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HomeMy WebLinkAbout2020 Current Budget-C�ri­p](KER]NG 2020 Current Bud ....----- As Approved by Council February 24, 2020 City of Pickering 2020 Approved Current Budget Table of Contents Department Executive Committee Meeting Minutes Report to Council Budget Summaries Chief Administrative Officer Office of the Chief Administrative Officer-Adm in 2121 Customer Care Centre 2129 Public Affairs & Corp. Comm . 2621 City Development City Development-Admin 2610 Planning & Design 2611 Building Services 2612 Strategic Initiatives & Sustainability 2620 Committee of Adjustment 2630 Heritage Pickering 2743 Community Services Culture, Recreation & Facilities Cultu re & Recreation -Admin 2711 Civic Centre 2124 Senior Citizens Centre 2572 Programs 2712 Dunbarton Pool 2713 Don Beer Arena 2715 Community Centres 2719 Recreation Complex-Central Core 2731 Recreation Complex-Pool 2733 Recreation Complex-Arenas 2735 Museum 2744 Pickering Art Centre 2740 Public Works Operations -Admin 2500 Property Maintenance 2132 Fleet Services 2315 Roads 2320 Parks 2718 Page 1 24 73 85 94 99 102 107 116 119 126 132 138 140 143 149 156 162 166 171 182 186 192 199 208 212 218 226 228 234 238 243 248 255 City of Pickering 2020 Approved Current Budget Table of Contents Corporate Services Information Technology 2196 Legal Services 2125 Clerks Office 2122 Records Management & Elections 2191 Print Shop/ Mail Room 2199 By-Law 2220 Animal Services 2293 Engineering Services Engineering Services-Admin 2290 Crossing Guards 2230 Water Resources & Development Control 2613 Sidewalks 2323 Streetlights 2325 Finance Finance 2127 Supply & Services 2133 Fire Services Fire Protection 2240 Emergency Operations 2241 Human Resources Human Resources 2139 Health & Safety 2141 Library Libraries 2745 General Government Appendix A 263 272 277 281 284 287 290 295 302 310 316 318 324 326 328 333 340 343 348 356 359 363 367 370 377 387 429 --Clp1,/-- p](KERJNG Executive Committee Budget Meeting Minutes February 13, 2020 Operations Centre, Training Room -9:00 am Chair: Mayor Ryan Present: Mayor David Ryan Councillors: K.Ashe M. Brenner S.Butt I. Cumming B. McLean D. Pickles Also Present: T. Prevedel M. Carpino K. Bentley P. Bigioni J.Eddy J. Hagg R. Holborn F.Jadoon S. Karwowski K. Williams S. Cassel B. Duffield C. Rose R. Burlie M. Cain J. Halsall C. Kolbe J. Morris V. Plouffe D.Wylie J. Hanna B.Hughes L. Harker -Chief Administrative Officer -Director, Community Services & Deputy CAO -Director, City Development & CBO -Director, Corporate Services & City Solicitor -Director, Human Resources -Fire Chief -Director, Engineering Services -Director, Economic Development & Strategic Projects -Director, Finance & Treasurer -(Acting) CEO, Pickering Public Library -City Clerk -Division Head, Operations -Chief Planner -Manager, Public Works -Corporate Security Specialist -Manager, Budgets & Internal Audit -Manager, Building Services & Deputy CBO -Manager, Facility Programs & Administration -Manager, Facilities Capital Projects -Manager, Zoning & Administration -Supervisor, Administrative Services -Help Desk Analyst -Deputy Clerk 1. Disclosure of Interest 1.1 Councillor Brenner declared a conflict of interest under the Municipal Conflict of Interest Act with respect to salaries and wages in the 2020 Current Budget for 1 --C:~r;/-- Pl(KER]NG Executive Committee Budget Meeting Minutes February 13, 2020 Operations Centre, Training Room -9:00 am Chair: Mayor Ryan Programs, Recreation Complex-Central Core and Animal Services as he has family members employed in these areas. Councillor Brenner did not take part in the discussion or vote on these matters. 1.2 Councillor McLean declared a conflict of interest under the Municipal Conflict of Interest Act with respect to Grants to Organizations, as he is the Chair of the Pickering Auxiliary Rescue Association (PARA). Councillor McLean did not take part in the discussion or vote on these matters. 2. Delegations 2.1 Susan Philips, John Philips, Jenine Wilson and Mike Wilson Re: Chestnut Hill Developments Recreation Complex -Racquetball/Handball Courts Susan Philips, Durham Region Racquetball Committee, appeared before the Committee to thank the City for their previous efforts to keep two racquetball courts running, and to request that Members of Council oppose the recommendation to repurpose one of the courts. Ms. Philips noted that the staff recommendation to repurpose one of the courts suggests that one court can support all three sports groups (racquetball, handball and wallyball), but stated that this is unrealistic and will drastically reduce the ability for community members to participate in these sports. Ms. Philips commented that the City is supposed to provide services to the community, not accumulate revenue, and that the Durham Region Racquetball Committee has donated to numerous Community Organizations. She requested that the City consider using the court for other uses such as yoga or table tennis, to increase the usage of the court. Jenine Wilson, President, Ontario Handball Association, appeared before the Committee in opposition to the recommendation to repurpose one of the City's racquetball courts. Ms. Wilson noted that closing one of the courts does not reflect the mission statement of the City of Pickering, and that racquetball and handball cannot be accommodated by one court. Mike Wilson, Ontario Handball Association, appeared before the Committee in opposition to the recommendation to repurpose one of the City's racquetball courts. Mr. Wilson noted that he has seen other courts unsuccessfully repurposed, and stated that it will be costly to revert it back to a court, if the repurposing is not successful. Members of Council requested clarification on the reference made to a multi- purpose court, with the Durham Region Racquetball Committee advising that they would have no issue supporting a multi-purpose court with it being utilized for other activities aside from racquetball, handball and wallyball. 2 ,,-, I I Liff} aj--- PlCKE R1 NG 3. Presentations Executive Committee Budget Meeting Minutes February 13, 2020 Operations Centre, Training Room -9:00 am Chair: Mayor Ryan 3.1 Presentation by the Director, Community Services & Deputy CAO with respect to the proposed repurposing of one Racquetball Court Marisa Carpino, Director, Community Services & Deputy CAO, appeared before the Committee regarding the City's recommendation in the 2020 budget to repurpose one racquetball court at the Chestnut Hill Developments Recreation Complex. Through the aid of a PowerPoint presentation, Ms. Carpino provided an overview of the City's Recreation and Parks Master Plan, which included the repurposing of one racquetball court for other uses. She noted that the basis for the recommendation included factors such as, community engagement, court usage and market trends. Ms. Carpino provided the results of a household survey conducted with Pickering residents that found racquetball was the least played sport. In addition, court usage statistics found that racquetball had the lowest memberships and was the least used hard court surface type of all sports in Pickering. Ms. Carpino noted that courts are empty 85% of the time, that the market trend of racquetball has waned, and that the playing market is generally best served by private clubs. Ms. Carpino further noted that in 2018, City Staff met with the racquetball committee to establish a 2 year membership campaign to increase membership, admission, utilization rates and revenues. She commented that the response to these initiatives were poor and did not translate into positive campaign results. She stated that the recommendation was to repurpose one court and offer a golf simulation experience to broaden and provide a variety of programming in other sports while still accommodating racquetball on one court. Ms. Carpino noted that golf is the second most popular sport in Canada, and that the golf simulation studio would provide the City with approximately $50,000 in annual revenues. A question and answer period ensued between Members of Council and Marisa Carpino, Director, Community Services & Deputy CAO, regarding: • available competition for racquetball locations in the Durham Region; • whether one court could accommodate 45 racquetball members; • whether expanding additional programs on the existing racquetball courts is a viable option as recommended by the delegations; • how the City's proposed golf simulator would compete with the private sector; and, • if there is any other space available to accommodate new activities, such as the golf simulator, without displacing racquetball. 3 ,,.-, / I Lll/f) o0 --- P1CKER1 NG Executive Committee Budget Meeting Minutes February 13, 2020 Operations Centre, Training Room -9:00 am Chair: Mayor Ryan Discussion ensued regarding the racquetball and hardball court usage, and the ability for members to continue playing these sports with one court. Moved by Councillor Pickles That Court #7 in the Chestnut Hill Recreation Complex, be repurposed to include a golf simulator, as outlined in the 2020 Capital and Current Budget documents. Motion Lost Due to the motion being lost, the applicable sections of the 2020 Capital and Current Budget were amended accordingly to remove reference to expenditures and revenues associated with the implementation of a golf simulator. 3.2 Presentation by the Chief Administrative Officer and the Director, Finance & Treasurer with respect to the 2020 Current and Capital Budgets Tony Prevedel, Chief Administrative Officer, appeared before the Committee to provide a brief introduction to the 2020 Current and Capital Budgets. Mr. Prevedel noted that the City is beginning to feel the impact of growth in Pickering, which includes the innovation corridor, Seaton, assessment growth, the Pickering Casino Resort and the City Centre project. He noted that this is a "good news" budget, and includes increased funding to reserves, additional firefighters for the new fire hall in Seaton, increased services for residents, and the inclusion of a social conscience component to the budget. Stan Karwowski, Director, Finance & Treasurer, thanked fellow Directors and their teams for their assistance in preparing the budget. Through the aid of a PowerPoint presentation, Mr. Karwowski outlined the 2020 Draft Current and Capital Budgets. He outlined the 2020 Budget Levy increase, and compared this increase with neighboring municipalities. He provided an overview of the 2020 Budget Net Expenditures and Revenues, noting that property taxes continue to be the City's major source of revenue. Mr. Karwowski commented that the City's base budget increase is 1.39% which is below the rate of inflation. Mr. Karwowski highlighted some of the City's key initiatives, including the implementation of automated speed enforcement to reduce accidents and increase pedestrian safety, and provided a project update on the City's new Human Resources and Financial Information System. In addition, he provided a summary of the 2020 Capital Budget, of which the main capital projects include the Animal Shelter, the Seaton Fire Hall, road resurfacing, and fleet purchases. 4 ,,.., J I ( __ Jl/f/ t/J --- P 1 CKE R 1 NG Executive Committee Budget Meeting Minutes February 13, 2020 Operations Centre, Training Room -9:00 am Chair: Mayor Ryan Moved by Councillor Cumming That the Capital Budget for the Civic Centre Project as presented in Attachment 1 of the Memo from the Director, Finance & Treasurer, dated February 3, 2020, be approved and presented to Council on February 24, 2020. Carried It was the consensus of the Committee to take a short recess. The Committee recessed at 11 :22 a.m. and reconvened at 11 :33 a.m. 4. Matters for Consideration 4.1 Review and Recommendations of the 2020 Capital Budget Moved by Councillor Butt That the 2020 Capital Budget for Building Services be approved and presented to Council on February 24, 2020. Carried A question and answer period ensued regarding the Council Chambers video display upgrades, with Staff noting that the project will take place during summer recess, and will include upgrades to the projection screen with an LED wall. Moved by Councillor McLean That the 2020 Capital Budget for the Civic Complex be approved and presented to Council on February 24, 2020. Carried Moved by Councillor Pickles That the 2020 Capital Budget for the Dunbarton Pool be approved and presented to Council on February 24, 2020. Carried 6 ,,.., I I Lil;; ()(} --- P 1 CKE R 1 NG Moved by Councillor Butt Executive Committee Budget Meeting Minutes February 13, 2020 Operations Centre, Training Room -9:00 am Chair: Mayor Ryan That the 2020 Capital Budget for the Don Beer Arena be approved and presented to Council on February 24, 2020. Carried A question and answer period ensued regarding a potential end-of-life plan for the West Shore Community Centre, with Staff noting that activities currently taking place at West Shore will be moved to the new City Centre facilities when the project is complete. Staff noted that they have commenced discussions regarding this, and that community engagement will begin in 2021. Further discussion ensued regarding the Soccer Dome, its expected end-of-life and who is responsible for the replacement of the capital asset. Moved by Councillor Cumming That the 2020 Capital Budget for Community Centres be approved and presented to Council on February 24, 2020. Carried A brief question and answer period ensued regarding tender and design dates for the Seaton Community Centre project. Moved by Councillor Pickles That the 2020 Capital Budget for the Seaton Community Centre be approved and presented to Council on February 24, 2020. Carried A question and answer period ensued regarding the construction plan for the renovations at the Chestnut Hill Developments Recreation Complex, and whether members will have access to the change rooms, pool, and registration counters during construction. Staff noted that the members change room will be affected for the entire construction timeframe of approximately 12 months, but the disruption will be appropriately managed and residents regularly notified and kept apprised of the process. Staff also noted that they are awaiting confirmation regarding an infrastructure grant, which may assist with the construction costs. 7 ~-·--• Cit a/--- P 1 (KER 1 NG Moved by Councillor McLean Executive Committee Budget Meeting Minutes February 13, 2020 Operations Centre, Training Room -9:00 am Chair: Mayor Ryan That the 2020 Capital Budget for the Recreation Complex -Core be approved and presented to Council on February 24, 2020. Carried Moved by Councillor Brenner That the 2020 Capital Budget for the Recreation Complex -Pool be approved and presented to Council on February 24, 2020. Carried Discussion ensued regarding the asphalt surfacing of the south-east gravel parking lot at the Chestnut Hill Developments Recreation Complex, with Staff noting that they are recommending resurfacing lands adjacent to the hydro corridor which would be used to accommodate City Staff and the Library due to the loss of parking on the Esplanade South during the construction of the City Centre project. Moved by Councillor McLean That the 2020 Capital Budget for the Recreation Complex -Arenas be approved and presented to Council on February 24, 2020. Carried Moved by Councillor McLean That the 2020 Capital Budget for the Museum be approved and presented to Council on February 24, 2020. Carried Moved by Councillor Butt That the 2020 Capital Budget for Property Maintenance be approved and presented to Council on February 24, 2020. Carried 8 ,,..., j I (_.iltJ oj -- P 1 CKE R 1 NG Executive Committee Budget Meeting Minutes February 13, 2020 Operations Centre, Training Room -9:00 am Chair: Mayor Ryan Moved by Councillor Cumming That the 2020 Capital Budget for Roads Equipment be approved and presented to Council on February 24, 2020. Carried Moved by Councillor Butt That the 2020 Capital Budget for Parks be approved and presented to Council on February 24, 2020. Carried A question and answer period ensued regarding charging stations for electric vehicles, and whether the City is investigating opportunities to install charging stations to attract businesses and tourists to the community. Staff commented that the City Development Department is currently reviewing grant opportunities to install additional charging stations in the City. Moved by Councillor Butt That the 2020 Capital Budget for Fleet Vehicles be approved and presented to Council on February 24, 2020. Carried Discussion ensued regarding a strategy for the availability of public Wi-Fi in City Parks, with Staff noting that they are currently reviewing technological developments, including legal and security implications. Moved by Councillor Butt That the 2020 Capital Budget for Information Technology be approved and presented to Council on February 24, 2020. Carried Discussion ensued regarding site selection for the new Animal Shelter, with Members of Council requesting that Staff expedite the process, as the current Animal Shelter is not addressing the City's current needs. 9 ---C:~!j l,/--- P 1 CKE R 1 NG Moved by Councillor McLean Executive Committee Budget Meeting Minutes February 13, 2020 Operations Centre, Training Room -9:00 am Chair: Mayor Ryan That the 2020 Capital Budget for Animal Services be approved and presented to Council on February 24, 2020. Carried Moved by Councillor Butt That the 2020 Capital Budget for Streetlights & Signalization be approved and presented to Council on February 24, 2020. Carried Discussion ensued regarding the anticipated timelines for the drainage study for Franklin Street, and the timelines for the Joseph Street rebuild and draining study. Further discussion ensued regarding the start and completion dates for the projects on Marksbury Road, Sunrise Avenue, and Dyson Road. Moved by Councillor Butt That the 2020 Capital Budget for Sidewalks be approved and presented to Council on February 24, 2020. Carried Moved by Councillor Pickles That the 2020 Capital Budget for Stormwater Management be approved and presented to Council on February 24, 2020. Carried Discussion ensued regarding the increase in roads projects, and the potential implications with the drainage study on Barbara Street, with Staff noting that the project will be proceeding but the start date has not yet been determined. Moved by Councillor McLean That the 2020 Capital Budget for Roads Projects be approved and presented to Council on February 24, 2020. Carried 10 ✓'/ I -~--cjc/j {J!)---- P 1 CKE R 1 NG Moved by Councillor McLean Executive Committee Budget Meeting Minutes February 13, 2020 Operations Centre, Training Room -9:00 am Chair: Mayor Ryan That the 2020 Capital Budget for Water Resources & Development Services be approved and presented to Council on February 24, 2020. Carried Moved by Councillor McLean That the 2020 Capital Budget for Development Projects -(DC Funded) be approved and presented to Council on February 24, 2020. Carried Moved by Councillor Ashe That the 2020 Capital Budget for Finance and Taxation be approved and presented to Council on February 24, 2020. Carried Discussion ensued regarding the land purchased for the new fire hall in Seaton, and whether the City would be selling the piece of land adjoining the property. Further discussion ensued regarding the construction costs for the replacement of Fire Hall 5, with Staff noting that they are reviewing opportunities to stay on site during construction. Moved by Councillor Cumming That the 2020 Capital Budget for Fire Services be approved and presented to Council on February 24, 2020. Carried Moved by Councillor Cumming That the 2020 Capital Budget for Human Resources be approved and presented to Council on February 24, 2020. Carried 11 --Cl/fl t1/-- P 1 (KER 1 NG Moved by Councillor Brenner Executive Committee Budget Meeting Minutes February 13, 2020 Operations Centre, Training Room -9:00 am Chair: Mayor Ryan That the 2020 Capital Budget for the Library be approved and presented to Council on February 24, 2020. Carried The Committee recessed for lunch at 12:30 pm and reconvened at 1 :06 pm. 4.2 Review and Recommendations of the 2020 Current Budget Discussion ensued regarding the two new contract positions being the Project Manager, Northeast Pickering, and the Construction Manager, Strategic Projects, and how these positions would be funded. Further discussion ensued regarding the contract timelines, and the start date of these positions. Moved by Councillor Butt That the 2020 Current Budget for the Office of the CAO -Administration be approved and presented to Council on February 24, 2020. Carried Moved by Councillor Pickles That the 2020 Current Budget for the Customer Care Centre be approved and presented to Council on February 24, 2020. Carried Moved by Councillor Pickles That the 2020 Current Budget for Public Affairs & Corporate Communications be approved and presented to Council on February 24, 2020. Carried Moved by Councillor Butt That the 2020 Current Budget for City Development -Administration be approved and presented to Council on February 24, 2020. Carried 12 --C1t/f PlCKERlNG Executive Committee Budget Meeting Minutes February 13, 2020 Operations Centre, Training Room -9:00 am Chair: Mayor Ryan Moved by Councillor Cumming That the 2020 Current Budget for Planning & Design be approved and presented to Council on February 24, 2020. Carried Moved by Councillor Butt That the 2020 Current Budget for Building Services be approved and presented to Council on February 24, 2020. Carried Moved by Councillor Pickles That the 2020 Current Budget for Strategic Initiatives & Sustainability be approved and presented to Council on February 24, 2020. Carried Moved by Councillor McLean That the 2020 Current Budget for Committee of Adjustment be approved and presented to Council on February 24, 2020. Carried Moved by Councillor Pickles That the 2020 Current Budget for Heritage Pickering be approved and presented to Council on February 24, 2020. Carried Moved by Councillor Butt That the 2020 Current Budget for Culture & Recreation -Administration be approved and presented to Council on February 24, 2020. 13 Carried /' J I ---Ciljfl t/J--- P1CKE R1 NG Executive Committee Budget Meeting Minutes February 13, 2020 Operations Centre, Training Room -9:00 am Chair: Mayor Ryan Moved by Councillor Cumming That the 2020 Current Budget for the Pickering Arts Centre be approved and presented to Council on February 24, 2020. Carried Moved by Councillor Butt That the 2020 Current Budget for the Civic Centre be approved and presented to Council on February 24, 2020. Carried Moved by Councillor Pickles That the 2020 Current Budget for the Senior Citizens Centre be approved and presented to Council on February 24, 2020. Carried Moved by Councillor McLean That the 2020 Current Budget for Programs be approved and presented to Council on February 24, 2020, save and except items related to salaries and wages. Carried Having previously declared a conflict of interest, Councillor Brenner did not vote on the following item. Moved by Councillor McLean That the 2020 Current Budget items related to salaries and wages for Programs be approved and presented to Council on February 24, 2020. Carried Moved by Councillor Cumming That the 2020 Current Budget for the Dunbarton Pool be approved and presented to Council on February 24, 2020. Carried 14 ,,,-,_; I ----Ctl/f/ r11J---- P 1 CKE R 1 NG Moved by Councillor McLean Executive Committee Budget Meeting Minutes February 13, 2020 Operations Centre, Training Room -9:00 am Chair: Mayor Ryan That the 2020 Current Budget for the Don Beer Arena be approved and presented to Council on February 24, 2020. Carried Moved by Councillor Butt That the 2020 Current Budget for Community Centres approved and presented to Council on February 24, 2020. Carried Moved by Councillor Pickles That the 2020 Current Budget for Recreation Complex -Centre Core be approved and presented to Council on February 24, 2020, save and except items related to salaries and wages. Carried Having previously declared a conflict of interest, Councillor Brenner did not vote on the following item. Moved by Councillor Pickles That the 2020 Current Budget items related to salaries and wages for Recreation Complex -Centre Core be approved and presented to Council on February 24, 2020. Carried Moved by Councillor Cumming That the 2020 Current Budget for the Recreation Complex -Pool be approved and presented to Council on February 24, 2020. Carried 15 --Cl/fl P1CKER1NG Executive Committee Budget Meeting Minutes February 13, 2020 Operations Centre, Training Room -9:00 am Chair: Mayor Ryan Discussion ensued regarding opening the passage between the Chestnut Hill Developments Recreation Complex and the arena for residents during construction. Staff noted that they will continue to review opportunities to open this passage to see what provisions can be made to accommodate residents. Moved by Councillor Butt That the 2020 Current Budget for the Recreation Complex -Arenas be approved and presented to Council on February 24, 2020. Carried Moved by Councillor McLean That the 2020 Current Budget for the Museum be approved and presented to Council on February 24, 2020. Carried Moved by Councillor Butt That the 2020 Current Budget for Operations Administration be approved and presented to Council on February 24, 2020. Carried Moved by Councillor Pickles That the 2020 Current Budget for Property Maintenance be approved and presented to Council on February 24, 2020. Carried Moved by Councillor Cumming That the 2020 Current Budget for Fleet Services be approved and presented to Council on February 24, 2020. Carried 16 ,r,,j j ---CU/J u(J --- P 1 CKE R 1 NG Executive Committee Budget Meeting Minutes February 13, 2020 Operations Centre, Training Room -9:00 am Chair: Mayor Ryan Moved by Councillor Pickles That the 2020 Current Budget for Records Management & Elections be approved and presented to Council on February 24, 2020. Carried Moved by Councillor Pickles That the 2020 Current Budget for the Print Shop/Mail Room approved and presented to Council on February 24, 2020. Carried Moved by Councillor McLean That the 2020 Current Budget for By-law Enforcement Services be approved and presented to Council on February 24, 2020. Carried Moved by Councillor Pickles That the 2020 Current Budget for Animal Services be approved and presented to Council on February 24, 2020, save and except items related to salaries and wages. Carried Having previously declared a conflict of interest, Councillor Brenner did not vote on the following item. Moved by Councillor Pickles That the 2020 Current Budget items related to salaries and wages for Animal Services be approved and presented to Council on February 24, 2020. Moved by Councillor Butt That the 2020 Current Budget for Engineering Services -Administration be approved and presented to Council on February 24, 2020. 18 Carried ---CltJ o/--- P l (KER 1 NG Executive Committee Budget Meeting Minutes February 13, 2020 Operations Centre, Training Room -9:00 am Chair: Mayor Ryan Carried A brief discussion ensued regarding the contract with Neptune Security Services for Crossing Guards, and whether the City would be going to tender again or continuing the Neptune contract. Moved by Councillor Cumming That the 2020 Current Budget for Crossing Guards approved and presented to Council on February 24, 2020. Carried Moved by Councillor McLean That the 2020 Current Budget for Water Resources & Development Services be approved and presented to Council on February 24, 2020. Carried Moved by Councillor Cumming That the 2020 Current Budget for Sidewalks be approved and presented to Council on February 24, 2020. Carried Discussion ensued regarding the LED street light conversion, the number of complaints received, and whether the City was up to date with repairs. Staff responded to Members of Council, noting that repairs are ongoing and although costs are down substantially, underground faults can occur with LED lighting which can take more time to identify and resolve issues. Moved by Councillor Brenner That the 2020 Current Budget for Street Lights be approved and presented to Council on February 24, 2020. Carried 19 ~-CiltJ r//--- P 1 (KER 1 NG Moved by Councillor Butt Executive Committee Budget Meeting Minutes February 13, 2020 Operations Centre, Training Room -9:00 am Chair: Mayor Ryan That the 2020 Current Budget for Finance be approved and presented to Council on February 24, 2020. Carried Moved by Councillor Cumming That the 2020 Current Budget for Supply & Services be approved and presented to Council on February 24, 2020. Carried Moved by Councillor Cumming That the 2020 Current Budget for Fire Protection be approved and presented to Council on February 24, 2020. Carried Moved by Councillor Pickles That the 2020 Current Budget for Emergency Operations be approved and presented to Council on February 24, 2020. Carried Discussion ensued regarding the migration of two City positions from the Pickering Public Library to the Human Resources Department, and whether in future years these cost centres will originate within the Human Resources Departmental Budget. Further discussion ensued regarding the job descriptions and whether these Staff will primarily be focused on Library or City work. Moved by Councillor Brenner That the 2020 Current Budget for Human Resources be approved and presented to Council on February 24, 2020. Carried 20 ,.,.., I CiltJ PlCKER1NG Moved by Councillor McLean Executive Committee Budget Meeting Minutes February 13, 2020 Operations Centre, Training Room -9:00 am Chair: Mayor Ryan That the 2020 Current Budget for Councillor Pickles be approved and presented to Council on February 24, 2020. Carried Moved by Councillor McLean That the 2020 Current Budget for Councillor Brenner be approved and presented to Council on February 24, 2020. Carried Moved by Councillor McLean That the 2020 Current Budget for Councillor Cumming be approved and presented to Council on February 24, 2020. Carried Moved by Councillor McLean That the 2020 Current Budget for Councillor Butt be approved and presented to Council on February 24, 2020. Carried Moved by Councillor Pickles That the 2020 Current Budget for Council Support be approved and presented to Council on February 24, 2020. Carried Moved by Councillor Brenner That the 2020 Current Budget for Grants to Organizations be approved and presented to Council on February 24, 2020 save and except the grant for the Pickering Auxiliary Rescue Association (PARA). 22 Carried r-1 I ----cu,g; tf) ---- P 1 (KER J NG Executive Committee Budget Meeting Minutes February 13, 2020 Operations Centre, Training Room -9:00 am Chair: Mayor Ryan Having previously declared a conflict of interest, Councillor McLean did not vote on the following item. Moved by Councillor Brenner That the 2020 Current Budget for the grant to PARA be approved and presented to Council on February 24, 2020. Carried 4.3 Review of Proposed Fees and Charges By-law Discussion ensued regarding the revised Taxicab By-law and Tree By-law, and whether further information on these By-laws would be provided to Council prior to the February 24th Council meeting. Moved by Councillor Pickles That the Current budget for User Fees and Charges By-law be approved and presented to Council on February 24, 2020. 5. Other Business Carried 5.1 Councillor McLean gave notice that he would be bringing forward a Notice of Motion regarding the refusal of the Pickering Harbour Company Application at the February 24th Council Meeting. 6. Adjournment Moved by Councillor McLean Seconded by Councillor Pickles That the meeting be adjourned. Carried The meeting adjourned at 1 :50 pm. 23 r-.J I ---cu, uo---Report to Council PlCKE Rl NG Report Number: FIN 02-20 Date: February 24, 2020 From: Stan Kaiwowski Director, Finance & Treasurer Subject: 2020 Current and Capital Budget Recommendation: 1. That Report FIN 02-20 of the Director, Finance & Treasurer be approved; 2. That Council direct staff to adopt the following guidelines in negotiating the sharing of casino revenue with Durham Region: a) That annually, the first $10 million in casino revenue be allocated to the City and the remaining balance of casino revenues be shared with Durham Region and their share be capped at $6 million per year; b) That Durham Region be requested to develop and implement a Property Tax Relief program for low income Seniors & Persons with Disabilities for the Regional share of residential property taxes; c) That Durham Region commits to reviewing the allocation of the police services budget based on the principle of achieving property tax fairness; d) That any sharing of casino revenue with Durham Region to be considered after January 1,. 2021; e) That Durham Region reimburse the City for the Regional share of property taxes for the OPG leased parkland; f) That Durham Region participate as a funding partner for the Notion Road 401 project; and g) That all legal, consulting and professional fees and expenses incurred by the City in relation to Ajax's appeals of Pickering By-law No. 7 404/15 be reimbursed out of casino revenue prior to the sharing of such revenue with Durham Region. 3. That the following budget recommendations be approved; a) That the 2020 Current Budget expenditure for personnel costs, consisting of salaries and wages (Account 1100), overtime (Account 1200) and employer contributions (Account 1400), in the total amount of $61,017,294 be approved; 24 Report FIN 02-20 Subject: 2020 Current and Capital Budget February 24, 2020 Page 2 b) That the 2020 General Government Budget for grant expenditures in the total amount of $296,591 be approved; c) That the 2020 Gross Current Budget expenditures for City purposes in the amount of $52,382,912 (excluding personnel costs and grant expenditures) less estimated current revenues of $45,371,039 (City revenues of $43,873,039 plus $1,198,000 for assessment growth plus supplementary taxes of $300,000) and net transfer from the Rate Stabilization Reserve of $1,500,000 for City operations be approved; d) That the Capital from Current expenditure in the amount of $736,363 funded from property taxes be approved; and e) That the total final City levy under paragraphs a), b), c) and d) above, plus the following additions that result in a total final levy of $68,630,621 being an increase of approximately 2.99 percent over the 2019 Budget, be approved: i) Hiring of three additional fire fighters ($277,500) for the Seaton station and additional staffing resources for By-law ($96,000); and ii) Service level increases that consist of $35,000 for Sunday Hours at the George Ashe Library, $150,000 for Automated Speed Enforcement and additional resources for Winter Control, Roads and Parks in the amount of $510,000 as outlined in Attachment 4. 4. That the 2020 Capital Budget for the City of Pickering with a Gross Expenditure of $58,558,005, plus an additional $187,311,000 for the City Centre project be adopted as presented: a) That the following capital financing sources be approved as presented in the 2020 Capital Budget: Transfer from Current Fund to Capital Fund Transfers from Reserves: -Rate Stabilization Reserve (7021) -Vehicle Replacement (7040) -Major Equipment Reserve (7062) -Casino Reserve (7067) -Capital Replacement (7001) -Tennis Reserve (7061) -City Share Dev. Charges (7022) -Self-Insurance Reserve (7020) -Facilities Reserve (7055) -Rec. Complex Arena Surcharge (7036) -Rec. Complex Pool Surcharge (7035) -Rec. Complex Core Surcharge (7034) 25 $736,363 1,477,200 1,482,000 823,000 720,000 556,000 250,000 182,012 175,000 120,000 97,000 80,000 25,000 Report FIN 02-20 Subject: 2020 Current and Capital Budget Transfers from Reserve Funds: -Development Charges (7601 -7630) -Federal Gas Tax Funds (7505) -Third Party Contribution (7501) -Roads & Bridges (7709) -Animal Shelter (7706) -Parkland (7502) -Building Permit (7506) -Seaton Land Group FIA (7713) Debt -5 yr . Debt -10 yr Debt-15 yr Debt-20 yr Debt-25 yr Internal Loan -5 yr Internal Loan -10 yr Donations Federal Grant -TBD Federal Grant -Investing in Canada Infrastructure Program (ICIF) Provincial Grant -Ontario Community Infrastructure Fund (OCIF) Total February 24, 2020 Page 3 110,591,354 4,713,000 3,932,940 2,350,000 979,760 970,000 552,000 416,796 360,400 1,400,000 1,470,000 9,327,180 96,626,000 626,000 780,000 2,250,000 650,000 300,000 850,000 $245,869,005 b) That total external debt financed by property taxes of $109,183,580 for the projects identified in the 2020 Capital Budget, and as indicated in this report, in the amount of $360,400 for a period not to exceed 5 years, $1,400,000 for a period not to exceed 10 years, $1,470,000 for a period not to exceed 15 years, $9,327,180 for a period not to exceed 20 years and $96,626,000 for a period not to exceed 25 years be approved; c) That the internal loans in the amount of $1,406,000 be undertaken at the discretion of the Director, Finance & Treasurer; d) That projects identified in the 2020 Capital Budget as being financed through the issuance of debt be subject to additional, specific approval of the expenditure and the financing by Council; e) That any debt repayment, interest or financing provisions contained in the annual Current Operating Budget not used in the current year's payments requirements may, at the discretion of the Director, Finance & Treasurer, be used to apply towards additional principal repayment, outstanding loan or debt charges or to reduce debt not issued, balloon payments in future years 26 Report FIN 02-20 Subject: 2020 Current and Capital Budget February 24, 2020 Page 4 through transfer to Rate Stabilization Reserve, internal loans or any other amounts to be financed; f) That all Capital expenditures or portions thereof approved in the 2020 Capital Budget to be financed through the issuance of debt may, at the discretion of the Director, Finance & Treasurer, be financed through internal loans, current or capital funds or a combination thereof; g) That the Director, Finance & Treasurer be authorized to make draws from Reserve and Reserve Funds for projects included in the approved Capital Budget up to the amount approved; h) That the Director, Finance & Treasurer be authorized at his discretion to apply any Casino revenues attributed to 2020 towards the payment of internal loans; and i) That the Director, Finance & Treasurer be authorized at his discretion to apply any excess funds obtained through the issuance of debentures as provided for under Section 413 of the Municipal Act, 2001 as amended. 5. That the Director, Finance & Treasurer be authorized to transfer: a) Any surplus current operating funds at year-end in excess of approximately $125,000 be allocated in the following manner: the first $70,000 be allocated to the Elected Officials Life Insurance Reserve and the remaining surplus be allocated in the following ratio: 25 percent to the Rate Stabilization Reserve (7021); 10 percent to the Tennis Court Reserve (7049); 10 percent to the Facilities Reserve (7055); 5 percent to the Artwork Reserve (7066) and 50 percent to the City Share DC Projects; b) Any surplus funds from the Emergency Operational Capital Needs Account (2901.0000.0000) to the Facilities Reserve; and c) The revenue from the sale of used vehicles recorded in account (1593.0001.0000) to the Vehicle Replacement Reserve (7040). 6. That the Director, Finance & Treasurer be authorized to make any changes or undertake any actions necessary including: reduce the Contingency Account 2900.0000.0000 by $17,000 to offset the loss of the golf simulator revenue amendments to Section 07.01 c) of Policy ADM 190, to insert after the word "Plans" the following clause "including the health care spending account referenced in 7.01 b)"; and apply these changes to Directors and CAO and to accommodate any labour relations settlements including adjusting the Personnel related accounts and that any revenue shortfall as a result of a Provincial tax policy change be adjusted through the 2020 final tax rates; 27 Report FIN 02-20 Subject: 2020 Current and Capital Budget February 24, 2020 Page 5 7. That the Director, Finance & Treas_urer be authorized at his discretion to fund Property Tax Write-offs account (2134.0000.000) that exceed the budget provision due to assessment appeals that translates into a deficit position for the corporation and this shortfall be funded from a transfer from the Assessment Appeal Reserve (7011) and if this reserve is depleted then the shortfall be funded fr.om the Rate Stabilization Reserve (7021) and that any shortfall from Payment-in-Lieu Education Share revenue estimates be funded from a transfer from the Rate Stabilization Reserve (7021 ); 8. That the Director, Finance & Treasurer be authorized to use any under expenditures from projects funded from Reserves or Reserve Funds to fund over expenditures for approved projects funded from the same source(s); 9. That the Purchasing Policy be amended to reflect that Public Art purchases or Public Art project costs that exceed $25,000 requires Council approval; 10. That the Director, Finance & Treasurer be authorized at his discretion to close any current and completed prior year's capital expenditure accounts and to first apply any excess funding from property taxes to any over expenditure in other accounts and to secondly transfer any remaining excess funding back to the original sources of funds; 11. That Council approve the cancellation of the following previously approved Capital projects: a) DH-3 Tillings Road -Valley Farm Road to north limit -5321.1001 - $372,935 b) Don Beer Waste Oil Tank Replacement (5715.1803) -$21,725' c) Pickering Heritage & Community Centre (PHCC) -Construction (5719.1901)-$14,915,675 d) CHDRC Main Entrance & Core Area Renovations -Construction (5731.1901) -$4,900,000 e) CHDRC Tenant Suite Expansion (5731.1906) -$31,000 f) CHDRC Water and Fire Main Replacements (5731.1908) -$160,000 g) CHDRC Arena Waste Oil Tank Replacement (5735.1804) -$21,725 h) Museum Conservation Barn Health & Safety Upgrades (57 44.1601) - $65,540 i) Traffic Speed Camera System (5320.1906) -$25,000 28 Report FIN 02-20 Subject: 2020 Current and Capital Budget February 24, 2020 Page 6 j) Museum Retaining Wall, Guard and Handrail Upgrades (5744.1803) - $40,000 k) Museum Backhoe/Loader Replacement (5744.1902) -$210,000 I) Museum Schoolhouse Relocation (5744.1903) -$75,000 m) Museum Schoolhouse Foundation (5744.1904) -$75,000 n) Museum Harvey House Relocation (5744.1905) -$75,000 o) Museum Harvey House Foundation (5744.1906) -$75,000 p) Museum Harvey House Design (5744.1907)-$30,000 q) Archives and Library Space (5800.1902) -$3,968,292 12. That Council approve the change in the specifications for the replacement of health club equipment approved in the 2019 Capital Budget (account· 5731.1904.6178) from two Arc Trainers, four Recumbent Bikes, one Jacob's Ladder and one Strength Machine to four Ascent Trainers, one Self Powered Ascent Trainer (SPARC), one Stairmaster Gauntlet, two SkiErgs and two Recumbent Bikes; 13. That the Director, Finance & Treasurer be authorized at his discretion to close any consulting account expenditure and corresponding revenue source that is over three years from the original purchase order date of issuance; 14. That the Director, Finance & Treasurer be authorized at his discretion to refinance any capital expenditures that failed to meet the Federal Gas Tax reporting criteria from other sources including transfers of funds from reserves and reserve funds; 15. That the Director, Finance & Treasurer be authorized to: a) Undertake transactions in the spot or forward (12 months or less) currency markets in order to effect United States dollar denominated expenditures in the Current or Capital Budgets; b) Sign leases or rental agreements (including summer rentals) on the City's behalf for the provision of vehicles or equipment required for temporary use during periods of equipment breakdown or repair or during periods of increased need (e.g. inclement weather); c) Restate the 2020 Current Operating, User Fees and Capital Budgets to reflect: (i) any Council changes made at the February 24 Council meeting; (ii) any reorganization or personnel account changes (salary, benefits and overtime), (iii) reclassifications that result from salary increases or negotiated labour settlements; and 29 Report FIN 02-20 Subject: 2020 Current and Capital Budget February 24, 2020 Page 7 d) To process budget transfers during the fiscal year which do not change the overall approved property tax levy. 16. That Council waive the Purchasing Policy where the estimated vehicle repair cost is below $30,000 (HST excluded) for all fleet vehicles and off road vehicle equipment in 2020; 17. That the Director, Finance & Treasurer be authorized to amend Sections 09.08, 13 and 13.01 of Policy ADM 190 to read as follows: · 09.08 -Council approval is not required for international air travel, accommodations, registration fees and meals for economic development initiatives; 13. It is recognized that there are many communications media available to Members of Council to communicate with their constituents, including newsletters, neighbourhood letters, cooperative letters, websites and social media accounts; 13.01 -An annual budget of $10,000 for the first, second and third calendar years and an annual budget of $4,000 for the fourth year for website expenditures will be provided to each Councillor for constituent communications. The City shall cover the cost of preparing, printing and mailing newsletters, neighbourhood letters and cooperative letters, as well as the cost of creating and maintaining a website and/or social media account security measures as follows ... ; 18. That the Director, Finance & Treasurer be authorized at his discretion to draw from the Winter Control Reserve to fund any Current Budget deficit as a result of higher than budget winter control costs; 19. That Council approve the following changes due to the receipt of the Combating Ageism & Promoting the Engagement of Seniors or (CAPES) grant to the 2020 budget expenditure and revenue accounts as presented below: a) That Revenue account (1623.2572.0000) be increased by $25,000; and b) That the following expense accounts be increased: account (2572.2394.0000) -$19,300; account (2572.2210.0000) -$2,000; and account (2572.2399.0000) -$3,700. 20. That Council approve the continuing engagement of the firm of Watson & Associates Economists Ltd. to be used for Development Charge and Community Benefit Charge issues, financial studies related or in support of the DC Background Study and Community Benefit Charge and issues related to the City, Seaton and/or Duffin Heights; 30 Report FIN 02-20 Subject: 2020 Current and Capital Budget February 24, 2020 Page 8 21. That the Financial Control Policy be amended to require that Fur_niture Fixtures and Equipment or FFE budgets include a breakdown of expenditures to allow the Treasurer to fulfill the obligations of the Financial Control Policy under subsection 02.04 b) and under the Municipal Act subsection 286(1 )(d); 22. That Council approve the continuing engagement of the following firms: Nixon Fleet & Poole LLP, Municipal Tax Advisor Group and Municipal Tax Equity Consultants to protect the property tax base by defending assessment appeals through proactive assessment base management; 23. That the Director, Finance & Treasurer be authorized to adjust the per kilometre travel expense reimbursement rate (last increased in 2018) with an effective date of March 1, 2020 from 0.56 cents per kilometre to 0.59 cents per kilometres for the first 5,000 kilometres and 0.53 cents per kilometre for travel beyond 5,000 kilometres; 24. That Council authorize the Treasurer to pay the invoice for work related to William Jackson Drive in the amount of $183,329 to be funded from the DC City Share Reserve (7022) in the amount of $27,499 and DC -Transportation Services Reserve Fund (7610) in the amount of $155,830; 25. That the Director, Finance & Treasurer be authorized to increase the funding for the project management work as undertaken by Sabourin Kimble & Associates (SKA) for the Kubota lands within the Pickering Innovation Corridor in the amount of $425,000 plus net HST and these costs be recovered through Third Party Contribution; 26. That the Director, Finance & Treasurer be authorized to initiate any additional assessment appeals necessary to protect the assessment base of the City; 27. That the Director, Finance & Treasurer be authorized at his discretion to transfer any green energy rebates and revenue associated with the Claremont solar roof rental project account (1530.2620.0000) and other incentives and rebates account (2620.9993.0000) to the Reserve for Sustainable Initiatives; 28. That Council amend the Community Grant policy as follows: a) That the grant application deadline date for the 2021 Community Grant Program be October 23, 2020 to give community groups sufficient time to complete their applications. 29. That any unused funds in excess of $1,000 for accessibility capital projects (6183) be transferred to the Reserve for Accessibility Initiatives (7053); 30. That Council approve $50,000 to be added to 2020 Capital Budget for the purchase of a mobile licence plate recognition system to be funded from the Rate Stabilization Reserve (7021 ); 31 Report FIN 02-20 Subject: 2020 Current and Capital Budget February 24, 2020 Page 9 31. That any unspent 2020 Local Planning Appeal Tribunal (LPAT) funds budgeted under General Government consulting account (2126.2392) be transferred to the Tennis Court Reserve (7061 ); 32. That Council approve the combining of the previous unspent Property Maintenance Capital Budget amounts for fence replacement from accounts: 5311.1505.6181 ($213,046) and 5311.1802.6181 ($118,303) to account 5311.1505.6181; 33. That Council approve the combining of the previous unspent Parks Capital Budget amount for fence replacement from account: 5780.1818.6181 ($60,000) to account 5780.1818.6181; 34. That Council direct staff to report on Outstanding Capital projects as of July 31 st and December 31st of each year; 35. That Council approve the 2020 Low Income Seniors & Persons with Disabilities grant amount to be increased from $330 to $375 per household; 36. That Council pass the attached General Municipal Fees and Charges By-law and incorporate the user fee schedule into the 2020 Current Budget: a) That Council approve revising "Schedule B -Fees Payable for Building Permits" of the Building By-law with the Building Permit fees listed in the 2020 User Fee Schedule; b) That the attached 2020 User Fee Schedule be revised to be consistent with the fees stated in the Vehicle for Hire By-Law enacted on February 24, 2020;and c) That the indoor golf fees for prime and non-prime times be removed from the attached 2020 User Fee schedule. 37. That staff be directed to develop an implementation plan for public EV Charging Infrastructure including location and investigation of installation costs and that the appropriate funding be included in the 2021 Capital Budget in order to apply for all possible grants including the Natural Resources Canada Zero Emission Infrastructure program; 38. That Council direct the Director, Finance & Treasurer to develop a financial plan that allocates the casino revenues only after the Community Benefit Charge (CBC) regulations have been issued and the financial impact analyzed and when the City Centre project costs are based on tender pricing with any surplus casino revenues being allocated to critical infrastructure reserves; and 39. That the appropriate City of Pickering officials be authorized take the necessary actions as indicated in this report. 32 Report FIN 02-20 Subject: 2020 Current and Capital Budget February 24, 2020 Page 10 Executive Summary: This report contains a summary of the 2020 Current and Capital Budgets and a discussion of the recommendations. Staff have worked hard to ensure that the 2020 Budget is respectful of each dollar contributed by taxpayers, reinvesting those revenues back into our infrastructure and the many services the City provides to our residents. The big differences between municipal government and federal and provincial governments are the number of revenue streams that fund their budgets and the impact on residents. Municipal governments have limited revenue, consisting primarily of property taxes and service fees, such as for recreation, by-law and planning. The 2020 Budget strikes a balance between providing the level and types of services that residents expect and ensuring affordability for all residents. The 2020 Budget builds upon the success of the 2019 Budget and continues to be a good news story. It keeps property taxes affordable and provides the following benefits to our residents and community: • Increase in seniors property tax grant from $330 to $375. • Major 2020 Capital Projects: Animal Shelter, New Seaton Fire Station and renovations to the Rec_reation Complex lobby and core. • Increase in Capital Budget roads projects expenditures from $1,910,000 to $4,676,000 -an increase of $2.7 million or 142.1 percent. • Strengthening By-law enforcement by additional staffing resources. • Includes service level increases for the following areas: George Ashe Library Sunday hours; enhanced service levels for winter control, roads and parks. • lncludes·additional staffing to meet the needs of a growing Seaton community. • An increase of 3 positions for front line firefighting staff. • Includes funding for "Automated Speed Enforcement". In addition to the above budget highlights, the 2020 Budget also includes funding for the City Centre project that will be mainly funded from casino revenues. It should also be noted that through several City grant initiatives such as community and seniors property tax grant, the City's financial "Giving is the equivalent to 0.61 percent of the levy. The chart below provides a comparison of 2019 and 2020. 33 Report FIN 02-20 Subject: 2020 Current and Capital Budget February 24, 2020 Page 12 does not anticipate asking residents current or future to pay for construction costs through higher property taxes. A key financial aspect of the project is that the project cost will be funded from development charges/Community Benefit Charge (CBC) through annual development fees and casino revenues paying the remaining share. The casino revenues for this project are positioned to be a financial "safety net" to address any possible shortfall in DC or CBC funding. In order to implement this strategy and to reduce financial risk, it is imperative that the City annually retain 100 percent of the first $10.0 million in casino revenues. Under this strategy, the $10.0 million would meet the City's financial obligations and be sufficient to address any CBC or DC funding shortfall. Adopting this strategy reduces the project's financial risk to a low or acceptable level. Informal "off the record conversations" with industry experts have indicated that the City's casino revenues should be substantially higher than $10.0 million per year and these funds in excess of $10.0 million will be shared with the Region. Staff believe that a cap of $6.0 million per year provides the Region with "fair level of funding" taking into consideration the Regional share of annual property taxes and the paid development fees. The City of Pickering offers low income seniors and persons with disabilities a property tax relief program. This program is very successful and in 2019, 212 individuals received the $330 grant from the City (for 2020 the grant is being increased to $375). The Regional Municipality of Durham does not offer a similar program. The Region offers the Provincial mandated program that provides property tax relief in the form of a property tax deferral for assessment related increases that are in excess of the first 5 percent or $100 whichever is greater. Recommendation 2 c) will be addressed later in this report. Automated Speed Enforcement ($150,000)-Recommendation 3 e) ii) The more common name for this item is "photo radar". The Province passed new legislation in December allowing municipalities to use the cameras and issue tickets to the owners of cars caught speeding on camera. Provincial rules require municipalities to give drivers three months' warning posting signs letting people know that a speed camera will be set up in a particular spot. The current legislation allow the cameras in school zones and community safety zones where the speed limit is below 80km/h. Community safety zones are designated sections of road where the safety is a particular concern: near schools, daycare centres, playgrounds, parks, hospitals, seniors' residences or areas where there are lots of collisions. These cameras would serve several purposes: they would catch and ticket speeders, they would deter other drivers from speeding and they would send an important message of safety. Speed and aggressive driving are usually key contributing major factors in pedestrian injuries or traffic accidents. The research in this area is definitive: slower speeds reduces the rate of accidents. If drivers obey the speed limit there is no cost to the driver. 35 Report FIN 02-20 Subject: 2020 Current and Capital Budget February 24, 2020 Page 13 Service Level Increase for Winter Control, Roads & Park Maintenance ($510,000) - Recommendation 3 e) ii) As per report CS 31-19, the increased staffing resources will provide an enhanced level of service for winter control on roads, sidewalks and multi use trails. These enhancements include faster response/completion times and more continuous operations during significant snow events by increasing the number of staff on standby to provide winter control; quicker turnaround times to service vehicles and plow equipment and return them to the road by introducing an afternoon shift in the municipal garage; and maximizing GPS/AVL and Public Facing Portal technologies in order to more efficiently deploy staff, measure results and make strategic improvements by introducing an additional Lead Hand and Supervisor, Public Works. Cancellation of Capital Projects -Recommendation 11 The capital projects listed in Recommendation 11 in many cases have been rebudgeted in the 2020 Capital Budget or included in the 2021-2024 Capital Forecast due to the fact the original budget amount was too low due to the project delay. In most cases, by rebudgeting a higher amount, the project can proceed without staff either reducing the project's scope to address the funding shortfall or trying to find additional funds to cover the project's shortfall. In other cases, the projects cancelled or deferred were dependent on senior government grant funding which was not received. Change in Specifications for Replacement for Health Club Equipment - Recommendation 12 The approved 2019 Capital Budget included $45,000 for replacement of Health Club equipment (5731.1904.6178) at the Chestnut Hill Developments Recreation Centre (CHDRC) to be funded from the Recreation Complex Core Surcharge Reserve (7034). City Recreation staff are now requesting that the equipment specifications be slightly changed from what was approved in the 2019 Capital Budget. The total project cost of $45,000 and the funding source would remain the same. The reason for the change is due to the upcoming renovations to the Health Club as the City's vision and equipment forecast for the new Health Club space has changed. The City's focus for 2020 is now on the replacement of older cardio pieces of fitness equipment in preparation for the launch of the CHDRC's new Health Club space. CAPES Grant -Recommendation 19 The City received communication on Friday, February 14th that it was successful in obtaining grant funding under the CAPES program. The grant program focuses on an important national priority to counteract ageism in the workplace and to promote senior engagement in the community with opportunities in employment, volunteering, mentoring, and new intergenerational programs. Volunteers are in demand to fill gaps in provision of services providing transportation to program locations, knowledge sharing, mentoring, and educational and social support. The labor market requires senior individuals with experience and business maturity to help fill a gap in business sectors. 36 Report FIN 02-20 Subject: 2020 Current and Capital Budget February 24, 2020 Page 14 The City of Pickering and the Pickering Public Library will partner to address the need to improve the health of our senior community in isolation, as well as providing education to seniors to combat the ageism barrier. The grant funds will be used for event days and speakers, engagement fair in October, production of a document including employment contacts and volunteer opportunities. Budget Reporting Requirement for Furniture, Fixtures & Equipment or FFE for New Facilities -Recommendation 21 Subsection 286.1 d) of the Municipal Act states that the Treasurer is responsible for "maintaining accurate records and accounts for the financial affairs of the municipality". The Financial Control Policy as approved by Council under subsection 02.04 b) states that the Treasurer is to maintain the proper financial controls and procedure guidelines to ensure accountability in the matters of finance and related administration. The current established practice of budgeting a large dollar amount under the one-line description of FFE does not meet the legislative requirements of the Municipal Act or the Financial Control Policy. Recommendation 21 is amending the Financial Control Policy to now require that a detailed breakdown of FFE expenditures be provided to meet reporting requirements. In addition, the detailed reporting requirement will also facilitate capital asset reporting due to the fact only capital expenditures should be listed under FFE. Previously, both current and capital expenditures were charged to the same capital account requiring accounting staff to "journalize" the non-capital expenses to the current accounts. William Jackson Drive -Recommendation 24 The developer is responsible to construct all roads within the development that are classified as "local roads" at the developers cost. As William Jackson Drive is classified as a collector road, the road is built to a wider cross section. The additional cost to oversize the road to a collector road is identified in the Development Charges Study and is funded through Development Charges. Recommendation 24 provides staff the authority to pay the invoice. Kubota Lands within the Pickering Innovation Corridor -Recommendation 25 In May of 2018, Council approved the hiring of Sabourin Kimble & Associates (SKA) for the Municipal Services Design for the Kubota lands within the Pickering Innovation Corridor (Report CAO 04-18) for the amount of $590,000. In February 2019, Council approved the increase to $860,000.00 due to the change of scope of work for the Kubota lands. With the increase in activity within the Innovation Corridor, the scope of work for SKA has been revised to include the additional work required as part of the Municipal Services Design for the Pickering Innovation Corridor. The increase in budget reflects additional work required for the project management, detailed engineering, environmental, electrical, surveying, geotechnical and landscaping work required for the balance of the lands (including Kubota) on the north side of Highway 407, between Sideline 26 and Sidelines 22. The City is currently in the process of finalizing the 37 Report FIN 02-20 Subject: . 2020 Current and Capital Budget February 24, 2020 Page 15 agreements of purchase and sale with Infrastructure Ontario (10), once those agreements have been completed, the City will sell the lands to the individual proponents for the uses of a hotel and convention centre, beverage producer, gas station, office towers, and high-tech manufacturer. The City has also assigned SKA to produce the cost recovery plan for the City to recover incurred costs from the various proponents for the municipal services that were designed and installed. The additional funds required for this change of scope are $425,000 excluding HST. EV Charging Stations -Recommendation 37 The Federal Government through Natural Resources Canada is offering a grant over 5 years to cover the purchase and installation for EV charging stations at the 50 percent funding level. To address the complexities and issues of installing EV charging stations, the City would first need to conduct an electrical feasibility study to investigate actual costs for adequate electrical infrastructure prior to installation. The electrical feasibility study will investigate the following below: • Location of potential EV charging stations • Proximity to electrical room • Capacity in electrical panel • Capacity of transformer • Length of conduits Once the City understands the costs required to have adequate electrical infrastructure in place, we can make a more informed decision for the 2021 Capital Budget and grant funding applications. Development of a Financial Plan -Recommendation 38 The City Centre project will probably be the largest financial project in the City's history. Complicating the financial planning is the fact that critical information is currently not available regarding the financial impact of the CBC regulations and the projects tendered cost. In addition, any financial planning exercise should be based to some degree on casino revenue experience. Included in the financial plan should be a discussion and or plan to fund the City's other critical infrastructure assets from surplus casino revenues. 2020 Current Budget At the February 13, 2020 Executive (Budget) Committee meeting, Council was presented with a proposed budget levy increase of 2.99 percent, which was accepted by the Executive Committee. Based on an average assessment of $578,000 the 2.99 percent increase (excluding the impact of reassessment) will result in an average increase of approximately $58.00 per year or $1.11 per week for the average residential dwelling in Pickering. Unlike goods purchased by consumers where there is a tangible product that is received each time there is a transaction, many City services provided to residents such as park or road maintenance are not paid for as the services are used or received. 38 Report FIN 02-20 Subject: 2020 Current and Capital Budget February 24, 2020 Page 16 For this reason, many residents may not be aware of the costs associated with the vast array of services offered by the City. Attachment 3 shows a breakdown of the average daily cost of the City's municipal services (based on the average assessed value of $578,000 for a Pickering residential property). Tax Increase Summary The 2.99 percent City share tax increase translates into an increase of 0.91 percent on the total residential tax bill. The 2.99 percent levy increase compares favourably to other municipalities, especially given that Pickering has had the lowest tax rate among its Durham Region Lakeshore neighbours for over nineteen years (1998 up to 2017) and has experienced relatively low assessment growth for many years. Adding the Region's (2.42%) tax increase and Pickering's (2.99%) and the School Board's estimated 0 percent increase, the total increase for the average residential ratepayer will be approximately 2.25 percent. In 2000, Pickering Council approved a zero percent levy increase and since then, budget levy increases have ranged from 9.8 to 2.47 percent. Chart One Budget Levy Increases 2000 to 2020 10.0 ' -9.0 -· - 8.0 7.6 7.0 -4,f- 6.0 -I----< 5.5 -· - 5.0 -I--I---- 4.0 >-->-I----' "-· 3.99 3.53 ..,, iJ ..,,'iJ ..,, .., 3.0 >-->--I-->--I-J ,99_2 ~ -I--2.99 ,!, 2.49 2.47 2.0 I--I--I--I--I---I-------- 1.0 I--I--I-I-I--I---I->---I---I- 0.0 =;= =;= =;= =;= =;= =;= =;= =;= =;= =;= =;= =;= =;= =;= =;= =;= =;= ,= =;= ~ 2001 2003 2005 2007 2009 2011 2013 2015 2017 2019 2020 For the last few years, the levy increase has been under 3.0 percent. The average increase for the term is 2.73 percent which is below the average for the last few terms. The table below provides a summary of the financial impact of the proposed 2020 tax levy increase based on various assessed values. 39 Report FIN 02-20 Subject: 2020 Current and Capital Budget Financial Impact of Budget Increase City Share Only Residential Assessment $100,000 $500,000 Increase Over 2019 $10.04 $50.18 February 24, 2020 Page 17 $600,000 $60.12 In 1998, the Province of Ontario introduced the new Ontario Fair Assessment System (OFAS). The purpose of this new assessment system was to eliminate the historical inconsistent measure of property values across the Province and to enhance the level of fairness and equity into the assessment and property tax system. Prior to 1998, each municipality within Durham Region used a different assessment base year for determining their assessment. The City of Oshawa used an assessment base year of 1950 and Pickering used a base year of 1984. The introduction of the first Provincial reassessment caused significant tax increases especially for those municipalities that used an "old" assessment base such as Whitby and Oshawa. To mitigate the effects of the "property tax increases", the Region of Durham introduced a residential phase-in program for assessment related increases and decreases. Approximately 7,200 Pickering residential homeowners benefited from assessment related decreases. The key factor is that by introducing a new assessment system through the Region, whether directly or indirectly, a rebalancing of Regional property tax responsibility was accomplished throughout the Region that resulted in a greater degree of fairness and equity. Twenty two years later, the question has to be asked as to whether a "rebalancing" or "taxpayer fairness" is again required. During the last 22 years, through the Provincial reassessment process there were situations where the average assessment increase for Pickering was above the Regional average. In this situation, Regional property tax responsibility was then shifted from other municipalities to Pickering. Recommendation 2 c) is asking Durham Region to review the allocation of the Police Services Budget as a condition of casino revenue sharing. This is the fourth year of the Province's four year reassessment cycle. Assessment- related increases are phased-in over four years, and assessment-related decreases are implemented immediately. The City does not receive any additional revenue as a result of reassessment. The corresponding property tax rates are adjusted for the increase in reassessment values to create an overall property tax neutral position on a total property class basis. Inevitably, when there is an overall change in assessment values, there is shifting of the property tax burden among property classes, and as well among individual property owners within each property class. The impact on the individual homeowner is based on their specific reassessment increase, relative to the City-wide average of 6.58 percent, shown in the Table below. There are also assessment-related tax shifts for the Region and Education. These impacts will be based on the average reassessment increases on a Region-wide basis and for Education on a Province-wide basis. 40 Report FIN 02-20 Subject: 2020 Current and Capital Budget Reassessment Increase Below 6.58% Equals 6.58% Above 6.58% Risk Analysis February 24, 2020 Page 18 Assessment Related Impact on Taxes Decrease No Impact Increase At its core, the municipal budget is a projection of inflows and outflows for the coming year. Due to the timing of the budget preparation and approval, many of these projections need to be made with less than perfect information. In addition, these projections need to consider future events and circumstances that are often beyond the City's control. Therefore, as with any budget, there are risk factors associated with the Draft 2020 City of Pickering Budget being presented to Council. The following is a list of some of the most important risks and related mitigating measures. A During the last few years, there has been no predictable weather pattern for winter control activity/costs. The 2014 and the first half of the 2015 winter season was one of the worst on record. The 2020 winter control budget is based on December and the first three weeks of January and therefore, the 2020 winter control budget includes an increase of $95,000. If the current winter weather pattern changes, any additional cost pressures would be absorbed either through the Winter Control Reserve ($700,000) or through the General Government contingency account. B Budgets prepared early in the year are based on information that was available in December of last year. This has the potential to generate greater budget variances that might otherwise be experienced. In addition, the two senior levels of government (Federal and Provincial) have not yet released their 2020 Budgets. There is a possibility of a positive or negative impact on the City based on the budget actions of the senior levels of government. C General inflationary pressures that may continue to increase as the economy continues to improve. The likelihood of this risk materializing is rated as possible; the likely impact of the consequences is rated as moderate. The first signs of general inflationary pressures will probably be reflected in capital tender awards in March and April. D The outlook for the global economy is changing in a slight negative trend to reflect the coronavirus. At this time, the global economic impact may not be significant, with a more pronounced negative impact on China. It appears that the travel and hotel industry will be the first economic sector to be negatively impacted by the virus. The City is increasingly exposed to risk from a fluctuating US/CAN dollar exchange rate. Pickering is moving into a period of capital growth construction with planned multi-million dollar projects and fleet expansion. Many of the products are purchased from US manufacturers. Even products made in Canada have significant percentage of 41 Report FIN 02-20 Subject: 2020 Current and Capital Budget February 24, 2020 Page 19 components from the US. The risk to our forecasts Capital Budget is more significant due to the high value of projects we have in the five year forecast. 2020 Challenges and Opportunities Outstanding Assessment Appeals There is currently $5.34 billion in outstanding assessment appeals for the commercial and industrial property tax class for the City. These are multi-year appeals that range from 2013 up to 2020. These appeals are mostly for large commercial and industrial properties with complex valuations that often have interests from multiple parties. The appeal schedules are set by the Assessment Review Board and the appeals can take years to resolve. Unfortunately, the majority of these appeals were not resolved in 2019. Therefore, these appeals are automatically deemed outstanding for the 2020 taxation year. Every year these appeals remain outstanding, the settlement cost increases, creating additional financial risk to the Corporation. For the last few years, staff have budgeted for the outstanding commercial and industrial appeals and any funds remaining from these prior years has accrued to fund anticipated settlements in 2020. If the budget provisions are insufficient to fund the reductions, the City would draw on the Assessment Appeal reserve to fund any shortfall. New Human Resources and Financial Information System January 24, 2020 marked the first pay that was driven by the new Human Resources SAP system phase one entitled "Success Factors". The 2020 Capital Budget includes funding for phase two of the HR system which will provide us with the recruiting and onboarding module. This module will help to streamline and manage the centralized recruiting process by assisting with sourcing and reviewing candidate experience and provide applicant tracking. It will also provide a central onboarding function that will provide new employees with a standardized comprehensive orientation program. The 2021 Capital Budget forecast for HR includes the third module that will be used for a cloud based learning system. This system can be used to develop management and leadership skills and to track staff training and to ensure compliance with mandated training. At this current time, the "Go-Live" date for the financial system is May 1, 2020. The new financial system consists of: accounts payable, purchasing, accounts receivable, general ledger and cashier payment processing system. The City's current financial system is showing its age with purchase requisitions disappearing and other issues. When the City moves to this new system, the risk of the system crashing and or other problems will be eliminated. In addition, the new financial system will increase data integrity through the elimination of manual processes and provide critical information to user departments to enhance decision making. 42 Report FIN 02-20 Subject: 2020 Current and Capital Budget 2020 User Fees and Charges Schedule February 24, 2020 Page 20 Every year, the City reviews its user fees, mainly for various .recreational and cultural programs, to partially reflect the cost of delivering these programs. Council passed Resolution# 149/03 confirming the City's existing user fees through a specific by-law. This By-law has been updated as part of each year's budget process. Other fees have been introduced to address industry trends and their associated costs. User Fees and Charges have been established so that those who benefit directly from programs and services contribute to the cost of the service. The City's user fees and charges have been updated for 2020 to reflect such things as inflationary increases, adjustments to ensure greater cost recovery and updates based on comparable fees in neighboring municipalities. Asset Management Maintaining public infrastructure in a state of good repair is a significant responsibility and cost for municipalities. Critical investments in our assets at the right time help extend the life of the assets and lower the overall cost of ownership while ensuring that the assets remain current and safe for public use. These assets are used to provide residents, businesses, employees and visitors access to services including transportation, recreation, culture and economic development and have a direct link on the quality of life for Pickering residents. Every year, the City has been increasing its funding of reserves and reserve funds to ensure that it has the dollars available or required to purchase the replacement of the critical and core assets. For 2020, the Draft Budget as submitted to Council includes additional funding for the roads and bridges reserve fund; stormwater management reserve fund, vehicle replacement reserve and fence reserve. Please find below a quick snapshot of select Durham Lakeshore municipalities measuring the consumption of their assets. A ratio of 50:20 percent means that the City has consumed more than half of the asset's life. Table One Asset Consumption Ratio 2014 2015 2016 2017 2018 (%) (%) (%) (%) (%) Whitby 35.40 36.80 37.80 38.40 38.90 Clarington 37.90 38.00 38.80 40.00 40.69 Oshawa 38.60 39.10 39.90 40.60 42.45 Pickering 52.00 50.30 50.60 50.20 50.40 The Ministry of Municipal Affairs considers a ratio of 26 to 50 percent moderately new and 51 to 75 percent to be moderately old. As the above data indicates, the City is on the border between moderately new and old. The good news is that the City has been making 43 Report FIN 02-20 Subject: 2020 Current and Capital Budget February 24, 2020 Page 21 progress on renewing its assets. A major asset not reflected in the above table is the new Operations Centre. It is anticipated this asset will be added to the City books that in-turn should reduce the asset consumption ratio. 2020 Tax Rates As has been the case for the last few years, the 2020 Property Tax rates and corresponding levy By-law will be presented to Council after the City has received the education tax rates fromthe Province. 2020 Capital Budget This year the draft Capital Budget is $58.6 million, plus an additional $187.3 million for the Civic Center Construction, which includes a new Library, Performing Arts Centre and Senior and Youth Centre. Other major capital projects in 2020 include the Animal Shelter Design & Construction ($9.1 million), Seaton Fire Hall & Headquarters Construction ($8.9 million) and many road resurfacing and reconstruction projects ($4.9 million). City Centre Project Casino and Notion Road Bridge Underpass and City Centre Project Under the current strategic and financial plan, the casino, Notion Road Bridge and City Centre are directly or indirectly linked together and therefore, are presented together. Casino Revenue Projection At this current time, it is staff's understanding that the Casino will be opening on around April 3, 2020. The casino revenue projection used for the 2020 Budget is based on this opening date. It is difficult to predict the City's share of the gaming revenue and if you ask 100 individuals, you would probably receive 100 different estimates. Historical or past performance is a great building block to be used to develop a forecast. Unfortunately, with the City not having any gaming revenue history, staff believe that we can use, to a certain degree, the Niagara Falls Casino. revenue as a starting point to determine a best guess estimate for Pickering's casino revenue projection. Niagara Falls Casino has competition from Seneca Niagara Resort (located in Niagara Falls, New York) and the Pickering Casino would have competition for the gaming dollar from Casino Ajax, Great Blue Heron Casino (Port Perry) and Woodbine Casino. 44 Report FIN 02-20 Subject: 2020 Current and Capital Budget February 24, 2020 Page 22 Staff's calculation for the revenue projection is presented below . . r -. City of Niagara Falls -2019 Budget 'Estimated Casino Revenue I Estimated Number of Total Gaming I I I 1Positions Niagara Falls Municipal Revenue per Gaming Positio~ · Pickering Number of Gaming Positions ' Estimated Pickering Revenue (12 months) Estimated Revenue for 8.5 Months Revenue for forecast for 2020 $23,500,000 5,370 $4,376.16 2,963 I $12,966,562 $9,184,648 $9,000,000 The revenue projection should increase for the Pickering casino once the hotel and 2,500 seat premier live entertainment venue is open. The biggest money maker for the casino is slots. In 2018, American casinos made approximately $6.0 billion in revenues of which $4.0 billion was made in slot machines. Slots are popular because the game is easy to understand, every player young and old can enjoy playing and large bets are not necessary to play slots. A small bet is usually enough that makes slot play interesting for players with a low budget. In addition, the amazing graphics, sounds, themes and bonus features are a reason for the popularity of slots as well. Las Vegas casinos have observed an interesting trend among the millennials. This group doesn't gamble as much as the older generations and they prefer to gamble in social game settings such as craps and black jack. The challenge for the casino industry is how to make slot play more social to attract the millennials. Notion Road Bridge (Highway 401 Crossing) As a condition to remove the (H-2) Holding Symbol on the Casino Lands, the City committed to the construction of the Highway 401 road crossing connecting Notion Road to Squires Beach Road and realignment of Pickering Parkway at Notion Road . The cost of the project and preliminary funding strategy is presented below: Table Two Notion Road 401 Bridge Est. Costs Construction Design Land Purchase Total Estimated Cost Prel iminary Funding Strategy Less: Benefit to Existing Deduction Growth Related -DC Funding Roads 45 $53 ,000,000 2,000,000 10,000,000 $65 ,000 ,000 $65,000,000 ($16,000,000) $49,000,000 I I Report FIN 02-20 Subject: 2020 Current and Capital Budget February 24, 2020 Page 23 At this current time, the cost associated with the "Benefit to Existing" ($16.0 million) deduction, would be a City cost. However, the CAO's Office is having discussions with interested parties and this cost may be partially or fully funded by Third Party organizations. The DC roads reserve fund component has a projected balance as of December 31, 2019 of $23.4 million. Therefore, the DC funding for this project would consist of cash ($23.4 m) and debt ($25.6 m). However, there is approximately $1.5 million being used to fund internal loans that is currently not available to fund this project. In theory these dollars should be returned to the DC Roads component to reduce the amount of borrowing. The DC roads reserve component is a key funding source for internal loans. When the project commences, this source of internal loans will no longer be available and the City has to consider alternative funding strategy or plan. City Centre Project -A Financial Discussion The discussion below focuses on the City Centre project only from a financial perspective and does not discuss the need, location or operation of the facilities. City Centre Building Estimated Costs as of January 31, 2020 ,---·r · -----------------. . -----·-· ·-··----·--·-···--·-1 ------·-Col.A Col. 8 Col. C , Expenditures Funding Sources DC I 1 Line# Capital (lnc.'s Net HST 1.76%) DC's City Sh~re Funding% I 1 1 Library $ 39 ~884,000 $ 16,782,000 $ 23,102,000 42 .10% 2 Arts Centre 64,640,000 12,~89,000 51,951,000 19 .63% 3 Additional: Arts FFE 9~5,000 r 9_95 !ooo · 4 Senior & Youth Centre 41 !290,000 36,232,000 5,058 ,000 87.75% 5 Underground Parking (352) 28,337,000 20,700,000 7,637,000 73.05% - 6 Bridge Link 5,671,000 3,682,000 1,989,000 64.93% 7 , Total B~ilding Cost $ 180,817,900 '$ 90,085,000 !$ 90,732,000 49.82% Other Capital Costs 8 Relocation of Services $ 7,489,000 $ 600,000 $ 6,889,000 8 .01% -- Arena Re-Surfacing of 9 Parking lot :270 ,000 . 270,000 10 I Parking Lot Exp. 450 ,000 450,000 11 Isub Total Other Capital 8,209,000 600,000 7,609,000 12 , , Total Capital Est. Costs $ 189,026,000 $ 90,685,000 ,$ 98,341 ,000 47.97% I 1Current 13 Project Manager (Per Yr.) $ 145,140 I :$ 145,140 Column A represents the current estimate of construction costs and includes net HST of 1.76 percent that has been added to the project's cost. Overall, the DC funding is covering almost 48 percent of the project's estimated cost (Col. C -line 12). The 2020 46 Report FIN 02-20 Subject: 2020 Current and Capital Budget February 24, 2020 Page 24 budget plan includes the casino reserve funding both arena parking lot projects and the project manager. The DC funding level varies per building due to the fact it reflects what is permissible under the DC legislation and is based on the average level of service provided over the last 10 years as per the legislation. Development charge funding cannot be used to pay for the portion of any new infrastructure that would lead to a service level higher than this 10-year average level of service. The Library DC funding reflects a lower percentage due to the fact the funding is capped at the historical level of service and for the Library it is measured by square footage. When the Library closed the Greenwood and Whitevale branches, that reduced the overall total square footage reducing the 10-year average level of service. The financing strategy for the City Centre project is presented below. City Centre Financing Plan Based on Estimated Costs As of January 31, 2020 [=_-=: , DC -D~bTFundin-g---;---·----1-·---· -----r--DC;;· i--~-_ Civic Centre Funding Requirements (Line 12) , $ 90,685,000 ! Less : Funding in DC Reserve Funds (December 31, 2019) , B C -• -+ -I Library Parks & Recreation . - D DC Borrowing Amount E , Annual Debt Payments (Based on 3.50% -25 Years) -• -t j F ·•-L Number of BP's Required to be issued to fund DC Debt Per Yr. City Share Debt Fu~ding G : City Share Debt (Line 7 + 8) H ' 'Less: Reserves (December 31, 2019) Seniors Reserve f . J · Minor Building Replacement Reserve K Library Reserve L City Share Borrowing Amount I I ' ! M Annual Debt Payments (Based on 3.50% -25 Years) Less : Annual Contributions to Reserves N I Q p Q R Seniors Reserve Library Reserve i I I Minor Buildings Reserve (Budget Report Recommendation) Less : Library Sponsorship ' Payment Per Year (After HST) Annual Payments to be Funded from Casino Reserve 4,230,Q_Q_0 16,304,000 $ 70,151 ,000 $4,260,000 1 ,046 City Share of Costs I $ 97,621,000 !" '$ 1,400,000 700,009 80,000 95,441,000 $5,791,000 700,00Q 100,000 1-400,000 1-884 ,000 ' I , $ 3,707,000 The reference to lines 7, 8 and 12 above is based on the previous page. 47 Report FIN 02-20 Subject: 2020 Current and Capital Budget February 24, 2020 Page 25 Part A of the financing strategy is based on the maximizing DC funding. Members of Council may recall that in December 2019, Council approved the "DC Update Study" that increased the fee for the Parks and Recreation category. The DC fees paid by developers are allocated to the various DC funding components such as Library and Parks and Recreation. The DC Parks and Recreation category funds the City Centre Arts & Youth ano Senior Centre buildings. The debt calculation is based on a 25 year term and an interest rate of 3.50 percent. Staff are aware that the 3.50 percent interest rate is slightly higher, however, staff wanted to ensure that there was some margin of safety and or financial flexibility. Line F is a key indicator for the City Centre project. The calculation is based on Line E divided by the current DC fee for a 2 bedroom condo rate ($4,074). At a minimum and for many years, the City needs to have a level of building activity that is equivalent to 1,046 2 bedroom condo units to cover the City's DC debt related to the City Centre project. The City will also need additional level of building activity to help fund the 'growth related costs for Seaton for projects such as Seaton Recreation Complex, parks and trails. If there is shortfall in building activity that in turn results in lower fees collected, the City has to make up the shortfall. The City is the Guarantor of DC debt and therefore, any shortfall would have to be funded from the Casino Reserve. Under the old DC rules, the shortfall would be corrected and or adjusted through the next DC background study where the deficit is added to the DC fee calculation resulting in higher fees. The funding of recreational facilities is considered a soft service and therefore, will now fall under the CBC. At this current time, with the Province not releasing the CBC regulations, staff have assumed that any CBC funding shortfall cannot be addressed or funded through future recoveries. In 2012, Council recognized the need for a new seniors centre by creating a senior reserve with a funding contribution of $75,000 per year. Over the last 8 years, Council has approved funding increases to this reserve and now has a projected balance of $1.4 million (December 31, 2019). In 2017, a minor buildings replacement reserve was created to fund the replacement of old and high operating cost small buildings. In 2019, the Library Budget included funding for a new Central Library in the amount of $80,000. The 2019 Budget included transfers to reserves as reflected in Lines N, 0, and P. These dollars are now part of the 2020 base budget. These funds will now be applied to reduce annualdebtpaymen~. Municipal Debt Limits and Annual Repayment Limit (ARL) As stated in report (FIN 15-19, page 7), the City has a debt limit (Annual Repayment Limit or ARL) as reported by Ministry of Municipal Affairs (MMA). The ARL can be simply defined as the maximum amount that a municipality can pay in principal and interest payments in the year for long-term debt (and in annual payments for other financial commitments) without first obtaining approval from the Local Planning Appeal Tribunal. From a simple perspective, the ARL could be viewed as the current available debt limit on an individual's credit card. The goal is not to maximize the borrowing amount, but instead to use the ARL as a guideline to manage the City's financial affairs. 48 Report FIN 02-20 Subject: 2020 Current and Capital. Budget February 24, 2020 Page 26 MMA determines each year, the municipality's limit using a formula in the regulation based on the financial information supplied to the ministry through its Financial Information Return (FIR). For municipalities, the ARL is set at 25 percent of their annual "own-source" revenues (a ministry-determined amount which includes property taxes, user fees and investment income) less: grants; annual long-term debt servicing costs and annual payments for other long-term financial obligations. The long term debt servicing cost includes all City issued debt plus other debt such as DC debt and third party debt . (soccer dome). It is very rare for municipalities to exceed the 25 percent debt limit. Please find below a comparison of the City's annual debt cost (that includes principal and interest) in relation to the ARL. The source of the data was the annual FIR, Schedule 81 for the 2018.The 2019 financial information is currently not available due to the fact the City is still processing its 2019 closing adjustments. As expected, with the introduction of the City Centre project and corresponding City Share Debt and DC Debt, the revised debt projection puts the City substantially closer to the ARL. On a go forward basis, every debt financed project (directly or indirectly funded by DC's) will be subject to the ARL test to ensure that the City is below the 25 percent limit or cap. Without stating the obvious, the financial goal is not to be near the 25 percent limit, but instead be around or below 10 percent. Chart Two ,-····-· •·--·· ·--·-··---·· .... ----··-··--·--··· -········--·-· City's Debt Measured Against the ARL Limit 30.0% ····-···· -· ··-· · · ··---··-·-· ...... ·-·· .. ··-·· ·-•-·••-····· ··-· ·-· ···--·-····-·-······ -· · .. ··-···-·· ···-----···-·----· -· 25.0% 20.0% ···---·· ·-·--·---·· -··-· ---·---···-···· ----·---··-·· -------·---···------· · ~~:~~ --~.::-=··-··--= -_ --=_·= ..... ;z -·· 0.0% ----------· · ·-----------------·-------------------· _ ----··· --------- 2014 2015 2016 2017 2018 Revised Proj. -25% ARL -Debt% The slope of the line should be lower when you add casino revenues as part of the ARL calculation. An important financial measure is "debt per capita". This measure was referenced in the "City Centre Multi-Year Financial Stress Test" (FIN 15-19) report. Please find below, a comparison of the debt per capita for Durham Municipalities and others. 49 Report FIN 02-20 Subject: 2020 Current and Capital Budget February 24, 2020 Page 28 between now and June look at options and or strategies to reduce the project's cost. The second and probably the more important factor is controlling construction costs once the project has started. The City's Project Manager has to be vigilant and tenacious in defending the City's interests. Community Benefit Charge (CBC) -Missing Provincial Regulations The detailed regulations to determine the rules and calculations for the CBC were supposed to be issued this fall and again by the end of January 2020. The City Centre project financial plan is based on almost receiving 48.0 percent in DC/CBC funding. If the project was $1.0 million, the City range of risk or uncertainty would be minimal. The DC funding or contribution is almost $90.0 million with estimated annual DC debt charges of around $4.2 million. While staff are confident that the City will collect "X" dollars from the CBC, the critical issue and concern is -will the total CBC fees collected per year be sufficient to meet the first obligation of $4.26 million per year plus also provide funding for other growth related costs such as Seaton (parks, trails and Seaton Recreation Complex)? As stated previously, any shortfall in funding to meet the $4.2 million obligation will be funded from the Casino Reserve. If there is insufficient CBC funds for Seaton, the City will have to consider deferring projects, reducing their size, using available surplus casino revenues or a combination of all three. To reduce the City Centre project financial risk, the City has to annually retain the first $10.0 million in casino revenues (see Recommendation 2 a)). This dollar amount will cover the City debt and any possible shortfall in DC/CBC revenues. Debt Payments and Debt Financing of Capital Projects The 2020 Current Budget includes $5.4 million of taxpayer funded debt charges (interest and principal), excluding the City Centre project. The taxpayer funded debt charges represent 7.8 percent of the 2020 property taxes levied. In other words, for every dollar collected - 7 cents is applied to debt charges. In 2017, the Development Charges Operations Centre Reserve Fund borrowed $9.2 million to meet the funding requirements for the new Operations Centre located on Clements Road. The principal and interest payments associated with this debt is $675,729 and is funded from DC payments of which the majority will be from Seaton development. The 2018 DC Background Study captured all of the interest and principal payment cost associated with this debt and these costs are reflected in the DC rates. 51 Report FIN 02-20 February 24, 2020 Page 29 Subject: 2020 Current and Capital Budget A high level summary of the City's debt, which includes the City Centre project is presented below: Debt Summary 2019 Debt External Debt Commitments External DC Debt Internal Loans Total 2019 Commitments Add: 2020 Debt Commitments External Debt New Internal Loans Sub Total City Centre Project Add: 2020 Est. Debt Commitments City Share External Debt DC/CBC External Debt Total Debt Commitments Millions ($) $25.6 9.1 -1.§ $36.2 $12.6 _1A $50.2 $94.4 70.2 $214.8 As stated last year, the Development Charges Reserve Fund -Operations Centre borrowed funds to meet its funding obligations for the new Operations Centre. Development Charges collected from new growth pay the principal and interest charges associated with this debt type. Excluding the DC debt for the Operations Centre and the City Centre project, the City has financial commitments of $135.5 million The 2020 debt financed Capital Projects, which include the City Centre project are listed below. External Debt and Internal Financing of Capital Projects City of Pickering 5, 10, 15, 20 and 25 Year Debt Financing 2020 Capital Budget Capital Project Code Debt - 5 Years($) Description 5325.2004 $360,400 Accessible Pedestrian Signals - 4 locations 5744.2005 195,000 Museum Combination Barn Restoration -Construction 5735.2007 190,000 CHDRC Delaney & O'Brien Storage Rooms 5780.2007 150,000 South Pine Creek Ravine -Pathway Construction 5731.2006 91,000 CHDRC Tenant Relocation 52 Report FIN 02-20 Subject: 2020 Current and Capital Budget Total Five Year Debt $986,400 Capital Project Code Debt -10 Years($) 5700.2002 $800,000 5731.2004 600,000 5340.2009 465,000 5735.2003 195,000 5715.2001 120,000 Total Ten Year Debt $2,180,000 Capital Project Code Debt -15 Years($) 5340.2003 $1,000,000 5731.2001 470,000 Total f=ifteen Year Debt $1,470,000 Capital Project Code Debt -20 Years($) 5731.2014 $6,000,000 5340.2007 2,767,180 5340.2018 560,000 Total Twenty Year Debt $9,327,180 Capital Project Code Debt -25 Years($) 5192.2001 City Share Debt $94,446,000 DC/CBC Share Debt 70,151,000 Total Twenty Five Year Debt $164,597,000 Total Debt Financed $178,560,580 Projects February 24, 2020 Page 30 Description City Centre Backup Generator Replacement _: Construction CHDRC Tennis Court Flooring Replacement -Construction FS #5 Replacement -Design CHDRC Delaney Condenser Tower & Structure Replacement Don Beer Arena Rink #3 Dehumidifier Replacements Description Fire Pumper Rescue Replacement CHDRC Tennis Court Roof & wall Repairs -Construction Description CHDRC Lobby & Core Area Renovations -Construction FS #1 New Fire Station & HQ (Seaton) -Construction Seaton North Fire Station -Land Description City Centre Project - - Borrowing or debt financing should not be viewed as a negative. The proper use of debt is an essential component of prudent fiscal strategy. The use of debt promotes intergenerational equity. By borrowing, Pickering can distribute the cost of the asset over the lifetime of the asset. 2021 -2024 Capital Forecasts Included in the Capital Budget book is the City's 2021 -2024 Capital forecast which outlines the City's current financial plan. Provided below is a breakdown of the various funding sources related to the capital forecast. 53 Attachment #5 to Report #FIN 02-20 Provin ce of Ontario -Ministry of Municipal Affairs and Hou sing 16.09.2019 14 :04 ::011101 FIR2018: Pickering C Schedule 81 AsmtCode : 1so1 ANNUAL DEBT REPAYMENT LIMIT MAH Code : 10102 based on the information reported for the year ended December 31, 2018 NOTE : THE ESTIMATED ANNUAL REPAYMENT LIMIT IS EFFECTIVE JANUARY 01, 2020 Please note that fees and revenues for Homes for the Aged are not reflected in this estimate . DETERMINATION OF ANNUAL DEBT REPAYMENT LIMIT 1 Debt Charges for the Current Year $ 0210 Principal (SLC 74 3099 01) ...........••..•....•..••.••.••.•.••.•.••.••.••..•••••......... 5,598,009 0220 Interest (SLC 74 3099 02) ....••.•..•..•.••.••.••.••..•....•.••....•.••..••..•.•......... 935,509 0299 Subtolal 6,533,518 0610 Paymenls for Long Tenn Commilments and Liabilities financed from lhe consolidaled stalemenl of operations (SLC 42 6010 01) ........ : ..•..................................•.. , ••..•...•.... ~-------o~j 9910 1010 1020 1030 1040 1050 1060 1099 Total Debt Charges Excluded Debt Charges Eleclricily -Principal (SLC 74 3030 01) ......•..•..•..•.••..•....•.••.••.•.•••.•••.•...•....... Electricily -lnlerest (SLC 74 3030 02) .....•..•.•...........•..•.....•••...•.•...•.....•..•... Gas -Principal (SLC 74 3040 01) .· ....•..•..•........••••.•..•.••....•.•...•......•......... Gas -lnlerest (SLC 74 3040 02) .........•..•.•......•..•....•....•..•..•..•• · ..•...•..•.•.. Telephone -Principal (SLC 74 3050 01) ....•....•.....•.••..•..•.•..•.•..•.••..••......•..•.... Telephone -Interest (SLC 74 3050 02) .....•....•.....••.•..•..•.•.....•.•...•......•......... Subtotal 6,533,518 j 1 $ 0 0 0 0 0 0 0 1410 1411 1412 1420 9920 Debt Charges for TIie Drainage/Shoreline Assistance {SLC 74 3015 01 + SLC 74 3015 02) .....•••••••.•.•..••..•...•.... j '--------~ Provincial Grant funding for repayment of long tenn debt {SLC 74 3120 01 +SLC 74 3120 02) ......•.•...•...•..•...•...... '-j -------~ 0 Lump sum {balloon) repaymenls of long tenn debt {SLC 74 3110 01 + SLC 74 3110 02) ................................. •c.l _______ ~ 2,045,000 1610 Total Debt Charges to be Excluded Net Debt Charges Total Revenues{' Sale of Hydro Utilities Removed){SLC 10 9910 01) ....•..•..•..•..•....•...............•.•. Excluded Revenue Amounts 2010 Fees for TIie Drainage I Shoreline Assistance {SLC 121850 04) .............................••..•...•...... 2210 Ontario Grants, including Grants for Tangible Capital Assets (SLC 10 0699 01 +SLC 10 0810 01 + SLC10 0815 01) .....•.. '. •..•..... 2220 Canada Grants, including Grants for Tangible Capital As sets (SLC 10 0820 01 + SLC 10 0825 01) .•............•......•.... 2225 Deferred revenue earned (Provincial Gas Tax){SLC 10 0830 01) ...•.................•...........•...•..•... 2226 Deferred revenue earned {Canada Gas Tax){SLC 10 0831 01) ..............................•...•...•..•.. 2230 Revenue from olher mun icipalities, including Revenue for Tangible Capilal Assets (SLC 10 1099 01 + SLC 10 1098 01) ...•.•••..••.... 2240 Gain/Loss on sale of land & capital assets (SLC 10 1811 01) ........•.........................•...•..•.•.. 2250 Deferred revenue earned {Development Charges){SLC 10 1812 01) ..........••.•...•.•.••..••...•...•....... 2251 Deferred revenue earned {Recreation Land {The Planning Act)) {SLC 10 1813 01) .....•..•.•..•..••..••............. 2253 Olher Deferred revenue earned {SLC 101814 01) ......................•.•...•....•....•.••..••...... 2252 Donated Tangible Capital Assets (SLC 53 0610 01) ....................••.•........••...•......•..... 2254 Increase I Decrease in Government Business Enterprise equily (SLC 101905 01) ....•..•..•.•..•..•••..•..•........ 2299 Subtotal 2410 2610 2620 9930 Fees and Revenue for Joint Local Boards for Homes for the Aged ...•..••....•..•..•....•...••.............. For llluslralion Purposes Only Annual Interest Rate I~--~ @ 72 Term Net Revenues 25% of Net Revenues ESTIMATED ANNUAL REPAYMENT LIMIT years= 2,045,000 4,488,518 1 $ 111,688,361 0 1,133,188 1,056,706 0 3,224,357 90,072 -246 ,005 3,178,106 156,444 678,697 995,033 5,050,712 15,317,310 96,311,051 1 24,092,763 j 19,604,245 J Comparative Expenditure Analysis By Municipality (Source BMA 2019 Municipal Study) Net Costs per $100,000 Assessment Including Amortization Service Pickering Whitby Oshawa Clarington Brock Fire Services/\ $206 $168 $190 $145 $109 Roadways -Paved $22 $28 $66 $45 $99 Roadways -Unpaved $6 $0 $0 $29 $64 Roadways -Bridges and $2 $0 $2 $7 $10 Culverts Roadways -Traffic $14 $114 $27 $79 $96 Operations Winter Control -Except $9 $10 $27 $25 $33 Sidewalks, Parking Lots Street lighting $6 $4 $7 $11 $11 Storm Sewer -Urban $15 $16 $10 $12 - Parks* $27 $23 $42 $17 $16 Recreation Programming* $20 $5 $30 $19 $4 Recreation Facilities -$44 $59 $79 $64 $38 Other Library $37 $22 $45 $24 $32 Museums $5 $0 $1 $3 - - Planning* $13 $8 $12 $17 $11 Building Permit and $11 ($5) $13 $13 $2 Inspection Services A Net Costs per Capita Excluding Amortization * Net Costs per $100,000 Assessment Excluding Amortization 80 \.._ . cm; of . PlCKERlNG The Corporation of the City of ·Pickering Organization Structure . •/ \.. Mayor Members of Council Chief Administrative. Officer ""\ · City of Pickering Employee Complement 96 Non-Union Full-Time (NUFT) O Non-Union Part-Time (NUPT) 324 Union Full-Time (UFT) 59 Union Part-Time (UPT) 52 ·union Full-Time Term (UFTT) 277 Union Part-Tim_e Term (UPTT) ( Office of the Ch,ief '\ Administrative I I City Development Officer Department . I co \_ (Chart No . 2) CJ'1 ,, l (Chart No. 3) Community Corporate Economic Development Engineering Finance Fire Services ""\ Human Resources Services Services & Strategic Projects . Services Department Department Department Department Department Department Department (Chart No. 4) (Chart No . 5) (Chart No . 6) (Chart No. 7) l (Chart No . s)j l (Chart No . 9j . l (Chart No . 10) Authorized by: ~ Chief Admir)istrative Officer January 1, 2020 Chart No. 1 co O') ~040/~ PlCKERlNG The Corporation of the City of Pickering · City Council · City Council. Mayor Members of Council (1) Offiee of the Mayor Councillors' -Office Executive Assistant, Mayor ' (1) * r Executive Assistant, Council · Authorized by: o(yJ Chief Administrative Officer January 1, 2020 (6) j ' * (2) Chart No. 1 (a) CX> -.I -C~0f- ·p](KER]NG The Corporation of the City of -Pickering Office of the Chief Administrative Officer Chief Administrative Officer (1-NUFT) . ·Employee Complement 11 Non-Union Full-Time (NUFT) 0 Non-Union Part-Time (NUPT) 1 Union Full-Time (UFT) 1 Union Part-Time (UPT) Supervisor, Administrative .. I ' Manager, Pu_blic Affairs & Corporate Communications (1-NUFT) ,__ Coordinator, Corporate Communications & Community Engagement (1-NUFT) .__ Website Coordinator Authorized by: 6(f)J Chief Administrative Officer (1-UPT) Services (1-NUFT) ,_ Executive Assistant, Mayor (1-NUFT) ,_ Executive Assistant, Councii (2-NUFT) Administrative Assistant, ' ~ Manager, Customer Care Office of the CAO (1-NUFT) (1-NUFT) ~ Customer Care Representative II ,__ (2-NL)FT) Customer Care Representative I ,.__ · (1-UFT) January 1, 2020 Chart-No. 2 Office of the CAO Department 2018 Actuals Expenditures 1100 Salaries & Wages 1,310,295 1200. Overtime 145 1400 Employer Contributions 348,633 1800 Conferences 10,552 2110 Travel 33,121 2115 Bus Dev & City Promo 20,943 2131 Cellular Phones 10,183 2140 Telephones 20,342 2210 Advertising 8,904 2211 Trade Shows, Exhib & Display; 10,632 2220 Subscription & Publications 2,027 2340 Seminars & Education 5,118 2365 Purch Prnting/Broch/News Ltr 5,012 2370 Insurance Premium 8,594 2392 Consulting & Professional 97,200 2394 Recpt, Prom & Sp Events 78,516 2395 Memberships 5,313 2396 Photo, Mapping, Printing 3,666 2399 Outside Agency Serv 17,824 2479 Software/Hardware Maintenanc 0 5300 Stationery & Office Supplies 2,649 5320 Program Supplies 11,342 5530 Utilities -Hydro 0 5900 Gas, Oil Tires 0 6100 Website Support Intranet 33,517 Total Expenditures 2,044,528 Revenues 9990 Other Revenue (14,659) 9940 Advertising 0 9965 Cost Recoveries 0 9980 Sponsorships No Tax (36,000) 9985 Marketing Sponsorships 0 1511 Film Permits (11,250) Total· Revenues (61,909) Transfers to/from Reserves & R.F. 1910 Transferto/(from) Reserve 0 Total Transfers 0 City of Pickering 2020 Current Budget Approved Final 2019 2019 YTD Approved Actuals Budget 1,241,369 1,239,492 422 2,250 326,318 307,088 14,077 12,000 39,609 34,550 20,345 23,000 10,576 10,800 21,702 19,745 20,554 20,000 11,022 14,500 1,991 3,695 5,770 6,500 4,095 6,000 8,594 8,594 216,136 175,832 102,599 116,750 5,372 5,355 5,665 6,000 23,443 87,850 2,158 9,306 4,266 4,100 11,566 15,700 988 4,800 429 1,000 36,595 39,615 2,135,661 2,174,522 (11,540) (15,000) 0 (40,000) (37,699) (50,000) 0 0 (84,916) (75,000) (12,250) 0 (146,405) (180,000) 0 (69,050) 0 (69,050) 89 Run Date: 6/10/20 2:04 PM 2020 INC./DEC. Approved % CHGE. Budget 2019 403,189 1,642,681 32.53% 0 2,250 0.00% 83,242 390,330 27.11% 2,000 14,000 16.67% 6,000 40,550 17.37% 0 23,000 0.00% 800 11,600 7.41% 5,880 25,625 29.78% 5,000 25,000 25.00% 2,500 17,000 17.24% 0 3,695 0.00% 0 6,500 0.00% 0 6,000 0.00% 156 8,750 1.82% 17,768 193,600 10.11% 0 116,750 0.00% 3,010 8,365 56.21% 0 6,000 0.00% 0 87,850 0.00% 0 9,306 0.00% 0 · 4,100 0.00% 0 15,700 0.00% (1,500) 3,300 (31.25%) 0 1,000 0.00% 3,000 42,615 7.57% 531,045 2,705,567 24.42% 0 (15,000) 0.00% (10,000) (50,000) 25.00% (130,000) (180,000) 260.00% 0 0 0.00% 0 (75,000) 0.00% 0 0 0.00% (140,000) (320,000) 77.78% (324,075) (393,125) 469.33% (324,075) (393,125) 469.33% Office of the CAO Department 2018 Actuals Net 1,982,619 City of Pickering 2020 Current Budget Approved Final 2019 2019 YTD Approved Actuals Budget 1,989,256 1,925,472 90 Run Date: 6/10/20 2:04 PM 2020 INC./DEC. Approved % CHGE. Budget 2019 66,970 1,992,442 3.48% 2121 Office of the CAO -Admin 2018 Actuals Expenditures 1100 Salaries & Wages 444,297 1200 Overtime 0 1400 Employer Contributions 109,030 1800 Conferences 7,597 2110 Travel 27,121 2115 Bus Dev & City Promo 16,917 2131 Cellular Phones 6,183 2140 Telephones 1,212 2210 Advertising 0 2211 Trade Shows, Exhib & Displayi 0 2220 Subscription & Publications 710 2340 Seminars & Education 4,172 2370 Insurance Premium 2,702 2392 Consulting & Professional 55,867 2394 Recpt, Prom & Sp Events 13,710 2395 Memberships 3,065 2399 Outside Agency Serv 0 2479 Software/Hardware Maintenanc 0 5300 Stationery & Office Supplies 1,787 5900 Gas, Oil Tires 0 Total Expenditures 694,370 Revenues 9965 Cost Recoveries 0 9985 Marketing Sponsorships 0 Total Revenues 0 Transfers to/from Reserves & R.F. 1910 Transfer to/(from) Reserve 0 Total Transfers 0 Net 694,370 City of Pickering 2020 Current Budget Approved Final 2019 2019 YTD Approved Actuals Budget 574,383 559,918 0 750 136,898 140,925 11,231 6,500 37,391 28,000 19,231 20,000 7,603 7,400 824 1,184 12,129 10,000 11,022 14,500 794 775 5,186 5,000 2,702 2,702 123,687 75,000 91,702 103,000 4,634 4,510 22,050 22,350 485 1,493 3,740 2,500 429 1,000 1,066,121 1,007,507 (37,699) (50,000) (84,916) (75,000) (122,615) (125,000) 0 0 0 0 943,506 882,507 94 Run Date: 6/10/20 1:35 PM 2020 INC./DEC. Approved % CHGE. Budget 2019 407,665 967,583 72.81% 0 750 0.00% 81,217 222,142 57.63% 2,000 8,500 30.77% 6,000 34,000 21.43% 0 20,000 0.00% 0 7,400 0.00% 931 2,115 78.63% 5,000 15,000 50.00% 2,500 17,000 17.24% 0 775 0.00% 0 5,000 0.00% 48 2,750 1.78% 50,000 125,000 66.67% 0 103,000 0.00% 3,010 7,520 66.74% 0 22,350 0.00% 0 1,493 0.00% 0 2,500 0.00% 0 1,000 0.00% 558,371 1,565,878 55.42% (130,000) (180,000) 260.00% 0 (75,000) 0.00% (130,000) (255,000) 104.00% (268,295) (268,295) 0.00% (268,295) (268,295) 0.00% 160,076 1,042,583 18.14% City of Pickering 2020 Approved Background Information 2121 Office of the CAO -Adm in Expenditures 2121.1100.0000 Salaries & Wages Base Salaries and Wages One full time Project Manager -Northeast Pickering contract position (100% funded by third party) One full time Construction Manager -Strategic Projects (Civic Centre Vision, etc .) contract position (funded by Casino Reserve) One full time Economic Development & Strategic Projects Associate contract position -(funded from the Rate Stabilization Reserve) -start date January 1, 2020 Total 2121.1100.0000 Salaries & Wages 2121 .1200.0000 Overtime To meet service level/workload commitments Total 2121.1200.0000 Overtime 2121.1400.0000 Employer Contributions This item includes mandatory deductions (CPP, El, EHT) and employer provided benefits such as extended health and dental Benefits related to one full time Project Manager -Northeast Pickering contract position -start date April 1, 2020 (funded by third party) Benefits related to one full time Construction Manager -Strategic Projects contract position (funded by Casino Reserve) Benefits related to one full time Economic Development & Strategic Projects Associate contract position ..:. (funded from the Rate Stabilization Reserve) Total 2121.1400.0000 Employer Contributions 2121.1800.0000 Conferences Economic Development & Strategic Projects related conference Total 2121.1800.0000 Conferences 2121.2110.0000 Travel Car allowance -$1,000 per month -CAO Mileage for staff associated with CAO Office Airfare & Train for Trade Shows, Conferences & Business Missions Total 2121.2110.0000 Travel 2121 .2115 .0000 Business Development Business Development Total 2121.2115.0000 Business Development 2121.2131.0000 Cellular Phones Annual Smartphone Charges -CAO Annual Smartphone Charges -Director, Econ . Dev. & Strategic Projects · 95 Run Date: 6/10/20 1 :38 PM 2020 Bud et 626,883 150,000 124,200 66 ,500 967,583 750 750 164,547 30,000 20,945 6,650 222,142 8,500 .8,500 12,000 7,000 15 ,000 34,000 20 ,000 20,000 2,000 2,000 City of Pickering 2020 Approved Background Information 2121 Office of the CAO -Admin Annual Smartphone Charges -Senior Econ. Dev. Officer Annual Smartphone Charges -Supervisor, Administrative Services Annual Tablet charges -CAO Annual Mobile Internet Charges -CAO Total 2121.2131.0000 Cellular Phones 2121 .2140 .0000 Telephones Voice/ Data Internet Total 2121.2140.0000 Telephones 2121 .2210.0000 Advertising Economic Development Promotional Advertising Total 2121.2210.0000 Advertising 2121 .2211.0000 Tr Shows, Exhib &Displays Exhibit & Trade Shows (displays, rentals & exhibit materials) Municipal/Regional Economic Development Partnership (t rade shows, displays, advertising) City Centre Street Banners & Hardware Total 2121.2211.0000 Tr Shows, Exhib &Displays 2121 .2220.0000 Subscriptions & Publicati Reference materials, journals and reports Total 2121.2220.0000 Subscriptions & Publicati 2121 .2340.0000 Seminars & Education Educational Assistance -Office of the CAO · Total 2121.2340.0000 Seminars & Education 2121 .2370.0000 Insurance Premium • Annual cost of insurance policy that provides protection for munlcipal activities and property. (Policy coverage includes : liability, automobile and property). Total 2121.2370 .0000 Insurance Premium 2121.2392 .0000 Consulting & Professional Consulting -Economic Development & Strategic Projects Consulting for communication assignments related to corporate/strategic projects . Total 2121.2392.0000 Consulting & Professional 2121 .2394 .0000 Recpt,Prom : & Sp.Ev.,Gen General Public Relations City of Pickering Promotional Items (corporate merchandise) and City Pins City Business Events City Sponsorship for Events (e,g , Board of Trade events) 96 Run Date: 6/10/20 1 :38 PM 2020 Bud et 1,500 800 500 600 7,400 1,870 245 2,115 15,000 15,000 5,000 7 ,000 5 ,000 17,000 775 775 5,000 5,000 2,750 2,750 75,000 50,000 125,000 10,000 5,000 4,000 9,000 City of Pickering 2020 Approved Background Information 2121 Office of the CAO -Admin Business Engagement Event. Event expenses include staging and sound , entertainment, catering and rentals, promotions , displays , etc. Total 2121.2394.0000 Recpt,Prom. & Sp.Ev.,Gen 2121 .2395.0000 Memberships Ajax-Pickering Board of Trade Toronto Region Board of Trade Professional Engineers (PEO) -CAO Municipal Engineers Association (MEA) -CAO Ont. Municipal Mgmt. Institute (OMMI) -Supervisor, Administrative Services Economic Development Council Project Management Institute International Economic Development Council Economic Developers Assoc. of Cda . (EDAC) Membership Ontario Aerospace Council Total 2121.2395.0000 Memberships 2121.2399.0000 Outside Agency Services Economic Development Writing Services (including translation services) Graphics Support Printing of Marketing Materials Commercial Real Estate Information Region Business Count Data (TGT Solutions) Total 2121.2399.0000 Outside Agency Services 2121.2479.0000 Sfwr/Hdwr Maint Contracts Maintenance -HRIS Total 2121.2479.0000 Sfwr/Hdwr Maint Contracts 2121.5300.0000 Stationery & Office Suppl General office supplies Total 2121 .5300.0000 Stationery & Office Suppl 2121.5900 .0000 Gas, Oil , Tires Etc. Fuel and oil changes for corporate sponsored vehicle Total Expenses Revenues Total 2121 .5900.0000 Gas, Oil , Tires Etc. 2121 .9965 .0000 Cost Recoveries Funded from Developers (100%) -One full time Project Manager -Northeast Pickering contract position Total 2121.9965.0000 Cost Recoveries 97 Run Date: 6/10/20 1 :38 PM 2020 Bud et 75 ,000 103,000 1,400 2 ,500 250 100 145 700 250 1,075 600 500 7,520 2 ,500 7,500 6,000 5,700 650 22,350 1,493 1,493 2,500 2,500 1,000 1,000 1,565,878 (180,000) (180 ,000) City of Pickering 2020 Approved Background Information 2121 Office of the CAO -Adm in 2121 .9985.0000 Marketing Sponsors Office of the CAO Marketing Sponsorships (Taxable) Total Revenues Transfers Total 2121.9985.0000 Marketing Sponsors 1910.7021.2121 Frm Rate Stab -CAO Rate Stabilization Res. funding for one.full time Economic Development & Strategic Projects Associate contract position Rate Stabilization Res . funding for communication assignments related to corporate/strategic projects Total 1910.7021.2121 Frm Rate Stab -CAO 1910.7068.2121 Trsf Casino R -CAO Office Funding from Casino Reserve for one full time -Construction Manager -Strategic Projects contract position Total Transfers Net Expenses Total 1910.7068.2121 Trsf Casino R -CAO Office 98 Run Date: 6/10/20 1:38 PM 2020 Bud et (75,000) (75 ,000) (255,000) (73,150) (50 ,000) (123 ,150) (145 ,145) (145,145) (268,295) 1,042,583 2129 Customer Care Centre 2018 Actuals Expenditures 1100 Salaries & Wages 353,272 1200 Overtime 145 1400 Employer Contributions 116,466 1800 Conferences 661 2110 Travel 95 2131 Cellular Phones 349 2140 Telephones 16,561 2340 Seminars & Education 0 2370 Insurance Premium 2,533 2394 Recpt, Prom & Sp Events 301 2395 Memberships 399 2479 Software/Hardware Maintenanc 0 5300 Stationery & Office Supplies 346 5320 Program Supplies 11,342 Total Expenditures 502,470 Revenues 9990 Other Revenue (14,659) Total Revenues (14,659) Transfers to/from Reserves & R.F. Total Transfers 0 Net 487,811 City of Pickering 2020 Current Budget Approved Final 2019 2019 YTD Approved Actuals Budget 308,373 304,098 0 1,000 97,193 82,190 1,140 1,500 717 800 619 800 19,576 16,527 0 500 2,533 2,533 41 750 399 495 0 811 267 600 11,566 15,700 442,424 428,304 (11,540) (15,000) (11,540) (15,000) 0 0 430,884 413,304 99 Run Date: 6/10/20 1:35 PM 2020 INC./DEC. Approved % CHGE. Budget 2019 7,243 311,341 2.38% 0 1,000 0.00% 14,593 96,783 17.76% 0 1,500 0.00% 0 800 0.00% 0 800 0.00% 5,573 22,100 33.72% 0 500 0.00% 47 2,580 1.86% 0 750 0.00% 0 495 0.00% 0 811 0.00% 0 600 0.00% 0 15,700 0.00% 27,456 455,760 6.41% 0 (15,000) 0.00% 0 (15,000) 0.00% 0 0 0.00% 27,456 440,760 6.64% 2129 Customer Care Centre Expenditures 2129 .1100. 0000 Salaries & Wages Base Salaries and Wages City of Pickering 2020 Approved Background Information Total 2129.1100.0000 Salaries & Wages 2129.1200.0000 Overtime To meet service level/workload commitments Total 2129.1200.0000 Overtime 2129.1400 .0000 Employer Contributions This item includes mandatory deductions (CPP, El, EHT) and employer provided benefits such as extended health and dental Total 2129.1400.0000 Employer Contributions 2129.1800.0000 Conferences Service Delivery Officials Conference -Manager, Customer Care Total 2129.1800.0000 Conferences 2129.2110.0000 Travel Parking & mileage Total 2129.2110.0000 Travel 2129.2131.0000 Cellular Phones Smartphone -Manager, Customer Care Total 2129.2131.0000 Cellular Phones 2129 .2140.0000 Telephones Run Date: 6/10/20 1 :38 PM 2020 Bud et 311,341 311,341 1,000 1,000 96,783 96,783 1,500 1,500 800 800 800 800 Voice/ Data 3,605 Internet 245 Accu-Tell after hours answering service (Operations, Animal Services , By-law & Customer Care) Total 2129.2140.0000 Telephones 2129 .2340.0000 Seminars & Education Management Course -(1) Customer Care Rep. ii Total 2129.2340.0000 Seminars & Education 2129.2370 .0000 Insurance Premium Annual cost of insurance policy that provides protection for municipal activities and property. (Policy coverage includes: liability, automobile and property). Total 2129.2370.0000 Insurance Premium 2129 .2394.0000 Recpt,Prom . & Sp.Ev.,Gen To cover various promotional items Total 2129.2394.0000 Recpt,Prom. & Sp.Ev.,Gen 2129 .2395.0000 Memberships Ont. Municipal Mgmt. Institute (OMMI) -Manager, Customer Care 100 18,250 22,100 500 500 2,580 2,580 750 750 145 City of Pickering 2020 Approved Background Information 2129 Customer Care Centre Municipal Service Delivery Officials (MSDO) Total 2129.2395.0000 Memberships 2129.2479.0000 Sfwr/Hdwr Maint Contracts Maintenance -HRIS -new Total 2129.2479.0000 Sfwr/Hdwr Maint Contracts 2129 .5300.0000 Stationery & Office Suppl General office supplies. Total 2129.5300.0000 Stationery & Office Suppl 2129.5320.0001 Program Supplies To cover training supplies Total 2129.5320.0001 Program Supplies · 2129.5320 .0002 Garbage Tags Garbage Bag Tag purchases (approx. 6,000 tags purchased each year at $2 .50 a tag) (expense is offset by revenue from the program) Total Expenses Revenues Total 2129.5320.0002 Garbage Tags 2129 .9990.0000 Miscellaneous Revenue Garbage Bag Tag Sales Total Revenues Total Transfers Net Expenses Total 2129.9990.0000 Miscellaneous Revenue 101 Run Date: 6/10/20 1 :38 PM 2020 Bud et 350 495 811 811 600 600 700 700 15,000 15,000 455,760 (15,000) (15,000) (15,000) 0 440,760 2621 Public Affairs & Corp. Comm. 2018 Actuals Expenditures 1100 Salaries & Wages 512,726 1200 Overtime 0 1400 Employer Contributions 123,137 1800 Conferences 2,294 2110 Travel 5,905 2115 Bus Dev & City Promo 4,026 2131 Cellular Phones 3,651 2140 Telephones' 2,569 2210 Advertising 8,904 2211 Trade Shows, Exhib & Displayt 10,632 2220 Subscription & Publications 1,317 2340 Seminars & Education 946 2365 Purch Prnting/Broch/News Ltr 5,012 2370 Insurance Premium 3,359 2392 Consulting & Professional 41,333 2394 Recpt, Prom & Sp Events 64,505 2395 Memberships 1,849 2396 Photo, Mapping, Printing 3,666 2399 Outside Agency Serv 17,824 2479 Software/Hardware Maintenanc b 5300 Stationery & Office Supplies 516 5530 Utilities -Hydro 0 6100 Website Support Intranet 3.3,517 Total Expenditures 847,688 Revenues 9940 Advertising 0 9980 Sponsorships No Tax (36,000) 1511 Film Permits (11,250) Total Revenues (47,250) Transfers to/from Reserves & R.F. 1910 Transfer to/(from) Reserve 0 Total Transfers 0 Net 800,438 City of Pickering 2020 Current Budget Approved Final 2019 2019 YTD Approved Actuals Budget 358,613 375,476 422 500 92,227 83,973 1,706 4,000 1,501 5,750 1,114 3,000 2,354 2,600 1,302 2,034 8,425 10,000 0 0 1,197 2,920 584 1,000 4,095 6,000 3,359 3,359 92,449 100,832 10,856 13,000 339 350 5,665 6,000 1,393 65,500 1,673 7,002 259 1,000 988 4,800 36,595 39,615 627,116 738,711 0 (40,000) 0 0 (12,250) 0 (12,250) (40,000) 0 (69,050) 0 (69,050) 614,866 629,661 102 Run Date: 6/10/20 1:35 PM 2020 INC./DEC. Approved % CHGE. Budget 2019 (11,719) 363,757 (3.12%) 0 500 0.00% (12,568) 71,405 (14.97%) 0 4,000 0.00% 0 5,750 0.00% 0 3,000 0.00% 800 3,400 30.77% (624) 1,410 (30.68%) 0 10,000 0.00% 0 0 0.00% 0 2,920 0.00% 0 1,000 0.00% 0 6,000 0.00% 61 3,420 1.82% (32,232) 68,600 (31.97%) 0 13,000 0.00% 0 350 0.00% 0 6,000 0.00% 0 65,500 0.00% 0 7,002 0.00% 0 1,000 0.00% (1,500) 3,300 (31.25%) 3,000 42,615 7.57% (54,782) 683,929 (7.42%) (10,000) (50,000) 25.00% 0 0 0.00% 0 0 0.00% (10,000) (50,000) 25.00% (55,780) (124,830) . 80.78% (55,780) (124,830) 80.78% (120,562) 509,099 (19.15%) City of Pickering 2020 Approved Background Information 2621 Public Affairs & Corp . Comm . Total 2621.2131.0000 Cellular Phones 2621 .2140 .0000 Telephones Run Date: 6/10/20 1:38 PM 2020 Bud et 3,400 Vo ice/ Data 1,245 Internet 165 Total 2621.2140.0000 Telephones 2621.2210.0000 Advertising Special City Advertising Total 2621.2210.0000 Advertising 2621 .2220 .0000 Subscriptions & Publicati Journals and Reports Novae Res Urbis Meltwater Media Monitoring Globe & Mail Toronto Star Total 2621.2220.0000 Subscriptions & Publicati 2621 .2340 .0000 Seminars & Education Topical Seminar & Educational Assistance -Coord. Corp . Comm. & Comm. Engagement Total 2621.2340.0000 Seminars & Education 2621 .2365.0000 Purch . Pr/Broch./Newsltr Brochures/Promotional & Marketing .initiatives Total 2621.2365.0000 Purch. Pr/Broch./Newsltr 2621.2370 .0000 Insurance premium Annual cost of insurance policy that provides protection for municipal activities and property (Policy coverage includes: liability, automobile and property) Total 2621.2370.0000 Insurance premium 2621.2392 .0000 Consulting & Professional Consulting for Business Development (marketing strategies , promo videos) and Community Engagement (facilitation for special initiatives , promo videos ; PSAs Pickering 101, training) Corporate sponsorship contract Film Industry Consultant Pickering 101 on line learning module::; Accessibility Compliance Audit Total 2621.2392.0000 Consulting & Professional 2621 .2394 .0000 Recpt,Prom . & Sp .Ev ., Gen Your City Event, Community Engagement Promotion General Public Relations 104 1,410 10,000 10,000 250 470 1,200 550 450 2,920 1,000 .1,000 6,000 6,000 3,420 3,420 15,000 6,500 30,000 7,100 10,000 68,600 8,000 5 ,000 City of Pickering 2020 Approved Background Information 2621 Public Affairs & Corp. Comm. Total 2621.2394.0000 Recpt,Prom. & Sp.Ev., Gen 2621 .2395.0000 Memberships International Assoc. of Business Communicators (IABC) -Coord ., Corp . Comm . & Comm. Engagement Total 2621.2395.0000 Memberships 2621 .2396.0000 Photo,Mapping,Printing To cover professional services for photo enlargements, map and printing reproductions Photography services for City's promotional publications & oblique aerials Various outreach/promotional pieces -Communications Total 2621.2396.0000 Photo,Mapping,Printing 2621.2399.0000 Outside Agency Services Graphics Support Community Partnerships expenses such as promotional materials and advertisements Publication of magazine _dedicated to Pickering ( offset by advertising revenues) Total 2621.2399.0000 Outside Agency Services 2621.2479.0000 Sfwr/Hdwr Maint Contracts General Enhancements Maintenance -Pingstreet City Mobile Application Maintenance -HRIS Total 2621.2479.0000 Sfwr/Hdwr Maint Contracts 2621.5300.0000 Office Supplies General Office Supplies Total 2621.5300.0000 Office Supplies 2621 .5530.0000 Utilities -Hydro Hydro costs for Digital Sign Program (4 LED Lights) Total 2621.5530.0000 Utilities -Hydro 2621.6100.0000 Website Support Security Certificate Annual Hosting Technical Support eNewsletter Module (annual) eCommerce Application Suite (annual licensing fee) iCreate License Fee Chat (5 licenses for Customer Care) Domain Names Registration Website enhancements -includes online service tool 105 Run Date: 6/10/20 1:38 PM 2020 Bud et 13,000 350 350 500 4,500 1,000 6,000 7,500 8,000 50,000 65,500 3,000 3,000 1,002 7,002 1,000 1,000 3,300 3,300 925 3,100 2,500 1,850 3,050 2,500 250 600 20,000 City of Pickering 2020 Approved Background Information 2621 Public Affairs & Corp. Comm. Cludo Site Search Payment Gateway License (eStore) Demographic Data Set (annual fee) Customized Economic Development Report Tool (annual fee) Pingstreet license (annual fee) Total Expenses Revenues Total 2621.6100.0000 Website Support 2621 .9940.0000 Advertising Space Advertising revenue from publication of magazine dedicated to Pickering Total 2621.9940.0000 Advertising Space Total Revenues Transfers 1910.7021.2621 Frm Rate Stab -Econ Dev Rate Stabilization Res . funding for one contract full time Coordinator, Communications -Digital Media position, including statutory benefits . Rate Stabilization Res. funding for one contract full time Public Affairs & Communications Assistant position, including statutory benefits. Total Transfers Net Expenses Total 1910.7021.2621 Frm Rate Stab-Econ Dev 106 Run Date: 6/10/20 1:38 PM 2020 Bud et 350 850 1,800 1,840 3,000 42,615 683,929 (50 ,000) (50,000) (50,000) (70,080) (54,750) (124,830) (124,830) 509,099 -C~o/- p](J(ERJNG The Corporation of the City of Pickering City Development Department Director, City Development & CBO Supervisor, City Development . ·Administration (1-NUFT) I r Administrative Assistant, City Development (1:.NUFT) I r Clerk , Support Services · (2-UFT ) '- ... I 1 Plann ing Division Authorized by: (Chart-No . 3a) Director's Office Employee Complement · 3 Non-Union FT 0 Non-Union PT 2 Union FT 0 Ur-lion PT u Chief Administrative Officer " " ,) (1-NUFT) I Building Services (Chart No. 3b) ·Planning-Division Employee Complement 10 Nori-Union FT 0 Non-Union PT 13 Union FT 0 Union PT · January 1 , 2020 _,) , ,) Building Services Employee Complement 3 Non-Union FT 0 Non-Union PT 14 Union FT O Union PT Employee Complement 17 0 32 1 Non-Union Full-Time (NUFT) Non-Union Part-Time (NUPT) _ Union Full-Time (UFT) Union Part-Time Term (UPTT) I Sustainab il ity (Chart No . 3c) Sustainability Employee Complement 1 Non-Union FT . O . Non-Union PT 3 Union FT 1 Union .PT Term . Chart No. 3 -C14 u/-· - PlCl<ERlNG _., 0 co Authorized by: - >-- - >-- ~[. -{ -{ ( The Corporation of the City of Pickering City Development Department Planning_ Division [ Director, _City Development & CBO · l Chief Planner (1-NUFT) I Manager, Development Manager, Policy &. Principal Planne r, Review & Urban Design Geomatics '--Strategic Initiatives (1-NUFT)_ (1-NUFT) (1-N UFT) Principal Planner-Principal Planner-Policy Senio r Coordinator, De v elopment Review (2-NUFT) ,_ Development Liaison (1~NUFT) (1 -NUFT) . . .. Princip al Planner,. Planner I · Site Planning (1-UFT) '--- (1-N UFT) Senior Planner . Coordinator, Geomatics (1-UFT) (1-UFT) . '- Planner II, Heritage Senior Geomatics (1-UFT) · 1 Analyst - (1 -UFT) Planner II-Site Planning (1 -UFT) Geomatics Analyst (1-UFT) - Planner 11· . l (2-UFT) Planner I J (2-UFT) u Chief Administrative Officer January 1, 2020 Employee Complement 10 Non-Union 'Full-Time (NUFT) O Non-Union Part-Time (NUPT) 13 Union Full-Time (UFT) - ,-.. rt-Time (UPT) I er, Zoning & inistration (1-NUFT) ~ rr g Examiners . (2-UFT) [: Chart No. 3 (a) -'---C~o/- p](KERJNG ...... ...... 0 Authorized by: ~ · Chief Administrative Officer The Corporation of the City of Pickering City Developrnent Department Sustainability [ Director, City Development & CBO l I Supervisor, Sustainability · (1-NUFT) I Senior Planner, Sustainability (1-UFT) l .Energy Conservation Engineer (1-UFT) I . Coordinator, Environmental Engagement (1-UFT) I Assistant, Sastainability · · (1-UPTT) '- January 1, 2020 Employee C_omplement 1 Non-Union Full-Time (NUFT) O Non-Union Part-Time (NUPT) 3 Union Full-Time (UFT) 1 Union Part-Time Term (UPTT) ,, Chart No. 3 (c) City Development Department 2018 Actuals Expenditures 1100 Salaries & Wages 3,639,839 1200 Overtime 20,508 1400 Employer Contributions 948,525 1800 Conferences 9,981 1900 Uniforms 3,380 2110 Travel 32,751 2131 Cellular Phones 10,182 2140 Telephones 17,398 2210 Advertising 10,719 2211 Trade Shows, Exhib & Display~ 3,967 2220 Subscription & Publications 6,954 2340 Seminars & Education 35,082 2365 Purch Prnting/Broch/News Ur 0 2370 Insurance Premium 26,122 2371 Ins. Deductible 3,426 2392 Consulting & Professional 393,451 2394 Recpt, Prom & Sp Events 13,289 2395 Memberships 23,928 2396 Photo, Mapping, Printing 22,602 2399 Outside Agency Serv 12,752 2457 Veh -Repairs & Maintenance 580 2479 Software/Hardware Maintenanc 126,627 2635 Building Rentals 0 2678 Rental Misc Equip 9,845 5300 Stationery & Office Supplies 20,473 5302 Forms 997 5320 Program Supplies 136,700 5400 Gift Shop Plaques 0 5900 Gas, Oil Tires 809 5902 Supplies & Tools 163 5975 Hardware Replacements 0 Total Expenditures 5,531,050 Revenues 1460 Sale of Serv -Plan Admin (973) 1461 Sale of Serv-Plan Appl (972,770) 1517 Licenses & Permits (4,822,959) 1592 Donations 0 1623 Ont. Specific Grants (1,745) City of Pickering 2020 Current Budget Approved Final 2019 2019 YTD Approved Actuals Budget 4,007,956 4,390,603 5,575 17,750 1,016,052 1,157,394 15,831 21,525 1,582 4,400 33,153 32,420 8,34& 16,900 13,934 20,869 7,653 12,000 1,733 4,250 8,274 7,900 30,286 42,225 397 5,000 26,122 26,122 0 2,000 501,114 1,036,825 18,307 24,000 28,044 29,800 700 28,950 12,656 17,000 855 2,000 132,441 160,592 0 300 9,845 9,850 20,292 25,650 1,130 3,000 153,603 178,000 0 2,500 66 2,000 723 1,800 0 6,000 6,056,672 7,289,625 (1,352) (2,000) (1,275,325) (980,000) (3,101,416) (2,395,000) 0 (1,500) 0 0 1 1 1 Run Date: 6/10/20 2:04 PM 2020 INC./DEC. Approved % CHGE. Budget 2019 187,967 4,578,570 4.28% (4,000) 13,750 (22.54%) 27,669 1,185,063 2.39% (700) 20,825 (3.25%) 500 4,900 11.36% 0 32,420 0.00% (4,900) 12,000 (28.99%) (1,459) 19,410 (6.99%) (1,500) 10,500 (12.50%) (250) 4,000 (5.88%) 0 7,900 0.00% 555 42,780 1.31% 0 5,000 0.00% 468 26,590 1.79% 0 2,000 . 0.00% (161,786) 875,039 (15.60%) (350) 23,650 (1.46%) 5,280 35,080 17.72% (24,700) 4,250 (85.32%) (1,000) 16,000 (5.88%) 0 2,000 0.00% (27,500) 133,092 (17.12%) 0 300 0.00% 300 10,150 3.05% 0 25,650 0.00% 0 3,000 0.00% (7,275) 170,725 (4.09%) 0 2,500 0.00% (1,000) 1,000 (50.00%) 500 2,300 27.78% 0 6,000 0.00% (13,181) 7,276,444 (0.18%) 0 (2,000) 0.00% (45,000) (1,025,000) 4.59% (615,000) (3,010,000) 25.68% 0 (1,500) 0.00% 0 0 0.00% City Development Department 2018 Actuals 9990 Other Revenue (69,102) 9950 EventVendorFees (24,920) 9965 Cost Recoveries (34,617) 9980 Sponsorships·No Tax (15,400) 9985 Marketing Sponsorships (900) 9990 Misc Income (1,415) 1511 Film Permits 0 9993 0th Rev -Rebates/Incentive (290,057) 1530 Rntl -CCC Roof Solar Panel (6,000) Total Revenues (6,240,858) Transfers to/from Reserves & R.F. 1910 Transfer to/(from) Reserve (173,983) 1911 Trans. to/(from) Continuing Stu (44,260) 1920 Transfer to/(from) Reserve Fun 1,930,071 Total Transfers 1,711,!!28 Net 1,002,020 City of Pickering 2020 Current Budget Approved Final 2019 2019 YTD Approved Actuals Budget (29,516) (25,000) (22,883) (25,000) (28,746) (110,000) 0 (9,000) 0 (1,000) (5,375) (4,000) 0 (5,000) (250) (60,000) (6,000) (6,000) (4,470,863) (3,623,500) 0 (275,965) (280,006) (295,105) (158,677) (189,255) (438,683) (760,325) 1,147,126 2,905,800 11 2 Run Date: 6/10/20 2:04 PM 2020 INC.IDEC. Approved % CHGE. Budget 2019 (10,000) (35,000) 40.00% 0 (25,000) 0.00% (171,965) (281,965) 156.33% 4,000 (5,000) (44.44%) 0 (1,000) 0.00% 0 (4,000) 0.00% (2,500) (7,500) 50.00% 20,000 (40,000) (33.33%) 0 (6,000) 0.00% (820,465) (4,443,965) 22.64% 42,125 (233,840) (15.26%) 150,681 (144,424) (51.06%) 94,445 (94,810) (49.90%) 287,251 (473,074) (37.78%) (546,395) 2,359,405 (18.80%) 2610 City Development -Admin 2018 Actuals Expenditures 1100 Salaries & Wages 426,424 1200 Overtime 0 1400 Employer Contributions 95,464 1800 Conferences 215 2110 Travel 1,891 2131 Cellular Phones 470 2140 Telephones 3,369 2220 Subscription & Publications 4,807 2340 Seminars & Education 3,585 2370 Insurance Premium 3,052 2394 Recpt, Prom & Sp Events 265 2395 Memberships 224 2479 Software/Hardware Maintenan< 126,627 2678 Rental Misc Equip 9,845 5300 Stationery & Office Supplies 1,204 5902 Supplies & Tools 0 Total Expenditures 677,442 Revenues 1460 Sale of Serv -Plan Admin (973) Total Revenues (973) Transfers to/from Reserves & R.F. Total Transfers 0 Net 676,469 City of Pickering 2020 Current Budget Approved Final 2019 2019 YTD Approved Actuals Budget 468,201 417,638 0 500 114,635 112,962 2,316 1,000 577 500 421 800 1,838 2,751 5,999 3,500 1,107 2,200 3,052 3,052 1,018 500 224 1,200 132,441 150,014 9,845 9,850 1,586 3,000 0 100 743,260 709,567 (1,352) (2,000) (1,352) (2,000) 0 0 741,908 707,567 116 Run Date: 6/10/20 1:35 PM 2020 INC./DEC. Approved % CHGE. Budget 2019 14,282 431,920 3.42% 0 500 0.00% 9,784 122,746 8.66% 0 1,000 0.00% 0 500 0.00% 0 800 0.00% (281) 2,470 (10.21%) 0 3,500 0.00% 300 2,500 13.64% 53 3,105 1.74% 0 500 0.00% (700) 500 (58.33%) (27,500) 122,514 (18.33%) 300 10,150 3.05% 0 3,000 0.00% 0 100 0.00% (3,762) 705,805 (0.53%) 0 (2,000) 0.00% 0 (2,000) 0.00% 0 0 0.00% (3,762) 703,805 (0.53%) 2610 City Development -Admin Expenditures 2610 .1100.0000 Salaries & Wages Base Salaries and Wages City of Pickering 2020 Approved Background Information Total 2610 .1100.0000 Salaries & Wages 2610 .1200.0000 Overtime To meet service level/workload commitments Total 2610.1200.0000 Overtime 2610 .1400 .0000 Employer Contributions This item includes mandatory deductions (CPP, El, EHT) and employer provided benefits such as extended health and dental Total 2610.1400.0000 Employer Contributions 2610.1800.0000 Conferences City Development Related Conference -Director -registration and accommodation Total 2610.1800.0000 Conferences 2610.2110 .0000 Travel Parking & mileage Mileage -Conference Total 2610.2110.0000 Travel 2610.2131 .0000 Cellular Phones Annual Smartphone -Director Total 2610.2131.0000 Cellular Phones 2610 .2140.0000 Telephones Run Date: 6/10/201:38 PM 2020 Bud et 431 ,920 431,920 500 500 122,746 122,746 1,000 1,000 300 200 500 800 800 Voice/ Data 2,180 Internet 290 Total 2610.2140.0000 Telephones 2610.2220 .0000 Subscriptions & Publicati Reference material , standards , regulations and safety legislations Total 2610.2220.0000 Subscriptions & Publicati 2610.2340.0000 Seminars & Education General Education Assistance Total 2610.2340.0000 Seminars & Education 2610 .2370.0000 Insurance Premium Annual cost of insurance policy that provides protection for municipal activities and property. (Policy coverage includes : liability, automobile and property) Total 2610.2370 .0000 Insurance Premium 2610.2394 .0000 Recpt,Prom . & Sp .Ev.,Gen Refreshments for public planning meetings/workshops and promotional situations - lunches & consultant workshops 117 2,470 3,500 3 ,500 2 ,500 2,500 3,105 3 ,105 500 2610 City Development -Admin City of Pickering 2020 Approved Background Information Total 2610.2394.0000 Recpt,Prom. & Sp.Ev.,Gen 2610 .2395 .0000 Membe rships Urban Land Institute -Director -Associate Membership Professional Engineers Ontario, Director Total 2610.2395.0000 Memberships 2610 .2479 .0000 Sfwr/Hdwr Maint Contracts Maintenance -AMANDA Property Ma intenance -ESRI and Geocortex Maintenance -Adobe Creative Suite Maintenance -HRIS Total 2610.2479.0000 Sfwr/Hdwr Maint Contracts 2610 .2678 .0000 Misc. Equip. Rental Licence agreement with _Durham Region for Teranet land parcel information and Registered Plans (Year 1 of 5) Total 2610.2678.0000 Misc. Equip. Rental 2610.5300 .0000 Stationery & Office Suppl General office supplies Total2610.5300.0000 Stationery & Office Suppl . 2610 .5902 .0000 Supplies & Tools Small office equipment Total 2610.5902.0000 Supplies & Tools Total Expenses Revenues 1460 .0000 .0000 SALE OF SERV -PLAN ADMIN Sale of Services -maps and other planning documents Total Revenues Total Transfers · Net Expenses Total 1460.0000.0000 SALE OF SERV -PLAN ADMIN 118 Run Date: 6/10/20 1:38 PM 2020 Bud et 500 240 260 500 47,000 73,000 1,400 1 ,114 122 ,514 10,150 10,150 3 ,000 3 ,000 100 100 705,805 (2,000) (2,000) (2,000) 0 703,805 2611 Planning & Design I 2018 Actuals Expenditures 1100 Salaries & Wages 1,576,037 1200 Overtime 4,356 1400 Employer Contributions 432,596 1800 Conferences 1,127 1900 Uniforms 938 2110 Travel 2,816 2131 Cellular Phones 1,764 2140 Telephones 6,672 2210 Advertising 0 2340 Seminars & Education 4,790 2370 Insurance Premium 12,920 2371 Ins. Deductible 0 2392 Consulting & Professional 292,664 2394 Recpt, Prom & Sp Events 662 2395 Memberships 9,570 2396 Photo, Mapping, Printing 5,122 2479 Software/Hardware Maintenanc 0 2635 Building Rentals 0 5300 Stationery & Office Supplies 11,581 5902 Supplies & Tools 0 Total Expenditures 2,363,615 Revenues 1461 Sale of Serv -Plan Appl (972,770) 9965 Cost Recoveries (34,617) 1511 Film Permits 0 Total Revenues (1,007,387) Transfers to/from Reserves & R.F. 1910 Transfer to/(from) Reserve (173,983) 1911 Trans. to/(from) Continuing Stu (44,260) 1920 Transferto/(from) Reserve Fun (114,614) Total Transfers (332,857) Net 1,023,371 - City of Pickering 2020 Current Budget Approved Final 2019 2019 YTD Approved Actuals Budget 1,703,917 1,889,944 2,734 6,250 429,238 499,487 3,494 6,500 249 600 5,427 3,450 1,465 3,200 5,260 7,867 0 1,000 2,851 5,400 12,920 12,920 0 1,000 255,236 752,075 514 850 10,493 12,110 0 7,700 0 5,041 0 300 11,007 13,000 1 200 2,444,806 3,228,894 (1,275,325) (980,000) (28,746) (50,000) 0 (5,000) (1,304,071) (1,035,000) 0 (275,965) (131,258) (146,355) (116,784) (196,255) (248,042) {618,575) 892,693 1,575,319 11 9 Run Date: 6/10/20 1 :35 PM 2020 INC./DEC. Approved % CHGE. Budget 2019 76,982 1,966,926 4.07% (1,000) 5,250 (16.00%) 6,371 505,858 1.28% 0 6,500 0.00% 0 600 0.00% 0 3,450 0.00% 0 3,200 0.00% (457) 7,410 (5.81 %) 0 1,000 0.00% 0 5,400 0.00% 230 13,150 1.78% 0 1,000 0.00% (148,616) 603,459 (19.76%) 0 850 0.00% 4,770 16,880 39.39% (4,700) 3,000 (61.04%) 0 5,041 0.00% 0 300 0.00% 0 13,000 0.00% 0 200 0.00% (66,420) 3,162,474 (2.06%) (45,000) (1,025,000) 4.59% (12,385) (62,385) 24.77% (2,500) (7,500) 50.00% (59,885) {1,094,885) 5.79% 42,125 (233,840) (15.26%) 1,_931 (144,424) (1.32%) 74,445 (121,810) (37.93%) 118,501 {500,074) (19.16%) (7,804) 1,567,515 (0.50%) City Development Department -Planning & Design -Cost Centre 2611 Funding Source for 2020 Consulting & Professional 2611.2392.0000 Consulting & Professional Project Professional!fechnical Assistance (General/Urban Design/Heritage) Statscan 2019 -Custom Data Project Infill & Replacement Housing in Established Neighbourhoods 45% DC Funded and 55% funded from Continuing Studies Reserve Comprehensive Zoning By-law Update -Multi-year Project 67.5% DC Funded 2611.2392.0001 Consulting -Funded from Continuing Studies Res. Infrastructure Ontario Environmental Assessment of Land for Park Purposes at the Southeast corner of Tillings Road & Dersan Street 3D Digital Model of the City Centre Policy & Urban Design Review for Applications OPA 19-002/P, A 5/19 · 2611.2392.0002 Consulting -Funded by Seaton Application Fees Seaton Development, Implementation & Legal Assistance (in response to unknown development issues as they arise related to planning, heritage, economic development, sustainability, broadband infrastructure and LPAT) Infrastructure Ontario Environmental Assessment for Seaton Primary Trails 2611.9965.0000 Other Rev -Cost Recoveries from Developers Urban Design Review Services Peer Review & Heritage Impact Assessment of Liverpool House Redevelopment Peer Review & Heritage Commemorative Plan for Development at the Northwest Corner of Altona Road and Finch Avenue Updated: January 23, 2020 120 Funding Source Property Tax Property Tax 2020 Property Tax Impact Continuing Studies Reserve Development Charges Continuing Studies Reserve Development Charges Continuing Studies Reserve Continuing Studies Reserve Continuing Studies Reserve Seaton Application Fees Seaton Application Fees Developers Developers Developers Cost $50,000.00 1,000.00 $51,000.00 40,700.00 33,300.00 42,615.00 88,508.00 $11,225.00 25,024.00 24,860.00 $150,000.00 83,840.00 $50,000.00 1,675.00 710.00 2611 Planning & Design Expenditures 2611 .1100.0000 Salaries & Wages Base Salaries and Wages City of Pickering 2020 Approved Background Information Total 2611.1100.0000 Salaries & Wages 2611.1200.0000 Overtime LPAT Preparation Priority Projects/Applications Resident Mtgs Council/Planning Committee Meetings/Statutory Public Meetings Heritage Pickering -11 Meetings Secretary-Treasurer-Committee of Adjustment-12 meetings Advisory Committee meetings Total 2611.1200.0000 Overtime 2611 .1400.0000 Employer Contributions This item includes mandatory deductions (CPP , El, EHT) and employer provided benefits such as extended health and dental Total 2611.1400.0000 Employer Contributions 2611.1800. 0000 Conferences Can . Institute of Planners (CIP)/Ont. Professional Planners Institute (OPP!) Conference -(3 Staff) Reg istration and hotel Urban Land Institute/Municipal Affairs Conference/Strategy Institute or similar ESRI User Regional Conference Total 2611.1800.0000 Conferences · 2611.1900 .0000 Uniforms As per the Collective Agreement Total 2611.1900.0000 Uniforms 2611.2110.0000 Travel Parking & Mileage OPP! or Similar Conference Total 2611.2110.0000 Travel 2611 .2131 . 0000 Cellular Phones Annual Smartphone Charges or Reimbursements -Chief Planner & Mgr. Dev Review & Urban. Design, Mgr. Policy & Geomatics, & Senior Coordinator, Development Liaison Total 2611.2131.0000 Cellular Phones 2611.2140 .0000 Telephones Run Date: 6/10/20 1:38 PM 2020 Bud et 1,966,926 1,966,926 1,000 1,000 1,000 750 750 500 250 5,250 505,858 505 ,858 2,900 3,000 600 6,500 ,600 600 3,000 450 3,450 3 ,200 3,200 Voice/ Data 6,545 Internet 865 1 21 City of Pickering 2020 Approved Background Information 2611 Planning & Design Total 2611.2140.0000 Telephones · 2611.2210 .0000 Advertising Public meetings regarding various studies and notification of City-initiated zonings & official plans; RFP notices Total 2611 .2210.0000 Advertising 2611 .2340 .0000 Seminars & Education Planner Progression -Education/Training Manager/Planner Training Canadian Green Building Council & LEED Training Durham Region Planners Seminars & Workshops Geocortex Training Planning & Design Sem i nars Total 2611.2340 .0000 Seminars & Education 2611 .2370.0000 Insurance Premium Annual cost of insurance policy that provides protection for municipal activities and property. (Policy coverage includes: liability, automobile and property) Total 2611.2370 .0000 Insurance Premium 2611 .2371 .0000 Insurance Deductible Insurance Deductible Total 2611.2371.0000 Insurance Deductible 2611 .2392.0000 Consulting & Professional Professional/Technical Assistance -General/Urban Design/Heritage Statscan 2019 -Custom Data Project Total 2611.2392.0000 Consulting & Professional 2611.2392.0001 Consulting -Funded from Continuing Studies Res . Cityscapes 30 Model of City Centre (PO# 190706) Freedman Urban Solutions Ltd . (Policy & Urban Design Review for applications 19-001/P, A5/19) (PO# 190781) Infrastructure Ontario Environmental Assessment for Land for Park Purposes at the southeast corner of Tillings Rd. and Dersan St. (PO# 170662) Infill & Replacement Housing in Established Neighbou rhoods (yr 2 of 3) -45% DC funded and 55% funded from Continuing Studies Res . (PO# 180433) Comprehensive Zon ing By-law Update -Multi-year Project (1st Phase: Discussion Papers & Consultation -year 1 of 3) -67 .5% DC funded (PO# 190791) Total 2611.2392.0001 Consulting -Funded from Continuing Studies Res. 2611 .2392.0002 Consulting -Funded by Seaton App Fees 122 Run Date: 6/10/20 1 :38 PM 2020 Bud et 7,410 1,000 1,000 500 1,000 500 500 2 ,400 500 5,400 13,150 13,150 1,000 1,000 50 ,000 1,000 51,000 25,024 24,860 11,225 74 ,000 131,125 266 ,234 City of Pickering 2020 Approved Background Information 2611 Planning & Design Seaton Development, Implementation & Legal Assistance in response to unknown development issues as they arise related to planning, heritage, trail planning, economic development, sustainability, broadband infrastructure and 0MB. Infrastructure Ontario Environmental Assessment for Seaton Primary Trails -100% funded from Seaton App Fees (PO# 180512) Total 2611.2392.0002 Consulting -Funded by Seaton App Fees 2611.2392.0003 Consulting -Funded Developers/Land Owners Urban Design Review Services (funded 100% from Developers) (PO# BL 190771) Peer Review & Heritage Impact Assessment (Liverpool House Redevelopment) (PO# 190482) -100% funded by Developer Peer Review & Heritage Commemorative Plan (Development at Northwest Corner of Altona & Finch) (PO# 190505) -100% funded by Developer Total 2611.2392.0003 Consulting -Funded Developers/Land Owners 2611.2394.0000 Recpt, Prom & Sp.Ev., Gen Refreshments for public planning meetings/workshops and promotional situations - . lunches & consultant workshops OPPI Sponsor Registrations Total 2611.2394.0000 Recpt, Prom & Sp.Ev., Gen 2611 .2395.0000 Memberships Can. Institute of Planners (CIP)/Ont. Professional Planners Institute (OPPI) Full Membership -11 staff OPPI/CIP Provisional Membership -6 staff OPPI/CIP Full Membership for Principal Planner, Strategic Initiatives Ontario Assn . of Ctee of Adj . -3 staff@ $150 each Urban & Regional Info. Systems Assoc. (URISA) Ontario -1 Staff URISA International -1 Staff AMANDA Central User Group Annual Fee Urban Land Institute (Associate Membership) -2 staff Total 2611.2395.0000 Memberships 2611 .2396.0000 Photo,Mapping,Printing Report Reproduction/Specialized Printing Total .2611.2396.0000 Photo,Mapping,Printing 2611.2479.0000 Sfwr/Hdwr Maint Contracts Maintenance Total 2611.2479.0000 Sfwr/Hdwr Maint Contracts 2611.2635.0000 Building Rentals Rental of facilities and payment of security when holding public meetings Total 2611.2635.0000 Building Rentals 123 Run Date: 6/10/20 1:38 PM 2020 Bud et 150,000 83,840 233,840 50,000 1,675 710 52,385 600 250 850 8,800 5,700 700 450 80 300 250 600 16,880 3,000 3,000 5,041 5,041 300 300 City of Pickering 2020 Approved Background Information 2611 Planning & Design 2611 .5300.0000 Stationery & Office Suppl Genera l office supplies & paper/print cartridges Total 2611.5300.0000 Stationery & Office Suppl 2611.5902.0000 Supplies & Tools Small office & drafting equipment Total 2611.5902.0000 Supplies & Tools Total Expenses Revenues 1461 .0000 .0000 SALE OF SERV -PLAN APPL Zoning By-law Amendments Official Plan Amendment Draft Plan of Subdivision/Condominium Site Plan Telecommunications Towers Committee of Adjustment -Variances Land Division Minister's Zoning Order Total 1461.0000.0000 SALE OF SERV -PLAN APPL 1511.2611.0000 LIC & PERMITS-FILM PERMIT Film Permit Fees (public road use) Total 1511 .2611 .0000 LIC & PERMITS-FILM PERMIT 2611.9965 .0000 Other Rev-Cost Recoveries Funded from Developers 100% -Urban Design Review Services Records Management Scanning Fees 100% funded by Developer -Peer Review & Heritage Impact Assessment (Liverpool House Redevelopment) (PO# 190482) 100% funded by Developer -Peer Review & Heritage Commemorative Plan (Development at Northwest Corner of Altona & Finch) (PO# 190505) Total 2611.9965.0000 Other Rev-Cost Recoveries Total Revenues Transfers 1910.7048 .2611 Trsf Seaton Dev R-Planng Funding for Seaton Development, Implementation & Legal Assistance Funding for Infrastructure Ontario Environmental Assessment for Seaton Primary Trails (PO# 180512) 124 Run Date: 6/10/20 1:38 PM 2020 Bud et 13,000 13,000 200 200 3,162,474 (200 ,000) (105,000) (200,000) · (375,000). (10,000) (100 ,000) (30,000) (5 ,000) (1 ,025,000) (7,500) (7,500) . (50 ,000) (10,000) (1,675) (710) (62,385) (1 ,094,885) (150,000) (83 ,840) City of Pickering 2020 Approved Background Information 2611 Planning & Design Total 1910.7048.2611 Trsf Seaton Dev R-Planng 1911.2611.0000 Trsf frm Res-· Planning Continuing Studies Res . Funding (55%) for Infill & Replacement Housing in Established Neighbourhoods (PO# 180433) Continuing Studies Res. Funding (35 .5%) for Comprehensive Zoning By-law Review -Year 1 of 3 Continuing Studies Res. Funding for Cityscapes 3D Model of City Centre (PO# 190706) Continuing Studies Res . Funding for Freedman Urban Solutions Ltd. (Policy & Urban Design Review for applications 19-001/P, A5/19) (PO# 190781) Continuing Studies Res. Funding for Infrastructure Ontario Environmental Assessment for Land for Park Purposes at the southeast corner of Tillings Rd. and Dersan St. Total 1911.2611.0000 Trsf frm Res -Planning 1920.7600.2611 Trsf frm DCRF -Planning DC Funding (67 .5%) for 1st Phase of Comprehensive Zoning By-law Update Study (Discussion Papers & Consultation; Year 1 of 3) DC Funding (45%) for Infill & Replacement Housing in established Neighbourhoods (PO# 180722) Total Transfers Net Expenses Total 1920.7600.2611 Trsf frm DCRF -Planning 125 Run Date : 6/10/20 1 :38 PM 2020 Bud et (233 ,840) (40,700) (42,615) (25,024) (24,860) · (11,225) (144,424) (88,510) (33,300) (121 ,810) (500,074) 1,567,515 2612 Building Services 2018 Actuals Expenditures 1100 Salaries & Wages 1,247,000 1200 Overtime 15,908 1400 Employer Contr.ibutions 321,969 1800 Conferences 6,999 1900 Uniforms 2,195 2110 Travel 24,899 2131 Cellular Phones 5,232 2140 Telephones 5,154 2220 Subscription & Publications 2,046 2340 Seminars & Education 20,650 2365 Purch Prnting/Broch/News Ur 0 2370 Insurance Premium 7,239 2371 Ins. Deductible 2,920 2392 Consulting & Professional 84,367 2394 Recpt, Prom & Sp Events 3,101 2395 Memberships 9,230 2396 Photo, Mapping, Printing 16,009 2399 Outside Agency Serv 0 2457 Veh -Repairs & Maintenance 580 2479 Software/Hardware Maintenam 0 5300 Stationery & Office Supplies 7,244 5302 Forms 997 5900 Gas, Oil Tires 809 5902 Supplies & Tools 163 5975 Hardware Replacements 0 Total Expenditures 1,784,711 Revenues 1517 Licenses & Permits (4,822,959) 9990 Other Revenue (69,102) 9965 Cost Recoveries 0 Total Revenues (4,892,061) Transfers to/from Reserves·& R.F. 1911 Trans. to/(from) Continuing Stu 0 1920 Transfer to/(from) Reserve Fun 2,061,582 Total Transfers 2,061,582 Net (1,045,768) City of Pickering 2020 Current Budget Approved Final 2019 2019 YTD Approved Actuals Budget 1,414,191 1,584,675 1,882 10,000 367,820 420,777 7,828 8,500 1,333 3,500 25,234 25,150 4,611 10,400 5,272 7,892 2,181 4,000 22,158 26,000 397 5,000 7,239 7,239 0 1,000 184,313 208,750 2,571 5,400 12,156 11,430 0 20,000 4,099 4,000 855 2,000 0 4,227 7,329 8,000 1,130 3,000 66 2,000 722 1,500 0 6,000 2,073,387 2,390,440 (3,101,416) (2,395,000) (29,516) (25,000) 0 (60,000) (3,130,932) (2,480,000) (148,748) (148,750) 0 52,000 (148,748) (96,750) (1,206,293) (186,310) 126 Run Date: 6/10/20 1:35 PM 2020 INC./DEC. Approved % CHGE. Budget 2019 199,652 1,784,327 12.60% (3,000) 7,000 (30.00%) 36,142 456,919 8.59% (700) 7,800 (8.24%) 500 4,000 14.29% 0 25,150 0.00% (4,900) 5,500 (47.12%) (127) 7,765 (1.61%) 0 4,000 0.00% 0 26,000 0:00% 0 5,000 0.00% 131 7,370 1.81% 0 1,000 0.00% 10,830 219,580 5.19% 1,500 6,900 27.78% 1,650 13,080 14.44% (20,000) 0 (100.00%) 2,000 6,000 50.00% 0 2,000 0.00% 0 4,227 0.00% 0 8,000 0.00% 0 3,000 0.00% (1,000) 1,000 (50.00%) 500 2,000 33.33% 0 6,000 0.00% 223,178 2,613,618 9.34% (615,000) (3,010,000) 25.68% (10,000) (35,000) 40.00% (159,580) (219,580) 265.97% (784,580) (3,264,580) 31.64% 148,750 0 (100.00%) 0 52,000 0.00% 148,750 52,000 (153.75%) (412,652) (598,962) 221.49% 2612 Building Services Expenditu res 2612.1100 .0000 Salaries & Wages Base Salaries and Wages City of Pickering 2020 Approved Background Information One full time Building Info. & Compliance Officer contract position One new full time Inspector 1 contract position -start date July 1, 2020 One full time Project Mgr., Electronic Permitting System contract position -start date March 1 , 2020 One full time Clerk, Support Services contract position (offset by reduction in records management scanning costs) Total2612.1100.0000 Salaries & Wages 2612.1200 .0000 Overtime On Call Basis as per Collective Agreement Total 2612.1200.0000 Overtime 2612 .1400.0000 Employer Contributions This item includes mandatory deductions (CPP, El , EHT) and employer provided benefits such as extended health and dental Statutory benefits related to one full time Building Info. & Compliance Officer contract position Statutory benefits related to one full time Clerk, Support Services contract position Statutory benefits related to one new full time Inspector 1 contract position -start date July 1, 2020 Statutory benefits related to one full time Project Mgr., E lectronic Permitting System contract position -start date March 1, 2020 Total 2612.1400.0000 Employer Contributions · 2612.1800 .0000 Conferences Ontario Building Officials Association (4 Staff) -Hotel/Reg 'n Large Municipalities Chief Building Officials (LMCBO) Fall/Spring Wo rkshop (CBO) Total 2612.1800.0000 . Conferences 2612 .1900.0000 Uniforms As per the Collective Agreement Total 2612.1900.0000 Uniforms 2612.2110.0000 Travel Ontario Building Officials Association Conference (4 Staff) Construct Canada -(CBO) Annual mileage fo r Building Staff Mileage/Parking for Building Staff Total 2612.2110.0000 Travel 127 Run Date: 6/10/20 1:38 PM 2020 Bud et 1,538,519 67,703 36,455 86,950 54,700 1,784,327 7,000 7 ,000 435,321 6,770 3 ,937 3,645 .7 ,246 456,919 6,000 1,800 7 ,800 4 ,000 4,000 1,100 50 21,500 2 ,500 25,150 2612 Building Services 2612.2131 .0000 Cellular Phones City of Pickering 2020 Approved Background Information Annual Smartphone Charges -Manager, Supervisors and 6 staff Equipment Upgrades -4 staff@ $375 Total 2612.2131.0000 Cellular Phones 2612.2140.0000 Telephones Run Date: 6/10/20 1 :38 PM 2020 Bud et 4,000 1,500 5,500 Voice / Data 6,860 Internet 905 Total 2612.2140.0000 Telephones 2612 .2220.0000 Subscriptions & Publicati Building Codes & Updates, Referenced Standards, and Fire Codes Total 2612.2220.0000 Subscriptions & Publicati 2612.2340.0000 Seminars & Education Building Code & other technical training programs -all staff Heating, Refrigeration & Air Conditioning Institute (HRAI) Courses -Senior Examiner/Inspector (Plumbing & HVAC) General Educational Assistance Construct Canada -CBO and 3 Inspector ll's Ontario Building Officials Assoc. (OBOA) or similar Course (to be facilitated by the City & is 100% cost recoverable) OBOA Zoning Course (2 staff) Municipal Mgmt Course -UOIT (1 staff) Total 2612.2340.0000 Seminars & Education · 2612.2365.0000 Purch Prnt/Broch/News Ur Promote building services to the public Total 2612.2365.0000 Purch Prnt/Broch/News Ltr 2612.2370.0000 Insurance Premium Annual cost of insurance policy that provides protection for municipal activities and property. (Policy coverage includes: liability, automobile and property) Total 2612.2370.0000 Insurance Premium 2612 .2371.0000 Insurance Deductible Insurance Deductible Total 2612.2371.0000 Insurance Deductible 2612 .2392 .0000 Consulting & Professional Professional engineers, building science specialists and environmental consultants retained to provide specialized examination and inspection services for structural review of high rise and other complex projects -100% recoverable Specialized consultants to support investigations -100% recoverable 128 7,765 4,000 4,000 7,000 2,000 1,000 600 10,000 1,400 4,000 26,000 5,000 5,000 7,370 7,370 1,000 1,000 200,000 15,000 2612 Building Services City of Pickering 2020 Approved Background Information Shoring Design Drawing review of 1441 Bayly St. permit drawings for compliance with the 2012 Ontario Building Code, Part 4 (PO# 190702) -100% recoverable . Total 2612.2392.0000 Consulting & Professional 2612.2394.0000 Recpt, Prom & Sp Events Various Events (CBO, CIAC, SAC, BIAC, PAC, ZINC, MSAC, Building Safety Conference Meals Corporate Apparel Promotional Items Total 2612.2394.0000 Recpt, Prom & Sp Events 2612.2395 .0000 Memberships Assn of Architectural Technologists of Ont.-(2 staff) Min. of Municipal Affairs (MMAH) Building Code Identification Number (BCIN) - Director Filings Ontario Building Officials Assn -(15 staff@ $320 each) Code Interpretation Advisory Committee -(1 staff) Mechanical Services Advisory Committee -(1 staff) Plumbing Advisory Committee -(1 staff) Building Inspection Advisory Committee -(1 staff) American Society of Heating Refrigeration & Air Condition Engineers -(1 staff) Structural Advisory Committee -(1 staff) Large Municipalities Chief Building Officials -(1 staff) Ontario Association of Certified Engineering Technologists -(2 staff) MMAH BCIN Annual Registration Fees -(14 staff) Membersh ip Contingency Fund Professional Engineers Ontario -(2 staff) Durham Chapter -OBOA (4 staff@ $125) Can. Institute of Planners (CIP)/Ont. Professional Plalilriers Institute (OPPI) Fees - (3 staff) Heating , Refrigeration & Air Conditioning Institute (HRAI) Corporate Membership Total 2612.2395.0000 Memberships 2612.2399.0000 Outside Agency Services Promote building services to the public Total 2612.2399.0000 Outside Agency Services 2612.2457 .0000 Vehicle-Repair & Maintena For Building Services Vehicle Total 2612.2457.0000 Vehicle-Repair & Maintena 2612 .2479.0000 Sfwr/Hdwr Maint Contracts · Maintenance -HRIS 129 Run Date: 6/10/20 1 :38 PM 2020 Bud et 4,580 219,580 1,800 600 2,500 2,000 6 ,900 500 200 4,800 50 50 50 50 280 50 250 550 1,600 700 550 500 2,400 500 13,080 6,000 6,000 2,000 2,000 4,227 City of Pickering 2020 Approved Background Information 2612 Building Services Total 2612.9990.0001 Compliance Letters 2612.9990.0002 Other Revenue Revenue from attendance by outside municipalities to offset cost for OBOA course Records Management Scanning Total Revenues Transfers Total 2612.9990 .0002 Other Revenue 2822 .7506.0000 Trsf to Biding Permit RF Transfer to Building Permit RF to finance purchase of one new electric vehicle. Total Transfers Net Expenses Total 2822.7506.0000 Trsf to Biding Permit RF 131 Run Date: 6/10/20 1 :38 PM 2020 Bud et (10 ,000) (10,000) (15,000) (25,000) (3,264,580) 52,000 52 ,000 52,000 (598,962) 2620 Strategic Initiatives & Sustainability 2018 Actuals Expenditures 1100 Salaries & Wages 385,258 1200 Overtime 244 1400 Employer Contributions 98,128 1800 Conferences 1,640 1900 Uniforms 247 2110 Travel 2,566 2131 Cellular Phones 2,716 2140 Telephones 2,203 2210 Advertising 10,719 2211 Trade Shows, Exhib & Display~ 3,967 2220 Subscription & Publications 101 2340 Seminars & Education 6,057 2370 Insurance Premium 2,911 2371 Ins. Deductible 506 2392 Consulting & Professional 4,136 2394 Recpt, Prom & Sp Events 9,261 2395 Memberships 4,179 2396 Photo, Mapping, Printing 1,471 2399 Outside Agency Serv 12,752 2479 Software/Hardware Maintenanc 0 5300 Stationery & Office Supplies 444 5320 Program Supplies 136,700 Total Expenditures 686,206 Revenues 1592 Donations 0 1623 Ont. Specific Grants (1,745) 9950 Event Vendor Fees (24,920) 9980 Sponsorships No Tax (15,400) 9985 Marketing Sponsorships (900) 9990 Misc Income (1,415) 9993 0th Rev -Rebates/Incentive (290,057) 1530 Rntl -CCC Roof Solar Panel (6,000) Total Revenues (340,437) Transfers to/from Reserves & R.F. 1920 Transfer to/(from) Reserve Fun (16,897) Total Transfers (16,897) Net 328,872 City of Pickering 2020 Current Budget Approved Final 2019 2019 YTD Approved Actuals Budget 414,687 491,146 959 1,000 103,839 123,713 1,117 4,000 0 300 1,177 2,000 1,851 2,500 1,564 2,359 7,653 11,000 1,733 4,250 94 400 3,489 8,125 2,911 2,911 0 0 51,389 61,000 14,169 16,850 4,346 4,210 700 1,000 8,557 13,000 0 1,310 370 1,500 153,603 178,000 774,208 ~30,574 0 (1,500) 0 0 (22,883) (25,000) 0 (9,000) 0 (1,000) (5,375) (4,000) (250) (60,000) (6,000) (6,000) (34,508) (106,500) (41,893) (45,000) (41,893) (45,000) 697,807 779,074 132 Run Date: 6/10/201:35 PM 2020 INC./DEC. Approved % CHGE. Budget 2019 (102,949) 388,197 (20.96%) 0 1,000 0.00% (24,667) 99,046 (19.94%) 0 4,000 0.00% 0 300 0.00% 0 2,000 0.00% 0 2,500 0.00% (594) 1,765 (25.18%) (1,500) 9,500 (13.64%) (250) 4,000 (5.88%) 0 400 0.00% 255 8,380 3.14% 54 2,965 1.86% 0 0 0.00% (24,000) 37,000 (39.34%) (1,850) 15,000 (10.98%) (440) 3,770 (10.45%) 0 1,000 0.00% (3,000) 10,000 (23.08%) 0 1,310 0.00% 0 1,500 0.00% (7,275) 170,725 (4.09%) (166,216) 764,358 (17.86%) 0 (1,500) 0.00% 0 0 0.00% 0 (25,000) 0.00% 4,000 (5,000) (44.44%) 0 (1,000) 0.00% 0 (4,000) 0.00% 20,000 (40,000) (33.33%) 0 (6,000) 0.00% 24,000 (82,500) (22.54%) 20,000 (25,000) (44.44%) 20,000 (25,000) (44.44%) (122,216) 656,858 (15.69%) City of Pickering 2020 Approved Background Information 2620 Strategic Initiatives & Sustainability Expenditures 2620.1100.0000 Salaries & Wages Base Salaries and Wages Total 2620.1100.0000 Salaries & Wages 2620 .1200.0000 Overtime To meet service level/workload commitments Total 2620.1200.0000 Overtime 2620.1400 .0000 Employer Contributions This item includes mandatory deductions (CPP, El, EHT) and employer provided benefits such as extended health and dental Total 2620.1400.0000 Employer Contributions 2620.1800.0001 Conferences SustainabiHty & Energy Conferences Ont. Professional Planners Institute (OPP!) or similar conference for Senior Planner, Sustainability Total 2620.1800.0001 Conferences 2620.1900.0000 Uniforms As per the Collective Agreement Total 2620.1900.0000 Uniforms 2620.2110.0000 Travel Parking & Mileage Total 2620.2110.0000 Travel 2620.2131.0000 Cellular Phones Smartphone Charges (Supervisor & 3 Coordinators) Total 2620.2131.0000 Cellular Phones 2620 .2140.0000 Telephones Run Date: 6/10/20 1 :38 PM 2020 Bud et 388,197 388,197 1,000 1,000 99,046 99,046 3,000 1,000 4,000 300 300 2 ,000 2,000 2 ,500 2,500 . Voice/ Data 1,560 Internet 205 Total 2620.2140.0000 Telephones 2620.2210.0001 Advertising Advertising programs/events within publications (SNAP/Retail Pages, News Advertiser) Total 2620.2210.0001 Advertising 2620.2210.0012 Advtsing-Sustain Nghbrhds Program Advertising Total 2620.2210.0012 Advtsing-Sustain Nghbrhds 2620.2211.0001 Tr Shows,Exhib & Displays Events (supplies for various displays/activities) 133 1,765 8,000 8,000 1,500 1,500 2,500 City of Pickering 2020 Approved Background Information 2620 Strategic Initiatives & Sustainability Total 2620.2211.0001 Tr Shows,Exhib & Displays 2620.2211.0012 Tr Shows-Sustain Nghbrhds Program Exhibits and Displays (Funded from Sustainable Pickering Contributions) Total 2620.2211.0012 Tr Shows-Sustain Nghbrhds 2620.2220.0000 Subscriptions & Publicati Reference material Total 2620.2220.0000 Subscriptions & Publicati 2620.2340.0000 Seminars & Education Sustainability & Related Projects Staff Training -Professional Development LEED ND Seminars Professional Project Management (PMP) Exam PMP Prep Course · Educational Assistance Total 2620.2340.0000 Seminars & Education 2620 .2370.0000 Insurance Premium Annual cost of insurance policy that provides protection for municipal activities and property. (Policy coverage includes: liability, automobile and property) Total 2620.2370.0000 Insurance Premium 2620.2392.0000 Consulting & Professional Energy Services, Audits, Feasibility Studies LEAF Tree Planting Program LED Technical Assistance Services Total 2620.2392.0000 Consulting & Professional 2620 .2394.0001 Recpt, Prom & Sp.Ev., Gen Sustainability Corporate Wear Refreshment/Food for Events Corporate Energy Workshops Seaton Workshop Series (partially funded by Sponsors) Total 2620.2394.0001 Recpt, Prom & Sp.Ev., Gen 2620 .2394.0012 Rec/Prm -Sustain Nghbrhds Program Receptions/Events (Partially funded from Sustainable Pickering Contributions) Total 2620.2394.0012 Rec/Prm -Sustain Nghbrhds 2620.2395.0000 Memberships OPPI/CIP Full Membership -Senior Planner, Sustainability Clean Air Council Professional Engineers of Ontario (1 staff) 134 Run Date: 6/10/20 1:38 PM 2020 Bud et ·2,500 1,500 1,500 400 400 1,000 3 ,000 350 530 2,500 1,000 8,380 2,965 2,965 20,000 15,000 2 ,000 37,000 2,000 1,000 1 ,000 7,000 11,000 4,000 4,000 750 1,800 300 City of Pickering 2020 Approved Background Information 2620 Strategic Initiatives & Sustainability Project Management Institute (2 staff) Canada Green Building Council -2 staff International Society of Sustainability Professionals LEED APND Total 2620.2395.0000 Memberships 2620.2396.0000 Photo,Mapping,Printing Photography & videography services for City's promotional publications Total 2620.2396.0000 Photo,Mapping,Printing 2620.2399.0001 Outside Agency Services Green Fleet (Analytics) -(Year 2 of 2) GeneralDesign Services Pollinator Garden Volunteer Training & Services Total 2620.2399.0001 Outside Agency Services 2620.2399.0012 Out Agney-Sustain Nghbrhd Program Design Services (Partially funded from Sustainable Pickering Contributions) Total 2620.2399.0012 Out Agney-Sustain Nghbrhd 2620.2479.0000 Sfwr/Hdwr Maint Contracts Maintenance -HRIS Total 2620.2479.0000 Sfwr/Hdwr Maint Contracts 2620.5300.0000 Stationery & Office Suppl General office supplies Total 2620.5300.0000 Stationery & Office Suppl 2620.5320.0001 Program Supplies Promotional Activities & Materials Total 2620.5320.0001 Program Supplies 2620.5320.0003 Corporate Awareness Program Supplies Total 2620.5320.0003 Corporate Awareness 2620.5320.0004 Comm Awareness Event Mgmt Program Supplies Total 2620.5320.0004 Comm Awareness Event Mgmt 2620.5320 .0005 Dog Waste Diversion Program Supplies (18 Parks) Total 2620.5320.0005 Dog Waste Diversion 2620.5320.0006 Community Clean-ups Program Supplies Total 2620.5320.0006 Community Clean-ups 135 Run Date: 6/10/20 1:38 PM 2020 Bud et 400 280 120 120 3,770 1 ,000 1,000 4,000 2,500 1,000 7,500 2,500 2,500 1,310 1,310 1,500 1,500 10,000 10,000 2,000 2,000 4,500 4,500 56,000 56,000 4,000 4,000 City of Pickering 2020 Approved Background Information 2620 Strategic Initiatives & Sustainability 2620.5320.0007 Waterfowl Mgmt Prgm Program Supplies (includes goose relocation, egg oiling) Total 2620.5320.0007 Waterfowl Mgmt Prgm 2620.5320.001 0 Tree Planting Program Supplies -Tree Planting (Funded from Duffin Heights Terrestrial Habitat ReseNe Fund) Tree Planting -Duncannon Ravine Total 2620.5320.0010 Tree Planting 2620 .5320 .0011 Stream Restoration Program Suppl ies -Stream Restoration (Funded from Duffin Heights Fish Habitat ReseNe Fund) Total 2620.5320.0011 Stream Restoration 2620.5320 .0015 Farmers Market Program supplies (includes marketing, site logistics, equipment, maintenance and entertainment) Total 2620.5320 .0015 Farmers Market Total Expenses Revenues 1530 .2620.0000 Rntl-CCC Roof Solar Panel Rental of Tomlinson Community Centre rooftop solar panels Total 1530.2620.0000 Rntl-CCC Roof Solar Panel 1592.2620.0000 Donations -Sustainability Sustainable Pickering Contributions Total 1592.2620.0000 Donations -Sustainability 2620 .9950 .0015 Farmers Market Vendor table fees Total 2620.9950 .0015 Farmers Market 2620 .9980 .0001 Sponsorships Sustainability Sponsorships (No tax) Total 2620.9980.0001 Sponsorships 2620.9985.0001 Marketing Sponsors Sustainability Marketing Sponsorships (Taxable) Total 2620.9985.0001 Marketing Sponsors 2620.9990.0000 Misc. Income Seaton Workshop Series -Seaton Landowners Funding Total 2620.9990.0000 Misc. Income 2620.9993.0000 0th Rev-Rebates/Incentive 136 Run Date: 6/10/20 1 :38 PM 2020 Bud et 6 ,225 6,225 15,000 6,500 21,500 10,000 10,000 56,500 56 ,500 764,358 (6 ,000) (6 ,000) (1,500) (1,500) (25,000) (25 ,000) (5,000) (5 ,000) (1 ,000) (1 ,000) (4,000) (4,000) 2630 Committee of Adjustment 2018 Actuals E)!:penditures 1100 Salaries & Wages 5,120 1400 Employer Contributions 368 1800 Conferences 0 2110 Travel 530 2340 Seminars & Education 0 2395 Memberships 650 Total Expenditures 6,668 Revenues Total Revenues 0 Transfers to/from Reserves & R.F. Total Transfers 0 Net 6,668 City of Pickering 2020 Current Budget Approved Final 2019 2019 YTD Approved Actuals Budget 6,960 7,200 520 455 600 1,000 489 820 681 200 750 750 10,000 10,425 0 0 0 0 10,000 10,425 138 Run Date: 6/10/201:35 PM 2020 INC./DEC. Approved % CHGE. Budget 2019 0 7,200 0.00% 39 494 8.57% 0 1,000 0.00% 0 820 0.00% 0 200 0.00% 0 750 0.00% 39 10,464 0.37% 0 0 0.00% 0 0 0.00% 39 10,464 0.37% 2630 Committee of Adjustment Expenditures 2630.1100.0000 Salaries & Wages Honorarium -5 Members City of Pickering 2020 Approved Background Information Total 2630.1100.0000 Salaries & Wages 2630 .1400.0000 Employee Benefits This item includes mandatory deductions (CPP, El, EHT) and employer provided benefits such as extended health and dental · Total 2630.1400.0000 Employee Benefits 2630.1800.0000 Conferences Ontario Assoc. of Ctee. of Adjust. Conference (1 member) Total 2630.1800.0000 Conferences 2630.2110.0000 Travel Committee of Adjust. Members -12 meetings@ 55km per meeting@ $.56/km Committee of Adjust. Members -Site Visits -200km @ $.56/km Ontario Assoc. of Ctee of Adjust. Conference/Seminars Total 2630.2110.0000 Travel 2630.2340.0000 Seminars & Education Ontario Assoc. of Committee of Adjust. (1 member/1 staff) Total 2630.2340.0000 Seminars & Education 2630.2395.0000 Memberships Ontario Assoc. of Committee of Adjust. 5 Members @ $150 each Total 2630.2395.0000 Memberships Total Expenses Total Revenues Total Transfers Net Expe·nses 139 Run Date: 6/10/20 1 :38 PM 2020 Bud et 7,200 7,200 494 494 1,000 1,000 500 120 200 820 200 200 750 750 10,464 0 0 10,464 2743 Heritage Pickering 2018 Actuals Expenditures 1800 Conferences 0 2110 Travel 49 2340 Seminars & Education 0 2392 Consulting & Professional 12,284 2394 Recpt, Prom & Sp Events 0 2395 Memberships 75 2396 Photo, Mapping, Printing 0 5300 Stationery & Office Supplies 0 5400 Gift Shop Plaques 0 Total Expenditures 12,408 Revenues Total Revenues 0 Transfers to/from Reserves & R.F. Total Transfers 0 Net 12,408 City of Pickering 2020 Current Budget Approved Final 2019 2019 YTD Approved Actuals Budget 476 525 249 500 0 300 10,176 15,000 35 400 75 100 0 250 0 150 0 2,500 11,011 19,725 0 0 0 0 11,011 19,725 140 Run Date: 6/10/201:35 PM 2020 INC./DEC. Approved % CHGE. Budget 2019 0 525 0.00% 0 500 0.00% 0 300 0.00% 0 15,000 0.00% 0 400 0.00% 0 100 0.00% 0 250 0.00% 0 150 0.00% 0 2,500 0.00% 0 19,725 0.00% 0 0 0.00% 0 0 0.00% 0 19,725 0.00% 27 43 Heritage Pickering Expenditures 27 43.1800.0000 Conferences City of Pickering 2020 Approved Background Information Heritage Conference -1 staff (registration and accommodation) Total 2743.1800.0000 Conferences 2743.2110.0000 Travel . Parking & Mileage Education Seminars and Conferences -Out of Town Total 2743.2110.0000 Travel 2743.2340 .0000 Seminars & Education Run Date: 6/10/20 1:38 PM 2020 Bud et 525 525 250 250 500 General 300 Total 2743.2340.0000 Seminars & Education 2743.2392.0000 Consulting & Professional Consultations for designations, promo materials, heritage permit review, cultural heritage assessments Total 2743.2392.0000 Consulting & Professional 2743 .2394 .0000 Recpt,Prom. & Sp.Ev.,Gen Designation events ( 2@ approximately $200.00 each) Total 2743.2394.0000 Recpt,Prom. & Sp.Ev.,Gen 27 43.2395.0000 Memberships Annual fee for Community Heritage Ontario (Chair) Total 2743.2395.0000 Memberships 2743.2396.0000 Photo,Mapping,Printing General printing Total 2743.2396.0000 Photo,Mapping,Printing 2743.5300.0000 Stationery & Office Suppl General office supplies, training supplies, & name tags Total 2743.5300.0000 Stationery & Office Suppl 2743.5400 .0000 Gift Shop/Plaques Plaques for designated properties (2 @ $500) Signage for-Whitevale Heritage Conservation District (3 @ $500) Total 2743.5400.0000 Gift Shop/Plaques Total Expenses Total Revenues Total Transfers 1 41 300 15,000 15,000 400 400 100 100 250 250 150 150 1,000 1,500 2,500 19,725 0 0 27 43 Heritage Pickering Net Expenses City of Pickering 2020 Approved Background Information 142 Run Date: 6/10/20 1:38 PM 2020 Bud et 19,725 ...... .i:::,. .i:::,. /"_.j. j .. Ctl/j tJO-~-.. ------- P lC K.:E R 1.N G '- / I Supervisor, The Corporation of the City of Pickering Community Services Department Cultural Services Section Director, Community Services & Deputy CAO I I Executive Director, Cultural Services Performing Arts Centre (1 -NU FT) (1-NUFf) Coordinator, ' Even t Staff . Coord inator, .. Museum Operations (20 -UPTT) --Cultural Services (1 -UFT) (1-UFf) \. r ' Museum Boo kin g '\ ' Coordinator Event Coordinator, (1-UFf) Coo rdin ator . -Community Partnersh ip s \. (1 -UP TT) (1-UFf) .,I \.. ., [ Conservator (1 -U Ff) Communications Coordinator, -Cultural Services Heritage Programmer (1 -U Ff) (1-UFf) . I . Authorized by: I Volunteer Coordinator (1-UPTT) ~ Chief Administrative Officer January 1, 2020 Employee Complement 3 Non-Union Full-Time (NUFT) 0 Non-Union Part-Time (NUPT) 7 .. Union Full-Time (UFT) 1 Union Part-Time (UPT) 0 Union Full-Time Term (UFTT) . UPTT) Supervisor, Museum Services (1-N UFf) Museum Interpreters (18-UPTT) ' Seasona l Museum Receptionist (1-UPTT) .I l~ -[ Costumer (1-Un) l Seasonal "Museum Guides (4-UPTT) - Chart No . 4(a) _. -i::,. -.J -Cdg of·-- PlC.KERlNG- I Coordinator, Aquatic Programs (1 -UFTJ I , Aquatic Programmer (.1-UFT) I Aquatic Program Assistant (4-UPT) Aquatic Staff (70-UPTT) / \. Authorized by: uU Chief Administrative Officer Employee Complement The Corporation of the City of Pickering Community Services Department 2 Non-Union Full-Time (NUFT) O Non-Union Part-Time (NUPT) 14 Union Full-Time (UFT) 26 Union Part-Time (UPT) 0 Union Full-Time Term (UFTT) 84 Union Part-Time Term (UPTT) Facility Programs Section Director, Community Services & Deputy _ CAO I Manager, Facility Programs & Administration (1-NUFT) · I I . I / '\ Health & Fitness Special ist Coordinator, Facility (4-UPTj (1-NUFT) . Child Care Worker (1-U PT + 4-UPTT) I Child Supervision Leader (1-UPT) , .. Coordinator,. Fitness Serv ices (3-UFT) Coordinator, Fitness Rooms (1 -UPT) Fitness ln _stru ctors (9 -UPT, a UPTT) " / ' Coordinator, Program Registration (1-UFT) Coord.inator, Recreation Software Administrator (1-UFT) Asst. Coordinator, Program Registration (1-UFT) Clerk, Recreation Complex Administration (1 -UFT) Coordinator, Facility Bookings (1 -UFI) Clerk; Recreation Complex (6-UP.T) . Clerk, Program Registrati on (2-UPTT) Clerk, Recreation Complex Memberships (1-U~ Asst. Coordinator, Parks & Facility Bookings (2-U FT) \. Shift Leader, Recreation Complex (1-UFT) ~ . January 1, ?020 Chart No. 4(d) Culture, Recreation & Facilities 2018 Actuals Expenditures 1100 Salaries & Wages 6,956,786 1100 Salaries & Wages -Prg. 1,002,975 1200 Overtime 139,038 2712 0001 Program Overtime 3,760 1400 Employer Contributions 1,668,821 1800 Conferences 2,330 1900 Uniforms 41,215 2110 Travel 13,904 2122 Freight, Express & Cartage 1,249 2131 Cellular Phones 27,569 2140 Telephones 96,886 2210 Advertising 159,335 2211 Trade Shows, Exhib & Display~ 1,525 2220 Subscription & Publications 977 2340 Seminars & Education 30,015 2365 Purch Prnting/Broch/News Ltr 51,144 2370 Insurance Premium 61,845 2371 Ins. Deductible 5,530 2392 Consulting & Professional 168,278 2394 Recpt, Prom & Sp Events 62,339 2395 Memberships 14,640 2396 Photo, Mapping, Printing 4,031 2399 Outside Agency Serv 252,328 2435 Build Repairs & Mtce 1,390,907 2457 Veh -Repairs & Maintenance 8,921 2478 Misc Equip Repairs 63,017 2479 Software/Hardware Maintenanc 41,593 2480 Antiques Repairs Mtce. 8,869 2482 Grounds Upkeep 1,730 2642 Community Use of Schools 2,979 2648 Building Rentals 70,312 2712 Prgm -Build Rentals 200,000 2678 Rental Misc Equip 4,296 2682 Land Rentals 44,810 5300 Stationery & Office Supplies 13,225 5302 Forms 265 5320 Program Supplies 11,259 2712 Event Supplies 230,753 City of Pickering 2020 Current Budget Approved Final 2019 2019 YTD Approved Actuals Budget 7,529,847 7,351,785 1,040,359 953,650 133,287 175,255 5,002 0 1,808,740 1,798,270 416 3,000 45,530 47,200 13,604 18,600 4,500 2,500 21,851 30,100 85,610 110,059 187,511 177,600 890 1,200 (2,000) 2,600 24,807 35,695 57,971 57,000 61,845 61,845 2,363 11,000 98,289 180,430 59,545 71,450 13,751 15,621 5,859 6,000 252,470 286,674 1,389,320 1,242,874 7,480 11,300 64,815 72,650 44,978 72,535 8,549 8,700 766 2,800 1,733 3,500 70,386 72,210 196,000 196,000 5,120 8,400 44,810 46,160 13,496 18,350 1,021 1,900 13,131 11,100 308,462 258,275 149 Run Date: 6/10/20 2:34 PM 2020 INC./DEC. Approved % CHGE. Budget 2019 588,988 7,940,773 8.01% 11,985· 965,635 1.26% (3,800) 171,455 (2.17%) 0 0 0.00% 226,246 2,024,516 12.58% 4,600 7,600 153.33% (700) 46,500 (1.48%) (175) 18,425 (0.94%) 0 2,500 0.00% 2,700 32,800 8.97% (9,524) 100,535 (8.65%) 82,800 260,400 46.62% 0 1,200 0.00% 1,950 4,550 75.00% 13,905 49,600 38.96% 0 57,000 0.00% 1,115 62,960 1.80% 0 11,000 0.00% 43,555 223,985 · 24.14% (8,450) 63,000 (11.83%) 796 16,417 5.10% 3,000 9,000 50.00% 31,261 317,935 10.90% 296,001 1,538,875 23.82% 0 11,300 0.00% 3,000 75,650 4.13% 274 72,809 0.38% 0 8,700 0.00% 0 2,800 0.00% 0 3,500 0.00% 0 72,210 0.00% 0 196,000 0.00% 1,200 9,600 14.29% 0 46,160 0.00% (1,300) 17,050 (7.08%) 0 1,900 0.00% 1,155 12,255 10.41% 32,750 291,025 12.68% Culture, Recreation & Facilities 2018 Actuals 2712 Prgms Supplies 99,801 5320 Athletic Equip. Playroom 3,400 5330 Drop-In Centre Supplies 2,615 5340 Supplies -'Special Events 15,211 5345 Antique Purchases 565 5350 Committee Expenses 7,168 5400 Gift Shop Plaques 8,238 5510 Utilities -Water 158,138 5520 Utilities -Gas 253,807 5530 Utilities -Hydro 1,090,653 5540 Utilities -Oil 5,646 5550 Utilities -Cable T.V. 1,470 5900 Gas, Oil Tires 8,471 5902 Supplies & Tools 44,068 5973 Minor Furniture & Fixtures 35,161 5974 System & Software Upgrades 0 5978 Misc. Equipment 16,619 Total Expenditures 14,610,487 Revenues 1610 Federal Grant (74,132) 1623 Ont. Specific Grants (152,954) 9397 Program Registrations (1,849,534) . 9910 Gift Shop (10,749) 9915 Snack Bar (19,615) 9916 Vending Machines (16,391) 9930 Rentals (4,600) 9940 Advertising Space (39,845) 9943 Memberships-Pool/Health Glut (8,000) 9955 Programs (53,623) 9970 Child Supervision (40,711) 9975 Fitness Testing (60,760) 9977 Donations (4,917) 9991 Other Revenue (48) 9920 Admissions -Public & Edu. (122,043) 9921 Admissions -Tennis (92,282) 9922 Admissions -Skating (18,080) 9923 Admissions -Public Swimming (55,722) 9924 Admissions -Squash (15,589) 9925 Admissions -Fitness Room (6,294) City of Pickering 2020 Current Budget Approved Final 2019 2019 YTD Approved Actuals Blldget 85,876 113,250 5,435 2,300 3,753 4,400 10,182 17,500 593 600 7,793 13,500 5,734 5,750 177,124 181,985 ·249,054 308,500 1,181,702 1,397,358 6,296 5,683 1,470 850 9,521 10,075 38,298 53,631 25,008 32,100 0 0 18,231 19,600 15,448,184 15,591,370 (57,647) (52,700) (185,257) (191,500) (2,000,067) (1,892,900) (8,464) (10,000) (19,208) (17,250) (18,695) (12,300) (4,600) (4,600) (77,988) (77,000) (8,000) (8,000) (53,163) (66,700) (32,405) (37,000) (53,736) (70,000) (2,237) (1,000) 0 0 (128,494) (132,000) (97,366) (90,000) (17,623) (23,500) (59,488) (63,000) (16,239) (21,000) (6,624) (6,500) 150 Run Date: 6/10/20 2:34 PM 2020 INC./DEC. Approved % CHGE. Budget 2019 (1,535) 111,715 (1.36%) 0 2,300 0.00% 0 4,400 0.00% (3,000) 14,500 (17.14%) 0 600 0.00% 54,250 67,750 401.85% (500) 5,250 (8.70%) 7,280 189,265 4.00% (21,004) 287,496 (6.81%) (79,997) 1,317,361 (5.72%) 0 5,683 0.00% 0 850 0.00% 0 10,075 0.00% 21,905 75,536 40.84% (8,500) 23,600 (26.48%) 25,000 25,000 0.00% (6,200) 13,400 (31.63%) 1,311,031 16,902,401 8.41% (94,300) (147,000) 178.94% (52,300) (243,800) 27.31% (52,000) (1,944,900) 2.75% (500) (10,500) 5.00% 300 (16,950) (1.74%) (5,200) (17,500) 42.28% 0 (4,600) 0.00% 0 (77,000) 0.00% 0 (8,000) 0.00% (9,860) (76,560) 14.78% 7,000 (30,000) (18.92%) 0 (70,000) 0.00% (1,000) (2,000) 100.00% 0 0 0.00% (9,440) (141,440) 7.15% (2,000) (92,000) 2.22% 0 (23,500) 0.00% 6,000 (57,000) (9.52%) 0 (21,000) 0.00% 0 (6,500) 0.00% Culture, Recreation & Facilities 2018 Actuals 9926 Admissions -Racquet Ball (4,779) 9931 Rentals -Ice Surface (1,429,953) 9932 Rentals -Pool (277,147) 9933 Rentals -Mtg. Room/Public (103,627) 9934 Rentals -Mtg. Room/Prog. (27,000) 9935 Rentals -Halls (155,038) 9936 Rentals -Pool-School Board (1,166) 9937 Rentals -West Shore C.C. (65,040) 9938 Rentals -East Shore C.C. (53,014) 9939 Rentals -Lockers (22) 9941 Membertships -Tennis (27,487) 9943 Memberships -Pool/Health GIL (763,435) 9944 Memberships -Squash (86,222) 9945 Memberships -General (162,828) 9946 Memberships -Racquet Ball (24,342) 9947 Rentals -Claremont C.C. (367) 9949 Rentals -Petticoat Creek (52,409) 9958 Rentals -Wellness Clinic (47,627) 9957 Rentals -Pottery Studio (2,640) 9959 Arena Floor Rentals (53,335) 9990 Other Revenue (372) 9990 Other Misc Revenue (19,378) 9954 Netted Revenue (154,130) 9950 EventVendorFees (9,938) 9980 Sponsorships No Tax (800) 9985 Marketing Sponsorships (20,459) 9992 Other Revenue -Membership I (5,334) Total Revenues (6,193,778) Transfers to/from Reserves & R.F. 1910 TransfEJr to/(from) Reserve 0 1911 Trans. to/(from) Continuing Stu (32,035) 1920 Transfer to/(from) Reserve Fun (36,077) Total Transfers (68,112) Net 8,348,597 City of Pickering 2020 Current Budget Approved Final 2019 2019 YTD Approved Actuals Budget (4,767) (5,000) (1,744,962) (1,570,000) (280,649) (288,000) (89,668) (84,000) (27,000) (27,000) (141,184) (149,000) (1,199) (1,200) (64,770) (61,000) (50,887) (56,000) (121) (100) (24,625) (25,000) (719,892) (751,000) (80,691) (85,000) (149,751) (150,000) (24,008) (24,000) (10,234) (800) (64,564) (50,000) (59,517) (58,375) 0 0 (62,045) (47,000) 0 0 (128,895) (22,000) (160,394) (160,394) (12,044) (12,050) (50,400) (2,000) (7,171) (37,000) (6,231) (5,000) (6,812,970) (6,447,869) 0 0 (36,174) (75,635) (18,428) (34,295) (54,602) (109,930) 8,580,612 9,033,571 151 Run Date: 6/10/20 2:34 PM 2020 INC./DEC. Approved % CHGE. Budget 2019 0 (5,000) 0.00% (282,000) (1,852,000) 17.96% 12,000 (276,000) (4.17%) (2,000) (86,000) 2.38% 0 (27,000) 0.00% 0 (149,000) 0.00% (58) (1,258) 4.83% (9,901) (70,901) 16.23% 0 (56,000) 0.00% 0 (100) 0.00% 1,000 (24,000) (4.00%) 72,000 (679,000) (9.59%) 10,000 (75,000) (11.76%) 9,500 (140,500) (6.33%) 3,000 (21,000) (12.50%) 0 (800) 0.00% (4,000) (54,000) 8.00% (625) (59,000) 1.07% 0 0 0.00% 7,500 (39,500) (15.96%) 0 0 0.00% (2,850) (24,850) 12.95% (15,308) (175,702) 9.54% (1,900) (13,950) 15.77% (2,500) (4,500) 125.00% 0 (37,000) 0.00% 0 (5,000) 0.00% (419,442) {6,867,311) 6.51% (314,500) (314,500) 0.00% 33,160 (42,475) (43.84%) (3,615) (37,910) 10.54% (284,955) (394,885) 259.21% 606,634 9,640,205 6.72% ... ·.·.·.· ·.·.:: .. :.: ... :. ·.· .... :::. >>>>:J~ity i9(P:i¢1<~r.111t:f :<<<<<<<<<> :-:•:-:•. · .. :.:. :.:.:.:: · · · .. ·.•:•:•:•:•:•: :•:•:•;:<·:·:·:•:·:·:·:.·• .·.•.·.·.·.·.·.·.· . .· \:: ::::::>:?~P:2Q ::::::::>;::<:::::::::<:::::::·<· .. ::::::::::::::::::·:·: :::::: .. ·:·:·:•:·:·:·: :·:·· ·.· ..... . ::::::::::::::::::::::::::::::::::::::::::::::::::::::· ...... ::::::::::::::::::::::::(;L;Jlt~r~i:~¢4reatioff &:fi~~ili~i¢~:::::::::::::::::::::::::::::::::::::::::::::::::: .·.·.·.·.·.·.·.·.·.·.·.•.·.·.·.·.·.· :::::::::::::::::::::::::::::::::::::::::::::::::::::::::::::::::::si.iminar.v::oi:i'•.i:ote.w.ortti"v.currerit :s:u:diie.tchaniiei{:::::::::::::::::::::::::: · ·: :·:•:•:·:•:•:•:-:•:•:·:•: Expenditures -lncreases/(Decreases) Budget Item 2435 Building Repairs & Maintenance 2712 Event Supplies 5350 Committee Expenses 5510 Utilities -Water 5520 Utilities -Gas 5530 Utilities - Hydro 5902 Supplies & Tools 5973 Minor Furniture & Fixtures 5974 System & Software Upgrades 5978 Misc. Equipment Amount Explanation $296,001 Budget increase largely due to the implementation of the analog security camera replacement program across various City facilities (funded by self-insurance reserve funding). Also reflects additional one-time building repair and maintenance projects to be completed in 2020. 32 ,750 Budget increase due to the introduction of a new Cultural Fusion Festival in 2020 . 54,250 Budget increase due to the Service and Support Animal Task Group (SSATG) grant application (funded by and subject to a pending application to the EnAbling Change program). $7,280 Budget increase based on 2019 facilities actual water costs and Durham Region rate increase . (21,004) Budget decrease reflects 2019 facilities actual natural gas costs. (79,997) Budget decrease reflects 2019 projected facilities hydro costs and City energy saving initiatives . 21 ,905 Budget increase largely due to the lifecycle replacement of pool lane markers & manikins/AED trainer kits in aquatics. (8 ,500) Budget decrease due to the one-time replacement of tables & chairs at two community centres in 2019 and thereby removed from the 2020 budget. 25,000 Budget increase due to the planned implementation of a new security incident reporting software in 2020. (6 ,200) Budget decrease due to completion of the security system additions/upgrades at the CHDRC Arenas thereby removed from the 2020 budget. Total Expenditure Changes $1,311,031 153 2711 Cult. & Rec. -Admin. 2018 Actuals Expenditures 1100 Salaries & Wages 1,492,179 1200 Overtime 11,406 1400 Employer Contributions 419,370 1800 Conferences 2,330 1900 Uniforms 2,522 2110 Travel 7,116 2131 Cellular Phones 8,312 2140 Telephones 10,794 2210 Advertising 113,864 2220 Subscription & Publications 442 2340 Seminars & Education 3,129 2370 Insurance Premium 10,354 2392 Consulting & Professional 104,337 2394 Recpt, Prom & Sp Events 16,264 2395 Memberships 6,504 2396 Photo, Mapping, Printing 4,031 2435 Build Repairs & Mtce 0 2479 Software/Hardware Maintenarn 33,772 2648 Building Rentals 70,290 5300 Stationery & Office Supplies 3,498 5350 Committee Expenses 7,168 5973 Minor Furniture & Fixtures 1,091 5974 System & Software Upgrades 0 Total Expenditures 2,328,773 Revenues 1623 Ont. Specific Grants 0 9990 Other Revenue (372) Total Revenues (372) Transfers to/from Reserves & R.F. 1910 Transfer to/(from) Reserve 0 1911 Trans. to/(from) Continuing Stu 0 1920 Transfer to/(from) Reserve Fun (36,077) Total Transfers (36,077) Net 2,292,324 City of Pickering 2020 Current Budget Approved Final 2019 2019 YTD Approved Actuals Budget 1,717,937 1,704,275 13,363 27,855 466,960 484,357 416 3,000 1,863 2,500 5,337 9,000 6,868 8,900 8,327 11,966 133,757 128,400 (2,000) 2,000 1,980 3,470 10,354 10,354 51,079 102,370 3,715 6,000 7,162 6,750 5,859 6,000 0 0 32,974 38,266 70,386 72,200' 2,769 4,800 7,793 13,500 660 1,000 0 0 2,547,559 2,646,963 0 0 0 0 0 0 0 0 (9,510) (37,575) (18,428) (34,295) (27,938) (71,870) 2,519,621 2,575,093 156 Run Date: 6/10/20 1:35 PM 2020 INC.IDEC. Approved % CHGE. Budget 2019 262,176 1,966,451 15.38% 0 27,855 0.00% 84,935 569,292 17.54% 3,100 6,100 103.33% 0 2,500 0.00% (1,000) 8,000 (11.11%) 1,100 10,000 12.36% 719 12,685 6.01% 0 128,400 0.00% 2,200 4,200 110.00% 2,750 6,220 79.25% 186 10,540 1.80% 17,500 119,870 17.09% 0 6,000 0.00% 1,950 8,700 28.89% 3,000 9,000 50.00% 213,000 213,000 0.00% 2,350 40,616 6.14% 0 72,200 0.00% 0 4,800 0.00% 54,250 67,750 401.85% 0 1,000 0.00% 25,000 25,000 0.00% 673,216 3,320,179 25.43% (50,000) (50,000) 0.00% 0 0 0.00% (50,000) (50,000) 0.00% (213,000) (213,000) 0.00% 2,215 (35,360) (5.89%) (3,615) (37,910) 10.54% (214,400) (286,270) 298.32% 408,816 2,983,909 15.88% 2711 Cult. & Rec. -Admin. Expenditures 2711 .1100.0000 Sa laries & Wages Base Salaries and Wages City of Pickering 2020 Approved Background Information Transfer of full time Corporate Security Specialist position from 2220 Transfer of full time Coordinator, Special Proj ects position from 2500 Total 2711.1100.0000 Salaries & Wages 2711 .1200.0000 Overtime Program Registration ( 3 sessions ) Programs and Events Department Graphics Administration Facilities Total 2711.1200.0000 Overtime 2711 .1400.0000 Employer Con t ributions This item includes mandatory deductions (CPP, El, EHT) and employer provided benefits such as extended health and dental Benefits related to transfer of full time Corporate Security Specialist position from 2220 Benefits related to transfer of full time Coordinator, Special Projects position from 2500 Total 2711.1400.0000 Employer Contributions 2711 .1800.0000 Conferences Ontario Association of Architects -Manager, Facilities Capital Projects Creative Cities Conference Professional Association of Volunteer Leaders Conference Security Conference -Corporate Security Specialist Total 2711.1800.0000 Conferences 2711 .1900.0000 UNIFORMS For City Event Staff Total 2711.1900.0000 UNIFORMS 2711.2110 .0000 Travel Parking & Mileage Total 2711.2110.0000 Travel 2711 .2131 .0000 Cellular Phones Annual Smartphone charges -various staff (Manager (2), Supervisor (1 ), Coordinators (9), Specialist (1)). Annual Smartphone & Tablet charges -Director, Community Services, Division Head , Operations 157 Run Date: 6/10/20 1:38 PM 2020 Bud et 1,782,290 100,329 83,832 1,966,451 2,350 10,455 6,370 2 ,280 6,400 27 ,855 515,929 28,213 25,150 569 ,292 1,100 1,500 1,500 2 ,000 6,100 2,500 2,500 8,000 8,000 8,800 1,200 2711 Cult. & Rec. -Admin. City of Pickering 2020 Approved Background Information 2711.2394.0000 Recpt,Prom . & Sp.Ev.,Gen Administrative staff plus Marketing/ Promotion area Total 2711.2394.0000 Recpt,Prom. & Sp.Ev.,Gen 2711 .2395 .0000 Memberships (1x$695) Ont. Rec & Facilities Assoc ., (1x$380) Festivals & Events Royal Architectural Institute of Canada (RAIC) Ontario Association of Certified Engineering Technologist (OACETT) Professional Association of Volunteer Leaders Ontario (PAVRO) Pine Ridge Arts Council (PRAG) Security Associations Ontario Association of Architects Creative City Network of Canada Parks and Recreation Municipal Membership Ontario Building Envelope Council (OBEC) American Society for Industrial Security (ASIS) International Total 2711.2395.0000 Memberships 2711 .2396 .0000 Photo,Mapping,Printing To cover professional services for photography map, printing reproductions, plotter supplies Total 2711.2396.0000 Photo,Mapping,Printing 2711 .2435 .0000 Building Repairs & Maint Analog Camera Replacement Program (Civic Complex, Dunbarton Pool and CHO Recreation Complex) -NEW Total 2711.2435.0000 Building Repairs & Maint 2711.2479.0000 Sfwr/Hdwr Maint Contracts Maintenance -Facility Asset Management Maintenance -Auto Cad Maintenance -Adobe Photo Shop Maintenance -HRIS -new Maintenance .-Survey Monkey Total 2711.2479.0000 Sfwr/Hdwr Maint Contracts 27 11.2648 .0000 Building Rentals Rental charges associated with 1101 _ Kingston Road lease Total 2711.2648.0000 Building Rentals 2711 .5300 .0000 Stationery & Office Suppl General office supplies Minor office supp lies & equ ipment -1101 Kingston Road offices Access cards 159 Run Date: 6/10/20 1:38 PM 2020 Bud et 6,000 6,000 1,165 400 250 190 30 1,500 1,000 445 3,260 210 250 8,700 9,000 9,000 213,000 213,000 34 ,000 600 120 4 ,546 1,350 40 ,616 72 ,200 72 ,200 2 ,000 1,500 800 City of Pickering 2020 Approved Background Information 2711 Cult. & Rec . -Admin . General Office Supplies -Security Services Specialist Total 2711 .5300.0000 Stationery & Office Suppl 2711 .5350 .0002 Cttee Exp-Access Cttee Service & Support Animal Ta_sk-Group (SSATG) initiative (offset by Ministry for Seniors and Accessibility Grant) Committee Special Event expenses Total 2711.5350.0002 Cttee Exp-Access Cttee 2711 .5350.0003 Cttee Exp-Cultural Advsry Committee related expenses Total 2711.5350.0003 Cttee Exp-Cultural Advsry 2711 .5350.0004 Cttee Exp -Age Friendly Committee related expenses Total 2711.5350.0004 Ctt~e Exp-Age Friendly 2711 .5973 .0000 Furniture & Fixtures Office chairs replacement Total 2711.5973.0000 Furniture & Fixtures 2711.5974.0000 System & Software Upgrade Security Incident Reporting Software Total 2711.5974.0000 System & Software Upgrade Total Expenses Revenues 1623.2711 .0000 Ont Grant-C&R Admin Ministry for Seniors and Accessibility Grant (SSATG initiative) Total 1623.2711.0000 Ont Grant-C&R Admin Total Revenues Transfers 1910.7020.2711 · Trsf Self Ins -C&R Admin Self Insurance Reserv.e funding for Analog Camera Replacement Program (Civic . Complex, Dunbarton Pool and CHD Recreation Complex) Total 1910.7020.2711 Trsf Self Ins -C&R Admin 1911.2711 .0000 Trsf frm Res -C&R Ad min Continuing Studies Reserve funding fo r Space Use Study Continuing Studies Reserve funding for Facilities Wayfinding Study Total 1911.2711.0000 Trsf frm Res -C&R Adm in 1920. 7600.2711 Trsf frm DCRF-C&R Adm in 160 Run Date: 6/10/20 1 :38 PM 2020 Bud et 500 4,800 50,000 6,000 56,000 6,750 6,750 5,000 5,000 1,000 1,000 25,000 25,000 3,320,179 (50 ,000) (50,000) (50,000) (213 ,000) (213 ,000) (23,190) (12,170) (35,360) 2711 Cult. & Rec. -Admin. City of Pickering 2020 Approved Background Information DC Funding (22.5%) for Space Use Study DC Funding (39%) for Fair Minded Pricing Policy DC Funding (39%) for Facilities Wayfinding Study Total 1920.7600.2711 Trsf frm DCRF-C&R Adm in Total Transfers Net Expenses 1 61 Run Date: 6/10/20 1:38 PM 2020 Bud et (6,730) (23,400) (7 ,780) (37 ,910) (286,270) 2,983,909 2124 Civic Centre 2018 Actuals Expenditures 1100 Salaries & Wages 239,466 1200 Overtime 3,235 1400 Employer Contributions 48,533 1900 Uniforms 1,884 2140 Telephones 0 2340 Seminars & Education 0 2370 Insurance Premium 3,009 2371 Ins. Deductible 0 2392 Consulting & Professional 0 2394 Recpt, Prom & Sp Events 15 2399 Outside Agency Serv 79,865 2435 Build Repairs & Mtce 154,057 2478 Misc Equip Repairs 223 2479 Software/Hardware Maintenanc 0 2678 Rental Misc Equip 0 5510 Utilities -Water 13,066 5526 Utilities -Gas 23,187 5530 Utilities -Hydro 143,474 5550 Utilities -Cable T. V. 1,470 5902 Supplies & Tools 1,677 Total Expenditures 713,161 Revenues 9916 Vending Machines (180) 9954 Netted Revenue (154,130) Total Revenues (154,310) Transfers to/from Reserves & R.F. Total Transfers 0 Net 558,851 City of Pickering 2020 Current Budget Approved Final 2019 2019 YTD Approved Actuals Budget 253,975 247,668 3,643 5,500 49,607 55,336 1,781 2,000 3,150 5,000 504 1,000 3,009 3,009 0 1,000 0 0 0 0 81,739 84,820 191,780 143,625 0 0 0 661 0 500 11,977 14,195 24,198 25,527 141,725 178,824 1,470 850 1,868 3,000 770,426 772,515 (254) (500) (160,394) (160,394) (160,648) (160,894) 0 0 609,778 611,621 162 Run Date: 6/10/20 1:35 PM 2020 INC./DEC. Approved % CHGE. Budget 2019 (2,609) 245,059 (1.05%) 0 5,500 0.00% 3,280 58,616 5.93% 0 2,000 0.00% (765) 4,235 (15.30%) 0 1,000 0.00% 56 3,065 1.86% 0 1,000 0.00% 2,000 2,000 0.00% 0 0 0.00% 33,060 117,880 38.98% 7,018 150,643 4.89% 1,500 1,500 0.00% 0 661 0.00% 0 500 0.00% 285 14,480 2.01% (500) 25,027 (1.96%) (15,000) 163,824 (8.39%) 0 850 0.00% 0 3,000 0.00% 28,325 800,840 3.67% 0 (500) 0.00% (3,408) (163,802) 2.12% (3,408) (164,302) 2.12% 0 0 0.00% 24,917 636,538 4.07% 2124 Civic Centre Expenditures 2124 .1100.0000 Salaries & Wages Base Salaries and Wages City of Pickering . 2020 Approved Background Information Total 2124.1100.0000 Salaries & Wages 2124 .1200 .0000 Overtime To meet service level/workload commitments Total 2124.1200.0000 Overtime 2124 .1400.0000 Employer Contributions This item includes mandatory deductions (CPP, El , EHT) and employer provided benefits such as extended health and dental Total 2124.1400.0000 Employer Contributions 2124.1900.0000 Uniforms Uniforms Total 2124.1900.0000 Uniforms 2124 .2140.0000 Telephones Run Date: 6/10/20 1 :38 PM 2020 Bud et 245,059 245,059 5,500 5,500 58,616 58,616 2,000 2,000 Voice/Data 3,740 Internet 495 Total 2124.2140.0000 Telephones 2124 .2340.0000 Seminars & Education Energy Management Seminars Total 2124.2340.0000 Seminars & Education 2124.2370.0000 Insurance Premium Annual cost ot'insurance policy that provides protection for municipal activities and property. (Policy coverage includes: liability, automobile and property). Total 2124.2370.0000 Insurance Premium 2124 .2371 .0000 Insurance Deductible Insurance Deductible Total 2124.2371.0000 Insurance Deductible 2124.2392.0000 Consulting & Professional Roof Safety System Inspection Total 2124.2392.0000 Consulting & Professional 2124 .2399.0000 Outside Agency Services Security Contract Base Hospital Support Defibrillation Program Technical support Fire Alarm and Security Monitoring Contract Defibrillator Monitoring Contract Total 2124.2399.0000 Outside Agency Services 163 4,235 1,000 1,000 3,065 3,065 1,000 1,000 2,000 2,000 110,180 _ 1,000 4,800 1,600 300 117,880 City of Pickering 2020 Approved Background Information 2124 Civic Centre 2124.2435.0000 Building Repairs & Mainte Provision. for building repairs & services Provision for furniture repairs Provision for supplies Misc. Costs (outside lighting, signage, etc.) (50% with Library) Underground -power washing/floor repairs/line painting Provision for inspection and replacement of worn components (HVAC system) GE Lighting -Transformer Maintenance Card Access System Window, door and lock repair/replacement Tower Clock Inspection & Repairs Carpet Service -Mats Carpet Cleaning Snow Removal, 50% of costs shared with Library Window Washing Council Chambers Sound System Repairs Painting & Drywall Repairs Standby Generator (diesel generator) -Cost shared with Library York Centrifugal Chiller & Starters -Cost shared with Library Boilers -Cost shared with Library Elevator -Cost shared with Library Fire Alarm, Sprinkler System & Fire Extinguishers -Cost shared with Library Overhead garage doors Electrical Safety Authority (yearly inspection fee as per legislation under Electrical Code) Energy Management System -Service Contract Switch Station Sub Panel Inspection -cost shared with Library Chemical treatment of boilers and condensing equipment (50% costs shared with Library) Security Camera Repairs & Replacement Drinking fo.untain and water bottle filling station Electronic key cabinet replacement City Crest cleaning (biannual) Total 2124.2435.0000 Building Repairs & Mainte 2124.2478.0000 Misc.Equipment Repairs & Cleaning machine repairs and service Total 2124.2478.0000 Misc.Equipment Repairs & 2124.2479.0000 Sfwr/Hdwr Maint Contracts Maintenance -HRIS -new 164 Run Date: 6/10/20 1 :38 PM 2020 Bud et 25,000 4,000 12,000 6,000 7,000 19,500 1,575 3,150 5,000 1,500 2,000 3,500 13,000 2 ,020 3,000 3,000 3,000 1,995 3,000 4,600 3,200 1,000 3,328 2,000 1,000 3,000 1,400 4 ,600 2,275 5,000 150,643 1,500 1,500 661 City of Pickering 2020 Approved Background Information 2124 Civic Centre Total 2124.2479.0000 Sfwr/Hdwr Maint Contracts 2124 .2678.0000 Misc Equipment Rentals Rental of tools for specific jobs Total 2124.2678.0000 Misc Equipment Rentals 2124 .5510.0000 Utilities -Water Budget based on 2019 projected actuals and reg ional water rate increase in 2020 Total 2124.5510.0000 Utilities -Water 2124.5520.0000 Utilities -Gas Budget based on 2019 projected actuals Total 2124.5520.0000 Utilities -Gas 2124 .5530.0000 Utilities -Hydro Budget based on 2019 projected actuals and rate increase in 2020 Total 2124.5530.0000 Utilities -Hydro 2124.5550.0000 Cable TV Local cable TV charges for Civic Complex building . Total 2124.5550.0000 Cable TV 2124.5902.0000 Supplies & Tools First Aid & Safety supplies Small tools Total 2124.5902.0000 Supplies & Tools Total Expenses Revenues 2124 .9916 .0000 Vending Machines Civic Complex vending machine sales Total 2124.9916.0000 Vending Machines 2124 .9954.0000 Net Rev-Clning Chrgbk Janitorial staff -City (cost recovery from Library) Janitorial staff -City (cost from Operations Adm .) Total 2124.9954.0000 Net Rev-Clning Chrgbk Total Revenues Total Transfers Net Expenses 165 Run Date : 6/10/20 1 :38 PM 2020 Bud et 661 500 500 14,480 14,480 25,027 25,027 163,824 163 ,824 850 850 2 ,500 500 3,000 800,840 (500) (500) (121,313) (42,489) (163 ,802) (164,302) 0 636 ,538 2572 Senior Citizens Centre 2018 Actuals Expenditures 1100 Salaries & Wages 282,280 1200 Overtime 7,688 1400 Employer Contributions 56,407 1900 Uniforms 758 2110 Travel 705 2131 Cellular Phones 0 2140 Telephones 3,335 2210 Advertising 131 2340 Seminars & Education 1,170 2370 Insurance Premium 2,347 2394 Recpt, Prom & Sp Events 22,131 2395 Memberships 450 2399 Outside Agency Serv 1,463 2435 Build Repairs & Mtce 65,252 2479 Software/Hardware Maintenanc 1,766 5320 Athletic Equip. Playroom 3,400 5510 Utilities -Water 5,006 5520 Utilities -Gas 6,215 5530 Utilities -Hydro 23,867 5902 Supplies & Tools 1,657 5973 Minor Furniture & Fixtures 0 Total Expenditures 486,028 Revenues 1623 Ont. Specific Grants (107,487) 9955 Programs (39,330) 9990 Other Misc Revenue (589) 9950 EventVendorFees (3,666) 9980 Sponsorships No Tax (75) 9985 Marketing Sponsorships (2,400) Total Revenues (153,547) Transfers to/from Reserves & R.F. Total Transfers 0 Net 332,481 City of Pickering 2020 Current Budget Approved Final 2019 2019 YTD Approved Actuals Budget 276,441 303,656 5,806 6,000 52,943 55,639 774 800 763 700 0 0 3,080 3,272 0 200 3,334 4,300 2,347 2,347 31,598 40,250 450 500 3,662 4,170 60,951 78,000 1,902 2,610 5,435 2,300 5,149 6,655 4,546 8,780 24,226 32,152 1,461 2,100 977 1,000 485,845 555,431 (135,612) (135,000) (38,686) (53,000) (460) 0 (5,875) (3,500) (7,500) (500) (200) (2,000) (188,333) (194,000) 0 0 297,512 361,431 166 Run Date: 6/10/201:35 PM 2020 INC./DEC. ·Approved % CHGE. Budget 2019 1,274 304,930 0.42% 0 6,000 0.00% 6,597 62,236 11.86% 0 800 0.00% 100 800 14.29% 600 600 0.00% 1,833 5,105 56.02% 2,800 3,000 1,400.00% 1,000 5,300 23.26% 43 2,390 1.83% (5,750) 34,500 (14.29%) 325 825 65.00% 5,410 9,580 129.74% 5,640 83,640 7.23% 100 2,710 3.83% 0 2,300 0.00% 265 6,920 3.98% (1,000) 7,780 (11.39%) (3,000) 29,152 (9.33%) 0 2,100 0.00% (400) 600 (40.00%) 15,837 571,268 2.85% (5,400) (140,400) 4.00% 0 (53,000) 0.00% 0 0 0.00% (300) (3,800) 8.57% 0 (500) 0.00% 0 (2,000) 0.00% (5,700) (199,700) 2.94% 0 0 0.00% 10,137 371,568 2.80% 2572 Senior Citizens Centre Expenditures 2572 .1100.0000 Salarfes & Wages Base Salaries and Wages City of Pickering 2020 Approved Background Information Total 2572.1100.0000 Salaries & Wages 2572.1200.0000 Overtime To meet service level/workload commitments Total 2572.1200.0000 Overtime 2572.1400 .0000 Employer Contributions This item includes mandatory deductions (CPP, El, EHT) and employer provided benefits such as extended health and dental Total 2572.1400.0000 Employer Contributions 2572 .1900.0000 Uniforms As per the Collective Agreement Total 2572.1900.0000 Uniforms 2572 .211 O. 0000 Travel Parking & Mileage Total 2572.2110.0000 Travel 2572 .2131.0000 Cellular Phones Annual smartphone charges (Coordinator, Recreation Programs) Total 2572.2131.0000 Cellular Phones 2572 .2140.0000 Voice/ Data Cable Internet Telephones Total 2572.2140.0000 Telephones 2572.2210.0000 Advertising Display and promotion Marketing Materials (offset by New Horizo_ns Grant -CAPES) Total 2572.2210.0000 Advertising 2572 .2340.0000 Seminars & Education Older Adults Centre's Association (OACAO) Seniors Conference -Coordinator, Recreation Programs Ontario Recreation Facilities Association (ORFA) Advances Rec. Facilities Business Mgmt. II Course -Coard., Rec. Programs Defibrillator Training Total 2572.2340.0000 Seminars & Education 2572 .2370.0000 Insurance Premium 167 Run Date: 6/10/20 1 :38 PM 2020 Bud et 304,930 304,930 6,000 6,000 62,236 62,236 800 800 800 800 600 600 3,390 1,590 125 5,105 1,000 2,000 3,000 850 2,600 1,850 5,300 City of Pickering 2020 Approved Background Information 2572 Senior Citizens Centre Annual cost of insurance policy that provides protection for municipal activities and property. (Policy coverage includes: liability, automobile and property). Total 2572.2370.0000 Insurance Premium 2572 .2394.0000 Rec/Prom & Sp .Ev./Gen P/R Big Band Events Poinsettia Tea Mayo r's Light Tour Seniors' Month Celebration -June each year Guest Speakers and Event Supplies (offset by New Horizons Grant -CAPES) Sound and Lighting (offset by New Horizons Grant -CAPES) Food and Refreshments (offset by New Horizons Grant -CAPES) Total 2572.2394.0000 Rec/Prom & Sp.Ev./Gen P/R · 2572.2395 .0000 Memberships Older Adult Centres Association of Ontario Total 2572.2395.0000 Memberships 2572.2399 .0000 Outside Agency Services Tai Chi Society Program Base Hospital Support Defibrillation Program Fire Alarm & Security Monitoring Contract Defibrillator Monitoring Contract Transportation (offset by New Horizons Grant -CAPES) Total 2572.2399.0000 Outside Agency Services 2572.2435.0000 Building Repairs & Mainte Seniors Active Living Centre Special Projects -ESCC (offset by SALC Special Projects Grant) Seniors Active Living Centre Special Projects -GALCC (offset by SALC Special Projects Grant) Caretaking supplies General supplies Electrical and Plumbing Doors , Windows & Locks Snow Ploughing & Salting Carpet Cleaning Service Painting & Plaster Repairs HVAC Servicing General Repairs and Maintenance Boiler Repair and Maintenance Fire Alarm , Sprinkler System and Fire Extinguisher Inspection 168 Run Date: 6/10/20 1 :38 PM 2020 Bud et 2,390 2,390 3,700 6 ,000 3 ,000 2 ,500 10,000 4,300 5,000 34,500 825 825 3,300 1,000 1 ,400 180 3,700 9 ,580 15,000 15,000 6,300 2 ,100 4 ,000 2,000 16,640 2,000 5,500 3 ,000 4,000 1,000 3,500 City of Pickering 2020 Approved Background Information 2572 Senior Citizens Centre Emergency Lighting Energy Management -Service Contract TSSA Inspection and Maintenance lift Chairlift Inspection Total 2572.2435.0000 Building Repairs & Mainte 2572 .2479.0000 Sfwr/Hdwr Maint Contracts Maintenance -MySeniorCentre software Maintenance -HRIS -new Total 2572.2479.0000 Sfwr/Hdwr Maint Contracts 2572.5320.0000 Athletic Equip & Playroom To assist in the provision of supplies and equipment for various Older Adult Programs. Program supplies offset completely by revenue Total 2572.5320.0000 Athletic Equip & Playroom 2572.5510 .0000 Utilities -Water Budget based on 2019 projected actuals and regional water rate increase in 2020 Total 2572.5510.0000 Utilities -Water 2572.5520.0000 Utilities -Gas Budget based on 2019 projected actuals Total 2572.5520.0000 Utilities -Gas 2572.5530.0000 Utilities -Hydro Budget based on 2019 projected actuals and rate increase in 2020 Total 2572.5530.0000 Utilities -Hydro 2572 .5902.0000 Supplies & Tools First Aid & Safety (replacement) and Small tools (replacement) Total 2572.5902.0000 Supplies & Tools 2572.5973.0000 Furniture & Fixtures Office and guest chairs replacement Total 2572.5973.0000 Furniture & Fixtures Total Expenses Revenues 1623.2572.0000 Ont Grant -Senior Citize Seniors Active Living Centre Operating Grant (ESCC) Seniors Active Living Centre Operating Grant (GACC) Seniors Active Living Centre Special Projects Grant (ESCC) Seniors Active Living Centre Special Projects Grant (GALCC) New Horizons Grant -Combating Ageism and Promoting the Engagement of Seniors (CAPES) 169 Run Date: 6/10/20 1:38 PM 2020 Bud et 500 500 1,600 1,000 83,640 1,900 810 2,710 2,300 2,300 6,920 6 ,920 7,780 7,780 29,152 29,152 2,100 2,100 600 600 571,268 (42,700) (42,700) (15,000) (15,000) (25,000) City of Pickering 2020 Approved Background Information 2572 Senior Citizens Centre Total 1623.2572.0000 Ont Grant -Senior Citize 2572.9950.0000 Seniors Events/Prgms Seniors Events -Ticket Sales & Sponsorship Total 2572.9950.0000 Seniors Events/Prgms 2572 .9955.0000 Older Adu lts 55+ Programs Arts & Crafts Dancing Total 2572.9955.0000 Older Adults 55+ Programs 2572.9980.0000 Sponsorships Seniors Events Sponsorships (No tax) Total 2572.9980.0000 Sponsorships 2572 .9985.0000 Marketing Sponsors Senior Events Marketing Sponsorships (Taxable) , Total Revenues Total Transfers Net Expenses Total 2572.9985.0000 Marketing Sponsors 170 Run Date: 6/10/20 1:38 PM 2020 Bud et (140,400) (3,800) (3,800) (32,000) (21,000) (53 ,000) (500) (500) (2,000) (2,000) (199,700) 0 371 ,568 2712 Programs 2018 Actuals Expenditures 1100 Salaries & Wages 518,833 1100 Salaries & Wages -Prg. 1,002,975 1200 Overtime 12,587 2712 0001 Program Overtime 3,760 1400 Employer Contributions 177,780 1900 Uniforms 4,449 2110 Travel 2,154 2131 Cellular Phones 1,618 2140 Telephones 2,588 2220 Subscription & Publications 0 2340 Seminars & Education 4,462 2365 Purch Prnting/Broch/News Ur 51,144 2370 Insurance Premium 9,146 2371 Ins. Deductible 895 2394 Recpt, Prom & Sp Events 3,250 2395 Memberships 1,730 2399 Outside Agency Serv 80,672 2478 Misc Equip Repairs 0 2479 Software/Hardware Maintenan< 0 2642 Community Use of Schools 2,979 2712 Prgm -Build Rentals 200,000 5302 Forms 0 2712 Event Supplies 230,753 2712 Prgms Supplies 99,801 5330 Drop-In Centre Supplies 2,615 5902 Supplies & Tools 1,045 5978 Misc. Equipment 5,178 Total Expenditures 2,420,414 Revenues 1610 Federal Grant (50,921) 1623 Ont. Specific Grants (6,204) 9397 Program Registrations (1,849,534) 9940 Advertising Space (18,762) 9990 Other Misc Revenue (2,752) 9950 EventVendorFees (6,272) 9980 Sponsorships No Tax (725) 9985 Marketing Sponsorships (9,084) Total Revenues (1,944,254) City of Pickering 2020 Current Budget Approved Final 2019 2019 YTD Approved Actuals Budget 533,637 567,339 1,040,359 953,650 14,413 16,900 5,002 0 210,214 169,262 4,832 5,000 2,202 3,200 1,387 1,500 1,588 2,351 0 100 2,091 2,700 57,971 57,000 9,146 9,146 0 0 2,911 3,000 1,018 1,200 71,834 102,300 0 200 0 4,057 1,733 3,500 196,000 196,000 0 500 308,462 258,275 85,876 113,250 3,753 4,400 2,203 2,800 3,416 7,000 2,560,048 2,484,630 (43,935) (41,000) (10,382) (14,400) (2,000,067) (1,892,900) (22,988) (22,000) (7,840) (7,500) (6,169) (8,550) (42,900) (1,500) (2,646) (10,000) (2,136,927) (1,997,850) 171 Run Date: 6/10/201:35 PM 2020 INC./DEC. Approved % CHGE. Budget 2019 6,742 574,081 1.19% 11,985 965,635 1.26% 0 16,900 0.00% 0 0 0.00% 29,528 198,790 17.45% 0 5,000 0.00% 0 3,200 0.00% 0 1,500 0.00% 119 2,470 5.06% 0 100 0.00% 4,700 7,400 174.07% 0 57,000 0.00% 164 9,310 1.79% 0 0 0.00% 0 3,000 0.00% 0 1,200 0.00% (10,300) 92,000 (10.07%) 0 200 0.00% 0 4,057 0.00% 0 3,500 0.00% 0 196,000 0.00% 0 500 0.00% 32,750 291,025 12.68% (1,535) 111,715 (1.36%) 0 4,400 0.00% 0 2,800 0.00% 0 7,000 0.00% 74,153 2,558,783 2.98% (8,000) (49,000) 19.51% 0 (14,400) 0.00% (52,000) (1,944,900) 2.75% 0 (22,000) 0.00% (850) (8,350) 11.33% (1,600) (10,150) 18.71% (2,500) (4,000) 166.67% 0 (10,000) 0.00% (64,950) (2,062,800) 3.25% 2712 Programs 2018 Actuals Transfers to/from Reserves & R.F. Total Transfers 0 Net 476,160 City of Pickering 2020 Current Budget Approved Final 2019 2019 YTD Approved Actuals Budget 0 0 423,121 486,780 172 Run Date: 6/10/20 1:35 PM 2020 INC./DEC. Approved % CHGE. Budget 2019 0 0 0.00% 9,203 495,983 1.89% City of Pickering 2020 Approved Background Information 2712 Programs Expenditures 2712 .1100.0000 Salaries & Wages Base Salaries and Wages Conversion of Event Coordinator term position to a permanent part-time position and increase in hours from 1,300 to 1,600 hrs (net cost) Increase in hours (212) for Coordinator, Youth Programs term positions Increase in hours (7) for Coordinator, Special Needs & Volunteers position Total 2712.1100.0000 Salaries & Wages 2712.1100.9000 PROGRAMS SALARIES & WAGES Dance Prg -(9301) Languages Prg -(9306) Summer Camps -3 to 12 Prg ~ (9307) Fitness Prg -(9314) . Learn to Swim Prg -(9316) March Break Camp Prg -(9320) Arts Prg -(9321) Pre-School Skating Prg -(9325) Badminton Prg -(9334) Babysitting Prg -(9338) Volleyball Prg -(9339) Karate Prg -(9340) Pre-School Prg -(9353) Youth Prgms Prg -(9361) Pre Teen Dances Prg -(9362) Kindergym Prg -(9369) Adult Leisure Prg -(9384) Standby Allowance Prg -(9388) New Programs Prg -(9999) Camps 13+ Prg -(9319) Total 2712.1100.9000 PROGRAMS SALARIES & WAGES 2712.1200.0001 C.S.& F.-Overtime To meet service level/workload commitments Working Stat Holidays (i.e . Family Day) Total 2712.1200.0001 C.S.& F.-Overtime 2712 .1400.0000 Employer Contributions This item includes mandatory deductions (CPP, El, EHT) and employer provided benefits such as extended health and dental Benefit costs related to contract program instructors 173 Run Date: 6/10/201:38 PM 2020 Bud et 552,811 16,596 4,525 149 574 ,081 14,000 1,235 270,000 35,000 379,000 30,000 40,000 7,000 2,500 400 3,000 8,500 35,000 41,000 9,000 24,000 400 40,000 10,000 15,600 965 ,635 11,900 5,000 16,900 119,143 77,250 City of Pickering 2020 Approved Background Information 2712 Programs Annual cost of i nsurance policy that provides protection for municipal activities and property. (Policy coverage includes : liability, automobile and property). Total 2712.2370.0000 Insurance Premium 2712 .2394.0000 · Recpt,Prom . & Sp.Ev.,Gen Sponsorship Program (100% offset by sponsorship revenue) Total 2712.2394.0000 Recpt,Prom . & Sp.Ev.,Gen 2712.2395 .0000 Memberships High Five Annual Renewal Total 2712.2395.0000 Memberships 2712 .2399 .9307 Outsd Agney-Sum Camp 3-12 Contracted Programs and Services Total 2712.2399.9307 Outsd Agney-Sum Camp 3-12 2712 .2399 .9316 C .S. & F. Outside Ag. Swi Busing for Swim to Survive Program Total 2712.2399.9316 C.S. & F. Outside Ag. Swi 2712.2399.9320 Outsd Agney-Mar Brk Camps Contracted Programs and Services Total 2712.2399.9320 Outsd Agney-Mar Brk Camps 2712.2399.9362 Outsd Agney-Pre Teen Contracted Services Total 2712.2399.9362 Outsd Agney-Pre Teen 2712.2478.0000 Misc.Equipment Repairs & To cover repairs and maintenance for various equipment Total 2712.2478.0000 Misc.Equipment Repairs & 2712.2479.0000 Sfwr/Hdwr Maint Contracts Maintenance -HRIS -new Total 2712.2479.0000 Sfwr/Hdwr Maint Contracts 2712 .2642.0000 Community Use of Schools Custodian wages for General Recreation Programs Total 2712.2642.0000 Community Use of Schools 2712 .2648.0000 C.S & F Prag Summer camp rentals Learn to swim rentals March break rentals Arts rentals Pre-school skating Pre-school rentals Pre -teen dances rentals Prg -(9307) Prg -(9316) Prg -(9320) Prg -(9321) Prg -(9325) Prg -(9353) Prg -(9362) 175 Run Date: 6/10/20 1 :38 PM 2020 Bud et 9,310 9,310 3,000 3,000 1,200 1,200 40,000 40 ,000 36,400 36,400 3 ,000 3,000 12,600 12 ,600 200 200 4,057 4,057 3,500 3 ,500 10,000 164,000 1,000 3,700 5,000 4 ,000 6 ,300 2712 Programs City of Pickering 2020 Approved Background Information Kindergym rentals Prg -(9369) Total 2712 .2648.0000 C.S & F Prog 2712.5302.0000 Forms Pre-printed confirmation paper and cash application forms for Escom computer system Total 2712.5302.0000 Forms 2712.5320 .0000 C.S & F Prag. Supp Dance supplies Prg -(9301) Summer camp supplies Prg -(9307) Fitness supplies Prg -(9314) Learn to swim supplies Prg -(9316) Camps -13+ supplies Prg -(9319) March break camp supplies Prg -(9320) Arts supplies Prg -(9321) Pre-school skating supplies Prg -(9325) Badminton supplies Prg -(9334) Volleyball supp lies Prg -(9339) Karate supplies Prg -(9340) Pre -school supplies Prg -(9353) Youth program supplies Prg -(9361) Pre -teen dance supplies Prg -(9362) Kindergym supplies Prg -(9369) New program supplies Prg -(9999) Total 2712.5320.0000 C.S & F Prog. Supp 2712 .5320 .9000 Community Events Cultural Fusion Festival Event Supplies Special Events General Liability Coverage Total 2712.5320.9000 Community Events 2712 .5320 .9001 Canada Day Community Grps Supplies used by community groups for Canada Day. Cost partially offset by donations from the community . Total 2712.5320.9001 Canada Day Community Grps 2712.5320.9002 Canada Day-Daytime Jersey Barriers Electrical & Generator Rental Citizenship Ceremony in Council Chambers on Canada Day Rentals of various equipment 176 Run Date: 6/10/20 1 :38 PM 2020 Bud et _ 2 ,000 196,000 500 500 350 12 ,000 20,000 32 ,000 3,400 2 ,500 13 ,000 315 1,200 1 ,100 350 2,000 8,000 4,750 750 10 ,000 111 ,715 18 ,000 10,000 21,000 49,000 . 12,000 12,000 15,100 6 ,000 6,125 5,900 City of Pickering 2020 Approved Background Information 2712 Programs Total 2712.5320.9002 Canada Day -Daytime 2712 .5320.9003 Canada Day -Evening Mainstage & Evening Program Fireworks Police, Security & EMS Total 2712.5320.9003 Canada Day -Evening 2712.5320.9004 Supplies-Celebrate Winter Various supplies used for Winterfest Fireworks Total 2712.5320.9004 Supplies-Celebrate Winter 2712.5320.9006 Community Grp Activity Community Engagement Activities Santa Claus Parade Remembrance Day Events Easter Parade Total 2712.5320.9006 Community Grp Activity 2712.5320.9007 Waterfront Events Thursday and Sunday concerts (entertainers, socan fees, etc .) Driftwood Theatre Total 2712.5320.9007 Waterfront Events 2712.5320.9008 Youth Events Youth Events Total 2712.5320.9008 Youth Events 2712.5320.9009 Artfest Various costs such as : Rentals, Sound Technician, Performances, Setup and Craft supplies Total 2712.5320.9009 Artfest 2712 .5320.9010 Civic Awards Costs associated with hosting this event Total 2712.5320.9010 Civic Awards 2712.5320.9013 New Years Countdown Various supplies related to this event such as entertainment, decorations and refreshments Total 2712.5320.9013 New Years Countdown 2712.5320.9014 Mayor's Levee Costs associated with holding this event on January 1st such as catering, entertainment and prizes Total 2712.5320.9014 Mayor's Levee 177 Run Date: 6/10/20 1 :38 PM 2020 Bud et 33,125 47,500 23,000 22,000 92,500 26,000 6 ,000 32,000 10,150 2,000 1,550 500 14,200 12,600 3,000 15,600 9,000 9,000 7,700 7,700 12,400 12,400 5,000 5,000 8,500 8,500 City of Pickering 2020 Approved Background Information 2712 Programs 2712.5330 .0000 Drop in Centre Supplies Assist in provision of supplies and equipment for various Youth and Teen Programs Total 2712.5330.0000 Drop in Centre Supplies 2712.5902 .0000 Supplies & Tools Various Sports Equipment for Youth and Teen Programs First Aid Supplies (replacement) Various Camp Equipment (replacement) Total 2712.5902.0000 Supplies & Tools 2712.5978 .0000 Misc. Equipment Program equipment for youth programs & camps (gaming equipment & accessories, various games, sports equipment) Program equipment for kindergym & preschool programs . Replacements : kindergym equipment; creative centre equipment Total 2712.5978.0000 Misc. Equipment Total Expenses Revenues 1610.2712.0000 Federal Pgm Grants Program Grant -Federal Celebrate Canada Grant Total 1610.2712.0000 Federal Pgm Grants 1623.2712.0000 Ont Grant -Programs Swim to Survive Program Total 1623.2712.0000 Ont Grant -Programs 2712 .9397.9301 REV-DANCE Program Registrations Total 2712.9397.9301 REV-DANCE 2712.9397.9306 REV-LANGUAGES Program -Languages Total 2712.9397.9306 REV-LANGUAGES 2712.9397.9307 REV-SUMMER CAMPS-3 TO 12 Program -Summer Camps Total 2712.9397.9307 REV-SUMMER CAMPS-3 TO 12 2712 .9397.9314 REV-FITNESS CLASSES Program -Fitness Total 2712 .9397.9314 REV-FITNESS CLASSES 2712.9397 .9316 REV-AQUATICS 178 Run Date: 6/10/20 1 :38 PM 2020 Bud et 4,400 4,400 2,000 400 400 2,80.0 3 ,000 4 ,000 7 ,000 2,558,783 (25,000) (24,000) (49 ,000) (14,400) (14,400) (37,000) (37,000) (2,700) (2,700) (473,000) (473,000) (90,000) (90,000) City of Pickering 2020 Approved Background Information 2712 Programs Program -Learn to swim Total 2712 .9397.9316 REV-AQUATICS 2712.9397 .9319 REV-SUMMER CAMPS 13+ Program -Camps age 13 + Total 2712.9397.9319 REV-SUMMER CAMPS 13+ 2712 .9397 .9320 REV-CAMPS-SPRING BREAK Program -March Break Camp Total 2712.9397.9320 REV-CAMPS-SPRING BREAK 2712 .9397 .9321 REV-ART/CARTOONING Program -Arts Total 2712.9397.9321 REV-ART/CARTOONING 2712 .9397 .9325 REV-PRESCHOOL SKATING Program -Pre-School Skating Total 2712.9397.9325 REV-PRESCHOOL SKATING 2712 .9397.9334 REV-BADMINTON Prog ram -Badminton Total 2712.9397.9334 REV-BADMINTON 2712.9397.9338 REV-BABYSITTER TRAINING Program -Babysitting Total 2712.9397.9338 REV-BABYSITTER TRAINING 2712 .9397 .9339 REV-VOLLEYBALL Program -Volleyball Total 2712.9397.9339 REV-VOLLEYBALL 2712 .9397.9340 REV-KARATE Program -Karate Total 2712.9397.9340 REV-KARATE 2712 .9397 .9353 REV-PRESCHOOL ACTIVITIES Program -Pre-School Total 2712.9397 .9353 REV-PRESCHOOL ACTIVITIES 2712 .9397.9361 REV-YOUTH PRGM Program -Youth programs Total 2712.9397.9361 REV-YOUTH PRGM 2712.9397.9362 REV-PRE-TEEN Program -Pre-teen dances Total 2712.9397.9362 REV -PRE-TEEN 2712 .9397 .9369 REV-KINDERGYM Program -Kindergym Total 2712.9397.9369 REV-KINDERGYM 179 Run Date: 6/10/20 1 :38 PM . 2020 Bud et (866 ,000) (866,000) (42,000) (42 ,000) (60,000) (60,000) (80,000) (80,000) (17 ,000) (17,000) (17 ,000) (17 ,000) (1,200) (1 ,200) (12 ,000) (12 ,000) (20,000) (20,000) (55,000) (55,000) (70,000) (70 ,000) (34 ,000) (34,000) (47,000) (47 ,000) City of Pickering 2020 Approved Background Information 2712 Programs 2712.9397.9384 REV-ADULT LEISURE Program -Adult Leisure Total 2712.9397.9384 REV-ADULT LEISURE 2712.9397 .9999 Prag Rev -New Programs New Programs Total 2712.9397.9999 Prog Rev -New Programs 2712.9940.0000 Advertising Space Sale of advertising space in City Brochures -Spring/ Summer Fall Advertisers Winter Advertisers Total 2712.9940.0000 Advertising Space 2712.9950.9001 Event Vendor Fees-Can Day Food Vendor & Activation Sales Total 2712.9950.9001 Event Vendor Fees-Can Day 2712.9950.9004 Event Vendor Fees Food Vendors Total 2712.9950.9004 Event Vendor Fees 2712.9950.9009 Artfest Food Vendors Booth Fees Total 2712.9950.9009 Artfest 2712.9980.9000 General Sponsorships General Events Sponsorships (No tax) Total 2712.9980.9000 General Sponsorships 2712 .9985.9004 Tree Lghtng Mrktng Spnsr Tree Lighting Marketing Sponsorships (Taxable) Total 2712.9985.9004 Tree Lghtng Mrktng Spnsr 2712 .9985.9007 Smmr Cncrt Mrktng Spnsrs Esplanade and Waterfront Concerts Marketing Sponsorships (Taxable) Total 2712.9985.9007 Smmr Cncrt Mrktng Spnsrs 2712 .9990 .0001 Other Revenue Revenue generated from charges to community school user groups to offset security costs Total 2712.9990.0001 Other Revenue 2712.9990.9001 Other Rev -Canada Day Donations from various community groups to be used to partially offset supply costs used for Canada Day Total 2712.9990.9001 Other Rev -Canada Day 180 Run Date: 6/10/20 1 :38 PM 2020 Bud et (1,000) {1,000) (20,000) (20,000) (10,000) (6,000) (6,000) (22,000) (2,600) {2,600) (2,250) (2 ,250) (500) (4,800) {5,300) (4,000) (4,000) (5,000) (5,000) (5,000) (5,000) (3 ,350) (3,350) (5,000) (5,000) 2712 Programs Total Revenues Total Transfers Net Expenses City of Pickering 2020 Approved Background Information 181 Run Date: 6/10/20 1:38 PM 2020 Bud et (2,062,800) 0 495,983 2713 Dunbarton Pool 2018 Actuals Expenditures 1100 Salaries & Wages 209,737 1200 Overtime 2,170 1400 Employer Contributions 46,602 1900 Uniforms 1,495 2110 Travel 66 2131 Cellular Phones 375 2140 Telephones 6,099 2340 Seminars & Education 948 2370 Insurance Premium 1,659 2371 Ins. Deductible 1,526 2392 Consulting & Professional 1,400 2395 Memberships 98 2399 Outside Agency Serv 1,900 2435 Build Repairs & Mtce 36,205 2478 Misc Equip Repairs 1,581 2479 Software/Hardware Maintenanc 0 5300 Stationery & Office Supplies 138 5520 Utilities -Gas 35,328 5902 Supplies & Tools 743 Total Expenditures 348,070 Revenues 9943 Memberships-Pool/Health Glut (8,000) 9923 Admissions -Public Swimming (4,580) 9932 Rentals -Pool (110,369) Total Revenues (122,949) Transfers to/from Reserves & R.F. Total Transfers 0 Net 225,121 City of Pickering 2020 Current Budget Approved Final 2019 2019 YTD Approved Act1,1als Budget 228,659 213,462 936 2,000 41,794 53,077 1,957 2,200 131 200 324 500 4,804 6,047 920 1,370 1,659 1,659 0 0 0 0 100 110 1,183 2,120 59,913 47,800 0 1,500 0 569 237 350 27,181 39,951 592 2,000 370,390 374,915 (8,000) (8,000) (4,686) (5,000) (116,859) (122,000) (129,545) (135,000) 0 0 240,845 239,915 182 Run Date: 6/10/20 1:35 PM 2020 INC./DEC. Approved % CHGE. Budget 2019 13,758 227,220 6.45% 200 2,200 10.00% 4,752 57,829 8.95% (200) 2,000 (9.09%) 0 200 0.00% 0 500 0.00% (947) 5,100 (15.66%) 0 1,370 0.00% 31 1,690 1.87% 0 0 0.00% 12,000 12,000 0.00% 10 120 9.09% (40) 2,080 (1.89%) (10,500) 37,300 (21.97%) 1,500 3,000 100.00% 0 569 0.00% (50) 300 (14.29%) (5,000) 34,951 (12.52%) 6,661 8,661 333.05% 22,175 397,090 5.91% 0 (8,000) 0.00% 0 (5,000) 0.00% 12,000 (110,000) (9.84%) 12,000 (123,000) (8.89%) 0 0 0.00% 34,175 274,090 14.24% 2713 Dunbarton Pool Expenditures 2713 .1100 .0000 Salaries & Wages Base Salaries and Wages City of Pickering 2020 Approved Background Information One new full time Facility Maintenance Person to meet regulatory required pool checks -start date April 1, 2020 (cost shared 50 :50 with 2733) Reduction in hours (471 hrs) for Facility Attendant part time positions Total 2713.1100.0000 Salaries & Wages 2713.1200.0000 Overtime To meet service level/workload commitments Total 2713.1200.0000 Overtime 2713 .1400 .0000 Employer Contributions This item includes mandatory deductions (CPP, El , EHT) and employer provided benefits such as extended health and dental Benefits related to one new full time Facility Maintenance Person to meet regulatory required pool checks -start date April 1, 2020 (cost shared 50 :50 with 2733) Benefits related to reduction in hours (471 hrs) for Facility Attendant part time positions Total 2713.1400.0000 Employer Contributions 2713 .1900 .0000 Uniforms As per the Collective Agreement Total 2713 .1900.0000 Uniforms 2713.2110.0000 Travel Parking & Mileage Total 2713.2110.0000 Travel 2713 .2131 .0000 Cellular Phones Cell Phone Charges Total 2713.2131.0000 Cellular Phones 2713 .2140.0000 Telephones Voice/ Data Internet Total 2713.2140.0000 Telephones 27 13.2340 .0000 Seminars & Education Defibrillator Training & Recertification -Various staff Certified Pool Operator Train i ng -Facility Maintenance staff Total 2713.2340.0000 Seminars & Education 2713.2370.0000 Insurance Premium 183 Run Date: 6/10/20 1:38 PM 2020 Bud et 214,530 22 ,952 (10,262) 227,220 2 ,200 2,200 50 ,971 7,645 (787) 57 ,829 2,000 2,000 200 200 500 500 4,215 885 5 ,100 920 450 1,370 City of Pickering 2020 Approved Background Information 2713 Dunbarton Pool Annual cost of insurance policy that provides protection for municipal activities and property. (Policy coverage includes: liability, automobile and property). Total 2713.2370.0000 Insurance Premium 2713.2392.0000 Consulting & Professional Roof Structure Audit Total 2713.2392.0000 Consulting & Professional 2713.2395.0000 Memberships Life Saving Society Total 2713.2395.0000 Memberships 2713 .2399.0000 Outside Agency Services Base Hospital Support Defibrillation Program Pool Inspection & Audit Defibrillator Monitoring Contract Total 2713.2399.0000 Outside Agency Services 2713.2435 .0000 Building Repairs & Mainte Caretaking supplies General supplies Chlorine and Chemicals Motors, Belts & Filters Door, Window & Lock Repairs/Replacement General repairs and maintenance Electrical and Plumbing Minor roof and wall repairs Heating and Air Handling (contract) Boiler repair and maintenance (contract) Energy Management -Service Contact Chemical treatment of boilers & condens ing equipment Total 2713.2435.0000 Building Repairs & Mainte 2713.2478.0000 Misc.Equipment Repairs & Automatic Pool Vacuum repairs & maintenance Cleaning machine services & repairs Total 2713.2478.0000 Misc.Equipment Repairs & 2713 .24 79.0000 Sfwr/Hdwr Maint Contracts Maintenance -HRIS -new Total 2713.2479.0000 Sfwr/Hdwr Maint Contracts 2713.5300 .0000 Stationery & Office Suppl General office supplies Total 2713.5300.0000 Stationery & Office Suppl 184 Run Date: 6/10/20 1:38 PM 2020 Bud et 1,690 1,690 12,000 12,000 120 120 1,000 900 180 2,080 4,000 6,000 6,300 2,000 4,000 1,500 2,000 3,000 2,500 1,500 3 ,000 1,500 37,300 1,500 1,500 3,000 569 569 300 300 City of Pickering 2020 Approved Background Information 2713 Dunbarton Pool 2713.5520.0000 Utilities -Gas Budget based on 2019 projected actuals Total 2713.5520.0000 Utilities -Gas 2713.5902.0000 Supplies & Tools Tools & Safety supplies (replacement) First Aid and program supplies (replacement) Total 2713.5902.0000 Supplies & Tools Total Expenses Revenues 2713 .9923.0000 Admissions -Public Swimm Singles & Passes Total 2713.9923.0000 Admissions -Public Swimm 2713 .9932.0000 Rentals -Pool Learn to swim Prg -(9316) Private Permits Total 2713.9932.0000 Rentals -Pool 2713.9943.0000 Membership -Pool/Health Memberships Total Revenues Total Transfers Net Expenses Total 2713.9943.0000 Membership -Pool/Health 185 Run Date: 6/10/20 1 :38 PM 2020 Bud et 34,951 34,951 5,450 3,211 8,661 397,090 (5,000) (5,000) (60,000) (50,000) (110,000) (8,000) (8,000) (123,000) 0 274,090 2715 Don Beer Arena 2018 Actuals Expenditures 1100 Salaries & Wages 554,209 1200 Overtime 18,468 1400 Employer Contributions 138,924 1900 Uniforms 5,077 2110 Travel 87 2131 Cellular Phones 523 2140 Telephones 13,680 2340 Seminars & Education 2,176 2370 Insurance Premium 5,746 2371 Ins. Deductible 0 2394 Recpt, Prom & Sp Events 270 2395 Memberships 157 2399 Outside Agency Serv 2,764 2435 Build Repairs & Mtce 179,467 2478 Misc Equip Repairs 17,482 2479 Software/Hardware Maintenanc 0 2678 Rental Misc Equip 0 2682 Land Rentals 44,810 5300 Stationery & Office Supplies 87 5510 Utilities -Water 26,475 5520 Utilities -Gas 37,836 5530 Utilities -Hydro 234,096 5902 Supplies & Tools 1,840 5973 Minor Furniture & Fixtures 5,213 5978 Misc. Equipment 0 Total Expenditures 1,289,387 Revenues 9915 Snack Bar (9,848) 9916 Vending Machines (3,797) 9930 Rentals (4,600) 9922 Admissions -Skating (1,918) 9931 Rentals -Ice Surface (928,672) 9935 Rentals -Halls (44,260) 9959 Arena Floor Rentals (26,618) 9990 Other Misc Revenue (305) 9985 Marketing Sponsorships 0 Total Revenues (1,020,018) Transfers to/from Reserves & R.F. City of Pickering 2020 Current Budget Approved Final 2019 2019 YTD Approved Actuals Budget 574,899 614,432 24,057 20,000 127,201 149,838 3,126 5,000 0 200 422 1,800 14,078 15,129 1,165 '1,580 5,746 5,746 0 2,000 180 0 0 400 2,930 3,090 157,972 155,965 13,750 15,000 0 1,639 0 300 44,810 46,160 257 300 32,240 30,570 37,505 42,385 271,294 301,398 762 2,165 0 0 2,309 6,400 1,314,703 1,421,497 (10,064) (9,850) (3,608) (4,500) (4,600) (4,600) (1,959) (3,500) (1,077,758) (963,000) (33,354) (47,000) (56,291) (32,000) 0 0 0 (15,000) (1,187,634) (1,079,450) 186 Run Date: 6/10/20 1:35 PM 2020 INC.IDEC. Approved % CHGE. Budget 2019 (17,334) 597,098 (2.82%) 0 20,000 0.00% (3,457) 146,381 (2.31%) 0 5,000 0.00% 0 200 0.00% 0 1,800 0.00% 981 16,110 6.48% 2,530 4,110 160.13% 104 5,850 1.81% 0 2,000 0.00% 0 0 0.00% 0 400 0.00% 25 3,115 0.81% 400 156,365 0.26% 0 15,000 0.00% 0 1,639 0.00% 0 300 0.00% 0 46,160 0.00% 0 300 0.00% 1,220 31,790 3.99% (1,000) 41,385 (2.36%) (15,000) 286,398 (4.98%) 0 2,165 0.00% 0 0 0.00% 0 6,400 0.00% (31,531) 1,389,966 (2.22%) 0 (9,850) 0.00% 0 (4,500) 0.00% 0 (4,600) 0.00% 0 (3,500) 0.00% (77,000) (1,040,000) 8.00% 0 (47,000) 0.00% 0 (32,000) 0.00% 0 0 0.00% 0 (15,000) 0.00% (77,000) (1,156,450) 7.13% 2715 Don Beer Arena 2018 Actuals Total Transfers 0 Net 269,369 City of Pickering 2020 Current Budget Approved Final 2019 2019 YTD Approved Actuals Budget D 0 127,069 342,047 187 Run Date: 6/10/201:35 PM 2020 INC./DEC. Approved % CHGE. Budget 2019 0 0 0.00% (108,531) 233,516 (31.73%) 2715 Don Beer Arena Expenditures 2715.1100.0000 Salaries & Wages Base Salaries and Wages City of Pickering 2020 Approved Background Information Decrease in hours (4 ,225) for Facility Attendant part time positions Increase in hours (4,225) for Facility Attendant term positions Reallocation of Facility Attendant term position hours (497) to 2735 Total 2715.1100.0000 Salaries & Wages 2715.1200.0000 Overtime To meet service level/workload commitments Total 2715.1200.0000 Overtime 2715.1400.0000 Employer Contributions This item includes mandatory deductions (CPP, El, EHT) and employer provided benefits such as extended health and dental Benefits related to decrease in hours (4,225) for Facility Attendant part time positions Benefits related to Increase in hours (4,225) for Facility Attendant term positions Benefits related to reallocation of Facility Attendant term position hours (497) to 2735 Total 2715.1400.0000 Employer Contributions 2715.1900 .0000 Uniforms As per the Collective Agreement Total 2715.1900.0000 Uniforms 2715.2110.0000 Travel Parking & Mileage . Total 2715.2110.0000 Travel 2715.2131 .0000 Cellular Phones Cellular Phone Charges Total 2715.2131.0000 Cellular Phones · 2715 .2140.0000 Voice/ Data Cable Internet Telephones Total 2715.2140.0000 Telephones 2715 .2340.0000 Seminars & Education ORFA B Ticket Renewal -Foreperson and Maintenance Worker (8) Defibrillator Training & Recertification -Various staff Basic Refrigeration Training (2) Total 2715.2340.0000 Seminars & Education 188 Run Date: 6/10/20 1 :38 PM 2020 Bud et 617,510 (92,073) 81,215 (9,554) 597,098 20,000 20,000 147,943 (8,337) . 7,311 (536). 146,381 5,000 5,000 200 200 1,800 1,800 15,275 545 290 16,110 560 1,500 2,050 4,110 City of Pickering 2020 Approved Background Information 2715 Don Beer Arena 2715.2370.0000 Insurance Premium Annual cost of insurance policy that provides protection for municipal activities and property. (Policy coverage includes : liability, automobile and property). Total 2715.2370.0000 Insurance Premium 2715 .2371.0000 Insurance Deductible Insurance Deductible Total 2715.2371.0000 Insurance Deductible 2715.2395.0000 Memberships Memberships and other related associations Total 2715.2395.0000 Memberships 2715.2399.0000 Outside Agency Services Base Hospital Support Defibrillation Program Alarm Monitoring Contract Defibrillator Monitoring Contract Total 2715.2399.0000 Outside Agency Services 2715.2435.0000 Building Repairs & Mainte Snow Removal & Salting Rink Board Cleaning Caretaking supplies/services General repairs (supplies) Building repairs Electrical repairs Plumbing repairs Door and lock repairs/replacements Parking lot maintenance Replacement of dasher board, kickboard, stay white, tempered glass Paint, drainage and d isposal system Refrigeration repairs maintenance and dehumidifiers (contract) Condenser Water Treatment Program Overhaul Compressor Fan and motor repairs, supplies and accessories Elevator Inspection Kitchen Hood Inspection/cleaning Annual regulatory inspections Total 2715.2435.0000 Building Repairs & Mainte 2715.2478 .0000 Misc.Equipment Repairs & · Ice Resurfacer maintenance Misc . small equipment repairs Goal Frames & Mesh 189 Run Date: 6/10/20 1 :38 PM 2020_ Bud et 5,850 5,850 2 ,000 2,000 400 400 1,450 1,200 465 3,115 21,320 3,500 27,250 17,000 210 10,160 7,840 8,050 1,000 3,500 2,450 21,280 5,020 15,035 4,000 1,000 600 7,150 156,365 10,500 1,500 3,000 City of Pickering 2020 Approved Background Information 2715 Don Beer Arena Total 2715.2478.0000 Misc.Equipment Repairs & 2715.2479.0000 Sfwr/Hdwr Maint Contracts Maintenance -HRIS -new Total 2715.2479.0000 Sfwr/Hdwr Maint Contracts 2715.2678.0000 Misc Equipment Rentals Rental of tools for specific jobs -Man Lift Total 2715.2678.0000 Misc Equipment Rentals 2715.2682 .0000 Land Rentals Parking Lot lease with Hydro One, including property taxes Arena Encroachment agreement with Hydro One, including property taxes · Total 2715.2682.0000 Land Rentals 2715.5300.0000 Stationery & Office Suppl General office supplies Total 2715.5300.0000 Stationery & Office Suppl 2715 .5510.0000 Utilities -Water Budget based on 2019 projected actuals and regional water rate increase in 2020 Total 2715.5510.0000 Utilities -Water 2715.5520.0000 Utilities -Gas Budget based on 2019 projected actuals Total 2715.5520.0000 Utilities -Gas 2715.5530.0000 Utilities -Hydro Budget based on 2019 projected actuals and rate increase in 2020 Total 2715.5530.0000 Utilities -Hydro 2715.5902.0000 Supplies & Tools First Aid Supplies (replacement) Small tools, etc. (replacement) Total 2715.5902.0000 Supplies & Tools 2715 .5978.0000 Misc Equipment Electric Floor Scrubber Total 2715.5978.0000 Misc Equipment Total Expenses Revenues 2715 .9915.0000 Snack Bar Under contract with Pickering Hockey Assoc. Total 2715.9915.0000 Snack Bar 2715.9916.0000 Vending Machines Don Beer vending machines 190 Run Date: 6/10/20 1 :38 PM 2020 Bud et 15,000 1,639 1,639 300 300 41,650 4,510 46,160 300 300 31 ,790 31,790 41,385 41,385 286,398 286,398 665 1,500 2,165 6,400 6,400 . 1,389,966 (9,850) (9,850) (4,500) City of Pickering 2020 Approved Background Information 2715 Don Beer Arena Total 2715.9916.0000 Vending Machines 2715.9922.0000 Admissions -Pleasure Ska Daily admissions for individuals to play shinny hockey -daytime Total 2715.9922.0000 Admissions -Pleasure Ska 2715.9930.0000 Rentals -User Fees Yearly contract Total 2715.9930.0000 Rentals -User Fees 2715 .9931.0000 Rentals -Ice Surface Ice Surface Rentals Total 2715.9931.0000 Rentals -Ice Surface 2715 .9935.0000 Rentals -Halls Various Hall rentals, activities Total 2715.9935.0000 Rentals -Halls 2715.9959.0000 Arena Floor Rentals Ball Hockey Lacrosse Total 2715.9959.0000 Arena Floor Rentals - 2715.9985 .0000 Sponsorships Arena Marketing Sponsorships/Advertising (Taxable) Total Revenues Total Transfers Net Expenses Total 2715.9985.0000 Sponsorships .1 91 Run Date: 6/10/20 1:38 PM 2020 Bud et (4,500) (3,500) (3,500) (4 ,600) (4,600) (1,040,000) (1,040,000) (47,000) (47,000) (6,000) (26,000) (32,000) (15,000) (15,000) ( 1, 156,450) 0 233,516 2719 Community Centres 2018 Actuals Expenditures 1100 Salaries & Wages 260,280 1200 Overtime 5,459 1400 Employer Contributions 60,340 1900 Uniforms 1,175 2110 Travel 0 2131 Cellular Phones 1,929 2140 Telephones 21,449 2340 Seminars & Education 1,644 2370 Insurance Premium 3,832 2371 Ins. Deductible 994 2392 Consulting & Professional 18,567 2399 Outside Agency Serv 7,352 2435 Build Repairs & Mtce 314,121 2457 Veh -Repairs & Maintenance 5,753 2478 Misc Equip Repairs 1,586 2479 Software/Hardware Maintenanc 0 2648 Building Rentals 22 5510 Utilities -Water 9,844 5520 Utilities -Gas 26,624 5530 Utilities -Hydro 93,240 5540 Utilities -Oil 4,604 5900 Gas, Oil Tires 7,045 5902 Supplies & Tools 394 5973 Minor Furniture & Fixtures 8,184 5978 Misc. Equipment 11,441 Total Expenditures 865,879 Revenues 9916 Vending Machines (726) 9937 Rentals -West Shore C.C. (65,040) 9938 Rentals -East Shore C.C. (53,014) 9947 Rentals -Claremont C.C. (367) 9949 Rentals -Petticoat Creek (52,409) 9990 Other Misc Revenue 0 9954 Netted Revenue 0 Total Revenues (171,556) Transfers to/from Reserves & R.F. 1911 Trans. to/(from) Continuing Stu (20,963) Total Transfers (20,963) City of Pickering 2020 Current Budget Approved Final 2019 2019 YTD Approved Actuals Budget 310,999 263,426 3,933 8,000 59,761 60,837 2,801 2,200 129 500 1,763 2,500 16,402 21,110 686 920 3,832 3,832 755 2,000 0 2,395 4,748 10,000 256,852 257,120 4,878 6,300 2,551 1,500 0 703 0 10 9,998 12,500 23,001 28,867 94,993 131,987 4,639 4,867 7,732 8,112 135 2,000 14,330 18,200 2,172 0 827,090 849,886 (775) (1,000) (64,770) (61,000) (50,887) (56,000) (10,234) (800) (64,564) (50,000) 0 (2,500) 0 0 (191,230) (171,300) (1,425) (2,395) (1,425) (2,395) 192 Run Date: 6/10/201:35 PM 2020 INC./DEC. Approved % CHGE. Budget 2019 12,120 275,546 4.60% 0 8,000 0.00% 6,191 67,028 10.18% 0 2,200 0.00% 0 500 0.00% 0 2,500 0.00% (7,355) 13,755 (34.84%) 440 1,360 47.83% 68 3,900 1.77% 0 2,000 0.00% 42,605 45,000 1,778.91% 1,984 11,984 19.84% 25,356 282,476 9.86% 0 6,300 0.00% 0 1,500 0.00% 0 703 0.00% 0 10 0.00% 500 13,000 4.00% (1,004) 27,863 (3.48%) (14,997) 116,990 (11.36%) 0 4,867 0.00% 0 8,112 0.00% 0 2,000 0.00% (8,200) 10,000 (45.05%) 0 0 0.00% 57,708 907,594 6.79% 0 (1,000) 0.00% (9,901) (70,901) 16.23% 0 (56,000) 0.00% 0 (800) 0.00% (4,000) (54,000) 8·.00% 0 (2,500) 0.00% (11,900) (11,900) 0.00% (25,801) (197,101) 15.06% 2,395 0 (100.00%) 2,395 0 (100.00%) 2719 Community Centres 2018 Actuals Net 673,360 City of Pickering 2020 Current Budget Approved Final 2019 2019 YTD Approved Actuals Budget 634,435 676,191 193 Run Date: 6/10/201:35 PM 2020 INC./DEC. Approved % CHGE. Budget 2019 34,302 710,493 5.07% City of Pickering 2020 Approved Background Information 2719 Community Centres Expenditures 2719.1100.0000 Salaries & Wages Base Salaries and Wages Additional Facility Security Guard hours for George Ashe Sunday Hours -special levy Council approved Additional Facility Attendant hours for George Ashe Sunday Hours -special levy Council approved Total 2719.1100.0000 Salaries & Wages 2719.1200.0000 Overtime To meet service level/workload commitments Total 2719.1200.0000 Overtime 2719.1400.0000 Employer Contributions This item includes mandatory deductions (CPP, El, EHT) and employer provided benefits such as extended health and dental Benefits related to additional Facility Security Guard hours for George Ashe Sunday Hours -special levy Council approved Benefits related to additional Facility Attendant hours for George Ashe Sunday Hours -special levy Council approved Total 2719.1400.0000 Employer Contributions 2719 .1900.0000 Uniforms As per the Collective Agreement Total 2719.1900.0000 Uniforms 2719.2110 .0000 Travel Parking & mileage Total 2719.2110.0000 Travel 2719.2131.0000 Cellular Phones Cellular Phone Charges Total 2719.2131.0000 Cellular Phones 2719.2140 .0001 Telephones 0th Fae Voice/Data Internet Total 2719.2140.0001 Telephones 0th Fae 2719.2140 .0002 Telephone GALCC Voice/Data Internet Cable Total 2719.2140.0002 Telephone GALCC 2719 .2340.0000 Seminars & Education 194 Run Date: 6/10/20 1 :38 PM 2020 Bud et 264,696 5,750 5,100 275,546 8,000 8 ,000 65,978 550 500 67,028 2,200 2,200 500 500 2 ,500 2,500 2,965 2,715 5,680 2,645 4,350 1,080 8,075 City of Pickering 2020 Approved Background Information 2719 Community Centres Defibrillator Training & Recertification -Facility Security Guards (5) and volunteers at Dr. Nelson F. Tomlinson .Community Centre (10) Security Guard Licence Renewals -Facility Security Guards (4) Legal Awareness I -Supervising in a Recreation Environment -Recreation Programmer,• George Ashe CC Total 2719.2340.0000 Seminars & Education 2719 .2370.0000 Insurance Premium Annual cost of insurance policy that provides protection for municipal activities and property. (Policy coverage includes: liability, automobile and property). Total 2719.2370.0000 Insurance Premium 2719.2371.0000 Insurance Deductible Insurance Deductible Total 2719.2371.0000 Insurance Deductible 2719.2392.0000 Consulting & Professional Building Condition Audits (northern community centres) Designated Substances Surveys (Greenwood CC, Mt Zion CC, MCH, Tomlinson CC, WACC, Whitevale CC) Septic System Inspections (Greenwood CC, Tomlinson CC , WACC, Whitevale CC) Total 2719.2392.0000 Consulting & Professional 2719.2399.0000 Outside Agency Services Base Hospital Support Defibrillation Program -George Ashe and Dr. Nelson F . Tomlinson Community Centres ($1,000 x 2) Technical Support Fire Alarm & Security Monitoring Contract Defibrillator Monitoring Contract Total 2719.2399.0000 Outside Agency Services 2719.2435 .0001 Bldng Rep & Maint 0th Fae Pest Control Caretaking supplies General supplies Window, door and lock repair/replacement Service Contracts (garbage, snow removal & salting) Electrical/Plumbing Repairs _ Provision for pumping out septic system (Mt. Zion, Greenwood, Dr. Nelson F. Tomlinson & Whitevale CC) Environmental Monitoring -water treatment and testing of wells Window cleaning Emergency repairs/equipment replacement (aging buildings) 195 Run Date: 6/10/20 1 :38 PM 2020 Bud et pOO 160 600 1,360 3,990 3 ,900 2,000 2,000 25,000 10,000 10,000 45,000 2 ,000 5,000 4,540 444 11,984 5 ,185 23,800 13,855 22,270 43,711 39,950 5,000 15,944 3,570 19,550 City of Pickering 2020 Approved Background Information 2719 Community Centres HVAC Pumps, motor, etc. Boiler repair and maintenance Kitchen Hood Exhaust System Inspection Energy Management -Service Contract Generator Testing Life Safety System Testing (fire alarms/extinguishers & emerg. lighting) Domestic Hot Water Tank Replacement (Westshore CC) Floor Repairs (Whitevaie CC) Sealant Replacement (Tomlinson CC) Total 2719.2435.0001 Bldng Rep & Maint 0th Fae 2719 .2435.0002 Biding Rep & Maint GALCC Pest Control Caretaking supplies General supplies Window, door and lock repair/replacement Service Contracts (garbage, snow removal & salting) Electrical/Plumbing Repairs Window cleaning . Emergency repairs/equipment replacement (aging buildings) HVAC Pumps, motor, etc. Boiler repair and maintenance Kitchen Hood Exhaust System inspection Energy Management -Service Contract Life Safety System Testing (fire alarms/extinguishers & emerg. lighting) Total 2719.2435.0002 Biding Rep & Maint GALCC 2719.2457.0000 Vehicle-Repair & Maintena Culture & Recreation -vehicle Total 2719.2457.0000 Vehicle-Repair & Maintena 2719.2478.0000 Misc.Equipment Repairs & Misc. equipment repairs Total 2719.2478.0000 Misc.Equipment Repairs & 2719.2479.0000 Sfwr/Hdwr Maint Contracts Maintenance -HRIS -new Total 2719.2479.0000 Sfwr/Hdwr Maint Contracts 2719.2648.0000 Rec. Building Rentals Brougham Community Centre -Federal rental charge Total 2719.2648.0000 Rec. Building Rentals 196 Run Date: 6/10/20 1:38 PM 2020 Bud et 3,250 850 1,700 1,020 5,655 820 8,840 3,000 15,000 12,000 244,970 915 4,200 2,445 3,930 10,161 7,050 630 3,450 1,750 . 150 300 180 845 1,500 37,506 6,300 6,300 1,500 1,500 703 703 10 10 City of Pickering 2020 Approved Background Information 2719 Community Centres 2719.5510 .0001 Utilities -Water 0th Fae Budget based on 2019 projected actuals and regional water rate increase in 2020 Total 2719.5510.0001 Utilities -Water 0th Fae 2719.5510.0002 Utilities -Water GALCC Budget based on 2019 projected actuals and regional water rate increase in 2020 Total 2719.5510.0002 Utilities -Water GALCC 2719 .5520 .0001 Utilities -Gas 0th Fae Budget based on 2019 projected actuals Total 2719.5520.0001 Utilities -Gas 0th Fae 2719 .5520 .0002 Utilities -Gas GALCC Budget based on 2019 projected actuals Total 2719.5520.0002 Ut.ilities -Gas GALCC 2719.5530.0001 Utilities -Hydro 0th Fae Budget based on 2019 projected actuals and rate increase in 2020 . Total 2719.5530.0001 Utilities -Hydro 0th Fae 2719.5530 .0002 Utilities -Hydro GALCC Budget based on 2019 projected actuals and rate increase in 2020 Total 2719.5530.0002 Utilities -Hydro GALCC 2719.5540.0000 Utilities -Oil Mt. Zion Community Centre Total 2719.5540.0000 Utilities -Oil 2719 .5900.0000 Gas, Oil, Tires Etc . Fuel : Unleaded 7 ,100 litres @ $1 .03/litre Oil changes and tires Total 2719.5900.0000 Gas, Oil, Tires Etc. 2719.5902.0001 Supplies & Tools -0th Fae First Aid and Safety (replacement), small tools, etc. (replacement) Total 2719.5902.0001 Supplies & Tools -0th Fae 2719.5902.0002 Supplies & Tools GALCC First Aid and Safety (replacement), small tools, etc. (replacement) Total 2719.5902.0002 Supplies & Tools GALCC 2719 .5973 .0001 Furn & Fixtures Other Fae Fridge & Stove Replacement (Westshore CC) Total 2719.5973.0001 Furn & Fixtures Other Fae Total Expenses Revenues 2719.9916.0000 Vending Machines 197 Run Date: 6/10/20 1 :38 PM 2020 Bud et 10,000 9 ,880 9 ,880 3 ,000 3,120 3 ,120 22,290 22,290 5,573 5,573 105,290 105,290 11 ,700 .11,700 4,867 4 ,867 7,312 800 · 8,112 1 ,475 1,475 525 525 10,000 10,000 907,594 City of Pickering 2020 Approved Background Information 2719 Community Centres East Shore C .C . Total 2719.9916.0000 Vending Machines 27 19 .9937.0000 Rentals -West Shore C .C . West Shore Community Centre -Nursery School Lease Hall Rentals Total 2719.9937.0000 Rentals -West Shore C.C. 2719 .9938.0000 Rentals -East Sho re C.C . Hall & Room Re.ntals Total 2719.9938.0000 Rentals -East Shore C.C. 2719 .9947 .0000 Rentals -N. Tomlinson CC Hall Rentals (Saturday evenings only) Total 2719.9947.0000 Rentals -N. Tomlinson CC 2719.9949.0000 Rentals -George Ashe CC Estimated Revenues Total 2719.9949.0000 Rentals -George Ashe CC 2719.9954.0000 Netted Revenue Security staffing costs for for George Ashe Sunday Hours -City (cost recovery from Library) -special levy Council approved Facility Attendant staffing costs for for George Ashe Sunday Hours -City (cost recovery from Library) -specia l levy Council approved Total 2719.9954.0000 Netted Revenue 2719 .9990.0000 Other Revenue Damage deposit forfeited Total Revenues Total Transfers Net Expenses Total 2719.9990.0000 Other Revenue 198 Run Date: 6/10/20 1 :38 PM 2020 Bud et (1,000) (1,000) (4,890) (66,011) (70 ,901) (56,000) (56,000) (800) (800) (54,000) (54,000) (6 ,300) (5,600) (11 ,900) (2,500) (2 ,500) (197,101) 0 710,493 2731 Recreation Complex -Central Core 2018 Actuals Expenditures 1100 Salaries & Wages 1,886,968 1200 Overtime 40,519 1400 Employer Contributions 416,762 1900 Uniforms 12,874 2110 Travel 1,010 2131 Cellular Phones 8,251 2140 Telephones 14,048 2210 Advertising 25,285 2220 Subscription & Publications 535 2340 Seminars & Education 7,411 2370 Insurance Premium 13,070 2371 Ins. Deductible 2,115 2392 Consulting & Professional 1,409 2394 Recpt, Prom & Sp Events 10,604 2395 Memberships 3,348 2399 Outside Agency Serv 68,015 2435 Build Repairs & Mtce 272,512 2478 Misc Equip Repairs 28,414 2479 Software/Hardware Maintenanc 4,989 2678 Rental Misc Equip 3,469 5300 Stationery & Office Supplies 6,465 5302 Forms 265 5340 Supplies -Special Events 3,602 5510 Utilities -Water 46,686 5520 Utilities -Gas 52,326 5530 Utilities -Hydro 239,077 5902 Supplies & Tools 31,722 5973 Minor Furniture & Fixtures 20,673 Total Expenditures 3,222,424 Revenues 9916 Vending Machines (10,197) 9970 Child Supervision (40,711) 9975 Fitness Testing (60,760) 9991 Other Revenue (48) 9921 Admissions -Tennis (92,282) 9924 Admissions -Squash (15,589) 9925 Admissions -Fitness Room (6,294) 9926 Admissions -Racquet Ball (4,779) City of Pickering 2020 Current Budget Approved Final 2019 2019 YTD Approved Actuals Budget 2,014,694 1,908,639 32,540 47,000 453,645 434,337 13,753 12,000 1,486 1,500 7,502 8,000 11,007 16,004 32,607 31,000 0 500 6,831 10,525 13,070 13,070 166 4,000 1,992 21,425 10,727 11,300 2,598 3,535 69,530 69,434 318,341 262,745 37,955 40,450 7,922 17,996 5,120 6,800 7,144 10,000 1,021 1,100 1,759 6,000 52,992 50,825 56,188 66,216 256,716 285,164 27,107 32,731 9,041 11,900 3,453,454 3,384,196 (12,408) (4,800) (32,405) (37,000) (53,736) (70,000) 0 0 (97,366) (90,000) (16,239) (21,000) (6,624) (6,500) (4,767) (5,000) 199 Run Date: 6/10/20 1:35 PM 2020 INC./DEC. Approved % CHGE. Budget 2019 131,779 2,040,418 6.90% 0 47,000 0.00% 48,972 483,309 11.28% 0 12,000 0.00% (200) 1,300 (13.33%) 0 8,000 0.00% (2,009) 13,995 (12.55%) 0 31,000 0.00% (250) 250 (50.00%) (350) 10,175 (3.33%) 235 13,305 1.80% 0 4,000 0.00% (7,555) 13,870 (35.26%) (2,300) 9,000 (20.35%) (670) 2,865 (18.95%) 5,507 74,941 7.93% 846 263,591 0.32% 0 40,450 0.00% (1,300) 16,696 (7.22%) 1,200 8,000 17.65% (2,000) 8,000 (20.00%) 0 1,100 0.00% (2,000) 4,000 (33.33%) 2,650 53,475 5.21% (5,000) 61,216 (7.55%) (8,500) 276,664 (2.98%) 6,244 38,975 19.08% 100 12,000 0.84% 165,399 3,549,595 4.89% (5,200) (10,000) 108.33% 7,000 (30,000) (18.92%) 0 (70,000) 0.00% 0 0 0.00% (2,000) (92,000) 2.22% 0 (21,000) 0.00% 0 (6,500) 0.00% 0 (5,000) 0.00% 2731 Recreation Complex -Central Core 2018 Actuals 9933 Rentals -Mtg. Room/Public (30,656) 9934 Rentals -Mtg. Room/Prag. (27,000) 9935 Rentals -Halls (110,778) 9939 Rentals -Lockers (22) 9941 Membertships -Tennis (27,487) 9943 Memberships -Pool/Health CIL (686,362) 9944 Memberships -Squash (86,222) 9945 Memberships -General (162,828) 9946 Memberships -Racquet Ball (24,342) 9958 Rentals -Wellness Clinic (47,627) 9957 Rentals -Pottery Studio (2,640) 9990 Other Misc Revenue (13,419) 9992 Other Revenue -Membership I (5,334) Total Revenues (1,455,377) Transfers to/from Reserves & R.F. 1910 Transfer to/(from) Reserve 0 1911 Trans. to/(from) Continuing Stu (1,425) Total Transfers (1,425) Net 1,765,622 City of Pickering 2020 Current Budget Approved Final 2019 2019 YTD Approved Actuals Budget (37,719) (27,000) (27,000) (27,000) (107,830) (102,000) (121) (100) (24,625) (25,000) (642,707) (690,000) (80,691) (85,000) (149,751) (150,000) (24,008) (24,000) (59,517) (58,375) 0 0 (120,506) (12,000) (6,231) (5,000) (1,504,251) (1,439,775) 0 0 0 (1,425) 0 (1,425) 1,949,203 1,942,996 200 Run Date: 6/10/20 1:35 PM 2020 INC./DEC. Approved % CHGE. Budget 2019 0 (27,000) 0.00% 0 (27,000) 0.00% 0 (102,000) 0.00% 0 (100) 0.00% 1,000 (24,000) (4.00%) 69,000 (621,000) (10.00%) 10,000 (75,000) (11.76%) 9,500 (140,500) (6.33%) 3,000 (21,000) (12.50%) (625) (59,000) 1.07% 0 0 0.00% (2,000) (14,000) 16.67% 0 (5,000) 0.00% 89,675 (1,350,100) (6.23%) (92,500) . (92,500) 0.00% (2,445) (3,870) 171.58% (94,945) (96,370) 6,662.81% 160,129 2,103,125 8.24% City of Pickering 2020 Approved Background Information 2731 Recreation Complex -Central Core Expenditures 2731.1100.0000 Salaries & Wages Base Salaries and Wages Conversion of one full time Facility Maintenace position to a full time Lead Hand Facility Maintenance position (Net Cost) Conversion of one full time Facility Maintenace position to a full time Maintenance Mechanic, Recreation Complex position (Net Cost) Total 2731.1100.0000 Salaries & Wages 2731.1200.0000 Overtime Facilities Front Desk and Program Total 2731.1200.0000 Overtime 2731.1400.0000 Employer Contributions This item includes mandatory deductions (CPP, El, EHT) and employer provided benefits such as extended health and dental Benefits related to conversion of one full time Facility Maintenace position to a full time Lead Hand Facility Maintenance position (Net Cost) Benefits related to conversion of one full time Facility Maintenace position to a full time Maintenance Mechanic, Recreation Complex position (Net Cost) Total 2731.1400.0000 Employer Contributions 2731.1900.0000 Uniforms As per the Collective Agreement Total 2731.1900.0000 Uniforms 2731 .2110.0000 Travel Parking & Mileage Total 2731.2110.0000 Travel 2731.2131.0000 Cellular Phones Annual cell phone charges for staff and Smartphone charges for Manager (1), Supervisor (1), Foreperson (1) and Coard., Rec. Software Adm. (1) Total 2731.2131.0000 Cellular Phones 2731.2140.0000 Telephones Voice I Data Internet Total 2731.2140.0000 Telephones 2731 .2210 .0000 Advertising Provide newspaper & brochure advertisements and promotions packages Total 2731.2210.0000 Advertising 201 Run Date: 6/10/20 1 :38 PM 2020 Bud et 2,014,939 12,739 12,740 2,040,418 37,000 10,000 47,000 478,023 2,446 2,840 483,309 12,000 12,000 1,300 1,300 8,000 8,000 12,805 1,190 13,995 31 ,000 31,000 City of Pickering 2020 Approved Background Information 2731 Recreation Complex -Central Core Run Date: 6/10/20 1:38 PM 2731.2220.0000 Subscriptions & Publicati Reference material, journals and reports Total 2731.2220.0000 Subscriptions & Publicati 2731.2340.0000 Seminars & Education Can-Fit Pro Training -Health & Fitness Specialist First Aid/CPR Defibrillator Training & Recertification -Various staff CSEP (Canad ian Society for Exercise Physiology) -Health & Fitness Specialist and Coordinator, Fitness Rooms (3) International Health & Racquet Sports Association Conference Legal Awareness Training -Supervisor, Facilities Operations College of Kinesiology -Health & Fitness Specialist Total 2731.2340.0000 Seminars & Education 2731.2370.0000 Insurance Premium Annual cost of insurance policy that provides protection for municipal activities and property. (Policy coverage includes: liability, automobile and property). Total 2731.2370.0000 Insurance Premium 2731 .2371.0000 Insurance Deductible Insurance Deductible Total 2731.2371.0000 Insurance Deductible 2731 .2392 .0000 Consulting & Professional Roof Structure Inspections Occupancy & Exit Study (Funded from Continuing Studies Reserve PO.# 190792) Total 2731.2392.0000 Consulting & Professional 2731 .2394.0000 Rec/Prom & Sp .Ev./Gen P/R Anniversary Celebration & Membership Recognition Total 2731.2394.0000 Rec/Prom & Sp.Ev./Gen P/R 2731 .2395.0000 Memberships Can . Society for Exercise Physiology (CSEP) Membership (4 staff) Facility Licences : Mech. Lie., Prof. fees, etc: Program memberships: Squash Ontario Tennis Ontario Fitness Centre Accreditation Total 2731.2395.0000 Memberships 2731.2399.0000 Outside Agency Services Squash Professional Tennis Professional Security Contract Base Hospital Support Defibrillation Program 202 2020 Bud et 250 250 700 2,925 2,450 2,450 1,000 650 10,175 13,305 13,305 4,000 4,000 10,000 3,870 13,870 9 ,000 9,000 1,265 100 500 800 200 2,865 41,860 13,566 14,325 3,240 City of Pickering 2020 Approved Background Information 2731 Recreation Complex -Central Core Defibrillator Monitoring Contract Fire Alarm Monitoring Contract Total 2731.2399.0000 Outside Agency Services 2731.2435.0000 Build ing Repairs & Mainte Caretaking Supplies General Supplies Glass Cleaning (quarterly) Snow Removal & Salting Building Supplies and Repairs Electrical Repairs Plumbing Repairs Lamps , Ballasts, Fuse Inventory Locks Window, Door and Lock Repairs . Various repairs to infrastructure due to ag ing facility Duct Cleaning on Various Areas Replace Windows · Window Cleaning Carpet Service -mats Painting and Tile Repairs Door Replacement Program Foot Sprayer Solution AudioNisual Equipment Maintenance (Banquet Hall) Electrical Substation Inspection Hot Water Tank Inspection Kitchen Hood Inspection Air Circulation Equipment (contract out) Elevator Inspection & Repair (contract out) Air Conditioning (contract out) Energy Management (Service Contract) Boiler Inspection and Repair (contract out) Water Treatment Fire Alarm Inspection and Service (contract out) Motors, Belts, Filters Diesel Generator Repair and Maintenance (contract out) Chiller Maintenance Contract Security Camera Electronic Key Cabinet Replacement (3) Parking Lot Line Painting 203 Run Date: 6/10/20 1 :38 PM 2020 Bud et 1 ,350 600 74 ,941 15,000 6,300 8,000 41,600 8 ,000 12,000 11,000 8 ,000 12,000 7 ,000 20 ,000 5 ,000 3,000 2,140 6,000 12,000 5,000 3 ,300 2 ,000 5,045 2,000 600 5,000 4,800 7,000 4 ,500 3 ,500 5 ,000 3,000 3 ,000 5,500 11,256 5 ,000 6 ,900 2,000 City of Pickering 2020 Approved Background Information 2731 Recreation Complex -Central Core Controller Upgrade for Chiller Water System Total 2731.2435.0000 Building Repairs & Mainte 2731 .2478 .0000 Misc.Equipment Repairs & Various program equipment at the Recreation Complex Treadmill Belt replacements DBS Printer Repairs Floor machine service Ladde r/Lift Inspection Total 2731.2478.0000 Misc.Equipment Repairs & 2731 .2479.0000 Sfwr/Hdwr Maint Contracts Game Time software maintenance contract Maintenance -HRIS -new Maintenance -Recreation -DBS Total 2731.2479.0000 Sfwr/Hdwr Maint Contracts 2731 .2678.0000 Misc Equipment Rentals Occasional equipment needs, other equ ipment rentals Total 2731.2678.0000 Misc Equipment Rentals 2731 .5300 .0000 Stationery & Office Suppl General office supplies Membership Card Printer Total 2731.5300 .0000 Stationery & Office Suppl 2731.5302.0000 Forms Professional printing services (Gift Cards) Total 2731.5302.0000 Forms 2731.5340 .0000 Supplies -Spec .Events/Ba Provide mix for banquet hall and meeting room rentals Total 2731.5340.0000 Supplies -Spec .Events/Ba 2731 .5510 .0000 Utilities -Water Budget based on 2019 projected actuals and regional water rate increase in 2020 Total 2731.5510.0000 Utilities -Water 2731.5520.0000 Utilities -Gas Budget based on 2019 projected actuals Total 2731.5520.0000 Utilities -Gas 2731.5530.0000 Utilities -Hydro Budget based on 2019 projected actuals and rate increase in 2020 Total 2731.5530.0000 Utilities -Hydro 2731 .5902 .0000 Supplies & Tools Card Access supplies (cards, cartridges) Racquets, balls, eyewear for Elective Prog rams (replacement) 204 Run Date: 6/10/20 1 :38 PM 2020 Bud et 2,150 263,591 20,000 13,600 440 5,000 1,410 40,450 5,425 5 ,091 6 ,180 16 ,696 8,000 8 ,000 3,100 4,900 8 ,000 1 ,100 1,100 4,000 4 ,000 53,475 53,475 61,216 61 ,216 276 ,664 276,664 28,875 1,200 City of Pickering 2020 Approved Background Information 2731 Recreation Complex -Central Core Fitness Testing supplies (replacement) Creative Centre Combination Locks (replacement) First Aid Supplies (replacement) Small Tools Child Supervision Centre Total 2731.5902.0000 Supplies & Tools 2731.5973.0000 Furniture & Fixtures Recreation Complex Renovations F&E Office Desk & Chair Replacement Total 2731 .5973.0000 Furniture & Fixtures Total Expenses Revenues 2731 .9916.0000 Vending Machines Based on 12% of total Complex Vend ing Machine Sales plus annual exclusivity payment Total 2731.9916.0000 Vending Machines 2731 .9921.0000 Admissions -Tennis Prime time court admissions Non Prime time court admissions Total 2731.9921.0000 Admissions -Tennis 2731 .9924.0000 Admissions -Squash Pay as you play -Prime time court admissions Non prime time court admiss ions Total 2731.9924.0000 Admissions -Squash 2731 .9925 .0000 Admissions -Fitness Room Adult -S ingles Adult -5 Pass Adult -1 O Pass Total 2731.9925.0000 Admissions -Fitness Room 2731 .9926 .0000 Admissions -Racquet Ball Pay as you play -Prime time court admissions Non prime time court admissions Total 2731.9926.0000 Admissions -Racquet Ball 2731 .9933 .0000 Rentals -Mtg . Room/Publi Various private rentals for Complex Meeting Rooms (1,2 & 3) Total 2731.9933.0000 Rentals -Mtg. Room/Publi 205 Run Date: 6/10/20 1 :38 PM 2020 Bud et 1 ,000 900 750 1,600 1 ,500 3,150 38,975 10,000 2,000 12,000 3 ,549,595 (10,000) (10 ,000) (61 ,000) (31 ,000) (92,000) (17 ,500) (3 ,500) (21 ,000) (3,500) (1 ,000) (2,000) (6,500) (3 ,500) (1,500) (5 ,000) (27 ,000) (27,000) City of Pickering 2020 Approved Background Information 2731 Recreation Complex -Central Core 2731 .9934.0000 Rentals -Mtg. Room Prg. Rentals for Community Services Dept. operating at the CHDRC Total 2731.9934.0000 Rentals -Mtg. Room Prg. 2731.9935 .0000 Rentals -Halls Various pr ivate rentals for Complex East and West Salons (Banquet Halls) Total 2731.9935.0000 Rentals -Halls 2731.9939.0000 Rentals -Misc. Equipment Misc. Racquet Rentals Total 2731.9939.0000 Rentals -Misc. Equipment 2731.9941.0001 Membership -Tennis Tennis Total 2731.9941.0001 Membership -Tennis 2731.9941.0002 Membership -New Tennis Tennis (new memberships) Total 2731.9941.0002 Membership -New Tennis 2731 .9943.0002 Membership -Basic Health Health (Basic) Total 2731.9943.0002 Membership -Basic Health 2731 .9943.0003 Membership -Health Plus Health (Plus) Total 2731.9943.0003 Membership -Health Plus 2731 .9943 .0004 Mbrshp -Specialty Health Health (Speciality) Total 2731.9943.0004 Mbrshp -Specialty Health 2731 .9944 .0002 Membership -New Squash Squash (New) Total 2731.9944.0002 Membership -New Squash 2731.9945.0002 Membership -New Fitness Fitness (New) Total 2731.9945.0002 Membership -New Fitness 2731.9945 .0003 Golden/Combination Mbrshp Fitness (Golden/Combination) Total 2731.9945.0003 Golden/Combination Mbrshp 2731.9946 .0002 Mbrshp -New Racquet Ball Racquet Ball (New) Total 2731.9946.0002 Mbrshp -New Racquet Ball 2731 .9958.0000 Rentals -Wellness Clinic Wellness Health Centre Ltd . 206 Run Date: 6/10/20 1:38 PM 2020 Bud et (27 ,000) (27,000) (102,000) (102,000) (100) (100) (5,000) (5,000) (19,000) (19 ,000) (428 ,000) (428,000) (150,000) (150,000) (43 ,000) (43 ,000) (75 ,000) (75,000) (116,000) (116 ,000) (24,500) (24 ,500) (21 ,000) (21,000) . (15,700) City of Pickering 2020 Approved Background Information 2731 Recreation Complex -Central Core Pickering Sports Medicine & Wellness Centre Total 2731.9958.0000 Rentals -Wellness Clinic 2731 .9970 .0000 Child Supervision Single admissions & passes Total 2731.9970.0000 Child Supervision 2731 .9975 .0000 Fitness Testing In House Personal Training and Fitness Training Total 2731.9975.0000 Fitness Testing 2731.9990.0000 Other Revenue Leased equipment /space Total 2731.9990.0000 Other Revenue 2731 .9992.0000 0TH REV-MEMBRSHP NSF FEE NSF Revenue Total 2731.9992.0000 0TH REV-MEMBRSHf> NSF FEE Total Revenues Transfers 1910.7021 .2731 Frm Rate Stab -Rec Cmplx Rate Stabilization Res. funding to offset the expected drop in membership revenue due to the Rec Complex renovation Total 1910.7021.2731 Frm Rate Stab -Rec Cmplx 1911 .2731.0000 Trsf frm Res-Rec Cm pix Funding from Continuing Studies Reserve for Occupancy & Exit Study Total 1911.2731.0000 Trsf frm Res-Rec Cmplx Total Transfers Net Expenses 207 Run Date : 6/10/20 1 :38 PM 2020 Bud et (43 ,300) (59 ,000) (30,000) (30,000) (70 ,000) (70 ,000) (14,000) (14 ,000) (5,000) (5 ,000) (1,350,100) (92,500) (92 ,500) (3,870) (3,870) (96 ,370) 2,103,125 2733 Recreation Complex -Pool 2018 Actuals Expenditures 1100 Salaries & Wages 449,703 1200 Overtime 7,174 1400 Employer Contributions 83,614 1900 Uniforms 4,443 2110 Travel 175 2140 Telephones 1,447 2340 Seminars & Education 3,007 2370 Insurance Premium 4,459 2392 Consulting & Professional 8,465 2395 Memberships 98 2435 Build Repairs & Mtce 117,694 2478 Misc Equip Repairs 1,775 2479 Software/Hardware Maintenanc 0 5510 Utilities -Water 46,686 5520 Utilities -Gas 52,326 5530 Utilities -Hydro 169,103 5902 Supplies & Tools 2,008 Total Expenditures 952,177 Revenues 9923 Admissions -Public Swimming (51,142) 9932 Rentals -Pool (166,778) 9936 Rentals -Pool-School Board (1,166) 9943 Memberships -Pool/Health GIL (77,073) Total Revenues (296,159) Transfers to/from Reserves & R.F. 1910 Transfer to/(from) Reserve 0 1911 Trans. to/(from) Continuing Stu 0 Total Transfers 0 Net 656,018 City of Pickering 2020 Current Budget Approved Final 2019 2019 YTD Approved Actuals Budget 466,105 420,803 6,677 10,000 79,775 76,958 3,864 5,000 208 300 1,049 1,184 1,490 2,580 4,459 4,459 250 1,250 100 110 113,081 93,500 0 2,000 0 1,122 52,992 51,320 56,188 66,216 181,580 210,598 985 2,000 968,803 949,400 (54,802) (58,000) (163,790) (166,000) (1,199) (1,200) (77,185) (61,000) (296,976) (286,200) 0 0 (250) (1,250) (250) (1,250) 671,577 661,950 208 Run Date: 6/10/20 1:35 PM 2020 INC./DEC. Approved % CHGE. Budget 2019 25,067 445,870 5.96% 0 10,000 0.00% 5,980 82,938 7.77% 0 5,000 0.00% (75) 225 (25.00%) (479) 705 (40.46%) 235 2,815 9.11% 81 4,540 1.82% 0 1,250 0.00% 10 120 9.09% (600) 92,900 (0.64%) 0 2,000 0.00% 0 1,122 0.00% 2,360 53,680 4.60% (5,000) 61,216 (7.55%) (8,500) 202,098 (4.04%) 9,500 11,500 475.00% 28,579 977,979 3.01% 6,000 (52,000) (10.34%) 0 (166,000) 0.00% (58) (1,258) 4.83% 3,000 (58,000) (4.92%) 8,942 (277,258) (3.12%) (9,000) (9,000) 0.00% 0 (1,250) 0.00% (9,000) (10,250) 720.00% 28,521 690,471 4.31% 2733 Recreation Complex -Pool Expenditures 2733 .1100 .0000 Salaries & Wages Base Salaries and Wages City of Pickering 2020 Approved Background Information One new full time Facility Maintenance Person to meet regulatory required pool checks -start date April 1, 2020 (cost shared 50 :50 with 2713) Total 2733.1100.0000 Salaries & Wages 2733 .1200.0000 Overtime To meet service level/workload commitments Total 2733.1200.0000 Overtime 2733.1400 .0000 Employer Contributions This item includes mandatory deductions (CPP, El, EHT) and employer provided benefits such as extended health and dental Benefits related to one new full time Facility Maintenance Person to meet regulatory required pool checks -start date April 1, 2020 (cost shared 50:50 with 2713) Total 2733.1400.0000 Employer Contributions 2733 .1900.0000 Uniforms As per the Collective Agreement Total 2733.1900.0000 Uniforms 2733.2110.0000 Travel Aquatic Program Coordinator: Parking & Mileage Total 2733.2110.0000 Travel 2733 .2140.0000 Telephones Run Date: 6/10/20 1:38 PM 2020 Bud et 422,918 22,952 445,870 10,000 10,000 75,293 7,645 82,938 5 ,000 5,000 225 225 Voice / Data 625 Internet 80 Total 2733.2140.0000 Telephones 2733 .2340.0000 Seminars & Education Defibrillator Training -Various staff (CPO) Certified Pool Operator training and recertifications -Pool Operators and New Facility Maintenance staff Technical Training HVAC Workshops -2 staff Total 2733.2340.0000 Seminars & Education 2733 .2370.0000 Insurance Premium Annual cost of insurance policy that provides protection for municipal activities and property. (Policy coverage includes: liability, automobile and property). Total 2733.2370.0000 Insurance Premium 2733 .2392 .0000 Consulting & Professional 209 705 830 1,185 800 2,815 4,540 4,540 2733 Recreation Complex -Pool City of Pickering 2020 Approved Background Information Roof Deck Wood & Steel Inspections (Funded from Continuing Studies Reserve PO# 180557) Total 2733.2392.0000 Consulting & Professional 2733 .2395.0000 Memberships Life Saving Society Total 2733.2395.0000 Memberships 2733 .2435.0000 Building Repairs & Mainte Pool Chemicals Cleaning Supplies Miscellaneous Electrical and Plumbing Repa irs Lamps , Ballasts and Fuse Inventory Filters, etc. Tile, painting , door and lock repairs Contract for snow removal & salting Filter System HVAC Services Pumps, Motors, Valves , Seals Bleacher Safety Inspection Total 2733.2435.0000 Building Repairs & Mainte 2733 .2478 .0000 Misc.Equipment Repairs & Repair parts for pool vacuum Total 2733.2478.0000 Misc.Equipment Repairs & 2733 .2479.0000 Sfwr/Hdwr Maint Contracts Maintenance -HRIS -new Total 2733.2479.0000 Sfwr/Hdwr Maint Contracts 2733 .5510 .0000 Utilities -Water Budget based on 2019 projected actuals and regional water rate increase in 2020 Total 2733.5510.0000 Utilities -Water I 2733 .5520 .0000 Utilities -Gas Budget based on 2019 projected actuals Total 2733.5520.0000 Utilities -Gas 2733 .5530.0000 Utilities -Hydro Budget based on 2019 projected actuals and rate increase in 2020 Total 2733.5530 .0000 Utilities -Hydro 2733.5902.0000 Supplies & Tools Run Date: 6/10/20 1 :38 PM 2020 Bud et 1,250 1 ,250 120 120 23 ,000 11 ,000 2 ,000 14,000 4,000 3,000 12,000 10 ,400 6 ,500 2 ,000 3,000 2,000 92,900 2,000 2,000 1,122 1 ,122 53,680 53,680 61,216 61,216 202 ,098 202,098 First Aid Supplies 800 Toys and Program Supplies (replacement) 3,000 210 2733 Recreation Complex -Pool Small Tools etc. City of Pickering 2020 Approved Background Information Total 2733.5902.0000 Supplies & Tools Run Date : 6/10/20 1:38 PM 2020 Bud et 7,700 11,500 Total Expenses 977,979 Revenues 2733 .9923 .0000 Admissions -Public Swimm Singles & Passes Total 2733.9923 :oooo Admissions -Public Swimm 2733.9932 .0000 Rentals -Pool Learn to swim Prg -(9932) Private Permits Total 2733.9932.0000 Rentals -Pool 2733.9936 .0000 Rentals -Pool -School B School Pool rentals Total 2733.9936.0000 Rentals -Pool -School B 2733 .9943 .0000 Membership -Swim Memberships Total 2733.9943.0000 Membership -Swim Total Revenues Transfers 1910 .7021 .2733 Frm Rate Stab -Cmplx Pool Rate Stabilization Res . fund ing to offset the expected drop in membersh ip revenue due to the Rec Complex renovation Total 1910.7021.2733 Frm Rate Stab -Cmplx Pool 1911 .2733 .0000 Trsffrm Res-Cmplx Pool Funding from Continuing Studies Reserve for Roof Deck Wood & Steel Inspections Total 1911.2733.0000 Trsf frm Res -Cmplx Pool Total Transfers Net Expenses 211 (52,000) (52,000) (98,000) (68,000) (166,000) (1,258) (1,258) (58,000) (58 ,000) (277,258) (9,000) (9 ,000) (1 ,250) (1,250) (10,250) 690,471 2735 Recreation Complex -Arenas 2018 Actuals Expenditures 1100 Salaries & Wages 425,171 1200 Overtime 21,574 1400 Employer Contributions 96,297 1900 Uniforms 1,667 2131 Cellular Phones 779 2140 Telephones 4,243 2340 Seminars & Education 1,001 2370 Insurance Premium 4,343 2371 Ins. Deductible 0 2392 Consulting & Professional 0 2394 Recpt, Prom & Sp Events 107 2399 Outside Agency Serv 455 2435 Build Repairs & Mtce 158,760 2478 Misc Equip Repairs 6,727 2479 Software/Hardware Maintenanc 0 2678 Rental Misc Equip 0 5300 Stationery & Office Supplies 596 5302 Forms 0 5510 Utilities -Water 10,375 5520 Utilities -Gas 13,675 5530 Utilities -Hydro 174,935 5902 Supplies & Tools 2,231 5978 Misc. Equipment 0 Total Expenditures 922,936 Revenues 9915 Snack Bar (7,525) 9916 Vending Machines (1,491) 9940 Advertising Space (21,083) 9922 Admissions -Skating (16,162) 9931 Rentals -Ice Surface (501,281) 9933 Rentals -Mtg. Room/Public (34,167) 9959 Arena Floor Rentals (26,717) 9990 Other Misc Revenue (1,866) 9985 Marketing Sponsorships (8,975) Total Revenues (619,267) Transfers to/from Reserves & R.F. 1911 Trans. to/(from) Continuing Stu 0 Total Transfers 0 City of Pickering 2020 Current Budget Approved Final 2019 2019 YTD Approved Actuals Budget 493,004 477,558 27,308 25,000 117,106 117,248 3,794 4,000 622 1,000 4,154 5,966 561 1,550 4,343 4,343 1,442 2,000 12,040 12,000 150 0 271 930 131,189 131,104 5,068 7,000 0 1,274 0 800 546 650 0 300 11,776 15,920 14,315 22,548 187,841 237,191 1,969 3,335 10,334 6,200 1,027,833 1,077,917 (7,575) (4,000) (1,650) (1,500) (55,000) (55,000) (15,664) (20,000) (667,204) (607,000) (40,211) (42,000) (5,754) (15,000) 0 0 (4,325) (10,000) (797,383) (754,500) 0 0 0 0 212 Run Date: 6/10/20 1:35 PM 2020 INC./DEC. Approved % CHGE. Budget 2019 5,854 483,412 1.23% 0 25,000 0.00% 724 117,972 0.62% 0 4,000 0.00% 0 1,000 0.00% (501) 5,465 (8.40%) 2,100 3,650 135.48% 77 4,420 1.77% 0 2,000 0.00% (5) 11,995 (0.04%) 0 0 0.00% 170 1,100 18.28% 28,441 159,545 21.69% 0 7,000 0.00% 0 1,274 0.00% 0 800 0.00% 0 650 0.00% 0 300 0.00% 0 15,920 0.00% (2,000) 20,548 (8.87%) (20,000) 217,191 (8.43%) 0 3,335 0.00% (6,200) 0 (100.00%) 8,660 1,086,577 0.80% 0 (4,000) 0.00% 0 (1,500) 0.00% 0 (55,000) 0.00% 0 (20,000) 0.00% (205,000) (812,000) 33.77% 0 (42,000) 0.00% 7,500 (7,500) (50.00%) 0 0 0.00% 0 (10,000) 0.00% (197,500) (952,000) 26.18% (1,995) (1,995) 0.00% (1,995) (1,995) 0.00% 2735 Recreation Complex -Arenas 2018 Actuals Net 303,669 City of Pickering 2020 Current Budget Approved Final 2019 2019 YTD Approved Actuals Budget 230,450 323,417 213 Run Date: 6/10/20 1:35 PM 2020 INC./DEC. Approved % CHGE. Budget 2019 (190,835) 132,582 (59.01%) City of Pickering 2020 Approved Background Information 2735 Recreation Complex : Arenas Expenditures 2735.1100.0000 Salaries & Wages Base Salaries and Wages Reallocation of Facility Attendant term position hours (497) from 2715 Decrease in hours (400) for Youth Leader term positions Total 2735.1100.0000 Salarie~ & Wages 2735.1200.0000 Overtime To meet service level/workload commitments Total 2735.1200.0000 Overtime 2735.1400.0000 Employer Contributions This item includes mandatory deductions (CPP, El, EHT) and employer provided benefits such as extended health and dental · • Benefits related to reallocation of Facility Attendant term position hours (497) from 2715 Benefits related to decrease in hours (400) for Youth Leader term positions Total 2735.1400.0000 Employer Contributions 2735.1900.0000 Uniforms As per the Collective Agreement Total 2735.1900.0000 Uniforms 2735.2131.0000 Cellular Phones Cellular Phone Charges Total 2735.2131.0000 Cellular Phones 2735.2140.0000 Telephones Voice/ Data Internet Cable Total 2735.2140.0000 Telephones 2735 .2340.0000 Seminars & Education Ont. Rec. Facilities Assoc. (ORFA) B Ticket Renewal -Foreperson and Maintenance Worker (5) First Aid & Defibrillation Training & Certification Maintenance & Equipment Operations Training Total 2735.2340.0000 Seminars & Education 2735.2370.00Q0 Insurance Premium Annual cost of insurance policy that provides protection for municipal activities and property. (Policy coverage includes : liability, automobile and property). Total 2735.2370.0000 Insurance Premium 2735.2371.0000 Insurance Deductible 214 Run Date: 6/10/20 1 :38 PM 2020 Bud et 479,862 9,554 (6,004) 483,412 25,000 25,000 117,688 536 (252) 117,972 4,000 4,000 1,000 1,000 1,935 1,610 1,920 5,465 350 1,200 2,100 3,650 4,420 4,420 City of Pickering 2020 . Approved Background Information 2735 Recreation Complex -Arenas Insurance Deductible Total 2735.2371 ,0000 Insurance Deductible 2735.2392.0000 Consulting & Professional Roof Structure Inspections Roof Assessment (Funded from Continuing Studies Reserve PO#. 190454) Total 2735.2392.0000 Consulting & Professional 2735.2399.0000 Outside Agency Services Base Hospital Support Defibrillation Program Defibrillator Monitoring Contract Total 2735.2399.0000 Outside Agency Services 2735 .2435.0000 Building Repairs & Mainte Caretaking supplies/services Building repair supplies & services Electrical repairs Plumbing repairs Door and lock repairs Facility Decals Parking lot maintenance (snow removal and salting and garbage) Carpet service -mats Replace Rink light bulbs Condenser Water Treatment Program Replace dasher board, netting & glass repair HVAC repairs Paint Drainage & Disposal System Rink Board cleaning Goals Nets Replacement Annual Regulatory inspections Refrigeration repairs maintenance and dehumidifiers ( contract ) Overhaul compressor (2) Fan & motor repairs, supplies & fuse inventory Energy Management System (Service Contract) Kitchen Hood Inspection Life Safety Systems testing (fire alarm/extinguisher & emerg. lighting) Gasket replacement of the Delaney Rink plate and frame chiller Parking lot line painting Total 2735.2435.0000 Building Repairs & Mainte 2735 .2478.0000 Misc.Equipment Repairs & Ice resurfacer maintenance Misc. small equipment repairs 215 Run Date: 6/10/20 1 :38 PM 2020 Bud et 2,000 2,000 10,000 1,995 11,995 700 400 1,100 17,870 - 14,910 11,240 6,510 3,550 600 14,768 2,000 5,000 5,498 5,700 3,500 2,450 2,500 4,100 2,400 11,592 15,750 2,150 1,500 850 2 ,200 20,407 2,500 159,545 4,000 3,000 City of Pickering . 2020 Approved Background Information 2735 Recreation Complex -Arenas Total 2735.2478.0000 Misc.Equipment Repairs & 2735 .2479.0000 Sfwr/Hdwr Maint Contracts Maintenance -HRIS -new Total 2735.2479.0000 Sfwr/Hdwr Maint Contracts 2735.2678 .0000 Misc Equipment Rentals Rental of tools for specific jobs Total 2735.2678.0000 Misc Equipment Rentals 2735.5300.0000 Stationery & Office Suppl General office supplies Toners for printer Total 2735.5300.0000 Stationery & Office Suppl 2735 .5302 .0000 Forms Printing of facility permits and receipt forms Total 2735.5302.0000 Forms 2735.5510.0000 Utilities -Water Budget based on 2019 projected actuals and regional water rate increase in 2020 Total 2735.5510.0000 Utilities -Water 2735.5520.0000 Utilities -Gas Budget based on 2019 projected actuals Total 2735.5520.0000 Utilities -Gas 2735.5530.0000 Utilities -Hydro Budget based on 2019 projected actuals and rate increase in 2020 Total 2735.5530.0000 Utilities -Hydro 2735.5902.0000 Supplies & Tools · First Aid supplies (replacement) Small tools, etc. (replacement) Total 2735.5902.0000 Supplies & Tools Total Expenses Revenues 2735 .9915.0000 Snack Bar Snack Bar lease agreement Total 2735.9915.0000 Snack Bar 2735.9916.0000 Vending Machines . Arena vending machines Total 2735.9916.0000 Vending Machines 2735 .9922.0000 Admissions -Pleasure Ska Daily admissions for individuals for Public Skating 216 Run Date: 6/10/20 1 :38 PM 2020 Bud et 7,000 1,274 1,274 800 800 400 250 650 300 300 15,920 15,920 20,548 20,548 217,191 217,191 1,335 2,000 3,335 1,086,577 (4,000) (4,000) (1,500) (1,500) (20,000) 2744 Museum 2018 Actuals Expenditures 1100 Salaries & Wages 637,960 1200 Overtime 8,758 1400 Employer Contributions 124,192 1900 Uniforms 4,871 2110 Travel 2,591 2122 Freight, Express & Cartage 1,249 2131 Cellular Phones 5,782 2140 Telephones 19,203 2210 Advertising 20,055 2211 Trade Shows, Exhib & Displayi 1,525 2340 Seminars & Education 5,067 2370 Insurance Premium 3,880 2392 Consulting & Professional 34,100 2394 Recpt, Prom & Sp Events 9,698 2395 Memberships 2,255 2399 Outside Agency Serv 9,842 2435 Build Repairs & Mtce 92,839 2457 Veh -Repairs & Maintenance 3,168 2478 Misc Equip Repairs 5,229 2479 Software/Hardware Maintenan< 1,066 2480 Antiques Repairs Mtce. 8,869 2482 Grounds Upkeep 1,730 2678 Rental Misc Equip 827 5300 Stationery & Office Supplies 2,441 5320 Program Supplies 11,259 5340 Supplies -Special Events 11,609 5345 Antique Purchases 565 5400 Gift Shop Plaques 8,238 5520 Utilities -Gas 6,290 5530 Utilities -Hydro 12,861 5540 Utilities -Oil 1,042 5900 Gas, Oil Tires 1,426 5902 Supplies & Tools 751 Total Expenditures 1,061,238 Revenues 1610 Federal Grant (23,211) 1623 Ont. Specific Grants (39,263) 9910 Gift Shop (10,749} City of Pickering 2020 Current Budget Approved Final 2019 2019 YTD Approved Actuals Budget 659,497 630,527 611 7,000 149,734 141,381 6,985 6,500 3,348 3,000 4,500 2,500 2,963 5,900 17,971 22,030 21,147 18,000 890 1,200 5,245 5,700 3,880 3,880 32,928 40,990 10,264 10,900 2,323 3,016 16,573 9,810 99,241 73,015 2,602 5,000 5,491 5,000 2,180 3,638 8,549 8,700 766 2,800 0 0 2,543 2,250 13,131 11,100 8,423 11,500 593 600 5,734 5,750 5,932 8,010 23,327 20,044 1,657 816 1,789 1,963 1,216 1,500 1,122,033 1,074,020 (13,712) (11,700) (39,263) (42,100) (8,464} (10,000) 218 Run Date: 6/10/20 1:35 PM 2020 INC./DEC. Approved % CHGE. Budget 2019 43,776 674,303 6.94% (4,000) 3,000 (57.14%) 8,833 150,214 6.25% (500) 6,000 (7.69%) 0 3,000 0.00% 0 2,500 0.00% 0 5,900 0.00% (1,120) 20,910 (5.08%) 80,000 98,000 444.44% 0 1,200 0.00% 500 6,200 8.77% 70 3,950 1.80% (22,990) 18,000 (56.09%) (400) 10,500 (3.67%) (829) 2,187 (27.49%) (4,555) 5,255 (46.43%) 26,400 99,415 36.16% 0 5,000 0.00% 0 5,000 0.00% (876) 2,762 (24.08%) 0 8,700 0.00% 0 2,800 0.00% 0 0 0.00% 250 2,500 11.11% 1,155 12,255 10.41% (1,000) 10,500 (8.70%) 0 600 0.00% (500) 5,250 (8.70%) (500) 7,510 (6.24%) 5,000 25,044 24.95% 0 816 0.00% 0 1,963 0.00% (500) 1,000 (33.33%) 128,214 1,202,234 11.94% (86,300) (98,000) 737.61% 3,100 (39,000) (7.36%) (500) (10,500) 5.00% City of Pickering 2020 Current Budget · Approved Final 2744 Museum Run Date: 6/10/20 1:35 PM 2018 2019 2019 2020 Actuals YTD Approved INC./DEC. Approved Actuals Budget Budget 9915 Snack Bar {2,242) (1,569) (3,400) 300 (3,100) 9955 Programs · {14,293) (14,477) (13,700) (9,860) {23,560) 9977 Donations {4,917) (2,237} (1,000) (1,000) (2,000) 9920 Admissions -Public & Edu. (122,043) (128,494) (132,000) (9,440) (141,440) 9933 Rentals -Mtg. Room/ Public {38,804) (11,738} (15,000) (2,000) (17,000) 9990 Other Misc Revenue (447) {89) 0 0 0 Total Revenues (255,969) (220,043) (228,900) (105,700) (334,600) Transfers to/from Reserves & R.F. 1911 Trans. to/(from) Continuing Stu {9,647) (24,989) (32,990) 32;990 0 Total Transfers (9,647) (24,989) (32,990) 32,990 0 Net 795,622 877,001 812,130 55,504 867,634 Staff have calculated approximately $290,375 in volunteer human resources and skills (based on 2019 volunteer h_ours totaling 11,615 hours at a value of $25.00 per hour) 219 % CHGE. 2019 (8.82%) 71.97% 100.00% 7.15% 13.33% 0.00% 46.18% (100.00%) (100.00%) 6.83% City of Pickering 2020 Approved Background Information 2744 Museum Expenditures 2744.1100.0000 Salaries & Wages Base Salaries and Wages One new Audience Development Officer contract position (partially funded from · Canada Cultural Investment Fund Grant) Additional Museum Interpreter hours (600 hrs) to deliver new programs (offset by increase in program revenue) Additional contract program instructor howrs (36 hrs) for new programs at the Museum (funded from increased program revenues) Total 2744.1100.0000 Salaries & Wages 2744.1200 .0000 Overtime To meet service level/workload commitments Total 2744.1200.0000 Overtime 27 44.1400.0000 Employer Contributions This item includes mandatory deductions (CPP, El, EHT) and employer provided benefits such as extended health and dental Statutory benefits related to one new Audience Development Officer contract position (partially funded from Canada Cultural Investment Fund Grant) Benefits related to additional Museum Interpreter hours (600 hrs) to deliver new programs (offset from increased program revenue) Statutory benefits related to new contract program instructor hours (36 hrs) for new programs at the Museum (funded from increased program revenues) Total 2744.1400.0000 Employer Contributions 27 44.1900.0000 Uniforms Repair and Replacement of Costumes Costumes, uniforms & protective equipment for volunteers Total 2744.1900.0000 Uniforms 2744.2110.0000 Travel Parking & Mileage Total 2744.2110.0000 Travel 2744.2122 .0000 Freight,Express & Cartage Shipment of artifacts or displays Total 2744.2122.0000 Freight,Express & Cartage 27 44 .2131 .0000 Cellular Phones Cell phone charges. Motorola Radios (Replacement) Total 2744.2131.0000 Cellular Phones 220 Run Date: 6/10/20 1:38 PM 2020 Bud · et 626,581 30,000 16,677 1 ,045 674,303 3,000 3,000 145,687 · 2,850 1,577 100 150,214 2,000 4,000 6,000 3,000 3 ,000 2 ,500 2,500 5,200 700 5,900 2744 Museum 2744 .2140.0000 Telephones Voice/Data Internet City of Pickering . 2020 Approved Background Information Total 2744.2140.0000 Telephones 2744.2210 .0000 Advertising Run Date : 6/10/20 1 :38 PM 2020 Bud et 19,320 1,590 20,910 Print, Online, On Air Advertising; Tourism Signage and Display; Promotional Goods 18,000 Tourism Marketing (partially offset by Canadian Cultural Investment Fund Grant) Social Media Advertising Total 2744.2210.0000 Advertising 2744.2211.0000 Tr Shows,Exhib.& Displays Supplies and materials for temporary exhibits and displays, enlargements, lettering, folios Total 2744.2211.0000 Tr Shows,Exhib.& Displays 2744 .2340.0000 Seminars & Education High FIVE Quality Assurance Program -new staff Defibrillator Training & CPRC Certification -Various staff Volunteer training workshops Museum Conference & Training AltCon 2020 (Museum Interpretation Conference) Total 2744.2340.0000 Seminars & Education 2744.2370 .0000 Insurance Premium Annual cost of insurance policy that provides protection for municipal activities and property. (Policy coverage includes: liability, automobile and property). Total 2744.2370.0000 Insurance Premium 2744.2392 .0000 Consulting & Professional Architectural consulting services Structural Audit, Redman House Total 2744.2392.0000 Consulting & Professional 2744.2394.0000 · Recpt,Prom. & Sp .Ev.,Gen Volunteer night and appreciation event to cover food, pins, entertainment & awards for volunteers Value, Recognition & Recruitment Total 2744.2394.0000 Recpt,Prom. & Sp.Ev.,Gen 2744 .2395.0000 Memberships Ancestry .ca York-Durham Association of Museums & Galleries Ontario Museum Association 221 75 ,000 5,000 98,000 1,200 1,200 250 1,500 1,000 2,000 1,450 6,200 3,950 3,950 10,000 8,000 18,000 8,500 2,000 10,500 770 25 609 City of Pickering 2020 Approved Background Information 2744 Museum Ontario Historical Society Culinary Historians Membership York Pioneer Newsletter · American Association of State & Local History Canadian Association of Conservators Interpretation Canada Museum Association Total 2744.2395.0000 Memberships 2744.2399.0000 Outside Agency Services Base Hospital Support Defibrillation Program Fire & Security Alarm Monitoring Defibrillator monitoring contract Total 2744.2399.0000 Outside Agency Services 2744 .2435.0000 Building Repairs & Mainte Daily maintenance supplies and building repairs Environmental monitoring & water treatment Routine plumbing and electrical services and repairs Window, door and lock repair/replacement Pest control Chimney sweeping & inspections Plaster & painting of heritage buildings HVAC maintenance & repairs Snow removal & salting Septic Picnic tables Lighting (Gate 2/lower site) Total 2744.2435.0000 Building Repairs & Mainte 2744.2457 .0000 Vehicle -Repairs & Maint Vehicle Repair and Maintenance Total 2744.2457.0000 Vehicle -Repairs & Maint 2744 .2478.0000 Misc.Equipment Repairs & Daily maintenance supplies and restoration for Woodwrights (minor bldg . repairs and gift shop merchandise) Total 2744.2478.0000 Misc.Equipment Repairs & 2744.2479.0000 Sfwr/Hdwr Maint Contracts Maintenance -Museum -Past Perf~ct Maintenance -HRIS -new Total 2744.2479.0000 Sfwr/Hdwr Maint Contracts 2744.2480.0000 Artefact Repairs & Maint 222 Run Date: 6/10/201:38 PM 2020 Bud et 78 30 25 .285 180 25 . 160 2 ,187 1,450 3,400 . 405 5 ,255 15,000 9 ,000 5,000 9,000 5 ,000 915 22,000 3 ,500 10,000 5,000 2,000 13,000 99,415 5,000 5 ,000 5,000 5,000 1,100 1,662 2,762 2744 Museum City of Pickering 2020 Approved Background Information Conservation & restoration materials, on going repairs and restoration of artifacts in collection Reproduction window coverings Research Materials Total 2744.2480.0000 Artefact Repairs & Maint 2744.2482.0000 Grounds Upkeep Annuals, perennial, seeds, vegetable plants, crushed stone for pathways and calcium chloride for driveway Road & Grounds repairs Total 2744.2482.0000 Grounds Upkeep 2744.5300.0000 Stationery & Office Suppl General office supplies Total 2744.5300.0000 Stationery & Office Suppl 2744.5320.0000 Program Supplies On Site Program supplies Firewood Total 2744.5320.0000 Program Supplies 2744.5340.0000 Supplies -Spec.Events/Ba Museum Minecraft Mothers Day Tea Spirit Walk Christmas in the Village General Events Supplies Haunted Ghost Walk Thursday Taster Trio Total 2744.5340.0000 Supplies -Spec.Events/Ba 2744.5345.0000 Artefact Purchases Reproduction items for programming artefacts for the Collection Total 2744.5345.0000 Artefact Purchases 2744.5400 .0000 Gift Shop/Plaques Retail Merchandise for Gift Shop Display and Sales supplies Snack Bar Supplies Total 2744.5400.0000 Gift Shop/Plaques 2744.5520.0000 Utilities -Gas Budget based on 2019 projected actuals Total 2744.5520.0000 Utilities -Gas 2744 .5530 .0000 Utilities -Hydro 223 Run Date: 6/10/20 1 :38 PM 2020 Bud et 7,600 800 300 8,700 800 2 ,000 . 2,800 2,500 2,500 10,755 1,500 12,255 1,000 500 4,000 3,350 800 400 450 10,500 600 600 3,500 250 1,500 5,250 7,510 7,510 City of Pickering 2020 Approved Background Information 2744 Museum Budget based on 2019 projected actuals and rate increase in 2020 Total 2744.5530.0000 Utilities -Hydro 2744 .5540 .0000 Utilities -Oil To purchase fuel for the heater in the schoolhouse Total 2744.5540.0000 Utilities -Oil 2744.5900.0000 Gas , Oil , Tires Etc . Fuel : Unleaded 1,200 litres@ $1.03/litre Fuel : Diesel 220 litres @ $1 .11/litre Oil changes and tires Total 2744 .5900.0000 Gas, Oil, Tires Etc. 2744.5902.0000 Supplies & Tools Gardening supplies Grounds Tools Total 2744.5902.0000 Supplies & Tools Total Expenses Revenues 1610 .2744 .0000 Fed Grnts -Museum Young Canada Works Canada Cultural Investment Fund Total 1610.2744.0000 Fed Grnts -Museum 1623 .2744.0000 Ont Grant -Museum Museum Operating Grant Total 1623.2744.0000 Ont Grant -Museum 2744 .9910 .0000 Gift Shop Retail purchases : Jan/May July/ August/Sept Oct.I Nov./Dec. Total 2744.9910.0000 Gift Shop 2744 .9915 .0000 Snack Bar Gift Shop Snack Bar Total 2744.9915.0000 Snack Bar 2744 .9920 .0000 Admissions -Public & Edu Admissions during Special Events On Site Education Programs for Summer On Site Education Programs for Spring On Site Education Programs for Fall General Admissions/ Kids in the Village 224 Run Date: 6/10/20 1:38 PM 2020 Bud et 25 ,044 25,044 816 816 1,236 244 483 1,963 400 600 1,000 1,202,234 (13 ,000) (85,000) (98,000) (39,000) (39 ,000) (1,300) (6 ,500) (2 ,700) (10 ,500) (3 ,100) (3 ,100) (15 ,670) (5,000) (66,000) (35 ,000) (8 ,000) 2744 Museum Spirit Walk Season's Pass City of Pickering 2020 Approved Background Information Total 2744.9920.0000 Admissions -Public & Edu 2744 .9933 .0000 Rentals -Mtg. Room/Publi Birthday Parties Photography Grounds Rentals Total 2744.9933.0000 Rentals -Mtg. Room/Publi 2744.9955 .0000 Programs , Outreach Programs Public workshops & programs Total 2744.9955.0000 Programs 2744.9977 .0000 Donations Donations & Donation Box Total 2744.9977.0000 Donations Total Revenues Total Transfers Net Expenses 225 Run Date: 6/10/20 1 :38 PM 2020 Bud et (9,270) (2,500) (141,440) (3,000) (3,000) (11,000) (17,000) (6,000) (17,560) (23,560) (2,000) (2 ,000) (334,600) 0 867,634 2740 Pickering Arts Centre 2018 Actuals Expenditures 1100 Salaries & Wages 0 1400 Employer Contributions 0 1800 Conferences 0 2110 Travel 0 2131 Cellular Phones 0 5300 Stationery & Office Supplies 0 Total Expenditures 0 Revenues Total Revenues 0 Transfers to/from Reserves & R.F. Total Transfers 0 Net 0 City of Pickering 2020 Current Budget Approved Final 2019 2019 YTD Approved Actuals Budget 0 0 0 0 0 0 0 0 0 0 226 Run Date: 6/10/20 1:35 PM 2020 INC./DEC. Approved % CHGE. Budget 2019 0 106,385 106,385 0.00% 0 29,911 29,911 0.00% 0 1,500 1,500 0.00% 0 1,000 1,000 0.00% 0 1,000 1,000 0.00% 0 500 500 0.00% 0 140,296 140,296 0.00% 0 0 0 0.00% 0 0 0 0.00% 0 140,296 140,296 0.00% 2740 Pickering Arts Centre Expenditures 2740 .1100 .0000 Salaries & Wages Base Salaries and Wages City of Pickering 2020 Approved Background Information Total 2740.1100.0000 Salaries & Wages 2740.1400 .0000 Employee Benefits This item includes mandatory deductions (CPP , El , EHT) and employer provided benefits such as extended health and dental Total 2740.1400.0000 Employee Benefits 2740.1800 .0000 Conferences Topical Conference -Executive Director, Pickering Arts Centre Total 2740.1800.0000 Conferences 2740 .2110.0000 Travel Parking & Mileage Total 2740.2110.0000 Travel 2740.2131 .0000 Cellular Phones nual Smartphone charges -Executive Director, Pickering Arts Centre Total 2740.2131.0000 Cellular Phones 2740 .5300 .0000 Stationery & Office Suppl General office supplies Total 2740.5300.0000 Stationery & Office Suppl Total Expenses Total Revenues Total Transfers Net Expenses 227 Run Date: 6/10/20 1 :38 PM 2020 Bud et 106,385 .106,385 29 ,911 29,911 1,500 1,500 1,000 1,000 1,000 1,000 500 500 140,296 0 0 140,296 Public Works 2018 Actuals Expenditures 1100 Salaries & Wages 6,157,129 1200 Overtime 379,488 1400 Employer Contributions '1,524,911 1800 Conferences 100 1900 Uniforms 75,647 2110 Travel 1,645 2122 Freight, Express & Cartage 1,031 2123 Environmental Charges 281 2131 Cellular Phones 11,718 2140 Telephones 21,019 2220 Subscription & Publications 493 2340 Seminars & Education 26,828 2370 Insurance Premium 171,549 2371 Ins. Deductible 15,751 2392 Consulting & Professional 41,210 2394 Recpt, Prom & Sp Events 6,241 2395 Memberships 7,594 2396 Photo, Mapping, Printing 0 2399 Outside Agency Serv 85,153 2408 Rpr & Mnt -Winter Control 776,544 2408 Rpr & Mnt -Contract Services 184,047 2408 Rpr Main. Maint Mater 376,402 2410 Engineering Rpr & Mnt 280,324 2409 Highway Aids -Repair Maint. 69,081 2429 Parks Repairs & Maintenance 42,614 2435 Build"Repairs & Mtce 325,283 2437 Tree Maintenance 376,206 2438 Lighting & Repair Maint. 11,857 2457 Veh -Repairs & Maintenance 424,315 2478 Misc Equip Repairs 299,946 2479 Software/Hardware Maintenanc 12,054 2482 Grounds Upkeep 208,517 2648 Building Rentals 11 2678 Rental Misc Equip 109,202 2682 Land Rentals 12,410 5300 Stationery & Office Supplies 6,396 5302 Forms 2,320 5320 Program Supplies 213,057 City of Pickering 2020 Current Budget Approved Final 2019 2019 YTD Approved Actuals Budget 6,596,064 6,749,363 517,166 367,360 1,662,629 1,659,379 0 0 74,318 77,345 2,057 1,800 1,098 1,800 279 500 12,875 16,900 23,742 24,997 3,141 4,100 35,142 41,750 181,881 186,549 14,794 34,050 19,948 30,525 8,451 7,350 7,860 8,290 0 200 100,844 88,350 915,603 660,000 240,780 160,000 518,935 525,000 345,656 749,000 82,683 75,000 87,351 60,000 347,727 314,810 377,477 370,000 30,946 20,000 389,549 433,750 301,524 305,000 19,495 34,102 285,699 256,500 0 0 160,212 116,800 19,200 21,696 9,809 9,000 1,750 2,000 426,021 410,775 228 Run Date: 6/10/20 2:34 PM 2020 INC.IDEC. Approved % CHGE. Budget 2019 819,467 7,568,830 12.14% 79,640 447,000 21.68% 306,801 1,966,180 18.49% 0 0 0.00% 3,170 80,515 4.10% 0 1,800 0.00% 0 1,800 0.00% 0 500 0.00% 1,600 18,500 9.47% 4,578 29,575 18.31% 300 4,400 7.32% 22,485 64,235 53.86% 29,224 215,773 15.67% 0 34,050 0.00% 27,315 57,840 89.48% 200 7,550 2.72% 2,280 10,570 27.50% 0 200 0.00% (700) 87,650 (0.79%) 95,000 755,000 14.39% 20,000 180,000 12.50% 0 525,000 0.00% 38,000 787,000 5.07% 0 75,000 0.00% 0 60,000 0.00% 9,540 324,350 3.03% 20,000 390,000 5.41% 0 20,000 · 0.00% (8,750) 425,000 (2.02%) (70,000) 235,000 (22.95%) 69,000 103,102 202.33% 63,360 319,860 24.70% 0 0 0.00% 11,000 127,800 9.42% 0 21,696 0.00% 2,000 11,000 22.22% 0 2,000 0.00% (2,775) 408,000 (0.68%) Public Works 2018 Actuals 5510 Utilities -Water 57,517 5520 Utilities -Gas 15,136 5530 Utilities -Hydro 172,592 5640 Small Tools 8,351 5900 Gas, Oil Tires 490,035 5901 Fertilizer, Grass Etc. 38,816 5902 Supplies & Tools 11,246 5903 Shop Supplies 50,748 5973 Minor Furniture & Fixtures 478 5978 Misc. Equipment 19,628 5981 Other Minor Fixed Assets 42,918 8960 Taxes Tenant 224,861 Total Expenditures 13,390,700 Revenues 1430 Sale of Services -Public Work: (174,650) 1610 Federal Grant (17,360) 1623 Ont. Specific Grants 0 9916 Vending Machines (221) 9930 Rentals (149,714) 9955 Programs (23,600) 9990 Other Revenue 0 9990 Other Misc Revenue (58,921) 9954 Netted Revenue (372,718) Total Revenues (797,184) Transfers to/from Reserves & R.F. 1910 Transfer to/(fro_m) Reserve 0 1911 Trans. to/(from) Continuing Stu 0 1920 Transfer to/(from) Reserve Fun 0 Total Transfers 0 Net 12;593,516 City of Pickering 2020 Current Budget Approved Final 2019 2019 YTD Approved Actuals Budget 59,116 67,170 42,191 27,115 207,629 274,182 8,806 8,000 486,744 520,503 36,150 42,000 12,879 10,500 65,745 49,500 0 2,000 19,598 40,900 2,344 80,000 219,601 258,645 14,983,509 15,204,556 (204,480) (172,200) (19,600) 0 0 (17,775) (304) (500) (185,778) (256,000) (34,100) (40,000) (4,457) 0 (74,458) (75,550) (318,015) (368,350) (841,192) (930,375) 0 (95,000) (2,524) (2,525) (8,782) (110,000) (11,306) (207,525) 14,131,011 14,066,656 229 Run Date: 6/10/20 2:34 PM 2020 INC./DEC. Approved % CHGE. Budget 2019 12,635 79,805 18.81% 0 27,115 0.00% (79,000) 195,182 (28.81%) 0 8,000 0.00% 0 520,503 0.00% 0 42,000 0.00% 0 10,500 0.00% 0 49,500 0.00% (1,000) 1,000 (50.00%) 13,023 53,923 31.84% (10,000) 70,000 (12.50%) 0 258,645 0.00% 1,478,393 16,682,949 9.72% (7,800) (180,000) 4.53% (18,000) (18,000) 0.00% 17,775 0 (100.00%) 0 (500) 0.00% 46,000 (210,000) (17.97%) 0 (40,000) 0.00% 0 0 0.00% (54,450) (130,000) 72.07% 0 (368,350) 0.00% (16,475) (946,850) 1.77% 95,000 0 (100.00%) (8,675) (11,200) 343.56% (50,000) (160,000) 45.45% 36,325 (171,200) (17.50%) 1,498,243 15,564,899 10.65% f ity. ()f 2 t!~:kf ring • • • • • • < • · > · · / < PupiicWork~:: / < · Summaiv. ot:Notew.orthvc:urrent•Budtietcti~ntles • Revenues -(lncreases)/Decreases Budget Item 1430 Sale of Services -Public Works 1610 Federal Grant 1623 Ont. Specific Grants 9930 Rentals 9990 Other Miscellaneous Revenue Total Revenue Changes Amount Explanation ($7,800) · Budget increase is based on actual revenues in 2019 (particularly in road occupancy permit revenues). (18,000) Budget increase is based on actual revenues in 2019, from federal summer student wage subsidy programs. 17,775 Budget decrease based on the completion of the one-time funding of the Main Street Grant (for the implementation of the Community Banner program in 2019). 46,000 Budget decrease based on actual revenues in 2019. (54,450) Budget increase based on anticipated revenues associated with road cut degradation permit fees, collected in 2020. ($16,475) 232 2500 Operations -Adm in. 2018 Actuals Expenditures 1100 Salaries & Wages 571,367 1200 Overtime 2,914 1400 Employer Contributions 125,860 1800 Conferences 100 1900 Uniforms 706 2110 Travel 73 2131 Cellular Phones 532 2140 Telephones 3,676 2220 Subscription & Publications 0 2340 Seminars & Education 1,239 2370 Insurance Premium 4,178 2371 Ins. Deductible 0 2392 Consulting & Professional 6,249 2394 Recpt, Prom & Sp Events 1,069 2395 Memberships 349 2399 Outside Agency Serv 2,532 2435 Build Repairs & Mtce 97,442 2479 Software/Hardware Maintenan, 0 5300 Stationery & Office Supplies 6,396 5510 Utilities -Water 2,374 5520 Utilities -Gas 15,136 5530 Utilities -Hydro 98,301 5973 Minor Furniture & Fixtures 478 Total Expenditures 940,971 Revenues 9916 Vending Machines (221) 9990 Other Revenue 0 9954 Netted Revenue (175,350) Total Revenues (175,571) Transfers to/from Reserves & R.F. Total Transfers 0 Net 765,400 City of Pickering 2020 Current Budget Approved Final 2019 2019 YTD Approved Actuals Budget 606,453 599,149 4,559 2,000 131,740 152,441 0 0 1,632 1,200 251 250 965 800 2,148 3,867 2,005 200 1,975 1,450 14,510 19,178 0 2,000 4,890 8,000 4,287 1,500 778 0 3,667 4,300 129,501 116,460 519 1,948 9,809 9,000 7,463 5,290 42,191 27,115 133,838 164,955 0 2,000 1,103,181 1,123,103 (304) (500) (4,457) 0 (175,350) (175,350) (180,111) (175,850) 0 0 923,070 947,253 234 Run Date: 6/10/20 1:35 PM 2020 INC./DEC. Approved % CHGE. Budget 2019 73,098 672,247 12.20% 0 2,000 0.00% 26,425 178,866 17.33% 0 0 0.00% 0 1,200 0.00% 0 250 0.00% 0 800 0.00% 368 4,235 9.52% 3,800 4,000 1,900.00% 3,000 4,450 206.90% 26,248 45,426 136.87% 0 2,000 0.00% 2,000 10,000 25.00% 0 1,500 0.00% 1,500 1,500 0.00% 800 5,100 18.60% (15,460) 101,000 (13.27%) 24,000 25,948 1,232.03% 2,000 11,000 22.22% 1,210 6,500 22.87% 0 27,115 0.00% (69,000) 95,955 (41.83%) (1,000) 1,000 (50.00%) 78,989 1,202,092 7.03% 0 (500) 0.00% 0 0 0.00% 0 (175,350) 0.00% 0 (175,850) 0.00% 0 0 0.00% 78,989 1,026,242 8.34% City of Pickering 2020 Approved Background Information 2500 Operations -Admin. Expenditures 2500.1100 .0000 Salaries & Wages Base Salaries and Wages Increase in hours (30) for Student Typist, Operations Centre term position Transfer of full time Coordinator, Special Projects position to 2711 New Supervisor, Public Works Operations position -special Levy Council approved Total 2500.1100.0000 Salaries & Wages 2500.1200.0000 Overtime To meet service level/workload commitments Total 2500.1200.0000 Overtime 2500.1400.0000 Employer Contributions This item includes mandatory deductions (CPP , El, EHT) and employer provided benefits such as extended health and dental Benefits costs related to increase in hours (30) for Student Typist, Operations Centre term position Benefits related to transfer of full time Coordinator, Special Projects position to 2711 Benefits related to new Supervisor, Public Works Operations position -special Levy Council approved Total 2500.1400.0000 Employer Contributions 2500.1900 .0000 Uniforms Uniforms for Clerk positions Total 2500.1900.0000 Uniforms 2500.2110.0000 Travel Parking & Mileage Total 2500.2110.0000 Travel 2500.2131.0000 Cellular Phones Annual Smartphone Charges -Manager, Public Works Total 2500.2131.0000 Cellular Phones 2500 .2140.0000 Telephones Operations Centre Internet Total 2500.2140.0000 Telephones 2500.2220 .0000 Subscriptions & Publicati Weather Monitoring Subscription (shared with Facilities & By-law) Miscellaneous Manuals Total 2500.2220.0000 Subscriptions & Publicati 2500 .2340.0000 Seminars & Education 235 Run Date: 6/10/20 1 :38 PM 2020 Bud et 646,340 . 554 (83,832) 109,185 672,247 2 ,000 2,000 174,149 52 (25,150) 29,815 178,866 1,200 1,200 250 250 800 800 3,740 495 4,235 3 ,800 200 4,000 City of Pickering 2020 Approved Background Information 2500 Operations -Admin. Health & Safety training and seminars Misc. training Laserfiche training Municipal Engineers Association Conference Ontario Public Buyers Association Ontario Good Roads Association Seminars Total 2500.2340.0000 Seminars & Education 2500 .2370 .0000 Insurance Premium Annual cost of insurance policy that provides protection for municipal activities and property . (Policy coverage includes: liability, automobile and property). Property insurance premiums for new Operations Centre Total 2500.2370.0000 Insurance Premium 2500.2371 .0000 Insurance Deductible Insurance deductible for low dollar value claims . Total 2500.2371.0000 Insurance Deductible 2500 .2392 .0000 Consulting & Professional Additional Sweepings Disposal testing Total 2500.2392.0000 Consulting & Professional 2500 .2394.0000 Recpt, Prom & Sp Events Miscellaneous meetings , functions & promotional events Total 2500.2394.0000 Recpt, Prom & Sp Events 2500 .2395.0000 Memberships Professional Engineers Association Canadian Technical Asphalt Association Municipal Engineers Association Durham Region Public Works Association Professional Buyers Association Total 2500.2395.0000 Memberships 2500.2399.0000 Outside Agency Services Base hospital support defibrillation program (4 inspections) Nexgen Radio Charge -Base Radios Defibrillator Monitoring Program Operations Centre Total 2500.2399.0000 Outside Agency Services 2500.2435.0000 Building Repairs & Maint General Building Maintenance Janitorial Staff City (Term employees) Fixed Hoists Repairs Waste Disposal for new Operations Centre Fire Alarm Monitoring 236 Run Date: 6/10/20 1 :38 PM 2020 Bud et 600 600 350 2,000 400 500 4,450 19,520 25,906 45 ,426 2 ,000 2,000 10,000 10,000 1,500 1,500 300 300 350 250 300 1,500 2,900 1,800 400 5,100 37,610 42,290 5,000 15,000 1,100 2132 Property Maintenance ' 2018 Actuals Expenditures 1100 Salaries & Wages 314,345 1200 Overtime 26,101 1400 Employer Contributions 75,573 1900 Uniforms 2,730 2131 Cellular Phones 1,527 2140 Telephones 0 2340 Seminars & Education 120 2370 Insurance Premium 4,058 2392 Consulting & Professional 0 2394 Recpt, Prom & Sp Events 70 2399 Outside Agency Serv 5,623 2437 Tree Maintenance 137,019 2438 Lighting & Repair Maint. 11,857 2457 Veh -Repairs & Maintenance 6,166 2478 Misc Equip Repairs 58,008 2479 Software/Hardware Maintenanc 0 2482 Grounds Upkeep .14,655 2678 Rental Misc Equip 13,196 2682 Land Rentals 12,410 5320 Program Supplies 136,229 5900 Gas, Oil Tires 19,939 5902 Supplies & Tools 2,861 5978 Misc. Equipment 1,048 5981 Other Minor Fixed Assets 15,824 8960 Taxes Tenant 0 Total Expenditures 859,359 Revenues 9990 Other Misc Revenue (15,400) Total Revenues (15,400) Transfers to/from Reserves.& R.F. 1911 Trans. to/(from) Continuing Stu 0 1920 Transfer to/(from) Reserve Fun 0 Total Transfers 0 Net 843,959 City of Pickering 2020 Current Budget Approved Final 2019 2019 YTD Approved Actuals Budget 327,151 361,199 29,616 23,110 72,937 70,123 2,800 2,100 1,217 1,800 265 400 282 1,200 4,058 4,058 0 0 0 150 7,230 4,550 143,431 140,000 30,946 20,000 5,215 4,000 37,248 23,000 0 963 21,348 27,000 20,126 23,000 19,200 21,696 338,176 315,000 19,166 21,061 3,893 1,000 9,406 11,300 0 30,000 3,809 2,500 1,097,520 1,109,210 (22,225) (30,000) (22,225) (30,000) 0 0 0 0 0 0 1,075,295 1,079,210 238 Run Date: 6/10/20 1:35 PM 2020 INC./DEC. Approved % CHGE. Budget 2019 42,053 403,252 11.64% 6,890 30,000 29.81% 17,620 87,743 25.13% 530 2,630 25.24% 0 1,800 0.00% (50) 350 (12.50%) 235 1,435 19.58% 72 4,130 1.77% 20,000 20,000 0.00% 0 150 0.00% 0 4,550 0.00% 0 140,000 0.00% 0 20,000 0.00% 0 4,000 0.00% 7,000 30,000 30.43% 0 963 0.00% 3,360 30,360 12.44% 0 23,000 0.00% 0 21,696 0.00% 0 315,000 0.00% 0 21,061 0.00% 0 1,000 0.00% (1,220) 10,080 (10.80%) (10,000) 20,000 (33.33%) 0 2,500 0.00% 86,490 1,195,700 7.80% 5,000 (25,000) (16.67%) 5,000 (25,000) (16.67%) (3,360) (3,360) 0.00% (15,000) (15,000) 0.00% (18,360) (18,360) 0.00% 73,130 1,152,340 6.78% 2132 Property Maintenance Expenditures 2132 .1100.0000 Salaries & Wages Base Salaries and Wages City of Pickering 2020 Approved Background Information One new full time Maintenance Worker, Property Maintenance position -start date July 1, 2020 On call staff -special levy Council approved Total 2132.1100.0000 Salaries & Wages 2132.1200.0000 Overtime Winter Control Emergency Call-in & Special Events Total 2132.1200.0000 Overtime · 2132.1400.0000 Employer Contributions This item includes mandatory deductions (CPP, El, EHT) and employer provided benefits such as extended health and dental Benefits related to one new full time Maintenance Worker, Property Maintenance position -start date July 1, 2020 Total 2132.1400.0000 Employer Contributions 2132.1900.0000 Uniforms As per the Collective Agreement, personal protective equipment Total 2132.1900.0000 Uniforms 2132 .2131 .0000 Cellular Phones Cellular Phone Charges & Smartphone Charges Total 2132.2131.0000 Cellular Phones 2132.2140.0000 Telephones Run Date: 6/10/20 1 :38 PM 2020 Bud et 36.2,937 33,315 7,000 403,252 20,000 10,000 30 ,000 77,098 10,645 87 ,743 2,630 2,630 1,800 1 ,800 Voice/Data 310 Internet Total 2132.2140.0000 Telephones ' 2132 .2340 .0000 Seminars & Education Parks & Recreation Ontario (PRO) Conference -Foreperson , Parks & Property Integrated Pest Mgmt (1PM) Symposium -Foreperson, Parks & Property Operations Ontario Parks Association -Summer Operational Forum Sports Turf Association -Foreperson, Parks & Property Total 2132.2340 .0000 Seminars & Education 2132 .2370.0000 Insurance Premium Annual cost of insurance policy that provides protection for municipal activities and property. (Policy coverage· includes: liability, automobile and property). Total 2132.2370.0000 Insurance Premium 239 40 350 900 135 175 225 1,435 4 ,130 4,130 City of Pickering 2020 Approved Background Information .2132 Property Maintenance 2132 .2392 .0000 consulting & Professional Soil mon itoring of City Pit Total 2132.2392.0000 consulting & Professional 2132.2394.0000 Recpt , Prom & Sp Events Meal Allowance as per Collective Agreement Total 2132.2394.0000 Recpt, Prom & Sp Events 2132 .2399. 0000 Outside Agency Services Internet based GPS/AVL Subscription for vehicles/equipment Nexgen Radio Licensing Total 2132.2399 .0000 Outside Agency Services 2132 .2437.0000 Tree Maintenance Tree Replacement, Removal & Maintenance EAB Treazin Treatment or replacement trees -Required for ash trees that were treated in 2018, the remaining dollars would be used to purchase replacement trees . Total 2132.2437.0000 Tree Maintenance -2132 .2438.0000 Lighting Repa ir & Maint. To cover maintenance, repairs and replacement of walkway lighting Total 2132.2438.0000 Lighting Repair & Maint. 2132.2457 .0000 Vehicle-Repair & Maintena Repairs and maintenance of vehicles Total 2132.2457.0000 Vehicle-Repair & Maintena 2132 .2478.0000 Misc.Equipment Repairs & Repair and maintenance of equipment Total 2132.2478.0000 Misc.Equipment Repairs & 2132 .2479 .0000 Sfwr/Hdwr Maint Contracts Maintenance -HRIS -new Total 2132.2479.0000 Sfwr/Hdwr Maint Contracts 2132.2482.0000 Grounds Upkeep Maintenance and repair of City property, including sod, brick interlock, graffiti removal , vandalism, concrete & asphalt walkways, street furnishings, fences and signs Parking lot on Avis property (gravel & dust suppression) Electrical Engineering Design & Project Oversight for Electrical gate at City Pit (Funded from Continuing Studies Reserve PO#. 190628) Total 2132.2482.0000 Grounds Upkeep 2132.2678 .0000 Misc Equipment Rentals Rental of equipment and vehicles for seasonal operations 240 Run Date: 6/10/20 1 :38 PM 2020 Bud et 20,000 20,000 150 150 3 ,000 1,550 4,550 125,000 15,000 140,000 20 ,000 20,000 4,000 4,000 30,000 30 ,000 963 963 25,000 2,000 3 ,360 30,360 8,000 City of Pickering 2020 Approved Background Information 2132 Property Maintenance Rental of dozer to maintain City pit Total 2132.2678.0000 Misc Equipment Rentals 2132.2682.0000 Land Rentals Liverpool Road South Parking Lot Rental Fees to Avis Total 2132.2682.0000 Land Rentals 2132 .5320.0000 Seniors Snow Removal Prgm Senior Snow Removal Total 2132.5320.0000 Seniors Snow Removal Prgm 2132 .5900.0000 Gas, Oil, Tires Etc . Fuel: Unleaded 1,320 litres @ $1.03/litre Fuel : Diesel 15,275 litres @ 1.11 /litre Oil changes and tires Total 2132.5900.0000 Gas, Oil, Tires Etc. 2132 .5902 .0000 Supplies & Tools Screw drivers, hammers, drill bits, grinder wheels, concrete cut blades, saw blades Total 2132.5902.0000 Supplies & Tools 2132.5978.0000 Misc. Equipment Generators (2) Electric Wheelbarrow Limb Saw Total 2132.5978.0000 Misc. Equipment 2132.5981.0000 Other Fixed Assets Garbage/recycle receptacles for roadside garbage Cemeteries -Headstone & Grave marker maintenance and repairs Total 2132.5981.0000 Other Fixed Assets 2132.8960.0000 Taxes -Tenant Avis Property, 640 Liverpool Rd . (Parking Lot) Total 2132.8960.0000 Taxes -Tenant Total Expenses Revenues 2132.9990.0000 other Revenue Senior Snow Removal program fees Total 2132.9990.0000 Other Revenue Total Revenues Transfers 1911.2132.0000 Trsf frm Res -Prop Maint 241 Run Date: 6/10/20 1 :38 PM 2020 Bud et 15,000 23,000 21,696 21,696 315,000 315,000 1,360 16,955 2,746 21,061 1,000 1,000 3,380 6,000 700 10,080 10,000 10,000 20,000 2,500 2,500 1,195,700 (25,000) (25,000) (25,000) City of Pickering 2020 Approved Background Information 2132 Property Maintenance Continuing Studies Reserve Funding for Electrical Engineering Design & Project Oversight for Electrical Gate at City Pit Total 1911.2132.0000 Trsf frm Res -Prop Maint 1920.7501 .2132 Frm 3rd Prty RF-Prop Mnt Tree Compensation -Cash in Lieu (7501.0101) reserve funding for tree replacement Total Transfers Net Expenses Total 1920.7501.2132 Frm 3rd Prty RF-Prop Mnt 242 Run Date: 6/10/20 1 :38 PM 2020 Bud et (3,360) (3,360) (15 ,000) (15,000) (18,360) 1,152,340 2315 Fleet Services 2018 Actuals Expenditures 1100 Salaries & Wages 853,673 1200 Overtime 47,490 1400 Employer Contributions 223,998 1900 Uniforms 19,858 2110 Travel 1,006 2122 Freight, Express & Cartage 1,031 2123 Environmental Charges 281 2131 Cellular Phones 1,884 2140 Telephones 13,656 2220 Subscription & Publications 51 2340 Seminars & Education 5,103 2370 Insurance Premium 4,866 2394 Recpt, Prom & Sp Events 1,697 2395 Memberships 1,245 2399 Outside Agency Serv 1,490 2435 Build Repairs & Mtce 0 2457 Veh -Repairs & Maintenance 7,413 2478 Misc Equip Repairs 5,394 2479 Software/Hardware Maintenanc 5,949 2678 Rental Misc Equip 0 5302 Forms 2,320 5900 Gas, Oil Tires 5,156 5902 Supplies & Tools 7,515 5903 Shop Supplies 50,748 5978 Misc. Equipment 680 Total Expenditures 1,262,504 Revenues 9990 Other Misc Revenue 0 9954 Netted Revenue (197,368) Total Revenues (197,368) Transfers to/from Reserves & R.F. Total Transfers 0 Net 1,065,136 City of Pickering 2020 Current Budget Approved Final 2019 2019 YTD Approved Actuals Budget 957,070 926,900 60,754 30,000 316,648 257,094 21,959 20,465 1,064 550 1,098 1,800 279 500 1,337 1,600 16,423 14,319 122 200 8,608 13,500 4,866 4,866 627 600 380 1,180 1,951 2,000 92 0 4,557 6,000 3,628 7,000 7,642 9,872 0 500 1,750 2,000 12,822 6,032 5,531 8,500 65,745 49,500 975 1,000 1,495,928 1,365,978 0 (550) (142,665) (193,000) (142,665) (193,550) 0 0 1,353,263 1,172,428 243 Run Date: 6/10/20 1:35 PM 2020 INC./DEC. Approved % CHGE. Budget 2019 184,404 1,111,304 19.89% 0 30,000 0.00% 63,302 320,396 24.62% 0 20,465 0.00% 0 550 0.00% 0 1,800 0.00% 0 500 0.00% 0 1,600 0.00% 3,071 17,390 21.45% 0 200 0.00% 2,000 15,500 14.81% 89 4,955 1.83% 200 800 33.33% 480 1,660 40.68% (1,500) 500 (75.00%) 0 0 0.00% 2,000 8,000 33.33% (2,000) 5,000 (28.57%) 45,000 54,872 455.83% 0 500 0.00% 0 2,000 0.00% 0 6,032 0.00% 0 8,500 0.00% 0 49,500 0.00% 0 1,000 0.00% 297,046 1,663,024 21.75% 550 0 (100.00%) 0 (193,000) 0.00% 550 (193,000) (0.28%) 0 0 0.00% 297,596 1,470,024 25.38% 2315 Fleet Services Expenditures 2315 .1100 .0000 Salaries & Wages Base Salaries and Wages City of P i ckeri ng 2020 Approved Background Information New Lead Hand, Municipal Garage position -special Levy Council approved New Mechanic, Municipal Garage position -special levy Council approved Total 2315.1100.0000 Salaries & Wages 2315 .1200.0000 Overtime To service emergency repairs and be available for winter call in Total 2315.1200.0000 Overtime 2315 .1400.0000 Employer Contributions This item includes mandatory deductions (CPP, El , EHT) and employer provided benefits such as extended health and dental Benefits related to new Lead Hand, Municipal Garage position -special Levy Council approved Benefits related to new Mechanic, Municipal Garage position -special Levy Council approved Total 2315.1400.0000 Employer Contributions 2315.1900.0000 Uniforms As per the Collective Agreement -Personal protective equipment Coverall rental/cleaning service Tool Allowance -8 staff Total 2315.1900.0000 Uniforms 2315.2110 .0000 Travel Parking & Mileage Total 2315.2110.0000 Travel 2315 .2122.0000 Freight,Express & Cartage To pay for shipment of auto repair parts Total 2315 .2122.0000 Freight,Express & Cartage 2315.2123 .0000 Environmental Chrg Environmental Charges Total 2315.2123.0000 Environmental Chrg 2315.2131.0000 Cellular Phones Annual Smartphone Charges -Supervisor, Municipal Garage and Foreperson, Municipal Garage Total 2315.2131.0000 Cellular Phones 2315 .2140.0000 Telephones Run Date: 6/10/20 1 :38 PM 2020 Bud et 942,174 86,370 82,760 1,111,304 30,000 30,000 271,526 24,820 24,050 320,396 7,990 6,075 6,400 20,465 550 550 1,800 1,800 500 500 1,600 1,600 ·voice/ Data 17,060 Internet 330 244 City of Pickering 2020 Approved Background Information 2315 Fleet Services Total 2315.2140.0000 Telephones 2315 .2220 .0000 Subscriptions & Publicati Subscriptions/publications related to vehicle maintenance Total 2315.2220.0000 Subscriptions & Publicati 2315 .2340 .0000 Seminars & Education Health & Safety train ing and seminars Spartan Chassis training Smeal Aerial training Waterous Pump Training Fire Truck Training Fire Truck International Training Conference (Shop Foreman & Emergency Vehicle Technician) Operations Centre Fleet Management Software Training Total 2315.2340.0000 Seminars & Education 2315 .2370.0000 Insurance Premium Annual cost of insurance policy that provides protection for municipal activities and property. (Policy coverage includes : liability, automobile and property). Total 2315.2370.0000 Insurance Premium 2315.2394 .0000 Recpt, Prom & Sp Events Meal Allowance Receptions/Business Meetings Total 2315.2394.0000 Recpt, Prom & Sp Events 2315.2395.0000 Memberships Licence Renewals (13 x $120) Co_mmercial Vehicle Operators Registration Number Renewal Total 2315.2395 .0000 Memberships 2315 .2399 .0000 Outside Agency Services Nexgen -Radio -Operating, Maintenance & Licensing Total 2315.2399.0000 Outside Agency Services 2315 .2457 .0000 Vehicle-Repair & Maintena Repair & maintenance of service veh icles Total 2315 .. 2457.0000 Vehicle-Repair & Maintena 2315 .2478 .0000 Misc.Equipment Repairs & To cover repairs and maintain hoists, jacks, scopes, etc. Total 2315.2478.0000 Misc.Equipment Repairs & 2315 .2479 .0000 Sfwr/Hdwr Ma int Contracts Maintenance -RTA -Fleet Maintenance Snap on Diagnostic Software Subscription 245 Run Date: 6/10/20 1 :38 PM 2020 Bud et 17,390 200 200 500 2,000 5,000 2 ,000 2 ,000 2 ,000 2 ,000 15,500 4,955 4,955 600 200 800 1,560 100 1,660 500 500 8 ,000 8,000 5 ,000 5 ,000 4 ,000 1,000 City of Pickering 2020 Approved Background Information 2315 Fleet Services Cummins lnsite Software Renewal (diagnostics) Focus Fleet Software (modifications) Maintenance -HRIS -new Parts Inventory Management -Service Contracts Operations Centre Fleet Management Software Maintenance Total 2315.2479.0000 Sfwr/Hdwr Maint Contracts 2315.2678.0000 Misc Equipment Rentals For rental of tools or equipment for specific jobs Total 2315.2678.0000 Misc Equipment Rentals 2315.5302.0000 Forms To supply vehicles w/check books -MTO requirement Total 2315.5302.0000 Forms 2315 .5900 .0000 Gas, Oil , Tires Etc. Fuel: Unleaded 3 ,230 litres @ $1 .03/litre Fuel : Diesel 185 litres@ $1.11/litre Oil changes and tires Total 2315.5900.0000 Gas, Oil , Tires Etc. 2315 .5902.0000 Supplies & Tools Tool upgrades/replacement All Data Diagnostic Tool Upgrade . Total 2315.5902.0000 Supplies & Tools 2315 .5903.0000 Shop Supplies Various shop supplies, miscellaneous hardware, and fasteners Total 2315.5903.0000 Shop Supplies . 2315 .5978.0000 Misc. Equipment Stands, Clamps and Jacks Total 2315.5978.0000 Misc. Equipment Total Expenses Revenues 2315 .9954 .0000 Netted Revenue ' Services Charges Total 2315.9954.0000 Netted Revenue Total Revenues Total Transfers 246 Run Date: 6/10/20 1 :38 PM 2020 Bud et 600 1,800 2,472 30,000 15,000 54,872 500 500 2,000 2,000 3,327 205 2,500 6 ,032 6,500 2 ,000 8,500 49,500 49,500 1,000 1,000 1,663,024 (193,000) (193,000) (193,000) 0 2315 Fleet Services Net Expenses City of Pickering 2020 Approved Background Information 247 Run Date: 6/10/20 1 :38 PM 2020 Bud et 1,470,024 2320 Roads 2018 Actuals Expenditures 1100 Salaries & Wages . 2,417,454 1200 Overtime 203,467 1400 Employer Contributions 648,930 1900 Uniforms 27,911 2110 Travel 248 2131 Cellular Phones 4,511 2140 Telephones 1,841 2220 Subscription & Publications 442 2340 Seminars & Education 11,774 2370 Insurance Premium 141,254 2371 Ins. Deductible 15,466 2394 Recpt, Prom & Sp Events 2,256 2395 Memberships 3,141 2399 Outside Agency Serv 40,640 2408 Rpr & Mnt -Winter Control 776,544 2408 Rpr & Mnt -Contract Services 184,047 2408 Rpr Main. Maint Mater 376,402 2410 Engineering Rpr & Mnt 280,324 2409 Highway Aids -Repair Maint. 69,081 2435 Build Repairs & Mtce 135,450 2437 Tree Maintenance 127,187 2457 Veh -Repairs & Maintenance 336,593 2478 Misc Equip Repairs 154,189 2479 Software/Hardware Maintenan< 1,018 2678 Rental Misc Equip 30,281 5510 Utilities -Water 0 5640 Small Tools 8,351 5900 Gas, Oil Tires 332,096 5978 Misc. Equipment 9,235 Total Expenditures 6,340,133 Revenues 1430 Sale of Services -Public Work1 (174,650) 1610 Federal Grant 0 9990 Other Misc Revenue (35,740) Total Revenues (210,390) Transfers to/from Reserves & R.F. 1910 Transfer to/(from) Reserve 0 1920 Transfer to/(from) Reserve Fun 0 City of Pickering 2020 Current Budget Approved Final 2019 2019 YTD Approved Actuals Budget 2,557,333 2,692,684 315,538 235,000 675,837 692,420 26,300 26,520 563 500 3,231 6,200 1,349 1,967 1,014 3,700 14,591 16,150 141,254 141,254 12,929 25,000 3,249 4,000 3,094 3,440 47,070 39,500 915,603 660,000 240,780 160,000 518,935 525,000 345,656 749,000 82,683 75,000 135,450 135,450 128,266 125,000 316,580 340,000 191,462 120,000 4,368 9,282 53,551 31,500 0 0 8,806 8,000 321,093 347,543 449 10,000 7,067,034 7,184,110 (204,480) (172,200) (9,800) 0 (52,233) (45,000) (266,513) (217,200) 0 (95,000) 0 (110,000) 248 Run Date: 6/10/20 1:35 PM 2020 INC./DEC. Approved % CHGE. Budget 2019 309,978 3,002,662 11.51% 50,000 285,000 21.28% 112,450 804,870 16.24% 700 27,220 2.64% 0 500 0.00% 1,600 7,800 25.81% 858 2,825 43.62% (3,500) 200 (94.59%) 6,850 23,000 42.41% 2,508 143,762 1.78% 0 25,000 0.00% 0 4,000 0.00% 300 3,740 8.72% 0 39,500 0.00% 95,000 755,000 14.39% 20,000 180,000 12.50% 0 525,000 0.00% 38,000 787,000 5.07% 0 75,000 0.00% 0 135,450 0.00% 0 125,000 0.00% 0 340,000 0.00% 0 120,000 0.00% 0 9,282 0.00% 0 31,500 0.00% 8,000 8,000 0.00% 0 8,000 0.00% 0 347,543 0.00% 9,500 19,500 95.00% 652,244 7,836,354 9.08% (7,800) (180,000) 4.53% (9,000) (9,000) 0.00% (60,000) (105,000) 133.33% (76,800) (294,000) 35.36% 95,000 0 (100.00%) 0 (110,000) 0.00% 2320 Roads 2018 Actuals Total Transfers 0 Net 6,129,743 City of Pickering 2020 Current Budget Approved Final 2019 2019 YTD Approved Actuals Budget 0 (205,000) 6,800,521 6,761,910 249 Run Date: 6/10/20 1:35 PM 2020 INC./DEC. Approved % CHGE. Budget 2019 95,000 (110,000) (46.34%) 670,444 7,432,354 9.92% City of Pickering 2020 Approved Background Information 2320 Roads Expenditures 2320.1100 .0000 Salaries & Wages Base Salaries and Wages One new full time Inspector, Utility Cuts position (funded from increase in road occupancy permit revenues and road cut degradation fees) -start date April 1, 2020 One new full time Maintenance Worker, Roads position -start date April 1, 2020 Additional hours (2,240 hrs) for Term Labourer positions for sidewalk grinding program (April 1 to Oct 31) On call staff -special levy Council approved Total 2320.1100.0000 Salaries & Wages 2320.1200.0000 Overtime Winter Control and Road Patrols Special Events Emergency Call-in Total 2320.1200.0000 Overtime 2320 .1400 .0000 Employer Contributions This item includes mandatory deductions (CPP , El, EHT) and employer provided benefits such as extended health and dental Benefits related to one new full time Inspector, Utility Cuts position (funded from increase in occupancy permit revenues and road cut degradation fees) -start date April 1, 2020 Benefits related to one new full time Maintenance Worker, Roads posit ion -start date April 1, 2020 Benefits related to additional hours (2 ,240 hrs) for Term Labourer positions for sidewalk grinding program Total 2320.1400.0000 Employer Contributions . 2320 .1900.0000 Uniforms Clothing allowance -34 Full time @ $350.00 Clothing allowance - 2 Part time @ $260.00 Safety boot allowance -35 @$180.00 -average 2 per year Students Misc. safety equ i pment Total 2320.1900.0000 Uniforms 2320 .2110 .0000 Travel Parking & Mileage Total 2320 .2110.0000 Travel 2320.2131 .0000 Cellular Phones 250 Run Da te: 6/10/20 1:38 PM 2020 Bud et 2 ,805,020 56 ,052 49,970 65 ,120 26,500 3 ,002 ,662 250 ,000 27,000 8,000 285,000 7(?6,409 16,911 15 ,970 5,580 804 ,870 11,900 520 12,600 200 2,000 27,220 500 500 2320 Roads City of Pickering 2020 Approved Background Information Annual Smartphone Charges -Supervisor, Road Operations, Lead Hand, Road Maintenance, Forepersons (2) Cell Phones Temporary Cell Phones (Winter Control) Total 2320.2131.0000 Cellular Phones 2320 .2140 .0000 Telephones Run Date: 6/10/20 1 :38 PM 2020 Bud et 4;800 1,400 1,600 7,800 Voice / Data 2,495 Internet 330 Total 2320.2140.0000 Telephones 2320 .2220.0000 Subscriptions & Publicati Allowance for standards, regulations and legislation, reference materials Total 2320.2220.0000 Subscriptions & Publicati 2320.2340.0000 Seminars & Education First Responder Training -4 staff CPR & First Aid Training -30 staff Ontario Good Roads Association (OGRA) Road School -2 staff Assoc . of Ont. Road Supervisors (AORS) Accredited School Supervisor Training Equipment Training Business related workshops & seminars Truck Roadeo Durham Region Total 2320.2340.0000 Seminars & Education 2320.2370.0000 Insurance Premium Annual cost of insurance policy that provides protection for municipal activities and property. (Policy coverage includes: liability, automobile and property). Total 2320.2370.0000 Insurance Premium 2320 .2371 .0000 Insurance Deductible Insurance Deductible Total 2320.2371.0000 Insurance Deductible 2320 .2394 .0000 Recpt,Prom .&Sp.Ev :,Gen Meal Allowances as per Collective Agreement Receptions /Business Meetings Total 2320.2394.0000 Recpt,Prom.&Sp.Ev.,Gen 2320 .2395 .0000 Memberships Ontario Assoc. of Certified Engineering Technicians and Technologists -Inspector, Municipal Infrastructure Ontario Good Roads Association (City Membership) 251 2,825 200 200 400 1,850 2,500 · 3,000 8,000 6,000 1,000 250 23,000 143,762 143,762 25,000 25,000 3,000 1,000 4,000 240 2,200 City of Pickering 2020 Approved Background Information 2320 Roads Ontario Association of Roads Supervisors (1 Supervisor, 2 Forepersons, 2 Lead Hand, etc.) Total 2320.2395.0000 Memberships 2320.2399.0000 . Outside Agency Services Nexgen -f3adio -Operating , Maintenance & Licensing Antenna Site Rental Internet-Based GPS/AVL Subscription for vehicles/equipment Total 2320.2399.0000 Outside Agency Services 2320.2408.0001 Rpr & Mnt-Winter Control Winter Sand Winter Salt Winter Brine Snow Removal (Cul-de-sacs and bridges) Total 2320.2408.0001 Rpr & Mnt-Winter Control 2320.2408.0002 Rpr & Mnt-Contract Serv Liquid Magnesium Contract and Flake Calcium purchase (dust control) Ditching Contract Phragmite Control Total 2320.2408.0002 Rpr & Mnt-Contract Serv 2320.2408 .0003 Rpr & Mnt-Maint Materials Granular A/Limestone and other Aggregates Asphalt and Concrete Topsoil and Sod (ditches and boulevards) Hydroseeding Culverts (Partially offset by Revenue) Easement Charges for storm sewer crossings Catchbasin and Manhole Repair Materials Neighbourhood Issues (incl. illegal dumping & miscellaneous items) Total 2320.2408.0003 Rpr & Mnt-Maint Materials 2320.2409.0000 Highway Aids-Repair & Mai CN/CP Railroad Signal Charges Misc. signs (incl. hardware & posts) Purchase of Traffic Marking Paint Total 2320.2409.0000 Highway Aids-Repair & Mai 2320.2410 .0001 Rpr & l'J!ant-Eng Rds Cntrct Curb Cutting Contract (primarily offset by revenue) Spill Responses & Clean -up Concrete Curb Repair Program Line Painting & Street Print Contract Bridge Washing Program 252 Run Date: 6/10/20 1:38 PM 2020 Bud et 1,300 3,740 19,000 5,500 15,000 39,500 60,000 650,000 25,000 20,000 755,000 95,000 70,000 15,000 180,000 330,000 100,000 25,000 40 ,000 5,000 15,000 10,000 525,000 40,000 30,000 5,000 75,000 12,000 25,000 50,000 50,000 30,000 City of Pickering 2020 Approved Background Information 2320 Roads Crack Sealing Program (funded from FGT) Total 2320.2410.0001 Rpr & Mant-Eng Rds Cntrct 2320 .2410.0002 Rpr&Mnt Strm Swr Cntrcts Catchbasin & Manhole Adjustment Repairs Contract Storm Sewer Repairs Storm Sewer Flushing and Inspection Program Catchbasin Cleaning Contract Total 2320.2410.0002 Rpr&Mnt Strm Swr Cntrcts 2320 .2410 .0003 Rpr & Mnt Eng Hghwy Aids Traffic Signals, Flashing Signals, Pedestrian Crossovers, IPS Guiderail repairs Total 2320.2410.0003 Rpr & Mnt Eng Hg hwy Aids 2320 .2435.0000 Building Repairs & Mainte Share of Overhead for Municipal Garage (incl. cross charge ) Total 2320.2435.0000 Building Repairs & Mainte 2320.2437.0000 Tree Maintenance Tree Maintenance within road allowances, block pruning Total 2320.2437.0000 Tree Maintenance 2320.2457.0000 Vehicle-Repair & Maintena Repair and maintenance of Roads Section Licensed vehicles Total 2320.2457.0000 Vehicle-Repair & Maintena 2320.2478.0000 Misc.Equipment Repairs & Repair and maintenance of equipment Total 2320.2478.0000 Misc.Equipment Repairs & 2320.2479 .0000 Sfwr/Hdwr Maint Contracts M.R . Compliance Annual License Fee Maintenance -HRIS -new Total 2320.2479.0000 Sfwr/Hdwr Maint Contracts 2320 .2678.0000 Misc Equipment Rentals Large & Small Equipment Rentals (Road/sidewalk repairs) Summer rental of GPS units for rental trucks Total 2320.2678.0000 Misc Equipment Rentals 2320.5510.0000 Utilities -Water Region of Durham water supply for City street sweepers, etc. Total 2320.5510.0000 Utilities -Water 2320.5640 .0000 Small Tools Rakes, shovels, hammers, drill bits etc . for road maintenance activities. Includes provision for small tools, safety items, etc. . 253 Run Date: 6/10/20 1:38 PM 2020 Bud et 110,000 277,000 25,000 75 ,000 100,000 190,000 390,000 80,000 40,000 120,000 135,450 135,450 125,000 125,000 340,000 340,000 120,000 120,000 2,100 7,182 9,282 30,000 1,500 31,500 8,000 8,000 8,000 City of Pickering 2020 Approved Background Information 2320 Roads Total 2320.5640.0000 Small Tools 2320 .5900.0000 · Gas ,·Oil, Tires Etc . Fuel : Diesel 260,150 litres@$1.11/litre Fuel: Unleaded 19,080 litres @ $1 .03/litre Oil changes and tires Total 2320.5900.0000 Gas, Oil, Tires Etc. 2320 .5978.0000 Misc. Equipment Replacement small gas powered equipment f Portable Gas Detector (new) Generators (2) for Sidewalk Grinding Program (new) Total 2320.5978.0000 Misc. Equipment Total Expenses Revenues 1430.0000.0000 SALE OF SERVICES-ROADS Miscellaneous charges -Road Occupancy Permits Total 1430.0000.0000 SALE OF SERVICES-ROADS 1610 .2320 .0000 Fed Grnts -Roads Program Grant -Federal Total 1610.2320.0000 Fed Grnts -Roads 2320.9990 .0000 Other Revenue Revenue from Curb Cuts and Driveway Culverts Revenue from Road Cut Degradation fees Total 2320.9990.0000 Other Revenue Total Revenues Transfers 1920 .7505 .2320 . Trsf frm FGT -Roads Federal Gas Tax funding for crack seal program Total 1920. 7 505.2320 Trsf frm FGT -Roads Total Transfers Net Expenses 254 Run Date: 6/10/20 1:38 PM 2020 Bud et 8,000 288,767 19 ,652 39 ,124· 347,543 4,000 9,500 6,000 19 ,500 7,836,354 (180,000) (180,000) (9,000) (9 ,000) (45,000) (60,000) (105,000) (294,000) (110,000) (110 ,000) (110,000) 7,432,354 2718 Parks 2018 Actuals Expenditures 1100 Salaries & Wages 2,000,290 1200 Overtime 99,516 1400 Employer Contributions 450,550 1900 Uniforms 24,442 2110 Travel 318 2131 Cellular Phones 3,264 2140 Telephones 1,846 2340 Seminars & Education 8,592 ;2370 Insurance Premium 17,193 2371 Ins. Deductible 285 2392 Consulting & Professional 34,961 2394 Recpt, Prom & Sp Events 1,149 2395 Memberships 2,859 2396 Photo, Mapping, Printing 0 2399 Outside Agency Serv 34,868 2429 Parks Repairs & Maintenance 42,614 2435 Build Repairs & Mtce 92,391 2437 Tree Maintenance 112,000 2457 Veh -Repairs & Maintenance 74,143 2478 Misc Equip Repairs 82,355 2479 Software/Hardware Maintenanc 5,087 2482 Grounds Upkeep 193,862 2648 Building Rentals 11 2678 Rental Misc Equip 65,725 5320 Program Supplies 76,828 5510 Utilities -Water 55,143 5530 Utilities -Hydro 74,291 5900 Gas, Oil Tires 132,844 5901 Fertilizer, Grass Etc. 38,816 5902 Supplies & Tools 870 5978 Misc. Equipment 8,665 5981 Other Minor Fixed Assets 27,094 8960 Taxes Tenant 224,861 Total Expenditures 3,987,733 Revenues 1610 Federal Grant (17,360) 1623 Ont. Specific Grants 0 9930 Rentals (149,714) City of Pickering 2020 Current Budget Approved Final 2019 2019 YTD Approved Actuals Budget 2,148,057 2,169,431 106,699 77,250 465,467 487,301 21,627 27,060 179 500 6,125 6,500 3,557 4,444 9,686 9,450 17,193 17,193 1,865 7,050 15,058 22,525 288 1,100 3,608 3,670 0 200 40,926 38,000 87,351 60,000 82,684 62,900 105,780 105,000 63,197 83,750 69,186 155,000 6,966 12,037 264,351 229,500 0 0 86,535 61,800 87,845 95,775 51,653 61,880 73,791 109,227 133,663 145,867 36,150 42,000 3,455 1,000 8,768 18,600 2,344 50,000 215,792 256,145 4,219,846 4,422,155 (9,800) 0 0 (17,775) (185,778) (256,000) 255 Run Date: 6/10/20 1:35 PM 2020 INC./DEC. Approved % CHGE. Budget 2019 209,934 2,379,365 9.68% 22,750 100,000 29.45% 87,004 574,305 17.85% 1,940 29,000 7.17% 0 500 0.00% 0 6,500 0.00% 331 4,775 7.45% 10,400 19,850 110.05% 307 17,500 1.79% 0 7,050 0.00% 5,315 27,840 23.60% 0 1,100 0.00% 0 3,670 0.00% 0 200 0.00% 0 38,000 0.00% 0 60,000 0.00% 25,000 87,900 39.75% 20,000 125,000 19.05% (10,750) 73,000 (12.84%) (75,000) 80,000 (48.39%) 0 12,037 0.00% 60,000 289,500 26.14% 0 0 0.00% 11,000 72,800 17.80% (2,775) 93,000 (2.90%) 3,425 65,305 5.53% (10,000) 99,227 (9.16%) 0 145,867 0.00% 0 42,000 0.00% 0 1,000 0.00% 4,743 23,343 25.50% 0 50,000 0.00% 0 256,145 0.00% 363,624 4,785,779 8.22% (9,000) (9,000) 0.00% 17,775 0 (100.00%) 46,000 (210,000) (17.97%) 2718 Parks 2018 Actuals 9955 Programs (23,600) 9990 Other Misc Revenue (7,781) Total Revenues (198,455) Transfers to/from Reserves & R.F. 1911 Trans. to/(from) Continuing Stu 0 1920 Transfer to/(from) Reserve Fun 0 Total Transfers 0 Net 3,789,278 City of Pickering 2020 Current Budget Approved Final 2019 2019 YTD Approved Actuals Budget (34,100) (40,000) 0 0 (229,678) (313,775) (2,524) (2,525) (8,782) 0 (11,306) (2,525) 3,978,862 4,105,855 256 Run Date: 6/10/201:35 PM 2020 INC./DEC. Approved % CHGE. Budget 2019 0 (40,000) 0.00% 0 0 0.00% 54,775 (259,000) (17.46%) (5,315) (7,840) 210.50% (35,000) (35,000) 0.00% (40,315) (42,840) 1,596.63% 378,084 4,483,939 9.21% City of Pickering 2020 Approved Background Information 2718 Parks Integrated Pest Mgmt. (1PM) Symposium (6 staff@ $150 .00 each) Ont. Parks Assoc. (OPA) Sports Turf Seminar -Supervisor & Foreperson Parks OPA Summer Operational Forum -Supervisor and Foreperson Parks Operations Ont. Good Roads Assoc. (OGRA) Courses -Supervisor, Parks Operations Ont. Assoc. of Landscape Architects (OALA) -AGM -Coordinator, Parks Infrastructure (including 2 night accommodations) Chainsaw Training -2 staff Crane Training (Garbage Truck/Service Vehicle) Book 7 -Supervisor, Parks Operations of Lead Hand , Parks & Property Parks & Recreation Ontario (PRO) Conference -Supervisor, Parks & Property Backhoe/Loader Training Phragmite Workshop Total 2718.2340.0000 Seminars & Education 2718 .2370 .0000 Insurance Premium Annual cost of insurance policy that provides protection for municipal activities and property. (Policy coverage includes: liability, automobile and property) Total 2718.2370.0000 Insurance Premium 2718 .2371.0000 Insurance Deductible Insurance Deductible Total 2718.2371.0000 Insurance Deductible 2718 .2392.0000 Consulting & Professional General Consulting Engineering design for major LED conversion of sport fields and tennis courts Electrical Engineering Design & Tender Documents for Kinsmen South Baseball Lighting Replacement-SW & SE Diamonds (Funded from Continuing Studies Reserve PO#. 190579) Total 2718.2392.0000 Consulting & Professional 2718.2394.0000 Recpt, Prom & Sp Events Meal Allowance Receptions/Business Meetings Total 2718.2394.0000 Recpt, Prom & Sp Events 2718.2395.0000 Memberships Ontario Parks Association -(City Membership) Ont. Assoc. of Landscape Architects (OALA) Annual Fees -Coordinator, Parks Infrastructure · Int. Society of Arboriculture (ISA) Membership Ontario -Horticulturist ISA Professional Membership (USA) -Horticulturalist Integrated Pest Mgmt. (1PM) (Horticulturalist, Fo reperson, Parks & Property) 258 Run Date: 6/10/20 1 :38 PM 2020 Bud et 1 ,050 500 400 600 900 600 2 ,000 500 1 ,500 2,500 300 19,850 17,500 17,500 7,050 7,050 20 ,000 7,840 27,840 600 500 1 ,100 900 800 11 0 130 200 City of Pickering 2020 App ~oved Background Information 2718 Parks Sports Turf Association -(2 Lead Hand, Foreperson , Parks, Supervisor Parks) Green Roof Professional Cert. -Coordinator, Parks Infrastructure Assoc. of Ont. Road Supervisors (AORS) Certification Annual Renewal - Foreperson Parks Ontario Turfgrass -(2 Lead Hands Foreperson Parks, Superviso r Parks) Total 2718.2395 .0000 Memberships 2718.2396.0000 Photo,Mapping,Printing Colour printing of maps Total 2718.2396.0000 Photo,Mapping,Printing 2718 .2399.0000 Outs ide Agency Services NexGen (Region of Durham) Radio Licence Internet-Based GPS/AVL Subscription for vehicles/equipment Total 2718.2399.0000 Outside Agency Services 2718 .2429.0000 Parks Repairs & Maintenan To cover maintenance, repairs and replacement of outdoor electrical and lighting (parks, sports fields, utility buildings, etc .) Total 2718.2429.0000 Parks Repairs & Maintenan 2718.2435.0000 Building Repairs & Mainte Misc. Building supplies and caretaking/cleaning supplies Contracted repairs and maintenance to accessory buildings/ clubhouses Share of Overhead for Municipal Garage ( Includes Cross Charge) Total 2718.2435.0000 Building Repairs & Mainte 2718 .2437.0000 Tree Maintenance Tree removal, replacement & maintenance (due to increase of ash removal & replacement and to maintain current maintenance standards. Tree Planting in Lookout Point Park (funded from Tree Compensation -Cash in Lieu (7501.0101) Reserve Fund). Mulching Service Total 2718.2437.0000 Tree Maintenance 2718 .2457.0000 Vehicle-Repair & Maintena Repair & Maint of Parks Section Licensed Vehicles Total 2718.2457.0000 Vehicle -Repair & Maintena 2718 .2478 .0000 Misc.Equipment Repairs & Repairs to large and small equipment (off road) Total 2718.2478.0000 Misc.Equipment Repairs & 2718.2479 .0000 Sfwr/Hdwr Maint Contracts Parks Inspection Software Annual Licences (unlimited users) Maintenance -HRIS -new 259 Run Date: 6/10/20 1 :38 PM 2020 Bud et 640 ' 270 220 400 3,670 200 200 20,000 18,000 38,000 60,000 60 ,000 8 ,000 40,000 39 ,900 87 ,900 100,000 20 ,000 5 ,000 125,000 73,000 73 ,000 80,000 80,000 6,250 5 ,787 City of Pickering 2020 Approved Background Information 2718 Parks Total 2718.2479.0000 Sfwr/Hdwr Maint Contracts 2718 .2482 .0000 Grounds Upkeep Ball Diamonds (infield material & mound clay) Fencing repairs (sports fields , property line) Topsoil and Sod (including top dressing or compost sports fields, hydroseeding) Lumber to repair (picnic tables, park benches, bleachers) Flowers Shrubs (renovate existing beds) Misc. supplies Interlock Brick repairs Signs (replacements) Play Unit maintenance (equipment & safety surface top up) Aggregates (pathway repairs) Plumbing maintenance and repairs to irrigation systems Paint and parking lot line painting (contract) P Gates and soccer posts Walkway repairs -concrete & asphalt Bleacher pads for various parks Phragmite Control J'otal 2718.2482.0000 Grounds Upkeep 2718 .2678.0000 Misc Equipment Rentals Portable Washrooms Vehicles for trim crews, blvd maint, horticulture, inspections , safety surfacing Power tools and equipment (generators , augers) Total 2718.2678.0000 Misc Equipment Rentals 2718.5320.0005 Other Events Supplies, materials and rentals for City events Total 2718.5320:0005 Other Events 2718 .5320.0006 Pickering Blooms Pickering Blooms Garden Showcase Total 2718.5320.0006 Pickering Blooms 2718.5320.0007 Memorial Trees & Benches Memorial trees and benches (partially offset by fees) Total 2718.5320.0007 Memorial Trees & Benches 2718 .5320 .0008 Sustain Neighborhood Prgm Sustainable Neighbourhoods Program Total 2718.5320.0008 Sustain Neighborhood Prgm 2718 .5320.0010 Banner Program 260 Run Date: 6/10/20 1 :38 PM 2020 Bud et 12 ,037 20,000 17 ,000 16,000 7 ,000 30 ,000 6,000 1 ,500 5,000 30,000 75,000 5,000 20 ,000 7 ,000 10,000 20 ,000 10,000 10,000 289,500 22,000 48,800 2 ,000 72 ,800 25,000 25,000 10,000 3,000 13,000 30,000 · 30 ,000 10,000 10,000 City of Pickering 2020 Approved Background Information 2718 Parks · Supplies, materials arid artist fees for the Banner Program Total 2718.5320.0010 Banner Program 2718 .5510.0000 Utilities -Water Budget based on 2019 projected actuals and regional water rate increase in 2020 Splash Park Total 2718.5510.0000 Utilities -Water 2718 .5530.0000 Utilities -Hydro Budget based on 2019 projected actuals and rate increase in 2020 Total 2718.5530.0000 Utilities -Hydro 2718.5900 .0000 Gas, Oil, Tires Etc. Fuel : Diesel 84,760 litres@ $1.11/litre Fuel: Unleaded 38,200 litres@ $1.03/litre Oil changes and tires Total 2718.5900.0000 Gas, Oil, Tires Etc. 2718.5901.0000 Fertilizer,Grass Seed,Wee Fertilizer Seed - 2 applications per year Foam Stream Agent Miscellaneous (alternatives to pesticides) weed control & topdress materials Total 2718.5901.0000 Fertilizer,Grass Seed,Wee 2718.5902.0000 Supplies & Tools Small hand tools, wrenches, hammers etc. Total 2718.5902.0000 Supplies & Tools 2718 .5978.0000 Misc. Equipment Purchase of new storage container at New Operations Centre 15 -Grass Trimmers (Replacement) 2 -Hand Blowers (Replacement) 6 -Kombi Units (Replacement) 1 -Cut off Saw (Replacement) 1 -Limb Saw (Replacement) Total 2718.5978.0000 Misc. Equipment 2718.5981.0000 Other Fixed Assets Garbage receptacles, picnic tables, benches, bleachers Total 2718.5981.0000 Other Fixed Assets 2718.8960 .0000 Taxes -Tenant Conservation Authority Frenchman's Bay Ratepayers Ontario Power Generation / Hydro One -Greenspace Licences Rosebank Reservoir 261 Run Date: 6/10/20 1:38 PM 2020 Bud et 15,000 15 ,000 59,305 6,000 65,305 99,227 99 ,227 94,084 39,346 12.437 145 ,867 12 ,000 18,000 5,000 7,000 42 ,000 1,000 1,000 7,000 5,820 500 8,124 1,200 699 23,343 50,000 50,000 5,861 4,831 221,650 20,703 City of Pickering 2020 Approved Background Information 2718 Parks West Duffin Creek Trail /Ontario Realty Corp Beverley Morgan Park Total 2718.8960.0000 Taxes -Tenant Total Expenses Revenues 1610.2718.0000 Federal Grant-Parks Program Grant -Federal Total 1610.2718.0000 Federal Grant -Parks 2718 .9930.0000 Rentals -User Fees Parks Permits/Sports Campsff ournaments Hydro Costs Tennis Courts Total 2718.9930.0000 Rentals -User Fees 2718 .9955.0000 Memorial Tree/Be.nch Rev Memorial trees and benches Total 2718.9955.0000 Memorial Tree/Bench Rev Total Revenues Transfers 1911 .2718 .0000 Trsf frm Res -Parks Funding from Continuing Studies Reserve for Electrical Engineering Design & Tender Documents for Kinsmen South Baseball Lighting Replacement -SW & SE Diamonds Total 1911.2718.0000 Trsf frm Res -Parks 1920 .7501.2718 Frm 3rd Party RF -Parks Tree Compensation -Cash in Lieu (7501 .0101) reserve funding for tree planting in Lookout Point Park Tree Compensation -Cash in Lieu (7501.0101) reserve funding for general tree replacement Total Transfers Net Expenses Total 1920.7501.2718 Frm 3rd Party RF -Parks 262 Run Date: 6/10/20 1 :38 PM 2020 Bud et 2,657 443 256,145 4,785,779 (9 ,000) (9,000) (200 ,000) (10,000) (210,000) (40,000) (40,000) (259,000) (7,840) (7,840) (20,000) (15,000) (35,000) (42,840) 4,483,939 I',) a, w -C~of- p](KERlNG ; I· ' Information T Divis echnology on (Chart No . 5a) / Information Technology (Section)· I Emp.loyee Complement 4 Non -Union FT 0 Non-Union PT · 8 Un ion FT O Unio n PT 0 Union FT Term o Union PT Te rm The C9rporation of the City of Pickering Corporate Services Department . Employee Complement 13 · Non-Union Full-Time (NUFT) Director, ' . Corporate Services & City Solicitor (1-NUFT) I I I / ' / ' Legal Services Legislative Services Municipal Law (Section) Division Enforcement (Cha rt No . 5b ) (Chart No . 5c) \. \.. (Chart No . Sdt Legal Services Legislative Services I I Municipal Law (Section) . Division Enforcement Employee Complement Employee Comp lement Employee Complement 2 Non -Union FT 4 Non-Union FT 2 Non -Un ion FT 0 Non-Union PT 0 Non-Union PT 0 Non-Union PT 2 Union FT 3 . Union FT 12 Union FT O Union PT 0 Un ion PT • 5 Union PT 0 Union FT Term 0 Union FT Term 0 Un ion FT Term O Union PT Term . 0 Union PT Term . 3 Union PT Te rm Authorized by: fi]J Chief Administrative Officer January 1, 2020 Chart No. 5 N en ~ -C40J- :P1CK .. ER1 NG The Corporation of the City of Pickering Corporate Services Department Information Technology Division Director, "corporate SeNices" & City Solicitor 'I Division Head , Information Technology (1-NUFT)J I I SupeNisor, Application SupeNisor, Network Network Security Development & Support Support Administrator (1-NUFT) (1-NUFT) (1-NUFT) ,, ' Network Analyst Application & Web/Database Telecommunications & - Database Developer Network Support Analyst -(1-UFT) . Administrator (1-UFT) (1-UFT) \. (1-UFT) \... I · Senior Systems -,, ,. Administrator ERP Business d-urn Analyst & IT [ Helpdesk Analy:t }~ Network Administrator Project Lead \. (1-UFT),, ( -UFT) . . (1-UFT) . Authorized by: a?J Ch\ef Administrative Officer .January 1, 2020 NUFT) NUPT) Chart No. 5 (a) -Cz:4o/- p](KERJNG N O') u, The Corporation of the City of Pickering Corporate· Services Department Legal Services Section ' · · Director, . Corporate Services & City Solicitor ~ I I I Legal & Legislative Services • Assistant Solicitor Assistant (1-NUFT) . Law Clerk (1-UFT) Authorized by: a)J · Chief Administrative Officer January 1, 2020 (1-NUFT) Employee Complement Law Clerk (1-UFT) me (NUFT) UFT) Chart No. 5 (b) N> en en -64 0/- Pl CKERlNG I The Corporation of the City of. Pickering Corporate Services Department Legislative Services . Division Director, Corporate Services & City Solicit or I City Clerk (1 -NUFT) l Employee Complement 4 Non-Un i on Full-Time (NUFT) 0 Non -Union Part-Time (NUPT) 3 Union Full-Time (UFT) 0 Union Part-Time (UPT) Committee Coordinator (1-NUFT) Deputy Clerk (1-NUFT) Authorized by: ·~ Chief Administrative Officer January 1, 2020 Coordinator, Records & 1--1 Elections I- (1 -NUFT) Clerk, Administration Vital Stats & Lottery Licensing (1-UFT) I Clerk, Printshop . I (1-UFT) L[ Clerk, Mailroom ] (1-UFT), Chart No. 5 (c) -CDjo/- p](KERlNG I',) O') --.J - - 0--- - : Parking Control Officer (3-UFT) First Attendance Facilitator · (1-Uf".T) Administration Clerk II (1 -UFT) Clerk, Administration Bt,1siness Licensing (2-UFT) / The Corporation of the City of Pickering Corporate Services· Department Municipal "Law Enforcement Director, Corporate Services & City Solicitor ./ I " Manager, By-law Enforcement Services (1-NUFT) I ,--- - Municipal Law Enforcement \,. -Officer II Employee Complement 2 Non-Union Full-Time (NUFT) - Supervisor, Animal Services me (NUPT) FT) PT) erm (UPTT) - (1-NUF~- (4-UFT) Animal Shelter Attendant - Animal Services Officer (3-UPT) - (2:UFT) Animal Shelter Summer ~ Student 0--- By-law Enforcernent Officer (2-UPTT) · ~1-UPT) --1 Animal Services Field Student (1-UPTT) Authorized by: cU Chief Administrative Officer -· January 1, 2020 Chart No. 5 (d) Corporate Services Department 2018 Actuals Expenditures 1100 Salaries & Wages 2,900,127 1200 Overtime 50,354 1400 Employer Contributions 756,575 1800 Conferences 3,204 1900 Uniforms 6,844 2110 Travel 3,696 2121 Postage 168,782 2122 Freight, Express & Cartage 2,472 2131 Cellular Phones 14,746 2140 Telephones 24,031 2210 Advertising 584 2220 Subscription & Publications 7,583 2320 Legal Services 12,117 2340 Seminars & Education 42,690 2341 Corporate Training 6,118 2370 Insurance Premium · 23,726 2371 Ins. Deductible 0 2392 Consulting & Professional 50,086 2394 Recpt, Prom & Sp Events 8,389 2395 Memberships 7,474 2399 Outside Agency Serv 103,718 2435 Build Repairs & Mtce 14,694 2457 Veh -Repairs & Maintenance 14,153 2478 Misc Equip Repairs 23,332 2479 Software/Hardware Maintenanc 398,922 2648 Building Rentals 14,191 2678 Rental Misc Equip 2,096 5300 Stationery & Office Supplies 10,134 5301 Printing Supplies 171,562 5302 Forms 2,702 5530 Utilities -Hydro 4,422 5540 Utilities -Oil 4,334 5900 Gas, Oil Tires 25,396 5902 Supplies & Tools 3,059 5903 Shop Supplies 15,293 5973 Minor Furniture & Fixtures 0 5974 System & Software Upgrades 84,371 5975 Hardware Replacements 39,964 City of Pickering 2020 Current Budget Approved Final 2019 2019 YTD Approved Actuals Budget 3,299,749 3,422,285 46,135 48,320 836,447 915,415 4,889 5,500 13,691 13,700 3,188 4,800 127,166 143,500 , 2,564 3,000 14,251 17,360 20,493 27,965 797 800 8,792 11,350 10,988 12,000 45,272 57,150 7,079 8,000 23,726 23,726 0 2,000 75,579 173,464 9,844 8,050 8,039 9,450 98;525 87,900 17,953 13,358 15,489 17,800 22,865 43,800 425,836 469,239 14,546 16,152 0 0 6,328 11,100 175,410 200,000 8,084 6,000 4,710 7,798 4,371 6,500 20,755 27,763 6,757 4,500 17,926 11,000 1,658 1,500 91,116 135,644 52,122 49,600 268 Run Date: 6/10/20 2:04 PM 2020 INC./DEC. Approved % CHGE. Budget 2019 161,288 3,583,573 4.71% 23,050 71,370 47.70% 90,219 1,005,634 9.86% 4,500 10,000 81.82% 4,400 18,100 32.12% 1,300 6,100 27.08% 3,500 147,000 2.44% 100 3,100 3.33% 3,000 20,360 17.28% 25 27,990 0.09% 0 800 0.00% (180) 11,170 (1.59%) 0 12,000 0.00% (3,300) 53,850 (5.77%) 4,000 12,000 50.00% 422 24,148 1.78% 0 2,000 0.00% (2,000) 171,464 (1.15%) 700 8,750 8.70% 50 9,500 0.53% 9,975 97,875 11.35% 0 13,358 0.00% 0 17,800 0.00% 4,900 48,700 11.19% 37,258 506,497 7.94% 404 16,556 2.50% 0 0 0.00% 200 11,300 1.80% (10,000) 190,000 (5.00%) 2,000 8,000 33.33% (1,000) 6,798 (12.82%) 0 6,500 0.00% 0 27,763 0.00% 0 4,500 0.00% 4,100 15,100 37.27% 0 1,500 0.00% (35,060) 100,584 (25.85%) 44,000 93,600 88.71% Corporate Services Department 2018 Actuals 5978 Misc. Equipment 22,740 6000 Parking -MOT 51,861 7181 Livestock Killed 0 Total Expenditures 5,096,542 Revenues 1411 Sale of Services-Administratior (76,824) 1413 Sale of Services -Legal (2,225) 1416 Sale of Services -Agreements (218,716) 1512 Lie. & Per-Business (167,350) 1513 Lie. & Per-Amusement (252,797) 1514 Lie. & Per-Taxi (32,533) 1520 Fines (810,192) 1516 Licences (55,140) 1519 Licenses & Permits-Marriage (31,881) 1570 Adoptions (33,802) 1571 Impound Fees (4,870) 1572 Service Fees (1,880) 1592 Donations (194) 1623 Ont. Specific Grants 0 9990 other Revenue (2,625) 9990 Other Misc Revenue (23,591) 9965 Cost Recoveries (20,542) 9980 Sponsorships No Tax 0 9985 Marketing Sponsorships (3,000) 9995 Misc Rev (10,317) Total Revenues {1,748,479) Transfers to/from Reserves & R.F. 1910 Transfer to/(from) Reserve 0 1911 Trans. to/(from) Continuing Stu 0 Total Transfers 0 Net 3,348,063 City of Pickering 2020 Current Budget Approved Final 2019 2019 YTD Approved Actuals Budget 81,283 118,300 77,488 75,000 0 2,000 5,701,911 6,212,789 (82,509) (72,000) (1,900) (1,000) (132,958) (200,000) (163,885) (165,000) (271,748) (200,000) (29,174) (40,000) (908,847) (772,000) (53,300) (58,000) (33,456) (30,000) (36,800) (21,000) (7,685) (4,000) (4,795) (3,300) (3,815) 0 0 (2,000) (37,991) (6,200) (18,043) (1,000) 0 0 (4,478) (1,000) (800) (4,000) (8,914) (8,000) {1,801,098) (1,588,500) 0 (192,138) (39,295) (53,964) (39,295) (246,102) 3,861,518 4,378,187 269 Run Date: 6/10/20 2:04 PM 2020 INC./DEC. Approved % CHGE. Budget 2019 (59,150) 59,150 (50.00%) 0 75,000 0.00% (1,000) t,000 (50.00%) 287,701 6,500,490 4.63% (8,000) (80,000) 11.11% (1,000) (2,000) 100.00% 20,000 (180,000) (10.00%) 0 (165,000) 0.00% 0 (200,000) 0.00% (140,000) (180,000) 350.00% (90,000) (862,000) 11.66% (1,000) (59,000) 1.72% 0 (30,000) 0.00% (10,600) (31,600) 50.48% 0 (4,000) 0.00% 0 (3,300) 0.00% 0 0 0.00% 1,000 (1,000) (50.00%) (10,000) (16,200) 161.29% (19,000) (20,000) 1,900.00% 0 0 0.00% (2,000) (3,000) 200.00% 2,000 (2,000) (50.00%) 0 (8,000) 0.00% (258,600) {1,847,100) 16.28% 4,500 (187,638) (2.34%) 0 (53,964) 0.00% 4,500 (241,602) (1.83%) 33,601 4,411,788 0.77% 2196 Information Technology 2018 Actuals Expenditures 1100 Salaries & Wages 800,461 1200 Overtime 35,054 1400 Employer Contributions 215,740 1800 Conferences 2,053 2110 Travel 1,235 2131 Cellular Phones 6,980 2140 Telephones ' 5,962 2340 Seminars & Education 33,297 2341 Corporate Training 6,118 2370 Insurance Premium 7,711 2392 Consulting & Professional 12,110 2394 Reep!, Prom & Sp Events 876 2395 Memberships 454 2399 Outside Agency Serv 4,950 2478 Misc Equip Repairs 23,332 2479 Software/Hardware Maintenanc 308,062 5300 Stationery & Office Supplies 1,991 5974 System & Software Upgrades 84,371 5975 Hardware Replacements 39,964 5978 Misc. Equipment 22,740 Total Expenditures 1,613,461 Revenues Total Revenues 0 Transfers to/from Reserves & R.F. 1910 Transfer to/(from) Reserve 0 1911 Trans. to/(from) Continuing Stu 0 Total Transfers 0 Net 1,613,461 City of Pickering 2020 Current Budget Approved Final 2019 2019 YTD Approved Actuals Budget 1,015,375 1,046,416 33,034 29,000 256,660 289,73-0 3,540 4,000 1,129 1,800 7,209 7,000 3,833 7,834 32,848 40,900 7,079 8,000 7,711 7,711 27,638 49,500 627 800 534 600 6,875 7,000 22,865 43,800 373,365 418,632 722 3,500 91,116 135,644 52,122 49,600 81,283 118,300 2,025,565 2,269,767 0 0 0 (79,500) (24,422) 0 (24,422) (79,500) 2,001,143 2,190,267 272 Run Date: 6/10/20 1:35 PM 2020 INC.IDEC. Approved % CHGE. Budget 2019 58,666 1,105,082 5.61% 23,050 52,050 79.48% 21,845 311,575 · 7.54% 0 4,000 0.00% 0 1,800 0.00% 1,000 8,000 14.29% 556 8,390 7.10% (4,000) 36,900 (9.78%) 4,000 12,000 50.00% 139 7,850 1.80% 15,500 65,000 31.31% 200 1,000 25.00% 50 650 8.33% 2,600 9,600 37.14% 4,900 48,700 11.19% 35,457 454,089 8.47% 200 3,700 5.71% (35,060) 100,584 (25.85%) 44,000 93,600 88.71% (59,150) 59,150 (50.00%) 113,953 2,383,720 5.02% 0 0 0.00% (5,500) (85,000) 6.92% 0 0 0.00% (5,500) (85,000) 6.92% 108,453 2,298,720 4.95% 2196 Information Technology Expenditures 2196 .1100.0000 Salaries & Wages Base Salaries and Wages City of Pickering 2020 Approved Background Information One new Help Desk full time position -start date April 1 Total 2196.1100.0000 Salaries & Wages 2196.1200 .0000 Overtime Onsite Support for Council meetings and other service level commitments After hours support Totai'2196.1200.0000 Overtime 2196 .1400 .0000 Employer Contributions This item includes mandatory deductions (CPP ·, El , EHT) and employer provided benefits such as extended health and dental Benefits related to one new Help Desk full time position -start date April 1 Total 2196.1400.0000 Employer Contributions 2196.1800 .0000 Conferences IT Conferences Total 2196.1800.0000 Conferences 2196.2110 .0000 Travel Parking & Mileage Total 2196.2110.0000 Travel 2196.2131.0000 Cellular Phones Annual cell phone and Smartphone charges for staff Total 2196.2131.0000 Cellular Phones 2196.2140 .0000 Telephones Run Date: 6/10/20 1:38 PM 2020 Bud et 1,059,612 45,470 1,105,082 20,050 32,000 52,050 296,665 14,910 311,575 4,000 4,000 1,800 1,800 8,000 8 ,000 Voice/ Data 7,490 Internet 900 Total 2196.2140.0000 Telephones 2196.2340 .0000 Seminars & Education Information Technology Staff Training Training & Exam -related expenditures Total 2196.2340.0000 Seminars & Education 2196 .2341.0000 Corporate Training Security awareness training for all staff Total 2196.2341.0000 Corporate Training 2196 .2370 .0000 Insurance Premium Annual cost of insurance policy that provides protection for municipal activities and property . (Policy coverage includes: liability, automobile and property). Total 2196.2370.0000 Insurance Premium 273 8,390 36,000 900 36,900 12,000 12 ,000 7,850 7,850 City of Pickering 2020 Approved Background Information 2196 Information Technology 2196 .2392 .0000 Consulting & Professional Professional Services Support for Corporate Systems Network & Security Support (30 hours) Data sharing data integration for GIS Portal Total 2196.2392.0000 Consulting & Professional 2196 .2394.0000 Recpt,Prom. & Sp.Ev.,Gen Reception , promotions & meetings Total 2196.2394.0000 Recpt,Prom. & Sp.Ev.,Gen 2196 .2395 .0000 Memberships Municipal Information Systems Association -Division Head, I.T. Total 2196.2395.0000 Memberships 21 .96 .2399 .0000 Outside Agency Services Recording of Meetings within Council Chambers Total 2196 .2399.0000 Outside Agency Services 2196 .2478 .0000 Misc.Equ i pment Repairs & General Equipment Repair & General Expenditures General Network Cabling and City Growth and Development Wireless Communications and Monitoring Web Streaming Hosting (annual) UPS and Battery Replacement-NEW Total 2196.2478.0000 Misc.Equipment Repairs & 2196.2479.0000 Sfwr/Hdwr Maint Contracts Maintenance -MS-Enterpr ise Agreement (Year 2 of 3). This license agreement allows the City to receive upg rades of the Microsoft licenses. Maintenance -Oracle Licenses Maintenance -Firewall Maintenance Maintenance -IT Help Desk Software Maintenance -VMware Maintenance -Disaster Recovery Veeam Upgrade Maintenance -Systems Monitoring Maintenance -Liebert -Uninterr uptible Power Supply Maintenance -APC -Uninterruptible Power Supply Maintenance -HP Support for Large Format Printers and Plotters Maintenance -Storage Area Network (SAN) -Civi.c Complex Maintenance -Storage Area Network (SAN) -Recreation Complex Maintenance -Endpoint and Network Anti-Virus Maintenance -Internet Email Spam Prevention Maintenance -Annual Assessment View Data Conversion Maintenance -Microsoft Systems Support 274 Run Date: 6/10/20 1 :38 PM 2020 Bud et 27 ,500 22,500 15,000 65,000 1,000 1,000 650 650 9 ,600 9 ,600 21,400 21,400 1,200 700 4 ,000 48,700 115,000 77,000 24,000 7,000 35,000 13,500 6,000 3 ,000 2,890 3,500 5 ,000 5 ,000 8,223 14,!500 510 6,500 2196 Information Technology City of Pickering 2020 Approved Background Information Facilities and Public Works work order solution for scheduling and tracking of work and metrics recovery -New Total 2196.5975 .0000 Hardware Replacements 2196.5978 .0000 Misc. Equipment Computers and peripherals for new employees Facility monitoring solution IT Security -BLE and Biometric Entry Device Evaluation -New Laptops for Fire Services -Public Presentations -New Video Conference for Fire Services Training -New Card entry mod ifications for Public Washrooms -New 7 Tablets for Municipal Law Enforcement -New 7 Mobile Printers for Law Enforcement -New FlreCam (1080P) Fire Helmet Cameras (Video Storage, Network Bandwidth) - Full Workstation (PC , Phone , Monitor, Scanner) Museum -New Interactive exhibit components such as touch sensors, sound byte players, RFID tags etc . (Appx. $2 ,500) (CS-Museum) -New Display Monitor for Redmond House Lounge -New Total Expenses Total Revenues Transfers Total 2196.5978.0000 Misc. Equipment 1910 .7049 .2196 · Trsf F in Sys R -IT Funding for one position (ERP Programmer/Analyst) -from Financial Systems Reserve Total Transfers Net Expenses Total 1910.7049.2196 Trsf Fin Sys R -IT 276 Run Date: 6/10/20 1 :38 PM 2020 Bud et 5,000 93,600 14,000 4 ,500 3 ,650 3,000 4 ,000 8 ,000 9,000 3,500 3 ,000 2 ,500 2,500 1,500 59 ,150 2,383,720 0 (85,000) (85 ,000) (85,000) 2,298,720 2125 Legal Services 2018 Actuals Expenditures 1100 Salaries & Wages 485,474 1200 Overtime 0 1400 Employer Contributions 108,250 2110 Travel 953 2131 Cellular Phones 1,451 2140 Telephones 1,473 2220 Subscription & Publications 6,940 2320 Legal Services 12,117 2340 Seminars & Education 2,406 2370 Insurance Premium 3,400 2392 Consulting & Professional 37,976 2394 Recpt, Prom & Sp Events 356 2395_ Memberships 5,707 2479 Software/Hardware Maintenan< 0 5300 Stationery & Office Supplies 2,412 Total Expenditures 668,915 Revenues 1413 Sale of Services -Legal (2,225) 1416 Sale·of Services~ Agreements (218,716) 9965 Cost Recoveries (20,542) 9995 Misc Rev (10,317) Total Revenues (251,800) Transfers to/from Reserves & R.F. 1910 Transfer to/(from) Reserve 0 Total Transfers 0 Net 417,115 City of Pickering 2020 Current Budget Approved Final 2019 2019 YTD Approved Actuals Budget 479,879 576,037 247 2,500 117,447 140,309 426 750 1,331 1,600 1,576 2,384 7,986 7,800 10,988 12,000 4,074 4,500 3,400 3,400 33,068 45,000 427 500 5,777 6,550 0 1,536 903 1,500 667,529 806,366 (1,900) (1,000) (132,958) (200,000) 0 0 (8,914) (8,000) (143,772) (209,000) 0 (102,638) 0 (102,638) 523,757 494,728 277 Run Date: 6/10/20 1:35 PM 2020 INC./DEC. Approved % CHGE. Budget 2019 (37,508) 538,529 (6.51%) 0 2,500 0.00% 5,824 146,133 4.15% 0 750 0.00% 0 1,600 0.00% (269) 2,115 (11.28%) (180) 7,620 (2.31%) 0 12,000 0.00% 0 4,500 0.00% 60 3,460 1.76% 0 45,000 0.00% 0 500 0.00% 0 6,550 0.00% 0 1,536 0.00% 0 1,500 0.00% (32,073) 774,293 (3.98%) (1,000) (2,000) 100.00% 20,000 (180,000) (10.00%) 0 0 0.00% 0 (8,000) 0.00% 19,000 (190,000) (9.09%) 0 (102,638) 0.00% 0 (102,638) 0.00% (13,073) 481,655 (2.64%) 2125 Legal Services Expenditures 2125.1100 .0000 Salaries & Wages Base Salaries and Wages City of Pickering 2020 Approved Background Information Total 2125.1100.0000 Salaries & Wages 2125 .1200.0000 Overtime To meet service level/workload commitments Total 2125.1200.0000 Overtime 2125.1400.0000 Employer Contributions This item includes mandatory deductions (CPP , El , EHT) and employer provided benefits such as extended health and dental Total 2125.1400.0000 Employer Contributions 2125.2110 .0000 Travel Parking and mileage Total 2125.2110.0000 Travel 2125.2131 .0000 Cellular Phones Annual Smartphone charges -Director, Corporate Services & City Solicitor Annual Smartphone charges -Assistant Solicitor Total 2125.2131.0000 Cellular Phones 2125 .2140.0000 Telephones Run Date: 6/10/20 1 :38 PM 2020 Bud et 538,529 538,529 2,500 2,500 146,133 146,133 750 750 800 800 1,600 Voice/ Data 1,870 Internet 245 Total 2125.2140.0000 Telephones 2125 .2220 .0000 Subscriptions & Publicati 2019 LexisNexis Quicklaw@ 290.00 per month plus fees for an additional user Canada Law Book Reference material, journals and reports Miscellaneous Total 2125.2220.0000 Subscriptions & Publicati 2125.2320 .0000 Legal Services Expenses Search ing titles , registering documents, filing documents and obtain ing transcripts. These costs are offset by revenues (Sale of Service Agreements). Total 2125.2320.0000 Legal Services Expenses 2125 .2340 .0000 Seminars & Education Topical Seminar -City Solicitor, mandatory Continuing Legal Education (CLE) Topical Seminar -Legal Services Assistant Topicai Seminar -Assistant Solicitor, mandatory CLE Total 2125.2340.0000 Seminars & Education 2125 .2370.0000 Insurance Prem ium 278 2,115 3 ,500 . 80 3,480 560 7,620 12,000 12,000 2,000 500 2 ,000 4,500 City of Pickering 2020 Approved Background Information 2125 Legal Services Annual cost of insurance policy that provides protection for municipal activities and property . (Policy coverage includes : liability, automobile and property). Total 2125.2370.0000 Insurance Premium 2125 .2392.0000 Consulting & Professional Contract services -Provincial Offences Act (POA) enforcement General legal matters Total 2125.2392.0000 Consulting & Professional 2125.2394.0000 Recpt, Prom&Sp Ev, Gen General meetings Total 2125.2394.0000 Recpt, Prom&Sp Ev, Gen 2125.2395 .0000 Memberships General Law Society Memberships (Director, Corporate Services & City Solicitor) General Law Society and Canadian Bar Association Memberships -Assistant Solicitor (new) Total 2125.2395.0000 Memberships 2125.2479.0000 Sfwr/Hdwr Maint Contracts Maintenance -HRIS -new Total 2125.2479.0000 Sfwr/Hdwr Maint Contracts 2125.5300.0000 Stationery & Office Suppl General office supplies (increase for additional staff) Total 2125.5300.0000 Stationery & Office Suppl Total Expenses Revenues 1413.0000.0000 SALE OF SERVICES -LEGAL Notarizing documents Total 1413.0000.0000 SALE OF SERVICES -LEGAL 1416.0000.0000 Sale of Serv-Agreements Revenues from various legal services Revenue recovery from registering documents Total 1416.0000.0000 Sale of Serv -Agreements 2125 .9995.0000 Other Revenue (Disb Recov Chargebacks for registration and search fees paid by the City and billed back to the developers. Total 2125.9995.0000 Other Revenue (Disb Recov Total Revenues 279 Run Date: 6/10/20 1:38 PM 2020 Bud et 3,460 3,460 35,000 10,000 45,000 500 500 3,500 3,050 6,550 1,536 1,536 1,500 1,500 · 774,293 (2,000) (2,000) (175,000) (5,000) (180,000) (8,000) (8,000) (190,000) 2125 Legal Services Transfers City of Pickering 2020 Approved Background Information 1910.7048 .2125 Frm Seaton Dev -Legal Funding for one position, including benefits -from Seaton App Fees (Law Clerk, Prop . Dev. Services) Total Transfers Net Expenses Total 1910.7048.2125 Frm Seaton Dev -Legal 280 Run Date: 6/10/20 1 :38 PM 2020 Bud et (102,638) (102,638) (102,638) 481,655 2122 Clerks Office 2018 Actuals Expenditures 1100 Salaries & Wages 357,079 1200 Overtime 298 1400 Employer Contributions 110,350 1800 Conferences 1,151 2110 Travel 457 2131 Cellular Phones 595 2140 Telephones 2,571 2220 Subscription & Publications 201 2340 Seminars & Education 681 2370 Insurance Premium 2,510 2394 Recpt, Prom & Sp Events 187 2395 Memberships 440 2479 Software/Hardware Maintenarn 0 5300 Stationery & Office Supplies 1,369 Total Expenditures 477,895 Revenues 1411 Sale of Services-Administratior (76,824) 1513 Lie. & Per-Amusement (252,797) 1519 Licenses & Permits-Marriage (31,881) Total Revenues (361,502) Transfers to/from Reserves & R.F. Total Transfers 0 Net 116,393 City of Pickering 2020 Current Budget Approved Final 2019 2019 YTD Approved Actuals Budget 336,143 438,935 631 1,000 100,802 124,119 1,349 1,500 285 500 830 1,100 1,803 2,734 368 500 1,231 1,500 2,510 2,510 295 250 403 1,000 380 1,171 1,993 2,000 449,023 578,819 (82,509) (72,000) (271,748) (200,000) (33,456) (30,000) (387,713) (302,000) 0 0 61,310 276,819 281 Run Date: 6/10/20 1:35 PM 2020 INC./DEC. Approved % CHGE. Budget 2019 (65,895) 373,040 (15.01%) 0 1,000 0.00% (15,234) 108,885 (12.27%) 100 1,600 6.67% 0 500 0.00% 0 1,100 0.00% (1,324) 1,410 (48.43%) 0 500 0.00% 1,000 2,500 66.67% 45 2,555 1.79% 500 750 200.00% 0 1,000 0.00% 0 1,171 0.00% 0 2,000 0.00% (80,808) 498,011 (13.96%) (8,000) (80,000) 11.11% 0 (200,000) 0.00% 0 (30,000) 0.00% (8,000) (310,000) 2.65% 0 0 0.00% (88,808) 188,011 (32.08%) City of Pickering 2020 Approved Background Information 2122 Clerks Office Refreshments for workshops and meetings. Total 2122.2394.0000 Recpt, Prom, & Spec Event 2122 .2395 .0000 Memberships Assoc. of Municipal Mgrs, Clerks & Treasurers (AMCTO) -City Clerk and Deputy Clerk Total 2122.2395.0000 Memberships 2122 .2479 .0000 Sfwr/Hdwr Maint Contracts Maintenance -HRIS -new Total 2122.2479.0000 Sfwr/Hdwr Maint Contracts 2122 .5300.0000 Stationery & Office Suppl General office supplies Total 2122.5300.0000 Stationery & Office Suppl Total Expenses Revenues 1411.0001 .0000 Commission & Certificat'n Commissioning and certifications Total 1411.0001.0000 Commission & Certificat'n 1411.0003.0000 Burial Permits Burial permits Total 1411.0003.0000 Burial Permits 1411.0004.0000 Clerks Other Revenue Marriage ceremonies, FOi requests, etc. Total 1411.0004.0000 Clerks Other Revenue 1513.0000.0000 LIC.&PERMITS -LOTTERIES Issuance of licences for raffles, bingos, etc. Total 1513.0000.0000 LIC.&PERMITS -LOTTERIES 1519 .0000 .0000 LIC.&PERMITS -MARRIAGE Issuance of marriage licences Total 1519.0000.0000 LIC.&PERMITS -MARRIAGE Total Revenues Total Transfers Net Expenses 283 Run Date: 6/10/20 1 :38 PM 2020 Bud et 750 750 1,000 1,000 1,171 1,171 2,000 2,000 498,011 (23,000) (23,000) (19,000) (19,000) (38,000) (38,000) (200,000) (200,000) (30,000) (30,000) (310,000) 0 188,011 2191 Records Management & Elections 2018 Actuals Expenditures 1100 Salaries & Wages 112,458 1200 Overtime 6,187 1400 Employer Contributions 28,480 2110 Travel 149 2121 Postage 57,715 2140 Telephones 0 2340 Seminars & Education 0 2370 Insurance Premium 847 2392 Consulting & Professional 0 2399 Outside Agency Serv 9,691 2479 Software/Hardware Maintenanc 72,276 2678 Rental Misc Equip 2,096 5300 Stationery & Office Supplies 1,735 Total Expenditures 291,634 Revenues Total Revenues 0 Transfers to/from Reserves & R.F. 1910 Transfer to/(from) Reserve 0 1911 Trans. to/(from) Continuing Stu 0 Total Transfers 0 Net 291,634 City of Pickering 2020 Current Budget Approved Final 2019 2019 YTD Approved Actuals Budget 112,080 74,471 406 1,000 33,700 22,580 59 500 0 0 265 400 963 1,250 847 847 14,873 63,964 4,680 11,000 30,783 29,199 0 0 404 1,000 199,060 206,211 0 0 0 (10,000) (14,873) (53,964) (14,873) (63,964) 184,187 142,247 284 Run Date: 6/10/20 1:35 PM 2020 INC./DEC. Approved % CHGE. Budget 2019 1,488 75,959 2.00% 0 1,000 0.00% 1,466 24,046 6.49% 0 500 0.00% 0 0 0.00% (50) 350 (12.50%) 0 1,250 0.00% 14 861 1.65% (2,500) 61,464 (3.91%) 2,375 13,375 21.59% 1,801 31,000 6.17% 0 0 0.00% 0 1,000 0.00% 4,594 210,805 2.23% 0 0 0.00% 10,000 0 (100.00%) 0 (53,964) 0.00% 10,000 (53,964) (15.63%) 14,594 156,841 10.26% City of Pickering 2020 Approved Background Information 2191 Records Management & Elections Expenditures 2191.1100.0000 Salaries & Wages Base Salaries and Wages Total 2191.1100.0000 Salaries & Wages 2191.1200.0000 Overti.me To meet service level/workload commitments Totai 2191.1200.0000 Overtime 2191.1400 .0000 Employer Contributions . This item includes mandatory deductions (CPP, El, EHT) and employer provided benefits such as extended health and dental Total 2191.1400.0000 Employer Contributions 2191 .2110.0000 Travel Run Date: 6/10/20 1 :38 PM 2020 Bud et 75 ,959 75,959 1,000 1,000 24,046 24 ,046 Various Travel 500 Total 2191.2110.0000 Travel 500 2191 .2140.0000 Telephones Voice/Data 310 Internet 40 Total 2191.2140.0000 Telephones 2191.2340.0000 Seminars & Education Courses for Records Coordinator and Deputy Clerk relating to records & MFIPPA Assoc. of Municipal Mgrs, Clerks & Treasurers (AMCTO) Zone Meetings for Clerk and Deputy Clerk Total 2191.2340.0000 Seminars & Education 2191 .2370.0000 Insurance Premium Annual cost of insurance policy that provides protection for municipal activities and property . (Policy coverage includes : liability, automobile and property). Total 2191.2370.0000 lnsuranc.e Premium 2191.2392.0000 Consulting & Professional Consultant Ward Boundary Review Resolution #179/16 (PO# 170826) Phase 2 -Ward Boundary Review (Public Consultation) Total 2191.2392.0000 Consulting & Professional 2191.2399.0000 Outside Agency Services Maintain and update municipal voters list for Elections Outside shredding services for all depts . (addition of 1 extra console at NOC) Outside services for editing video and/or other file formats to fulfill FOi requests MTL -Microimage Technologies -scanning Total 2191.2399.0000 Outside Agency Services 2191 .2479.0000 Sfwr/Hdwr Maint Contracts 285 350 1,000 250 1,250 861 861 53,964 7 ,500 61,464 3,875 4,500 2,000 3,000 13,375 City of Pickering 2020 Approved Background Information 2191 Records Management & Elections Maintenance -Laserfiche Maintenance -HRIS -new Total 2191.2479.0000 Sfwr/Hdwr Maint Contracts 2191.5300.0000 Stationery & Office Suppl General office supplies . Total 2191.5300.0000 Stationery & Office Suppl Total Expenses Total Revenues Transfers 1911 .2191.0000 Trsffrm Res-Records Mgmt Cont. Studies Reserve funding for Consulting Ward Boundary Review Total 1911.2191.0000 Trsf frm Res -Records Mgmt Total Transfers Net Expenses 286 Run Date: 6/10/20 1 :38 PM 2020 Bud et 30,801 199 31,000 1,000 1,000 210,805 0 (53,964) (53,964) (53,964) 156,841 2199 Print Shop/Mail Room 2018 Actuals Expenditures 1100 Salaries & Wages 83,759 1200 Overtime 0 1400 Employer Contributions 22,681 2121 Postage 111,067 2122 Freight, Express & Cartage 2,472 2140 Telephones 736 2370 Insurance Premium 2,294 2399 Outside Agency Serv 32,732 2479 Software/Hardware Maintenanc 0 5300 Stationery & Office Supplies 1,105 5301 Printing Supplies 171,562 Total Expenditures 428,408 Revenues 9990 Other Revenue (2,625) Total Revenues (2,625) Transfers to/from Reserves & R.F. Total Transfers 0 Net 425,783 City of Pickering 2020 Current Budget Approved Final 2019 2019 YTD Approved Actuals Budget 110,039 107,347 0 500 26,864 33,633 127,166 143,500 2,564 3,000 527 766 2,294 2,294 32,732 35,000 0 286 830 1,500 175,410 200,000 478,426 527,826 (9,458) (200) (9,458) (200) 0 0 468,968 527,626 287 Run Date: 6/10/201:35 PM 2020 INC./DEC. Approved % CHGE. Budget 2019 543 107,890 0.51% 0 500 0.00% (591) 33,042 (1.76%) 3,500 147,000 2.44% 100 3,100 3.33% . (61) 705 (7.96%) 41 2,335 1.79% 0 35,000 0.00% 0 286 0.00% 0 1,500 0.00% (10,000) 190,000 (5.00%) (6,468) 521,358 (1.23%) 0 (200) 0.00% 0 (200) 0.00% 0 0 0.00% (6,468) 521,158 (1.23%) City of Pickering 2020 Approved Background Information 2199 Print Shop/Mail Room Expenditures 2199 .1100 .0000 Salaries & Wages Base Salaries and Wages Total 2199 ;1100.0000 Salaries & Wages 2199 .1200.0000 Overtime To meet service level/workload commitments . Total 2199.1200.0000 Overtime 2199.1400.0000 Employer Contributions This item includes mandatory deductions (CPP, El, EHT) and employer provided benefits such as extended health and dental Total 2199.1400.0000 Employer Contributions 2199.2121 .0000 Postage Corporate wide postage costs -budget amount includes 5 cents postage stamp increase. Total 2199.~121.0000 Postage 2199 .2122 .0000 Freight.Express & Cartage Cost of Courier Services Total 2199.2122.0000 Freight,Express & Cartage 2199 .2140 .0000 Telephones Voice/ Data Internet Total 2199.2140.0000 Telephones 2199 .2370.0000 Insurance Premium Annual cost of insurance policy that provides protection for municipal activities and property . (Policy coverage includes : liability, automobile and property). Total 2199.2370.0000 Insurance Premium 2199 .2399 .0000 Outside Agency Services The City's daily, scheduled mail delivery -does not include other courier charges. Total 2199.2399.0000 Outside Agency Services 2199 .2479.0000 Sfwr/Hdwr Maint Contracts Maintenance -HRIS -new Total 2199.2479.0000 Sfwr/Hdwr Maint Contracts 2199.5300 .0000 Stationery & Office Suppl Stationery Total 2199.5300.0000 Stationery & Office Suppl 2199 .5301 .0000 Printing Supplies Supplies and maintenance for all copiers and other related equipment and envelopes for corporate -wide use. 288 Run Date: 6/10/20 1 :38 PM 2020 Bud et 107,890 107,890 500 500 33,042 33,042 147,000 147,000 3,100 3,100 625 80 705 2 ,335 2,335 35,000 35 ,000 286 286 1,500 1,500 190,000 2199 Print Shop/Mail Room City of Pickering 2020 Approved Background Information Total 2199.5301.0000 Printing Supplies Total Expenses Revenues 2199 .9990.0000 Other Revenue Printing for outside agencies Total 2199.9990.0000 Other Revenue Total Revenues Total Transfers Net Expenses 289 Run Date: 6/10/20 1 :38 PM 2020 Bud et 190,000 521,358 (200) (200) (200) 0 521,158 2220 By-law 2018 Actuals Expenditures 1100 Salaries & Wages 709,914 1200 Overtime 2,810 1400 Employer Contributions 198,265 1800 Conferences 0 1900 Uniforms 4,637 2110 Travel 541 2131 Cellular Phones 4,218 2140 Telephones 2,574 2220 Subscription & Publications 442 2340 Seminars & Education 5,059 2370 Insurance Premium 4,742 2371 Ins. Deductible 0 2395 Memberships 311 2399 Outside Agency Serv 22,974 2457 Veh -Repairs & Maintenance 10,905 2479 Software/Hardware Maintenanc 16,604 5300 Stationery & Office Supplies 423 5302 Forms 2,702 5900 Gas, Oil Tires 17,740 5902 Supplies & Tools 1,039 6000 Parking -MOT 51,861 Total Expenditures 1,057,761 Revenues 1512 Lie. & Per-Business (167,350) 1514 Lie. & Per-Taxi (32,533) 1520 Fines (808,837) 9990 Other Misc Revenue (23,591) Total Revenues (1,032,311) Transfers to/from Reserves & R.F. Total Transfers 0 Net 25,450 City of Pickering 2020 Current Budget Approved Final 2019 2019 YTD Approved Actuals Budget 854,568 838,017 4,591 6,320 219,797 233,042 0 0 8,619 8,300 888 900 3,845 5,760 1,611 2,350 398 3,000 3,901 6,300 4,742 4,742 0 2,000 734 900 17,026 5,500 12,679 15,000 18,959 15,505 764 600 8,084 6,000 15,263 19,763 1,392 2,000 77,488 75,000 1,255,349 1,250,999 (163,885) (165,000) (29,174) (40,000) (908,847) (770,000) (18,043) (1,000) (1,119,949) (976,000) 0 0 135,400 274,999 290 Run Date: 6/10/20 1:35 PM 2020 INC./DEC. Approved % CHGE. Budget 2019 184,350 1,022,367 22.00% 0 6,320 0.00% 67,681 300,723 29.04% 2,800 2,800 0.00% 6,200 14,500 74.70% 0 900 0.00% 2,000 7,760 34.72% 825 3,175 35.11% 0 3,000 0.00% (300) 6,000 (4.76%) 83 4,825 1.75% 0 2,000 0.00% 0 900 0.00% 0 5,500 0.00% 0 15,000 0.00% 0 15,505 0.00% 0 600 0.00% 2,000 8,000 33.33% 0 19,763 0.00% 0 2,000 0.00% 0 75,000 0.00% 265,639 1,516,638 21.23% 0 (165,000) 0.00% (140,000) (180,000) 350.00% (90,000) (860,000) 11.69% (19,000) (20,000) 1,900.00% (249,000) (1,225,000) 25.51% 0 0 0.00% 16,639 291,638 6.05% 2220 By-law City of Pickering 2020 Approved Background Information Total 2220.2110.0000 Travel 2220.2131.0000 Cellular Phones Annual cell phone charges for staff, data plans for all staff to run new parking ticl<et application Total 2220.2131.0000 Cellular Phones 2220 .2140.0000 Telephones Run Date: 6/10/20 1 :38 PM 2020 Bud et 900 7 ,760 7,760 Voice/ Data 2,805 Internet 370 Total 2220.2140.0000 Telephones 2220 .2220 .0000 Subscriptions & Publicati Weather monitoring subscription (shared with Community Services and Operations) Total 2220.2220.0000 Subscriptions & Publicati 2220.2340.0000 Seminars & Education Ont. Assoc. of Property Stds . Officers (OAPSO) certification Miscellaneous Courses Training required under Workplace Violence Legislation Total 2220.2340.0000 Seminars & Education 2220 .2370 .0000 Insurance Premium Annual cost of insurance policy that provides protection for municipal activities and property. (Policy coverage includes: liability, automobile and property). Total 2220.2370.0000 Insurance Premium 2220 .2371.0000 Insurance Deductible Insurance Deductible Total 2220.2371.0000 Insurance Deductible 2220.2395.00b0 Memberships Four (4) memberships to Ont. Assoc. of Property Standards Officers (OAPSO) and one certification . Municipal Law Enforcement Officers Association Membership International Assoc. of Transportation Regulators (IATR) membership Total 2220.2395.0000 Memberships 2220.2399.0000 Outside Agency Services Internet-Based GPS/AVL Subscription for vehicles Use of process servers for info . to be served upon defendants who live outside of Pickering Expense for those property owners charged under the Clean and Clear By-Law which is offset in Miscellaneous Revenue Total 2220.2399.0000 Outside Agency Services 292 3,175 3,000 3,000 3,000 1,000 2,000 6,000 4,825 4,825 2,000 2,000 400 500 900 . 3 ,500 1,000 1,000 5,500 2293 Animal Services 2018 Actuals Expenditures 1100 Salaries & Wages 350,982 1200 Overtime 6,005 1400 Employer Contributions 72,809 1800 Conferences 0 1900. Uniforms 2,207 2110 Travel 361 2131 Cellular Phones 1,502 2140 Telephones 10,709 2210 Advertising 584 2220 Subscription & Publications 0 2340 Seminars & Education 1,247 2370 Insurance Premium 2,222 2392 Consulting & Professional 0 2394 Recpt, Prom & Sp Events 6,970 2395 Memberships 562 2399 Outside Agency Serv 33,371 2435 Build Repairs & Mtce 14,694 2457 Veh -Repairs & Maintenance 3,248 2479 Software/Hardware Maintenanc 1,980 2648 Building Rentals 14,191 5300 Stationery & Office Supplies 1,099 5530 Utilities -Hydro 4,422 5540 Utilities -Oil 4,334 5900 Gas, Oil Tires 7,656 5902 Supplies & Tools 2,020 5903 Shop Supplies 15,293 5973 Minor Furniture & Fixtures 0 7181 Livestock Killed 0 Total Expenditures 558,468 Revenues 1520 Fines (1,355) 1516 Licences (55,140) 1570 Adoptions (33,802) 1571 Impound Fees (4,870) 1572 Service Fees (1,880) 1592 Donations (194) 1623 Ont. Specific Grants 0 9990 Other Revenue 0 City of Pickering 2020 Current Budget Approved Final 2019 2019 YTD Approved Actuals Budget 391,665 341,062 7,226 8,000 81,177 72,002 0 0 5,072 5,400 401 350 1,036 1,900 10,878 11,497 797 800 40 50 2,255 2,700 2,222 2,222 0 15,000 8,495 6,500 591 400 37,212 29,400 17,953 13,358 2,810 2,800 2,349 2,910 14,546 16,152 712 1,000 4,710 7,798 4,371 6,500 5,492 8,000 5,365 2,500 17,926 11,000 1,658 1,500 0 2,000 626,959 572,801 0 (2,000) (53,300) (58,000) (36,800) (21,000) (7,685) (4,000) (4,795) (3,300) (3,815) 0 0 (2,000) (28,533) (6,000) 295 Run Date: 6/10/20 1:35 PM 2020 INC./DEC. Approved % CHGE. Budget 2019 19,644 360,706 5.76% 0 8,000 0.00% 9,228 81,230 12.82% 1,600 1,600 0.00% (1,800) 3,600 (33.33%) 1,300 1,650 371.43% 0 1,900 0.00% 348 11,845 3.03% 0 800 0.00% 0 50 0.00% 0 2,700 0.00% 40 2,262 1.80% (15,000) 0 (100.00%) 0 6,500 0.00% 0 400 0.00% 5,000 34,400 17.01% 0 13,358 0.00% 0 2,800 0.00% 0 2,910 0.00% 404 16,556 2.50% 0 1,000 0.00% (1,000) 6,798 (12.82%) 0 6,500 0.00% 0 8,000 0.00% 0 2,500 0.00% 4,100 15,100 37.27% 0 1,500 0.00% (1,000) 1,000 (50.00%) 22,864 595,665 3.99% 0 (2,000) 0.00% (1,000) (59,000) 1.72% (10,600) (31,600) 50.48% 0 (4,000) 0.00% 0 (3,300) 0.00% 0 0 0.00% 1,000 (1,000) (50.00%) (10,000) (16,000) 166.67% 2293 Animal Services 2018 Actuals 9980 Sponsorships No Tax 0 9985 Marketing Sponsorships (3,000) . Total Revenues (100,241) Transfers tolfrom Reserves & R.F. Total Transfers 0 Net 458,227 City of Pickering 2020 Current Budget Approved Final 2019 2019 YTD Approved Actuals Budget (4,478) (1,000) (800) (4,000) (140,206) (101,300) 0 0 486,753 471,501 296 Run Date: 6110120 1:35 PM 2020 INC.IDEC. Approved % CHGE. Budget 2019 (2,000) (3,000) 200.00% 2,000 (2,000) (50.00%) (20,600) (121,900) 20.34% 0 0 0.00% 2,264 473,765 0.48% 2293 Animal Services Expenditures 2293.1100 .0000 Salaries & Wages Base Salaries and Wages City of Pickering 2020 Approved Background Information Total 2293.1100.0000 Salaries & Wages 2293.1200.0000 Overtime Overtime -Officer Call -ins, no part-time staff response Total 2293.1200 .0000 Overtime 2293 .1400.0000 Employer Contributions This item includes mandatory deductions (CPP, El, EHT) and employer provided benefits such as extended health and dental Total 2293.1400.0000 Employer Contributions 2293 , 1800.0000 Conferences Animal Shelter Advancement Conference in New Orleans from Nov 15 -17th, 2020, Registration, Hotel Total 2293.1800 .0000 Conferences 2293 .1900.0000 Uniforms Officer Uniforms Uniforms for shelter staff (supervisor, part-time and summer staff) Total 2293.1900.0000 Uniforms 2293 .2110.0000 Travel Parking & Mileage Animal Shelter Advancement Conference in New Orleans -flight/transportation Wildlife Immobilization Training Course Travel Cost Total 2293.2110.0000 Travel 2293.2131 .0000 Cellular Phones Annual cellphone charges for staff and Smartphone charges for the Supervisor, Animal Services . Total 2293.2131.0000 Cellular Phones 2293 .2140.0000 Telephones Run Date: 6/10/20 1:38 PM 2020 Bud et 360,706 360,706 8 ,000 8,000 81 ,230 81,230 1 ,600 1 ,600 2,000 1,600 3,600 350 700 600 1 ,650 1,900 1,900 Voice I Data 11 ,680 Internet 165 Total 2293:2140.0000 Telephones 11,845 2293 .2210 .0000 Advertising Advertising 600 Increase as a result of new branding guidelines to begin to replace items Total 2293.2210.0000 Advertising 2293.2220 .0000 Subscription & Publicati 200 800 Animal Sheltering 50 297 City of Pickering 2020 Approved Background Information 2293 Animal Services Vehicle cleaning once a year ($300 per cleaning) Total 2293.2457.0000 Vehicle Repairs & Maint 2293.2479.0000 Sfwr/Hdwr Maint Contracts Maintenance -Animal Shelter Maintenance -HRIS -new Total 2293.2479.0000 Sfwr/Hdwr Maint Contracts 2293 .2648.0000 Building Rentals Brougham -lease location ($1,218.41/mth x 11 + $1,248.47) + HST Total 2293.2648.0000 Building Rentals 2293.5300.0000 Stationery & Office Supp General office supplies, forms & receipt books Total 2293.5300.0000 Stationery & Office Supp 2293 .5530.0000 Utilities -Hydro Brougham located facility -Budget based on 2019 projected actuals and rate increase in 2020. Total 2293.5530.0000 Utilities -Hydro 2293 .5540.0000 Utilities -Oil Estimated oil costs for the Brougham facility. Total 2293.5540.0000 Utilities -Oil 2293 .5900.0000 Gas, Oil, Tires Fuel: Unleaded 6,063 litres@ $1 .03/litre Oil changes and tires Total 2293.5900.0000 Gas, Oil, Tires 2293.5902 .0000 Supplies & Tools Purchase of license tags · Purchase of supplies as required. Total 2293.5902.0000 Supplies & Tools 2293.5903 .0000 · Shop Supplies Animal feed Medication Microchips Litter Other Total 2293.5903.0000 Shop Supplies 2293 .5973.0000 Furniture & Fixtures Metal storage lockers Total 2293.5973.0000 Furniture & Fixtures 2293 .7181.0000 Livestock Killed 299 Run Date: 6/10/20 1:38 PM 2020 Bud et 300 2,800 2,000 910 2,910 16,556 16,556 1,000 1,000 6,798 6,798 6,500 6,500 6 ,242 1,758 8,000 1,500 1,000 2,500 5,000 3,600 2,500 1,000 3,000 15,100 1,500 1,500 2293 Animal Services City of Pickering 2020 Approved Background Information Cost of livestock destroyed by other animals. (Offset by grant revenue 1623 .2293) Total 2293.7181.0000 Livestock Killed Total Expenses Revenues 1293.1516.0001 Dog Licences Dog Licences Total 1293.1516 .0001 Dog Licences 1293.1516.0002 Cat Licences Cat Licences Total 1293.1516.0002 Cat Licences 1293.1516.0003 Other Licences Other Licences Total 1293.1516.0003 Other Licences 1293 .1520.0000 FINES Fines Total 1293.1520.0000 FINES 1293.1570.0001 Dog Adoptions Dog Adoptions Total 1293 .1570.0001 Dog Adoptions 1293.1570.0002 Cat Adoptions Cat Adoptions Total 1293.1570.0002 Cat Adoptions 1293.1570.0003 Other Adoptions Other Animal Adoptions Total 1293.1570.0003 Other Adoptions 1293 .1571 .0000 IMPOUND FEES Impound Fees Total 1293.1571.0000 IMPOUND FEES 1293 .1572 .0001 Owner Surrender Owner Surrender Fees -resident and non resident Total 1293.1572.0001 Owner Surrender 1293 .1572.0002 Dead Animal Pickup · Dead Animal Pick Up Fee Total 1293.1572.0002 Dead Animal Pickup 1293 .9980.0000 Sponsorships Animal Services Sponsorships (No tax) Total 1293.9980.0000 Sponsorships 300 Run Date: 6/10/20 1 :38 PM 2020 Bud et 1 ,000 1,000 595,665 (45,000) (45 ,000) (12,000) (12,000) (2,000) (2,000) (2 ,000) (2,000) (6,000) (6,000) (25 ,000) (25,000) (600) (600) (4,000) (4,000) (3,000) (3,000) (300) (300) (3,000) (3,000) 2293 Animal Services City of Pickering 2020 Approved Background Information 1293.9985.0000 Marketing Sponsors Animal Services Marketing Sponsorships (Taxable) Total 1293.9985.0000 Marketing Sponsors 1623.2293.0000 Ont Grant -Animal Contra Reimbursement for livestock claims due to livestock being destroyed by other animals Total 1623.2293.0000 Ont Grant -Animal Contro 2293 .9990.0000 Other Revenue Sheltering service fees received from Whitchurch-Stouffville ($500 per mth + HST) Total 2293.9990.0000 Other Revenue Total Revenues Total Transfers Net Expenses 301 . Run Date: 6/10/20 1 :38 PM 2020 Bud et (2,000) (2,000) (1 ,000) (1,000) (16,000) (16,000) (121,900) 0 473,765 -Cz4 o/- p](KER1NG c..:> 0 N) A~thorized by: r '- Adm inistrative Assistant , Engineering Services I Cap ital Projects & Infrastruct ure . (C hart No . 6a) Director's Office Employee Complement 2 Non-Union FT . 0 Non-Union PT 1 Un ion FT O Union PT af)J . Chief Administrative Officer The Corporation of the City of Pickering Engineering Services Department Director, Engineering Services (1-NUFT) ' ,___ " (1 -NUFT) Clerk, Engineering Services & _/ Information Technology ,~ '- / '- Capital Projects & Infrastructure Emp.loyee Complement 1 Non-Union FT 0 Non-Union PT 12 Un ion FT. 0 Union PT 1 Uniol") FT Te rm (1-UFT) ., . I Water Resou rces & Development Services . (Chart No . 6b) Water Resources & Development Services Employee Complement 5 Non-Unbn FT 0 Non -Union PT 9 Union FT 0 Union PT · January 1, 2020 ' / Em.ployee Complement . 8 Non-Union Full-Time (NUFT) 0 · Non-Union Part-Time (NUPT) 22 Union Full-Time (UFT) _ · 0 Union Part-Time (UPT) 1 Un ion Full-T ime Te rm (UFTT) O • Union Part-Time Term (UPTT) · Chart No. 7 ...;,....__0 ·01- PlCKERlNG , The Corporation of the City of Pickering Engineering Services Department Water Resources & Development Service_s Division Director, Engineering Services ' Division Head, Water Resources & Devel.opment Services (1-NUFT) 9 0 0 b ,_ Administrative Assistant, Union Full-Tin Union Part-Tir Union Full-Tin Union Part-Tir Water Resources & Development Services (1-NUFT) I I Senior Water Resources Engineer Man~ger, Development Services (1-NUFT) I· (1-NUFT) I w 0 ~ C_?ordinator, Water Resources (1-UFT) Project Manager, Development Approvals (1 -NUFT) \. Senior Coordinator, Development ~ Services (1 -UFT) Senior Coordinator, Development · Approvals (1-UFT} - . Coordinator, Developmer-it Approvals ,___ Inspector, Development Services (2-UFT) ~ (3-UFT) Technician , Development Approvals t--- (1-UFT) Authorized by: · ~. Chief Administrative Officer January 1,.2020 Chart No. 7 (b) ., Engineering Services Department 2018 Actuals Expenditures 1100 Salaries & Wages 2,226,801 1200 Overtime 17,683 1400 Employer Contributions 606,344 1800 Conferences 0 1900 Uniforms 3,308 2110 Travel 2,613 2131 Cellular Phones 9,182 2140 Telephones 10,299 2210 Advertising 0 2220 Subscription & Publications 554 2340 Seminars & Education 9,768 2370 Insurance Premium 166,050 2371 Ins. Deductible 13,102 2392 Consulting & Professional 222,141 2394 Recpt, Prom & Sp Events 204 2395 Memberships 6,316 2396 Photo, Mapping, Printing 8,605 2399 Outside Agency Serv 452,068 2407 Roads Repair & Mtce 4,701 2408 Rpr Main. Maint Mater 13,462 2457 Veh -Repairs & Maintenance 6,634 2478 Misc Equip Repairs 483,366 2479 Software/Hardware Maintenam 7,444 2678 Rental Misc Equip 2,940 5300 Stationery & Office Supplies 3,260 5302 Forms 432 5530 Utilities -Hydro 452,830 5900 Gas, Oil Tires 12,042 5902 Supplies & Tools 5,318 5973 Minor Furniture & Fixtures 0 5978 Misc. Equipment 12,182 5981 Other Minor Fixed Assets 0 Total Expenditures 4,759,649 Revenues 1429 Sale of Serv-Dev Cntrl (1,693,503) 9990 Other Revenue (1,500) 9990 Other Misc Revenue (29,158) 9965 Cost Recoveries (15,773) City of Pickering 2020 Current Budget Approved Final 2019 2019 YTD Approved Actuals Budget 2,405,573 2,648,056 16,520 16,500 637,265 707,180 848 1,200 2,571 4,000 2,506 2,400 5,930 11,600 6,860 10,234 1,280 0 1,376 1,150 10,008 14,055 166,050 166,050 7,652 7,950 396,653 1,136,635 153 300 7,389 8,860 2,529 4,000 364,715 365,860 6,019 20,000 8,718 20,000 6,152 7,900 276,216 485,700 8,461 22,833 3,357 3,550 3,940 3,300 0 750 484,722 474,929 11,823 13,092 1,282 8,150 0 0 10,626 11,500 204,649 545,000 5,061,843 6,722,734 (1,639,629) (705,500) (5,284) 0 (15,496) (20,000) (36,688) (83,400) 305 Run Date: 6/10/20 2:04 PM 2020 INC.IDEC. Approved % CHGE. Budget 2019 87,551 2,735,607 3.31% 0 16,500 0.00% 56,111 763,291 7.93% 200 1,400 16.67% 0 4,000 0.00% 0 2,400 0.00% 1,510 13,110 13.02% (4) 10,230 (0.04%) 0 0 0.00% 500 1,650 43.48% (6,555) 7,500 (46.64%) 2,960 169,010 1.78% 0 7,950 0.00% 128,125 1,264,760 11.27% 0 300 0.00% 405 9,265 4.57% 0 4,000 0.00% 171,418 537,278 46.85% (10,000) 10,000 (50.00%) 0 20,000 0.00% 0 7,900 0.00% (74,500) 411,200 (15.34%) 130 22,963 0.57% 200 3,750 5.63% 0 3,300 0.00% 0 750 0.00% 16,500 491,429 3.47% 0 13,092 0.00% 0 8,150 0.00% 3,000 3,000 0.00% 3,500 15,000 30.43% (200,000) 345,000 (36.70%) 181,051 6,903,785 2.69% (39,000) (744,500) 5.53% 0 0 0.00% 10,000 (10,000) (50.00%) 30,400 (53,000) (36.45%) Engineering Services Department 2018 Actuals Total Revenues (1,739,934) Transfers to/from Reserves & R.F. 1911 Trans. to/(from) Continuing Stu (34,721) 1920 Transfer to/(from) Reserve Fun (108,503) Total Transfers (143,224) Net 2,876,491 City of Pickering 2020 Current Budget Approved Final 2019 2019 YTD Approved Actuals Budget (1,697,097) (808,900) (17,270) (94,215) (514,927) (1,263,140) (532,197) (1,357,355) 2,832,549 4,556,479 306 Run Date: 6/10/20 2:04 PM 2020 INC./DEC. Approved % CHGE. Budget 2019 1,400 (807,500) (0.17%) (48,570) (142,785) 51.55% 180,665 (1,082,475) (14.30%) 132,095 (1,225,260) (9.73%) 314,546 4,871,025 6.90% 2290 Engineering Services -Adm in. 2018 Actuals Expenditures 1100 Salaries & Wages 1,174,285 1200 Overtime 15,753 1400 Employer Contributions 323,582 1800 Conferences 0 1900 Uniforms 1,428 2110 Travel 615 2131 Cellular Phones 5,102 2140 Telephones 5,519 2210 Advertising 0 2220 Subscription & Publications 0 2340 Seminars & Education 2,656 2370 Insurance Premium 9,237 2371 Ins. Deductible 0 2392 Consulting & Professional 154,414 2394 Recpt, Prom & Sp Events 0 2395 Memberships 3,931 2396 Photo, Mapping, Printing 8,605 2399 Outside Agency Serv 0 2457 Veh -Repairs & Maintenance 4,266 2478 Misc Equip Repairs 0 2479 Software/Hardware Maintenanc 1,277 2678 Rental Misc Equip 2,940 5300 Stationery & Office Supplies 1,710 5302 Forms 432 5900 Gas, Oil Tires 7,252 5902 Supplies & Tools 223 5978 Misc. Equipment 12,182 Total Expenditures 1,735,409 Revenues 9990 Other Revenue (1,500) 9965 Cost Recoveries 0 Total Revenues (1,500) Transfers to/from Reserves & R.F. 1911 Trans. to/(from) Continuing Stu (12,056) 1920 Transfer to/(from) Reserve Fun (108,503) Total Transfers (120,559) Net 1,613,350 Gity of Pickering 2020 Current Budget Approved Final 2019 2019 YTD Approved Actuals Budget 1,285,208 1,413,949 14,473 14,000 342,515 384,746 848 1,200 993 2,000 1,215 750 3,529 6,200 3,436 5,117 1,280 0 772 500 2,801 2,800 9,237 9,237 0 2,000 169,050 402,565 153 200 4,160 5,340 2,529 4,000 1,628 1,700 4,018 5,000 0 200 1,225 12,041 3,357 3,550 1,819 2,100 0 750 6,505 7,413 127 150 10,626 11,500 1,871,504 2,299,008 (4,426) 0 0 0 (4,426) 0 (17,270) (23,565) (118,018) (238,140) (135,288) (261,705) 1,731,790 2,037,303 310 Run Date: 6/10/201:35 PM 2020 INC./DEC. Approved % CHGE. Budget 2019 67,501 1,481,450 4.77% 0 14,000 0.00% 29,721 414,467 7.72% 200 1,400 16.67% 0 2,000 0.00% 0 750 0.00% 1,510 7,710 24.35% 173 5,290 3.38% 0 0 0.00% 500 1,000 100.00% (1,300) 1,500 (46.43%) 163 9,400 1.76% 0 2,000 0.00% 347,965 750,530 86.44% 0 200 0.00% (160) 5,180 (3.00%) 0 4,000 0.00% 151,100 152,800 8,888.24% 0 5,000 0.00% 0 200 0.00% (2,370) 9,671 (19.68%) 200 3,750 5.63% 0 2,100 0.00% 0 750 0.00% 0 7,413 0.00% 0 150 0.00% 500 12,000 4.35% 595,703 2,894,711 25.91% 0 0 0.00% (15,000) (15,000) 0.00% (15,000) (15,000) 0.00% (15,795) (39,360) 67.03% (212,530) (450,670) 89.25% (228,325) (490,030) 87.25% 352,378 2,389,681 17.30% City of Pickering 2020 Approved Background Information 2290 Engineering Services -Admin. Expenditures 2290 .1100 .0000 Salaries & Wages Base Salaries and Wages Total 2290.1100.0000 Salaries & Wages 2290.1200 .0000 Overtime Design and Construction Traffic and Enginee ring (Special Events and Data Collection) Streetlight Inspections Total 2290.1200.0000 Overtime 2290 .1400 .0000 Employer Contributions This item includes mandatory deductions (CPP, El, EHT) and employer provided benefits such as extended health and dental Total 2290.1400.0000 Employer Contributions 2290 .1800.0000 Conferences International Society of Arboriculture Ontario Conference (London) -Coard., Forestry Mgmt Ont. Assoc. of Landscape Architects Conference (Collingwood) -Sr. Coard. Landscape & Parks Dev. Total 2290.1800.0000 Conferences 2290.1900 .0000 · Uniforms As per the Collective Agreement, Pe rsonal Protective Equipment Total 2290.1900.0000 Uniforms 2290.2110 .0000 Travel Parking & Mileage Total 2290.2110.0000 Travel 2290.2131 .0000 Cellular Phones Smartphone Charges (5): Manager, Capital Projects & Infrastructure, Sr. Coordinator, Capital Projects, Coordinator, Infrastructure Maintenance Contracts , Coordinator, Forestry Management & Sr. Coordinator, Landscape & Parks Development Smartphone and Tablet Charges -Director, Engineering Services New Smartphone and charges -Inspector, Capital Projects, Tech, Infrastructure Maintenance Projects , Engineering Infrastructure Student Cell Phones Total 2290 .2131.0000 Cellular Phones 2290.2140.0000 Telephones Run Date: 6/10/20 1 :38 PM 2020 Bud et 1,481,450 1,481,450 10,000 2,000 2 ,000 14,000 414 ,467 414,467 1,000 400 1,400 2,000 2 ,000 750 750 3,000 1,200 2,510 1,000 7,710 Voice/ Data 4 ,675 Internet 615 311 City of Pickering 2020 Approved Background Information 2290 Engineering Services -Admin. Total 2290.2140.0000 Telephones 2290.2220 .0000 Subscriptions & Publicati Reference material , standards , regulations, AutoCAD publications, safety legislations, traffic & transportation publications · Total 2290.2220.0000 Subscriptions & Publicati 2290 .2340.0000 Seminars & Education Bus iness Related Sem inars & Workshops Ontario Traffic Council Workshops (Coard . Traffic Oper. & Transp. Eng) Total 2290.2340.0000 Seminars & Education 2290.2370 .0000 Insurance Premium Annual cost of insurance policy that provides protection for municipal activities and property. (Policy coverage includes : liability, automobile and property). Total 2290.2370.0000 Insurance Premium 2290.2371 .0000 Insurance Deductible Insu rance Deductible Total 2290.2371.0000 Insurance Deductible 2290 .2392.0000 Consu lting & Professional City Centre Transportation Master Plan (90% DC funded) 2020 Road Needs Study -roads condition assessment update NEW 2020 Structure Inspection & Appraisal Report (legislated requirement) Liverpool Rd . to Sandy Beach Rd . Connection Feasibility Study -50 % funded by Developer-NEW Skate Board Park -Community Size (C ivic Centre) Design -NEW Pre-Engineering -Soils Investigation, Surveys & Utility Locates for Capital Works Projects · Bridge Deck Condition Survey Centralized Collision Reporting Program (shared services with Region of Durham) Annual Average Daily Traffic (AADT) Count Program Total 2290.2392.0000 Consulting & Professional 2290 .2392.0001 Consulting -Funded from Continuing StudiesRes. Integrated Transportation Master Plan (ITMP) (90% DC Funded and 10 % funded from Continuing Studies Reserve -PO# 170527) Beachfront Park Rehabilitation & Needs Assessment (67 .5% DC Funded and 32 .5 % from Continuing Studies Reserve -PO# 190765) Railway Grade Safety Audits (PO#. 190766) Total 2290.2392.0001 Consulting -Funded from Continuing Studies Res. 2290.2394 .0000 Recpt,Prom. & Sp .Ev.,Gen 312 Run Date: 6/10/20 1 :38 PM 2020 Bud et 5 ,290 1,000 1,000 1,000 500 1,500 9,400 9 ,400 2,000 . 2 ,000 400,000 100,000 40 ,000 30,000 20 ,000 10,000 10,000 3,000 7 ,500 620,500 66,510 45,640 17,880 130,030 • City of Pickering 2020 Approved Background Information 2290 Engineering Services -Admin. Miscellaneous Meetings / Functions / Promotional Events Total 2290.2394.0000 Recpt,Prom. & Sp.Ev.,Gen 2290.2395.0000 Memberships Association of Professional Engineers of Ontario (2) -Director, Eng Services, Transportation Engineer Ontario Association of Certified Engineering Technicians & Technologists -(8), Senior Coord., Capital Projects, Tech, Constr. & Design . (2), Coord. Infrastructure Design, Coord. Traffic Operations, Coord . Infrastructure Contracts, Technician, Infrastructure Contracts Municipal Engineers Association -Director, Eng Services Ontario Association of Landscape Architects -Senior Coordinator, Parks & Landscape Development Canadian Association of Certified Planning Technicians -Coord ., Infrastructure Design Institution of Transportation Engineers -Coord . Traffic Oper. Ontario Traffic Council (City Membership) International Society of Arboriculture/Society of Municipal Arborists -Coord ., Forestry Management Total 2290.2395.0000 Memberships 2290 .2396.0000 Photo,Mapping,Printing Plotting (cartridges), colour printing , oversize scanning Total 2290 .2396.0000 Photo,Mapping,Printing 2290 .2399.0000 Outside Agency Services Cloud based subscription for radar speed signs (7) Automated Speed Enforcement Camera Services -special levy Council approved Total 2290.2399.0000 Outside Agency Services 2290.2457 .0000 Vehicle-Repair & Maintena Repairs to Section's utility vehicles Total 2290.2457.0000 Vehicle-Repair & Maintena 2290.2478.0000 Misc.Equipment Repairs & Traffic counting classifier and portable speed message boards . Total 2290.2478.0000 Misc.Equipment Repairs & 2290 .2479 .0000 Sfwr/Hdwr Maint Contracts Maintenance -Traffic Engineering Software (TES) License Upgrade Maintenance -Synchro Upgrade (x1) Maintenance -Auto Turn Upgrades (x2) Maintenance -HRIS Total 2290.2479.0000 Sfwr/Hdwr Maint Contracts 313 Run Date: 6/10/20 1 :38 PM 2020 Bud et 200 200 460 2,000 150 810 210 375 700 475 5 ,180 4,000 4,000 2 ,800 150,000 152,800 5,000 5,000 200. 200 1,400 2 ,500 2,000 3,771 9,671 City of Pickering 2020 Approved Background Information 2290 Engineering Services -Admin. 2290.2678.0000 Misc Equipment Rentals Miscellaneous equipment rentals Rental vehicle used for sidewalk inspections/streetlights inspections (Term employee) Summer rental of GPS unit for rental vehicle Total 2290.2678.0000 Misc Equipment Rentals 2290 .5300 .0000 Stationery & Office Suppl General office supplies Total 2290.5300.0000 Stationery & Office Suppl 2290.5302.0000 Forms Miscellaneous forms and door knockers Total 2290.5302.0000 Forms 2290.5900.0000 Gas, Oil, Tires Etc. Fuel : 6,440 litres@ $1.03/litre Oil changes and tires, vehicle washes Total 2290.5900.0000 Gas, Oil, Tires Etc. 2290.5902.0000 Supplies & Tools Various sundry items such as spray paint, small tools, traffic counter tubes, etc. Total 2290.5902.0000 Supplies & Tools 2290.5978.0000 Misc. Equipment Solar powered flashing red beacons for stop signs (4) Total 2290.5978.0000 Misc. Equipment Total Expenses Revenues 2290 .9965.0000 Cost Recoveries Funded from Developers 50% -Liverpool Rd . to Sandy Beach Rd. Connection Feasibility Study Total 2290.9965.0000 Cost Recoveries Total Revenues Transfers 1911 .2290.0000 Trsf frm Res -MPE Cont. Studies Res . funding (10%) for Integrated Transportation Master Plan (ITMP) Cont. Studies Res. funding (32.5%)for Beachfront Park Rehabilitation & Needs Assessment 314 Run Date: 6/10/20 1 :38 PM 2020 Bud et 200 3,200 350 3,750 2,100 2,100 750 750 6,633 780 7,413 150 150 12,000 12,000 2,894,711 (15,000) (15,000) {15,000) (6,650) (14,830) City of Pickering 2020 Approved Background Information 2290 Engineering Services -Admin. Cont. Studies Res. funding for Railway Grade Safety Audits Total 1911.2290.0000 Trsf frm Res -MPE 1920. 7600.2290 Trsf frm DCRF -Engineer DC Funding (90%) for City Centre Transportation Master Plan DC Funding (90%) for Integrated Transportation Master Plan (ITMP) DC Funding (67 .5%) for Beachfront Park Rehabilitation & Needs Assessment Total 1920.7600.2290 Trsf frm DCRF -Engineer Total Transfers Net Expenses 315 Run Date: 6/10/20 1 :38 PM 2020 Bud et (17,880) (39,360) (360,000) (59,860) (30,810) (450,670) (490,030) 2,389,681 2230 Crossing Guards 2018 Actuals Expenditures 2370 Insurance Premium 2,310 2399 Outside Agency Serv 444,819 Total Expenditures 447,129 Revenues Total Revenues 0 Transfers to/from Reserves & R.F. Total Transfers 0 Net 447,129 City of Pickering 2020 Current Budget Approved Final 2019 2019 YTD Approved Actuals Budget 2,310 2,310 354,201 356,160 356,511 358,470 0 0 0 0 356,511 358,470 316 Run Date: 6/10/20 1:35 PM 2020 INC./DEC. Approved % CHGE. Budget 2019 40 2,350 1.73% 18,318 374,478 5.14% 18,358 376,828 5.12% 0 0 0.00% 0 0 0.00% 18,358 376,828 5.12% City of Pickering 2020 Approved Background Information 2230 Crossing Guards Expenditures 2230.2370.0000 Insurance Premium Annual cost of insurance policy that provides protection for municipal activities and property . (Policy coverage includes : liability, automobile and property) Total 2230.2370.0000 Insurance Premium 2230.2399 .0000 Outside Agency Services School Crossing Guard Program as per Quotation# Q-14-2018 (Year 2 January to June and Year 3 of 3 September to December). Total Expenses Total Revenues Total Transfers Net Expenses Total 2230.2399.0000 Outside Agency Services 317 Run Date: 6/10/20 1 :38 PM 2020 Bud et 2,350 2,350 374 ,478 374,478 376,828 0 0 376,828 2613 Water Resources & Development Services 2018 Actuals Expenditures 1100 Salaries & Wages 1,052,516 1200 Overtime 1,930 1400 Employer Contributions 282,762 1900 Uniforms 1,880 2110 Travel 1,998 2131 Cellular Phones 4,080 2140 Telephones 4,780 2220 Subscription & Publications 554 2340 Seminars & Education 7,112 2370 Insurance Premium 7,116 2371 Ins. Deductible 0 2392 Consulting & Professional 67,727 2394 Recpt, Prom & Sp Events 204 2395 Memberships 2,385 2407 Roads Repair & Mtce 4,701 2457 Veh -Repairs & Maintenance 2,368 2478 Misc Equip Repairs 0 2479 Software/Hardware Maintenan< 6,167 5300 Stationery & Office Supplies 1,550 5900 Gas, Oil Tires 4,790 5902 Supplies & Tools 5,095 5973 Minor Furniture & Fixtures 0 5978 Misc. Equipment 0 Total Expenditures 1,459,715 Revenues 1429 Sale of Serv-Dev Cntrl (1,693,503) 9990 Other Misc Revenue (29,158) 9965 Cost Recoveries (15,773) Total Revenues (1,738,434) Transfers to/from Reserves & R.F. 1911 Trans. to/(from) Continuing Stu (22,665) 1920 Transfer to/(from) Reserve Fun 0 Total Transfers (22,665) Net (301,384) City of Pickering 2020 Current Budget Approved Final 2019 2019 YTD Approved Actuals Budget 1,120,365 1,234,107 2,047 2,500 294,750 322,434 1,578 2,000 1,291 1,650 2,401 5,400 3,424 5,117 604 650 7,207 11,255 7,116 7,116 0 1,000 227,603 724,070 0 100 3,229 3,520 6,019 20,000 2,134 2,900 0 500 7,236 10,792 2,121 1,200 5,318 5,679 1,155 8,000 0 0 0 0 1,695,598 2,369,990 (1,639,629) (705,500) (15,496) (20,000) (36,688) (83,400) (1,691,813) (808,900) 0 (70,650) (192,260) (525,000) (192,260) (595,650) (188,475) 965,440 318 Run Date: 6/10/20 1:35 PM 2020 INC./DEC. Approved % CHGE. Budget 2019 20,050 1,254,157 1.62% 0 2,500 0.00% 26,390 348,824 8.18% 0 2,000 0.00% 0 1,650 0.00% 0 5,400 0.00% (177) 4,940 (3.46%) 0 650 0.00% (5,255) 6,000 (46.69%) 129 7,245 1.81% 0 1,000 0.00% (219,840) 504,230 (30.36%) 0 100 0.00% 565 4,085 16.05% (10,000) 10,000 (50.00%) 0 2,900 0.00% 500 1,000 100.00% 2,500 13,292 23.17% 0 1,200 0.00% 0 5,679 0.00% 0 8,000 0.00% 3,000 3,000 0.00% 3,000 3,000 0.00% (179,138) 2,190,852 (7.56%) (39,000) (744,500) 5.53% 10,000 (10,000) (50.00%) 45,400 (38,000) (54.44%) 16,400 (792,500) (2.03%) (32,775) (103,425) 46.39% 193,195 (331,805) (36.80%) 160,420 (435,230) (26.93%) (2,318) 963,122 (0.24%) City of Pickering 2020 Approved Background Information 2613 Water Resources & Development Services Expenditures 2613.1100.0000 Salaries & Wages Base Salaries and Wages Total 2613.1100.0000 Salaries & Wages 2613 .1200.0000 Overtime Development Review Various Inspections Water Resources Total 2613.1200.0000 Overtime 2613 .1400.0000 Employer Contributions This item includes mandatory deductions (CPP, El, EHT) and employer provided benefits such as extended health and dental Total 2613.1400.0000 Employer Contributions 2613.1900.0000 Uniforms As per the collective agreement -Personal Protective Equipment Total 2613.1900.0000 Uniforms 2613 .2110.0000 Travel Mileage and Parking Total 2613.2110.0000Travel 2613 .2131 .0000 Cellular Phones Run Date: 6/10/20 1:38 PM 2020 Bud et 1,254,157 1,254,157 1,000 1,000 500 2,500 348,824 348,824 2,000 2,000 1,650 1,650 Cell Phones -.3 600 Charges for 8 Smartphones -Div. Head, Water Res. & Dev. Serv., Mgr., Dev. Services, Sr. Water Resources Engineer, Project Mgr, Dev . Appr., Sr. Coard. Dev. Services and 3 Inspectors Total 2613.2131.0000 Cellular Phones 2613.2140.0000 Telephones 4,800 5,400 Voice/ Data 4,365 Internet 575 Total 2613.2140.0000 Telephones 2613.2220.0000 Subscriptions & Publicati Development Services -Can . Data Cost Index Total 2613.2220.0000 Subscriptions & Publicati 2613 .2340.0000 Seminars & Education General Education Assistance and Various Seminars and Workshops First Aid/CPR-C Recertification -(12 staff@ $50.00 each) Courses related to Certified Inspector of Sediment & Erosion Control (CISEC) and exam fee for 3 staff 319 4,940 650 650 1,200 600 1,750 City of Pickering 2020 Approved Background Information 2613 Water Resources & Development Services Toronto & Reg . Conservation Auth . & Int. Erosion Control Assoc. (TRIECA) 2020 Workshop for 9 staff Total 2613 .2340.0000 Seminars & Education 2613 .2370 .0000 Insurance Premium Annual cost of insurance policy that provides protection for municipal activities arid property. (Policy coverage includes: liability, automobile and property) Total 2613.2370.0000 Insurance Premium 2613.2371.0000 Insurance Deductible Insurance Deductible Total 2613.2371.0000 Insurance Deductible 2613.2392 .0000 Consulting & Professional SWM Facilities Asset Management Plan (PO# 190441 -100% FGT Funded) Pine Creek -Post Construction Monitoring Program -Year 3 of 3 Total 2613.2392.0000 Consulting & Professional 2613 .2392 .0001 Consulting -Funded from Continuing Studies Res . Pickering City Centre Stormwater Management Strategy Update (PO# 190121 - 90% DC funded and 10% funded from Continuing Studies Reserve) Claremont Drainage Plan -PO# 160783 (funded from Continuing Studies Res . and Region of Durham) Specialist Services for Vistula Drive Residential Slope Inspections (PO# 190490) Total 2613.2392.0001 Consulting -Funded from Continuing Studies Res. 2613.2392 .0002 Consulting -Funded from Developers/Land Owners Technical Peer Reviews fo r Development Applications ([partial funded from developers/land owners) · Total 2613.2392.0002 Consulting -Funded from Developers/Land Owners 2613 .2394.0000 Rec/Prom & Spc EvUGen PR Miscellaneous Meetings/Functions/Promotional Events Total 2613.2394.0000 Rec/Prom & Spc Evt/Gen PR 2613 .2395 .0000 Memberships Ontario Assn. of Certified Engineering Technicians & Technologists -7 staff Certified Inspector of Sediment & Erosion Control -4 staff Association of Professional Engineers of Ontario, PEO (6) -Div . Head, Water Res . & Dev. Ser., Mgr., Dev. Ser., Project Mgr., Dev. Approvals, Water Resources Eng., Coard . Water Res ., Coard. Dev. Approvals International Erosion Control Association -Sr. Coard. Dev. Serv . Municipal Engineers Association -Div. Head, Water Res . & Dev. Serv. Total 2613.2395 .0000 Memberships 2613 .2407.0000 Road Maintenance 320 Run Date: 6/10/20 1:38 PM 2020 Bud et 2,450 6 ,000 7 ,245 7,24!5 1 ,000 1 ,000 117,830 14,000 131,830 237,750 91,150 13,500 342,400 30,000 30,000 100 100 1,650 375 1 ,650 260 150 4 ,085 City of Pickering · .2020 Approved Background Information 2613 Water Resources & Development Services Curb Cuts , Newspaper Pads and Sidewalk Repairs Total 2613.2407.0000 Road Maintenance 2613 .2457.0000 Vehicle-Repair & Maintena Repairs to Division utility vehicles Total 2613.2457.0000 Vehicle-Repair & Maintena 2613.2478 .0000 Misc'.Equipment Repairs & Repairs and annual maintenance to confined space & survey equipment. Total 2613.2478.0000 Misc.Equipment Repairs & 2613 .2479 .0000 Sfwr/Hdwr Maint Contracts Maintenance -PCSWMM Professional 2D License Annual Upgrade (x2) Maintenance -Visual Otthymo License Annual Upgrade (x2) Maintenance -HRIS -new Total 2613.2479.0000 Sfwr/Hdwr Maint Contracts 2613 .5300.0000 Stationery & Office Suppl Office supplies Total 2613.5300.0000 Stationery & Office Suppl 2613 .5900 .0000 Gas, Oil, Tires Etc. Fuel -Unleaded 4,500 litres @ $1.03/litre Oil changes tires, and vehicle washes Total 2613.5900.0000 Gas, Oil, Tires_ Etc. 2613 .5902.0000 Supplies & Tools Confined space entry equipment & various sundry items Total 2613.5902.0000 Supplies & Tools 2613.5973.0000 Furniture & Fixtures Purchase of used storage container for SWM monitoring equipment Total 2613.5973.0000 .Furniture & Fixtures 261 _3.5978.0000 Misc Equipment Purchase of used storage container for SWM monitoring equipment Total 2613.5978.0000 Misc Equipment Total Expenses Revenues 1429 .0001 .0001 Eng Design Review Fees Engineering Design Review fees Total 1429.0001.0001 Eng Design Review Fees 1429.0001 .0002 Dev Inspect Fees-Subdvsns Development Inspection fees for subdivisions Total 1429.0001.0002 Dev Inspect Fees-Subdvsns 321 Run Date: 6/10/20 1:38 PM 2020 Bud et 10,000 10,000 2,900 2,900 1,000 1,000 5,000 5,000 3,292 13,292 1,200 1,200 4,635 1,044 5 ,679 8,000 8,000 3 ,000 3,000 3,000 3 ,000 2,190,852 (175,000) (175,000) (400 ,000) (400,000) City of Pickering 2020 Approved Background Information 2613 Water Resources & Development Services 1429.0001.0003 Dev Inspect Fee -Site Plan Development Inspection fees for site plans Total 1429.0001.0003 Dev Inspect Fee-Site Plan 1429 .0001 .0004 Development Inspect Fees Development Inspection fees for monthly and direct billed accounts Total 1429.0001.0004 Development Inspect Fees 1429 .0002.0000 Topsoi/Fill Permits Topsoil/Fill Permits Total 1429.0002.0000 Topsoi/Fill Permits 1429 .0003.0000 Misc/General Sale of Serv City's component of fees associated with Ministry of Environment & Climate Change Environmental Compliance Approval for storm sewer installation related to development, and residential lot grading fees Total 1429.0003.0000 Misc/General Sale of Serv 1429 .0004 .0000 Pool Enclosure Permits Pool Enclosure Permits Total 1429.0004.0000 Pool Enclosure Permits · 1429 .0005.0000 Municipal Consent Fees Revenue from Telecommunication and Utility Companies for Municipal Consent & Occupancy of Right of Ways . Total 1429.0005.0000 Municipal Consent Fees 2613 .9965 .0000 Cost Recoveries Technical Peer Reviews for Development Applications (Partially Funded by Developers) Funding from Region ofDurham -(Claremont Drainage Plan -yr 2 of 2) Purchase of used storage containers for SWM monitoring equ ipment (Funded by Developers) Total 2613.9965.0000 Cost Recoveries 2613 .9990.0000 Other Revenue Curb Cuts / Newspaper Pads / Sidewalk Repairs Total 2613.9990.0000 Other Revenue Total Revenues Transfers 1911 .2613.0000 Trsffrm Res-Developmnt Continuing Studies Res . funding for Claremont Drainage Plan Continuing Studies Res . funding (10 %) for Pickering City Centre SWM Strategy 322 Run Date: 6/10/20 1 :38 PM 2020 Bud et (100,000) (100,000) (7,000) (7,000) (15 ,000) (15,000) (25 ,000) (25,000) (7 ,500) (7,500) (15,000) (15 ,000) (10,000) (25 ,000) (3,000) (38,000) (10,000) (10,000) (792,500) (66 ,150) (23,775) City of Pickering 2020 Approved Background Information 2613 Water Resources & Development Services Run Date: 6/10/20 1:38 PM Continuing Studies Res. funding for Specialist Services for Vistula Drive Residential Slope Inspections Total 1911.2613.0000 Trsf frm Res -Developmnt 1920 . 7505.2613 Trsf frm FGT -Water&Dev FGT funding for SWM Facilities Asset Management Plan Total 1920.7505.2613 Trsffrm FGT-Water&Dev 1920.7600.2613 Trsf frm DCRF -Water&Dev DC funding (90%) for Pickering City Centre Stormwater Management Strategy Update Total Transfers Net Expenses Total 1920.7600.2613 Trsf frm DCRF -Water&Dev 323 2020 Bud et (13,500) (103,425) (117,830) (117,830) (213,975) (213,975) (435,230) 963,122 2323 Sidewalks 2018 Actuals Expenditures 2370 Insurance Premium 140,954 2371 Ins. Deductible 13,102 2408 Rpr Main. Maint Mater 13,462 5981 Other Minor Fixed Assets 0 Total Expenditures 167,518 Revenues Total Revenues 0 Transfers to/from Reserves & R.F. 1920 Transfer to/(from) Reserve Fun 0 Total Transfers 0 Net 167,518 City of Pickering 2020 Current Budget Approved Final 2019 2019 YTD Approved Actuals Budget 140,954 140,954 7,652 4,950 8,718 20,000 204,649 520,000 361,973 685,904 0 0 {204,649) (500,000) (204,649) (500,000) 157,324 185,904 324 Run Date: 6/10/20 1:35 PM 2020 INC./DEC. Approved % CHGE. Budget 2019 2,511 143,465 1.78% 0 4,950 0.00% 0 20,000 0.00% (200,000) 320,000 (38.46%) (197,489) 488,415 (28.79%) 0 0 0.00% 200,000 (300,000) (40.00%) 200,000 (300,000) (40.00%) 2,511 188,415 1.35% 2323 Sidewalks Expenditures City of Pickering 2020 Approved Background Information 2323 .2370 .0000 Insurance Premium Annual cost of insurance policy that provides protection for municipal activities and property . (Policy coverage includes: liability, automobile and property) Total 2323.2370.0000 Insurance Premium 2323 .2371 .0000 Insurance Deductible Insurance Deductible Total 2323.2371.0000 Insurance Deductible 2323 .2408.0000 Sidewalk Repairs & Mainte Sidewalk repair materials (forms, expansion joint, concrete) Total 2323.2408.0000 Sidewalk Repairs & Mainte 2323.5981.0000 Other Fixed Assets Sidewalk Installation -miscellaneous locations (TBD) Sidewalk Rehabilitation program (funded 100% from FGT) Total 2323.5981.0000 Other Fixed Assets Total Expenses Total Revenues Transfers 1920.7505.2323 Trsf frm FGT -Sidewalks Federal Gas Tax Funding for sidewalk rehabilitation program. Total Transfers Net Expenses Total 1920.7505.2323 Trsf frm FGT -Sidewalks 325 Run Date: 6/10/20 1:38 PM 2020 Bud et 143,465 143,465 4,950 4 ,950 20,000 20,000 20,000 300,000 320,000 . 488,415 0 (300,000) (300,000) (300,000) 188,415 2325 Street Lights 2018 Actuals Expenditures 2370 Insurance Premium 6,433 2392 Consulting & Professional 0 2399 Outside Agency Serv 7,249 2478 Misc Equip Repairs 483,366 5530 Utilities -Hydro 452,830 5981 Other Minor Fixed Assets 0 Total Expenditures 949,878 Revenues 9990 Other Revenue 0 Total Revenues 0 Transfers to/from Reserves & R.F. Total Transfers 0 Net 949,878 City of Pickering 2020 Current Budget Approved Final 2019 2019 YTD Approved Actuals Budget 6,433 6,433 0 10,000 8,886 8,000 276,216 485,000 484,722 474,929 0 25,000 776,257 1,009,362 (858) 0 (858) 0 0 0 775,399 1,009,362 326 Run Date: 6/10/201:35 PM 2020 INC./DEC. Approved % CHGE. Budget 2019 117 6,550 1.82% 0 10,000 0.00% 2,000 10,000 25.00% (75,000) 410,000 (15.46%) 16,500 491,429 3.47% 0 25,000 0.00% (56,383) 952,979 (5.59%) 0 0 0.00% 0 0 0.00% 0 0 0.00% (56,383) 952,979 (5.59%) City of Pickering 2020 Approved Background Information 2325 Street Lights Expenditures 2325 .2370 .0000 Insurance Premium Annual cos t of insurance policy that provides protection for municipal activities and property. (Policy coverage includes: liability, automobile and property) Total 2325.2370.0000 Insurance Premium 2325 .2392.0000 Consulting & Professional General consulting for streetlighting needs Total 2325.2392.0000 Consulting & Professional 2325.2399 .0000 Outside Agency Services Ontario One call fees (legislated requ irement) Total 2325.2399.0000 Outside Agency Services 2325.2478.0000 Misc .Equipment Repairs & Monthly repairs on existing streetlights by contractor, including labou r, vehicle, material costs for replacements and underground cable repairs , and street light . locate requests . Cracked concrete pole replacement program (20 poles per year). Also includes installations of poles purchased in late 2019 . Total 2325.2478.0000 Misc.Equipment Repairs & 2325 .5530.0000 Utilities -Hydro Budget based on 2019 projected actuals and rate increase in 2020 Total 2325.5530.0000 Utilities -Hydro 2325.5981 .0000 Other F ixed Assets Streetlight installations -miscellaneous locations (TBD) Total Expenses Total Revenues Total Transfers Net Expenses Total 2325.5981 .0000 Other Fixed Assets 327 Run Date: 6/10/20 1 :38 PM 2020 Bud et 6,550 6,550 10,000 10,000 10 ,000 10,000 300,000 110,000 410,000 491,429 491,429 25,000 25,000 952,979 0 0 952,979 Finance Department 2018 Actuals Expenditures 1100 Salaries & Wages 2,079,817 1200 Overtime 8,174 1400 Employer Contributfons 570,915 1800 Conferences 6,311 2110 Travel 1,753 2131 Cellular Phones 1,108 2140 Telephones 11,038 2191 Data Processing Services 150,455 2220 Subscription & Publications 6,373 2340 Seminars & Education 10,922 2365 Purch Prnting/Broch/News Ltr 21,363 2370 Insurance Premium 15,605 2392 Consulting & Professional 148,694 2394 Recpt, Prom & Sp Events 2,827 2395 Memberships 11,815 2399 Outside Agency Serv 13,467 2478 Misc Equip Repairs 2,455 2479 Software/Hardware Maintenan< 96,313 2819 Financial Service Charges 228,562 5300 Stationery & Office Supplies 8,568 5302 Forms 0 5974 System & Software Upgrades 0 Total Expenditures 3,396,535 Revenues 1412 Tax Certificates & Other Fees (273,966) 1550 Interest on Investments (1,301,177) 1560 Penalties & Interest on Taxes (2,572,010) 1610 Federal Grant (12,160) 9990 Other Misc Revenue (105,269) Total Revenues (4,264,582) Transfers to/from Reserves & R.F. 1910 Transfer to/(from) Reserve 0 1911 Trans. to/(from) Continuing Stu (59,723) 1920 Transfer to/(from) Reserve Fun (17,130) Total Transfers (76,853) Net (944,900) City of Pickering 2020 Current Budget Approved Final 2019 2019 YTD Approved Actuals Budget 2,233,626 2,454,652 3,607 40,750 578,6$4 645,777 4,305 11,850 603 2,800 564 875 8,262 11,485 160,529 152,490 2,275 4,000 9,119 20,400 21,177 22,000 15,605 15,605 143,924 288,130 2,995 2,000 14,575 15,880 13,809 14,600 2,053 2,300 219,502 427,547 254,850 220,000 7,878 12,200 621 1,500 0 12,600 3,698,563 4,379,441 (308,113) (266,000) (1,455,429) (540,000) (2,907,048) (2,265,000) (30,436) (42,400) (109,728) (55,000) (4,810,754) (3,168,400) 0 (144,200) 0 (27,930) (35,879) (69,200) (35,879) (241,330) (1,148,070) 969,711 329 Run Date: 6/10/20 2:04 PM 2020 INC./DEC. Approved % CHGE. Budget 2019 100,948 2,555,600 4.11% 0 40,750 0.00% 66,765 712,542 10.34% (1,150) 10,700 (9.70%) (200) 2,600 (7.14%) 0 875 0.00% (900) 10,585 (7.84%) 12,510 165,000 8.20% 0 4,000 0.00% (2,200) 18,200 (10.78%) 0 22,000 0.00% 275 15,880 1.76% 116,300 404,430 40.36% 0 2,000 0.00% 1,850 17,730 11.65% 0 14,600 0.00% 0 2,300 0.00% 735 428,282 0.17% 30,000 250,000 13.64% 0 12,200 0.00% 0 1,500 0.00% 0 12,600 0.00% 324,933 4,704,374 7.42% (5,000) (271,000) 1.88% (125,000) (665,000) 23.15% 0 (2,265,000) 0.00% 42,400 0 (100.00%) 0 (55,000) 0.00% ·(87,600) (3,256,000) 2.76% 24,800 (119,400) (17.20%) 0 (27,930) 0.00% (143,500) (212,700) 207.37% (118,700) (360,030) 49.19% 118,633 1,088,344 12.23% 2127 Finance 2018 Actuals Expenditures 1100 Salaries & Wages 1,850,590 1200 Overtime 6,439 1400 Employer Contributions 509,741 1800 Conferences 5,429 2110 Travel 794 2131 Cellular Phones 1,108 2140 Telephones 9,200 2191 Data Processing Services 150,455 2220 Subscription & Publications 6,373 2340 Seminars & Education 8,632 2365 Purch Prnting/Broch/News Ur 21,363 2370 Insurance Premium 13,756 2392 Consulting & Professional 148,694 2394 Recpt, Prom & Sp Events 2,603 2395 Memberships 11,174 2399 Outside Agency Serv 12,075 2478 Misc Equip Repairs 2,455 2479 Software/Hardware Maintenanc 96,313 2819 Financial Service Charges 228,562 5300 Stationery & Office Supplies 8,303 5302 Forms 0 5974 System & Software Upgrades 0 Total Expenditures 3,094,059 Revenues 1412 Tax Certificates & Other Fees (273,966) 1550 Interest on Investments (1,301,177) 1560 Penalties & Interest on Taxes (2,572,010) 1610 Federal Grant (12,160) 9990 Other Misc Revenue (105,269) Total Revenues (4,264,582) Transfers to/from Reserves & R.F. 1910 Transfer to/(from) Reserve 0 1911 Trans. to/(from) Continuing Stu (59,723) 1920 Transfer to/(from) Reserve Fun (17,130) Total Transfers (76,853) Net (1,247,376) City of Pickering 2020 Current Budget Approved Final · 2019 2019 YTD Approved Actuals Budget 1,961,820 2,135,946 3,528 35,750 506,918 566,976 3,787 9,450 507 1,900 564 875 7,211 9,901 160,529 152,490 2,275 4,000 6,356 16,800 21,177 22,000 13,756 13,756 143,924 288,130 2,771 1,600 13,547 14,615 12,313 13,000 2,053 2,300 219,502 426,697 254,850 220,000 7,376 11,200 621 1,500 0 12,600 3,345,385 3,961,486 (308,113) (266,000) (1,455,429) (540,000) (2,907,048) (2,265,000) (30,436) (42,400) (109,728) (55,000) (4,810,754) (3,168,400) 0 (144,200) 0 (27,930) (35,879) (69,200) (35,879) (241,330) (1,501,248) 551,756 333 Run Date: 6/10/20 1:35 PM 2020 INC./DEC. Approved % CHGE. Budget 2019 95,469 2,231,415 4.47% 0 35,750 0.00% 63,087 630,063 11.13% (1,150) 8,300 (12.17%) (200) 1,700 (10.53%) 0 875 0.00% (726} 9,175 (7.33%) 12,510 165,000 8.20% 0 4,000 0.00% (2,200) 14,600 (13.10%) 0 22,000 0.00% 244 14,000 1.77% 116,300 404,430 40.36% 0 1,600 0.00% 1,630 16,245 11.15% 0 13,000 0.00% 0 2,300 0.00% 735 427,432 0.17% 30,000 250,000 13.64% 0 11,200 0.00% 0 1,500 0.00% 0 12,600 0.00% 315,699 4,277,185 7.97% (5,000) (271,000) 1.88% (125,000) (665,000) 23.15% 0 (2,265,000) 0.00% 42,400 0 (100.00%) 0 (55,000) 0.00% (87,600) (3,256,000) 2.76% 24,800 (119,400) (17.20%) 0 (27,930) 0.00% (143,500) (212,700) 207.37% (118,700) (360,030) 49.19% 109,399 661,155 19.83% City of Pickering 2020 Approved Background Information 2127 Finance Expenditures 2127.1100.0000 Salaries & Wages Base Salaries and Wages ERP Project Manager position (extended to Dec 31, 2020) -funded from the Rate Stabilization Reserve and Development Charges Reserve Fund . Once the project is complete, the contract will be ended . One new full time Tax Cler k II position -start date July 1 Finance summer student (May 1 to Aug 31) Total 2127.1100.0000 Salaries & Wages . 2127 .1200.0000 Overtime Year End Processing Payroll Budgets Tax Due Dates New Financial System Implementation Total 2127.1200.0000 Overtime 2127 .1400 .0000 Employer Contributions This item includes mandatory deductions (CPP, El , EHT) and employer provided benefits such as extended health and dental Benefits related to ERP Project Manager position (contract extended to Dec 31 , 2019) -funded from the Rate Stabilization Reserve and Development Charges Reserve Fund Benefits related to one new full timeTax Clerk II position -start date July 1 Benefits related to Finance summer student (May 1 to Aug 31) Total 2127.1400.0Q00 Employer Contributions 2127.1800.0000 Conferences Municipal Finance Officers' Association -Treasurer Property Tax Conference (Spring & Fall) -Assessors & Compliance (Supervisor & Tax Analyst) CityWide User Group Conference -Registration and accommodation for 3 nights (Manager, Budgets & Internal Audit, Senior Financial Analyst and Senior Financial Analyst, Capital & Debt Mgmt.) Society of Public Insurance Administrators of Ontario (SPIAO) Spring Conference (Treasurer and Manager Budgets & Internal Audit) · Total 2127.1800 .0000 Conferences 2127.2110 .0000 Travel Staff: Parking' & Mileage Total 21 27.2110.0000 Travel 334 Run Date: 6/10/20 1 :38 PM 2020 Bud et 2,068,755 120,000 31,460 11 ,200 2,231,415 4 ,000 2,750 4 ,750 4,250 20 ,000 35,750 598 ,553 20 ,.000 10,160 1,350 630,063 1,500 2,250 3,100 1,450 8,300 1,700 1,700 City of Pickering 2020 Approved Background Information 2127 Finance 2127 .2131.0000 Cellular Phones Annual Smartphone Charges -Director, Finance & Treasurer Total 2127.2131.0000 Cellular Phones 2127 .2140.0000 Telephones Voice/ Data Internet Total 2127.2140.0000 Telephones 2127 .2191.0000 Data Processing Services Processing of City's payroll. Total 2127.2191.0000 Data Processing Services 2127.2220.0000 Subscriptions & Publicati Reference materials, journals and reports Total 2127.2220.0000 Subscriptions & Publicati 2127.2340.0000 Seminars & Education Professional Developr:nent Course Requirements for Finance, Budget & Accounting staff (8) Insurance and risk mgmt. courses -Mgr, Budgets & IA and Director, Finance & Treasurer Property Tax Courses -Tax staff Public Sector Virtual Conference, Mgr. Accounting Services Public Sector Certificate Program (Level 1) -Senior Financial Analyst (1) Payroll PD Courses (2 staff) Tangible Capital Assets Mgmt. courses -Finance staff CPA Public Sector Financial Reporting & Accounting Course -Finance staff CityWide Workshop -Senior Financial Analyst Total 2127.2340.0000 Seminars & Education 2127 .2365.0000 Purchased Printing Printing costs for tax bills. Total 2127.2365.0000 Purchased Printing 2127.2370 .0000 Insurance Premium Annual cost of insurance policy that provides protection for municipal activities and property. (Policy coverage includes : .liability, automobile and property). Total 2127.2370.0000 Insurance Premium 2127.2392.0000 Consulting & Professional · Audit & P_r ofessional Services (City, Library & Public Sector Accounting Board) Revised Development Charges (DC) Bylaw and new Community Benefit Charge (CBC) Bylaw (Dec 14 completion date). Funded from DC Reserve Fund 335 Run Date: 6/10/20 1 :38 PM 2020 Bud et 875 875 8,105 1,070 9,175 165,000 165,000 4,000 4,000 7,000 1,500 1,500 1,200 1,150 950 500 500 300" 14,600 22,000 22 ,000 14,000 14,000 90,000 60,000 City of Pickering 2020 Approved Background Information 2127 Finance Armoured car services for daily pick-up of bank deposits (Civic Complex & Recreation Complex). Total 2127.2399.0000 Outside Agency Services 2127 .2478 .0000 Equipment Repairs & Maint Service contract for cheque signer and perforafor Service contract for cash handling machines Total 2127.2478.0000 Equipment Repairs & Maint 2127.2479.0000 Sfwr/Hdwr Maint Contracts Maintenance -ERP system (new financial system) Maintenance -Vailtech -Financials Maintenance -FMW Web Budget Software & Salary Planning Module · Contract -Reamined -Assessment Data Conversion Contract -MPAC -Property Information Maintenance -CityWide Asset Manager Maintenance -TXM system maintenance fees for tax system Maintenance -CityWide CPA (PO #160247 -$1 ,300) Maintenance -CityWide GIS Maintenance -HRIS -new Total 2127.2479.0000 Sfwr/Hdwr Maint Contracts 2127 .5300.0000 Stationery & Office Suppl General office supplies Budget document supplies Total 2127.5300.0000 Stationery & Office Suppl 2127.5302 .0000 Forms Cash Rece ipt Forms Total 2127.5302.0000 Forms 2127 .5974.0000 System & Software Upgrade Purchase of Risk, Incidents , Safety & Claims (RISC) Software -Funded from Insurance Reserve CityWide CPA module -Funded from FGT (PO# 1602470 Total 2127.5974.0000 System & Software Upgrade 2819 .0000.0000 FINANCIAL SERVICE CHARGES . ActiveNet Property Tax Processing (Royal Bank) Debit & credit card charges (All banks) Electronic Funds Transfer (EFT) charges for pre-authorized payment plans and direct deposit to City vendor's bank accounts . U .S . Acct. Fees & Other 337 . Run Date: 6/10/20 1 :38 PM 2020 Bud et 13,000 13,000 800 1,500 2,300 315 ,000 17,800 14,085 700 350 8,000 57,500 6,600 1,700 5 ,697 427,432 10 ,200 1,000 11,200 1,500 1,500 4,000 8,600 12,600 175,000 13,100 32 ,100 17,200 100 City of Pickering 2020 Approved Background Information 2127 Finance Parking tickets electronic payment Total 2819.0000.0000 FINANCIAL SERVICE CHARGES Total Expenses Revenues 1412.0001.0001 Regular Tax Certificates Tax Certificates Total 1412.0001.0001 Regular Tax Certificates 1412.0001 .0002 Rush Tax Certificates Tax certificates (24 hr. turnaround) Total 1412.0001.0002 Rush Tax Certificates 1412.0002 .0000 Dup Tax RcpUBill/Stmt Duplicate tax receipts/reprint of tax bills/statement of accounts Total 1412.0002.0000 Dup Tax Rcpt/Bill/Stmt 1412.0003.0000 Returned PymUChq Fee Electronic payment correction Total 1412.0003.0000 Returned Pymt/Chq Fee 1412 .0004 .0000 Change in Ownership Fee Ownership change fee Total 1412.0004.0000 Change in Ownership Fee 1412.0005.0000 Mortgage Co . Fee Tax billing for mortgage companies Total 1412.0005.0000 Mortgage Co. Fee 1412.0006.0000 Other Fees (Water, POA,etc Other fees (Application fees for Sect. 357 & 358 property tax refunds, recovery of . costs for tax collection and tax registration letters , roll# set-up fees, registration of farm debt notices, etc.) Total 1412.0006.0000 Other Fees (Water,POA,etc 1412.0007;0000 Arrears Notice Fee Property tax arrears reminder notices fees Total 1412.0007.0000 Arrears Notice Fee 1550.0000.0000 INCOME -INVEST. (EXT.) Investment income is based on 2018 estimated actuals . Total 1550.0000.0000 INCOME -INVEST. (EXT.) 1560.0000.0000 PEN. & INTEREST -TAXES The City Charges 15% per annum for unpaid property taxes Total 1560.0000.0000 PEN. & INTEREST -TAXES 2127.9990 .0000 Other Revenue 338 Run Date: 6/10/20 1 :38 PM 2020 Bud et 12,500 250,000 4,277,185 (16,000) (16 ,000) (34,000) (34,000) (6,000) (6,000) (11,000) (11,000) (55 ,000) (55,000) (81,000) (81,000) (8,000) (8,000) (60,000) (60 ,000) (665,000) (665,000) (2 ,265,000) (2,265,000) 2127 Finance City of Pickering 2020 Approved Background Information Internal management fee for investment portfolio Total 2127.9990.0000 Other Revenue Total Revenues Transfers 1910 .7011 .2127 Frm Assmt Appeals-Finance General assessment appeals Total 1910.7011.2127 Frm Assmt Appeals -Finance 1910.7020 .2127 Trsf S.elf Ins -Finance Purchase of Risk , Incidents, Safety & Claims (RISC) Software -Insurance Reserve Total 1910.7020.2127 Trsf Self Ins -Finance 1910 .7021 .2127 Frm Rate Stab-Finance Rate Stabilization Funding for one new ERP Project Manager position (extended to . Dec 31, 2020) Total 1910.7021.2127 Frm Rate Stab -Finance 1911 .2127.0000 Trsf frm Res -Finance Cont. Studies Res . funding for consulting services for OPG reassessment value . Total 1911.2127.0000 Trsf frm Res -Finance 1920.7505.2127 Trsf frm FGT -Finance Federal Gas Tax Funding of data support for continued improvement to the City's data for AMP purposes . Federal Gas Tax Fund ing for AMP (Phase 3) -completion of Data Governance Policy and Procedures Federal Gas Tax Funding for CityWide CPA module Total 1920.7505.2127 Trsf frm FGT -Finance 1920 .7600.2127 Trsf frm DCRF -Finance Development Charges Reserve funding for revised DC Bylaw and new Community Benefit Charge (CBC) Bylaw Development Charges Reserve funding for amendments to 2018 DC Background Study for the Notion Road Bridge Development Charges Reserve funding for ERP Project Manager position Total 1920.7600.2127 Trsf frm DCRF -Finance Total Transfers Net Expenses 339 Run Date : 6/10/20 1:38 PM 2020 Bud et (55,000) (55,000) (3,256,000) (30 ,000) (30 ,000) (4,000) (4 ,000) (85,400) (85,400) (27,930) (27 ,930) (36,000) (13,500) (8 ,600) (58,100) (60,000) (40,000) (54,600) (154 ,600) (360 ,030) 661,155 2133 Supply & Services 2018 Actuals Expenditures 1100 Salaries & Wages 229,227 1200 Overtime 1,735 1400 Employer Contributions 61,174 1800 Conferences 882 2110 Travel 959 2140 Telephones 1,838 2340 Seminars & Education 2,290 2370 Insurance Premium 1,849 2394 Recpt, Prom & Sp Events 224 2395 Memberships 641 2399 Outside Agency Serv 1,392 2479 Software/Hardware Maintenanc 0 5300 Stationery & Office Supplies 265 Total Expenditures 302,476 Revenues Total Revenues 0 Transfers to/from Reserves & R.F. Total Transfers 0 Net 302,476 City of Pickering 2020 Current Budget Approved Final 2019 2019 YTD Approved Actuals Budget 271,806 318,706 79 5,000 71,766 78,801 518 2,400 96 900 .1,051 1,584 2,763 3,600 1,849 1,849 224 400 1,028 1,265 1,496 1,600 0 850 502 1,000 353,178 417,955 0 0 0 0 353,178 417,955 340 Run Date: 6/10/20 1:35 PM 2020 INC./DEC. Approved % CHGE. Budget 2019 5,479 324,185 1.72% 0 5,000 0.00% 3,678 82,479 4.67% 0 2,400 0.00% 0 900 0.00% (174) 1,410 (10.98%) 0 3,600 0.00% 31 1,880 1.68% 0 400 0.00% 220 1,485 17.39% 0 1,600 0.00% 0 850 0.00% 0 1,000 0.00% 9,234 427,189 2.21% 0 0 0.00% 0 0 0.00% 9,234 427,189 2.21% City of Pickering 2020 Approved Background Information 2133 Supply & Services Expenditures 2133.1100.0000 Salaries & Wages Base Salaries and Wages Total 2133.1100.0000 Salaries & Wages 2133 .1200.0000 Overtime To meet service level/workload commitments and support implementation of new financial system. Total 2133.1200.0000 Overtime 2133.1400.0000 Employer Contributions This item includes mandatory deductions (CPP, El, EHT) and -employer provided benefits such as extended health and dental Total 2133.1400.0000 Employer Contributions 2133.1800.0000 Conferences Ontario Public Buyers Assoc . Supply Chain Management Association Total 2133.1800.0000 Conferences 2133 .2110.0000 Travel Parking & mileage Total 2133.2110.0000 Travel 2133 .2140 . 0000 Telephones Voice/ Data Internet Total 2133.2140.0000 Telephones 2133 .2340 .0000 Seminars & Education Ontario Public Buyers Association (OPBA) Seminars -Manager, S&S Ontario Public Buyers Association (OPBA) Seminars -Senior Purchasing Analyst Ontario Public Buyers Association (OPBA/SCMA) Seminars -Buyers (2) Total 2133.2340.0000 Seminars & Education 2133 .2370 .0000 Insurance Premium Annual cost of insurance policy that provides protection for municipal activities and property . (Policy coverage includes: liability, automobile and property). Total 2133.2370.0000 Insurance Premium 2133.2394.0000 Sp . Ev. Gen. Pub. Relatio Hosting an area Manager's Meeting and an OPBA Purchasing Seminar Total 2133.2394.0000 Sp. Ev. Gen. Pub. Relatio 2133.2395 .0000 Memberships Manager -Ontario Public Buyers Association (OPBA) Manager -Ontario Municipal Management Institute (OMMI) 341 Run Date: 6/10/20 1:38 PM 2020 Bud et 324 ,185 324,185 5,000 5,000 82.479 82.479 1,600 800 2.400 900 900 1,245 165 1.410 900 900 1,800 3,600 1,880 1,880 400 400 220 140 City of Pickering 2020 Approved Background Information 2133 Supply & Services Senior Purchasing Analyst -Ontario Public Buyers Association (OPBA) Buyer -Purchasing Management Association of Canada (PMAC) Buyers (2) -Ontario Public Buyers Association (OPBA) Total 2133.2395.0000 Memberships 2133.2399 .0000 Outside Agency Services Access Copyright fee -add digital copies Total 2133.2399.0000 Outside Agency Services 2133.2479 .0000 Sfwr/Hdwr Maint Contracts Maintenance -HRIS -new Total 2133.2479.0000 Sfwr/Hdwr Maint Contracts 2133 .5300 .0000 Stationery & Office Suppl General office supplies Total 2133.5300.0000 Stationery & Office Suppl Total Expenses Total Revenues Total Transfers Net Expenses 342 Run Date: 6/10/20 1 :38 PM 2020 Bud et 220 465 440 1,485 1,600 1,600 850 850 1,000 1,000 427,189 0 0 427,189 Fire Services Department 2018 Actuals Expenditures 1100 Salaries & Wages 11,101,606 1200 Overtime 266,889 1400 Employer Contributions 3,084,134 1800 Conferences 3,673 1900 Uniforms 165,153 2110 Travel 1,091 2131 Cellular Phones 14,098 2140 Telephones 66,661 2142 Dispatch Communications 909,393 2210 Advertising 0 2220 Subscription & Publications 0 2340 Seminars & Education 119,537 2370 Insurance Premium 66,951 2371 Ins. Deductible 0 2392 Consulting & Professional 2,105 2394 Recpt, Prom & Sp Events 5,261 2395 Memberships 4,398 2396 Photo, Mapping, Printing 0 2399 Outside Agency Serv 25,065 2435 Build Repairs & Mtce 132,038 2457 Veh -Repairs & Maintenance 204,648 2478 Misc Equip Repairs 38,794 2479 Software/Hardware Maintenanc 0 5300 Stationery & Office Supplies 2,928 5302 Forms 666 5320 Program Supplies 14,351 5510 Utilities -Water 11,110 5520 Utilities -Gas 24,848 5530 Utilities -Hydro 47,712 5900 Gas, Oil Tires 94,810 5902 Supplies & Tools 57,345 5973 Minor Furniture & Fixtures 4,594 5974 System & Software Upgrades 0 5978 Misc. Equipment 2,505 Total Expenditures 16,472,364 Revenues 1424 Sale of Services -Fire Prot. (106,450} 1623 Ont. Specific Grants (11,855) City of Pickering 2020 Current Budget Approved Final 2019 2019 YTD Approved Actuals Budget 11,522,961 11,380,983 182,654 300,000 3,115,036 3,029,957 3,023 7,000 212,689 186,000 2,213 1,000 13,408 19,600 63,909 72,321 968,634 953,649 0 1,000 531 2,000 114,000 116,000 66,951 66,951 0 2,000 9,112 144,000 6,337 6,300 4,739 6,375 0 1,000 22,737 1,000 138,406 122,721 178,098 169,500 49,303 59,500 0 329 4,636 4,400 402 1,500 16,517 18,000 10,480 13,340 23,528 27,726 46,518 72,710 88,558 94,379 40,170 56,300 9,919 8,000 0 32,666 30,803 25,000 16,946,272 17,003,207 (96,582) (120,000) (20,148) 0 344 Run Date: 6/10/20 2:04 PM 2020 INC./DEC. Approved % CHGE. Budget 2019 285,661 11,666,644 2.51% (75,000) 225,000 (25.00%) 262,259 3,292,216 8.66% 3,000 10,000 42.86% 14,000 200,000 7.53% 0 1,000 0.00% 0 19,600 0.00% (8,316) 64,005 (11.50%) 46,898 1,000,547 4.92% 0 1,000 0.00% 0 2,000 0.00% 4,500 120,500 3.88% 1,189 68,140 1.78% 0 2,000 0.00% (134,000) 10,000 (93.06%) 0 6,300 0.00% 0 6,375 0.00% 0 1,000 0.00% 0 1,000 0.00% 0 122,721 0.00% 0 169,500 0.00% (6,500) 53,000 (10.92%) 0 329 0.00% 0 4,400 0.00% 0 1,500 0.00% 0 18,000 0.00% 265 13,605 1.99% (1,500) 26,226 (5.41%) (10,000) 62,710 (13.75%) 0 94,379 0.00% 15,000 71,300 26.64% 0 8,000 0.00% (3,000) 29,666 (9.18%} 8,500 33,500 34.00% 402,956 17,406,163 2.37% 0 (120,000) 0.00% 0 0 0.00% Fire Services Department 2018 Actuals 1640 Other Agency Grts (5,000) 9990 Other Revenue (600) 9965 Cost Recoveries (273,519) 9980 Sponsorships No Tax 0 9985 Marketing Sponsorships 0 Total Revenues (397,424) Transfers to/from Reserves & R.F. 1920 Transfer to/(from) Reserve Fun 0 Total Transfers 0 Net 16,074,940 City of Pickering 2020 Current Budget Approved Final 2019 2019 YTD Approved Actuals Budget (20,197) 0 (609) 0 (271,231) (250,000) 0 (500) 0 (500) (408,767) (371,000) 0 (195,000) 0 (195,000) 16,537,505 16,437,207 345 Run Date: 6/10/20 2:04 PM 2020 INC./DEC. Approved % CHGE. Budget 2019 0 0 0.00% 0 0 0.00% 0 (250,000) 0.00% 0 (500) 0.00% 0 (500) 0.00% 0 (371,000) 0.00% 195,000 0 (100.00%). 195,000 0 (100.00%) 597,956 17,035,163 3.64% 2240 Fire Protection 2018 Actuals Expenditures 1100 Salaries & Wages 10,953,668 1200 Overtime 266,889 1400 Employer Contributions 3,068,508 1800 Conferences 3,673 1900 Uniforms 165,153 2110 Travel 1,091 2131 Cellular Phones 12,939 2140 Telephones 64,792 2142 Dispatch Communications 909,393 2210 Advertising 0 2220 Subscription & Publications 0 2340 Seminars & Education 119,537 2370 Insurance Premium 66,292 2371 Ins. Deductible 0 2392 Consulting & Professional 2,105 2394 Recpt, Prom & Sp Events 4,586 2395 Memberships 4,398 2396 Photo, Mapping, Printing 0 2399 Outside Agency Serv 25,065 2435 Build Repairs & Mtce 132,038 2457 Veh -Repairs & Maintenance 204,648 2478 Misc Equip Repairs 38,794 5300 Stationery & Office Supplies 2,928 5302 Forms 666 5320 Program Supplies 14,351 5510 Utilities -Water 11,110 5520 Utilities -Gas 24,848 5530 Utilities -Hydro 47,712 5900 Gas,. Oil Tires 94,810 5902 Supplies & Tools 56,734 5973 Minor Furniture & Fixtures 4,594 5974 System & Software Upgrades 0 5978 Misc. Equipment 2,505 Total Expenditures 16,303,827 Revenues 1424 Sale of Services -Fire Prot. (106,450) 1623 Ont. Specific Grants (11,855) 1640 other Agency Grts (5,000) City of Pickering 2020 Current Budget Approved Final 2019 2019 YTD Approved Actuals Budget 11,369,603 11,257,565 182,654 300,000 3,096,789 3,000,129 3,023 5,500 212,689 186,000 2,213 1,000 12,802 18,800 62,451 70,118 968,634 953,649 0 1,000 531 2,000 114,000 114,500 66,292 66,292 · 0 2,000 9,112 144,000 5,893 5,500 4,739 6,050 0 500 22,737 1,000 138,406 122,721 178,098 169,500 49,303 59,000 4,636 4,000 402 1,500 16,517 18,000 10,480 13,340 23,528 27,726 46,518 72,710 88,558 94,379 40,170 55,500 9,919 8,000 0 32,666 30,803 25,000 16,771,500 16,839,645 (96,582) (120,000) (20,148) 0 (20,197) 0 348 Run Date: 6/10/201:35 PM 2020 INC./DEC. Approved % CHGE. Budget 2019 281,771 11,539,336 2.50% (75,000) 225,000 (25.00%) 260,606 3,260,735 8.69% 3,000 8,500 54.55% 14,000 200,000 7.53% 0 1,000 0.00% 0 18,800 0.00% (7,993) 62,125 (11.40%) 46,898 1,000,547 4.92% 0 1,000 0.00% 0 2,000 0.00% 4,500 119,000 3.93% 1,178 67,470 1.78% 0 2,000 0.00% (134,000) 10,000 (93.06%) 0 5,500 0.00% 0 6,050 0.00% 0 500 0.00% 0 1,000 0.00% 0 122,721 0.00% 0 169,500 0.00% (6,500) 52,500 (11.02%) 0 4,000 0.00% 0 1,500 0.00% 0 18,000 0.00% 265 13,605 1.99% (1,500) 26,226 (5.41 %) (10,000) 62,710 (13.75%) 0 94,379 0.00% 15,000 70,500 27.03% 0 8,000 0.00% (3,000) 29,666 (9.18%) 8,500 33,500 34.00% 397,725 17,237,370 2.36% 0 (120,000) 0.00% 0 0 0.00% 0 0 0.00% 2240 Fire Protection 2018 Actuals 9990 Other Revenue (600) 9965 Cost Recoveries (123,519) 9980 Sponsorships No Tax 0 9985 Marketing Sponsorships 0 Total Revenues (247,424) Transfers to/from Reserves & R.F. 1920 Transfer to/(from) Reserve Fun 0 Total Transfers 0 Net 16,056,403 City of Pickering 2020 Current Budget Approved Final 2019 2019 YTD Approved Actuals Budget (609) 0 (121,231) (100,000) 0 (500) 0 (500) (258,767) (221,000) 0 (195,000) 0 (195,000) 16,512,733 16,423,645 349 Run Date: 6/10/20 1:35 PM 2020 INC./DEC. Approved % CHGE. Budget 2019 0 0 0.00% 0 (100,000) 0.00% 0 . (500) 0.00% 0 (500) 0.00% 0 (221,000) 0.00% 195,000 0 (100.00%) 195,000 0 (100.00%) 592,725 17,016,370 3.61% City of Pickering 2020 Approved Background Information 2240 Fire Protection Total 2240.2340.0000 Seminars & Education 2240 .2370.0000 Insurance Premium Annual cost of insurance policy that provides protection for municipal activities and property. (Policy coverage includes: liability, automobile and property). Total 2240.2370.0000 Insurance Premium 2240.2371 .0000 Insurance Deductible Insurance Deductible Total 2240.2371.0000 Insurance Deductible 2240.2392.0000 Consulting & Professional General Consulting, Legal Consulting and Prosecutions Psychology Consultant Retainer Total 2240.2392.0000 Consulting & Professional 2240.2394.0000 Recpt,Prom . & Sp .Ev .,Gen Hosting visitors, Fire Marshal, special guests Host Durham Region Fire Chiefs , Training, Fire Prevention,TAPP-C meetings Meals (conferences, seminars, out of town meetings, events) Fire Services Bars/Medals Service Awards Total 2240.2394.0000 Recpt,Prom. & Sp.Ev.,Gen 2240.2395.0000 Memberships Ontario Association of Fire Chiefs International Fire Chiefs Association Canadian Assoc. of Fire Chiefs Durham Regional Fire Chiefs Ontario Association of Fire Training Officers Municipal Fire Prevention Officers Association Municipal Fire Service Instructors Association Wood Energy Technical Transfer (WETT) Designation Building Code Identification Number International Society of Fire Instructors National Fire Prevention Association National Association of Fire Investigators Association of Fire Engineers Fire Marshal's Fire Safety Council Certified Municipal Mgr. (CMM) Annual membership Total 2240.2395.0000 Memberships 2240 .2396.0000 Photo,Mapping,Printing Printing map book updates Total 2240.2396.0000 Photo,Mapping,Printing 2240.2399.0000 Outside Agency Services 352 Run Date : 6/10/20 1 :38 PM 2020 Bud et 119,000 67,470 · 67,470 2,000 2 ,000 5,000 5,000 10,000 1,000 1,000 2,000 1,500 5,500 750 275 275 250 150 150 150 150 350 350 2,000 300 200 100 600 6,050 500 500 C i ty of Pickering 2020 Approved Background Information 2240 Fire Protection Retainer fee for Critical Incident Stress Support Team Total 2240 .2399.0000 Outside Agency Services 2240.2435 .0000 Building Repairs & Mainte HVAC repairs & maintenance Emergency generators (repairs, service & fuel tank flushing) Apparatus bay doors repairs & maint. Pump out of hazardous waste tank (Stations #4 and #6) Recycling pick-up (Stations #2 , #4 , #5 , and #6) Electrical repairs Plumbing repairs Diesel exhaust removal systems repairs & maint. Pest control Cleaning products Cleaning contract for Administration Office -(Station #5) General repairs Drinking water (for Station #4) Bio-hazardous waste removal Lighting LED upgrades Total 2240.2435.0000 Building Repairs & Mainte 2240.2457.0000 Vehicle-Repair & Maintena Pump , engine and aerial device repairs Annual testing and certification for aerial devices PMVCI (periodic motor vehicle certification inspections). Annual pump tests Total 2240.2457.0000 Vehicle-Repair & Maintena 2240.2478 .0000 Misc.Equipment Repairs & Portable and mobile radio repairs Extrication tools repair and testing SCBA air cylinder hydrostatic testing Fire extinguisher repairs, refill and testing Breathing air compressor maintenance & testing Traffic pre-emption system maintenance/repairs Functional Testing SCBA Ground ladder testing Thermal Imaging Camera repairs Gas detector calib ration & repairs Repairs to Fi re Prevention props Repairs to fitness equipment Fire hose testing and repairs 353 Run Date: 6/10/20 1 :38 PM 2020 Bud et 1 ,000 1 ,000 12,000 8 ,000 10,000 2,500 5,000 9,000 9,000 10,000 3 ,000 10,000 13,221 20 ,000 1,000 5,000 5,000 122,721 121,300 4,400 36,800 7,000 169,500 10,000 3 ,000 500 2 ,500 15,000 2,000 5,500 4,500 1 ,500 1,000 1,500 3,000 1 ,000 City of Pickering 2020 Approved Background Information 2240 Fire Protection Repairs to turnout gear extractor wash machines Total 2240.2478.0000 Misc.Equipment Repairs & 2240.5300.0000 Stationery & Office Suppl General office supplies Total 2240.5300.0000 Stationery & Office Suppl 2240.5302 .0000 Forms Fire Services Forms Total 2240.5302.0000 Forms 2240.5320.0000 Program Supplies Fire Prevention Program (Home Safety, Buddy Bear, F/P Week , Canada Day) Total 2240.5320.0000 Program Supplies 2240.5510.0000 Utilities -Water Budget based on 2019 projected actuals and regional water rate increase in 2020 Total 2240.5510.0000 Utilities -Water 2240.5520.0000 Utilities -Gas Budget based on 2019 projected actuals Total 2240.5520.0000 Utilities -Gas 2240.5530.0000 Utilities -Hydro Budget based on 2019 projected actuals and rate increase in 2020 Total 2240.5530.0000 Utilities -Hydro 2240.5900.0000 Gas , Oil, Tires Etc. Fuel: Diesel 59,140 litres@ $1.11/litre Fuel : Unleaded 13,670 litres@ $1 .03/litre Oil changes and tires Total 2240.5900.0000 Gas, Oil, Tires Etc. 2240 .5902 .0000 Supplies & Tools Fire hose/nozzles/couplings Spill absorbent materials Miscellaneous supplies Rescue equipment & tools Station Supplies · Ladder (replacement) Firefighting foam Miscellaneous medical response equipment Food and drink for emergency situations Equipment and Supplies (OPG MOU) Total 2240.5902.0000 Supplies & Tools 2240.5973 .0000 Furniture & Fixtures Replacement of furniture (Stations #2, #4, #5, and #6) 354 Run Date: 6/10/20 1 :38 PM 2020 Bud et 1 ,500 52,500 4 ,000 4,000 1,500 1,500 1 a,000· 18,000 13,605 13,605 26,226 26 ,226 62,710 62,710 65,645 14,080 14,654 94 ,379 4,000 4,000 5,000 15,000 5,000 1,500 5,500 8 ,000 5,500 17,000 70,500 8,000 City of Pickering 2020 Approved Background Information 2240 Fire Protection Total 2240.5973.0000 Furniture & Fixtures 2240.5974 .0000 System & Software Upgrade Maintenance -HRIS Total 2240.5974.0000 System & Software Upgrade 2240.5978.0000 Misc . Equipment New intersection traffic pre-emption device installation SCBA parts for repairs Fitness equipment replacement Accountability system ID tags Fire Extinguisher Training Prop Total 2240.5978.0000 Misc. Equipment Total Expenses Revenues 1424.0000 .0000 SALE OF SERVICES -FIRE Highway 401 related calls: fire alarm inspections and reports, and extinguishing grass fires on railway lines. Fire vehicle & crew for production of movies Total 1424.0000.0000 SALE OF SERVICES -FIRE 2240.9965.0000 Cost Recoveries Re-imbursement from OPG -Annual Fire Inspection Service Re-imbursement from OPG -Annual Fire Safety Plan Review and Approval Re-imbursement from OPG -Joint Fire Training Re-imbursement from OPG -Specialized Training for City of Pickering Fire Fighters Reimbursement from OPG -Equipment & Supplies Total 2240 .9965.0000 Cost Recoveries 2240 .9980.0000 Sponsorships Fire Services Sponsorships (No tax) Total 2240.9980.0000 Sponsorships 2240.9985.0000 Marketing Sponsors Fire Services Marketing Sponsorships (Taxable) Total 2240.9985.0000 Marketing Sponsors Total Revenues Total Transfers Net Expenses 355 Run Date: 6/10/20 1:38 PM 2020 Bud et 8,000 29 ,666 29,666 15,000 3,500 1,500 1,000 12,500 33 ,500 17,237,370 (120,000) (120 ,000) (5,000) (3,000) (60 ,000) (15,000) (17 ,000) (100,000) (500) (500) (500) (500) (221,000) 0 17,016,370 2241 Emergency Operations 2018 Actuals Expenditures 1100 Salaries & Wages 147,938 1400 Employer Contributions 15,626 1800 Conferences 0 2131 Cellular Phones . 1,159 2140 Telephones 1,869 2340 Seminars & Education 0 2370 Insurance Premium 659 2394 Reep!, Prom &· Sp Events 675 2395 Memberships 0 2396 Photo, Mapping, Printing 0 2478 Misc Equip Repairs 0 2479 Software/Hardware Maintenam 0 5300 Stationery & Office Supplies 0 5902 Supplies & Tools 611 Total Expenditures 168,537 Revenues 9965 Cost Recoveries (150,000) Total Revenues (150,000) Transfers to/from Reserves & R.F. Total Transfers 0 Net 18,537 City of Pickering 2020 Current Budget Approved Final 2019 2019 YTD Approved Actuals Budget 153,358 123,418 18,247 29,828 0 1,500 606 800 1,458 2,203 0 1,500 659 659 444 800 0 325 0 500 0 500 0 329 0 400 0 800 174,772 163,562 (150,000) (150,000) (150,000) (150,000) 0 0 24,772 13,562 356 Run Date: 6/10/20 1:35 PM 2020 INC./DEC. Approved % CHGE. Budget 2019 3,890 127,308 3.15% 1,653 31,481 5.54% 0 1,500 0.00% 0 800 0.00% (323) 1,880 (14.66%) 0 1,500 0.00% 11 670 1.67% 0 800 0.00% 0 325 0.00% 0 500 0.00% 0 500 0.00% 0 329 0.00% 0 400 0.00% 0 800 0.00% 5,231 168,793 3.20% 0 (150,000) 0.00% 0 (150,000) 0.00% 0 0 0.00% 5,231 18,793 38.57% 2241 Emergency Operations Expenditures 2241 .1100.0000 Salaries & Wages Base Salaries and Wages City of Pickering 2020 Approved Background Information Total 2241.1100.0000 Salaries & Wages 2241 .1400.0000 Employer Contributions This item includes mandatory deductions (CPP , El , EHT) and employer provided benefits such as extended health and dental Total 2241.1400 .0000 Employer Contributions 2241 .1800.0000 Conferences Conference on Disaster Management Total 2241.1800.0000 Conferences 2241.2131 .0000 Cellular Phones Smartphone -Deputy Fire Chief Total 2241.2131.0000 Cellular Phones 2241 .2140 .0000 Telephones Run Dat~: 6/10/20 1 :38 PM 2020 Bud et 127,308 127,308 31 ,481 31,481 1 ,500 1,500 800 800 Cable 1,320 Voice / Data 500 Internet Total 2241.2140 .0000 Telephones 2241.2340.0000 Sem inars & Education Emergency Management courses -MECG Total 2241.2340.0000 Seminars & Education 2241 .2370.0000 Insurance Premium Annual cost of insurance policy that provides protection for municipal activities and property. (Policy coverage includes : liability, automobile and property). Total 2241.2370.0000 Insurance Premium 2241.2394 .0000 Rec/Prom & Sp .Ev./Gen P/R Emergency training sessions --Refreshments & other incidental requirements Total 2241.2394.0000 Rec/Prom & Sp.Ev./Gen P/R 2241 .2395.0000 Memberships Ontario Association of Emergency Managers Emergency Management Accreditation Prg. Total 2241.2395.0000 Memberships 2241 .2396.0000 Photo, Mapping , Printing Photo, Mapping , Printing Total 2241.2396.0000 Photo, Mapping, Printing 2241 .2478 .0000 Misc Equip Rep & Maint General equipment repairs . 357 60 1,880 1,500 1,500 670 670 800 800 125 200 325 500 500 500 2241 Emergency Operations City of Pickering 2020 Approved Background Information Total 2241.2478.0000 Misc Equip Rep & Maint 2241.2479.0000 Sfwr/Hdwr M.aint Contracts Maintenance -HRIS -new Total 2241.2479.0000 Sfwr/Hdwr Maint Contracts 2241.5300.0000 Stationery & Office Suppl General office supplies Total 2241.5300.0000 Stationery & Office Suppl 2241.5902 .0000 Supplies & Tools Misc. equipment/tools Total 2241.5902.0000 Supplies & Tools Total Expenses Revenues 2241 .9965.0000 Cost Recoveries OPG Grant for Emergency Management Coordinator's Salary Total 2241.9965.0000 Cost Recoveries Total Revenues Total Transfers Net Expenses 358 Run Date: 6/10/20 1 :38 PM 2020 Bud et 500 329 329 400 400 800 800 168,793 (150,000) (150 ,000) (150,000) 0 18,793 w u, co . Cc6t 0f- p](KERJNG r . '- .. 1· 'I Supervisor, Human Resources ,_ (1-N UFT) ,__ --- '- The Corporation of the City of Pickering Human Resources Department /' . 'I Chief Administrative Officer Director, ·Human Resources (1 -NUFT) '-.I ' Humar-i Resources Assis~ant - (1 -NUFT) ,, .. Supervisor, Employee Recruitment Specialist Services (1-NUFT) '- (1-NUFT) Human Resources Human Resources ' Associate Associate (2-NUFTj (1-NUFT) Authorized by: uU Chief Administrative Officer January 1, 2020 -Employee Complement 10 Non-Union Full-Time (NUFT) I ' r Manager, People & Culture (1 -NUFT) .,, I /' "'I Human Resources Specialist (1 -NUFT) "\.. Chart No. 10 Human Resources Department 2018 Actuals Expenditures 1100 Salaries & Wages 575,116 1200 Overtime 557 1400 Employer Contributions 169,100 1700 Employee Recognition & Appre 37,689 1800 Conferences 1,536 2110 Travel 174 2131 Cellular Phones 1,176 2140 Telephones 2,405 2210 Advertising 9,157 2340 Seminars & Education 1,607 2341 Corporate Training 39,976 2370 Insurance Premium 4,171 2392 Consulting & Professional 100,930 2394 Recpt, Prom & Sp Events 1,333 2395 Memberships 989 2396 Photo, Mapping, Printing 0 2479 Software/Hardware Maintenanc 14,972 5300 Stationery & Office Supplies 1,074 5380 Educational/Promotional Mater 340 5390 Workplace Accommodations 214 Total Expenditures 962,516 Revenues 9954 Netted Revenue 0 Total Revenues 0 Transfers to/from Reserves & R.F. 1920 Transfer to/(from) Reserve Fun (29,715) Total Transfers (29,715) Net 932,801 City of Pickering 2020 Current Budget Approved Final 2019 2019 YTD Approved Actuals Budget 630,154 704,457 2,675 1,600 185,236 200,502 50,739 36,150 1,598 2,450 156 850 467 1,300 2,127 3,133 8,567 10,000 45 4,000 28,721 42,000 4,171 4,171 121,452 108,000 1,823 2,500 1,091 1,210 0 300 34,908 19,819 1,072 1,500 1,026 1,000 150 900 1,076,178 1,145,842 0 0 0 0 (20,172) (32,000) (20,172) (32,000) 1,056,006 1,113,842 360 Run Date: 6/10/20 2:04 PM 2020 INC./DEC. Approved % CHGE. Budget 2019 190,146 894,603 26.99% 0 1,600 0.00% 57,720 258,222 28.79% 6,100 42,250 16.87% 0 2,450 0.00% 0 850 0.00% 0 1,300 0.00% 392 3,525 12.51% 0 10,000 0.00% 2,500 6,500 62.50% (4,500) 37,500 (10.71%) 74 4,245 1.77% 1,000 109,000 0.93% 0 2,500 0.00% 1,000 2,210 82.64% (300) 0 (100.00%) 0 19,819 0.00% 0 1,500 0.00% 0 1,000 0.00% 0 900 0.00% 254,132 1,399,974 22.18% (213,700) (213,700) 0.00% (213,700) (213,700) 0.00% 4,500 (27,500) (14.06%) 4,500 (27,500) (14.06%) 44,932 1,158,774 4.03% 2139 Human Resources 2018 Actuals Expenditures 1100 Salaries & Wages 466,950 1200 Overtime 240 1400 Employer Contributions 138,364 1700 Employee Recognition & Appre 37,689 1800 Conferences 1,516 2110 Travel 174 2131 Cellular Phones 1,176 2140 Telephones 2,037 2210 Advertising 9,157 2340 Seminars & Education 1,587 2341 Corporate Training 10,261 2370 Insurance Premium 3,442 2392 Consulting & Professional 100,930 2394 Reep!, Prom & Sp Events 1,333 2395 Memberships 854 2396 Photo, Mapping, Printing 0 2479 Software/Hardware Maintenanc 9,523 5300 Stationery & Office Supplies 1,074 Total Expenditures 786,307 Revenues 9954 Netted Revenue 0 Total Revenues 0 Transfers to/from Reserves & R.F. Total Transfers 0 Net 786,307 City of Pickering 2020 Current Budget Approved Final 2019 2019 YTD Approved Actuals Budget 527,374 605,441 1,871 1,000 146,615 173,193 50,739 36,150 1,598 1,800 156 300 467 1,300 1,862 2,750 8,567 10,000 45 3,500 8,548 10,000 3,442 3,442 121,452 108,000 1,823 2,500 951 740 0 300 31,542 14,055 1,072 1,200 908,124 975,671 0 0 0 0 0 0 908,124 975,671 363 Run Date: 6/10/20 1 :35 PM 2020 INC./DEC. Approved % CHGE. Budget 2019 185,206 790,647 30.59% 0 1,000 0.00% 55,564 228,757 32.08% 6,100 42,250 16.87% 0 1,800 0.00% 0 300 0.00% 0 1,300 0.00% 425 3,175 15.45% 0 10,000 0.00% 2,500 6,000 71.43% 0 10,000 0.00% 63 3,505 1.83% 1,000 109,000 0.93% 0 2,500. 0.00% 1,000 1,740 135.14% (300) 0 (100.00%) 0 14,055 0.00% 0 1,200 0.00% 251,558 1,227,229 25.78% (213,700) (213,700) 0.00% (213,700) (213,700) 0.00% 0 0 0.00% 37,858 1,013,529 3.88% City of Pickering 2020 Approved Background Information 2139 Human Resources Expenditures 2139.1100.0000 Salaries & Wages Base Salaries and Wages Transfer of one full time Manager of People & Culture position from 2745 (Library) Transfer of one full time Human Resources Specialist pos ition from 2745 (Library) Total 2139.1100.0000 Salaries & Wages 2139.1200.0000 Overtime To meet service level/workload commitments Total 2139.1200.0000 Overtime 2139 .1400.0000 Employer Contributions This item includes mandatory deductions (CPP, El, EHT) and employer provided benefits such as extended health and dental Benefits related to transfer of one full time Manager of People & Culture position from 2745 (Library) Benefits related to transfer of one full time Human Resources Specialist position from 2745 (Library) Total .2139 .1400.0000 Employer Contributions 2139 .1700.0000 Employee Recog'n & Apprec Annual Luncheon Retirements -Union Affiliated Retirements -Non -Union Employee Recognition Program Awards Total 2139.1700.0000 Employee Recog'n & Apprec 2139 .1800.0000 Conferences Benefits & HR Conferences Total 2139.1800.0000 Conferences 2139 .2110.0000 Travel Parking and mileage Total 2139.2110.0000 Travel 2139.2131.0000 Cellular Phones Annual smartphone charges -Division Head, Human Resources Total 2139.2131.0000 Cellular Phones 2139.2140.0000 Voice/ Data Internet Telephones Total 2139.2140.0000 Telephones 2139.2210 .0000 Advertising 364 Run Date: 6/10/20 ,1:38 PM 2020 Bud et 631,062 91,125 68,460 790,647 1,000 1,000 181,142 25,219 22,396 228,757 15,000 2,750 4,500 20,000 42,250 1,800 1,800 300 300 1,300 1,300 2 ,805 370 3 ,175 City of Pickering 2020 Approved Background Information 2139 Human Resources Funds allocated for possible retirements, turnover of staff and advertising cost increases Total 2139.2210.0000 Advertising 2139 .2340 .0000 Semina rs & Education Training HR staff to maintain knowledge of new legislative requirements and emerging HR issues Employee education assistance under Policy (HUR 160) Training funds -transfer from 2745 (Library) Total 2139.2340.0000 Seminars & Education 2139.2341 .0000 Corporate training Corporate Training : ongoing team-building and corporate training initiatives Total 2139.2341.0000 Corporate Training 2139 .2370.0000 Insurance Prem i um Annual cost of insura·nce policy that provides protection for municipal activities and property. (Policy coverage includes: liability, automobile and property). Total 2139.2370.0000 Insurance Premium 2139 .2392.0000 Consulting & Professional Employee & Family Assistance Program (Council Resolution 441/97) Pre-employment Medicals (City Policy HUR-040) Pre-employment Criminal Reference Checks (City Policy HUR-040) Ongoing legal advice Requested Medical Certificates Provision for legal counsel -transfer from 2745 (Library) Total 2139.2392.0000 Consulting & Professional 2139 .2394.0000 Recpt,Prom . & Sp .Ev .,Gen Employee Relations/flowers/condolences Total 2139.2394.0000 Recpt,Prom. & Sp.Ev.,Gen 2139.2395 .0000 Memberships HRPAO (Coordinator, Human Resources) HRPAO (Employment & Compensation Specialist) HRPAO (Mgr. of People & Culture and Human Resources Specialist) -transfer from 2745 (Library) Total 2139.2395.0000 Memberships 2139 .2479.0000 Sfwr/Hdwr Maint Contracts Maintenance -HRIS -new Maintenance -Organization Software Maintenance -Info : HR Maintenance -Parklane 365 Run Date: 6/10/201:38 PM 2020 Bud et 10,000 10 ,000 1 ,500 2 ,000 2 ,500 6,000 10,000 10 ,000 3,505 3,505 60 ,000 3,000 4,000 37,000 2 ,000 3,000 109,000 2 ,500 2,500 320 420 1,000 1,740 2 ,1 93 512 8 ,300 3,050 2139 Human Resources City of Pickeri ng 2020 Approved Background Information Total 2139.2479.0000 Sfwr/Hdwr Maint Contracts 2139 .5300 .0000 Stationery & Office Suppl General office suppl ies Total 2139.5300.0000 Stationery & Office Suppl Total Expenses Revenues 2139 .9954 .0000 Netted Revenue Salary and Benefits -City (cost recovery from Library) Training -City (cost recovery from Library) Legal Advice -City (cost recovery from Library) HRPAO Memberships -City (cost recovery from Library) Total 2139.9954.0000 Netted Revenue Total Revenues Total Transfers . Net Expenses 366 Run Date: 6/10/20 1:38 PM 2020 Bud et 14,055 1,200 1 ,200 1,227,229 (207,200) (2 ,500) (3,000) (1 ,000) (213,700) (213,700) 0 1,013,529 2141 Health & Safety 2018 Actuals Expenditures 1100 Salaries & Wages 108,166 1200 Overtime 317 1400 Employer Contributions 30,736 1800 Conferences 20 2110 Travel 0 2140 Telephones 368 2340 Seminars & Education 20 2341 Corporate Training 29,715 2370 Insurance Premium 729 2395 Memberships 135 2479 Software/Hardware Maintenanc 5,449 5300 Stationery & Office Supplies 0 5380 Educational/Promotional Mater 340 5390 Workplace Accommodations 214 Total Expenditures 176,209 Revenues Total Revenues 0 Transfers to/from Reserves & R.F. 1920 Transfer to/(from) Reserve Fun (29,715) Total Transfers (29,715) Net 146,494 City of Pickering 2020 Current Budget Approved Final 2019 2019 YTD Approved Actuals Budget 102,780 99,016 804 600 38,621 27,309 0 650 0 550 265 383 0 500 20,173 32,000 729 729 140 470 3,366 5,764 0 300 1,026 1,000 150 900 168,054 170,171 0 0 (20,172) (32,000) (20,172) (32,000) 147,882 138,171 367 Run Date: 6/10/201:35 PM 2020 INC./DEC. Approved % CHGE. Budget 2019 4,940 103,956 4.99% 0 600 0.00% 2,156 29,465 7.89% 0 650 0.00% 0 550 0.00% (33) 350 (8.62%) 0 500 0.00% (4,500) 27,500 (14.06%) 11 740 1.51% 0 470 0.00% 0 5,764 0.00% 0 300 0.00% 0 1,000 0.00% 0 900 0.00% 2,574 172,745 1.51% 0 0 0.00% 4,500 (27,500) (14.06%) 4,500 (27,500) (14.06%) 7,074 145,245 5.12% City of Pickering 2020 Approved Background Information 2141 Health & Safety MSDS Online (H&S compliance) Maintenance -HRIS -new Total 2141.2479.0000 SFWR/HDWR MAINT CONTRACTS 2141.5300.0000 Stationery & Office Suppl General office supplies Total 2141.5300.0000 Stationery & Office Suppl 2141 .5380 .0000 Educational Mate rial Training & Educational Material Total 2141.5380.0000 Educational Material 2141.5390 .0000 Workplace Accommodation Physical Demands Analyses (assist ive devices, workplace modifications for injured workers) Total Expenses Total Revenues Transfers Total 2141.5390.0000 Workplace Accommodation 1920 .7705.2141 Trsf frm WSIB-Hlth & Sfty Transfer from WSIB reserve to offset the cost associated with the additional Health & Safety Training Total Transfers Net Expenses Total 1920.7705.2141 Trsf frm WSIB-Hlth & Sfty 369 Run Date: 6/10/20 1 :38 PM 2020 Bud et 5 ,500 264 5 ,764 300 300 1,000 1,000 900 900 172,745 0 (27,500) (27 ,500) (27,500) 145,245 Library 2018 Actuals Expenditures 1100 Salaries & Wages 3,437,897 1200 Overtime 2,190 1400 Employer Contributions 900,902 1700 Employee Recognition & Appre 2,239 1800 Conferences 13,106 1900 Uniforms 1,613 2110 Travel 7,358 2121 Postage 2,823 2122 Freight, Express & Cartage 564 2131 Cellular Phones 9,096 2140 Telephones 56,502 2210 Advertising 15,586 2320 Legal Services 12,195 2340 Seminars & Education 18,602 2365 Purch Prnting/Broch/News Ltr 9,600 2370 Insurance Premium 23,918 2371 Ins. Deductible 0 2392 Consulting & Professional 100,783 2394 Recpt, Prom & Sp Events 11,521 2395 Memberships 5,473 2399 Outside Agency Serv 43,975 2435 Build Repairs & Mtce 195,172 2457 Veh -Repairs & Maintenance 1,767 2478 Misc Equip Repairs 40,898 2479 Software/Hardware Maintenan< 109,304 5300 Stationery & Office Supplies 18,380 5303 Catalogue Processing Supp 4,668 5310 Lib Materials 234,355 5320 Program Supplies 29,507 5510 Utilities -Water 16,403 5520 Utilities -Gas 31,300 5530 Utilities -Hydro 171,563 5900 Gas, Oil Tires 2,049 5902 Supplies & Tools 4,998 5973 Minor Furniture & Fixtures 33,325 5974 System & Software Upgrades 0 5975 Hardware Replacements 40,834 Total Expenditures 5,610,466 City of Pickering 2020 Current Budget Approved Final 2019 2019 YTD Approved Actuals Budget 3,580,858 3,619,991 1,736 1,310 926,907 936,816 3,535 3,000 8,694 9,000 2,117 2,300 6,341 6,000 3,505 2,800 1,427 350 7,997 12,205 52,266 65,710 18,182 18,000 11,426 7,500 22,475 22,500 5,389 5,500 23,918 23,918 0 2,060 17,108 14,350 10,910 9,000 7,482 5,380 40,343 47,700 254,401 247,887 685 2,000 38,316 46,250 132,198 132,765 19,124 20,200 5,512 5,000 262,455 252,290 34,550 30,750 15,374 17,250 31,741 35,961 170,070 214,000 1,639 2,843 3,863 3,500 3,509 5,000 40,704 40,000 18,036 19,500 5,784,793 5,890,526 371 Run Date: 6/10/20 2:04 PM 2020 INC./DEC. Approved % CHGE. Budget 2019 (193,764) 3,426,227 (5.35%) (1,310) 0 (100.00%) (22,380) 914,436 (2.39%) 0 3,000 0.00% (2,500) 6,500 (27.78%) 0 2,300 0.00% 0 6,000 0.00% 1,000 3,800 35.71% 650 1,000 185.71% (1,205) 11,000 (9.87%) (8,434) 57,276 (12.84%) (4,000) 14,000 (22.22%) (7,500) 0 (100.00%) (5,600) 16,900 (24.89%) 3,500 9,000 63.64% 427 24,345 1.79% 0 2,000 0.00% 17,500 31,850 121.95% 0 9,000 0.00% 2,120 7,500 39.41% 227,060 274,760 476.02% 12,502 260,389 5.04% 0 2,000 0.00% (3,000) 43,250 (6.49%) 55,076 187,841 41.48% (1,200) 19,000 (5.94%) 0 5,000 0.00% 21,000 273,290 8.32% 5,000 35,750 16.26% 690 17,940 4.00% (1,500) 34,461 (4.17%) (25,000) 189,000 (11.68%) (711) 2,132 (25.01%) 0 3,500 0.00% 0 5,000 0.00% (40,000) 0 (100.00%) 26,575 46,075 136.28% 54,996 5,945,522 0.93% Library 2018 Actuals Revenues 1529 Fines -Library Matis. (74,033) 1580 Misc. -Photocopies Lib. (42,670) 1592 Donations (9,023) 1610 Federal Grant (3,637) 1623 Ont. Specific Grants (138,049) 9916 Vending Machines (1,934) 9933 Rentals -Mtg. Room/Public (3,373) 9990 Other Misc Revenue (5,687) Total Revenues (278,406) Transfers to/from Reserves & R.F. 1910 Transfer to/(from) Reserve 0 1920 Transfer to/(from) Reserve Fun (45,589) Total Transfers (45,589) Net 5,286,471 City of Pickering 2020 Current Budget Approved Final 2019 2019 YTD Approved Actuals Budget (64,408) (85,000) (44,411) (49,000) (6,168) (16,000) (6,728) 0 (135,345) (106,425) (2,175) (2,500) (4,532) (8,500) (9,067) (5,500) (272,834) (272,925) 0 80,000 0 0 0 80,000 5,511,959 5,697,601 372 Run Date: 6/10/20 2:04 PM 2020 INC./DEC. Approved % CHGE. Budget 2019 5,000 (80,000) (5.88%) (3,000) (52,000) 6.12% 0 (16,000) 0.00% 0 0 0.00% 0 (106,425) 0.00% 0 (2,500) 0.00% 500 (8,000) (5~88%) (500) (6,000) 9.09% 2,000 (270,925) (0.73%) (17,000) 63,000 (21.25%) 0 0 0.00% (17,000) 63,000 (21.25%) 39,996 5,737,597 0.70% 27 45 Libraries 2018 Actuals Expenditures 1100 Salaries & Wages 3,437,897 1200 Overtime 2,190 1400 Employer Contributions 900,902 1700 Employee Recognition & Appre 2,239 1800 Conferences 13,106 1900 Uniforms 1,613 2110 Travel 7,358 2121 Postage 2,823 2122 Freight, Express & Cartage 564 2131 Cellular Phones 9,096 2140 Telephones 56,502 2210 Advertising 15,586 2320 Legal Services 12,195 2340 Seminars & Education 18,602 2365 Purch Prnting/Broch/News Ur 9,600 2370 Insurance Premium 23,918 2371 Ins. Deductible 0 2392 Consulting & Professional 100,783 2394 Recpt, Prom & Sp Events 11,521 2395 Memberships 5,473 2399 Outside Agency Serv 43,975 2435 Build Repairs & Mtce 195,172 2457 Veh -Repairs & Maintenance 1,767 2478 Misc Equip Repairs 40,898 2479 Software/Hardware Maintenanc 109,304 5300 Stationery & Office Supplies 18,380 5303 Catalogue Processing Supp 4,668 5310 Lib Materials 234,355 5320 Program Supplies 29,507 5510 Utilities -Water 16,403 5520 Utilities -Gas 31,300 5530 Utilities -Hydro 171,563 5900 Gas, Oil Tires 2,049 5902 Supplies & Tools 4,998 5973 Minor Furniture & Fixtures 33,325 597 4 System & Software Upgrades 0 5975 Hardware Replacements 40,834 Total Expenditures 5,610,466 City of Pickering 2020 Current Budget Approved Final 2019 2019 YTD Approved Actuals Budget 3,580,858 3,619,991 1,736 1,310 926,907 936,816 3,535 3,000 8,694 9,000 2,117 2,300 6,341 6,000 3,505 2,800 . 1,427 350. 7,997 12,205 52,266 65,710 18,182 18,000 11,426 7,500 22,475 22,500 5,389 5,500 23,918 23,918 0 2,000 17,108 14,350 10,910 9,000 7,482 5,380 40,343 47,700 254,401 247,887 685 2,000 38,316 46,250 132,198 132,765 19,124 20,200 5,512 5,000 262,455 252,290 34,550 30,750 15,374 17,250 31,741 35,961 170,070 214,000 1,639 2,843 3,863 3,500 3,509 5,000 40,704 40,000 18,036 1.9,500 5,784,793 5,890,526 377 Run Date: 6/10/20 1:35 PM 2020 INC./DEC. Approved % CHGE. Budget 2019 (193,764) 3,426,227 (5.35%) (1,310) 0 (100.00%) (22,380) 914,436 (2.39%) 0 3,000 0.00% (2,500) 6,500 (27.78%) 0 2,300 0.00% 0 6,000 0.00% 1,000 3,800 35.71% 650 1,000 185.71% (1,205) 11,000 (9.87%) (8,434) 57,276 (12.84%) (4,000) 14,000 (22.22%) (7,500) 0 (100.00%) (5,600) 16,900 (24.89%) 3,500 9,000 63.64% 427 24,345 1.79% 0 2,000 0.00% 17,500 31,850 121.95% 0 9,000 0.00% 2,120 7,500 39.41% 227,060 274,760 476.02% 12,502 260,389 5.04% 0 2,000 0.00% (3,000) 43,250 (6.49%) 55,076 187,841 41.48% (1,200) 19,000 (5.94%) 0 5,000 0.00% 21,000 273,290 8.32% 5,000 35,750 16.26% 690 17,940 4.00% (1,500) 34,461 (4.17%) (25,000) 189,000 (11.68%) (711) 2,132 (25.01%) 0 3,500 0.00% 0 5,000 0.00% (40,000) 0 (100.00%) 26,575 46,075 136.28% 54,996 5,945,522 0.93% 27 45 Libraries 2018 Actuals Revenues 1529 Fines -Library Matis. (74,033) 1580 Misc. -Photocopies Lib. (42,670) 1592 Donations (9,023) 1610 Federal Grant (3,637) 1623 Ont. Specific Grants (138,049) 9916 Vending Machines (1,934) 9933 Rentals -Mtg. Room/Public (3,373) 9990 Other Misc Revenue (5,687) Total Revenues (278,406) Transfers to/from Reserves & R.F. 1910 Transfer to/(from) Reserve 0 1920 Transfer to/(from) Reserve Fun (45,589) Total Transfers (45,589) Net 5,286,471 City of Pickering 2020 Current Budget Approved Final 2019 2019 YTD Approved Actuals Budget (64;408) (85,000) (44,411) (49,000) (6,168) (16,000) (6,728) 0 (135,345) (106,425) (2,175) (2,500) (4,532) (8,500) (9,067) (5,500) (272,834) (272,925) 0 80,000 0 0 0 80,000 5,511,959 5,697,601 378 Run Date: 6/10/201:35 PM 2020 INC./DEC. Approved % CHGE. Budget 2019 5,000 (80,000) (5.88%) (3,000) (52,000) 6.12% 0 (16,000) 0.00% 0 0 0.00% 0 (106,425) 0.00% 0 (2,500) 0.00% 500 (8,000) (5.88%) (500) (6,000) 9.09% 2,000 (270,925) (0.73%) (17,000) 63,000 (21.25%) 0 0 0.00% (17,000) 63,000 (21.25%) 39,996 5,737,597 0.70% City of Pickering 2020 Approved Background Information 2745 Libraries 2745 .1700.0000 Employee Recog'n & Apprec Long Service and Retirement Awards for staff Recognition event for volunteers including bursary Total 2745.1700.0000 Employee Recog'n & Apprec 2745 .1800.0000 Conferences Ontario Library Association Annual Conference (OLA) Other Conferences (Library as Place etc.) Total 2745.1800.0000 Conferences 2745 .1900.0000 Uniforms Uniform and Safety apparel for staff Total 2745.1900.0000 Uniforms 2745.2110.0000 Travel Staff and Board travel at City's approved rate Travel costs for seminars and education Total 2745.2110.0000 Travel 2745.2121.0000 Postage Overdue notices Other mail Total 2745.2121.0000 Postage 2745 .2122.0000 Freight,Express & Cartage Freight, express & cartage Total 2745.2122.0000 Freight,Express & Cartage 2745 .2131.0000 Cellular Phones Library cell phones PPL Connects Project hotspots Total 2745.2131.0000 Cellular Phones 2745 .2140.0000 Telephones Voice/ Data Internet Cable ·' Total 2745.2140.0000 Telephones 2745.2210.0000 Advertising Advertising (recreation newsletter, advertisements, job postings) Total 2745.2210.0000 Advertising 2745 .2320.0000 Legal Services Expenses Provision for legal counsel Provision for legal counsel -transfer to 2139 (City HR) Library Board approved budget reduction Total 2745.2320;0000 Legal Services Expenses 380 Run Date: 6/10/20 1 :38 PM 2020 Bud et 2,000 1,000 3,000 3,500 3,000 6,500 2,300 2,300 3,700 2,300 6,000 3,000 800 3,800 1,000 1,000 2,500 8,500 11,000 21,746 34,100 1,430 57 ,276 14,000 14,000 8,500 (3,000) (5,500) 0 City of Pickering 2020 Approved Background Information 2745 Libraries 2745 .2340 .0000 Seminars & Education Staff training based on Staff Development plan Legally required staff training Advanced Public Library Leadership course Diversity and Inclusion training Training funds -transfer to 2139 (City HR) Library Board approved budget reduction Total 2745.2340.0000 Seminars & Education 2745 .2365 .0000 Purch . Pr./Broch./News Lt Printed brochures, newsletters, signs, banners, etc. Total 2745.2365.0000 Purch. Pr./Broch./News Lt 2745 .2370.0000 Insurance Premium Annual cost of insurance policy that provides protection fo r Library activities and property. (Policy coverage includes : liability, automobile and property) Total 2745.2370.0000 Insurance Premium 2745 .2371 .0000 Insurance Deductible Insurance Deductible Total 2745.2371.0000 Insurance Deductible 2745 .2392 .0000 Consulting & Professional EFAP Program Board Education Ergonomic assessment Ability management External Audit Fees Tech Consulting Contract Total 2745.2392.0000 Consulting & Professional 2745 .2394 .0000 Recpt,Prom . & Sp .Ev .,Gen Board/ Community linkage activities Employee & Board relations , condolence, meeting costs etc. Total 2745.2394.0000 Recpt,Prom. & Sp.Ev.,Gen 2745 .2395.0000 Memberships Library Association Memberships Other Miscellaneous memberships Professional memberships (HRPA) Professional memberships (HRPA) -transfer to 2139 (City HR) Total 2745.2395.0000 Memberships 2745 .2399 .0000 Outside Agency Services Human Resources staff salaries -Chargeback from City 381 Run Date : 6/10/20 1 :38 PM 2020 Bud et 13,600 4 ,000 1,800 20,850 (2 ,500) (20 ,850) 16,900 9,000 9,000 24 ,345 24,345 2,000 2,000 3,550 1,000 500 3,300 6,000 17,500 31 ,850 2 ,000 7,000 9,000 6 ,500 1,000 1,000 (1,000) 7,500 159,585 City of Pickering 2020 Approved Background Information 2745 Libraries Janitorial staff City (Term employees) Special Cleaning Projects (power cleaning stairs, carpet cleaning all branches, foyer and flooring , cleaning related to major furnishing moves, major cleaning to . access areas etc.) Replace exterior drop box George Ashe Library Analog Camera Replacement Program (New) Janitorial staff City (term employees) for George Ashe Sunday Hours -special levy Council approved Add clear glass panes in public study area at George Ashe Library Library Board approved budget reduction Total 2745.2435.0000 Building Repairs & Mainte 2745.2457.0000 Vehicle-Repair & Maintena City Vehicle assigned for Library Courier use Total 2745.2457.0000 Vehicle-Repair & Maintena 2745.2478.0000 Misc.Equipment Repai rs & Network Maintenance -Installation and Cabling Copier Maintenance -all branches, partially offset by Revenue Account 1580 Total 2745.2478.0000 Misc.Equipment Repairs & 2745 .2479 .0000 Sfwr/Hdwr Maint Contracts RFID Maintenance Contract (CN & GAL) -Hardware ILS Maintenance--Horizon Software and Hardware Support I LS Maintenance--BiblioCommons Biblio Web software/Content Management Module for ILS Network Maintenance--Domain registrations Microsoft Licensing Open DNS Cloud Security Client Access software including anti-virus Virtual server licencing Springshare Room Booking software for website Papercut contract Book Club Reservation software Cloudflare Back Blaze offsite backup Online Assistance software Staff Scheduling software Proxmox software for our virtual servers Public feedback system Adobe Creative Suite Veam Backup and Recovery software 383 Run Date: 6/10/20 1 :38 PM 2020 Bud et 121,313 10,000 2,500 37,000 5,600 5,300 (5,300) 260,389 2,000 2,000 9,000 34,250 43,250 23,500 50,075 31,800 40,700 200 7,000 2,000 2,500 2,500 1,850 1,000 700 350 360 650 4,100 1,000 4 ,500 j ,300 1,500 City of Pickering 2020 Approved Background Information 27 45 Libraries Lastpass Teams -password management Maintenance -HRIS Total 2745.2479.0000 Sfwr/Hdwr Maint Contracts 2745 .5300 .0000 Stationery & Office Suppl General office supplies Computer peripherals Total 2745.5300.0000 Stationery & Office Suppl 2745.5303 .0000 C irculation Supplies Supplies includes membership cards, printer rolls and related items. Total 2745.5303.0000 Circulation Supplies 2745.5310 .0001 Library Mat-57 .14% Includes Non-Capital Materials (Online Products, Digital Collections and Periodicals) Transfer from Capital Materials Total 2745.5310 .0001 Library Mat -57.14% 2745 .5320.0000 Program Supplies · Programming funds for public programs . Partially offset by donations Makerspace supplies Total 2745.5320 .0000 Program Supplies 2745.5510.0000 Utilities -Water Budget based on 2019 projected actuals and regional water rate increase in 2020 -Central Budget based on 2019 projected actuals and regional water rate increase in 2020 -George Ashe Total 2745.5510.0000 Utilities -Water 2745.5520 .0000 Utilities -Gas Central , George Ashe and Cla remont Libraries -Budget based on projected 2019 actuals Total 2745.5520.0000 Utilities -Gas 2745 .5530 .0000 Utilities -Hydro Budget based on 2019 projected actuals and rate increase in 2020 Total 2745.553-0.0000 Utilities -Hydro 2745.5900 .0000 Gas , Oil, Tires Fuel : Unleaded 1,580 litres@ $1 .03/litre Oil changes and tires Total 2745.5900.0000 Gas, Oil, Tires 2745 .5902.0000 Supplies & Tools Miscellaneous & Supplies 384 Run Date: 6/10/20 1 :38 PM 2020 Bud et 600 9,656 187,841 16,000 3,000 19,000 5,000 5,000 252,290 21 ,000 273 ,290 32,750 3 ,000 35 ,750 13,455 4,485 17,940 34,461 34,461 189,000 189,000 1,627 505 2,132 2 ,500 City of Pickering 2020 Approved Background Information 2745 Libraries Children's Educational Equipment & Supplies Total 2745 .5902.0000 Supplies & Tools 2745 .5973.0000 Furniture & Fixtures Replacements -furniture Total 2745.5973.0000 Furniture & Fixtures 2745 .5975.0000 Hardware Replacements Replace UPS and power supplies Replace network core switches & wireless access ports Technology outreach programming equipment Makerspace Equipment & programming replacement Upgrade loanable technology GAL computers upgrade Upgrade Library Security Infrastructure Total 2745.5975.0000 Hardware Replacements Total Expenses Revenues 1529.0000.0000 FINES -LIBRARY MATLS. Fines , Replacement & Fees etc. Total 1529.0000.0000 FINES -LIBRARY MATLS. 1580.0000.0000 MISC . -PHOTOCOPIES LIB . Photocopying Makerspace supplies payments Total 1580.0000.0000 MISC. -PHOTOCOPIES LIB. 1592 .2745 .0000 Misc -Donations-Library Donation funds from various sources Total 1592.2745.0000 Misc -Donations-Library 1623.2745.0000 Ont Grant -Library Household Grant -Province Pay Equity Equalization "down -payment" est. -Prov. Total 1623.2745.0000 Ont Grant -Library 2745 .9916 .0000 Vending Machines Based on sales of vending machine products Total 2745.9916.0000 Vending Machines 2745 .9933 .0000 Rentals -Mtg. Room/Publi Rental of library meeting and board rooms Total 2745 .9933.0000 Rentals -Mtg. Room/Publi 2745 .9990 .0000 Other Revenue 385 Run Date: 6/10/20 1 :38 PM 2020 Bud et 1,000 3,500 5 ,000 5,000 2 ,000 7 ,000 4,500 4 ,800 3 ,775 10 ,000 14,000 46,075 5,945 ,522 (80 ,000) (80 ,000) (49,000) (3,000) (52,000) (16 ,000) (16 ,000) (97,833) (8,592) (106,425) (2,500) (2 ,500) (8,000) (8 ,000) 27 45 Libraries City of Pickering 2020 Approved Background lnformatfon Payphone, book sales, genealogy research, other revenues Total 2745.9990.0000 Other Revenue Total Revenues Transfers 191'o.7020.2745 Trsf Self Ins -Library Self Insurance Reserve funding for Analog Camera Replacement Program Total 1910.7020.2745 Trsf Self Ins -Library 2821 .7042.0000 To Res-Libry-Estrn Brnch Transfer to Library Reserve Total .2821.7042.0000 To Res-Libry-Estrn Brnch Total Transfers Net Expenses 386 Run Date: 6/10/20 1 :38 PM 2020 Bud et (6,000) (6,000) (270,925) (37,000) (37,000) 100,000 100,000 63,000 5,737,597 Appendix A Reserves and Reserve Funds Overview Reserves and reserve funds receive annual contributions from the current budget to assist with creating a solid financial position to support the City's future cash requirements. Maintaining sufficient balances in reserves and reserve funds is a critical component of a municipality's long-term financial plan as it strengthens its long-term financial sustainability, helps to minimize fluctuations in the tax rate and provides funding to sustain infrastructure. Reserves A reserve (i.e. Vehicle Replacement Reserve) is an allocation of accumulated net revenue. It has no reference to any specific assets and does not require the physical segregation of money or assets. Reserves are part of the revenue fund and therefore, do not earn interest on their own. Any earnings derived from the investment of reserves' money are reported as revenue in the operating fund. Reserve Funds A reserve fund differs from a reserve in that reserve fund assets are segregated and restricted to meet the purpose of the reserve fund. All interest earnings derived from such investments must form part of the reserve fund. There are two types of reserve funds: Obligatory Reserve Funds: (i.e. Development Charge Reserve Funds). As per statute or legislation requirements, funds received for special purposes are segregated from the general revenues of the City. Obligatory reserve funds are created solely for the purpose prescribed for them. Non Obligatory Reserve Funds: Funds are segregated from the general revenues of the City, based on Council direction, to finance future expenditures or to provide for a specific contingent liability so that the funds are available as required. 429 ..i::,. c..:, 0 ~__J_~or~Fund Ol~t-llon:ory Ruetvu =-lw~~ Re11L,,eomcntofCapU:at Eg~ ==1=~ ==1~~;:~~n9 b~:: Pool_ =::1;:~~ ==:::=Stellr.Roc:Cm brPool = S,cllr -Roc:Cm ho:Atono ~Euomonl ~ S~o10n0.WRoYI- t=h~ =:1::~nf~::::: Dlsen-tlonary 111:uatvH Talal Non-tl\Kn,Uon.uy Rucrvl', ~leon1iniieney-Elocilon ===sOCClsSh:a,- #####S Conllnuln Studlft ~ Vehlclo Ro !ac:emont ==:t##Fln.:1ncl:IJS tom!I r:=== S.nlorCenlro ~WlntorCon!rol :=Tuia:~ :: l~::::c~:~m•n~ ::1:~:u';;~;a:~:0n :::1=:=~:sur:ince ::::J!:oc:Com>!L~ ==-==rJ.~_slna_ =r==unds anff#C:1 1:alWorb ~WSIB .ai=n Anfm;,ISlleher #####1 r:illontOr ~ Rood11& 8nd ot1 -.s1ormw:i11r ml sa== OOF Gr:int =:t=Seatonlntr:islruelure =:=sutonFlA Non-0bllgJIO,Y Rnt-NI! ,undsJ'._olal Obllq:11oryRut-rvt-Funds " ###::#:1# Thlnf P:a...,Con! ~P:arktand ~ Fed GD!I Tu Jtff###BuUdlnPormll :ntntt##OC-S1udles =::n=OC-Pro!oc:tlvoSorv ~ OC-Transport:ltlon ~OC-SWM :::::::::# OCO!hr Srv Rltd lo HwY ~ OC-Pr1c: & Rocre~llon :t#Cff:# OC-Ubr;a S.rv Obltpory Ru-Funds Total R~!aNH :and RHl'/'.11_ .. _l:u~d_s_!_o_l!! 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(3600705' ~DOO' 1 (200,!QQ: • 1 525000 n50oo; !~ _(2.QQ.OOOJ (3~ • ~ :•~7} ~ -1.MQQ_ = = B.QQQ. .1MQ:Q. ~ • 0 -= = 1700000 100~ ~ .!QQ..QQQ. • __ o l_@_,l_)QQ .ill..Q:Q:Q. .,,,., 0 lQ.QQQ_ 1.!.Q.QQ!!. .,,,,,,. ~ '"""" -= ..!!.!!!. .!.,_Qg_~ ~ ~ 3111 •27 0 115551!1 22:21•:JS 77015,3155 739379 1060327 10851171 2~•1% 2:s,e,713 ~ '40,3011'2 21 142,S25 '81077UIIII ~ _21.,122,_Cffll SumorP,aJitet•d lllallne•DK21,l014 10cnctt 744&42 !759927 fil.m ~ ~ ~ .1Llli. .!1!!i ~ ~ ~- C1.!.!!!!.!! ~ 3770117 11•,131 ~ .lli,,QQQ_ ~ ~ ~ ,00000 ,000000 '112':S1%' ~ ~ = -~ ~ ~· ..!!.m ~ '4~~~ 254'11"7 ~ !0&$17! 21150 .159· 0~2000• !1•7170 N1•527!T 2<12313115 1!00701 '1<1U27•8' ..,.,,.., ~ :S111D3Sll' City of Pickering 2020 Outstanding Debt Summary Borrowed Outstanding Committed Maturity Principal Projects Amount Date Balance External Debentures One Fire Heavy Rescue Vehicle & Two Pumper Trucks 1,530,000 2020 174,243 Sideline 4 Road Reconstruction 1,107,000 2020 126,071 Comm Fae-Arena & Pool 910,000 2020 103,634 Liverpool Rd Nautical Village Blvd & Streetscape 700,000 2021 126,643 Liverpool Road -Road Works, Storm Sewer, Street 320,000 2021 69,000 Lighting and Boulevard Reconstruction, and Wharf Street Sidewalk Installation Stormwater Management Facility# 4 and related storm seweI 2,000,000 2021 439,000 construction, and land acquisition on lands north of Third Concession Road Roof Reinforcement at East Shore Community Centre 150,000 2021 33,000 Supply & Delivery of Seven Fire Vehicles Replacement 190,000 2021 77,541 Supply & Delivery of One Articulating Front End Loader 180,000 2021 73,459 Expansion and Renovations of the Don Beer Arena (Refundin 1,057,000 2022 345,000 debt of 2002 debt in 2012) Roof Replacements at the Don Beer Arena Rink 1 420,000 2022 139,000 Browning Ave Storm Sewer Replacement 174,000 2022 107,108 Supply and Delivery of Sweeper 250,000 2022 153,892 Banquet Hall and Washroom Renovations 490,000 2023 211,334 Liverpool Road Reconstruction and Minor Storm Sewer 495,000 2023 213,491 Repair from Ilona Park Road to Krosno Boulevard Supply & Delivery of one new 55 Foot Aerial Quint Fire Truck 680,000 2023 293,281 Don Beer Arena-Ice Rink 2 Renovations 263,000 2023 212,867 Pickering Recreation Complex Doubles Squash Court and Ae 833,000 2023 674,214 Sheppard Ave, Reinforced Soil System 367,000 2023 297,043 Supply and Delivery of One New Latest Model Year Articulatir 200,000 2023 161,876 Supply and Delivery of Road Grader with Attachments 369,000 2024 369,000 Urbanization of Third Concession Road and Brock Road to Cl 1,340,000 2026 693,000 Supply & Delivery of One 2013 Smeal Heavy Duty Aerial Lad< 1,020,000 2026 729,139 Pool Deck Repairs at Dunbarton Indoor Pool 899,000 2026 642,643 Don Beer Arena Roof Replacement 460,000 2026 328,827 Southview Drive -Road Reconstruction & Urbanization 660,000 2026 471,796 Westshore Neighbourhood-Flood Remediation, Breezy & Vist .815,000 2026 582,596 Sixth Concession Rd -Rd Reconstruction and Storm Sewer F 1,540,000 2027 1,259,238 Supply & Delivery of One Fire Pumper Tanker 749,000 2028 682,000 Indoor Soccer Facility 3,734,000 2029 2,672,000 Westney Road -Road Reconstruction 1,496,000 2029 1,496,000 Salem Road -Road Reconstruction 700,000 2029 700,000 431 City of Pickering 2020 Outstanding Debt Summary Projects Brock Ridge Community Park and S.M.Woodsmere Park-Bas Centennial Park Baseball Diamond Reconstruction Project Delaney Arena Improvements at the Pickering Recreation Co Pickering Civic Complex Roof Repairs Pickering Recreation Complex Roof Repairs Abbott Crescent Stormwater Management Pond-Reconstructi Whitevale Bridge New Operations Centre Conservation Barn Reconstruction at the Pickering Museum \ Pickering Recreation Complex Roof.& Skylight Rehabilitation Total External Debentures Issued Note: 1 Funded from Duffin Heights Reserve 2 Funded from contribution from the Picckering Soccer Club 3 Funded from Development Charges Reserve Fund 432 Borrowed Committed Amount 919,000 357,000 2,249,000 520,000 550,000 342,000 1,400,000 9,907,000 850,000 690,000 Maturity Date 2029 2029 2031 2032 2032 2033 2034 2037 2038 2039 outstanding Principal Balance 919,000 357,000 1,843,000 459,764 486,288 323,000 1,133,000 9,134,000 817,000 690,000 30,819,986 City of Pickering 2020 Outstanding Debt Summary Borrowed Committed Maturity Projects Amount Date Internal Loans Delaney Arena Improvements Design 185,000 Shadybrook Park-Amberlea Tennis Court Reconstruction 147,000 Frenchmans Bay Waterfront MasterPlan Design 200,000 Brougham By-Pass Streetlight Installation -Brock Road@ 400,000 Hwy 407 interchange Tools & Equipment only for 55 ft Aerial: Rescue Tools & 150,000 Fire Hose Frenchman's Bay Harbour Entrance -1,500,000 Petticoat Creek Library Reading Garden Enclosure 112,000 PCL Makerspace 100,000 Amberlea Creek SWM 1,310,000 Squires Beach Rd. From McKay to Clements Rd 360,000 Consulting Services for Sandy Beach Road Reconstruction 300,000 SCBA Replacement -Breathing Apparatus 288,000 Total Internal Loans Commitments Total Debt Commitments-Dec. 31, 2019 External Debt Approved in Prior Years' Capital Budget-Still to be issued External Debt To be Issued by the Region Whitevale Master Drainage Plan Implementation -Constructi< Backup Generator Replacement Westney Road -Full Road Reconstruction (From Concession Centennial Park -Picnic Shelter & Amenities Marksbury Road Outfall Replacement Michell Bridge -Rehabilitation Sub-total Debentures to be Issued 2020 New Debt (To be Approved by Council) New Debentures New Internal Loans Sub-total 2020 Debt · Note 1,125,000 1,100,000 300,000 358,000 171,000 850,000 12,557,580 1,406,000 4 Maturity date based on the assumption that 2020 is the year of issue 433 2020 2020 2020 2020 2022 2022 2022 2022 2024 2025 2027 2027 2030 4 2030 2030 2035 2035 2040 outstanding Principal Balance 24,190 12,677 41,464 47,522 18,550 357,506 64,022 61,353 261,985 140,467 246,085 236,242 1,512,064 32,332,050 1,125,000 1,100,000 300,000 358,000 171,000 850,000 3,904,000 12,557,580 1,406,000 13,963,580