid from Property Taxes . ($9,950) ($38,200)1 ($71,100) 4235 Third Party Contribution $0 ($50,000) $0 4620 City Share- DC Projects ($1,763,965)' ($2,027,840) ($6,008,000) I 5003 DC-Roads ($946,010)1 ($4,271,475) 5004 DC-Sidewalks&Street Lights ($83,750) ($423,800) ($1,647,935) 5005 DC-Traffic Signals ($112,500) $01 ($333,000) I5006 DC-Storm Water Management ($132,430) ($136,000)1 ($315,800) Total FINANCING I ($3,066,940) ($3,621,850)1($12,647,310) I I 1 I I I . I I I I 150 t CITY OF PICKERING 2004 - 2007 CAPITAL BUDGET I2610 Plan & Develop -Admin Report Name a Dept Capital 2004-200T 2004 2005 2006/2007 BUDGET BUDGET BUDGET �I EXPENDITURES 6173 Furniture& Fixtures $0 $4,600 $0 Total EXPENDITURES l $0 $4,600' $0 FINANCING 2823 Capital Paid from Property Taxes $0 ($4,600) $0 Total FINANCING $01 ($4,600)1 $0 1 I I I I I I I I I I 1 151 2005 Capital Expenditures Background Information • • C 1 Plan Date:4/20/2005 10:35 AM 26 I 0 f lan & Develop - Admin Report Name: Captial Proj-Exp.2005 2005 • Budget 6173 Furniture & Fixtures 05-2610-002-01 Furniture & Fixtures I <-> New Position - Administrative Assistant -for Departmental Support- $4,600 Workstation & Chair Total Expenditures $4,600 • I I I I I I 1 I I 1 I 152 I City of Pickering 2005 Explanation of Financing 2610 Plan&Develop-Admin Run Date:4/20/2005 10•36 AM IFurniture&Fixtures Funding Expense 05-2610-002-01 Furniture& Fixtures 2823 Capital Paid from Property Taxes ($4,600) $0 6173 Furniture& Fixtures <-> New Position-Administrative Assistant-for Departmental $0 $4,600 Support-Workstation &Chair Total 6173 Furniture& Fixtures $0 $4,600 Total 05-2610-002-01 Furniture& Fixtures ($4,600) $4,600 Total Furniture& Fixtures ($4,600) $4,600 Total Funding& Expense ($4,600) $4,600 • • I I I 1 I' 1 I 153 I CITY OF PICKERING 2004 - 2007 CAPITAL BUDGET 2611 Planning Report Nam DeptCaPtai2004-200 2004 2005 2006/2007 BUDGET BUDGET BUDGET EXPENDITURES 6173 Furniture& Fixtures $0 $0 $9,600 Total EXPENDITURES $0 $0 $9,600 FINANCING 2823 Capital Paid from Property Taxes $0 $0 ($9,600) Total FINANCING I $01 $01 ($9,600) I I I I I I 1 154 • 2005 Capital Expenditures Background Information C.1.1 Run Date•4/20/2005 10:35 AM 26 1 1 Planning Report Name: Captial Proj-Exp.2005 2005 Budget 6173 Furniture & Fixtures 05-2611-002-01 Furniture & Fixtures <-> New Position - Environmental Planner- Workstation & Chair $4,600 <Deferred by TJQ> to 2006 ($4,600) • I I 1 I I I 1 I 155 � CITY OF PICKERING 2004 - 2007 • CAPITAL BUDGET 1 2612 Building Services Run Date:4/20/20059:56AM �J 9 �7 Report Name Dept Capital 2004-2007 2004 2005 2006/2007 • BUDGET BUDGET BUDGET EXPENDITURES 6157 Vehicles $0 $0 $30,000 6173 Furniture& Fixtures $2,250 $29,600 $0 Total EXPENDITURES $2,2501 $29,6001 $30,000 JFINANCING 2823 Capital Paid from Property Taxes ($2,250) ($29,600)1 ($30,000) Total FINANCING ($2,250)1 ($29,600)1 ($30,000) 1 1 I 1 I I I . I 1 I I r 156 2005 Capital Expenditures Background Information Services Run Date:4/26/2005 11:22 AM 2612 Building Services Report Name: Captial Proj-Exp.2005 2005 Budget 6157 Vehicles Deferred 05-2612-001-01 Vehicles <-> Replacement -Vehicle# 626 - 1998 Explorer $30,000 <Deferred by TJQ> • to 2006 ($30,000) I 6173 Furniture & Fixtures Furniture & Fixtures 05-2612-002-01 Furniture & Fixtures <-> Inspector II -Workstation & Chair $4,600 05-2612-002-02 Furniture & Fixtures <-> Mobile Filing Cabinets - Records Management $25,000 Total Expenditures $29,600 • 1 I I 1 I I I 1 157 I I City of Pickering 2005 Explanation of Financing 2612 Building Services Run Date:4/20/2005 10:36 AM . Funding Expense 1 Furniture& Fixtures 05-2612-002-01 Furniture& Fixtures I 2823 Capital Paid from Property Taxes ($4,600) $0 6173 Furniture&Fixtures <-> Inspector II -Workstation&Chair $0 $4,600 Total 6173 Furniture& Fixtures $0 $4,600 Total 05-2612-002-01 Furniture&Fixtures ($4,600) $4,600 05-2612-002-02 Furniture&Fixtures I 2823 Capital Paid from Property Taxes ($25,000) $0 6173 Furniture& Fixtures <-> Mobile Filing Cabinets-Records Management $0 $25,000 1 Total 6173 Furniture& Fixtures $0 $25,000 Total 05-2612-002-02 Furniture&Fixtures ($25,000) $25,000 Total Furniture& Fixtures ($29,600) $29,600 I Deferred . 05-2612-001-01 Vehicles 6157 Vehicles tt <-> Replacement-Vehicle#626- 1998 Explorer $0 $30,000 <Deferred by TJQ> to 2006 $0 ($30,000) Total 6157 Vehicles $0 $0 Total 05-2612-001-01 Vehicles $0 $0 Total Deferred $0 $0 Total Funding&Expense ($29,600) $29,600 1 I ' 1 I I 158 I CITY OF PICKERING 2004 - 2007 CAPITAL BUDGET 1 2613 Development Control Run Date.4/20/2005 9:56 AM P Report Name. Dept Capital 20042007 2004 2005 2006/2007 BUDGET BUDGET BUDGET EXPENDITURES 6157 Vehicles $0 $0 $25,000 6173 Furniture& Fixtures $1,200 $0 $0 6178 Miscellaneous Equipment $6,500 $4,000 $6,500 1 6181 Other Fixed Assets $0 $50,000 $0 Total EXPENDITURES j $7,7001 $54,0001 $31,500 I FINANCING 2823 Capital Paid from Property Taxes ($7,700) ($4,000) ($31,500) 4235 Third Party Contribution $0 ($50,000) $0 Total FINANCING ($7,700)1 ($54,000)1 ($31,500) I 1 I I I 1 I 1 1 I I 1 159 2005 Capital Expenditures I Background Information • Run Date:4/20/2005 10:35 AM 2613 Development Control Report Name: Captial Proj-Exp.2005 2005 Budget 6178 Miscellaneous Equipment 05-2613-004-01 Miscellaneous Equipment <-> Replacement of existing level instrument and legs. $4,000 6181 Other Fixed Assets 05-2613-005-01 Other Fixed Assets <-> Various construction projects related to development $50,000 Total Expenditures $54,000 • I 1 I 1 I �r I I 1 160 1 I City of Pickering 2005 Explanation of Financing 2613 Development Control Run Date:4/20/2005 10:36 AM Funding Expense Miscellaneous Equipment 05-2613-004-01 Miscellaneous Equipment 2823 Capital Paid from Property Taxes ($4,000) $0 6178 Miscellaneous Equipment <-> Replacement of existing level instrument and legs. $0 $4,000 Total 6178 Miscellaneous Equipment $0 $4,000 Total 05-2613-004-01 Miscellaneous Equipment ($4,000) $4,000 Total Miscellaneous Equipment ($4,000) $4,000 if Other Fixed Assets 05-2613-005-01 Other Fixed Assets 4235 Third Party Contribution ($50,000) $0 6181 Other Fixed Assets <-> Various construction projects related to development $0 $50,000 Total 6181 Other Fixed Assets $0 • $50,000 Total 05-2613-005-01 Other Fixed Assets ($50,000) $50,000 Total Other Fixed Assets ($50,000) $50,000 Total Funding&Expense ($54,000) $54,000 I I I I a I I I 161 . I CITY OF PICKERING �I 2004 - 2007 CAPITAL BUDGET 2321 External Subdivision Works Run Date Dept ap 4/20/2005 2004-2 0 Report Name Dt Capital 2004-2007 2004 2005 2006/2007 BUDGET BUDGET BUDGET EXPENDITURES 6003 Road Construction $2,528,690 $2,385,650 $8,360,350 6005 Sidewalks&Streetlights $167,500 $988,000 $3,256,060 6006 Storm Water Management $155,800 $160,000 $315,800 6007 Traffic Signals $205,000 $0 $644,000 Total EXPENDITURES $3,056,990 $3,533,6501 $12,576,210 I FINANCING 4620 City Share-DC Projects ($1,763,965) ($2,027,840) ($6,008,000) 5003 DC-Roads ($964,345) ($946,010) ($4,271,475) I •5004 DC-Sidewalks& Street Lights 1 ($83,750) ($423,800) ($1,647,935) 5005 DC-Traffic Signals ($112,500) $0 ($333,000) 5006 DC-Storm Water Management ($132,430) ($136,000) ($315,800) Total FINANCING L ($3,056,990)1 ($3,533,650)1($12,576,210) 1 1 1 I I I 1 I 1 I 162 I 2005 Capital Expenditures Background Information 2321 External Subdivision Works Run Date:4/20/2005 2:07 PM Report Name: Captial Proj-Exp.2005 2005 Budges I 6003 Road Construction Roads • 'M 05-2321-001-03 Roads <-> V-10 -- (2005) Finch Ave-Brock Road to 450m East. In conjunction $587,250 I with Brookfield development (SP 2004-04). Total 05-2321-001-03 Roads I $587,250 05-2321-001-04 Roads <-> RP-4 (2005) (partial) Road Urbanization Finch Ave. fronting SP $150,000 . 2002-02 and east to Petticoat Creek. Deferred to 2005 by TJQ. Total 05-2321-001-04 Roads $150,000 I 05-2321-001-05 Roads • <-> RU-3 (2005/2009) Sideline 4 adjacent to 181-88059. (partial) $50,000 preliminary engineering & design reconstruction in conj w/ subdivision. Total 05-2321-001-05 Roads $50,000 05-2321-001-06 Roads <-> Various construction projects related to infill development. $100,000 Total 05-2321-001-06 Roads j $100,000 05-2321-001-09 Roads <-> H-7 (2005-2009) Woodview Avenue north limit of Plan 40M-1877 $195,750 (existing limit of urbanization) to north limit of Hydro Corridor in conjunction w/draft plan SP-2002-02 (Nicou) Total 05-2321-001-09 Roads $195,750 05-2321-001-10 Roads <-> RP-3 (2005-2009) Woodview Avenue, Finch Avenue south to Hydro $952,650 Corridor (850m) in conjunction w/draft plan SP 2002-02 (Nicou) Total 05-2321-001-10 Roads $952,650 1 05-2321-001-29 Roads _ <-> WO-7 -- (2005/2009) Rosebank Road bridge CNR Tracks (north of $350,000 Sheppard). I Total 05-2321-001-29 Roads $350,000 Total Roads $2,385,650 Deleted 05-2321-001-35 Roads <-> TC-19 -- (2005/2009) Town Centre West - northerly access road, $211,200 III east of Dixie Road. <-> Deleted -As per the Budget Committee Meeting of April 7 & 8, 2005. ($211,200) Total 05-2321-001-35 Roads $0 I Total Deleted I $0 16.3 1 I 2005 Capital Expenditures Background Information • 1 2321 External Subdivision Works Run Date:4/20/20052.07 PM. Report Name: Captial Proj-Exp.2005 2005 IBudget I Deferred 05-2321-001-00 Roads <-> BR-2 (2005) Concession 3 - Brock Road to Valley Farm Road $952,100 <Deferred by TJQ> to 2006 ($952,100) Total 05-2321-001-00 Roads $0 05-2321-001-01 Roads I <-> TC-5 (2005) Diefenbaker Extension - East limit to Pickering Parkway $326,250 <Deferred by TJQ> to 2006 I ($326,250) Total 05-2321-001-01 Roads 1 $0 05-2321-001-08 Roads <-> TC-1 -- (2005) Pickering Parkway-Glenanna to Hydro Corridor $20,200 1 <Deferred by TJQ> to 2006 . ($20,200) Total 05-2321-001-08 Roads $0 1 05-2321-001-13 Roads <-> WO-5 -- (2005) Sheppard Avenue - Whites to Rosebank Rd. (sdwk 1 $131,300 north side) I <Deferred by TJQ> to 2006 ($131,300) Total 05-2321-001-13 Roads $0 05-2321-001-25 Roads 11 <-> BR-11 (2004) Duffins Precinct(east side of Brock, north of Finch) $214,800 Oversizing. Deferred to 2005 pending draft plan in 2004. 1 <Deferred by TJQ> to 2006 ($214,800) Total 05-2321-001-25 Roads 1 $0 05-2321-001-26 Roads i I <-> V-5 (2003) Notion Road-Kingston Road to 350m South. Deferred to $456,750 2005 by TJQ. <Deferred by TJQ> to 2006 ($456,750) ITotal 05-2321-001-26 Roads $0 05-2321-001-27 Roads • <-> RO-2 (2001) Sheppard Ave to Altona to Old Forest. Deferred to 2005 $717,250 I as per MP&E. <Deferred by TJQ> to 2006 ($717,250) j Total 05-2321-001-27 Roads $0 05-2321-001-28 Roads <-> WO-6 (2001) Sheppard Ave to Old Forest to Rosebank. Deferred to $391,500 I2005 as per MP&E. <Deferred by TJQ> to 2006 ($391,500) 1 164 . 2005 Capital Expenditures Background Information 2321 External Subdivision Works Run Date:4/20/20052:07 PM Report Name: Captial Proj-Exp.2005 2005 Budget I Total 05-2321-001-28 Roads $0 05-2321-001-31 Roads <-> DH-18 -- (2005) Old Taunton Road. Brock Road east to Taunton $448,700 <Deferred by TJQ> to 2008 ($448,700) I Total 05-2321-001-31 Roads $0 05-2321-001-32 Roads <-> DH-2(2005)Valley Farm/Tillings Road-Concession 3 to E/W Type C. $2,520,000 J <Deferred by TJQ> to 2006 , ($2,520,000) Total 05-2321-001-32 Roads $0 1 05-2321-001-33 Roads <-> DH-19 -- (2005) Old Taunton Road. URF Creek - Structure. $1,038,500 <Deferred by TJQ> to 2008 ($1,038,500) I Total 05-2321-001-33 Roads 1 $0 05-2321-001-34 Roads _ <-> DH-3 -- (2005) Valley Farm/Tilling Road bridge / Ganatsekiagon. $8,308,800 I <Deferred by TJQ> to 2009 ($8,308,800) Total 05-2321-001-34 Roads $0 I Total Deferred $0 Total 6003 Road Construction $2,385,650 Total Roar Construcion $2,385,650 6005 Sidewalks & Streetlights Sidewalks I 05-2321-002-01 Sidewalks & Streetlights <-> V-16 (2003) Brock Road (west side) Kingston Rd to Hwy 401. $234,000 Deferred to 2005 as per Regional Road Program. Total 05-2321-002-01 Sidewalks & Streetlights $234,000 05-2321-002-02 Sidewalks & Streetlights <-> V-17 (2003) Brock Road (east side) Pickering Pkwy to Hwy 401. $117,000 Deferred to 2005 as per Regional Road Program. Total 05-2321-002-02 Sidewalks & Streetlights $117,000 05-2321-002-12 Sidewalks & Streetlights ' <-> D-1 (2005) Kingston Road - (north side) Fairport Road to C.N.R. $163,800 Tracks in conj w/redevelopment of Formula Ford. Total 05-2321-002-12 Sidewalks & Streetlights $163,800 05-2321-002-14 Sidewalks & Streetlights <-> TC-11 (2005) Kingston Road - North side - Dixie Road to C.N.R. $81,900 Tracks - Added -As per the Budget Committee Meeting of April 7 & 8, 2005. 165 I 2005 Capital Expenditures Background Information I 2321 External Subdivision Works Run Date:4/20/20052:07PM Report Name: Captial Proj-Exp.2005 2005 • Budget Total 05-2321-002-14 Sidewalks & Streetlights $81,900 05-2321-002-16 Sidewalks & Streetlights <-> V-4 - (2005) Kingston Road - North side - Bainbridge to Notion Road. $110,500 I Total 05-2321-002-16 Sidewalks & Streetlights $110,500 05-2321-002-18 Sidewalks & Streetlights <-> TC-9 (2005) Kingston Road - North side - Glendale Drive to Walnut $128,700 Lane. In conjunction with Kingston Road improvements. Added -As per the Budget Committee Meeting of April 7 & 8, 2005. Total 05-2321-002-18 Sidewalks & Streetlights $128,700 1 05-2321-002-20 Sidewalks & Streetlights <-> A-1 (1999) Finch Ave. (north side) - Rosebank Road East to $105,300 18T-87056. Deferred to 2005 by TJQ. Total 05-2321-002-20 Sidewalks & Streetlights $105,300 05-2321-002-22 Sidewalks & Streetlights <-> V-11 (2004) (partial) Finch Avenue - Royal Road (south side) west to $46,800 Guild Road. Deferred to 2005 by TJQ. Total 05-2321-002-22 Sidewalks & Streetlights $46,800 Total Sidewalks $988,000 Deferred 05-2321-002-03 Sidewalks & Streetlights <-> BR-5 (2005) Brock Rd (west side) Concession 3 to south limit (Park). $163,800 Deferred to 2005 as per Durham Region Work Schedule. <-> Deferred to 2006 by Durham Region ($163,800) Total 05-2321-002-03 Sidewalks & Streetlights $0 05-2321-002-04 Sidewalks & Streetlights <-> BR-3 & BR-4 (2005) Brock Rd (east and west side) Concession 3 to $355,200 Delbrook. Deferred to 2005 as per Durham Region Work Schedule. <-> Deferred to 2006 by Durham Region ($355,200) . Total 05-2321-002-04 Sidewalks & Streetlights $0 05-2321-002-05 Sidewalks & Streetlights <-> Deferred to 2005 as per Durham Reg. DH-24 (2010) Brock Rd-both $506,200 !4 sides-Concession 3 to Taunton Road (partial approval) <Deferred by TJQ> to 2007 ($356;200) <Deferred by TJQ> to 2006 -- DH-24 (2010) Brock Rd, ($150,000) Rossland/Concession 3 to Taunton Rd-Underpass. Total 05-2321-002-05 Sidewalks & Streetlights $0 1 05-2321-002-08 Sidewalks & Streetlights I 166 . 1 2005 Capital Expenditures - Background Information 2321 External Subdivision Works Run Date:4/20/20052:07 PM Report Name: Captial Proj-Exp.2005 2005 Budget <-> RO-8 (2002) Altona Rd (east side) Sheppard Ave to Kingston Rd. $131,300 Deferred to 2005 as per Durham Region. <-> Deferred to 2006 by Durham Region ($131,300) Total 05-2321-002-08 Sidewalks & Streetlights $0 05-2321-002-09 Sidewalks & Streetlights <-> B-10 (2004) Bayly Street-Sandy Beach to Alliance. Deferred to 2005 $34,900 by TJQ . <Deferred by TJQ> to 2008 ($34,900) Total 05-2321-002-09 Sidewalks & Streetlights I $0 05-2321-002-10 Sidewalks & Streetlights <-> WO-2 (2004) Kingston Rd. - South Side -West Limit ( Petticoat $147,420 Creek ) to Steeple Hill. Deferred to 2005 by TJQ. <Deferred by TJQ> to 2006 ($147,420) I Total 05-2321-002-10 Sidewalks & Streetlights I $0 05-2321-002-11 Sidewalks & Streetlights <-> TC-18 (2005) Kingston Road - Liverpool to Glenanna. In conjunction $163,800 with Kingston Road Study. <Deferred by TJQ> to 2006 ($163,800) I Total 05-2321-002-11 Sidewalks & Streetlights I $0 05-2321-002-13 Sidewalks & Streetlights <-> D-2 (2005) Kingston Road - Fairport Road to C.N.R. Tracks. In $175,000 conjunction with Bowood property. <Deferred by TJQ> to 2006 ($175,000) Total 05-2321-002-13 Sidewalks & Streetlights $0 05-2321-002-17 Sidewalks & Streetlights <-> V-15 (2005) Brock Road - East side - Kingston Road to Finch $49,140 _ <Deferred by TJQ> to 2006 ($49,140) Total 05-2321-002-17 Sidewalks & Streetlights $0 05-2321-002-21 Sidewalks & Streetlights <-> TC-7 (2003) Kingston Road -Valley Farm Road East (south side) to $81,900 Hydro Corridor. Deferred to 2005 by TJQ. <Deferred by TJQ> to 2006 ($81,900) I Total 05-2321-002-21 Sidewalks & Streetlights $0 Total Deferred $0 I Total 6005 Sidewalks & Streetlights $988,000 Total Sidewalks Sz 3tr'ee#t�ghts,� � �; - _ �$988,000 6006 Storm Water Management Storm Water Management 167 I 2005 Capital Expenditures Background Information I2321 External Subdivision Works Run Date:4/20/20052:07 PM Report Name: Captial Prot-Exp.2005 2005 Budget 05-2321-004-00 Storm Water Management <-> Storm Water Management $160,000 Total 05-2321-004-00 Storm Water Management $160,000 Total Storm Water Management $160,000 Total 6006 Storm Water Management $160,000 Total Storm Water.Management $160,000 I6007 Traffic Signals Deferred 05-2321-003-00 Traffic Signals <-> V-14 (2003) Pickering Parkway @ Portland Crt. IPS Intersection. $44,000 Deferred to 2005 by TJQ. <Deferred by TJQ> to 2006 ($44,000) Total 05-2321-003-00 Traffic Signals $0 05-2321-003-01 Traffic Signals <-> BI-15 (2005) Squires Beach Rd at Clements Rd (re: $300,000 Church/Clements to Bayly) incl intersection improvements. <Deferred by TJQ> to 2006 ($300,000) Total 05-2321-003-01 Traffic Signals $0 05-2321-003-02 Traffic Signals <-> WO-8 (2005) Rosebank/Sheppard Ave. realignment includes $300,000 signalization. Deferred to 2005 by TJQ. <Deferred by TJQ> to 2006 ($300,000) Total 05-2321-003-02 Traffic Signals $0 Total Deferred $0 Total 6007 Traffic Signals $0 Total Expenditures $3,533,650 I I I I 168 I I City of Pickering 2005 Explanation of Financing I2321 External Subdivision Works Run Date:4/20/2005 2:12 PM I Funding Expense Roads 05-2321-001-03 Roads I 4620 City Share-DC Projects ($440,440) $0 5003 DC-Roads ($146,810) $0 6003 Road Construction I <-> V-10--(2005)Finch Ave-Brock Road to 450m East. In $0 $587,250 conjunction with Brookfield development(SP 2004-04). Total 6003 Road Construction $0 $587,250 I Total 05-2321-001-03 Roads ($587,250) $587,250 05-2321-001-04 Roads 4620 City Share-DC Projects ($75,000) $0 5003 DC-Roads ($75,000) $0 I6003 Road Construction <-> RP-4(2005)(partial)Road Urbanization Finch Ave. fronting SP $0 . $150,000 2002-02 and east to Petticoat Creek. Deferred to 2005 by TJQ. I Total 6003 Road Construction $0 $150,000 Total 05-2321-001-04 Roads ($150,000) $150,000 05-2321-001-05 Roads I 4620 City Share-DC Projects ($37,500) $0 5003 DC-Roads ($12,500) $0 6003 Road Construction II <-> RU-3 (2005/2009)Sideline 4 adjacent to 18T-88059. (partial) $0 $50,000 preliminary engineering&design reconstruction in conj w/subdivision. Total 6003 Road Construction $0 $50,000 Total 05-2321-001-05 Roads ($50,000) $50,000 05-2321-001-06 Roads 4620 City Share-DC Projects ($50,000) $0 1 5003 DC-Roads ($50,000) $0 6003 Road Construction <-> Various construction projects related to infill development. $0 $100,000 I Total 6003 Road Construction $0 $100,000 Total 05-2321-001-06 Roads ($100,000) $100,000 05-2321-001-09 Roads I 4620 City Share-DC Projects $0 5003 DC-Roads ($97,875) $0 6003 Road Construction I <-> H-7(2005-2009)Woodview Avenue north limit of Plan $0 $195,750 40M-1877(existing limit of urbanization)to north limit of Hydro Corridor in conjunction w/draft plan SP-2002-02 (Nicou) I Total 6003 Road Construction $0 $195,750 Total 05-2321-001-09 Roads ($195,750) $195,750 05-2321-001-10 Roads 4620 City Share-DC Projects ($476,325) $0 1 5003 DC-Roads ($476,325) $0 6003 Road Construction I 169 • I City of Pickering 2005 Explanation of Financing 2321 External Subdivision Works Run Date:4/20/2005 2:12 PM I Funding Expense <-> RP-3 (2005-2009)Woodview Avenue, Finch Avenue south to $0 $952,650 Hydro Corridor(850m)in conjunction w/draft plan SP 2002-02 (Nicou) Total 6003 Road Construction $0 $952,650 Total 05-2321-001-10 Roads ($952,650) $952,650 05-2321-001-29 Roads 4620 City Share-DC Projects ($262,500) $0 5003 DC-Roads ($87,500) $0 6003 Road Construction <-> WO-7—(2005/2009)Rosebank Road bridge CNR Tracks $0 $350,000 (north of Sheppard). Total 6003 Road Construction $0 $350,000 Total 05-2321-001-29 Roads ($350,000) $350,000 Total Roads ($2,385,650) $2,385,650 I Sidewalks 05-2321-002-01 Sidewalks&Streetlights 4620 City Share-DC Projects ($175,500) $0 5004 DC-Sidewalks&Street Lights ($58,500) $0 6005 Sidewalks& Streetlights <-> V-16 (2003)Brock Road(west side)Kingston Rd to Hwy 401. $0 $234,000 Deferred to 2005 as per Regional Road Program. Total 6005 Sidewalks&Streetlights $0 $234,000 Total 05-2321-002-01 Sidewalks&Streetlights ($234,000) $234,000 05-2321-002-02 Sidewalks&Streetlights 4620 City Share-DC Projects ($58,500) $0 5004 DC-Sidewalks& Street Lights ($58,500) $0 6005 Sidewalks&Streetlights <-> V-17(2003) Brock Road (east side)Pickering Pkwy to Hwy $0 $117,000 401. Deferred to 2005 as per Regional Road Program. Total 6005 Sidewalks&Streetlights $0 $117,000 Total 05-2321-002-02 Sidewalks&Streetlights ($117,000) $117,000 05-2321-002-12 Sidewalks&Streetlights 4620 City Share-DC Projects ($81,900) $0 5004 DC-Sidewalks&Street Lights ($81,900) $0 6005 Sidewalks&Streetlights I <-> D-1 (2005) Kingston Road-(north side)Fairport Road to $0 $163,800 C.N.R.Tracks in conj w/redevelopment of Formula Ford. Total 6005 Sidewalks&Streetlights $0 $163,800 Total 05-2321-002-12 Sidewalks&Streetlights ($163,800) $163,800 05-2321-002-14 Sidewalks&Streetlights 4620 City Share-DC Projects ($40,950) $0 5004 DC-Sidewalks&Street Lights ($40,950) $0 6005 Sidewalks&Streetlights <-> TC-11 (2005) Kingston Road-North side-Dixie Road to $0 $81,900 C.N.R.Tracks-Added-As per the Budget Committee Meeting of Total 6005 Sidewalks&Streetlights $0 $81,900 Total 05-2321-002-14 Sidewalks&Streetlights ($81,900) $81,900 I 170 I II City of Pickering 2005 Explanation of Financing I2321 External Subdivision Works Run Date:4/20/2005 2•12 PM I Funding Expense 05-2321-002-16 Sidewalks&Streetlights 4620 City Share-DC Projects ($55,250) $0 I5004 DC-Sidewalks&Street Lights ($55,250) $0 6005 Sidewalks&Streetlights <-> V-4-(2005) Kingston Road-North side-Bainbridge to Notion $0 $110,500 I Total 6005 Sidewalks&Streetlights $0 $110,500 Total 05-2321-002-16 Sidewalks&Streetlights ($110,500) $110,500 05-2321-002-18 Sidewalks&Streetlights I 4620 City Share-DC Projects ($64,350) $0 5004 DC-Sidewalks&Street Lights ($64,350) $0 6005 Sidewalks&Streetlights I <-> TC-9(2005) Kingston Road-North side-Glendale Drive to $0 $128,700 Walnut Lane. In conjunction with Kingston Road improvements. Added-As per the Budget Committee Meeting of April 7&8, 2005. Total 6005 Sidewalks&Streetlights $0 $128,700 I Total 05-2321-002-18 Sidewalks&Streetlights ($128,700) $128,700 05-2321-002-20 Sidewalks&Streetlights 4620 City Share-DC Projects ($52,650) $0 I 5004 DC-Sidewalks&Street Lights - ($52,650) $0 6005 Sidewalks&Streetlights <-> A-1 (1999)Finch Ave. (north side)-Rosebank Road East to $0 $105,300 Il 8T-87056. Deferred to 2005 by TJQ. Total 6005 Sidewalks&Streetlights $0 $105,300 Total 05-2321-002-20 Sidewalks&Streetlights ($105,300) $105,300 I 05-2321-002-22 Sidewalks&Streetlights 4620 City Share-DC Projects ($35,100) $0 5004 DC-Sidewalks&Street Lights ($11,700) $0 1 6005 Sidewalks&Streetlights <-> V-11 (2004)(partial) Finch Avenue-Royal Road (south side) $0 $46,800 west to Guild Road. Deferred to 2005 by TJQ. I Total 6005 Sidewalks&Streetlights $0 $46,800 Total 05-2321-002-22 Sidewalks&Streetlights ($46,800) $46,800 Total Sidewalks ($988,000) $988,000 I Storm Water Management 05-2321-004-00 Storm Water Management 4620 City Share-DC Projects ($24,000) $0 I 5006 DC-Storm Water Management ($136,000) $0 6006 Storm Water Management <-> Storm Water Management $0 $160,000 I Total 6006 Storm Water Management $0 $160,000 Total 05-2321-004-00 Storm Water Management ($160,000) $160,000 Total Storm Water Management ($160,000) $160,000 I Deleted 05-2321-001-35 Roads 6003 Road Construction 1 171 I City of Pickering 2005 Explanation of Financing 2321 External Subdivision Works Run Date:4/20/2005 2:12 PM I Funding Expense I <-> TC-19--(2005/2009)Town Centre West-northerly access $0 $211,200 road,east of Dixie Road. <-> Deleted-As per the Budget Committee Meeting of April 7&8, $0 ($211,200) Total 6003 Road Construction $0 $0 Total 05-2321-001-35 Roads $0 $0 Total Deleted $0 $0 Deferred 05-2321-001-00 Roads 6003 Road Construction <-> BR-2 (2005)Concession 3-Brock Road to Valley Farm Road $0 $952,100 <Deferred by TJQ> to 2006 $0 ($952,100) Total 6003 Road Construction $0 $0 Total 05-2321-001-00 Roads $0 $0 05-2321-001-01 Roads . 6003 Road Construction <-> TC-5 (2005)Diefenbaker Extension -East limit to Pickering $0 $326,250 <Deferred by TJQ> to 2006 $0 ($326,250) Total 6003 Road Construction $0 $0 Total 05-2321-001-01 Roads $0 $0 05-2321-001-08 Roads 6003 Road Construction <-> TC-1 —(2005)Pickering Parkway-Glenanna to Hydro Corridor $0 $20,200 <Deferred by TJQ> to 2006 $0 ($20,200) Total 6003 Road Construction $0 $0 Total 05-2321-001-08 Roads $0 $0 ill 05-2321-001-13 Roads 6003 Road Construction <-> WO-5—(2005)Sheppard Avenue-Whites to Rosebank Rd. $0 $131,300 II (sdwk north side) <Deferred by TJQ> to 2006 $0 ($131,300) Total 6003 Road Construction $0 $0 Total 05-2321-001-13 Roads $0 $0 05-2321-001-25 Roads 6003 Road Construction I <-> BR-11 (2004) Duffins Precinct(east side of Brock, north of $0 $214,800 Finch)Oversizing. Deferred to 2005 pending draft plan in 2004. <Deferred by TJQ> to 2006 $0 ($214,800) Total 6003 Road Construction $0 $0 Total 05-2321-001-25 Roads $0 $0 05-2321-001-26 Roads 6003 Road Construction <-> V-5(2003)Notion Road-Kingston Road to 350m South. $0 $456,750 Deferred to 2005 by TJQ. <Deferred by TJQ> to 2006 $0 ($456,750) Total 6003 Road Construction $0 $0 I 172 I I City of Pickering 2005 Explanation of Financing I2321 External Subdivision Works Run Date:4/20/2005 2:12 PM Funding Expense Total 05-2321-001-26 Roads $0 $0 05-2321-001-27 Roads I 6003 Road Construction <-> RO-2 (2001)Sheppard Ave to Altona to Old Forest. Deferred to $0 $717,250 2005 as per MP&E. I <Deferred by TJQ> to 2006 $0 ($717,250) Total 6003 Road Construction $0 $0 Total 05-2321-001-27 Roads $0 $0 05-2321-001-28 Roads I6003 Road Construction <-> WO-6 (2001)Sheppard Ave to Old Forest to Rosebank. $0 $391,500 Deferred to 2005 as per MP&E. I <Deferred by TJQ> to 2006 $0 ($391,500) Total 6003 Road Construction $0 $0 Total 05-2321-001-28 Roads $0 $0 I 05-2321-001-31 Roads 6003 Road Construction <-> DH-18—(2005)Old Taunton Road. Brock Road east to $0 $448,700 I Taunton Road. <Deferred by TJQ> to 2008 $0 ($448,700) Total 6003 Road Construction $0 $0 I Total 05-2321-001-31 Roads $0 $0 05-2321-001-32 Roads 6003 Road Construction I <-> DH-2(2005)Valley Farm/Tillings Road-Concession 3 to E/W $0 $2,520,000 <Deferred by TJQ> to 2006 $0 ($2,520,000) Total 6003 Road Construction $0 $0 Total 05-2321-001-32 Roads $0 $0 05-2321-001-33 Roads 6003 Road Construction I <-> DH-19--(2005)Old Taunton Road. URF Creek-Structure. $0 $1,038,500 <Deferred by TJQ> to 2008 $0 ($1,038,500) Total 6003 Road Construction $0 $0 I Total 05-2321-001-33 Roads $0 $0 05-2321-001-34 Roads 6003 Road Construction 1 <-> DH-3—(2005)Valley Farm/Tilling Road bridge/ $0 $8,308,800 <Deferred by TJQ> to 2009 $0 ($8,308,800) Total 6003 Road Construction $0 $0 I . Total 05-2321-001-34 Roads $0 $0 05-2321-002-03 Sidewalks&Streetlights 6005 Sidewalks&Streetlights I <-> BR-5 (2005) Brock Rd(west side)Concession 3 to south limit $0 $163,800 (Park). Deferred to 2005 as per Durham Region Work Schedule. <-> Deferred to 2006 by Durham Region $0 ($163,800) 1 . 173 • 1 City of Pickering 2005 Explanation of Financing • 2321 External Subdivision Works Run Date:4/20/2005 2:12 PM I Funding Expense Total 6005 Sidewalks&Streetlights $0 $0 Total 05-2321-002-03 Sidewalks&Streetlights $0 $0 05-2321-002-04 Sidewalks&Streetlights 6005 Sidewalks& Streetlights <-> BR-3& BR-4(2005) Brock Rd (east and west side) Concession $0 $355,200 3 to Delbrook. Deferred to 2005 as per Durham Region Work <-> Deferred to 2006 by Durham Region $0 ($355,200) Total 6005 Sidewalks& Streetlights $0 $0 Total 05-2321-002-04 Sidewalks&Streetlights $0 $0 05-2321-002-05 Sidewalks&Streetlights 6005 Sidewalks'&Streetlights <-> Deferred to 2005 as per Durham Reg. DH-24 (2010)Brock $0 $506,200 Rd-both sides-Concession 3 to Taunton Road (partial approval) <Deferred by TJQ> to 2007 $0 ($356,200) <Deferred by TJQ> to 2006--DH-24 (2010)Brock Rd, $0 ($150,000) Rossland/Concession 3 to Taunton Rd-Underpass. Total 6005 .Sidewalks&Streetlights $0 $0 Total 05-2321-002-05 Sidewalks&Streetlights $0 $0 05-2321-002-08 Sidewalks&Streetlights - 6005 Sidewalks&Streetlights <-> RO-8(2002)Altona Rd (east side)Sheppard Ave to Kingston $0 $131,300 Rd. Deferred to 2005 as per Durham Region. <-> Deferred to 2006 by Durham Region $0 ($131,300) Total 6005 Sidewalks&Streetlights $0 $0 Total 05-2321-002-08 Sidewalks&Streetlights $0 $0 05-2321-002-09 Sidewalks&Streetlights 6005 Sidewalks&Streetlights <-> B-10 (2004) Bayly Street-Sandy Beach to Alliance. Deferred to $0 $34,900 2005 by TJQ . <Deferred by TJQ> to 2008 $0 ($34,900) Total 6005 Sidewalks&Streetlights $0 $0 Total 05-2321-002-09 Sidewalks&Streetlights $0 $0 05-2321-002-10 Sidewalks&Streetlights 6005 Sidewalks&Streetlights - <-> WO-2 (2004) Kingston Rd.-South Side-West Limit(Petticoat $0 $147,420 Creek)to Steeple Hill. Deferred to 2005 by TJQ. <Deferred by TJQ> to 2006 $0 ($147,420) Total 6005 Sidewalks&Streetlights $0 $0 Total 05-2321-002-10 Sidewalks&Streetlights $0 $0 05-2321-002-11 Sidewalks&Streetlights 6005 Sidewalks&Streetlights <-> TC-18 (2005)Kingston Road-Liverpool to Glenanna. In $0 $163,800 conjunction with Kingston Road Study. <Deferred by TJQ> to 2006 $0 ($163,800) Total 6005 Sidewalks&Streetlights $0 $0 Total 05-2321-002-11 Sidewalks&Streetlights $0 $0 I 174 1 I City of Pickering 2005 Explanation of Financing. 2321 External Subdivision Works Run Date:4/20/2005 2:12 PM I Funding Expense 05-2321-002-13 Sidewalks&Streetlights 6005 Sidewalks&Streetlights I <-> D-2 (2005)Kingston Road-Fairport Road to C.N.R.Tracks. In $0 $175,000 conjunction with Bowood property. <Deferred by TJQ> to 2006 $0 ($175,000) I Total 6005 Sidewalks&Streetlights $0 $0 Total 05-2321-002-13 Sidewalks&Streetlights $0 $0 05-2321-002-17 Sidewalks&Streetlights 6005 Sidewalks&Streetlights I <-> V-15 (2005) Brock Road-East side-Kingston Road to Finch $0 $49,140 Avenue. <Deferred by TJQ> to 2006 $0 ($49,140) I Total 6005 Sidewalks&Streetlights $0 $0 Total 05-2321-002-17 Sidewalks&Streetlights $0 $0 05-2321-002-21 Sidewalks&Streetlights I 6005 Sidewalks&Streetlights <-> TC-7(2003) Kingston Road-Valley Farm Road East(south $0 $81,900 side)to Hydro Corridor. Deferred to 2005 by TJQ. I <Deferred by TJQ> to 2006 $0 ($81,900) Total 6005 Sidewalks&Streetlights $0 $0 Total 05-2321-002-21 Sidewalks&Streetlights $0 $0 I 05-2321-003-00 Traffic Signals 6007 Traffic Signals <-> V-14 (2003)Pickering Parkway @ Portland Crt. IPS $0 $44,000 I Intersection. Deferred to 2005 by TJQ. <Deferred by TJQ> to 2006 $0 ($44,000) Total 6007 Traffic Signals $0 $0 Total 05-2321-003-00 Traffic Signals $0 $0 05-2321-003-01 Traffic Signals 6007 Traffic Signals I <-> BI-15 (2005)Squires Beach Rd at Clements Rd (re: $0 $300,000 Church/Clements to Bayly)incl intersection improvements. <Deferred by TJQ> to 2006 $0 ($300,000) Total 6007 Traffic Signals $0 $0 Total 05-2321-003-01 Traffic Signals $0 - $0 05-2321-003-02 Traffic Signals • 6007 Traffic Signals I <-> WO-8 (2005) Rosebank/Sheppard Ave. realignment includes $0 $300,000 signalization. Deferred to 2005 by TJQ. <Deferred by TJQ> to 2006 • $0 ($300,000) I Total 6007 Traffic Signals $0 $0 Total 05-2321-003-02 Traffic Signals $0 $0 Total Deferred $0 $0 ITotal Funding& Expense ($3,533,650) $3,533,650 I 175 CITY OF PICKERING 2004 - 2007 CAPITAL BUDGET External Agencies Run Date:4' a tal59.56AM 9 Report Name: Dept Capital 2004-2007 2004 2005 2006/2007 ' BUDGET BUDGET BUDGET EXPENDITURES 6181 Other Fixed Assets $10,000 $10,000 $0 Total EXPENDITURES $10,000 $10,000 $0 FINANCING 2823 Capital Paid from Property Taxes ($10,000) ($10,000) $0 Total FINANCING ($10,000) ($10,000) $0 I f • I I 1 1 1 1 1 I I 190 I CITY OF PICKERING 2004 -2007 CAPITAL BUDGET 1 2293 Animal Control Repor Nam°a Dept Capital io 20007 2004 2005 2006/2007 ' BUDGET BUDGET BUDGET EXPENDITURES 6181 Other Fixed Assets $10,000 $10,000 $0 Total EXPENDITURES $10,000 $10,000 $0 FINANCING 2823 Capital Paid from Property Taxes ($10,000) ($10,000) $0 Total FINANCING ($10,000) ($10,000)1 $0 • 1 I I 1 1 1 191 I 2005 Capital Expenditures Background Information Run Date:4/20/2005 10:35 AM 2293 Animal Control Report Name: Captial Proj-Exp.2005 2005 Budget 6181 Other Fixed Assets 05-2293-005-01 Other Fixed Assets I <-> Upgrades to the kennels $10,000 Total Expenditures $10,000 1 i . 1 . 1 1 1 1 • 1 1 1 1 t 1 192 1 I • I City of Pickering 2005 Explanation of Financing I2293 Animal Control Run Date:4/20/2005 10:36 AM I Funding Expense Other Fixed Assets 05-2293-005-01 Other Fixed Assets 2823 Capital Paid from Property Taxes ($10,000) $0 6181 Other Fixed Assets <-> Upgrades to the kennels $0 $10,000 Total 6181 Other Fixed Assets $0 $10,000 Total 05-2293-005-01 Other Fixed Assets ($10,000) $10,000 Total Other Fixed Assets ($10,000) $10,000 ITotal Funding& Expense ($10,000) $10,000 I I I I I I I i 193 i ' CITY OF PICKERING • 2004 - 2007 CAPITAL BUDGET I Libraries Run Date:4/20/20059:56AM Report Name Dept Capital 2004-2007 20041 2005 2006/2007 1 BUDGET BUDGET BUDGET EXPENDITURES ' 6173 Furniture& Fixtures $8,460 $22,875 $25,500 6176 Office Machines and Equipment $49,300 $66,095 $65,000 6179 Book Collection Materials $0 $0 $175,000 6181 Other Fixed Assets $303,000 $231,420 $780,000 Total EXPENDITURES 1 $360,7601 $320,3901 $1,045,500 I FINANCING 2823 Capital Paid from Property Taxes ($360,760) ($148,390) ($945,500) 4903 Debt(5 year) 0 $0 ($172,000) $0 1 5012 DC-Library Facilities - $0 $0 ($100,000) Total FINANCING ($360,760) ($320,390)1 ($1,045,500) 1 I I • 0 1 I 1 1 1 . I 1 . 1 I 1 194 • . 1 2005 Capital Expenditures Background Information I 2745 Libraries Run Date 4/20/2005 10:31 AM Report Name: Captial Pro]-Exp.2005 2005 Budget I 6173 Furniture & Fixtures Furniture & Fixtures I 05-2745-002-01 Furniture & Fixtures <-> Provision for ergonomic furniture $6,500 I Total 05-2745-002-01 Furniture & Fixtures $6,500 05-2745-002-03 Furniture & Fixtures <-> Arms for monitors $800 I Total 05-2745-002-03 Furniture & Fixtures $800 05-2745-002-04 Furniture & Fixtures <-> Replacement Library signs (P.C.) $1,000 Total 05-2745-002-04 Furniture & Fixtures $1,000 05-2745-002-05 Furniture & Fixtures I <-> Replacement book trucks $2,000 Total 05-2745-002-05 Furniture & Fixtures ( $2,000 _ 05-2745-002-06 Furniture & Fixtures III <-> Replacement periodical shelving $7,600 Total 05-2745-002-06 Furniture & Fixtures $7,600 I 05-2745-002-07 Furniture & Fixtures <-> Replacement shelving $3,340 , Total 05-2745-002-07 Furniture & Fixtures $3,340 05-2745-002-08 Furniture & Fixtures <-> Blinds for windows $1,635 Total 05-2745-002-08 Furniture & Fixtures] $1,635 Total Furniture & Fixtures $22,875 I Total 6173 Furniture & Fixtures j $22,875 Total Furniture&Fixtures - �� _ _ $22,875 6176 Office Machines and Equipment I Office Machines & Equipment 05-2745-003-01 Office Machines & Equipment <-> System back-up solution $8,640 I Total 05-2745-003-01 Office Machines & Equipment $8,640 05-2745-003-02 Office Machines & Equipment <-> Upgrade to Gigabit backbone $2,430 Total 05-2745-003-02 Office Machines & Equipment $2,430 05-2745-003-03 Office Machines & Equipment <-> Software provisions $4,000 195 . I I 2005 Capital Expenditures Background Information I 2745 Libraries RunDate:4/20/200510:31 AM Report Name: Captial Prot-Exp.2005 2005 I Budge Total 05-2745-003-03 Office Machines & Equipment $4,000 1 05-2745-003-04 Office Machines & Equipment <-> U.P.S. replacement $2,770 Total 05-2745-003-04 Office Machines & Equipment $2,770 05-2745-003-05 Office Machines & Equipment <-> Installation and cabling $2,775 Total 05-2745-003-05 Office Machines & Equipment j $2,775 05-2745-003-06 Office Machines & Equipment I <-> Replacement PC's $20,000 Total 05-2745-003-06 Office Machines & Equipment j $20,000 05-2745-003-07 Office Machines & Equipment 1 <-> Windows XP Pro (60 licenses) $7,660 Total 05-2745-003-07 Office Machines & Equipment 1 $7,660 I 05-2745-003-08 Office Machines & Equipment <-> Replacement hardware $5,750 Total 05-2745-003-08 Office Machines & Equipment $5,750 1 05-2745-003-09 Office Machines & Equipment <-> Laptop replacement $2,500 I Total 05-2745-003-09 Office Machines & Equipment $2,500 05-2745-003-10 Office Machines & Equipment <-> Telecirc -Automated Telephone Service $9,570 ITotal 05-2745-003-10 Office Machines & Equipment $9,570 Total Office Machines & Equipment $66,095 ITotal 6176 Office Machines and Equipment $66,095 Total Office Machines and Equipment $66,095 6181 Other Fixed Assets IOther Fixed Assets 05-2745-005-01 Other Fixed Assets I <-> Upgrade to library automation system (Deferred since 2001) $172,000 Total 05-2745-005-01 Other Fixed Assets $172,000 05-2745-005-03 Other Fixed Assets I <-> Provision for Eastern Branch 1 $10,000 Total 05-2745-005-03 Other Fixed Assets 1 $10,000 I 05-2745-005-05 Other Fixed Assets <-> Microform reader/printer $14,000 Total 05-2745-005-05 Other Fixed Assets $14,000 I 196 2005 Capital Expenditures • Background Information 2745 Libraries Run Date 4/20/200510:31 AM Report Name: Captial Prof-Exp.2005 2005 Budget 05-2745-005-06 Other Fixed Assets <-> Walls for computer lab $17,000 ' Total 05-2745-005-06 Other Fixed Assets $17,000 05-2745-005-07 Other Fixed Assets <-> Exterior painting of Whitevale & Greenwood $5,420 Total 05-2745-005-07 Other Fixed Assets I $5,420 05-2745-005-08 Other Fixed Assets I <-> Replace air conditioner at Greenwood $3,000 Total 05-2745-005-08 Other Fixed Assets I $3,000 05-2745-005-09 Other Fixed Assets <-> Repair exterior stonework at Central with City $10,000 Total 05-2745-005-09 Other Fixed Assets $10,000 I Total Other Fixed Assets I $231,420 Deferred 05-2745-005-02 Other Fixed Assets <-> Modify and move Reference Desk (CN) (Deferred since 2004) $15,000 <-> Deferred by CM ($15,000) I Total 05-2745-005-02 Other Fixed Assets I $0 Total Deferred I $0 Total 6181 Other Fixed Assets $231,420 Total Other Fixed Assets �: . . : � 3 $231,420 Total Expenditures $320,390 • 1 1 t I 197 I City of Pickering 2005 Explanation of Financing 2745 Libraries Run Date•4/20/2005 10•36 AM I Funding Expense Furniture& Fixtures 05-2745-002-01 Furniture&Fixtures I 2823 Capital Paid from Property Taxes ($6,500) $0 6173 Furniture& Fixtures <-> Provision for ergonomic furniture $0 $6,500 $0 $6,500 Total 05-2745-002-01 Furniture& Fixtures ($6,500) $6,500 05-2745-002-03 Furniture& Fixtures I 2823 Capital Paid from Property Taxes ($800) $0 6173 Furniture& Fixtures <-> Arms for monitors $0 $800 I Total 6173 Furniture& Fixtures $0 ($80 $800 Total 05-2745-002-03 Furniture&Fixtures 0). $800 • 05-2745-002-04 Furniture& Fixtures 2823 Capital Paid from Property Taxes ($1,000) $0 I 6173 Furniture& Fixtures <-> Replacement Library signs(P.C.) $0 $1,000 I Total 6173 Furniture&Fixtures $0 $1,000 Total 05-2745-002-04 Furniture& Fixtures ($1,000) $1,000 05-2745-002-05 Furniture& Fixtures I 2823 Capital Paid from Property Taxes ($2,000) $0 6173 Furniture& Fixtures <-> Replacement book trucks $0 $2,000 I Total 6173 Furniture&Fixtures $0 ($2,000) $2,000 Total 05-2745-002-05 Furniture& Fixtures 0) $2,000 05-2745-002-06 Furniture&Fixtures I 2823 Capital Paid from Property Taxes ($7,600) $0 6173 Furniture& Fixtures <-> Replacement periodical shelving $0 $7,600 I Total 6173 Furniture& Fixtures $0 ($7,600) $7,600 Total 05-2745-002-06 Furniture& Fixtures 0) $7,600 05-2745-002-07 Furniture& Fixtures 2823 Capital Paid from Property Taxes ($3,340) $0 I6173 Furniture& Fixtures • <-> Replacement shelving $0 $3,340 I Total 6173 Furniture& Fixtures $0 $3,340 Total 05-2745-002-07 Furniture& Fixtures ($3,340) $3,340 05-2745-002-08 Furniture& Fixtures 2823 Capital Paid from Property Taxes ($1,635) $0 I6173 Furniture& Fixtures <-> Blinds for windows $0 $1,635 I Total 6173 Furniture& Fixtures $0 $1,635 Total 05-2745-002-08 Furniture& Fixtures ($1,635) $1,635 Total Furniture&Fixtures ($22,875) $22,875 Office Machines& Equipment I 198 1 City of Pickering 2005 Explanation of Financing 2745 Libraries Run Date:4/20/2005 10:36 AM • • Funding Expense I 05-2745-003-01 Office Machines& Equipment 2823 Capital Paid from Property Taxes ($8,640) $0 6176 Office Machines and Equipment I <-> System back-up solution $0 $8,640 Total 6176 Office Machines and Equipment $0 $8,640 Total 05-2745-003-01 Office Machines& Equipment ($8,640) $8,640- I 05-2745-003-02 Office Machines&Equipment 2823 Capital Paid from Property Taxes ($2,430) $0 6176 Office Machines and Equipment <-> Upgrade to Gigabit backbone $0 $2,430 Total 6176 Office Machines and Equipment $0 $2,430 Total 05-2745-003-02 Office Machines& Equipment ($2,430) $2,430 I05-2745-003-03 Office Machines& Equipment 2823 Capital Paid from Property Taxes ($4,000) $0 6176 Office Machines and Equipment 111 <-> Software provisions $0 $4,000 Total 6176 Office Machines and Equipment $0 $4,000 Total 05-2745-003-03 Office Machines&Equipment ($4,000) $4,000 05-2745-003-04 Office Machines& Equipment 2823 Capital Paid from Property Taxes ($2,770) $0 6176 Office Machines and Equipment <-> U.P.S. replacement $0 $2,770 Total 6176 Office Machines and Equipment $0 $2,770 Total 05-2745-003-04 Office Machines& Equipment ($2,770) $2,770 05-2745-003-05 Office Machines& Equipment I 2823 Capital Paid from Property Taxes ($2,775) $0 6176 Office Machines and Equipment I<-> Installation and cabling $0 $2,775 Total 6176 Office Machines and Equipment $0 $2,775 Total 05-2745-003-05 Office Machines& Equipment ($2,775) $2,775 05-2745-003-06 Office Machines& Equipment I 2823 Capital Paid from Property Taxes ($20,000) $0 6176 Office Machines and Equipment I<-> Replacement PC's $0 $20,000 Total 6176 Office Machines and Equipment $0 $20,000 Total 05-2745-003-06 Office Machines&Equipment ($20,000) $20,000 05-2745-003-07 Office Machines&Equipment I 2823 Capital Paid from Property Taxes ($7,660) $0 6176 Office Machines and Equipment <-> Windows XP Pro(60 licenses) $0 $7,660 I Total 6176 Office Machines and Equipment $0 $7,660 ii Total 05-2745-003-07 Office Machines& Equipment ($7,660) $7,660 05-2745-003-08 Office Machines& Equipment II 2823 Capital Paid from Property Taxes ($5,750) $0 6176 Office Machines and Equipment 1 199 I . I City of Pickering 2005 Explanation of Financing I2745 Libraries Run Date:4/20/2005 10:36 AM Funding Expense I <-> Replacement hardware $0 $5,750 Total 6176 Office Machines and Equipment $0 $5,750 I Total 05-2745-003-08 Office Machines& Equipment ($5,750) $5,750 05-2745-003-09 Office Machines& Equipment 2823 Capital Paid from Property Taxes ($2,500) $0 I 6176 Office Machines and Equipment <-> Laptop replacement $0 $2,500 Total 6176 Office Machines and Equipment $0 $2,500 I Total 05-2745-003-09 Office Machines& Equipment ($2,500) $2,500 05-2745-003-10 Office Machines& Equipment 2823 Capital Paid from Property Taxes ($9,570) $0 I 6176 Office Machines and Equipment <-> Telecirc-Automated Telephone Service $0 $9,570 Total 6176 Office Machines and Equipment $0 . $9,570 I Total 05-2745-003-10 Office Machines&Equipment ($9,570) $9,570 Total Office Machines& Equipment ($66,095) $66,095 Other Fixed Assets I 05-2745-005-01 Other Fixed Assets 4903 Debt(5 year) ($172,000) $0 6181 Other Fixed Assets I <-> Upgrade to library automation system(Deferred since 2001) $0 $172,000 Total 6181 Other Fixed Assets $0 $172,000 Total 05-2745-005-01 Other Fixed Assets ($172,000) $172,000 05-2745-005-03 Other Fixed Assets I 2823 Capital Paid from Property Taxes ($10,000) $0 6181 Other Fixed Assets <-> Provision for Eastern Branch $0 $10,000 ITotal 6181 Other Fixed Assets $0 $10,000 Total 05-2745-005-03 Other Fixed Assets ($10,000) $10,000 05-2745-005-05 Other Fixed Assets I2823 Capital Paid from Property Taxes ($14,000) $0 6181 Other Fixed Assets Microform reader/printer $0 $14,000 1 <-> Total 6181 Other Fixed Assets $0 $14,000 Total 05-2745-005-05 Other Fixed Assets ($14,000) $14,000 05-2745-005-06 Other Fixed Assets I2823 Capital Paid from Property Taxes ($17,000) $0 6181 Other Fixed Assets <-> Walls for computer lab $0 $17,000 ITotal 6181 Other Fixed Assets $0 $17,000 Total 05-2745-005-06 Other Fixed Assets ($17,000) $17,000 05-2745-005-07 Other Fixed Assets 2823 Capital Paid from Property Taxes ($5,420) $0 6181 Other Fixed Assets <-> Exterior painting of Whitevale&Greenwood $0 $5,420 200 • 1 City of Pickering I 2005 Explanation of Financing 2745 Libraries Run Date:4/20/2005 10:36 AM I Funding Expense I Total 6181 Other Fixed Assets $0 $5,420 Total 05-2745-005-07 Other Fixed Assets ($5,420) $5,420 05-2745-005-08 Other Fixed Assets 2823 Capital Paid from Property Taxes ($3,000) $0 1 6181 Other Fixed Assets <-> Replace air conditioner at Greenwood $0 $3,000 I Total 6181 Other Fixed Assets $0 $3,000 Total 05-2745-005-08 Other Fixed Assets ($3,000) $3,000 05-2745-005-09 Other Fixed Assets 2823 Capital Paid from Property Taxes ($10,000) $0 6181 Other Fixed Assets ' <-> Repair exterior stonework at Central with City $0 $10,000 I Total 6181 Other Fixed Assets $0 $10,000 Total 05-2745-005-09 Other Fixed Assets ($10,000) $10,000 Total Other Fixed Assets ($231,420) $231,420 Deferred I 05-2745-005-02 Other Fixed Assets 6181 Other Fixed Assets <-> Modify and move Reference Desk(CN)(Deferred since 2004) $0 $15,000 <-> Deferred by CM $0 ($15,000) Total 6181 Other Fixed Assets $0 $0 Total 05-2745-005-02 Other Fixed Assets $0 $0 I Total Deferred $0 $0 Total Funding& Expense ($320,390) $320,390 I I 1 1 I I I 201