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HomeMy WebLinkAbout2021 Current BudgetCity of Pickering 2021 Approved Current Budget Table of Contents Department Report to Council Budget Summaries Office of the Chief Administrative Officer Office of the CAO-Ad min 2121 Customer Care Centre 2129 Public Affairs & Corp. Comm. 2621 City Development City Development-Admin 2610 Planning 2611 Building Services 2612 Sustainability 2620 Committee of Adjustment 2630 Heritage Pickering 2743 Community Services Culture, Recreation & Facilities Culture & Recreation -Adm in 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 Arts Centre 2740 Public Works Operations -Admin 2500 Property Maintenance 2132 Fleet Services 2315 Roads 2320 Parks 2718 Corporate Services Information Technology 2196 Legal Services 2125 Page 1 47 53 63 69 72 78 88 92 100 107 113 115 118 134 137 142 147 153 163 167 173 180 189 193 199 208 210 216 220 225 230 237 245 256 261 City of Pickering 2021 Approved Current Budget Table of Contents 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 Services 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 Libraries Library 2745 General Government Appendix A Appendix B Appendix C 265 268 271 274 279 286 294 301 303 308 310 312 318 325 328 334 343 346 351 355 358 362 371 414 415 418 -~of- PJ(KERJNG Report to Council Report Number: FIN 05-21 Date: March 22, 2021 From: Stan Karwowski Director, Finance & Treasurer Subject: 2021 Current & Capital Budget -File: A-2000-001 Recommendation: 1. That Report FIN 05-21 of the Director, Finance & Treasurer be approved; 2. That the following budget recommendations be approved; (a) That the 2021 Current Budget expenditure for personnel costs, consisting of salaries and wages (Account 1100), overtime (Account 1200) and employer contributions (Account 1400), excluding Cost Centres 2712 and 2293, in the total amount of $60,364,218 be approved; and i) That the 2021 Current Budget for Cost Centre 2712 (Programs) expenditure for personnel costs, consisting of salaries and wages (Account 1100), overtime (Account 1200) and employer contributions (Account 1400) in the total amount of $1,137,031 be approved; and (ii) That the 2021 Current Budget for Cost Centre 2293 (Animal Services) expenditure for personnel costs, consisting of salaries and wages (Account 1100), overtime (Account 1200) and employer contributions (Account 1400) in the total amount of $506,210 be approved; b) That the 2021 General Government Budget for grant expenditures in the total amount of $184,068 be approved; c) That the Heritage Property Tax Rebate in the amount of $10,000 be approved; d) · That the 2021 Gross Current Budget expenditures for City purposes in the amount of $54,684,613 (excluding personnel costs, grant expenditures and Heritage Property Tax Rebate) less estimated current revenues of $47,004,304 (City revenues of $40,667,304 plus $4,000,000 for estimated casino gaming revenue, $2,037,000 for assessment growth plus supplementary taxes of $300,000), less Phase One and Phase Two Safe Restart Funding of $2,802,100 and net transfer from the Rate Stabilization Reserve of $1,500,000 for City operations be approved; e) That the $4,000,000 in estimated casino gaming revenues be transferred to the newly established Casino Reserve; 1 Report FIN 05-21 Subject: 2021 Current and Capital Budget March 22, 2021 Page 2 f) That the Capital from Current expenditure in the amount of $731,660 funded from property taxes be approved; and g) That the total final City levy under paragraphs a), b), c), d) and e) above, plus the following additions that result in a total final levy of $70,841,695 being an increase of approximately 1 .45 percent over the 2020 Budget, be approved: i) Hiring of three additional firefighters ($283,000) for the Seaton fire station; and ii) Service level increases that consist of $51,000 for additional staffing for seasonal By-law enforcement at the waterfront and parks, an investment of $121,300 for the City to meet provincially legislated accessibility requirements and $75,000 to establish a Community Investment Fund; 3. That the 2021 Capital Budget for the City of Pickering with a Gross Expenditure of $73,041,800 be adopted as presented: a) That the following capital financing sources be approved as presented in the 2021 Capital Budget: Transfer from Current Fund to Capital Fund Transfers from Reserves: -Rate Stabilization Reserve (7021) -City Share Dev. Charges (7022) -Vehicle Replacement (7040) -Major Equipment Reserve (7062) -Capital Replacement (7001) -Facilities Reserve (7055) -Self-Insurance Reserve (7020) -Property Fence Line Reserve (7057) -Tennis Court Reserve (7061) -Artwork Reserve (7067) -Don Beer Arena Surcharge (7033) -Rec. Complex Pool Surcharge (7035) Transfers from Reserve Funds: -Development Charges (7601 -7630) -Third Party Contribution (7501) -Parkland (7502) -Federal Gas Tax Funds (7505) -Roads & Bridges (7709) -Animal Shelter (7706) 2 $731,6f30 4,040,043 1,811,500 1,547,000 1,345,000 384,600 385,000 200,000 180,000 90,000 50,000 40,000 30,000 25,024,180 9,041,375 4,180,000 3,567,000 790,000 291,400 Report FIN 05-21 March 22, 2021 Page 3 Subject: 2021 Current and Capital Budget b) c) d) e) f) g) h) -Seaton Land Group FIA (7713) Debt-20 yr Internal Loan -2 yr Internal Loan -5 yr Internal Loan -10 yr Donations Canada Cultural Spaces Fund (CCSF) Investing in Canada Infrastructure Program (ICIP) - COVID -19 Resilience Infrastructure Stream Federal Grant -TBD Provincial Grant -Ontario Community Infrastructure Fund (OCIF) 145,785 11,391,900 2,175,000 200,000 247,500 10,000 4,000,000 222,500 40,000 880,357 Total $73,041.800 That total external debt financed by property taxes of $11,391,900 for the projects identified in the 2021 Capital Budget, and as indicated in this report, for a period not to exceed 20 years be approved; That the internal loans in the amount of $2,622,500 be undertaken at the discretion of the Director, Finance & Treasurer; That projects identified in the 2021 Capital Budget as being financed through the issuance of debt be subject to·additional, specific approval of the expenditure and the financing by Council; That the source of financing for the Demolition & Site Remediation capital project (5315.1901) be changed from future land sales to Operations Centre Reserve Fund to eliminate the unfinanced capital liability when the project is converted to the new financial system; That any debt repayment, interest or financing provisions contained in the an.nual 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 through transfer to Rate Stabilization Reserve, internal loans or any other amounts to be financed; That all Capital expenditures or portions thereof approved in the 2021 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; 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; and 3 Report FIN 05-21 Subject: 2021 Current and Capital Budget March 22, 2021 Page4 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; · 4. 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 ); 20 percent to the Facilities Reserve (7055); 5 percent to the Artwork Reserve (7066) and 50 percent to the City Share DC Projects Reserve (7022); 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); 5. That the Director, Finance & Treasurer be authorized to make any changes or undertake any actions necessary including: adjusting the budget plan to meet provincial COVID reporting requirements while maintaining the approved levy; 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 2021 final tax rates; 6. 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) and any unfinanced capital be funded from a transfer from reserves or reserve funds; 7. That the Director, Finance & Treasurer 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 from 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 revise the funding ratio's for development charge funded projects where applicable to reflect the removal of the 10 percent statutory deduction that was eliminated through the adoption of Bill 197, COV/O-19 Economic Recovery Act, 2020; 9. 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 4 Report FIN 05-21 Subject: 2021 Current and Capital Budget March 22, 2021 Page 5 any excess fun,ding 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; 10. That Council approve a change in funding source for capital project 5325.2105 Accessible Pedestrian Signals from 100 percent funded from the Rate Stabilization Reserve to: a) $169,838 to be funded from unused provincial grant funding (Invest in Ontario and Provincial Budget) from accounts 5999.0898.1623 and 5999.0899.1623; and b) $190,562 to be funded from the Rate Stabilization Reserve (7021); 11. That Council approve the cancellation of the following previously approved Capital projects: a) Two 1 Ton Dump Trucks with Aluminum Body, Plow and Salter-New (Seaton) (5319.2003) -$140,000; b) Front Plow and Wing Attachments for Seaton -New (5319.2014)- $20,000; c) 1 Ton Truck with Utility Body Replacement (5319.2004) -$110,000; d) Duffin Heights Sewer (5320.1116) -$196,612; e) Whitevale Master Drainage Plan Implementation -Construction (5320.1901)-$2,250,000; f) RU-13 Salem Road -Road Reconstruction (5321.1608) -$155,635; g) RP-10 Altona Road -Sidewalks & Streetlights (5321.1909) -$150,000; h) Accessible Pedestrian Signals - 4 Locations (5325.2004) -$360,400; i) FS #2 Accessibility Upgrades & Interior Renovations (5340.1809) - $94,875; j) FS # 2 Lighting Retrofit (5340.2001) -$60,000; k) Civic Centre Backup Generator Replacement -Construction (5700.2002) - $800,000; I) CHDRC Tennis Court Flooring Replacement (5731.2004) -$1,200,000; m) Animal Shelter-Design (5219.2003) -$881,850; n) Animal Shelter-Construction (5219.2004) -$8,273,650; and 5 Report FIN 05-21 Subject: 2021 Current and Capital Budget o) Animal Shelter-FF&E (5219.2005) -$300,000; March 22, 2021 Page 6 12. That Council approve an increase to the Fire Protection Cost Centre (2240) budget, in the amount of $27,200 for the purchase of technology upgrades and the corresponding cost be offset 100 percent by Provincial Fire Safety Grant; 13. That the Director, Finance & Treasurer be authorized at his discretion to close any capital or 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 2021 Current Operating, User Fees and Capital Budgets to reflect: (i) any Council changes made at the March 22 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 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 2021; 17. That Council authorize the Director, Finance & Treasurer to administer the Community Investment Fund by following the general intent of the Community Grants program; and a) That any grant funding request up to $2,500 be jointly approved by the Chief Administrative Officer and the Director, Finance & Treasurer and any grant request above this amount be approved by Members of Council and staff report to Council regarding the use of these funds through the 2022 Budget process; 6 Report FIN 05-21 Subject: 2021 Current and Capital Budget March 22, 2021 Page 7 18. That the Director, Finance & Treasurer be authorized to amend Section 06.01 b) and 06.02 b) of Policy ADM 190 such that the word "every" be replaced with "Starting in 2022"; 19. 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; 20. That Council approve the continuing engagement of the firm of Watson & Associates Economists Ltd. to be used for the Five Year Capital & Operating Financial Plan; for the engagement of the new Development Charge Background Study and new Community Benefit Charge Study and in support of the DC Background Study and issues related to the City, Seaton and/or Duffin Heights; 21. That Council approve the continuing engagement of the following firms: Nixon Poole Lackie LLP, Municipal Tax Advisor Group and Municipal Tax Equity Consultants for any studies related to the reassessment or other property tax issues and for to protect the property tax base by defending assessment appeals through proactive assessment base management; 22. That Council approve the award of professional services in accordance with the City's Purchasing Policy Item 10: 03 (c) to Public Sector Digest Inc. for the completion of the Ontario Regulation 588 (2021) Compliant Asset Management Plan in the amount of a maximum of $70,000; 23. That Council approve the establishment of the WSIB Excess Indemnity Reserve Fund and that the draft by-law attached hereto for the establishment of the reserve fund be enacted; 24. That Council approve the transfer of $136,775 to the WSIB Excess Indemnity Reserve Fund; 25. That Council approve the annual transfer of funds from the WSIB Reserve when its year-end balance is greater than $4.0 million, and that these excess funds be transferred to the WSIB Excess Indemnity Reserve Fund; 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: 7 Report FIN 05-21 Subject: 2021 Current and Capital Budget March 22, 2021 Page 8 a) That the grant application deadline date for the 2022 Community Grant Program be October 29, 2021 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 the following to be added to the 2021 Budget to be funded from the Rate Stabilization Reserve (7021 ); a) $35,000 for the rental of an additional radar camera; and b) $150,000 for Picker_ing Fire Services' share of the cost for NG911 Dispatch equipment (text to 911); 31. That any unspent 2021 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 2021 Low Income Seniors & Persons with Disabilities grant amount to be increased from $375 to $450 per household; 33. That Council pass the attached General Municipal Fees and Charges By-law and incorporate the user fee schedule into the 2021 Current Budget: a) That Coundl approve revising "Schedule B -Fees Payable for Building Permits" of the Building By-law with the Building Permit fees listed in the 2021 User Fee Schedule; 34. That Council approve the establishment of the 2021 COVID-19 Recovery Reserve Fund and that the draft by-law attached hereto for the establishment of the reserve fund be enacted and that the Provincial funds received be transferred to this reserve fund; 35. That the Director, Finance & Treasurer be authorized to draw from the 2021 COVID-19 Recovery Reserve Fund to maintain the City's financial and business plans due to direct and indirect affects of COVID-19; 36. That Council approve the levy allocation of the $121,300 for Provincial accessibility requirements to the following accounts: 2621.2479.0000 2621.2340.0000 2621.1100.0000 2621.2399.0000 Sfwr/Hdwr Maint Contracts Seminars & Education Salaries & Wages Outside Agency Services $13,800 7,500 70,000 30,000 37. That Council approve the funding of the Coordinator, Community Safety position (Cost Centre 2712), either by senior government grants or by a transfer from the Rate Stabilization Reserve (7021); and 8 Report FIN 05-21 Subject: 2021 Current and Capital Budget March 22, 2021 Page 9 38. That the appropriate City of Pickering officials be authorized take the necessary actions as indicated in this report. Executive Summary: This report contains a summary of the 2021 Current and Capital Budgets and a discussion of the recommendations. Staff have worked hard to ensure that the 2021 Budget is respectful of each dollar contributed by taxpayer$, 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 2021 Budget strikes a balance between providing the level and types of services that residents expect and ensuring affordability for all residents. The 2021 Budget builds upon the success of the 2020 Budget and continues to be a good news story. It keeps property taxes affordable and provides the following benefits to our residents and community: • Funding for a new full-time Coordinator, Diversity & Inclusion position (CAO Department). • Increase in seniors property tax grant from $375 to $450. • Major 2021 Capital Projects: Pickering Heritage & Community Centre, Highway 401 Road Crossing Land Acquisition, Waterfront Trail Land Acquisition, Whitevale Master Drainage Plan Improvement Construction and Rotary Frenchman's Bay West -Park Completion & Washroom Facility. • Increase in Capital Budget roads and bridges projects expenditures from $4.9 million to 6.1 million -an increase of $1.3 million or 26 percent. • Funding for By-law enforcement coverage at the waterfront and park areas from mid- May to Labour Day. • Investment of $121,300 to help meet the new Provincial Accessibility standards for website compliance. • Funding of $50,000 for mechanical harvesting of Eurasian Water-Milfoil weeds in Frenchman's Bay. • An increase of 3 positions for front line firefighting staff (Seaton). • Establishing a Community Investment Fund ($75,000) to provide financial assistance to Pickering community groups. Financial Implications: The 2021 Current and Capital Budgets, if adopted as amended, will result in a property tax levy increase of 1.45 percent (City Share Only) over last year which translates into a 0.44 percent increase in the City's share of the total property tax bill. This increase, when combined with the Region and the School Boards increase, results in an average increase of 1.54 percent on the total property tax bill. 9 Report FIN 05-21 Subject: 2021 Current and Capital Budget Explanation of Key Recommendations Cancellation of Capital Projects -Recommendation 11 March 22, 2021 Page 11 The capital projects listed in Recommendation 11 in many cases have been rebudgeted in the 2021 Capital Budget or included in the 2022-2025 Capital Forecast because 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. Increase to Fire Services Budget ($27,200)-Recommendation 12 Since the start of the pandemic, Ontario's fire services have faced unprecedented challenges. In Pickering, our ability to train our Fire Services staff in a COVID environment brought with it new challenges due to restrictions on gatherings and our own commitment to best practices in an effort to curtail the spread of the virus. Additionally, our ability to conduct fire code enforcement inspections and public fire safety education classes have been slightly eroded for the same reasons. The Provincial Fire Safety Grant will help to support Fire Services and wm assist in meeting the mandates and to overcome these ongoing challenges. These grant funds are intended to provide fire departments with the flexibility to support in the two priority areas as identified above. Fire Services plans include technology upgrades to ensure that we can safely continue to conduct training for fire crews and that inspections and public education programs can safely continue for our residents and businesses. This project is in line with the grant requirements and it will ensure that Fire Services is able to continue to serve our customers/residents in the City with the services they have come to expect and deserve. Planned expenditures include items such as computer hardware and software, including desktops and rugged laptops. Establishment of WSIB Excess Indemnity Reserve Fund -Recommendation 23 The City is a Schedule 2 employer under the Workplace Safety and Insurance Act, and therefore, self~insures the entire risk of its own WSIB claims, and is 100 percent liable for reimbursing WSIB for all claim costs. Every year the City budgets $710,000 dollars for WSIB claims and any remaining dollars are then transferred to the City's WSIB Reserve Fund (7705). The 2019 year-end position of this reserve fund was $3,930,110. To reduce the WSIB financial risk exposure, the City purchases an Occupational Accident policy. The City previously purchased an Excess Indemnity Insurance policy, however, staff are recommending that the City establish a separate reserve fund to replace the insurance coverage from this policy. City staff consulted with an actuarial consultant regarding this strategy and they support the City adopting this plan. The Excess Indemnity Reserve Fund will be funded from two sources. The first source is from premiums that were previously paid for purchase of the Excess Indemnity Insurance and recommendation 24 is transferring $136,775 to this reserve fund. The second source is 1 1 Report FIN 05-21 Subject: 2021 Current and Capital Budget March 22, 2021 Page 12 from the WSIB Reserve Fund (7705) whereby if the year-end balance exceeds $4.0 million, the residual amount would then be transferred to the WSIB Excess Indemnity Reserve Fund. (This transfer is accomplished through Recommendation 25). The financial goal of the WSIB Excess Indemnity Reserve fund is to reach a balance of $2.5 million. The budget target for this reserve fund will be reviewed in three years when the City undertakes its next actuarial WSIB liability review. Establishment of 2021 COVID-19 Recovery Reserve Fund -Recommendation 34 On March 4, 2021 the City received unexpected good news that it was receiving $1,598,618 from the Province. The City will receive these funds in two equal instalments -on or before May 1, 2021 and the other on or before November 1, 2021. These funds are to be used to address COVID-19 operating costs and pressures. Provincial documentation provides direction that any unused funds are to be transferred to a reserve fund to be used for any future COVID-19 operating costs. Recommendation 34 provides the Treasurer the authority to transfer or use funds from this reserve fund to mitigate any negative impacts due to COVID-19 on the City's financial and or business plans. One of the lessons learned from the pandemic is its unpredictability and its corresponding impact on municipal operations. 2021 Current Budget At the March 4, 2021 Executive (Budget) Committee meeting, Council was presented with a proposed budget levy increase of 1.45 percent, which was accepted by the Executive Committee. Based on an average assessment of $612,000 the 1.45 percent increase will result in an average increase of approximately $28.89 per year or 56 cents per week for the average single detached 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. For this reason, many residents may not be aware of the costs associated with the vast array of services offered by the City. Attachment 5 shows a breakdown of the average daily cost of the City's municipal services (based on the average assessed value of a single detached dwelling - $612,000). Tax Increase Summary The 1 .45 percent City share tax increase translates into an increase of 0.443 percent on the total residential tax bill. The 1.45 percentlevy 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 (1.98%) tax increase and Pickering's (1.45%) and the School Board's estimated 0 percent increase, the total increase for the average residential ratepayer will be approximately 1.54 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. 12 Report FIN 05-21 Subject: 2021 Current and Capital Budget Risk Analysis March 22, 2021 Page 15 As one looks forward, it is extremely difficult to project future year budget requirements with a high level of certainty. The most significant uncertainty remains the ongoing financial impacts from the COVID pandemic. There remains a significant risk that expenditures and revenues may take a longer period to return to historical levels. In some cases, COVID related impacts might cause certain services to establish a new normal resulting in corresponding budget increases in future years. The introduction of the higher level of cleaning within City facilities may become a permanent standard for the City to adopt. 2021 Challenges and Opportunities Outstanding Assessment Appeals There is currently $2.0 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. The ARB made some progress in 2020 due to the fact the multi - year appeal for the Pickering Town Centre (PTC) was settled. It is staff's understanding that the only outstanding appeal for PTC is for the year 2020. Any assessment appeals that are not settled during the current year are automatically deemed outstanding for the 2021 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 2021. If the budget provisions are insufficient to fund the reductions, the City would draw on the Assessment Appeal reserve to fund any shortfall. Development Charge and Community Benefit Studies In the Finance Department budget, there is funding for $80,000 to undertake the a Development Charge and Community Benefits Study. The DC and CBC studies are funded 100 percent from the Development Charges Reserve Fund. The Province of Ontario has recently made changes to the Development Charges Act and Planning Act and provided a transition period of until September 18, 2022 to comply with the changes. The City needs to complete a new Community Benefit Charge Study before this date and prepare a new DC background study to reflect the changes in legislation and to allow the City to continue to collect DC's after the expiry of the current DC By-law on December 31, 2022. The work plan is to commence both studies in the fall with a target completion date of second quarter 2022. This is a major inter- departmental project that will draw resources from almost every City department. Currently, funding for the new animal shelter is under the Development Charges 15 Report FIN 05-21 Subject; 2021 Current and Capital Budget 2021 User Fees and Charges Schedule March 22, 2021 Page 17 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 for virtual programs due to the pandemic. 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 2021 to reflect such things as inflationary increases, adjustments to ensure greater cost recovery and updates based on comparable fees in neighbouring municipalities. Members of Council should note that due to the pandemic, the implementation of the Council approved sports field permit hourly increase of September 2020 will be deferred to November 2023. As such, the user fee schedule of 2021 includes the sports field (seasonal) user fees of November, 2019. Therefore, the deferred implementation of hourly sports field permit fees is estimated to save community and sports groups approximately $170,000 in 2021. 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 2021, the Draft Budget as submitted to Council includes additional funding for the roads and bridges reserve fund; storm water. management reserve fund, vehicle replacement reserve, animal shelter reserve fund and tennis court reserve. Please find below a quick snapshot of select Durham Lakeshore municipalities measuring the consumption of their assets. A ratio of over 50 percent means that the City has consumed more than half of the asset's life. 17 Report FIN 05-21 Subject: 2021 Current and Capital Budget March 22, 2021 Page 18 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 making progress on replacing its old assets. As the above ratio indicates, the City has consumed less than 50 percent of its assets. 2021 Tax Rates As has been the case for the last few years, the 2021 Property Tax rates and corresponding levy By-law will be presented to Council after the City has received the education tax rates from the Province. 2021 Capital Budget 2019 (%) 39.09 40.92 44.08 47.86 This year the draft Capital Budget is $73.0 million. Major capital projects in 2021 include the Pickering Heritage and Community Centre ($29.1 million), Highway 401 Road Crossing Land Acquisition -Phase 2 ($14.5 million), Waterfront Trail Land Acquisition ($3.1 million), Whitevale Master Drainage Plan Improvement Construction ($3 million ), Rotary Frenchman's Bay West -Park Completion & Washroom Facility ($3 million) and many bridge and road resurfacing and reconstruction projects ($3.1 million). Five Year Capital & Operating Financial Plan The City's growth continues to drive a variety of capital investments that will have a significant impact on the future of the community. These are capital projects that will either provide the community with benefits in the short-term or capital projects that will provide supporting amenities for a growing community. All of these capital investments are needed, however, there are competing priorities with limited funding that needs to be considered in the development of the capital financial plan. The overall goal of this financial exercise is to maintain good financial management. From a high level perspective, the financial exercise will consider the following inputs: construction costs, operating cost impact of the capital projects and asset management costs for the replacement of existing infrastructure. For capital project costs, the financial exercise will also examine the funding strategies of these projects as it relates to debt, development charge funding and other financing sources such as casino "gaming" revenues, naming rights and community fund raising. The study will also examine the 18 Report FIN 05-21 Subject: 2021 Current and Capital Budget March 22, 2021 Page 19 City's debt capacity as it relates to the Annual Repayment Limit (ARL) to ensure that the City is compliant with Provincial legislation. The capital project costs being considered for this exercise are: City Centre; Highway 401 Road Crossing; Animal Shelter; Seaton Community & Library Centre; Pickering Heritage & Community Centre; Civic Complex Renovation and Replacement of Fire Hall #5. In addition, staff will also consider other debt financed capital projects identfied in the capital forecast to ensure that the City is either compliant with the ARL or develops a strategy to address this issue. The end result of the financial exercise is to produce a financial "road map" with possible options for Council to consider in the context of "Council required actions" and possible increases to the tax levy for future years. One of the challenging aspects of this exercise is that assumptions have to made regarding the "post pandemic environment" and its impact on City operations. Municipal Debt Limits and Annual Repayment Limit (ARL) Managing the debt capacity or dollar borrowing amount is important to the City due to the financial limitations imposed by the Province through the Annual Repayment Limit or (ARL). (The Municipal Act regulation permits a maximum of 25 percent of net operating revenues to be used to fund principal and interest charges for debt. A municipality can only exceed the 25 percent limit through prior approval from the Local Planning Appeal Tribunal). For Pickering, the net operating revenues consists of the following major items: • property tax revenue • user fees & charges • fines, penalties & interest on taxes • license fees, permit fees & rents • gaming & casino revenues As stated above, every year the budget levy increases, the City's annual repayment limit increases that in-turn results in a higher debt borrowing capacity or dollar amount. The City's annual repayment limit for 2021, based on the prescribed calculation and using the City's 2019 Financial Information Return (FIR) was $23.447 million. The proposed 2021 budgeted annual debt payments (interest and principal) is $6.027 million and therefore, the City had $17.45 million in unused debt payment capacity before hitting the 25 percent cap. As Members of Council are aware, the 2020 pandemic has resulted in a decrease in revenues generated by user fees and charges, especially for the Community Services Department. Therefore, a possibility exists that the City's debt borrowing capacity could decrease based on 2020 financial results for the fiscal year 2022. However, for the following year (2023), you could also see a significant increase in debt borrowing capacity with the introduction of casino revenues as part of the 25 percent revenue calculation. 1 9 Report FIN 05-21 Subject: 2021 Current and Capital Budget March 22, 2021 Page 20 Please find below a historical 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 each respective year. The 2020 financial information is currently not available due to the fact the City is still processing its 2020 closing adjustments. As the chart below indicates, the City has been operating slightly below the 5 percent level of its debt limit. I 30 .00% ... -• --- 25 .00% . 20 .00% 15.00% Chart Four City's Debt Measured Against the ARL Limit 10.00% · ----... · · ... ------... ----- 5 .00% -iiiiiiiiiiiiiiiiiiiiiiiiiiiiiiiiiiiiiiiiiiiiiiiiiiiii ___________ . ,,., ~ -~ 0.00% ··--· ··----------··--·--------· ··-· ------·-·--··----··--·------···-···-··-•··--··-----·--•· 2014 2015 2016 2017 2018 2019 -Debt% -ARL It is estimated that the 2021 year-end financial data should reflect an upward direction of the slope of the line due to Council's approval of the following two major debt financed projects: Chestnut Hill Developments Recreation Complex Renovation and Seaton Fire Hall. Oebt Payments and Debt Financing of Capital Projects The 2021 Current Budget includes $5.2 million of taxpayer funded debt charges (interest and principal), excluding the City Centre project. The taxpayer funded debt charges represent 7.2 percent of the 2021 property taxes levied. In other words, for every dollar collected -7 cents is applied to debt charges. A high level summary of the City's debt, excluding the City Centre project is presented below: 20 Report FIN 05-21 Subject: 2021 Current and Capital Budget Debt Summary 2020 Debt External Debt Commitments External DC Debt Internal Loans Total 2020 Commitments Add: 2021 Debt Commitments External Debt New Internal Loans Total Debt Commitments Millions ($) $33.4 8.7 _Ll! $44.0 $11.4 _1.& $57.0 March 22, 2021 Page 21 The 2021 debt financed Capital Projects, are listed below. External Debt and Internal Financing of Capital Projects City of Pickering 2, 5, 10 and 20 Year Debt Financing 2021 Capital Budget Capital Project Code Debt - 2 Years($) Description 5321.2101 $2,175,000 Hwy 401 Road Crossing -Land Acquisition -Phase 2 Total Two Year Debt $2,175,000 Capital Project Code Debt - 5 Years($) Description 5731.2101 $200,000 CHDRC Lobby & Core Area Renovations -ContinQency Total Five Year Debt $200,000 Capital Project Code Debt -10 Years($) Description 5700.2107 $247,500 Civic Complex Parking Garage Ramp Replacement Total Ten Year Debt $247,500 Capital Project Code Debt -20 Years($) Description 5719.2101 $11,391,900 Pickering Heritage Community Centre -Construction Total Twenty Year Debt $11,391,900 Total Debt Financed $14,014,400 Projects Borrowing or debt financing should not be viewed as a negative. The proper use of debt is an essential component of prudent fiscal strategy. The use of debt promotes intergenerational equity. By borrowing, Pickering can distribute the cost of the asset over the lifetime of the asset. 21 Report FIN 05-21 Subject: 2021 Current and Capital Budget 2022 -2025 Capital Forecasts March 22, 2021 Page 22 The City's 2022 -2025 Capital Forecast outlines the City's current financial plan. Provided below is a breakdown of the various funding sources related to the capital forecast. Draft 2021 Capital Budget and 2022-2025 Capital Forecast ($M) Development Charges Debenture Financing Other Reserve & Reserve Funds Federal Gas Tax Capital from Taxation 2021 Budget Amount $25.0 14.0 4.3 25.4 3.6 .7 $73.0 2022-2025 Planned Amount $165.9 109.8 4.7 73.4 14.8 6.9 $375.5 Total $190.9 123.8 9.0 98.8 18.4 7.6 $448.5 % Total Funding 42.6 27.6 2.0 22.0 4.1 1.7 100% As shown above, the City is relying on a substantial level of development charge funding and debt financing for the City's future capital needs. The debt amount can change over time with increasing contributions to reserves. Attachments: 1. By-law to Confirm General Fees and Charges 2021 2. By-law to Provide for the Establishment of a Reserve Fund to be Known as the WSIB Excess Indemnity Reserve Fund 3. By-law to Provide for the Establishment of a Reserve Fund to be Known as the 2021 COVID-19 Recovery Reserve Fund 4. Budget Presentation, March 4, 2021 5. Average Daily Cost of Municipal Services 22 Report FIN 05-21 Subject: 2021 Current and Capital Budget Prepared By: . Original Signed By: James Halsall Manager, Budgets & Internal Audit Recommended for the consideration of Pickering City Council Original Signed By: Marisa Carpino, M.A. Chief Administrative Officer 23 March 22, 2021 Page 23 Approved/Endorsed By: Original Signed By: Stan Karwowski Director, Finance & Treasurer Attachment #1 to Report #FIN 05-21 The Corporation of the City of Pickering By-law No. XXXX/21 Being a by-law to amend By-law No. 6191 /03 to confirm General Municipal Fees Whereas the Council of the Corporation of the City of Pickering enacted By-law 6191/03, as amended, on October 14, 2003 to confirm general municipal fees. Whereas Schedule "I" to By-law 6191/03 was updated and replaced under By-law, 6338/04, By-law 6519/05, By-law 6652/06, By-law 6677/06, By-law 6748/07 By-law 6857/08, By-law 6951/09, By-law 7032/10, By-law 7119/11, By-law 7194/12, By-law 7268/13, By-law 7339/14, By-law 7411/15, By-law 7478/16, By-law 7542/17, By-law 7605/18; By-law 7679/19 and By-law 7740-20; Now therefore the Council of the Corporation of the City of Pickering hereby enacts as follows: 1. Schedule "I" to By-law Number 6191/03, as amended, is hereby deleted and Schedule "I" attached hereto is substituted therefore. By-law passed this 22nd day of March, 2021. David Ryan, Mayor Susan Cassel, City Clerk 24 Attachment #2 to Report #FIN 05-21 The Corporation of the City of Pickering By-law No. XXXX/21 Being a By-law to Provide for the Establishment of a Reserve Fund to be Known as the WSIB Excess Indemnity Reserve Fund. Whereas under the Municipal Act, S.O., 2001 as amended, Section 417(1), the Council of the City of Pickering may establish and maintain a reserve fund for any purpose for which it has authority to expend funds; and Whereas it is desirable for the City of Pickering to establish such a reserve fund for the purpose of paying potential claims and other related costs arising out of extraordinary WSIB claims such as multiple injuries arising from one incident, severe burns or paraplegic or quadriplegic claims. Now therefore the Council of the Corporation of the City of Pickering hereby enacts as follows: 1. That the establishment of a reserve fund known as the WSIB Excess Indemnity Reserve Fund is hereby authorized. 2. That WSIB Excess Indemnity Reserve Fund shall be used to pay potential claims and other related costs arising out of extraordinary WSIB claims. 3. That the financial goal of this fund is to reach a balance $2.5 million, subject to actuarial valuations of the City's future WSIB liabilities. 4. That the Interest earned on the investment of fund balances shall form part of this reserve fund. · 5. That this By-law shall come into force on the date of its enactment. By-law passed this 22nd day of March, 2021. David Ryan, Mayor Susan Cassel, City Clerk 25 Attachment #3 to Report #FIN 05-21 The Corporation of the City of Pickering By-law No. XXXX/21 Being a By-law to Provide for the Establishment of a Reserve Fund to be Known as the 2021 COVID-19 Recovery Reserve Fund. Whereas under the Municipal Act, S.O., 2001 as amended, Section 417(1 ), the Council of the City of Pickering may establish and maintain a reserve fund for any purpose for which it has authority to expend funds; and Whereas it is desirable for the City of Pickering to establish such a reserve fund for the purpose of capturing 2021 COVID-19 Recovery Grant Funding received from the provincial government to be used for 2021 and/or future COVID-19 operating costs and pressures. Now therefore the Council of the Corporation of the City of Pickering hereby enacts as follows: 1. That the establishment of a reserve fund known as the 2021 COVID-19 Recovery Reserve Fund is hereby authorized. 2. That the 2021 COVID-19 Recovery Reserve Fund shall consist of grant monies received from the Province from the COVID-19 Recovery Funding for Municipalities program. 3. That the 2021 COVID-19 RecoveryReserve Fund shall be used to address the City's 2021 and/or future COVID-19 operating costs and pressures. 3. That the Treasurer has the discretion to draw from this fund to maintain the City's · financial and business plans due to direct and indirect affects of COVID-19. 4. That the Interest earned on the investment of fund balances shall form part of this reserve fund. 5. That this By-law shall come into force on the date of its enactment.-. By-law passed this 22nd day of March, 2021. David Ryan, Mayor Susan Cassel, City Clerk 26 Residential Property Tax Deferral Program Program approved by Council on January 25, 2021 (FIN 02-21). Program will defer property tax payments that were due at the end of February and April to the end of May. (3 Month deferral) To qualify for the program, your property taxes had to be in good standing from February 29, 2020 or up-to-date by December 31, 2020. Provide verifiable documentation to demonstrate financial hardship related directly to the COVID-19 pandemic through prolonged suspension of pay, reduction in pay, or loss of employment --Ciq;o/-- PICKERING --------- Page 34 pickering .ca Update on Residential Property Tax Deferral Program Communication Strategy Advertised in the Community Page (February 11 & 18) Promoted in Interim Property Tax Brochure (approximately 16,000 copies) Promoted on Social Media using Facebook, Twitter and lnstagram Social Media Statistics Facebook -10,029 reached (the number of individuals who saw the ad) lnstagra·m -1,503 individuals reached Twitter -838 impressions The Pickering News Advertiser ran a story on the Program in early February Next Step : Promoted through mailing of Arrears Notices in March ---Ci~~f--- PICKERING 43 ------- Page 34 pickering .ca 17 r ' Office of the CAO Department Overview The Office of the Chief Administrative Officer (CAO) Department is responsible for the overall management of the municipal corporation, coordinating professional and administrative advice to City Council and implementing the decisions of Council. The Office of the CAO Department oversees the following functions: • Economic Development & Strategic Projects • Customer Care Centre • Public Affairs & Corporate Communication Office of the CAO Department ' I ' /' ' /' ' Economic Development Customer Care Centre Public Affairs & & Strategic Projects Corporate Communication / ' / '-/ Key Activities for 2021 • Coordinate the City activities associated with the Durham Live development • Confirm updated City Centre project costs and funding strategy for Council consideration • City-wide education and engagement strategy on development • Review and expand e-commerce functionality • Naming rights and sponsorship opportunities • Broaden community engagement efforts on select City initiatives • Project stakeholder management for various proposed residential, commercial and industrial development plans • Enhanced marketing & communications for economic development and website/mobile applications • Investment attraction and project management of the Pickering Innovation Corridor • Development and management of the Pickering Nuclear Generating Station (PNGS) Social, Economic and Financial Impact Study • Development and implementation of the Pickering Local Economy Resilience Strategy 57 Financial Information Staffing Summary (Full & Regular Part Time) Approved Current Term 2019 2020 Approved 2021 2018 14 Add Delete Total Full Time Reg. Part-Time Total 1 15 14 1 15 14 1 15 3 Q 3 0 17 Q 1 0 18 The department proposes one full-time Coordinator, Diversity & Inclusion position ($65,400). This new position will lead the corporate team on the development and implementation of the Corporate Wide Diversity & Inclusion strategy, as well as the associated programs and training. Available grant funding opportunities will be pursued for this new position. The other two proposed full-time positions are conversions from contract for the following: Economic Development & Strategic Projects Associate ($85,945) and Public Affairs Assistant ($71,640). The dollar figures includes salaries and benefits. Year-Over-Year (Net Cost) Budget Changes 2020 Budget 2021 Approved Budget YearNear Increase ($) (%) CAOAdministration $1,042,583 $1,185,007 $142,424 13.66 Customer Care Centre 441,656 499,047 57,391 12.99 Public Affairs & Corp. Comm. 509,995 784,702 274,707 53.86 ___ .,___ ____ ,___ ___ -'---------- Tot a I (Net Cost) ==$1=='=99=4==,2=3=4====$=2==,4=68=='=75=6===$=4 7=4==,5=2=2==2=3=. 7=9= Explanation of Significant Changes -Expenditures • Under the CAO Administration cost centre, the consulting account includes an expenditure of $252,000 to undertake a study for the financial impact for the closure of the Pickering Nuclear Generating Station that is equally funded by the City, OPG and Durham Region. It is anticipated that this consulting assignment will be completed by the second quarter of 2022. • Under the Public Affairs & Corp. Communications cost centre, the consulting account includes an expenditure of $50,000 for consulting resources to assist staff with high profile density development applications as it relates to communication and public engagement. 58 • Under the Customer Care cost centre, there is an addition of $50,900 (salary and benefits) for one temporary full time Customer Care Rep I to meet the increased call volume and workload due to COVID and City growth. Explanation of Significant Changes -Revenues/ (Transfer from Reserves) • Conversion of two contract positions previously funded from the rate stabilization reserve has resulted in a reduction in reserve funding translating into a higher Net Cost for the following two cost centres: CAO Administration and Public Affairs & Corporate Communications. 2020 Performance Indicators/Statistics E . D conom1c eve opmen ra eg1c roJec s t & St t . P . t Business Inquiries 1,200+ Business Consultations 100+ COVID Business Recovery Podcast Series 428 views Investment Inquiries 90 City-ted Business Events (i.e. Town Halls and Realtor & 1,000 views Developer Symposium) COVID Business Events/Webinars with Partners 4,000+ views COVID Social Media Posts and Mail-outs (i.e. Newsletters, 3,000+ Social Media Posts) Support Local Campak:1n profiles (i.e. Profilinq small businesses) 95 Customer Care Telephone 41,378 Counter -in person inquiries made by the public at the 703 Customer Care Centre (located at City Hall) AMANDA Service Requests -AMANDA is a property based 21,093 software platform, which, in part, allows service requests·from the public to be opened, with follow up details entered until the completion of the request. Live Chat -real time communication with Customer Care staff 533 during regular business hours. Customer Care Web Email 4,125 Pingstreet -Smart App enabling residents to submit a request 414 for service or ask a question of the City. After-Hours Calls -calls received from the City's contracted 1,519 after-hours service provider that are screened and processed by City staff on the next business day. Total 69,765 59 Communication Website Website (pickering.ca) visits 494,364 visitors 1,445, 159 unique page views Website News Centre (Media Releases) 55,979 unique page views Social Media @CityofPickering only (corporate account) Facebook Likes (new for 2020) 1,334 Total: 8,784 lnstagram Followers (new for 2020) 2,939 Total: 6,818 Twitter Impressions 1,117,100 Twitter Followers (new for 2020) 1,050 Pingstreet -Smart App which provides mobile users with key City news, calendar information, and social media feeds, along with reporting and feedback tools. Unique Page Views 14,803 · Unique Users 750 60 Office of the CAO Department 2019 Actuals Expenditures 1100 Salaries & Wages 1,241,369 1200 Overtime 422 1400 Employer Contributions 326,318 1800 Conferences 14,077 2110 Travel 39,609 2115 Bus Dev & City Promo 20,345 2131 Cellular Phones 10,576 2140 Telephones 21,702 2210 Advertising 20,554 2211 Trade Shows, Exhib & Display, 11,022 2220 Subscription & Publications 1,991 2340 Seminars & Education 5,770 2365 Purch Prnting/Broch/News Ur 4,095 2370 Insurance Premium 8,594 2392 Consulting & Professional 216,136 2394 Recpt, Prom & Sp Events 102,599 2395 Memberships 5,372 2396 Photo, Mapping, Printing 5,665 2399 Outside Agency Serv 23,443 2479 Software/Hardware Maintenanc 2,158 5300 Stationery & Office Supplies 4,266 5320 Program Supplies 11,566 5530 Utilities -Hydro 988 5900 Gas, Oil Tires 429 6100 Website Support Intranet 36,595 Total Expenditures 2,135,661 Revenues 9990 Other Revenue (11,540) 9954 Netted Revenue 0 9940 Advertising 0 9965 Cost Recoveries (37,699) 9985 Marketing Sponsorships (84,916) 1511 Film Permits (12,250) Total Revenues {146,405) Transfers to/from Reserves & R.F. 1910 Transfer to/(from) Reserve 0 1911 Trans. to/(from) Continuing Stu (9,774) Total Transfers (9,774) City of Pickering 2021 Current Budget Approved Final 2020 2020 YTD Approved Actuals Budget 1,512,111 1,644,473 (111) 2,250 373,473 390,330 3,203 14,000 21,099 40,550 1,193 23,000 10,288 11,600 18,063 25,625 11,996 25,000 7,063 17,000 3,797 3,695 703 6,500 4,036 6,000 8,750 8,750 81,910 193,600 50,748 116,750 6,566 8,365 2,067 6,000 30,588 87,850 3,521 9,306 3,804 4,100 7,514 15,700 1,216 3,300 0 1,000 28,369 42,615 2,191,967" 2,707,359 (7,850) (15,000) 0 0 0 (50,000) 0 (180,000) 0 (75,000) (18,500) 0 (26,350) (320,000) 0 (393,125) 0 0 0 (393,125) 61 Run Date: 4/21/2111:58 AM 2021 INC./DEC. Approved % CHGE. Budget 2020 183,507 1,827,980 11.16% 0 2,250 0.00% 36,712 427,042 9.41% (1,000) 13,000 (7.14%) 0 40,550 0.00% 0 23,000 0.00% 900 12,500 7.76% (515) 25,110 (2.01%) (2,000) 23,000 (8.00%) 0 17,000 0.00% (250) 3,445 (6.77%) 7,500 14,000 115.38% 0 6,000 0.00% 170 8,920 1.94% 398,836 592,436 206.01% (3,000) 113,750 (2.57%) 360 8,725 4.30% (2,000) 4,000 (33.33%) 27,000 114,850 30.73% 13,333 22,639 143.27% 0 4,100 0.00% (15,000) 700 (95.54%) 0 3,300 0.00% 0 1,000 0.00% 6,950 49,565 16.31% 651,503 3,358,862 24.06% 15,000 0 (100.00%} (11,500) (11,500) 0.00% 0 (50,000) 0.00% (143,000) (323,000) 79.44% 0 (75,000} 0.00% 0 0 0.00% (139,500) (459,500) 43.59% 10,855 (382,270) (2.76%) (48,336) (48,336) 0.00% (37,481) (430,606) 9.53% Office of the CAO Department 2019 ' Actuals Net 1,979,482 City of Pickering 2021 Current Budget Approved Final 2020 2020 YTD Approved Actuals Budget 2,165,617 1,994,234 62 Run Date: 4/21/2111:58 AM 2021 INC./DEC. Approved % CHGE. Budget 2020 474,522 2,468,756 23.79% 2121 Office of the CAO -Adm in 2019 Actuals Expenditures 1100 Salaries & Wages 574,383 1200 Overtime 0 1400 Employer Contributions 136,898 1800 Conferences 11,231 2110 Travel 37,391 2115 Bus Dev & City Promo 19,231 2131 Cellular Phones 7,603 2140 Telephones 824 2210 Advertising 12,129 2211 Trade Shows, Exhib & Displayf 11,022 2220 Subscription & Publications 794 2340 Seminars & Education 5,186 2370 Insurance Premium 2,702 2392 Consulting & Professional 123,687 2394 Recpt, Prom & Sp Events 91,702 2395 Memberships 4,634 2399 Outside Agency Serv 22,050 2479 Software/Hardware Maintenan< 485 5300 Stationery & Office Supplies 3,740 5900 Gas, Oil Tires 429 Total Expenditures 1,066,121 Revenues 9965 Cost Recoveries (37,699) 9985 Marketing Sponsorships (84,916) Total Revenues (122,615) Transfers to/from Reserves & R.F. 1910 Transfer to/(from) Reserve 0 1911 Trans. to/(from) Continuing Stu (9,774) Total Transfers (9,774) Net 933,732 City of Pickering 2021 Current Budget Approved Final 2020 2020 YTD Approved Actuals Budget 84~,794 967,583 0 750 192,808 222,142 3,203 8,500 21,050 34,000 1,193 20,000 7,270 7,400 1,493 2,115 6,420 15,000 7,063 17,000 293 775 132 5,000 2,750 2,750 54,149 125,000 44,125 103,000 5,983 7,520 12,475 22,350 970 1,493 2,920 2,500 0 1,000 1,213,091 1,565,878 0 (180,000) 0 (75,000) 0 (255,000) 0 (268,295) 0 0 0 (268,295) 1,213,091 1,042,583 63 Run Date: 4/21/2112:03 PM 2021 INC./DEC. Approved % CHGE. Budget 2020 (985) 966,598 (0.10%) 0 750 0.00% 3,842 225,984 1.73% 0 8,500 0.00% 0 34,000 0.00% 0 20,000 0.00% 900 8,300 12.16% (65) 2,050 (3.07%) 0 15,000 0.00% 0 17,000 0.00% 0 775 0.00% 0 5,000 0.00% 50 2,800 1.82% 370,336 495,336 296.27% 0 103,000 0.00% 355 7,875 4.72% 0 22,350 0.00% 177 1,670 11.86% 0 2,500 0.00% 0 1,000 0.00% 374,610 1,940,488 23.92% (143,000) (323,000) 79.44% 0 (75,000) 0.00% (143,000) (398,000) 56.08% (40,850) (309,145) 15.23% (48,336) (48,336) 0.00% (89,186) (357,481) 33.24% 142,424 1,185,007 13.66% City of 1Pickeiri111g 2021 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) Conversion of one full-time Economic Development & Strategic Projects Associate contract position to a permanent full-time position. 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 conversion of one full-time Economic Development & Strategic Projects Associate contract position to a permanent full-time position. 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 64 Run Date: 4/21/2112:05 PM 2021 Bud et 643,753 130,000 124,200 68,645 966,598 750 7q0 162,739 25,000 20,945 17,300 225,984 8,500 8,500 12,000 7,000 15,000 34,000 20,000 20,000 2,000 2,000 2121 Office of the CAO -Admin City of !Pickering 2021 Approved Background Information Annual Smartphone Charges -Senior Econ. Dev. Officer Annual Smartphone Charges -Eco. Dev. & Strategic Projects Associate Annual Smartphone Charges -Supervisor, Administrative Services Annual Tablet charges -CAO Total 2121.2131.0000 Cellular Phones 2121.2140.0000 Telephones Run Date: 4/21/21 12:05 PM 2021 Bud et 1,500 1,500 800 500 8,300 Voice / Data 1,820 Internet 230 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 (trade 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 municipal activities and property. (Policy coverage includes: liability, automobile and property). Total 2121.2370.0000 Insurance Premium 2121.2392.0000 Consulting & Professional Consulting for Economic Development & Strategic Projects Consulting for communication assignments related to corporate/strategic projects. Funded from Rate Stabilization Reserve. Consulting for Economic, Social and Financial Impact Study for the closure of Pickering Nuclear Generation Station. Funded from Region of Durham (1/3), OPG (1/3) and Rate Stabilization Reserve (1/3). Consulting for City of Pickering Economic Resilience Strategy 65 2,050. 15,000 15,000 5,000 7,000 5,000 17,000 775 775 5,000 5,000 2,800 2,800 75,000 50,000 252,000 40,000 City of Piclkering 2021 Approved Background Information 2121 Office of the CAO -Admin Consulting for feasibility and high level cost estimate of potential East-West collector road (Between Bayly and Hwy 401}. Funded from Cont. Studies Reserve -PO# 700495. Consulting for Naming Rights and Sponsorship Evaluation Strategy for City Facilities (including City Centre). Funded from Casino Reserve. 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) Business Engagement Event. Event expenses include staging and sound, entertainment, catering and rentals, promotions, displays, etc. (costs offset by corporate sponsorship) Total 2121.2394.0000 Recpt,Prom. & Sp.Ev.,Gen 2121.2395.0000 Memberships Ajax-Pickering Board of Trade Toronto Region Board of Trade 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 66 Run Date: 4/21/21 12:05 PM 2021 Bud et 48,336 · 30,000 495,336 10,000 5,000 4,000 9,000 75,000 103,000 1,500 2,500 150 700 250 1,075 1,200 500 7,875 2,500 7,500 6,000 5,700 650 22,350 1,670 1,670 2,500 2,500 City of Puckering 2021 Approved Background Information 2121 Office of the CAO -Admin 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 Funding from Developers (100%) -One full-time Project Manager -Northeast Pickering contract position Funding (1/3 share) from Region of Durham for Economic, Social and Financial Impact Study for the closure of PNGS Funding (1/3 share) from OPG for Economic, Social and Financial Impact Study for the closure of PNGS Total 2121.9965.0000 Cost Recoveries 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 communication assignments related to corporate/strategic projects Rate Stabilization Res. funding for Economic, Social and Financial Impact Study for the closure of PNGS Total 1910.7021.2121 Frm Rate Stab -CAO 1910.7067.2121 Frm Casino Res -CAO Off Casino Reserve funding for one full-time -Construction Manager -Strategic Projects contract position Casino Reserve funding for consulting for naming rights and sponsorship evaluation strategy for City facilities (including City Centre) Total 1910.7067.2121 Frm Casino Res -CAO Off 1911.2121.0000 Trsf from Res -CAO Continuing Studies Res. funding for consulting for feasibility and high level cost estimate of potential east-west collector road (between Bayly and Hwy 401) Total 1911.2121.0000 Trsf from Res -CAO 67 Run Date: 4/21/21 12:05 PM 2021 Bud et 1,000 1,000 1,940,488 (155,000) (84,000) (84,000) (323,000) (75,000) (75,000) (398,000) (50,000) (84,000) (134,000) (145,145) (30,000) (175,145) (48,336) (48,336) 2121 Office of the CAO -Admin Total Transfers Net Expenses City of Pickering 2021 Approved Background Information 68 Run Date: 4/21/21 12:05 PM 2021 Bud et (357,481) 1,185,007 2129 Customer Care Centre 2019 Actuals Expenditures 1100 Salaries & Wages 308,373 1200 Overtime 0 1400 Employer Contributions 97,193 1800 Conferences 1,140 2110 Travel 717 2131 Cellular Phones 619 2140 Telephones . 19,576 2340 Seminars & Education 0 2370 Insurance Premium 2,533 2394 Recpt, Prom & Sp Events 41 2395 Memberships 399 2479 Software/Hardware Maintenanc 0 5300 Stationery & Office Supplies 267 5320 Program Supplies 11,566 Total Expenditures 442,424 Revenues 9990 Other Revenue (11,540) Total Revenues (11,540) Transfers to/from Reserves & R.F. Total Transfers 0 Net 430,884 City of Pickering 2021 Current Budget Approved Final 2020 2020 YTD Approved Actuals Budget 360,693 312,237 89 1,000 104,638 96,783 0 1,500 0 800 233 800 15,575 22,100 0 500 2,580 2,580 0 750 416 495 527 811 410 600 7,514 15,700 492,675 456,656 (7,850) (15,000) (7,850) (15,000) 0 0 484,825 441,656 69 Run Date: 4/21/21 12:03 PM 2021 INC./DEC. Approved % CHGE. Budget 2020 51,769 364,006 16.58% 0 1,000 0.00% 5,902 102,685 6.10% 0 1,500 0.00% 0 800 0.00% · 0 800 0.00% (65) 22,035 (0.29%) 0 500 0.00% 50 2,630 1.94% 0 750 0.00% 5 500 1.01% (270) 541 (33.29%) 0 600 0.00% (15,000) 700 (95.54%) 42,391 499,047 9.28% 15,000 0 (100.00%) 15,000 0 (100.00%) 0 0 0.00% 57,391 499,047 12.99% 2129 Customer Care Centre Expenditures 2129.1100.0000 Salaries & Wages Base Salaries and Wages City of Puckering 2021 Approved Background Information One temporary full-time Customer Care I position -start date April 1, 2021 2021 CUPE salary increase transfer from Gen. Gov't Contingency 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 Statutory benefits related to one temporary full-time Customer Care I position - start date April 1, 2021 Benefits related to 2021 CUPE salary increase transfer from Gen. Gov't Contingency 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: 4/21/21 12:05 PM 2021 Bud et 316,844 46,250 912 364,006 1,000 1,000 97,814 4,650 221 102,685 1,500 1,500 800 800 800 800 Voice/ Data 3,555 Internet 230 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). 70 18,250 22,035 500 500 2,630 City @f Piekerirng 2021 Approved Background Information 2129 Customer Care Centre 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 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 Purchases (approx. 6,000 tags purchased each year at $2.50 a tag - expense is offset by revenue from the program) Transfer to 2127 Total Expenses Revenues Total 2129.5320.0002 Garbage Tags 2129.9990.0000 Miscellaneous Revenue Garbage Bag Tag Sales Transfer to 2127 Total Revenues · Total Transfers Net Expenses Total 2129.9990.0000 Miscellaneous Revenue 71 Run Date: 4/21/21 12:05 PM 2021 Bud et 2,630 750 750 150 350 500 541 541 600 600 700 700 15,000 (15,000) 0 499,047 (15,000) 15,000 0 0 0 499,047 2621 Public Affairs & Corp. Comm. 2019 Actuals Expenditures 1100 Salaries & Wages 358,613 1200 Overtime 422 1400 Employer Contributions 92,227 1800 Conferences 1,706 2110 Travel 1,501 2115 Bus Dev & City Promo 1,114 2131 Cellular Phones 2,354 2140 Telephones 1,302 2210 Advertising 8,425 2220 Subscription & Publications 1,197 2340 Seminars & Education 584 2365 Purch Prnting/Broch/News Ur 4,095 2370 Insurance Premium 3,359 2392 Consulting & Professional 92,449 2394 Recpt, Prom & Sp Events 10,856 2395 Memberships 339 2396 Photo, Mapping, Printing 5,665 2399 Outside Agency Serv 1,393 2479 Software/Hardware Maintenarn 1,673 5300 Stationery & Office Supplies 259 5530 Utilities -Hydro 988 6100 Website Support Intranet 36,595 Total Expenditures 627,116 Revenues 9954 Netted Revenue 0 9940 Advertising 0 1511 Film Permits (12,250) Total Revenues (12,250) Transfers to/from Reserves & R.F. 1910 Transfer to/(from) Reserve 0 Total Transfers 0 Net 614,866 City of Pickering 2021 Current Budget Approved Final 2020 2020 YTD Approved Actuals Budget 302,624 364,653 (200) 500 76,027 71,405 0 4,000 49 5,750 0 3,000 2,785 3,400 995 1,410 5,576 10,000 3,504 2,920 571 1,000 4,036 6,000 3,420 3,420 27,761 68,600 6,623 13,000 167 350 2,067 6,000 18,113 65,500 2,024 7,002 474 1,000 1,216 3,300 28,369 42,615 486,201 684,825 0 0 0 (50,000) (18,500) 0 (18,500) (50,000) 0 (124,830) 0 (124,830) 467,701 509,995 72 Run Date: 4/21/21 12:03 PM 2021 INC./DEC. Approved % CHGE. Budget 2020 132,723 497,376 36.40% 0 500 0.00% 26,968 98,373 37.77% (1,000) 3,000 (25.00%) 0 5,750 0.00% 0 3,000 0.00% 0 3,400 0.00% (385) 1,025 (27.30%) (2,000) 8,000 (20.00%) (250) 2,670 (8.56%) 7,500 8,500 750.00% 0 6,000 0.00% 70 3,490 2.05% 28,500 97,100 41.55% (3,000) 10,000 (23.08%) 0 350 0.00% (2,000) 4,000 (33.33%) 27,000 92,500 41.22% 13,426 20,428 191.75% 0 1,000 0.00% 0 3,300 0.00% 6,950 49,565 16.31% 234,502 919,327 34.24% (11,500) (11,500) 0.00% 0 (50,000) 0.00% 0 0 0.00% (11,500) (61,500) 23.00% 51,705 (73,125) (41.42%) 51,705 (73,125) (41.42%) 274,707 784,702 53.86% City of Puckering 2021 Approved Background Information 2621 Public Affairs & Corp. Comm. Expenditures 2621.1100.0000 Salaries & Wages Base Salaries and Wages One new full-time Coordinator, Diversity & Inclusion position -start date May 1, 2021. Possible grant funding opportunities will be pursued to partially or fully fund this new position. Conversion of one full-time Public Affairs Assistant contract position to a permanent full-time position. One contract full-time Coordinator, Communications -Digital Media position (funded from the Rate Stabilization Reserve) One contract full-time Accessible Documents Specialist position 2021 CUPE salary increase transfer from Gen. Gov't Contingency Total 2621.1100.0000 Salaries & Wages 2621.1200.0000 Overtime To meet service level/workload commitments Total 2621.1200.0000 Overtime 2621.1400.0000 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 Coordinator, Diversity & Inclusion position - start date May 1, 2021 Benefits related to conversion of one full-time Public Affairs Assistant contract position to a permanent full-time position. Statutory benefits related to one contract full-time Coordinator, Communications - Digital Media position (funded from the Rate Stabilization Reserve) Benefits related to 2021 CUPE salary increase transfer from Gen. Gov't Contingency Total 2621.1400.0000 Employer Contributions· 2621.1800.0000 Conferences Topical Conference Business Development Topical Conference -Mgr., Public Affairs & Corporate Communications Topical Conference -Coord., Corp. Comm. & Comm. Engagement Total 2621.1800.0000 Conferences 2621.2110.0000 Travel Parking & Mileage Airfare & Train for Trade Shows, Conferences and Business Missions Total 2621.2110.0000 Travel 73 Run Date: 4/21/2112:05 PM 2021 Bud et 255,434 50,300 56,730 64,000 70,000 912 497,376 500 500 62,104 15,100 14,910 6,080 179 98,373 1,000 1,000 1,000 3,000 2,750 3,000 5,750 City cf Piclkerili'!lg 2021 Approved Background Information 2621 Public Affairs & Corp. Comm. 2621.2115.0000 Business Development Business Activities & Special City Initiatives Total 2621.2115.0000 Business Development 2621.2131.0000 Cellular Phones Annual Smartphone Charges (3 staff) -Mgr., Public Affairs & Corporate Communications, Coard., Corp. Comm. & Comm. Engagement, and Digital Communications Specialist Annual Tablet Charges (2 staff) - -Mgr., Public Affairs & Corporate Communications and Coard., Corp. Comm. & Comm. Engagement Total 2621.2131.0000 Cellular Phones 2621.2140.0000 Telephones Run Date: 4/21/21 12:05 PM 2021 Bud et 3,000 3,000 2,400 1,000 3,400 Voice/ Data 91 0 Internet 115 Total 2621.2140.0000 Telephones 2621.2210.0000 Advertising Special City Advertising Total 2621.2210.0000 Advertising 2621.2220.0000 Subscriptions & Publicati 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 -Coard. Corp. Comm. & Comm. Engagement Staff training for website and laserfiche accessibility compliance 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 74 1,025 8,000 8,000 470 1,200 550 450 2,670 1,000 7,500 8,500 6,000 6,000 3,490 3,490 City of 1Pickeru111g 2021 Approved Background Information 2621 Public Affairs & Corp. Comm. Consulting for Business Development (marketing strategies, promo videos) and Community Engagement (facilitation for special initiatives, promo videos; PSAs Pickering 101, training) Consulting for the development and implementation of a community engagement strategy to educate residents on the Planning Process Pickering 101 online learning modules Accessibility Compliance Audit Digital Engagement Platform (Bang the Table) to help educate and engage the community on a number of the City's key initiatives Total 2621.2392.0000 Consulting & Professional 2621.2394.0000 Recpt,Prom. & Sp.Ev., Gen Your City Event, Community Engagement Promotion General Public Relations 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) External document remediation services to help bring City website and Laserfiche documents into accessibility compliance Total 2621.2399.0000 Outside Agency Services 2621.2479.0000 Sfwr/Hdwr Maint Contracts General Enhancements Maintenancff-Pingstreet City Mobile Application Maintenance -HRIS 75 Run Date: 4/21/2112:05 PM 2021 Bud et 15,000 50,000 7,100 10,000 15,000 97,100 5,000 5,000 10,000 350 350 500 2,500 1,000 4,000 6,000 6,500 50,000 30,000 92,500 3,000 3,000 628 Coty cf !Pickering 2021 Approved Background Information 2621 Public Affairs & Corp. Comm. PDF and Word licences and annual support fees to assist Dept. staff with creating and remediating accessible documents 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 Cludo Site Search Payment Gateway License (eStore) Demographic Data Set (annual fee) Customized Economic Development Report Tool (annual fee) Pingstreet license (annual fee) Browse Aloud Site Improve 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 2621.9954.0000 Netted Revenue Salary and benefits -City (cost recovery from Library for services provided by Public Affairs Assistant-5 mths at 1/2 time) Total 2621.9954.0000 Netted Revenue 76 Run Date: 4/21/2112:05 PM 2021 Bud et 13,800 20,428 1,000 1,000 3,300 3,300 925 3,100 2,500 1,850 3,050 2,500 250 600 20,000 700 850 1,800 1,840 3,000 1,600 5,000 49,565 919,327 (50,000) (50,000) (11,500) (1'1,500) City @f Pfick.ero111g 2021 Approved Background Information 2621 Public Affairs & Corp. Comm. Run Date: 4/21/21 12:05 PM 2021 Bud et Total Revenues (61,500) 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. Total Transfers Net Expenses Total 1910.7021.2621 Frm Rate Stab -Econ Dev 77 (73,125) (73,125) (73,125) 784,702 City Development Department Overview The City Development Department takes a holistic approach towards city building through advancing smart growth planning principles, while adhering to the objectives of sustainability and environmental stewardship. The department participates in numerous activiti~s respecting land use and public policy, community development, urban design, site planning and building construction. The department is responsible for the following areas: • Administration • Building Services • Planning • Planning & Design • Policy & Geomatics • Zoning & Administration • Sustainability r City Development Department '- I I I r ' Planning Division * Building Services Planning & Design Policy & Geomatics Zoning & Administration '- \. * Includes Committee of Adjustment and Heritage Pickering Key Activities for 2021 ..., _/ I ..., Sustainability _/ ' • Initiate Phase 2 of the Comprehensive Zoning By-law Review and the draft by-law consultation program • Recommend official plan and zoning amendments for both the Kingston Road Corridor & Specialty Retailing Node and the Infill & Replacement Housing Studies • Complete the Pickering Housing Strategy Study • Select and implement Phase 1 of Integrated Digital Solution • Review high density intensification applications (Universal City, Kingston Road Corridor and Brock Node) • Initiate Northeast Pickering community planning study • Initiate Waterfront & Nautical Village Visioning Exercise 82 ..., _/ • Complete the review and recommend a new Sign By-law Uoint initiative with Corporate Services Department) • Implement year 2 of the 5-year Corporate Energy Management Plan • Implement Corporate Waste Diversion Initiative • Develop new Integrated Sustainable Building & Development Standards Financial Information Staffing Summary (Full & Regular Part Time) Approved Current Term 2018 2019 2020 Approved Full Time 44 _Q 44 51 _Q 51 51 _Q 51 Add 0 0 0 2021 Delete 0 Total 51 Reg. Part-Time Total Q 0 0 51 No additional staffing recommended for 2021. There will be reclassifications of certain positions to accommodate workload demands for 2021. Year-Over-Year (Net Cost) Budget Changes 2020 Budget 2021 Approved Budget YearNear Increase ($) (%) City Development-Adm. $705,458 $778,934 $73,476 10.42 Planning 1,580,003 1,756,051 176,048 11.14 Building Services (580,772) (1,061,932) (481,160) 82.85 Sustainability 661,347 667,789 6,442 0.97 Committee of Adjustment 10,464 10,071 (393) (3.76) Heritage Pickering 19,725 16,375 (3,350) (16.98) Total (Net Cost) $2,396,255 $2,167,288 ($228,937) (9.55) ===================================aa=='===:a= Explanation of Significant Budget Changes -Expenses • Consulting & Professional -Budget increase of $1,385,951 reflects studies, directed by Council resolution, including $1,000,000 for Northeast Pickering background studies (71 % funded by landowners and 29% DC funded), and $50,000 for the Waterfront & Nautical Village Visioning Exercise. This amount also includes $75,000 for the first phase of a corporate strategic plan for the City's mapping system (39% DC funded), and additional funds to support external building permit submission reviews. 83 • Software/Hardware Maintenance -Budget increase of $61,883 reflects an increase in the annual software maintenance cost of $5,000 for the City's property data base system (AMANDA), the purchase of a new software & training subscription in the amount of $45,800 (which will help automate tasks now done by manual data input); and the purchase of new software in the amount of $12,720 (to allow for remote plan review, mark-up, changes and approvals by multiple staff). • Program Supplies -Due to COVID, several events and programs are either being modified, cancelled, or held virtually, resulting in a budget decrease of $29,730. Explanation of Significant Budget Changes -Revenues (Transfer from Reserves) • Sale of Services Planning Applications -Development application activity is variable. Budget increase of $140,500 based on anticipated applications for 2021. • Cost Recoveries -Budget increase of $662,745 based on funding from North East Pickering landowners group of studies in support of the official plan amendment. • Misc Income -Budget increase of $273,000 reflects amount of grant funding being pursued for Phase 2 of Sustainable Development Guidelines. • Transfer from Reserves -Due to COVID, several studies were delayed, which resulted in a net budget increase of $447,456 for transfers from reserves. It is anticipated that they will continue and/or proceed in 2021. 2020 Performance Indicators/Statistics Building Services Permits Issued Number of Inspections Number of Investigations Pl A r f annmg pp1ca1ons To P&D Committee & Council To Committee of Adjustment To Site Plan Committee To Heritage Committee/Delegated Comments On policy initiatives of other On Land Divisions Film Permits Pre-consultations Reports I Information Recommendations 1,021 ' . 12,117 204 27 71 26 3 5 8 16 19 16 28 84 Requests Geomatics Requests (e.g., mapping, addressing, program queries 413 and updates, open data portals) Legal, Vehicle & Zoning Compliance 115 Site Plan Approvals Issued 6 Special Studies, Projects, Reviews Underway 4 S t . bTt us ama 11:y Energy Conservation Incentives $112,000 · collected Sustainable Pickering Initiatives -Workshops 4 (600 participants) -Trees and Shrubs Planted 690 -Farmers Market 4,550 attendees -Virtual Farmers Market 9,571 website views Waste Reduction & Diversion -Dog Waste 6.4 tonnes -Batteries 91 kilograms -Waste Diversion Receptacles 165 installed Notes Metrics are not inclusive of all City Development events/programs/projects. Metrics do not distinguish between the levels of complexity of requests/applications. Metrics do not reflect all work of all positions in the Department. 85 City Development Department 2019 Actuals Expenditures 1100 Salaries & Wages 4,007,956 1200 Overtime 5,575 1400 Employer Contributions 1,016,052 1800 Conferences 15,831 1900 Uniforms 1,582 2110 Travel 33,153 2131 Cellular Phones 8,348 2140 Telephones 13,934 2210 Advertising 7,65~ 2211 Trade Shows, Exhib & Displayf 1,733 2220 Subscription & Publications 8,274 2340 Seminars & Education 30,286 2365 Purch Prnting/Broch/News Ur 397 2370 Insurance Premium 26,122 2371 Ins. Deductible 0 2392 Consulting & Professional 501,114 2394 Recpt, Prom & Sp Events 18,307 2395 Memberships 28,044 2396 Photo, Mapping, Printing 700 2399 Outside Agency Serv 12,656 2457 Veh -Repairs & Maintenance 855 2479 Software/Hardware Maintenanc 132,441 2635 Building Rentals 0 2678 Rental Misc Equip 9,845 5300 Stationery & Office Supplies · 20,292 5302 Forms 1,130 5320 Program Supplies 153,603 5400 Gift Shop Plaques 0 5900 Gas, Oil Tires 66 5902 Supplies & Tools 723 5975 Hardware Replacements 0 Total Expenditures 6,056,672 Revenues 1460 Sale of Serv-Plan Admin (1,352) 1461 Sale of Serv-Plan Appl (1,275,325) 1517 Licenses & Permits (3,101,416) 1592 Donations 0 1623 Ont. Specific Grants 0 City of Pickering 2021 Current Budget Approved Final 2020 2020 YT□ Approved Actuals Budget 4,325,911 4,615,390 24,001 13,750 1,113,023 1,185,063 5,670 20,825 935 4,900 13,863 32,420 8,199 12,000 13,685 19,410 4,319 10,500 1,614 4,000 6,754 7,900 20,824 42,780 5,485 5,000 26,590 26,590 2,114 2,000 363,413 875,039 2,510 23,650 25,748 35,080 1,955 4,250 1,031 16,000 1,123 2,000 132,774 133,092 0 300 10,146 10,150 20,741 25,650 458 3,000 92,148 170,725 0 2,500 16 1,000 1,529 2,300 3,942 6,000 6,230,521 7,313,264 (1,639) (2,000) (1,875,085) (1,025,000) (3,080,737) (3,010,000) 0 (1,500) 0 0 86 Run Date: 4/21/2111:58 AM 2021 INC./DEC. Approved % CHGE. Budget 2020 (3,871) 4,611,519 (0.08%) 3,000 16,750 21.82% 54,101 1,239,164 4.57% (8,600) 12,225 (41.30%) (2,000) 2,900 (40.82%) (11,200) 21,220 (34.55%) 1,700 13,700 14.17% (290) 19,120 (1.49%) (370) 10,130 (3.52%) (1,500) 2,500 (37.50%) (1,000) 6,900 (12.66%) 1,670 44,450 3.90% 1,000 6,000 20.00% 530 27,120 1.99% 0 2,000 0.00% 1,385,951 2,260,990 158.39% (9,200) 14,450 (38.90%) (4,410) 30,670 (12.57%) 5,780 10,030 136.00% (6,500) 9,500 (40.63%) 0 2,000 0.00% 61,883 194,975 46.50% 0 300 0.00% 0 10,150 0.00% (5,500) 20,150 (21.44%) (2,000) 1,000 (66.67%) (29,730) 140,995 (17.41%) (2,500) 0 (100.00%) 2,000 3,000 200.00% 1,000 3,300 43.48% 4,000 10,000 66.67% 1,433,944 8,747,208 19.61% 0 (2,000) 0.00% (140,500) (1,165,500) 13.71% 10,000 (3,000,000) (0.33%) 1,000 (500) (66.67%) (14,680) (14,680) 0.00% City Development Department 2019 Actuals 9990 Other Revenue (29,516) 9950 EventVendorFees (22,883) 9965 Cost Recoveries (28,746) 9980 Sponsorships No Tax 0 9985 Marketing Sponsorships 0 9990 Misc Income (5,375) 1511 Film Permits 0 9993 oth Rev -Rebates/Incentive (250) 1530 Rntl -CCC Roof Solar Panel (6,000) Total Revenues (4,470,863) Transfers to/from Reserves & R.F. 1910 Transfer to/(from) Reserve 0 1911 Trans. to/(from) Continuing Stu (280,006) 1920 Transfer to/(from) Reserve Fun (158,677) Total Transfers (438,683) Net 1,147,126 City of Pickering 2021 Current Budget Approved Final 2020 2020 YTD Approved Actugls Budget (17,626) (35,000) (14,831) (25,000) (95,465) (281,965) 0 (5,000) 0 (1,000) (1,260) (4,000) 0 (7,500) (100,316) (40,000) (6,000) (6,000) (5,192,959) (4;443,965) 0 (233,840) (110,290) (144,424) (93,172) (94,810) (203,462) (473,074) 834,100 2,396,225 87 Run Date: 4/21/2111:58 AM 2021 INC./DEC. Approved % CHGE. Budget 2020 0 (35,000) 0.00% 0 (25,000) 0.00% (662,745) (944,710) 235.05% 1,500 (3,500) (30.00%) (2,000) (3,000) 200.00% (273,000) (277,000) 6,825.00% (135,000) (142,500) 1,800.00% 0 (40,000) 0.00% 0 (6,000) 0.00% (1,215,425) (5,659,390) 27.35% (119,505) (353,345) 51.11% 100,674 (43,750) (69.71%) (428,625) (523,435) 452.09% (447,456) (920,530) 94.58% (228,937) 2,167,288 (9.55%) 2610 City Development -Admin 2019 Actuals Expenditures 1100 Salaries & Wages 468,201 1200 Overtime 0 1400 Employer Contributions 114,635 1800 Conferences 2,316 2110 Travel 577 2131 Cellular Phones 421 2140 Telephones 1,838 2220 Subscription & Publications 5,999 2340 Seminars & Education 1,107 2370 Insurance Premium 3,052 2394 Recpt, Prom & Sp Events 1,018 2395 Memberships 224 2479 Software/Hardware Maintenanc 132,441 2678 Rental Misc Equip 9,845 5300 Stationery & Office Supplies 1,586 5902 Supplies & Tools 0 Total Expenditures 743,260 Revenues 1460 Sale of Serv-Plan Admin (1,352) Total Revenues (1,352) Transfers to/from Reserves & R.F. Total Transfers 0 Net 741,908 City of Pickering 2021 Current Budge~ Approved Final 2020 2020 YTD Approved Actuals Budget 417,578 433,573 0 500 110,671 122,746 0 1,000 17 500 269 800 1,742 2,470 5,742 3,500 0 2,500 3,105 3,105 0 500 0 500 125,020 122,514 10,146 10,150 1,230 3,000 0 100 675,520 707,458 (1,639) (2,000) (1,639) (2,000) 0 0 ' 673,881 705,458 88 Run Date: 4/21/2112:03 PM 2021 INC./DEC. Approved % CHGE. Budget 2020 9,743 443,316 2.25% 0 500 0.00% 2,206 124,952 1.80% (1,000) 0 (100.00%) (500) 0 (100.00%) 0 800 0.00% (80) 2,390 (3.24%) 1,000 4,500 28.57% (1,000) 1,500 (40.00%) 65 3,170 2.09% 0 500 0.00% 0 500 0.00% 64,542 187,056 52.68% 0 10,150 0.00% (1,500) 1,500 (50.00%) 0 100 0.00% 73,476 780,934 10.39% 0 (2,000) 0.00% 0 (2,000) 0.00% 0 0 0.00% 73,476 778,934 10.42% 2610 City Development -Ad min Expenditures 2610.1100.0000 Salaries & Wages Base Salaries and Wages City of IPnclkering 2021 Approved Background Information 2021 CUPE salary increase transfer from Gen. Gov't Contingency 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 Benefits related to 2021 CUPE salary increase transfer from Gen. Gov't Contingency Total 2610.1400.0000 Employer Contributions 2610.1800.0000 Conferences City Development Related Conference -Director -registration and accommodation COVID Reduction Total 2610.1800.0000 Conferences 2610.2110.0000 Travel Parking & mileage Mileage -Conference COVID Reduction 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: 4/21/21 12:05 PM 2021 Bud et 441,634 1,682 443,316 500 500 124,619 333 124,952 1,000 (1,000) 0 300 200 (500) 0 800 800 Voice/ Data 2,125 Internet 265 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 COVID Reduction Total 2610.2340.0000 Seminars & Education 2610.2370.0000 Insurance Premium 89 2,390 4,500 4,500 2,500 (1,000) 1,500 Coty of Pickering 2021 Approved Background Information 2610 City Development -Adm in 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 Total 2610.2394.0000 Recpt,Prom. & Sp.Ev.,Gen 2610.2395.0000 Memberships Urban Land Institute -Director -Associate Membership Professional Engineers Ontario, Director Total 2610.2395.0000 Memberships 2610.24 79.0000 Sfwr/Hdwr Maint Contracts Maintenance -AMANDA Property Maintenance -ESRI and Geocortex Maintenance -Adobe Creative Suite Maintenance -HRIS FME Software & Training (annual subscription) Bluebeam Revu -Extreme (for Building & Planning Sections) 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 2 of 5) Total 2610.2678.0000 Misc. Equip. Rental 2610.5300.0000 Stationery & Office Suppl General office supplies COVID Reduction Total 2610.5300.0000 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 1460.0000.0000 SALE OF SERV -PLAN ADMIN 90 Run Date: 4/21/21 12:05 PM 2021 Bud et 3,170 3,170 500 500 240 260 500 52,230 74,155 1,400 751 45,800 12,720 187,056 10,150 10,150 3,000 (1,500) 1,500 100 100 780,934 (2,000) (2,000) 2610 City Development -Admin Total Revenues Total Transfers Net Expenses City of Pickering 2021 Approved Background Information 91 Run Date: 4/21/21 12:05 PM 2021 Bud et (2,000) 0 778,934 2611 Planning 2019 Actuals Expenditures 1100 Salaries & Wages 1,703,917 1200 Overtime 2,734 1400 Employer Contributions 429,238 1800 Conferences 3,494 1900 Uniforms 249 2110 Travel 5,427 2131 Cellular Phones 1,465 2140 Telephones 5,260 2210 Advertising 0 2340 Seminars & Education 2,851 2370 Insurance Premium 12,920 2371 Ins. Deductible 0 2392 Consulting & Professional 255,236 2394 Recpt, Prom & Sp Events 514 2395 Memberships 10,493 2396 Photo, Mapping, Printing 0 2479 Software/Hardware Maintenan< 0 2635 Building Rentals 0 5300 Stationery & Office Supplies 11,007 5902 Supplies & Tools 1 Total Expenditures 2,444,806 Revenues 1461 Sale of Serv -Plan Appl (1,275,325) 9965 Cost Recoveries (28,746) 1511 Film Permits 0 Total Revenues (1,304,071) Transfers to/from Reserves & R.F. 1910 Transfer to/(from) Reserve 0 1911 Trans. to/(from) Continuing Stu (131,258) 1920 Transfer to/(from) Reserve Fun (116,784) Total Transfers (248,042) Net 892,693 City of Pickering 2021 Current Budget Approved Final 2020 2020 YTD Approved Actuals Budget 1,906,580 1,979,414 4,530. 5,250 466,566 505,858 2,290 6,500 51 600 593 3,450 1,364 3,200 5,225 7,410 0 1,000 4,123 5,400 13,150 13,150 2,114 1,000 288,802 603,459 15 850 11,389 16,880 429 3,000 3,274 5,041 0 300 10,527 13,000 0 200 2,721,022 3,174,962 (1,875,085) (1,025,000) (38,365) (62,385) 0 (7,500) (1,913,450) (1,094,885) 0 (233,840) (110,290) (144,424) (93,172) (121,810) (203,462) (500,074) 604,110 1,580,003 92 Run Date: 4/21/2112:03 PM 2021 INC./DEC. Approved % CHGE. Budget· 2020 298,162 2,277,576 15.06% 0 5,250 0.00% 91,980 597,838 18.18% (1,000) 5,500 (15.38%) 0 600 0.00% (1,000) 2,450 (28.99%) 800 4,000 25.00% 100 7,510 1.35% 0 1,000 0.00% 10,700 16,100 198.15% 260 13,410 1.98% 0 1,000 0.00% 1,184,821 1,788,280 196.34% (300) 550 (35.29%) (2,610) 14,270 (15.46%) (1,000) 2,000 (33.33%) (1,294) 3,747 (25.67%) 0 300 0.00% 0 13,000 0.00% 0 200 0.00% 1,579,619 4,754,581 49.75% (140,500) (1,165,500) 13.71% (732,615) (795,000) 1,174.34% (135,000) (142,500) 1,800.00% (1,008,115) (2,103,000) 92.07% (119,505) (353,345) 51.11% 100,674 (43,750) (69.71%) (376,625) (498,435) 309.19% (395,456) (895,530) 79.08% 176,048 1,756,051 11.14% City Development Department -Planning -Cost Centre 2611 Funding Source for 2021 Consulting & Professional 2611.2392.0000 Consulting & Professional Project Professional/Technical Assistance (General/Urban Design/Heritage) Housing Strategy Project Corporate Geographic Information System Study -Phase 1 of 2 Northeast Pickering OPA -background studies 71 % funded by landowners and 29% DC Funded Comprehensive Zoning By-law Update -Multi-year Project 67.5% DC Funded (Res.#201/19) GIS Corporate Strategic Plan -Phase 1 of 2 39% DC Funded 2611.2392.0001 Consulting -Funded from Continuing Studies Res. 30 Model of City Centre Infrastructure Ontario Environmental Assessment for Land for Park Purposes at the southeast corner of Tillings Road and Dersan Street Comprehensive Zoning By-law Update -Multi-year Project (Phase 1 Discussion Papers & Consultation -year 1 of 3) 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, trail planning, economic development, sustainability, broadband infrastructure and LPAT) Infrastructure Ontario Environmental Assessment for Seaton Primary Trails -100% funded Waterfront & Nautical Village Visioning Exercise -100% funded 2611.9965.0000 Other Rev -Cost Recoveries from Developers Urban Design Review Services Peer Review Consulting Services (heritage, transportation, land use) Updated: February 9, 2021 93 Funding Source Property Tax Property Tax Property Tax 2021 Property Tax Impact Landowners Development Charges Rate Stabalization Fund Development Charges Property Tax Development Charges Continuing Studies Reserve Continuing Studies Reserve Continuing Studies Reserve Development Charges Cost $50,000 12,000 45,750 $107,750 $710,000 290,000 78,085 162,180 45,750 29,250 $24,850 10,710 8,190 17,005 Seaton Application Fees $150,000 Seaton Application Fees 75,260 Seaton Application Fees 50,000 Developers Developers 50,000 25,000 City of' Pickering 2021 Approved Background Information 2611 Planning Run Date: 4/21/21 12:05 PM Expenditures 2611.1100.0000 Salaries & Wages Base Salaries and Wages Transfer of two full-time Zoning Examiner positions from 2612 Conversion of two full-time Zoning Examiner positions to Senior Examiner positions -effective March 1, 2021 (net cost) Transfer of one full-time Clerk, Building Services position from 2612 -effective March 1, 2021 Conversion of one full-time Clerk, Building Services position to a Zoning Technician position -effective March 1, 2021 (net cost) 2021 CUPE salary increase transfer from Gen. Gov't Contingency 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 Benefits related to transfer of two full-time Zoning Examiner positions from 2612 Benefits related to conversion of two full-time Zoning Examiner positions to Senior Examiner positions -effective March 1, 2021 (net cost) Benefits related to transfer of one full-time Clerk, Building Services position from 2612 -effective March 1, 2021 Benefits related to conversion of one full-time Clerk, Building Services position to a Zoning Technician position -effective March 1, 2021 (net cost) Benefits related to 2021 CUPE salary increase transfer from Gen. Gov't Contingency Total 2611.1400.0000 Employer Contributions 2611.1800.0000 Conferences Can. Institute of Planners (CIP)/Ont. Professional Planners Institute (OPPI) Conference -(3 Staff) Registration and hotel 94 2021 Bud et 2,033,195 147,380 18.770 59,315 7,205 11,711 2,277,576 1,000 1,000 1,000 750 750 500 250 5,250 525.249 45,640 3,385 19,965 1.470 2,129 597,838 2,900 2611 Planning City of Pickering 2021 Approved Background Information Urban Land Institute/Municipal Affairs Conference/Strategy Institute or similar ESRI User Regional Conference COVID Reduction 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 OPPI or Similar Conference COVID Reduction 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, Mgr. Zoning & Administration Total 2611.2131.0000 Cellular Phones 2611.2140.0000 Telephones Run Date: 4/21/21 12:05 PM 2021 Bud et 3,000 600 (1,000) 5,500 600 600 3,000 450 (1,000) 2,450 4,000 4,000 Voice/ Data 6,675 Internet 835 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 Municipal Mgmt Course at Ontario Tech. Canadian Green Building Council & LEED Training Durham Region Planners Seminars & Workshops Geocortex Training Planning & Design Seminars COVID Reduction 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 95 7,510 1,000 1,000 500 9,500 500 500 5,600 500 (1,000) 16,100 13,410 13,410 City cf Puckering 2021 Approved Background Information 2611 Planning 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 North East Pickering OPA -background studies (71 % funded by Landowners and 29% DC funded). Resolutions #347/20 & #348/20 GIS Corporate Strategic Plan -Phase 1 of 2 (39% DC Funded) Housing Strategy Project. Resolution #352/20 Comprehensive Zoning By-law Update -Multi-year Project (Phases 2 & 3 -year 2 of 3) -67.5% DC funded (Resolution #201/19) and 32.5% funded from Rate Stabilization Reserve Total 2611.2392.0000 Consulting & Professional 2611.2392.0001 Consulting -Funded from Continuing Studies Res. Cityscapes 3D Model (PO# 190706) Infrastructure Ontario Environmental Assessment for Land for Park Purposes at the southeast corner of Tillings Rd. and Dersan St. (PO# 170662) Comprehensive Zoning By-law Update -Multi-year Project (Phase 1: 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 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) Waterfront & Nautical Village Visioning Exercise 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 Consulting Services (heritage, transportation, land use compatibility, etc.) -100% funded by developers 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 96 Run Date: 4/21/2112:05 PM 2021 Bud et 1,000 1,000 50,000 1,000,000 75,000 12,000 240,265 1,377,265 24,850 10,710 25,195 60,755 150,000 75,260 50,000 275,260 50,000 25,000 75,000 600 250 City @f Puclkering 2021 Approved Background Information 2611 Planning COVID Reduction 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 -1 staff 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) -4 staff Transfer OPPI/CIP Full Memberships for Zoning Examiners from 2612 Total 2611.2395.0000 Memberships 2611.2396.0000 Photo,Mapping,Printing Report Reproduction/Specialized Printing COVID Reduction Total 2611.2396.0000 Photo,Mapping,Printing 2611.2479.0000 Sfwr/Hdwr Maint Contracts HRIS 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 2611.5300.0000 Stationery & Office Suppl General 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 97 Run Date: 4/21/2112:05 PM 2021 Bud et (300) 550 9,330 850 450 80 300 250 465 2,545 14,270 3,000 (1,000) 2,000 3,747 3,747 300 300 13,000 13,000 200 200 4,754,581 (225,000) (105,000) (225,000) (400,000) (10,000) City @f IPnclkernng 2021 Approved Background Information 2611 Planning Committee of Adjustment -Variances Land Division Minister's Zoning Order Request for Zoning Information Other Total 1461.0000.0000 SALE OF SERV -PLAN APPL 1511.2611.0000 LIC & PERMITS-FILM PERMIT Film Permit Fees (public road use and land lease) Total 1511.2611.0000 UC & PERMITS-FILM PERMIT 2611.9965.0000 Other Rev-Cost Recoveries Funded from Developers 100% -Urban Design Review Services Records Management Scanning Fees Northeast Pickering OPA-Background Studies (71% funded by Landowners) Funded 100% from Developers -Peer Review Consulting Services (heritage, transportation, land use compatibility, etc.) Total 2611.9965.0000 Other Rev-Cost Recoveries Total Revenues Transfers 1910.7021.2611 Frm Rate Stab-Planning Rate Stabilization Res. funding (32.5%) for Comprehensive Zoning By-law Update -Multi-year Project (Phases 2 & 3 -year 2 of 3) Total 1910.7021.2611 Frm Rate Stab -Planning 1910.7048.2611 Trsf Seaton Dev R-Planng Seaton Application Fees funding for Seaton Development, Implementation & Legal Assistance Seaton Application Fees funding for Infrastructure Ontario Environmental Assessment for Seaton Primary Trails (PO# 180512) Seaton Application Fees funding for Waterfront & Nautical Village Visioning Exercise Total 1910.7048.2611 Trsf Seaton Dev R-Planng 1911.2611.0000 Trsf frm Res -Planning Continuing Studies Res. Funding (35.5%) for Phase 1 of Comprehensive Zoning By-law Update (Year 1 of 3) Continuing Studies Res. Funding for Cityscapes 3D Model of City Centre (PO# 190706) 98 Run Date: 4/21/21 12:05 PM 2021 Bud et (100,000) (30,000) (5,000) (20,000) (45,500) (1,165,500) (142,500) (142,500) (50,000) (10,000) (710,000) (25,000) (795,000) (2,103,000) (78,085) (78,085) (150,000) (75,260) (50,000) (275,260) (8,190) (24,850) 2611 Planning City cf IPiclkering 2021 Approved Background Information 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 Phase1 of Comprehensive Zoning By-law Update (Year 1 of 3) DC Funding (67.5%) for Phases 2 & 3 of Comprehensive Zoning By-law Update Study (Year 2 of 3) DC Funding (39%) for GIS Corporate Strategic Plan DC Funding (29%) for Northeast Pickering OPA -background studies Total 1920. 7600.2611 Trsf frm DCRF -Planning Total Transfers Net Expenses 99 Run Date: 4/21/2112:05 PM 2021 Bud et (10,710) (43,750) (17,005) (162,180) (29,250) (290,000) (498,435) (895,530) 1,756,051 2612 Building Services 2019 Actuals Expenditures 1100 Salaries & Wages 1,414,191 1200 Overtime 1,882 1400 Employer Contributions 367,820 1800 Conferences 7,828 1900 Uniforms 1,333 2110 Travel 25,234 2131 Cellular Phones 4,611 2140 Telephones 5,272 2220 Subscription & Publications 2,181 2340 Seminars & Education 22,158 2365 Purch Prnting/Broch/News Ur 397 2370 Insurance Premium 7,239 2371 Ins. Deductible 0 2392 Consulting & Professional 184,313 2394 Recpt, Prom & Sp Events 2,571 2395 Memberships 12,156 2399 Outside Agency Serv 4,099 2457 Veh -Repairs & Maintenance 855 2479 Software/Hardware Maintenan< 0 5300 Stationery & Office Supplies 7,329 5302 Forms 1,130 5900 Gas, Oil Tires 66 5902 Supplies & Tools 722 5975 Hardware Replacements 0 Total Expenditures 2,073,387 Revenues 1517 Licenses & Permits (3,101,416) 9990 Other Revenue (29,516) 9965 Cost Recoveries 0 Total Revenues (3,130,932) Transfers to/from Reserves & R.F. 1911 Trans. to/(from) Continuing Stu (148,748) 1920 Transfer to/(from) Reserve Fun 0 Total Transfers (148,748) Net (1,206,293) City of Pickering 2021 Current Budget Approved Final 2020 2020 YTD Approved Actuals Budget 1,600,897 1,802,517 19,471 7,000 433,197 456,919 2,997 7,800 884 4,000 12,409 25,150 5,193 5,500 5,474 7,765 750 4,000 11,585 26,000 5,485 5,000 7,370 7,370 0 1,000 53,414 219,580 1,946 6,900 10,570 13,080 0 6,000 1,123 2,000 2,745 4,227 7,755 8,000 458 3,000 16 1,000 1,529 2,000 3,942 6,000 2,189,210 2,631,808 (3,080,737) (3,010,000) (17,626) (35,000) (57,100) (219,580) (3,155,463) (3,264,580) 0 0 0 52,000 0 52,000 (966,253) (580,772) 100 Run Date: 4/21/2112:03 PM 2021 INC./DEC. Approved % CHGE. Budget 2020 (345,470) 1,457,047 (19.17%) 3,000 10,000 42.86% (62,565) 394,354 (13.69%) (5,400) 2,400 (69.23%) (2,000) 2,000 (50.00%) (8,550) 16,600 (34.00%) 900 6,400 16.36% (255) 7,510 (3.28%) (2,000) 2,000 (50.00%) (5,900) 20,100 (22.69%) 1,000 6,000 20.00% 150 7,520 2.04% 0 1,000 0.00% (69,870) 149,710 (31.82%) (3,500) 3,400 (50.72%) (1,880) 11,200 (14.37%) (6,000) 0 (100.00%) 0 2,000 0.00% (1,690) 2,537 (39.98%) (4,000) 4,000 (50.00%) (2,000) 1,000 (66.67%) 2,000 3,000 200.00% 1,000 3,000 50.00% 4,000 10,000 66.67% (509,030) 2,122,778 (19.34%) 10,000 (3,000,000) (0.33%) 0 (35,000) 0.00% 69,870 (149,710) (31.82%) 79,870 (3,184,710) (2.45%) 0 0 0.00% (52,000) 0 (100.00%) (52,000) 0 (100.00%) (481,160) (1,061,932) 82.85% 2612 Building Services Expenditures 2612.1100.0000 Salaries & Wages Base Salaries and Wages City of Pickering 2021 Approved Background Information Transfer of two full-time Zoning Examiner positions to 2611 One full-time Clerk, Support Services contract position (offset by reduction in records management scanning costs) Transfer of one full-time Clerk, Building Services position to 2611 -effective March 1,2021 Conversion of one full-time Building Inspector II position to a full time Senior Inspector position -effective March 1, 2021 (net cost) Conversion of one full-time Building Information and Compliance Officer to a full time Examiner/Inspector position -effective March 1, 2021 (net cost) 2021 CUPE salary increase transfer from Gen. Gov't Contingency Total 2612.1100.0000 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 Benefits related to transfer of two full-time Zoning Examiner positions to 2611 Statutory benefits related to one full-time Clerk, Support Services contract position (offset by reduction in records management scanning costs) Benefits related to transfer of one full-time Clerk, Building Services position to 2611 -effective March 1, 2021 Benefits related to conversion of one full-time Building Inspector II position to a full time Senior Inspector position -effective March 1, 2021 (net cost) Benefits related to conversion of one full-time Building Information and Compliance Officer to a full time Examiner/Inspector position -effective March 1, 2021 (net cost) Benefits related to 2021 CUPE salary increase transfer from Gen. Gov't Contingency Total 2612.1400.0000 Employer Contributions 2612.1800.0000 ConferE:!nces Ontario Building Officials Association (1 Staff) -Hotel/Reg'n Large Municipalities Chief Building Officials (LMCBO) Fall/Spring Workshop (CBO) COVID Reduction 101 Run Date: 4/21/21 12:05 PM 2021 Bud et 1,567,817 (147,380) 57,040 (59,315) 9,345 11,030 18,510 1,457,047 10,000 10,000 442,285 (45,640) 4,565 (19,965) 2,835 6,940 3,334 394,354 6,000 1,800 (5,400) 2612 Building Services City of Pickering 2021 Approved Background Information Total 2612.1800.0000 Conferences 2612.1900.0000 Uniforms As per the Collective Agreement COVID Reduction Total 2612.1900.0000 Uniforms 2612.2110.0000 Travel Ontario Building Officials Association Conference (4 Staff) Annual mileage for Building Staff COVID Reduction Total 2612.2110.0000 Travel 2612.2131.0000 Cellular Phones Annual Smartphone Charges -Manager, Supervisors and 7 staff Equipment Upgrades - 4 staff@ $425 Total 2612.2131.0000 Cellular Phones 2612.2140.0000 Telephones Run Date: 412112112:05 PM 2021 Bud et 2,400 4,000 (2,000) 2,000 1,100 21,500 (6,000) 16,600 4,700 1,700 6,400 Voice/ Data · 6,675 Internet 835 Total 2612.2140.0000 Telephones 2612.2220.0000 Subscriptions & Publicati Building Codes & Updates, Referenced Standards, and Fire Codes COVID Reduction 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 Staff Ontario Building Officials Assoc. (OBOA) or similar Course (to be facilitated by the City & is 100% cost recoverable) Municipal Mgmt Course -UOIT (1 staff) COVID Reduction Total 2612.2340.0000 Seminars & Education 2612.2365.0000 Purch Prnt/Broch/News Ltr Promote building services to the public COVID Reduction Total 2612.2365.0000 Purch Prnt/Broch/News Ltr 2612.2370.0000 Insurance Premium 102 7,510 4,000 (2,000) 2,000 8,400 2,000 1,000 700 10,000 4,000 (6,000) 20,100 11,000 (5,000) 6,000 City of IPi«:lkern1n1g 2021 Approved Background Information 2612 Building Services 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 Plans examinations of 66 submitted plans (PO# 700776) -100% recoverable Structural engineering review of proposed townhouse development and associated buildings at 2635 William Jackson Drive (PO# 700719) -100% recoverable Structural review for building code compliance at 1470 Bayly St-Universal City Two (PO# 700435) -100% recoverable Structural review for building code compliance at 1470 Bayly St-Universal City Three (PO# 700681) -100% recoverable Total 2612.2392.0000 Consulting & Professional 2612.2394.0000 Recpt, Prom & Sp Events Various Events (CBO, CIAC, SAC, BIAC, PAC, MSAC, Building Safety Month) Conference Meals Corporate Apparel Promotional Items COVID Reduction 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 -(16 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) 103 Run Date: 4/21/21 12:05 PM 2021 Bud et 7,520 7,520 1,000 1,000 100,000 15,000 9,210 2,035 21,115 2,350 149,710 800 600 2,500 2,000 (2,500) 3,400 500 200 5,120 50 50 50 50 280 50 250 City of !Pickering 2021 Approved Background Information 2612 Building Services Ontario Association of Certified Engineering Technologists -(2 staff) MMAH BCIN Annual Registration Fees -(14 staff) Membership Contingency Fund Professional Engineers Ontario -(2 staff) Durham Chapter -OBOA (4 staff@ $125) Can. Institute of Planners (CIP)/Ont. Professional Planners Institute (OPPI) Fees - (3 staff) Can. Institute of Planners (CIP)/Ont. Professional Planners Institute (OPPI) Fees - (3 staff) transfer to 2611 Planning & Design Heating, Refrigeration & Air Conditioning Institute (HRAI) Corporate Membership Total 2612.2395.0000 Memberships 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 Total 2612.2479.0000 Sfwr/Hdwr Maint Contracts 2612.5300.0000 Stationery & Office Suppl General office supplies COVID Reduction Total 2612.5300.0000 Stationery & Office Suppl 2612.5302.0000 Forms Building permits, applications, inspection reports, receipts, stickers, brochures, information packages COVID Reduction Total 2612.5302.0000 Forms 2612.5900.0000 Gas, Oil, Tires, Etc. Winter tires, etc. for Building Services vehicle Total 2612.5900.0000 Gas, Oil, Tires, Etc. 2612.5902.0000 Supplies & Tools Personal Protective Equipment (Grow operations and other hazardous sites) Incidental inspection and testing devices COVID Addition Total 2612.5902.0000 Supplies & Tools 2612.5975.0000 Hardware Replacements Computers for new staff Total 2612.5975.0000 Hardware Replacements 104 Run Date: 4/21/2112:05 PM 2021 Bud et 550 1,800 700 550 500 2,545 (2,545) 500 11,200 2,000 2,000 2,537 2,537 8,000 (4,000) 4,000 3,000 (2,000) 1,000 3,000 3,000 1,000 1,000 1,000 3,000 10,000 10,000 2612 Building Services City of Pickering 2021 Approved Background Information Run Date: 4/21/2112:05 PM 2021 Bud et Total Expenses · 2,122,778 Revenues 1517.0000.0000 BUILDING PERMITS Residential Non-residential Sign permits Other permits Total 1517.0000.0000 BUILDING PERMITS 2612.9965.0000 Cost Recoveries Specialized consultants to support investigations (charge-back for costs incurred) - 100% recoverable Professional engineers, specialists and consultants to provide specialized examinations/inspections (charge-back for costs incurred) for structural review of high rise & other complex projects -100% recoverable Plans examinations of 66 submitted plans (PO# 700776) -100% recoverable Structural engineering review of proposed townhouse development and associated buildings at 2635 William Jackson Drive (PO# 700719) -100% recoverable Structural review for building code compliance at 1470 Bayly St-Universal City Two (PO# 700719) -100% recoverable · Structural review for building code compliance at 1470 Bayly St-Universal City Three (PO# 700681) -100% recoverable Total 2612.9965.0000 Cost Recoveries 2612.9990.0001 Compliance Letters Compliance Letters 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. COVID Deferral to 2022 Total 2822.7506.0000 Trsf to Biding Permit RF 105 (2,300,000) (500,000) (50,000) (150,000) (3,000,000) (15,000) (100,000) (9,210) (2,035) (21,115) (2,350) (149,710) (10,000) (10,000) (10,000) (15,000) (25,000) (3,184,710) 52,000 (52,000) 0 2612 Building Services Total Transfers Net Expenses City of Piclkerfi111g 2021 Approved Background Information 106 Run Date: 4/21/21 12:05 PM 2021 Bud et 0 (1,061,932) 2620 Sustainability 2019 Actuals Expenditures 1100 Salaries & Wages 414,687 1200 Overtime 959 1400 Employer Contributions 103,839 1800 Conferences 1,117 1900 Uniforms 0 2110 Travel 1,177 2131 Cellular Phones 1,851 2140 Telephones 1,564 2210 Advertising 7,653 2211 Trade Shows, Exhib & Display~ 1,733 2220 Subscription & Publications 94 2340 Seminars & Education 3,489 2370 Insurance Premium 2,911 2392. Consulting & Professional 51,389 2394 Recpt, Prom & Sp Events 14,169 2395 Memberships 4,346 2396 Photo, Mapping, Printing 700 2399 Outside Agency Serv 8,557 2479 Software/Hardware Maintenanc 0 5300 Stationery & Office Supplies 370 5320 Program Supplies 153,603 Total Expenditures 774,208 Revenues 1592 Donations 0 1623 Ont Specific Grants 0 9950 Event Vendor Fees (22,883) 9980 Sponsorships No Tax 0 9985 Marketing Sponsorships 0 9990 •Misc Income (5,375) 9993 0th Rev -Rebates/Incentive (250) 1530 Rntl -CCC Roof Solar Panel (6,000) Total Revenues {34,508) Transfers to/from Reserves & R.F. 1920 Transfer to/(from) Reserve Fun (41,893) Total Transfers (41,893) Net 697,807 City of Pickering 2021 Current Budget Approved Final 2020 2020 YTD Approved Actuals Budget 393,776 392,686 0 1,000 102,055 · 99,046 383 4,000 0 300 619 2,000 1,373 2,500 1,244 1,765 4,319 9,500 1,614 4,000 262 400 5,116 8,380 2,965 2,965 15,000 37,000 549 15,000 2,964 3,770 1,526 1,000 1,031 10,000 1,735 1,310 1,229 1,500 92,148 170,725 629,908 768,847 0 (1,500) 0 0 (14,831) (25,000) 0 (5,000) 0 (1,000) (1,260) (4,000) (100,316) (40,000) (6,000) (6,000) (122,407) (82,500) 0 (25,000) 0 (25,000) 507,501 661,347 107 Run Date: 4/21/2112:03 PM 2021 INC./DEC. Approved % CHGE. Budget 2020 33,694 426,380 8.58% 0 1,000 0.00% 22,473 121,519 22.69% (1,000) 3,000 (25.00%) 0 300 0.00% (500) 1,500 (25.00%) 0 2,500 0.00% (55) 1,710 (3.12%) (370) 9,130 (3.89%) (1,500) 2,500 (37.50%) 0 400 0.00% (2,130) 6,250 (25.42%) 55 3,020 1.85% 271,000 308,000 732.43% (5,000) 10,000 (33.33%) 80 3,850 2.12% 6,780 7,780 678.00% (500) 9,500 (5.00%) 325 1,635 24.81% 0 1,500 0.00% (29,730) 140,995 (17.41%) 293,622 1,062,469 38.19% 1,000 (500) (66.67%) (14,680) (14,680) 0.00% 0 (25,000) 0.00% 1,500 (3,500) (30.00%) (2,000) (3,000) 200.00% (273,000) (277,000) 6,825.00% 0 (40,000) 0.00% 0 (6,000) 0.00% (287,180) (369,680) 348.10% 0 (25,000) 0.00% 0 (25,000) 0.00% 6,442 667,789 0.97% 2620 Sustainability Expenditures 2620.1100.0000 Salaries & Wages Base Salaries and Wages City of !Pickering 2021 Approved Background Information Funding of full-time Coordinator, Sustainability position (position was unfunded in 2019 budget) to be funded from the removal of funding for the Assistant Sustainability term position and other cost center savings (net cost) 2021 CUPE salary increase transfer from Gen. Gov't Contingency 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 Benefits related to funding of full-time Coordinator, Sustainability position (position was unfunded in 2019 budget) to be funded from the removal of funding for the Assistant Sustainability term position and other cost center savings (net cost) Benefits related to 2021 CUPE salary increase transfer from Gen. Gov't Contingency Total 2620.1400.0000 Employer Contributions 2620.1800.0001 Conferences Sustainability & Energy Conferences Ont. Professional Planners Institute (OPPI) or similar conference for Senior Planner, Sustainability COVID Reduction 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: 4/21/21 12:05 PM 2021 Bud et 398,593 23,225 4,562 426,380 1,000 1,000 106,321 14,400 798 121,519 3,000 1,000 (1,000) 3,000 300 300 1,500 1,500 2,500 2,500 Voice / Data 1,520 Internet 190 108 Coty @f Pickering 2021 Approved Background Information 2620 Sustainability Total 2620.2140.0000 Telephones 2620.2210.0001 Advertising Advertising programs/events within publications (SNAP/Retail Pages, News Advertiser) Great Lakes Location Action Fund (GLLAF) (Subject to receiving grant) Total 2620.2210.0001 Advertising 2620.2210.0012 Advtsing-Sustain Nghbrhds Program Advertising COVID Reduction Total 2620.2210.0012 Advtsing-Sustain Nghbrhds 2620.2211.0001 Tr Shows,Exhib & Displays Events (supplies for various displays/activities) Total 2620.2211.0001 Tr Shows,Exhib & Displays 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 COVID Reduction 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 Phase 2 Sustainable Development Guidelines (subject to grant approval) Energy Services, Audits, Feasibility Studies LEAF Tree Planting Program Total 2620.2392.0000 Consulting & Professional 2620.2394.0001 Recpt, Prom & Sp.Ev., Gen Sustainability Corporate Wear Refreshment/Food for Events Corporate Energy Workshops 109 Run Date: 4/21/21 12:05 PM 2021 Bud et 1,710 8,000 1,130 9,130 1,000 (1,000) 0 2,500 2,500 400 400 1,000 3,000 350 530 2,500 1,000 (2,130) 6,250 3,020 3,020 273,000 20,000 15,000 308,000 2,000 1,000 1,000 2620 Sustainability City of Pickering 2021 Approved Background Information Seaton Workshop Series (partially funded by Sponsors) COVID Reduction 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) COVID Reduction 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) Project Management Institute International Society of Sustainability Professionals LEEDAPND Recycling Council of Ontario Total 2620.2395.0000 Memberships 2620.2396.0000 Photo,Mapping, Printing Photography & videography services for City's promotional publications GLLAF Litter & Waste Video (subject to grant approval) Total 2620.2396.0000 Photo,Mapping,Printing 2620.2399.0001 Outside Agency Services Green Fleet (Analytics) General Design Services Pollinator Garden Volunteer Training, Services & Supplies Total 2620.2399.0001 Outside Agency Services 2620.2399.0012 Out Agney-Sustain Nghbrhd Program Design Services (Partially funded from Sustainable Pickering Contributions) COVID Reduction Total 2620.2399.0012 Out Agney-Sustain Nghbrhd 2620.2479.0000 Sfwr/Hdwr Maint Contracts. Maintenance -HRIS RETScreen Total 2620.2479.0000 Sfwr/Hdwr Maint Contracts 2620.5300.0000 Stationery & Office Suppl General office supplies Total 2620.5300.0000 Stationery & Office Suppl 110 Run Date: 4/21/21 12:05 PM 2021 Bud et 7,000 (1,000) 10,000 4,000 (4,000) 0 750 1,800 300 400 120 120 360 3,850 1,000 6,780 7,780 4,000 2,500 3,000 9,500 1,500 (1,500) 0 685 950 1,635 1,500 1,500 City of 1Pickeri1n1g 2021 Approved Background Information 2620 Sustainability 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 GLLAF Project Supplies (subject to grant approval) Total 2620.5320.0006 Community Clean-ups 2620.5320.0007 Waterfowl Mgmt Prgm Program Supplies (includes goose relocation, egg oiling) Total 2620.5320.0007 Waterfowl Mgmt Prgm 2620.5320.0010 Tree Planting Program Supplies -Tree Planting (Funded from Duffin Heights Terrestrial Habitat Reserve Fund) Tree Planting -Duncannon Ravine Vegetation Planting-High Priority Sites Total 2620.5320.001 0 Tree Planting 2620.5320.0011 Stream Restoration Program Supplies -Stream Restoration (Funded from Duffin Heights Fish Habitat Reserve Fund) Total 2620.5320.0011 Stream Restoration 2620.5320.0015 Farmers Market Program supplies (includes marketing, site logistics, equipment, maintenance and entertainment) COVID Reduction Total Expenses Revenues Total 2620.5320.0015 Farmers Market 1530.2620.0000 Rntl-CCC Roof Solar Panel 1 1 1 Run Date: 4/21/2112:05 PM 2021 Bud et 10,000 10,000 2,000 2,000 4,500 4,500 56,000 56,000 4,000 6,770 10,770 6,225 6,225 15,000 6,500 10,000 . 31,500 10,000 10,000 56,500 (46,500) 10,000 1,062,469 City of Pickering 2021 Approved Background Information 2620 Sustainability 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 1623.2620.0000 Ontario Grant -Sustain Great Lakes Location Action Fund (GLLAF) -subject to grant approval Total 1623.2620.0000 Ontario Grant -Sustain 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 Phase 2 Sustainable Development Guidelines (subject to grant approval) Seaton Workshop Series -Seaton Landowners Funding Total 2620.9990.0000 Misc. Income 2620.9993.0000 0th Rev-Rebates/Incentive Green Initiatives -Incentives and Rebates received from Corporate Energy Programs Total 2620.9993.0000 0th Rev-Rebates/Incentive Total Revenues Transfers 1920.7501.2620 Frm 3rd Prty RF-Sustain Tree Planting -Duffin Heights Terrestrial Habitat Stream Restoration -Duffin Heights Fish Habitat Total 1920.7501.2620 Frm 3rd Prty RF-Sustain Total Transfers Net Expenses 11 2 Run Date: 4/21/21 12:05 PM 2021 Bud et (6,000) (6,000) (500) (500) (14,680) (14,680) . (25,000) (25,000) (3,500) (3,500) (3,000) (3,000) (273,000) (4,000) (277,000) (40,000) (40,000) (369,680) (15,000) (10,000) (25,000) (25,000) 667,789 2630 Committee of Adjustment Expenditures 2630.1100.0000 Salaries & Wages Honorarium - 5 Members City of Pickering 2021 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 COVID Reduction 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 Expenses · 114 Run Date: 4/21/2112:05 PM 2021 Bud et 7,200 7,200 501 501 1,000 1,000 500 120 200 (400) 420 200 200 750 750 10,071 0 0 10,071 2743 Heritage Pickering 2019 Actuals Expenditures 1800 Conferences 476 2110 Travel 249 2340 Seminars & Education 0 2392 Consulting & Professional 10,176 2394 Recpt, Prom & Sp Events 35 2395 Memberships 75 2396 Photo, Mapping, Printing 0 5300 Stationery & Office Supplies 0 5400 Gift Shop Plaques 0 Total Expenditures 11,011 Revenues Total Revenues 0 Transfers to/from Reserves & R.F. Total Transfers 0 Net 11,011 City of Pickering 2021 Current Budget Approved Final 2020 2020 YTD Approved Actuals Budget 0 525 0 500 0 300 6,197 15,000 0 400 75 100 0 250 0 150 0 2,500 6,272 19,725 0 0 0 0 6,272 19,725 115 Run Date: 4/21/2112:03 PM 2021 INC./DEC. Approved % CHGE. Budget 2020 (200) 325 (38.10%) (250) 250 (50.00%) 0 300 0.00% 0 15,000 0.00% (400) 0 (100.00%) 0 100 0.00% 0 250 0.00% 0 150 0.00% (2,500) 0 (100.00%) (3,350) 16,375 (16.98%) 0 0 0.00% 0 0 0.00% (3,350) 16,375 (16.98%) 27 43 Heritage Pickering Expenditures· 27 43.1800.0000 Conferences City of IPickerung 2021 Approved Background Information Heritage Conference -1 staff (registration and accommodation) COVID Reduction Total 2743.1800.0000 Conferences 2743.2110.0000 Travel Parking & Mileage Education Seminars and Conferences -Out of Town COVID Reduction Total 2743.2110.0000 Travel 2743.2340.0000 Seminars & Education Run Date: 4/21/21 12:05 PM 2021 Bud et 525 (200) 325 250 250 (250) 250 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) COVID Reduction 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 27 43.2396. 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) COVID Reduction Total 2743.5400.0000 Gift Shop/Plaques Total Expenses 116 300 15,000 15,000 400 (400) 0 100 100 250 250 150 150 1,000 1,500 (2,500) 0 16,375 27 43 Heritage Pickering Total Revenues Total Transfers Net Expenses Coty of Puckering 2021 Approved Background Information 117 Run Date: 4/21/2112:05 PM 2021 Bud et 0 0 16,375 ....... ....... co -Ct4bl-· - PlC.KERlN-G The Corporation of the City of Pickering Community Services Department Cultural Services Section Director, Community Services Supervisor, Executive Director, Performing Arts Centre Cultural Services (1-NUFT) (1-NUFT) Event Staff Coordinator, Coordinator, Cultural Services Museum Operations (20-UPTT) (1-UFT) (1-UFT) · Museum Booking Coordinator Coordinator, (1-UFT) Event Community Partnerships '- Coordinator (1-UFT) (1-UPTT) [ Conservator Communications Co.ordinator, (1-UFT) Cultural Services (1-UFT) Heritage Programmer (1-UFT) I Authorized by: 1· Volunteer Coordinator (1-UPTT) Interim Chief Administrative Officer January f, 2021 Employee Complement 3 Non-Union Full-Time (NUFT) 0 Non-Union Part-Time (NUPT) 7 Union Full-Time (UFT) 1 Union Part-Time (UPT) O Union Full-Time Term (UFTT) PTT) I Supervisor, Museum Services (1-NUFT) Museum Interpreters (18-UPTT) ' Seasonal Museum Receptionist (1-UPTT) ,I Costumer ]-,-..., (1-UPT) Seasonal Museum Guides (4-UPTT) - Chart No. 4(a) Community Services Department 2019 Actuals Expenditures 1100 Salaries & Wages 14,125,911 1100 Salaries & Wages -Prg. 1,040,359 1200 Overtime 650,453 2712 00_01 Program Overtime 5,002 1400 Employer Contributions 3,471,369 1800 Conferences 416 1900 Uniforms 119,848 2110 Travel 15,661 2122 Freight, Express & Cartage 5,598 2123 Environmental Charges 279 2131 Cellular Phones 34,726 2140 Telephones 109,352 2210 Advertising 187,511 2211 Trade Shows, Exhib & Displayt 890 2220 Subscription & Publications 1,141 2340 Seminars & Education 59,949 2365 Purch Prnting/Broch/News Ur 57,971 2370 Insurance Premium 243,726 2371 Ins. Deductible 17,157 2392 Consulting & Professional 118,237 2394 Recpt, Prom & Sp Events 67,996 2395 Memberships 21,611 2396 Photo, Mapping, Printing 5,859 2399 Outside Agency Serv 353,314 2408 Rpr & Mnt -Winter Control 915,603 2408 Rpr & Mnt -Contract Services 240,780 2408 Rpr Main. Maint Mater 518,935 2410 Engineering Rpr & Mnt 345,656 2409 Highway Aids -Repair Maint. 82,683 2429 Parks Repairs & Maintenance 87,351 2435 Build Repairs & Mtce 1,737,047 2437 Tree Maintenance 377,477 2438 Lighting & Repair Maint. 30,946 2457 Veh -Repairs & Maintenance 397,029 2478 Misc Equip Repairs 366,339 2479 Software/Hardware Maintenanc 64,473 2480 Antiques Repairs Mtce. 8,549 2482 Grounds Upkeep 286,465 City of Pickering 2021 Current Budget Approved Final 2020 2020 YTD Approved Actuals Budget 13,781,815 15,697,285 451,770 965,635 430,596 618,455 221 0 3,421,932 3,990,696 0 7,600 78,729 127,015 5,715 20,225 3,866 4,300 253 500 41,997 51,300 107,207 130,110 156,172 260,400 1,529 1,200 7,047 8,950 17,148 113,835 45,696 57,000 278,733 278,733 13,832 45,050 116,054 281,825 34,592 70,550 21,267 26,987 4,146 9,200 378,048 405,585 636,793 755,000 146,120 180,000 470,339 525,000 603,309 787,000 101,436 75,000 37,249 60,000 1,773,210 1,863,225 397,207 390,000 17,120 20,000 497,288 436,300 333,855 ·310,650 86,816 175,911 10,305 8,700 184,805 322,660 124 Run Date: 4/21/2111:58 AM 2021 INC./DEC. Approved % CHGE. Budget 2020 (108,411) 15,588,874 (0.69%) (640,728) 324,907 (66.35%) (106,810) 511,645 (17.27%) 0 0 0.00% 128,009 4,118,705 3.21% (4,035) 3,565 (53.09%) (3,157) 123,858 (2.49%) (7,800) 12,425 (38.57%) 0 4,300 0.00% 0 500 0.00% 11,850 63,150 23.10% (1,475) 128,635 (1.13%) (29,000) 231,400 (11.14%) 60,500 61,700 5,041.67% 4,200 13,150 46.93% (42,030) 71,805 (36.92%) (16,000) 41,000 (28.07%) 9,882 288,615 3.55% 0 45,050 0.00% (126,760) 155,065 (44.98%) 60,430 130,980 85.66% 4,939 31,926 18.30% 0 9,200 0.00% (72,980) 332,605 (17.99%) 50,000 805,000 6.62% (25,000) 155,000 (13.89%) 0 525,000 0.00% (30,000) 757,000 (3.81%) 0 75,000 0.00% 0 60,000 0.00% (52,360) 1,810,865 (2.81%) (5,000) 385,000 (1.28%) 0 20,000 0.00% 21,000 457,300 4.81% (15,240) 295,410 (4.91%) 9,142 185,053 5.20% 5,000 13,700 57.47% 5,640 328,300 1.75% Community Services Department 2019 Actuals 2642 Community Use of Schools 1,733 2648 Building Rentals 70,386 2712 Prgm -Build Rentals 196,000 2678 Rental Misc Equip 165,332 2682 Land Rentals 64,010 2819 Financial Service Charges 0 5300 Stationery & Office Supplies 23,305 5302 Forms 2,771 5320 Program Supplies 439,152 2712 Event Supplies 308,462 2712 Prgms Supplies 85,876 5320 Athletic Equip. Playroom 5,435 5330 Drop-In Centre Supplies 3,753 5340 Supplies -Special Events 10,182 5345 Antique Purchases 593 5350 Committee Expenses 7,793 5400 Gift Shop Plaques 5,734 5510 Utilities -Water 236,240 5520 Utilities -Gas 291,245 5530 Utilities -Hydro 1,389,331 5540 Utilities -Oil 6,296 5550 Utilities -Cable T.V. 1,470 5640 Small Tools 8,806 5900 Gas, Oil Tires 496,265 5901 Fertilizer, Grass Etc. 36,150 5902 Supplies & Tools 51,177 5903 Shop Supplies 65,745 5973 Minor Furniture & Fixtures 25,008 5974 System & Software Upgrades 0 5978 Misc. Equipment 37,829 5981 Other Minor Fixed Assets 2,344 8960 Taxes Tenant 219,601 Total Expenditures 30,431,693 Revenues 1430 Sale of Services -Public Work: (204,480) 1610 Federal Grant (77,247) 1623 Ont. Specific Grants (185,257) 9397 Program Registrations (2,000,067) 9910 Gift Shop (8,464) City of Pickering 2021 Current Budget Approved Final 2020 2020 YTD Approved Actuals Budget 25 3,500 72,815 72,210 0 196,000 154,933 137,400 64,010 67,856 0 0 22,950 28,050 3,336 3,900 321,193 420,255 151,372 291,025 64,954 111,715 16,071 . 2,300 (55) 4,400 11,465 14,500 470 600 23,047 67,750 2,311 5,250 192,441 269,070 231,719 314,611 1,063,426 1,512,543 4,628 5,683 1,348 850 16,227 8,000 369,691 530,578 23,562 42,000 42,310 86,036 72,157 49,500 3,074 24,600 0 25,000 46,759 67,323 48,165 70,000 223,945 258,645 27,942,566 33,773,032 (193,470) (180,000) (301,027) (165,000) (223,689) (243,800) (453,726) (1,944,900) (5,025) (10,500) 125 Run Date: 4/21/2111:58 AM 2021 INC./DEC. Approved % CHGE. Budget 2020 (1,500) 2,000 (42.86%) 1,200 73,410 1.66% (177,000) 19,000 (90.31%) (3,000) 134,400 (2.18%) (10) 67,846 (0.01%) 175,000 175,000 0.00% (5,000) 23,050 (17.83%) 0 3,900 0.00% 75,000 495,255 17.85% (92,675) 198,350 (31.84%) (36,715) 75,000 (32.86%) 0 2,300 0.00% 0 4,400 0.00% (2,920) 11,580 (20.14%) 0 600 0.00% 30,500 98,250 45.02% (2,625) 2,625 (50.00%) (29,420) 239,650 (10.93%) (33,841) 280,770 (10.76%) (138,655) 1,373,888 (9.17%) 0 5,683 0.00% 0 850 0.00% 2,000 10,000 25.00% 0 530,578 0.00% 0 42,000 0.00% (15,125) 70,911 (17.58%) 0 49,500 0.00% 10,000 34,600 40.65% (25,000) 0 (100.00%) 2,677 70,000 3.98% 30,000 100,000 42.86% (22,645) 236,000 (8.76%) (1,175,948) 32,597,084 (3.48%) 0 (180,000) 0.00% (114,313) (279,313) 69.28% (148,505) (392,305) 60.91% 1,434,758 (510,142) (73.77%) 5,250 (5,250) (50.00%) Community Services Department 2019 Actuals 9915 Snack Bar (19,208) 9916 Vending Machines (18,999) 9930 Rentals (190,378) 9940 Advertising Space (77,988) 9943 Memberships-Pool/Health Glut (8,000) 9955 Programs (87,263) 9970 Child Supervision (32,405) 9975 Fitness Testing (53,736) 9977 Donations (2,237) 9920 Admissions -Public & Edu. (128,494) 9921 Admissions -Tennis (97,366) 9922 Admissions -Skating (17,623) 9923 Admissions -Public Swimming (59,488) 9924 Admissions -Squash (16,239) 9925 Admissions -Fitness Room (6,624) 9926 Admissions -Racquet Ball (4,767) 9931 Rentals -Ice Surface (1,744,962) 9932 Rentals -Pool (280,649) 9933 Rentals -Mtg. Room/Public (89,668) 9934 Rentals -Mtg. Room/Prog. (27,000) 9935 Rentals -Halls (141,184) 9936 Rentals -Pool-School Board (1,199) 9937 Rentals -West Shore C.C. (64,770) 9938 Rentals -East Shore C.C. (50,887) 9939 Rentals -Lockers (121) 9941 Membertships -Tennis (24,625) 9943 Memberships -Pool/Health CIL (719,892) 9944 Memberships -Squash (80,691) 9945 Memberships -General (149,751) 9946 Memberships -Racquet Ball (24,008) 9947 Rentals -Claremont C.C. (10,234) 9949 Rentals -Petticoat Creek (64,564) 9958 Rentals -Wellness Clinic (59,517) 9959 Arena Floor Rentals (62,045) 9990 other Revenue (4,457) 9990 Other Misc Revenue (203,353) 9954 Netted Revenue (478,409) 9950.EventVendorFees _ (12,044) 9980 Sponsorships No Tax (50,400) City of Pickering 2021 Current Budget Approved Final 2020 2020 YTD Approved Actuals Budget (6,042) (16,950) (3,539) (18,000) (40,932) (214,600) (20,871) (77,000) 0 (8,000) (23,807) (116,560) (8,055) (30,000) (23,668) (70,000) (10,411) (2,000) (38,390) (141,440) (60,300) (92,000) (9,840) (23,500) (12,042) (57,000) (6,777) (21,000) (2,682) (6,500) (1,394) (5,000) (750,558) (1,852,000) (60,089) (276,000) (23,721) (86,000) 0 (27,000) (18,928) (149,000) 0 (1,258) (26,094) (70,901) (10,045) (56,000) (60) (100) (23,596) (24,000) (359,886) (679,000) (48,589) (75,000) (75,932) (140,500) (11,800) (21,000) (384) (800) (8,772) (54,000) (45,552) (59,000) (11,129) (39,500) (812) 0 (135,002) (154,850) (509,839) (544,052) (1,975) (13,950) (6,200) (4,500) 126 Run Date: 4/21/2111:58 AM 2021 INC./DEC. Approved % CHGE. Budget 2020 7,025 (9,925) (41.45%) 2,000 (16,000) (11.11%) 108,300 (106,300) (50.47%) 11,000 (66,000) (14.29%) (5,750) (13,750) 71.88% 40,000 (76,560) (34.32%) 30,000 0 (100.00%) 30,000 (40,000) (42.86%) 0 (2,000) 0.00% 0 (141,440) 0.00% 18,000 (74,000) (19.57%) 11,750 (11,750) (50.00%) 47,965 (9,035) (84.15%) 10,000 (11,000) (47.62%) 4,500 (2,000) (69.23%) 3,400 (1,600) (68.00%) 1,069,430 (782,570) (57.74%) 204,500 (71,500) (74.09%) 38,000 (48,000) (44.19%) 20,000 (7,000) (74.07%) 122,000 (27,000) (81.88%) 1,258 0 (100.00%) 26,121 (44,780) (36.84%) 46,000 (10,000) (82.14%) 100 0 (100.00%) 0 (24,000) 0.00% 308,000 (371,000) (45.36%) 19,000 (56,000) (25.33%) 50,500 (90,000) (35.94%) 9,000 (12,000) (42.86%) 0 (800) 0.00% 32,000 (22,000) (59.26%) (9,000) (68,000) 15.25% 0 (39,500) 0.00% 0 0 0.00% (38,650) (193,500) 24.96% (188,421) (732,473) 34.63% 2,715 (11,235) (19.46%) (3,000) (7,500) 66.67% Community Services Department 2019 Actuals 9985 Marketing Sponsorships (7,171) 9992 Other Revenue -Membership I (6,231) Total Revenues (7,654, 162) Transfers to/from Reserves & R.F. 1910 Transfer to/(from) Reserve 0 1911 Trans. to/(from) Continuing Stu (38,698) 1920 Transfer to/(from) Reserve Fun (27,210) Total Transfers (65,908) Net 22,711,623 City of Pickering 2021 Current Budget Approved Final 2020 2020 YTD Approved Actuals Budget (36,587) (37,000) (1,037) (5,000) (3,612,274) (7,814,161) (207,396) (314,500) (42,321) (53,675) (55,926) (197,910) (305,643) (566,085) 24,024,649 25,392,786 127 Run Date: 4/21/21 11 :58 AM 2021 INC./DEC. Approved % CHGE. Budget 2020 7,500 (29,500) (20.27%) (1,200) (6,200) 24.00% 3,211,233 (4,602,928) (41.10%) 214,682 (99,818) (68.26%) 20,310 (33,365) (37.84%) 167,910 (30,000) (84.84%) 402,902 (163,183) (71.17%) 2,438,187 27,830,973 9.60% Overview . Community Services Department Culture and Recreation, Facilities The Community Services Department is organized into two Divisions: Culture & Recreation and Operations. The Culture & Recreation Division is responsible for all matters relating to recreation and cultural services including recreation programs, memberships, cultural opportunities and special events. Culture & Recreation is responsible to provide Pickering residents with high quality culture and recreation programs, memberships, services and special events at a variety of City owned facilities including: • Chestnut Hill Developments Recreation Complex (CHDRC) (aquatics centre, fitness/health club, racquet courts, twin ice pad arena, banquet halls/meeting rooms) • Don Beer Arena (3 ice pads) • Dunbarton Indoor Pool (25 metre pool) • Community Centres (East Shore Community Centre, West Shore Community Centre, George Ashe Community Centre and northern facilities) • Pickering Museum Village (19 heritage buildings) Facilities Operations staff maintain facilities throughout the City. Capital Projects staff identify, plan and implement life cycle replacements of building components during the life of a facility. The Capital Projects staff are also responsible for all new construction of facilities. The City also has a centralized security responsibility within Facilities Operations. I Cultural Services -Museum I Community Services Department ( Culture & Recreation & Facilites ] I Facility Recreation Corporate Programs Services Security 128 Facilities Capital Operations Projects Key Activities for 2021 • Key capital construction projects planned to commence in 2021 (CHDRC renovations, new Fire Station and HQ -FS #1 (1616 Bayly Street), Pickering Heritage & Community Centre) • Continued planning for the City Centre development and the Animal shelter • Develop recommended programs and schematic concepts for the future Seaton Recreation Centre • Further development and delivery of virtual programming to fill gaps during COVID and be sustainable to service current and future community needs for at-home content • Studies/Plans Development (Security Services Plan, Community Safety Plan & Well-Being Plan) • Facilitating the development & implementation of the Pickering Anti-Black Racism T askforce plan • Facilitating the development & implementation of the Indigenous Relationship Building Action Plan • Continue to develop and implement the Public Art Plan • Facilitate the implementation of the COVID recovery plan. Reinstatement and development of services, events and programs suspended or adversely affected in 2020 and 2021 Financial Information Full Time Reg. Part-Time Total 2018 67 52 119 Staffing Summary (Full & Regular Part Time) Approved Current Term 2019 2020 Add 71 52 123 75 49 111 1 Q 1 A pprove d 2021 Delete Total 0 76 0 49 0 112 The above chart excludes contract, students and term employees. One new full time Non-Union Position of Supervisor, Facilities Operations with a start date of July 1, 2021. 129 Year-Over-Year (Net Cost) Budget Changes 2020 2021 YearNear Increase Budget Approved ($) (%) Budget Cult. & Rec -Adm. $2,993,912 $3,185,608 $191,696 6.40 Civic Centre 640,214 683,915 43,701 6.83 Seniors Citizens Centre 376,147 416,497 40,350 10.73 Programs 504,275 893,886 389,611 77.26 Dunbarton Pool 277,308 382,315 105,007 37.87 Don Beer Arena 242,779 760,468 517,689 213.23 Community Centres 714,463 857,697 143,234 20.05 Rec Complex -Core 2,131,892 2,273,318 141,426 6.63 Rec Complex -Pool 696,815 591,170 (105,645) (15.16) Rec Complex -Arenas 139,780 517,961 378,181 270.55 Museum 875,510 860,578 (14,932) (1.71) Pickering Arts Centre 140,296 0 (140,296} (100.00} Total (Net Cost) $9,733,391 $11,423,413 $1,690,022 17.36 Explanation of Significant Budget Changes -Expenses Under the "Culture & Recreation" and "Facilities" cost centres, the following accounts had significant Budget changes: • Salaries & Wages ($286,263) -Budget decrease due to reduction of level of service at the CHDRC due to continuing COVID restrictions and the major construction project in the change rooms, lobby and upper and lower cardio room. • Salaries & Wages Programs ($640,728) -Budget decrease due to programs being significantly cut back in 2021 by the continuation of COVID restrictions. • Overtime ($44,310) -Budget decrease due to significant reduction in overtime in support of weekend community events in 2021 due to continuation of COVID restrictions. • Employee Contributions $53,794 -Budget increase largely due to higher employer paid CPP premiums. This increase is partially offset by a reduction in employer contributions attributable to the above-mentioned reduction in budgeted salaries and wages. • Advertising ($29,000) -Budget decrease due to advertising savings in 2021 due to COVID reductions in events and programs. 130 • Trade Shows & Exhibits $60,500 -Budget increase due to the new Museum Blacksmith Shop Exhibit and Virtual Blacksmith shop project fully funded by Rural Economic Development Fund and Virtual Museum of Canada Fund. • Consulting & Professional ($128,685) -Budget decrease due to consulting servicing completed in 2020 for Space Use.Study, Wayfinding Study & Fair Minded Pricing Policy deferred to 2022. • Outside Agency Services ($90,130) -Budget decrease due to the deletion of busing services for programs due to COVID continuing restrictions. • Building Repairs & Maintenance ($220, 931) -Budget decrease due to the closure of the change rooms, lobby and cardio rooms at CHDRC and the temporary closure of the pool and arena ice arenas due to continuing COVID restrictions and the major renovation project • Program Build Rentals ($177,000) -Budget decrease due to significant reduction in the Community use of Schools for programs unable to run due to COVID continuing restrictions. • Program Supplies $40,000 -Budget increase due to addition of funding for the Public Arts Program (funded from the Public Arts Reserve). • Event Supplies ($92,675) -Budget decrease due to the reduction of events in 2021 due to the continuation of COVID restrictions. • Program Supplies ($36,715) -Budget decrease due to the reduction of programs in 2021 due to the continuation of COVID restrictions. • Committee Expenses $30,500 -Budget Increase due to the addition of funding new committee expenses for the Indigenous Relations Action Plan (Cultural Advisory Committee) and the Pickering Anti-Black Racism Taskforce. • Utilities ($257,921) -Budget decrease due to anticipated facilities reduced use and closure in 2021 due to continuing COVID restrictions. The Total Net Cost budgeted for the Pickering Arts Centre has decreased by $140,296 to reflect that the expenditures are being funded from the Casino Reserve Fund in 2021. Explanation of Significant Budget Changes -Revenues/ (Transfer from Reserves) • Revenues $3,075,233 -Budget decrease due to significant reductions in revenue for Admissions, Rentals, Events, Programs, Fitness, Museum and Community Rooms throughout all City Facilities due to continuing COVID restrictions. The City is anticipating a reduction in public health safety measures later in 2021 and have built this returning revenue stream into the revenue budgets for Q4 of this year. 131 2020 Performance Indicators/Statistics Cultural Services Cultural Services Virtual Events, Cultural Pop-ups, on-line participants Destination Pickering Social Media Engagement (likes, shares, comments) Live Event Attendance (Events, Partner Events, Cultural Pop- ups) Recreation Services Programs offered pre-COVID Programs offered during COVID Events Social media engagements Aquatics Programs offered Registered participants Swim members Available public swim hours Available rental hours Individual swim admission purchases Fitness Group fitness registered programs offered Group fitness registered participants Small group training programs offered Small group training participants Personal training packages sold Personal fitness members *no programs offered in spring or summer due to closure Health Club Health Club Members Available hours Individual admissions purchased Number of visits 132 109,827 8,948 2,184 668 580 10 33,675 528 1,665 254 1,426 907 2,383 96 412 71 149 25 221 1,261 3,283 250 76,000 Culture, Recreation & Facilities 2019 Actuals Expenditures 1100 Salaries & Wages 7,529,847 1100 Salaries & Wages -Prg. 1,040,359 1200 Overtime 133,287 2712 0001 Program Overtime 5,002 1400 Employer Contributions 1,808,740 1800 Conferences 416 1900 Uniforms 45,530 2110 Travel 13,604 2122 Freight, Express & Cartage 4,500 2131 Cellular Phones 21,851 2140 Telephones 85,610 2210 Advertising 187,511 2211 Trade Shows, Exhib & Displays 890 2220 Subscription & Publications (2,000) 2340 Seminars & Education 24,807 2365 Purch Prnting!Broch!News Ur 57,971 2370 Insurance Premium 61,845 2371 Ins. Deductible 2,363 2392 Consulting & Professional 98,289 2394 Recpt, Prom & Sp Events 59,545 2395 Memberships 13,751 2396 Photo, Mapping, Printing 5,859 2399 Outside Agency Serv 252,470 2435 Build Repairs & Mtce 1,389,320 2457 Veh -Repairs & Maintenance 7,480 2478 Misc Equip Repairs 64,815 2479 Software/Hardware Maintenanc 44,978 2480 Antiques Repairs Mtce. 8,549 2482 Grounds Upkeep 766 2642 Community Use of Schools 1,733 2648 Building Rentals 70,386 2712 Prgm -Build Rentals 196,000 2678 Rental Misc Equip 5,120 2682 Land Rentals 44,810 2819 Financial Service Charges 0 5300 Stationery & Office Supplies 13,496 5302 Forms 1,021 5320 Program Supplies 13,131 City of Pickering 2021 Current Budget Approved Final 2020 2020 YTD Approved Actuals Budget 6,838,318 8,033,959 451,770 965,635 47,342 171,455 221 0 1,665,616 2,024,516 0 7,600 15,392 46,500 5,283 18,425 1,745 2,500 24,823 32,800 82,493 100,535 156,172 260,400 1,529 1,200 897 4,550 10,359 49,600 45,696 57,000 62,960 62,960 2,002 11,000 94,532 223,985 32,455 63,000 16,211 16,417 4,146 9,000 249,691 317,935 1,406,942 1,538,875 10,107 11,300 56,351 75,650 56,409 72,809 10,305 8,700 1,025 2,800 25 3,500 72,815 72,210 0 196,000 5,219 9,600 44,810 46,160 0 0 13,169 17,050 25 1,900 11,604 12,255 134 Run Date: 412112111:58 AM 2021 INC./DEC. Approved % CHGE. Budget 2020 (286,263) 7,747,696 (3.56%) (640,728) 324,907 (66.35%) (44,310) 127,145 (25.84%) 0 0 0.00% 53,794 2,078,310 2.66% (4,035) 3,565 (53;09%) (6,492) 40,008 (13.96%) (7,800) 10,625 (42.33%) 0 2,500 0.00% 2,650 35,450 8.08% (1,600) 98,935 (1.59%) (29,000) 231,400 (11.14%) 60,500 61,700 5,041.67% (4,000) 550 (87.91%) (10,280) 39,320 (20.73%) (16,000) 41,000 (28.07%) 1,260 64,220 2.00% 0 11,000 0.00% (128,685) 95,300 (57.45%) 60,380 123,380 95.84% 3,879 20,296 23.63% 0 9,000 0.00% (90,130) 227,805 (28.35%) (220,931) 1,317,944 (14.36%) 0 11,300 0.00% (15,240) 60,410 (20.15%) 23,644 96,453 32.47% 5,000 13,700 57.47% 0 2,800 0.00% (1,500) 2,000 (42.86%} 1,200 73,410 1.66% (177,000) 19,000 (90.31%) (6,000) 3,600 (62.50%) (10) 46,150 (0.02%) 175,000 175,000 0.00% (5,000) 12,050 (29.33%) 0 1,900 0.00% 40,000 52,255 326.40% Culture, Recreation & Facilities 2019 Actuals 2712 Event Supplies 308,462 2712 Prgms Supplies 85,876 5320 Athletic Equip. Playroom 5,435 5330 Drop-In Centre Supplies 3,753 5340 Supplies -Special Events 10,182 5345 Antique Purchases 593 5350 Committee Expenses 7,793 5400 Gift Shop Plaques 5,734 5510 Utilities -Water 177,124 5520 Utilities -Gas 249,054 5530 Utilities -Hydro 1,181,702 5540 Utilities -Oil 6,296 5550 Utilities -Cable T.V. 1,470 5900 Gas, Oil Tires 9,521 5902 Supplies & Tools 38,298 5973 Minor Furniture & Fixtures 25,008 597 4 System & Software Upgrades 0 5978 Misc. Equipment 18,231 Total Expenditures 15,448,184 Revenues 1610 Federal Grant (57,647) 1623 Ont. Specific Grants (185,257) 9397 Program Registrations (2,000,067) 9910 Gift Shop (8,464} 9915 Snack Bar (19,208) 9916 Vending Machines (18,695) 9930 Rentals (4,600) 9940 Advertising Space (77,988) 9943 Memberships-Pool/Health Glut (8,000) 9955 Programs. (53,163) 9970 Child Supervision (32,405) 9975 Fitness Testing (53,736} 9977 Donations (2,237) 9920 Admissions -Public & Edu. (128,494) 9921 Admissions -Tennis (97,366) 9922 Admissions -Skating (17,623} 9923 Admissions -Public Swimming (59,488) 9924 Admissions -Squash (16,239) 9925 Admissions -Fitness Room (6,624) City of Pickering 2021 Current Budget Approved Final 2020 2020 YTD Approved Actuals Budget 151,372 291,025 64,954 111,715 16,071 2,300 (55) 4,400 11,465 14,500 470 600 23,047 67,750 2,311 5,250 116,292 189,265 183,445 287,496 881,263 1,317,361 4,628 5,683 1,348 850 6,844 10,075 21,238 75,536 2,018 23,600 0 25,000 6,039 13,400 12,991,209 16,995,587 (214,787) (147,000) (223,689) (243,800) (453,726} (1,944,900) (5,025) (10,500) (6,042) (16,950) (3,326) (17,500) (1,150) (4,600) (20,871) (77,000) 0 (8,000) (23,807) (76,560) (8,055) (30,000) (23,668) (70,000) (10,411) (2,000) (38,390) (141,440) (60,300) (92,000) (9,840) (23,500) (12,042} (57,000) (6,777) (21,000} (2,682) (6,500) 135 Run Date: 4/21/2111:58 AM 2021 INC./DEC. Approved % CHGE. Budget 2020 (92,675) 198,350 (31.84%) (36,715) 75,000 (32.86%) 0 2,300 0.00% 0 4,400 0.00% (2,920) 11,580 (20.14%) 0 600 0.00% 30,500 98,250 45.02% (2,625) 2,625 (50.00%) (36,845) 152,420 (19.47%) ·(58,376) 229,120 (20.30%) (162,700) 1,154,661 (12.35%) 0 5,683 0.00% 0 850 0.00% 0 10,075 0.00% (16,625) 58,911 (22.01%) 9,000 32,600 38.14% (25,000) 0 (100.00%) 0 13,400 0.00% (1,662,678) 15,332,909 (9.78%) (114,313) (261,313) 77.76% (148,505) (392,305) 60.91% 1,434,758 (510,142) (73.77%) 5,250 (5,250) (50.00%) 7,025 (9,925) (41.45%) 2,000 (15,500) (11.43%) 2,300 (2,300) (50.00%) 11,000 (66,000) (14.29%) (5,750) (13,750) 71.88% 40,000 (36,560) (52.25%) 30,000 0 (100.00%) 30,000 (40,000) (42.86%) 0 (2,000) 0.00% 0 (141,440) 0.00% 18,000 (74,000) (19.57%) 11,750 (11,750) (50.00%) 47,965 (9,035) (84.15%) 10,000 (11,000) (47.62%) 4,500 (2,000) (69.23%) Culture, Recreation & Facilities 2019 Actuals 9926 Admissions -Racquet Ball (4,767) 9931 Rentals -Ice Surface (1,744,962) 9932 Rentals -Pool (280,649) 9933 Rentals -Mtg. Room/Public (89,668) 9934 Rentals -Mtg. Room/Prag. (27,000) 9935 Rentals -Halls (141,184) 9936 Rentals -Pool-School Board (1,199) 9937 Rentals -West Shore C.C. (64,770) 9938 Rentals -East Shore C.C. (50,887) 9939 Rentals -Lockers (121) 9941 Membertships -Tennis (24,625) 9943 Memberships -Pool/Health GIL (719,892) 9944 Memberships -Squash (80,691) 9945 Memberships -General (149,751) 9946 Memberships -Racquet Ball (24,008) 9947 Rentals -Claremont C.C. (10,234) 9949 Rentals -Petticoat Creek (64,564) 9958 Rentals -Wellness Clinic (59,517) 9959 Arena Floor Rentals (62,045) 9990 Other Misc Revenue (128,895) 9954 Netted Revenue (160,394) 9950 Event Vendor Fees (12,044) 9980 Sponsorships No Tax (50,400) 9985 Marketing Sponsorships (7,171) 9992 other Revenue -Membership r (6,231) Total Revenues (6,812,970) Transfers to/from Reserves & R.F. 1910 Transfer to/(from) Reserve 0 1911 Trans. to/(from) Continuing Stu (36,174) 1920 Transfer to/(from) Reserve Fun (18,428) Total Transfers (54,602) Net 8,580,612 City of Pickering 2021 Current Budget Approved Final 2020 2020 YTD Approved Actuals Budget (1,394) (5,000) (750,558) (1,852,000) (60,089) (276,000) (23,721) (86,000) 0 (27,000) (18,928) (149,000) 0 (1,258) (26,094) (70,901) (10,045) (56,000) (60) (100) (23,596) (24,000) (359,886) (679,000) (48,589) (75,000) (75,932) (140,500) (11,800) (21,000) (384) (800) (8,772) (54,000) (45,552) (59,000) (11,129) (39,500) (3,429) (24,850) (163,802) (175,702) (1,975) (13,950) (6,200) (4,500) (36,587) (37,000) (1,037) (5,000) (2,814,147) (6,867,311) (207,396) (314,500) (33,043) (42,475) (4,027) (37,910) (244,466) (394,885) 9,932,596 9,733,391 136 Run Date: 4/21/2111:58 AM 2021 INC./DEC. Approved % CHGE. Budget 2020 3,400 (1,600) (68.00%) 1,069,430 (782,570) (57.74%) 204,500 (71,500) (74.09%) 38,000 (48,000) (44.19%) 20,000 (7,000) (74.07%) 122,000 (27,000) (81.88%) 1,258 0 (100.00%) 26,121 (44,780) (36.84%) 46,000 (10,000) (82.14%) 100 0 (100.00%) 0 (24,000) 0.00% 308,000 (371,000) (45.36%) 19,000 (56,000) (25.33%) 50,500 (90,000) (35.94%) 9,000 (12,000) (42.86%) 0 (800) 0.00% 32,000 (22,000) (59.26%) (9,000) (68,000) 15.25% 0 (39,500) 0.00% (68,650) (93,500) 276.26% (188,421) (364,123) 107.24% 2,715 (11,235) (19.46%) (3,000) (7,500) 66.67% 7,500 (29,500) (20.27%) (1,200) (6,200) 24.00% 3,075,233 (3,792,078) (44.78%) 214,682 (99,818) (68.26%) 24,875 (17,600) (58.56%) 37,910 0 (100.00%) 277,467 (117,418) (70.27%) 1,690,022 11,423,413 17.36% 2711 Cult. & Rec. -Adm in. 2019 Actuals Expenditures 1100 Salaries & Wages 1,717,937 1200 Overtime 13,363 1400 Employer Contributions 466,960 1800 Conferences 416 1900 Uniforms 1,863 2110 Travel 5,337 2131 Cellular Phones 6,868 2140 Telephones 8,327 2210 Advertising 133,757 2220 Subscription & Publications (2,000) 2340 Seminars & Education 1,980 2370 Insurance Premium 10,354 2392 Consulting & Professional 51,079 2394 Recpt, Prom & Sp Events 3,715 2395 Memberships 7,162 2396 Photo, Mapping, Printing 5,859 2435 Build Repairs & Mtce 0 2457 Veh -Repairs & Maintenance 0 2479 Software/Hardware Maintenan< 32,974 2648 Building Rentals 70,386 2819 Financial Service Charges 0 5300 Stationery & Office Supplies 2,769 5320 Program Supplies 0 5350 Committee Expenses 7,793 5520 Utilities -Gas 0 5973 Minor Furniture & Fixtures 660 5974 System & Software Upgrades 0 Total Expenditures 2,547,559 Revenues 1623 Ont. Specific Grants 0 Total Revenues 0 Transfers to/from Reserves & R.F. 1910 Transfer to/(from) Reserve 0 1911 Trans. to/(from) Continuing Stu (9,510) 1920 Transfer to/(from) Reserve Fun (18,428) Total Transfers (27,938) Net 2,519,621 City of Pickering 2021 Current Budget Approved Final 2020 2020 YTD Approved Actuals Budget 1,789,587 1,976,454 7,989 27,855 494,927 569,292 0 6,100 1,832 2,500 2,302 8,000 9,802 10,000 9,470 12,685 113,276 128,400 897 4,200 2,704 6,220 10,540 10,540 10,326 119,870 749 6,000 10,487 8,700 4,146 9,000 207,396 213,000 1,833 0 37,399 40,616 72,774 72,200 0 0 5,031 4,800 0 0 23,047 67,750 1,601 0 654 1,000 0 25,000 2,818,769 3,330,182 (24,610) (50,000) (24,610) (50,000) (207,396) (213,000) (29,176) (35,360) (4,027) (37,910) (240,599) (286,270) 2,553,560 2,993,912 137 Run Date: 4/21/21 12:03 PM 2021 INC./DEC. Approved % CHGE. Budget 2020 88,474 2,064,928 4.48% (15,975) 11,880 (57.35%) 26,658 595,950 4.68% (4,035) 2,065 (66.15%) 0 2,500 0.00% (6,000) 2,000 (75.00%) 0 10,000 0.00% (835) 11,850 (6.58%) (13,000) 115,400 (10.12%) (4,000) 200 (95.24%) (2,000) 4,220 (32.15%) 210 10,750 1.99% (103,870) 16,000 (86.65%) 0 6,000 0.00% 3,175 11,875 36.49% 0 9,000 0.00% (213,000) 0 (100.00%) 0 0 0.00% 29,499 70,115 72.63% 1,200 73,400 1.66% 175,000 175,000 0.00% 0 4,800 0.00% 40,000 40,000 0.00% 30,500 98,250 45.02% 0 0 0.00% 0 1,000 0.00% (25,000) 0 (100.00%) 7,001 3,337,183 0.21% (45,575) (95,575) 91.15% (45,575) (95,575) 91.15% 173,000 (40,000)' (81.22%) 19,360 (16,000) (54.75%) 37,910 0 (100.00%) 230,270 (56,000) (80.44%) 191,696 3,185,608 6.40% 2711 Cult. & Rec. -Admin. Expenditures 2711.1100.0000 Salaries & Wages Base Salaries and Wages City of 1Pfickeri1111g 2021 Approved Background Information One new full-time Supervisor, Facilities Operations position -start date July 1, 2021 2021 CUPE salary increase transfer from Gen. Gov't Contingency Total 2711.1100.0000 Salaries & Wages 2711.1200.0000 Overtime Programs and Events Department Graphics Administration Facilities Total 2711.1200.0000 Overtime 2711.1400.0000 · 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 Supervisor, Facilities Operations position - start date July 1, 2021 Benefits related to 2021 CUPE salary increase transfer from Gen. Gov't Contingency Total 2711.1400.0000 Employer Contributions 2711.1800.0000 Conferences Ontario Association of Architects -Manager, Facilities Capital Projects Professional Association of Volunteer Leaders Conference Security Conference (virtual) -Corporate Security Specialist Total 2711.1800.0000 Conferences 2711.1900.0000 UNIFORMS For City Event Staff and Capital Projects 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 (2), Coordinators (9), Specialist (1)). Annual Smartphone & Tablet charges -Director, Community Services, Division Head, Operations 138 Run Date: 4/21/2112:05 PM 2021 Bud et 2,003,177 50,425 11,326 2,064,928 2,000 1,200 2,280 6,400 11,880 579,053 14,650 2,247 595,950 1,200 265 600 2,065 2,500 2,500 2,000 2,000 8,800 1,200 Coty of Pnckerfing 2021 Approved Background Information 2711 Cult. & Rec. -Admin. Total 2711.2131.0000 Cellular Phones 2711.2140.0000 Telephones Voice/ Data Internet Total 2711.2140.0000 Telephones 2711.2210.0000 Advertising Includes all Sections within the Division -radio advertising, additional City promotion Community Page Program & Teen Advertising Corporate Tourism Total 2711.2210.0000 Advertising 2711.2220.0000 Subscriptions & Publicati Security Publications Total 2711.2220.0000 Subscriptions & Publicati 2711.2340.0000 Seminars & Education CPRC & First Aid Training -Various staff Accessibility Conference -Accessibility Coordinator Social Media Week Toronto (2 staff) · Festivals & Events Ontario -Event Coordinator Ontario Building Envelope Council (OBEC) Seminars Total 2711.2340.0000 Seminars & E;ducation 2711.2370.0000 Insurance Premium Annual cost of insurance policy that provides protection for municipal activities and property. (Policy coverage includes: liability, automobile and property). Total 2711.2370.0000 Insurance Premium 2711.2392.0000 Consulting & Professional Consulting for implementation of Security Incident Reporting Software (funded from Cont. Studies Reserve) Total 2711.2392.0000 Consulting & Professional 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 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) 139 Run Date: 4/21/2112:05 PM 2021 Bud et 10,000 9,405 2,445 11,850 15,200 91,000 3,000 6,200 115,400 200 200 200 1,000 1,270 1,000 750 4,220 10,750 10,750 16,000 16,000 6,000 6,000 3,750 450 300 190 City cf IPnclkering 2021 Approved Background Information 2711 Cult. & Rec. -Admin. 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) and BSS Certification 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 2711.2479.0000 Sfwr/Hdwr Maint Contracts Maintenance -Facility Asset Management Maintenance -HRIS Maintenance -Survey Monkey Maintenance -Adobe Creative Clouds x 3 Maintenance -Security Incident Reporting Software Total 2711.2479.0000 Sfwr/Hdwr Maint Contracts 2711.2648.0000 Building Rentals Rental charges associated with 1101 Kingston Road lease Total 2711.2648.0000 Building Rentals 2711.2819.0000 Bank Charges ActiveNet-Transfer from 2127 Total 2711.2819.0000 Bank Charges 2711.5300.0000 Stationery & Office Suppl General office supplies Minor office supplies & equipment-1101 Kingston Road offices Access cards General Office Supplies -Security Services Specialist Total 2711.5300.0000 Stationery & Office Suppl 2711.5320.0000 Public Art Program Public Art Program (funded from Public Art Reserve) Total 2711.5320.0000 Public Art Program 2711.5350.0002 Cttee Exp-Access Cttee Service & Support Animal Task-Group (SSATG) initiative (offset by Ministry for Seniors and Accessibility Grant) Committee Special Event expenses 140 Run Date: 4/21/2112:05 PM 2021 Bud et 30 1,500 1,200 445 3,260 500 250 11,875 9,000 9,000 40,000 3,495 1,500 120 25,000 70,115 73,400 73,400 175,000 175,000 2,000 1,500 800 500 4,800 40,000 40,000 40,800 6,000 City of Pickering 2021 Approved Background Information 2711 Cult. & Rec. -Admin. Total 2711.5350.0002 Cttee Exp-Access Cttee 2711.5350.0003 Cttee Exp-Cultural Advsry Indigenous Relationship Action Plan Heritage Promotion Total 2711.5350.0003 Cttee Exp-Cultural Advsry 2711.5350.0004 Cttee Exp-Age Friendly Committee related expenses Total 2711.5350.0004 Cttee Exp-Age Friendly 2711.5350.0005 Tsk Frc-Anti-Black Racism Pickering Anti-Black Racism Taskforce Total 2711.5350.0005 Tsk Frc-Anti-Black Racism 2711.5973.0000 Furniture & Fixtures Office chairs replacement Total 2711.5973.0000 Furniture & Fixtures Total Expenses Revenues 1623.2711.0000 Ont Grant-C&R Admin Grant funding for one new full-time Coordinator, Diversity, Equity & Inclusion contract position -start date April 1 Ministry for Seniors and Accessibility Grant (,SSATG Initiative) -$15,41 O carried over from 2020 and $25,390 to be received in 2021 Total 1623.2711.0000 Ont Grant -C&R Adm in Total Revenues Transfers 1910.7068.2711 Trsf Pub Art -C&R Admin Funding for Public Art Program Total 1910.7068.2711 Trsf Pub Art -C&R Admin 1911.2711.0000 Trsf frm Res -C&R Admin Continuing Studies Reserve funding for Security fncident Reporting Software Total 1911.2711.0000 Trsf frm Res -C&R Adm in Total Transfers Net Expenses 141 Run Date: 4/21/21 12:05 PM 2021 Bud et 46,800 17,950 7,500 25,450 . 1,000 1,000 25,000 25,000 1,000 1,000 3,337,183 (54,775) (40,800) (95,575) (95,575) (40,000) (40,000) (16,000) (16,000) (56,000) 3,185,608 2124 Civic Centre 2019 Actuals Expenditures 1100 Salaries & Wages 253,975 1200 Overtime 3,643 1400 Employer Contributions 49,607 1900 Uniforms 1,781 2140 Telephones 3,150 2340 Seminars & Education 504 2370 Insurance Premium 3,009 2371 Ins. Deductible 0 2392 Consulting & Professional 0 2394 Recpt, Prom & Sp Events 0 2399 Outside Agency Serv 81,739 2435 Build Repairs & Mtce 191,780 2478 Misc Equip Repairs 0 2479 Software/Hardware Maintenan< 0 2678 Rental Misc Equip 0 5510 Utilities -Water 11,977 5520 Utilities -Gas 24,198 5530 Utilities -Hydro 141,725 5550 Utilities -Cable T.V. 1,470 5902 Supplies & Tools 1,868 Total Expenditures 770,426 Revenues 9916 Vending Machines (254) 9954 Netted Revenue (160,394) Total Revenues (160,648) Transfers to/from Reserves & R.F. Total Transfers 0 Net 609,778 City of Pickering 2021 Current Budget Approved Final 2020 2020 YTD Approved Actuals Budget 275,644 248,735 1,963 5,500 53,370 58,616 374 2,000 3,108 4,235 0 1,000 3,065 3,065 0 1,000 4,477 2,000 · 15 0 122,642 117,880 215,966 150,643 421 1,500 429 661 0 500 11,395 14,480 21,561 25,027 129,270 163,824 1,348 850 295 3,000 845,343 804,516 (145) (500) (163,802) (163,802) (163,947) (164,302) 0 0 681,396 640,214 142 Run Date: 4/21/2112:03 PM 2021 INC./DEC. Approved % CHGE. Budget 2020 154,724 403,459 62.20% 0 5,500 0.00% 16,292 74,908 27.79% 0 2,000 0.00% 545 4,780 12.87% 0 1,000 0.00% 55 3,120 1.79% 0 1,000 0.00% 0 2,000 0.00% 0 0 0.00% 10,620 128,500 9.01% 49,040 199,683 32.55% 0 1,500 0.00% 53 714 8.02% 0 500 0.00% 290 14,770 2.00% 503 25,530 2.01% 0 163,824 0.00% 0 850 0.00% 0 3,000 0.00% 232,122 1,036,638 28.85% 0 (500) 0.00% (188,421) (352,223) 115.03% (188,421) (352,723) 114.68% 0 0 0.00% 43,701 683,915 6.83% 2124 Civic Centre Expenditures 2124.1100.0000 Salaries & Wages Base Salaries and Wages City of 1Pickeiri1111g 2021 Approved Background Information Increase in hours (4,368) for Facility Attendant term positions for Parks enhanced washroom cleaning (April -October) Increase in hours (2,166) for Facility Attendant term positions for Library enhanced cleaning Increase in hours (1,453) for Facility Attendant term positions for Operations - Administration enhanced cleaning Conversion of one full-time Foreperson, Mechanical Systems position to a full-time Maintenance Mechanic Facility position (net savings) (50:50 split with 2731) 2021 CUPE salary increase transfer from Gen. Gov't Contingency 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 Benefits related increase in hours (4,368) for Facility Attendant term positions for Parks enhanced washroom cleaning (April -October) Benefits related to increase in hours (2,166) for Facility Attendant term positions for Library enhanced cleaning Benefits related to increase in hours (1,453) for Facility Attendant term positions forOperations -Administration enhanced cleaning Benefits related to conversion of one full-time Foreperson, Mechanical Systems position to a full-time Maintenance Mechanic Facility position (net savings). (50:50 split with 2731) Benefits related to 2021 CUPE salary increase transfer from Gen. Gov't Contingency Total 2124.1400.0000 Employer Contributions 2124.1900.0000 Uniforms Uniforms Total 2124.1900.0000 Uniforms 2124.2140.0000 Telephones Run Date: 4/21/21 12:05 PM 2021 Bud et 249,423 85,700 42,500 28,500 (6,405) 3,741 403,459 5,500 5,500 62,748 6,860 3,400 2,280 (1,076) 696 74,908 2,000 2,000 Voice/Data 4,250 Internet 530 143 City of IPnckerfifllg 2021 Approved Background Information 2124 Civic Centre 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 of 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 Circuit Metering Total 2124.2399.0000 Outside Agency Services 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 144 Run Date: 4/21/2112:05 PM 2021 Bud et 4,780 1,000 1,000 3,120 3,120 1,000 1,000 2,000 2,000 118,780 1,000 4,800 1,600 300 2,020 128,500 25,000 4,000 15,000 6,000 5,000 19,500 1,575 3,150 5,000 1,500 2,000 3,500 15,000 2,060 3,000 3,000 Coty of Pickering 2021 Approved Background Information 2124 Civic Centre 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) Electronic key cabinet replacement City Crest cleaning (biannual) Security Camera Repairs General Civic Complex Localized Repairs 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 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 2020 projected actuals and regional water rate increase in 2021 Total 2124.5510.0000 Utilities -Water 2124.5520.0000 Utilities -Gas Budget based on 2020 projected actuals Total 2124.5520.0000 Utilities -Gas 2124.5530.0000 Utilities -Hydro Budget based on 2020 projected actuals and rate increase in 2021 Total 2124.5530.0000 Utilities -Hydro 2124.5550.0000 Cable TV Local cable TV charges fofCivic Complex building. Total 2124.5550.0000 Cable TV 145 Run Date: 4/21/2112:05 PM 2021 Bud et 3,000 1,995 3,000 4,600 3,200 1,000 3,328 2,000 1,000 3,000 2,275 5,000 2,000 50,000 199,683 1,500 1,500 714 714 500 500 14,770 14,770 25,530 25,530 163,824 163,824 850 850 2124 Civic Centre 2124.5902.0000 Supplies & Tools First Aid & Safety supplies Small tools Cfity cf IPiclkering 2021 Approved Background Information 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 recovery from Operations Adm.) Janitorial staff -City (cost recovery from Parks) Total Revenues Total Transfers Net Expenses Total 2124.9954.0000 Net Rev-Clning Chrgbk 146 Run Date: 4/21/2112:05 PM 2021 Bud et 2,500 500 3,000 1,036,638 (500) (500) (178,610) (81,053) (92,560) (352,223) (352,723) 0 683,915 2572 Senior Citizens Centre 2019 Actuals Expenditures 1100 Salaries & Wages 276,441 1200 Overtime 5,806 1400 Employer Contributions 52,943 1900 Uniforms 774 2110 Travel 763 2131 Cellular Phones 0 2140 Telephones 3,080 2210 Advertising 0 2340 Seminars & Education 3,334 2370 Insurance Premium 2,347 2394 Recpt, Prom & Sp Events 31,598 2395 Memberships 450 2399 Outside Agency Serv 3,662 2435 Build Repairs & Mtce 60,951 2479 Software/Hardware Maintenanc 1,902 5320 Athletic Equip. Playroom 5,435 5510 Utilities -Water 5,149 5520 Utilities -Gas 4,546 5530 Utilities -Hydro 24,226 5902 Supplies & Tools 1,461 5973 Minor Furniture & Fixtures 977 Total Expenditures 485,845 Revenues 1610 Federal Grant 0 1623 Ont. Specific Grants (135,612) 9955 Programs (38,686) 9990 Other Misc Revenue (460) 9950 EventVendorFees (5,875) 9980 Sponsorships No Tax (7,500) 9985 Marketing Sponsorships (200) Total Revenues (188,333) Transfers to/from Reserves & R.F. Total Transfers 0 Net 297,512 City of Pickering 2021 Current Budget Approved Final 2020 2020 YTD Approved Actuals Budget 233,245 309,509 1,752 6,000 55,343 62,236 311 800 505 800 576 600 4,326 5,105 577 3,000 72 5,300 2,390 2,390 26,344 34,500 825 825 288 9,580 36,081 83,640 2,139 2,710 16,071 2,300 5,344 6,920 3,629 7,780 19,059 29,152 696 2,100 0 600 409,573 575,847 0 0 (131,842) (140,400) (19,385) (53,000) 50 0 (1,800) (3,800) (6,000) (500) 0 (2,000) (158,977) (199,700) 0 0 250,596 376,147 147 Run Date: 4/21/2112:03 PM 2021 INC./DEC. Approved % CHGE. Budget 2020 (2,593) 306,916 (0.84%) 0 6,000 0.00% 18,023 80,259 28.96% 200 1,000 25.00% 200 1,000 25.00% 0 600 0.00% (380) 4,725 (7.44%) 0 3,000 0.00% 200 5,500 3.77% 50 2,440 2.09% 71,880 106,380 208.35% 0 825 0.00% (300) 9,280 (3.13%) (1,565) 82,075 (1.87%) (280) 2,430 (10.33%) 0 2,300 0.00% 130 7,050 1.88% (1,500) 6,280 (19.28%) 0 29,152 0.00% 0 2,100 0.00% 0 600 0.00% 84,065 659,912 14.60% (24,450) (24,450) 0.00% (47,630) (188,030) 33.92% 33,000 (20,000) (62.26%) 0 0 0.00% (4,635) (8,435) 121.97% 0. (500) 0.00% 0 (2,000) 0.00% (43,715) (243,415) 21.89% 0 0 0.00% 40,350 416,497 10.73% 2572 Senior Citizens Centre Expenditures 2572.1100.0000 Salaries & Wages Base Salaries and Wages City @f Pickering 2021 Approved Background Information Increase in hours (956) for Facility Attendant term positions for enhanced cleaning Conversion of one permanent part-time Assistant Recreation programmer position to a full time R_ecreation Programmer position (net cost) 2021 CUPE salary increase transfer from Gen. Gov't Contingency 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 Benefits related to increase in hours (956) for Facility Attendant term positions for enhanced cleaning Benefits related to conversion of one permanent part-time Assistant Recreation programmer position to a full time Recreation Programmer position (net cost) Benefits related to 2021 CUPE salary increase transfer from Gen. Gov't Contingency Total 2572.1400.0000 Employer Contributions 2572.1900.0000 Uniforms As per the Collective Agreement Total 2572.1900.0000 Uniforms 2572.2110.0000 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 Telephones Voice/ Data Internet Caple Total 2572.2140.0000 Telephones 2572.2210.0000 Advertising Display and promotion Marketing Materials (offset by New Horizons Grant -CAPES) 148 Run Date: 4/21/21 12:05 PM 2021 Bud et 283,696 · 18,750 855 3,615 306,916 6,000 6,000 63,223 1,500 14,915 621 80,259 1,000 1,000 1,000 1,000 600 600 3,060 75 1,590 4,725 1,000 2,000 City of Pickering 2021 Approved Background Information 2572 Senior Citizens Centre 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 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 March & June Big Band Events Poinsettia Tea Mayor's Light Tour Active Living Fair Durham Region Senior Games Aging Well Events 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) Purchase of I pads, Guest Speakers, Virtual Programming and Virtual Studies (offset by New Horizons for Seniors -Covid Relief Grant #2 carry-over from 2020) Purchase of lpads, Volunteer Training, Guest Speakers, Apps for Seniors and Virtual Studios and Programming (offset by Seniors Community Grant carry-over from 2020) . Purchase of 13 lpads for South Pickering Seniors Club (SPSC) with Cases and Stylus Pens and Replacement of Refrigerator for Meeting Room's Kitchen (offset by SALC Special Grant ESCC carry-over from 2020) Refurb_ishment and Repair of Sound Boards in the Main Hall, Storage Units for Rouge Hill Seniors (RHS), Program Equipment, Carpet Bowling, Darts, etc. (offset by SALC Special Grant GALCC carry-over from 2020) 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 149 Run Date: 4/21/21 12:05 PM 2021 Bud et 3,000 850 2,800 1,850 5,500 2,440 2,440 3,635 5,800 3,000 315 300 1,950 10,000 4,300 5,000 25,000 24,450 11,315 11,315 106,380 825 825 City of Pickering 2021 Approved Background Information 2572 Senior Citizens Centre 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 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 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 2020 projected actuals and regional water rate increase in 2021 Total 2572.5510.0000 Utilities -Water 150 Run Date: 4/21/21 12:05 PM 2021 Bud et 3,000 1,000 1,400 180 3,700 9,280 15,000 15,000 7,875 2,100 4,000 2,000 16,640 2,000 3,000 3,000 3,000 1,000 3,500 500 860 1,600 1,000 82,075 1,900 530 2,430 2,300 2,300 7,050 7,050 City of Piclkerring 2021 Approved Background Information 2572 Senior Citizens Centre 2572.5520.0000 Utilities -Gas Budget based on 2020 projected actuals Total 2572.5520.0000 Utilities -Gas 2572.5530.0000 Utilities -Hydro Budget based on 2020 projected actuals and rate increase in 2021 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 1610.2572.0000 Federal Seniors Bldg. Seniors Community Grant -carry-over from 2020 Total 1610.2572.0000 Federal Seniors Bldg. 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 Seniors Grants (New Horizons for Seniors Grant #2 and Seniors Active Living Centre Special Grants #1 & #2) -carry-overs from 2020 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 Adults 55+ Programs Arts & Crafts and Dance 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) 151 Run Date: 4/21/21 12:05 PM 2021 Bud et 6,280 6,280 29,152 29,152 2,100 2,100 600 600 659,912 (24,450). (24,450) (42,700) (42,700) (15,000) (15,000) (25,000) (47,630) (188,030) (8,435) (8,435) (20,000) (20,000) (500) (500) (2,000) 2572 Senior Citizens Centre City of 1Pficlkeri1111g 2021 Approved Background Information Total 2572.9985.0000 Marketing Sponsors Total Revenues Total Transfers Net Expenses 152 Run Date: 4/21/21 12:05 PM 2021 Bud et (2,000) (243,415) 0 416,497 2712 Programs 2019 Actuals Expenditures 1100 Salaries & Wages 533,637 1100 Salaries & Wages -Prg. 1,040,359 1200 Overtime 14,413 2712 0001 Program Overtime 5,002 1400 Employer Contributions 210,214 1900 Uniforms 4,832 2110 Travel 2,202 2131 Cellular Phones 1,387 2140 Telephones 1,588 2220 Subscription & Publiqitions 0 2340 Seminars & Education 2,091 2365 Purch Prnting/Broch/News Ltr 57,971 2370 Insurance Premium 9,146 2394 Recpt, Prom & Sp Events 2,911 2395 Memberships 1,018 2399 Outside Agency Serv 71,834 2478 Misc Equip Repairs 0 2479 Software/Hardware Maintenanc 0 2642 Community Use of Schools 1,733 2712 Prgm -Build Rentals 196,000 5302 Forms 0 2712 Event Supplies 308,462 2712 Prgms Supplies 85,876 5330 Drop-In Centre Supplies 3,75.3 5902 Supplies & Tools 2,203 5978 Misc. Equipment 3,416 Total Expenditures 2,560,048 Revenues 1610 Federal Grant (43,935) 1623 Ont. Specific Grants (10,382) 9397 Program Registrations (2,000,067) 9940 Advertising Space (22,988) 9990 Other Misc Revenue (7,840) 9950 EventVendorFees (6,169) 9980 Sponsorships No Tax (42,900) 9985 Marketing Sponsorships (2,646) Total Revenues (2,136,927) Transfers to/from Reserves & R.F. City of Pickering 2021 Current Budget Approved Final 2020 2020 YTD Approved Actuals Budget 431,422 582,373 451,770 965,635 430 16,900 221 0 152,054 198,790 1,076 5,000 1,875 3,200 832 1,500 1,742 2,470 0 100 2,435 7,400 45,696 57,000 9,310 9,310 1,835 3,000 1,323 1,200 2,338 92,000 0 200 2,621 4,057 25 3,500 0 196,000 0 500 151,372 291,025 64,954 111,715 (55) 4,400 0 2,800 1,064 7,000 1,324,340 2,567,075 (79,125) (49,000) (22,316) (14,400) (453,726) (1,944,900) (9,413) (22,000) 0 (8,350) (175) (10,150) (200) (4,000) (34,425) (10,000) (599,380) (2,062,800) 153 Run Date: 4/21/2112:03 PM 2021 INC.IDEC. Approved % CHGE. Budget 2020 62,484 644,857 10.73% (640,728) 324,907 (66.35%) 0 16,900 0.00% 0 ·o 0.00% (38,273) 160,517 (19.25%) 0 5,000 0.00% 0 3,200 0.00% 2,000 3,500 133.33% (80) 2,390 (3.24%) 0 100 0.00% 200 7,600 2.70% (16,000) 41,000 (28.07%) 190 9,500 2.04% 0 3,000 0.00% 900 2,100 75.00% (89,000) 3,000 (96.74%) 0 200 0.00% (1,987) 2,070 (48.98%) (1,500) 2,000 (42.86%) (177,000) 19,000 (90.31%) 0 500 0.00% (92,675) 198,350 (31.84%) (36,715) 75,000 (32.86%) 0 4,400 0.00% 0 2,800 0.00% 0 7,000 0.00% (1,028,184) 1,538,891 (40.05%) (4,863) (53,863) 9.92% (29,800) (44,200) 206.94% 1,434,758 (510,142) (73.77%) 11,000 (11,000) (50.00%) 2,350 (6,000) (28.14%) 7,350 (2,800) (72.41%) (3,000) (7,000) 75.00% 0 (10,000) 0.00% 1,417,795 (645,005) (68.73%) 2712 Programs 2019 Actuals Total Transfers 0 Net 423,121 City of Pickering 2021 Current Budget Approved Final 2020 2020 YTD Approved Actuals Budget 0 0 724,960 504,275 154 Run Date: 4/21/2112:03 PM 2021 INC./DEC. Approved % CHGE. Budget 2020 0 0 0.00% 389,611 893,886 77.26% City cf 1Pickeri111g 2021 Approved Background Information 2712 Programs Expenditures 2712.1100.0000 Salaries & Wages Base Salaries and Wages One new full-time Culture Outreach Event Assistant position for summer (partially offset by YCW Culture Outreach Grant) One new full-time Culture Outreach Event Leader for summer (partially offset by YCW Culture Outreach Grant) One new full-time Coordinator, Community Safety contract position -start date July 1, 2021 (funded by grant or transfer from Rate Stabilization Res.) 2021 CUPE salary increase transfer from Gen. Gov't Contingency 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 Total 2712.1200.0001 C.S.& F.-Overtime 2712.1400.0000 Employer Contributions 155 Run Date: 4/21/21 12:05 PM 2021 Bud et 580,398 11,990 7,463 36,300 8,706 644,857 10,000 1,235 50,000 37,000 95,246 10,000 10,000 2,000 1,000 1,326 1,000 2,500 12,000 14,000 3,100 26,000 500 38,000 5,000 5,000 324,907 11,900 5,000 16,900 2712 Programs Coty of Pickering 2021 Approved Background Information 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 Statutory benefits related to one new full-time Culture Outreach Event Assistant position for summer Statutory benefits related to one new full-time Culture Outreach Event Leader for summer Statutory benefits related to one new full-time Coordinator, Community Safety contract position -start date July 1, 2021 (funded by grant or transfer from Rate Stabilization Res.) Benefits related to 2021 CUPE salary increase transfer from Gen. Gov't Contingency Total 2712.1400.0000 Employer Contributions 2712.1900.0000 Uniforms As per the Collective Agreement & Security Guards (legislated) Total 2712.1900.0000 Uniforms 2712.2110.0001 TRAVEL Parking & Mileage Total 2712.2110.0001 TRAVEL 2712.2131.0001 Cellular Phones Cellular Phone Charges. Various staff (Coordinator, Rec. Progr9ms, Rec. Programmer, Coordinator, Youth Leadership Programs, Facility Security Guards, Summer Camp Staff x 9) Total 2712.2131.0001 Cellular Phones 2712.2140.0000 Telephones Run Date: 4/21/21 12:05 PM 2021 Bud et 127,398 27,250 925 600 2,900 1,444 160,517 5,000 5,000 3,200 3,200 3,500 3,500 Voice/ Data 2,125 Internet 265 Total 2712.2140.0000 Telephones 2712.2220.0000 Subscriptions & Publicati To continue to enhance the general program resource library Total 2712.2220.0000 Subscriptions & Publicati 2712.2340.0000 . Seminars & Education High Five Quality Assurance Program -New camp staff and program instructors Defibrillator Training & Recertifications -Various staff Parks & Rec. Ont, (PRO) Conference -Coard., Recreation Programs Centre of Excellence for Public Sector Marketing -Strategic Social Media Engagement Workshop -Coordinator, Marketing Recreation Services 156 2,390 100 100 1,000 500 1,600 1,900 Coty of Puckering 2021 Approved Background Information 2712 Programs Advanced Recreation Facilities Business Management I -Coordinator, Camp & Arena Programs Total 2712.2340.0000 Seminars & Education 2712.2365.0000 Purch. Pr./Broch./News Lt Printing costs associated with City brochures and promotional activities Total 2712.2365.0000 Purch. Pr./Broch./News Lt 2712.2370.0000 Insurance Premium Annual cost of insurance policy that provides protection for municipal activities and property. (Policy coverage includes: liability, automobile and property). Total 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 2712.2399.9362 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 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 Prog Summer camp rentals March break rentals Arts rentals Pre-school skating Pre-school rentals Pre-teen dances rentals Kindergym rentals Prg -(9307) Prg -(9320) Prg -(9321) Prg -(9325) Prg -(9353) Prg -(9362) Prg -(9369) Total 2712.2648.0000 C.S & F Prog 2712.5302.0000 Forms 157 Run Date: 4/21/21 12:05 PM 2021 Bud et 2,600 7,600 41,000 41,000 9,500 9,500 3,000 3,000 2,100 2,100 3,000 3,000 200 200 2,070 2,070 2,000 2,000 10,000 1,000 2,000 2,000 2,000 1,000 1,000 19,000 City of Pickering 2021 Approved Background Information 2712 Programs Pre-printed confirmation paper and cash application forms for Escom computer system Total 2712.5302.0000 Forms 2712.5320.0000 C.S & F Prog. 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) Adult leisure supplies Prg -(9384) Babysitting supplies Prg -(9338) Pre-school skating supplies Prg -(9325) Badminton supplies Prg -(9334) Volleyball supplies 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 2712.5320.9003 Canada Day-Evening Virtual Content Development Total 2712.5320.9003 Canada Day -Evening 2712.5320.9004 Supplies-Celebrate Winter Various supplies used for Winteriest Fireworks Total 2712.5320.9004 Supplies-Celebrate Winter 2712.5320.9006 Commuhity Grp Activity Community Engagement Activities Santa Claus Parade Remembrance Day Events 158 Run Date: 4/21/2112:05 PM 2021 Bud et 500 500 500 4,000 20,000 6,000 1,500 1,000 15,000 700 500 500 600 600 400 2,000 8,000 1,700 2,000 10,000 75,000 10,000 10,000 21,000 41,000 40,000 40,000 16,000 6,000 22,000 25,650 2,000 2,200 City of Pickering 2021 Approved Background Information 2712 Programs Easter Parade Outreach Program Equipment Outreach Van Rental Wrap of Vehicle Total 2712.5320.9006 Community Grp Activity 2712.5320.9007 Waterfront Events Thursday and Sunday concerts (entertainers, socan fees, etc.) Video Production 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 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 159 Run Date: 4/21/21 12:05 PM 2021 Bud et 500 1,500 1,000 3,600 36,450 12,600 4,800 17,400 9,000 9,000 6,000 6,000 13,000 13,000 5,000 5,000 8,500 8,500 4,400 4,400 2,000 400 400 2,800 2712 Programs Coty (Of Pickering 2021 Approved Background Information 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 Expenses Revenues Total 2712.5978.0000 Misc. Equipment 1610.2712.0000 Federal Pgm Grants Program Grant -Federal Celebrate Canada Grant Young Canada Works (YCW) Culture Outreach Grant (25%) Total 1610.2712.0000 Federal Pgm Grants 1623.2712.0000 Ont Grant-Programs Jumpstart Programs Grant funding for one new full-time Coordinator, Community Safety contract position -start date July 1, 2021 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 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 160 Run Date: 4/21/21 12:05 PM 2021 Bud et 3,000 4,000 7,000 1,538,891 (25,000) (24,000) (4,863) (53,863) (5,000) (39,200) (44,200) (28,000) (28,000) (1,000) (1,000) (85,000) (85,000) (40,000) (40,000) (198,142) (198,142) (5,000) (5,000) (12,000) City @f Pickering 2021 Approved Background Information 2712 Programs Sale of advertising space in City Brochures -Spring/ Summer Fall Advertisers Winter Advertisers Total 2712.9940.0000 Advertising Space 2712.9950.9009 Artfest Booth Fees Total 2712.9950.9009 Artfest 2712.9980.9000 General Sponsorships General Events Sponsorships (No tax) New Summer Outreach 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 Revenues Total Transfers Net Expenses Total 2712.9990.9001 Other Rev -Canada Day 162 Run Date: 4/21/21 12:05 PM 2021 Bud et (5,000) (3,000) (3,000) (11,000) (2,800) (2,800) (4,000) (3,000) (7,000) (5,000) (5,000) (5,000) (5,000) (1,000) (1,000) (5,000) (5,000) (645,005) 0 893,886 2713 Dunbarton Pool Expenditures 2713.1100.0000 Salaries & Wages Base Salaries and Wages City of Piclkerifillg 2021 Approved Background Information Increase in hours (956) for Facility Attendant term positions for enhanced cleaning Additional term staff hours due to CHDRC pool closure 2021 CUPE salary increase transfer from Gen. Gov't Contingency 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 h$alth and dental Benefits related to increase in hours (956) for Facility Attendant term positions for enhanced cleaning Benefits related to additional term staff hours due to CHDRC pool closure Benefits related to 2021 CUPE salary increase transfer from Gen. Gov't Contingency 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 Run Date: 4/21/21 12:05 PM 2021 Bud et 238,662 18,750 27,190 3,580 288,182 2,200 2,200 65,735 1,500 2,720 600 70,555 1,620 1,620 200 200 500 500 Voice/ Data 4,240 Internet 870 Total 2713.2140.0000 Telephones 2713.2340.0000 Seminars & Education Defibrillator Training & Recertification -Various staff Certified Pool Operator Training -Facility Maintenance staff Total 2713.2340.0000 Seminars & Education 2713.2370.0000 Insurance Premium 164 5,110 920 450 1,370 City of IPiclkernng 2021 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 Structural repairs 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 & condensing 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 & 2713.2479.0000 Sfwr/Hdwr Maint Contracts Maintenance -HRIS Total 2713.2479.0000 Sfwr/Hdwr Maint Contracts 2713.5300.0000 Stationery & Office Suppl · General office supplies Total 2713.5300.0000 Stationery & Office Suppl 165 Run Date: 4/21/2112:05 PM 2021 Bud et 1,720 1,720 10,000 10,000 102 102 1,000 900 180 2,080 5,000 5,000 6,300 2,000 3,000 1,500 2,000 2,000 2,500 1,500 3,000 1,500 35,300 1,500 1,500 3,000 450 450 200 200 City of Pickering 2021 Approved Background Information 2713 Dunbarton. Pool 2713.5520.0000 Utilities -Gas Budget based on 2020 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 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 166 Run Date: 4/21/21 12:05 PM 2021 Bud et 30,650 30,650 5,450 3,211 8,661 461,900 (1,835) (1,835) (64,000) (64,000) (13,750) (13,750) (79,585) 0 382,315 2715 Don Beer Arena 2019 Actuals Expenditures 1100 Salaries & Wages 574,899 1200 Overtime 24,057 1400 Employer Contributions 127,201 1900 Uniforms 3,126 2110 Travel 0 2131 Cellular Phones 422 2140 Telephones 14,078 2340 Seminars & Education 1,.165 2370 Insurance Premium 5,746 2371 Ins. Deductible 0 2392 Consulting & Professional 0 2394 Recpt, Prom & Sp Events 180 2395 Memberships 0 2399 Outside Agency Serv 2,930 2435 Build Repairs & Mtce 157,972 2478 Misc Equip Repairs 13,750 2479 Software/Hardware Maintenanc 0 2678 Rental Misc Equip 0 2682 Land Rentals 44,810 5300 Stationery & Office Supplies 257 5510 Utilities -Water 32,240 5520 Utilities -Gas 37,505 5530 Utilities -Hydro 271,294 5902 Supplies & Tools 762 5973 Minor Furniture & Fixtures 0 5978 Misc. Equipment 2,309 Total Expenditures 1,314,703 Revenues 9915 Snack Bar (10,064) 9916 Vending Machines (3,608) 9930 Rentals (4,600) 9922 Admissions -Skating (1,959) 9931 Rentals -Ice Surface (1,077,75.8) 9935 Rentals -Halls (33,354) 9959 Arena Floor Rentals (56,291) 9985 Marketing Sponsorships 0 Total Revenues (1,187,634) Transfers to/from Reserves & R.F. City of Pickering 2021 Current Budget Approved Final 2020 2020 YTD Approved Actuals Budget 518,972 606,361 10,697 20,000 109,695 146,381 1,387 5,000 0 200 416 1,800 14,508 16,110 577 4,110 5,850 5,850 0 2,000 0 0 90 0 0 400 5,231 3,115 122,030 156,365 9,410 15,000 1,046 1,639 0 300 44,810 46,160 37 300 27,617 31,7~0 26,918 41,385 197,885 286,398 1,238 2,165 0 0 4,975 6,400 1,103,389 1,399,229 (3;813) (9,850) (767) (4,500) (1,150) (4,600) (1,272) (3,500) (605,833) (1,040,000) (6,332) (47,000) (10,264) (32,000) 0 (15,000) (629,431) (1,156,450) 167 Run Date: 4/21/21 12:03 PM 2021 INC./DEC. Approved % CHGE. Budget 2020 (41,158) 565,203 (6.79%) 0 20,000 0.00% 3,014 149,395 2.06% 0 5,000 0.00% 0 200 0.00% 0 1,800 0.00% 40 16,150 0.25% 90 4,200 2.19% 120 5,970 2.05% 0 2,000 0.00% 5,000 5,000 0.00% 0 0 0.00% 0 400 0.00% 0 3,115 0.00% 40,530 196,895 25.92% 0 15,000 0.00% (369) 1,270 (22.51%) 0 300 0.00% (10) 46,150 (0.02%) 0 300 0.00% (7,490) 24,300 (23.56%) · (9,735) 31,650 (23.52%) (67,248) 219,150 (23.48%) 0 2,165 0.00% 3,000 3,000 0.00% 0 6,400 0.00% (74,216) 1,325,013 (5.30%) 4,925 (4,925) (50.00%) 2,000 (2,500) (44.44%) 2,300 (2,300) (50.00%) 1,750 (1,750) (50.00%) 553,430 (486,570) (53.21%) 20,000 (27,000) (42.55%) 0 (32,000) 0.00% 7,500 (7,500) (50.00%) 591,905 (564,545) (51.18%) 2715 Don Beer Arena 2019 Actuals Total Transfers 0 Net 127,069 City of Pickering 2021 Current Budget Approved Final 2020 2020 YTD Approved Actuals Budget 0 0 473,958 242,779 168 Run Date: 4/21/21 12:03 PM 2021 INC./DEC. Approved % CHGE. Budget 2020 0 0 0.00% 517,689 760,468 213.23% 2715 Don Beer Arena Expenditures 2715.1100.0000 Salaries & Wages Base Salaries and Wages Cnty of IPficlkering 2021 Approved Background Information Increase in hours (640) for Facility Attendant term positions for enhanced cleaning Transfer of hours (640) for Maintenance Worker, Ice Arena full-time positions from 2735 Decrease in term staff hours (2,533) due to COVID closures 2021 CUPE salary increase transfer from Gen. Gov't Contingency 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 increase in hours (640) for Facility Attendant term positions for enhanced cleaning Benefits related to transfer of hours (640) for Maintenance Worker, Ice Arena full-time positions from 2735 Benefits related to decrease in term staff hours (2,533) due to COVID closures Benefits related to 2021 CUPE salary increase transfer from Gen. Gov't Contingency 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 Internet Cable Telephones Total 2715.2140.0000 Telephones 2715.2340.0000 Seminars & Education 169 Run Date: 4/21/2112:05 PM 2021 Bud et 607,835 12,550 21,750 (86,050) 9,118 565,203 20,000 20,000 148,662 1,250 6,525 (8,600) 1,558 149,395 5,000 5,000 200 200 1,800 1,800 15,340 265 545 16,150 City of Pficlkeriirng 2021 Approved Background Information 2715 Don Beer Arena TSSA B Ticket Renewal -Foreperson and Maintenance Worker (8) Defibrillator Training & Recertification -Various staff Basic Refrigeration Training (2) Total 2715.2340.0000 Seminars & Education 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 2715.2392.0000 Consulting & Professional Roofing Inspection Total 2715.2392.0000 Consulting & Professional 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 disposal system Refrigeration repairs maintenance and dehumidifiers (contract) Condenser Water Treatment Program Overhaul Compressor Fan and motor repairs, supplies and accessories Elevator Inspection 170 Run Date: 4/21/21 12:05 PM 2021 Bud et 600 1,500 2,100 4,200 5,970 5,970 2,000 2,000 5,000 5,000 400 400 1A50 1)00 465 3,115 28,600 3,500 34,000 17,000 210 10,160 7,840 8,050 1,000 3,500 2A50 21,280 5,020 15,035 4,000 1,000 City of Pickering 2021 Approved Background Information 2715 Don Beer Arena Kitchen Hood Inspection/cleaning Annual regulatory inspections Heat exchange repair Repair to rubber flooring Total 2715.2435.0000 Building Repairs & Mainte 2715.2478.0000 Misc.Equipment Repairs & Ice Resurfacer maintenance Misc. small equipment repairs Goal Frames & Mesh Total 2715.2478.0000 Misc.Equipment Repairs & 2715.2479.0000 Sfwr/Hdwr Maint Contracts Maintenance -HRIS Total 2715.2479.0000 Sfwr/Hdwr Maint Contracts 2715.2678.0000 Misc Equipment Rentals Rental of tools for specific jobs -Platform Lift Total 2715.2678.0000 Misc Equipment Rentals 2715.2682.0000 Land Rentals Parking Lot lease with Ontario Infrastructure, 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 2020 projected actuals and regional water rate increase in 2021 Total 2715.5510.0000 Utilities -Water 2715.5520.0000 Utilities -Gas Budget based on 2020 projected actuals Total 2715.5520.0000 Utilities -Gas 2715.5530.0000 Utilities -Hydro Budget based on 2020 projected actuals and rate increase in 2021 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 2715.5973.0000 Furniture & Fixtures Defibrillator replacement Total 2715.5973.0000 Furniture & Fixtures 171 Run Date: 4/21/21 12:05 PM 2021 Bud et 600 7,150 21,500 5,000. 196,895 10,500 1,500 3,000 15,000 1,270 1,270 300 300 41,650 4,500 46,150 300 300 24,300 24,300 31,650 31,650 219,150 219,150 665 1,500 2,165 3,000 3,000 City of Puckering 2021 Approved Background Information 2715 Don Beer Arena 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 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 172 Run Date: 4/21/21 12:05 PM 2021 Bud et 6,400 6,400 1,325,013 (4,925) (4,925) (2,500) (2,500) (1,750) (1,750) (2,300) (2,300) (486,570) (486,570) (27,000) (27,000) (6,000) (26,000) (32,000) (7,500) (7,500) (564,545) 0 760,468 2719 Community Centres 2019 Actuals Expenditures 1100 Salaries & Wages 310,999 1200 Overtime 3,933 1400 Employer Contributions 59,761 1900 Uniforms 2,801 2110 Travel 129 2131 Cellular Phones 1,763 2140 Telephones 16,402 2340 Seminars & Education 686 2370 Insurance Premium 3,832 2371 Ins. Deductible 755 2392 Consulting & Professional 0 2399 Outside Agency Serv 4,748 2435 Build Repairs & Mtce 256,852 2457 Veh -Repairs & Maintenance 4,878 2478 Misc Equip Repairs 2,551 2479 Software/Hardware Maintenanc 0 2648 Building Rentals 0 5510 Utilities -Water 9,998 5520 Utilities -Gas 23,001 5530 Utilities -Hydro 94,993 5540 Utilities -Oil 4,639 5900 Gas, Oil Tires 7,732 5902 Supplies & Tools 135 5973 Minor Furniture & Fixtures 14,330 5978 Misc. Equipment 2,172 Total Expenditures 827,090 Revenues 9916 Vending Machines (775) 9937 Rentals -West Shore C.C. (64,770) 9938 Rentals -East Shore C.C. (50,887) 9947 Rentals -Claremont C.C. (10,234) 9949 Rentals -Petticoat Creek (64,564) 9990 Other Misc Revenue 0 9954 Netted Revenue 0 Total Revenues (191,230) Transfers to/from Reserves & R.F. 1911 Trans. to/(from) Continuing Stu (1,425) Total Transfers (1,425) City of Pickering 2021 Current Budget Approved Final 2020 2020 YTD Approved Actuals Budget 256,169 279,516 1,761 8,000 49,412 67,028 429 2,200 0 500 1,753 2,500 14,015 13,755 215 1,360 3,900 3,900 0 2,000 37,399 45,000 7,365 11,984 220,628 282,476 5,187 6,300 1,949 1,500 451 703 41 10 10,352 13,000 20,323 27,863 80,878 116,990 3,335 4,867 6,146 8,112 548 2,000 0 10,000 0 0 722,256 911,564 (174) (1,000) (26,094) (70,901) (10,045) (56,000) (384) (800) (8,772) (54,000) 0 (2,500) 0 (11,900) (45,469) (197,101) 0 0 0 0 173 Run Date: 4/21/2112:03 PM 2021 INC./DEC. Approved % CHGE. Budget 2020 42,557 322,073 15.23% 0 8,000 0.00% 9,731 76,759 14.52% 0 2,200 0.00% 0 500 0.00% 0 2,500 0.00% (130) 13,625 (0.95%) 0 1,360 0.00% 80 3,980 2.05% 0 2,000 0.00% 3,300 48,300 7.33% 0 11,984 0.00% (13,171) 269,305 (4.66%) 0 6,300 0.00% 0 1,500 0.00% (141) 562 (20.06%) 0 10 0.00% 250 13,250 1.92% (1,763) 26,100 (6.33%) 0 116,990 0.00% 0 4,867 0.00% 0 8,112 0.00% 0 2,000 0.00% 0 10,000 0.00% 0 0 0.00% 40,713 952,277 4.47% 0 (1,000) 0.00% 26,121 (44,780) (36.84%) 46,000 (10,000) (82.14%) 0 (800) 0.00% 32,000 (22,000) (59.26%) 0 (2,500) 0.00% 0 (11,900) 0.00% 104,121 (92,980) (52.83%) (1,600) (1,600) 0.00% (1,600) (1,600) 0.00% 2719 Community Centres 2019 Actuals Net 634,435 City of Pickering 2021 Current Budget Approved Final 2020 2020 YTD Approved Actuals Budget 676,787 714,463 174 Run Date: 4/21/21 12:03 PM 2021 INC./DEC. Approved % CHGE. Budget 2020 143,234 857,697 20.05% City of Pickering 2021 Approved Background Information 2719 Community Centres Expenditures 2719.1100.0000 Salaries & Wages Base Salaries and Wages Increase in hours (1,914) for Facility Attendant term positions for enhanced cleaning 2021 CUPE salary increase transfer from Gen. Gov't Contingency 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 Increase in hours (1,914) for Facility Attendant term positions for enhanced cleaning Benefits related to 2021 CUPE salary increase transfer from Gen. Gov't Contingency 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 175 Run Date: 4/21/21 12:05 PM 2021 Bud et 280,318 37,550 4,205 322,073 8,000 8,000 72,908 3,005 846 76,759 2,200 2,200 500 500 2,500 2,500 2,965 2,770 5,735 2,600 4,210 1,080 7,890 City of Pickering 2021 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 (WSCC, Greenwood Library, PSD) Designated Substances Surveys (Greenwood CC, MCH, WACC, Whitevale CC) Septic System Inspections (Greenwood CC, Tomlinson CC, WACC, Whitevale CC) Pickering Soccer Dome Inspection Total 2719.2392.0000 Consulting & Professional 2719.2392.0001 Consulting -Funded from Continuing Studies Res. Building Condition Audits (northern community centres) -PO# 700169 Total 2719.2392.0001 Consulting -Funded from Continuing Studies Res. 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) 176 Run Date: 4/21/21 12:05 PM 2021 Bud et 600 160 600 1,360 3,980 3,980 2,000 2,000 23,200 8,000 10,000 5,500 46,700 1,600 1,600 2,000 5,000 4,540 444 11,984 3,000 27,750 13,855 10,270 45,000 39,950 5,000 City of IPuclkering 2021 Approved Background Information 2719 Community Centres Environmental Monitoring -water treatment and testing of wells 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 Generator Testing Life Safety System Testing (fire alarms/extinguishers & emerg. lighting) Floor Repairs (Whitevale 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/Plumbir1Q 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 Total 2719.2479.0000 Sfwr/Hdwr Maint Contracts 2719.2648.0000 Rec. Building Rentals 177 Run Date: 4/21/21 12:05 PM 2021 Bud et 15,944 3,570 19,550 3,250 850 1,700 1,020 3,500 820 8,840 15,000 12,000 230,869 915 5,250 2,445 3,930 10,161 7,050 510 3,450 1,750 150 300 180 845 1,500 38,436 6,300 6,300 1,500 1,500 562 562 Coty of 1Piclkeri1111g 2021 Approved Background Information 2719 Community Centres Brougham Community Centre -Federal rental charge Total 2719.2648.0000 Rec. Building Rentals 2719.5510.0001 Utilities -Water 0th Fae Budget based on 2020 projected actuals and regional water rate increase in 2021 Total 2719.5510.0001 Utilities -Water 0th Fae 2719.5510.0002 Utilities -Water GALCC Budget based on 2020 projected actuals and regional water rate increase in 2021 Total 2719.5510.0002 Utilities -Water GALCC 2719.5520.0001 Utilities -Gas 0th Fae Budget based on 2020 projected actuals Total 2719.5520.0001 Utilities -Gas 0th Fae 2719.5520.0002 Utilities -Gas GALCC Budget based on 2020 projected actuals Total 2719.5520.0002 Utilities -Gas GALCC 2719.5530.0001 Utilities -Hydro 0th Fae Budget based on 2020 projected actuals and rate increase in 2021 Total 2719.5530.0001 Utilities -Hydro 0th Fae 2719.5530.0002 Utilities -Hydro GALCC Budget based on 2020 projected actuals and rate increase in 2021 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 178 Run Date: 4/21/2112:05 PM 2021 Bud et 10 10 10,200 10,200 3,050 3,050 20,880 20,880 5,220 5,220 105,290 105,290 11,700 11,700 4,867 4,867 7,312 800 8,112 1,475 1,475 525 525 10,000 10,000 952,277 City of Pickering 2021 Approved Background Information 2719 Community Centres Revenues 2719.9916.0000 Vending Machines East Shore C.C. Total 2719.9916.0000 Vending Machines 2719.9937.0000 Rentals -West Shore C.C. West Shore Community Centre -Nursery School Lease Hall Rentals Total 2719.9937.ci000 Rentals -West Shore C.C. 2719.9938.0000 Rentals -East Shore C.C. Hall & Room Rentals 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 George Ashe Sunday Hours -City (cost recovery from Library) -special levy Council approved Facility Attendant staffing costs for George Ashe Sunday Hours -City (cost recovery from Library) -special levy Council approved Total 2719.9954.0000 Netted Revenue 2719.9990.0000 Other Revenue Damage deposit forfeited Total Revenues Transfers Total 2719.9990.0000 Other Revenue 1911.2719.0000 Trsf frm Res -Comm Ctrs Funding from Continuing Studies Reserve for Building Condition Audits (northern community centres) Total Transfers Net Expenses Total 1911.2719.0000 Trsffrm Res -Comm Ctrs 179 Run Date: 4/21/21 12:05 PM 2021 Bud et (1,000) (1,000) (4,890) (39,890) (44,780) (10,000) (10,000) (800) (800) (22,000) (22,000) (6,300) (5,600) (11,900) (2,500) (2,500) (92,980) (1,600) (1,600) (1,600) 857,697 2731 Recreation Complex -Central Core 2019 Actuals Expenditures 1100 Salaries & Wages 2,014,694 1200 Overtime 32,540 1400 Employer Contributions 453,645 1900 Uniforms 13,753 2110 Travel 1,486 2131 Cellular Phones 7,502 2140 Telephones 11,007 2210 Advertising 32,607 2220 Subscription & Publications 0 2340 Seminars & Education 6,831 2370 Insurance Premium 13,070 2371 Ins. Deductible 166 2392 Consulting & Professional 1,992 2394 Reep!, Prom & Sp Events 10,727 2395 Memberships 2,598 2399 Outside Agency Serv 69,530 2435 Build Repairs & Mice 318,341 2478 Misc Equip Repairs 37,955 2479 Software/Hardware Maintenanc 7,922 2678 Rental Misc Equip 5,120 5300 Stationery & Office Supplies 7,144 5302 Forms 1,021 5340 Supplies -Special Events 1,759 5510 Utilities -Water 52,992 5520 Utilities -Gas 56,188 5530 Utilities -Hydro 256,716 5902 Supplies & Tools 27,107 5973 Minor Furniture & Fixtures 9,041 Total Expenditures 3,453,454 Revenues 9916 Vending Machines (12,408) 9970 Child Supervision (32,405) 9975 Fitness Testing (53,736) 9921 Admissions -Tennis (97,366) 9924 Admissions -Squash (16,239) 9925 Admissions -Fitness Room (6,624) 9926 Admissions -Racquet Ball (4,767) 9933 Rentals -Mtg. Room/Public (37,719) City of Pickering 2021 Current Budget Approved Final 2020 2020 YTD Approved Actuals Budget 2,002,354 2,069,185 13,683 47,000 412,486 483,309 4,743 12,000 0 1,300 7,471 8,000 9,589 13,995 7,063 31,000 0 250 1,386 10,175 13,305 13,305 1,107 4,000 3,800 13,870 1,804 9,000 2,135 2,865 97,677 74,941 305,826 263,591 29,619 40,450 8,245 16,696 5,219 8,000 5,986 8,000 25 1,100 331 4,000 27,713 53,475 37,206 61,216 176,297 276,664 9,153 38,975 1,364 12,000 3,185,587 3,578,362 (1,673) (10,000) (8,055) (30,000) (23,668) (70,000) (60,300) (92,000) (6,777) (21,000) (2,682) (6,500) (1,394) (5,000) (8,873) (27,000) 180 Run Date: 4/21/2112:03 PM 2021 INC./DEC. Approved % CHGE. Budget 2020 (269,552) 1,799,633 (13.03%) (15,000) 32,000 (31.91%) 37,945 521,254 7.85% (4,000) 8,000 (33.33%) (500) 800 (38.46%) 650 8,650 8.13% (1,270) 12,725 (9.07%) (16,000) 15,000 (51.61%) 0 250 0.00% (4,250) 5,925 (41.77%) 265 13,570 1.99% 0 4,000 0.00% · (13,870) 0 (100.00%) (6,500) 2,500 (72.22%) 0 2,865 0.00% (11,450) 63,491 (15.28%) (49,626) 213,965 (18.83%) (12,240) 28,210 (30.26%) (1,696) 15,000 (10.16%) (6,000) 2,000 (75.00%) (4,900) 3,100 (61.25%) 0 1,100 0.00% (3,000) 1,000 (75.00%) (15,295) 38,180 (28.60%) (17,516) 43,700 (28.61%) (22,664) 254,000 (8.19%) (12,775) 26,200 (32.78%) 3,000 15,000 25.00% (446,244) 3,132,118 (12.47%) 0 (10,000) 0.00% 30,000 0 (100.00%) 30,000 (40,000) (42.86%) 18,000 (74,000) (19.57%) 10,000 (11,000) (47.62%) 4,500 (2,000) (69.23%) 3,400 (1,600) (68.00%) 20,000 (7,000) (74.07%) 2731 Recreation Complex -Central Core 2019 Actuals 9934 Rentals -Mtg. Room/Prog. (27,000) 9935 Rentals -Halls (107,830) 9939 Rentals -Lockers (121) 9941 Membertships -Tennis (24,625) 9943 Memberships -Pool/Health CIL (642,707) 9944 Memberships -Squash (80,691) 9945 Memberships -General (149,751) 9946 Memberships -Racquet Ball (24,008) 9958 Rentals -Wellness Clinic (59,517) 9990 Other Misc Revenue (120,506) 9992 Other Revenue -Membership r (6,231) Total Revenues (1,504,251) Transfers to/from Reserves & R.F. 1910 Transfer to/(from) Reserve 0 1911 Trans. to/(from) Continuing Stu 0 Total Transfers 0 Net 1,949,203 City of Pickering 2021 Current Budget Approved Final 2020 2020 YTD Approved Actuals Budget 0 (27,000) (12,596) (102,000) (60) (100) (23,596) (24,000) (316,396) (621,000) (48,589) (75,000) (75,932) (140,500) (11,800) (21,000) (45,552) (59,000) (3,479) (14,000) (1,037) (5,000) (652,459) (1,350,100) 0 (92,500) (3,867) (3,870) (3,867) (96,370) 2,529,261 2,131,892 181 Run Date: 4/21/2112:03 PM 2021 INC.IDEC. Approved % CHGE. Budget 2020 20,000 (7,000) (74.07%) 102,000 0 (100.00%) 100 0 (100.00%) 0 (24,000) 0.00% 256,000 (365,000) (41.22%) 19,000 (56,000) (25.33%) 50,500 (90,000) (35.94%) 9,000 (12,000) (42.86%) (9,000) (68,000) 15.25% (71,000) (85,000) 507.14% (1,200) (6,200) 24.00% 491,300 (858,800) (36.39%) 92,500 0 (100.00%) 3,870 0 (100.00%) 96,370 0 (100.00%) 141,426 2,273,318 6.63% City cf Piclkerung 2021 Approved Background Information 2731 Recreation Complex -Central Core Expenditures 2731.1100.0000 Salaries & Wages Base Salaries and Wages Decrease in term staff hours due to COVID operational changes Conversion of one full-time Foreperson, Mechanical Systems position to a full-time Maintenance Mechanic Facility position (net savings) (50:50 split with 2124) Increase in hours (2,635) for Facility Attendant term positions for enhanced cleaning 2021 CUPE salary increase transfer from Gen. Gov't Contingency 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 orie full-time Foreperson, Mechanical Systems position to a full-time Maintenance Mechanic Facility position (net savings). (50:50 split with 2124) Benefits related to Increase in hours (2,635) for Facility Attendant term positions for enhanced cleaning Benefits related to decrease in term staff hours due to COVID operational changes Benefits related to 2021 CUPE salary increase transfer from Gen. Gov't Contingency 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) Mobile device charges for Work Order Software -Go-Eva (MESH) - 3 tablets for various staff (Admin., Lead Hand, Mechanic) and 2 tablets for supervisors. 182 Run Date: 4/21/21 12:05 PM 2021 Bud et 1,983,436 (257,072) (6,405) 51,700 27,974 1,799,633 22,000 10,000 32,000 533,581 (1,076) 4,135 (20,570) 5,184 521,254 8,000 8,000 800 800 7,000 1,650 City of IPiclkerring 2021 Approved Background Information 2731 Recreation Complex -Central Core Total 2731.2131.0000 Cellular Phones 2731.2140.0000 Telephones Voice/ Data Internet Total 2731.2140.0000 Telephones 2731.2210.0000 Advertising Provide newspaper & brochure advertisements and promotions packages Total 2731.2210.0000 Advertising 2731.2220.0000 Subscriptions & Publicati Reference material, journals and reports Total 2731.2220.0000 Subscriptions & Publicati 2731.2340.0000 Seminars & Education First Aid/CPR Defibrillator Training & Recertification -Various staff CSEP (Canadian Society for Exercise Physiology) -Health & Fitness Specialist and Coordinator, Fitness Rooms (3) Legal Awareness Training -Supervisor, Facilities Operations 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 2731.2394.0000 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 Base Hospital Support Defibrillation Program 183 Run Date: 4/21/21 12:05 PM 2021 Bud et 8,650 11,660 1,065 12,725 15,000 15,000 250 250 2,925 2,000 1,000 5,925 13,570 13,570 4,000 4,000 2,500 2,500 1,265 100 500 800 200 2,865 41,860 13,566 3,240 City of Pickering 2021 Approved Background Information 2731 Recreation Complex -Central Core Defibrillator Monitoring Contract Fire Alarm Monitoring Contract Circuit Metering Total 2731.2399.0000 Outside Agency Services 2731.2435.0000 Building Repairs & Mainte Caretaking Supplies General Supplies Glass Cleaning (every 4 mths) Snow Removal & Salting Building Supplies and Repairs Electrical Repairs Plumbing Repairs Lamps, Ballasts, Fuse Inventory Window, Door and Lock Repairs Various repairs to infrastructure due to aging 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 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 Total 2731.2435.0000 Building Repairs & Mainte 2731.2478.0000 Misc.Equipment Repairs & Various program equipment at the Recreation Complex 184 Run Date: 4/21/2112:05 PM 2021 Bud et 1,350 600 2,875 63,491 18,750 6,300 4,000 41,600 8,000 12,000 11,000 2,000 5,000 12,000 5,000 1,000 1,090 6,000 6,000 3,000 3,300 2,000 5,045 600 5,000 4,800 7,000 6,880 3,500 5,000 3,000 3,000 5,500 11,600 5,000 213,965 15,000 City of 1Piclkerri1111g 2021 Approved Background Information 2731 Recreation Complex -Central Core Treadmill Belt replacements Floor machine service Ladder/Lift Inspection Total 2731.2478.0000 Misc.Equipment Repairs & 2731.2479.0000 Sfwr/Hdwr Maint Contracts Game Time software maintenance contract Maintenance -HRIS Maintenance -Recreation -DBS Total 2731.2479.0000 Sfwr/Hdwr Maint Contracts 2731.2678.0000 Misc Equipment Rentals Occasional equipment needs, ·other equipment rentals Total 2731.2678.0000 Misc Equipment Rentals 2731.5300.0000 Stationery & Office Suppl General office supplies 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 2020 projected actuals and regional water rate increase in 2021 Total 2731.5510.0000 Utilities -Water 2731.5520.0000 Utilities -Gas· Budget based on 2020 projected actuals Total 2731.5520.0000 Utilities -Gas 2731.5530.0000 Utilities -Hydro Budget based on 2020 projected actuals and rate increase in 2021 Total 2731.5530.0000 Utilities -Hydro 2731.5902.0000 Supplies & Tools Card Access supplies (card~, cartridges) Racquets, balls, eyewear for Elective Programs (replacement) Creative Centre First Aid Supplies (replacement) Small Tools Child Supervision Centre Total 2731.5902.0000 Supplies & Tools 2731.5973.0000 Furniture & Fixtures 185 Run Date: 4/21/2112:05 PM 2021 Bud et 6,800 5,000 1,410 28,210 5,425 3,395 6,180 15,000 2,000 2,000 3,100 3,100 1,100 1,100 1,000 1,000 38,180 38,182 38,182 43,700 43,700 254,000 254,000 22,000 300 900 300 1,500 1,200 26,200 City of Pickering 2021 Approved Background Information 2731 Recreation Complex -Central Core Recreation Complex Renovations F&E · Office Desk & Chair Replacement Defibrillator Replacement Total 2731.5973.0000 Furniture & Fixtures Total Expenses Revenues 2731.9916.0000 Vending Machines Based on 12% of total Complex Vending 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 admissions Total 2731.9924.0000 Admissions -Squash 2731.9925.0000 Admissions -Fitness Room Adult -Singles Adult - 5 Pass Adult-10 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 2731.9934.0000 Rentals -Mtg. Room Prg. Rentals for Community Services Dept. operating at the CHDRC Total 2731.9934.0000 Rentals -Mtg. Room Prg. 2731.9941.0001 Membership -Tennis Tennis Total 2731.9941.0001 Membership -Tennis 2731.9941.0002 Membership -New Tennis 186 Run Date: 4/21/2112:05 PM 2021 Bud et 10,000 2,000 3,000 15,000 3,132,118 (10,000) (10,000) (44,000) (30,000) (74,000) (8,700) (2,300) (11,000) (1,000) (500) (500) (2,000) (1,400) (200) (1,600) (7,000) (7,000) (7,000) (7,000) (6,000) (6,000) Coty of Pickering 2021 Approved Background Information 2731 Recreation Complex -Central Core Total Transfers Net Expenses 188 Run Date: 4/21/21 12:05 PM 2021 Bud et 0 · 2,273,318 2733 Recreation Complex -Pool 2019 Actuals Expenditures 1100 Salaries & Wages 466,105 1200 Overtime 6,677 1400 Employer Contributions 79,775 1900 Uniforms 3,864 2110 Travel 208 2140 Telephones 1,049 2340 Seminars & Education 1,490 2370 Insurance Premium 4,459 2392 Consulting & Professional 250 2395 Memberships 100 2435 Build Repairs & Mtce 113,081 2478 Misc Equip Repairs 0 2479 Software/Hardware Maintenanc 0 5510 Utilities -Water 52,992 5520 Utilities -Gas 56,188 5530 Utilities -Hydro 181,580 5902 Supplies & Tools 985 Total Expenditures 968,803 Revenues 9923 Admissions -Public Swimming (54,802) 9932 Rentals -Pool (163,790) 9936 Rentals -Pool-School Board (1,199) 9943 Memberships -Pool/Health CIL (77,185) Total Revenues (296,976) Transfers to/from Reserves & R.F. 1910 Transfer to/(from) Reserve 0 1911 Trans. to/(from) Continuing Stu (250) Total Transfers (250) Net 671,577 City of Pickering 2021 Current Budget Approved Final 2020 2020 YTD Approved Actuals Budget 394,852 452,214 2,691 10,000 77,929 82,938 160 5,000 100 225 489 705 429 2,815 4,540 4,540 0 1,250 100 120 53,275 92,900 740 2,000 716 1,122 27,713 53,680 37,206 61,216 124,698 202,098 3,357 11,500 728,995 984,323 (11,392) (52,000) (23,604) (166,000) 0 (1,258) (43,490) (58,000) (78,486) (277,258) 0 (9,000) 0 (1,250) 0 (10,250) 650,509 696,815 189 Run Date: 4/21/21 12:03 PM 2021 INC./DEC. Approved % CHGE. Budget 2020 (256,230) 195,984 (56.66%) (5,000) 5,000 (50.00%) (14,932) 68,006 (18.00%) (2,312) 2,688 (46.24%) 0 225 0.00% (25) 680 (3.55%) (2,145) 670 (76.20%) 90 4,630 1.98% (1,250) 0 (100.00%) (18) 102 (15.00%) (20,950) 71,950 (22.55%) (1,000) 1,000 (50.00%) (337) 785 (30.04%) (9,880) 43,800 (18.41%) (17,516) 43,700 (28.61%) (37,098) 165,000 (18.36%) (3,850) 7,650 (33.48%) (372,453) 611,870 (37.84%) 44,800 (7,200) (86.15%) 158,500 (7,500) (95.48%) 1,258 0 (100.00%) 52,000 (6,000) (89.66%) 256,558 (20,700) (92.53%) 9,000 0 (100.00%) 1,250 0 (100.00%) 10,250 0 (100.00%) (105,645) 591,170 (15.16%) 2733 Recreation Complex -Pool Expenditures 2733.1100.0000 Salaries & Wages Base Salaries and Wages City of Pickering 2021 Approved Background Information Decrease in term staff hours due to COVID and renovation pool closure Reduction in hours (184) for Aquatics Program Assistant part-time positions Reduction in hours (127) for Aquatics Program Assistant term positions Reduction in hours (330) for Life Guard term positions 2021 CUPE salary increase transfer from Gen. Gov't Contingency 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 reduction _in hours (184) for Aquatics Program Assistant part-time positions Benefits related to reduction in hours (127) for Aquatics Program Assistant term positions Benefits related to reduction in hours (330) for Life Guard term positions Benefits related to decrease in term staff hours due to COVID and renovation pool closure Benefits related to 2021 CUPE salary increase transfer from Gen. Gov't Contingency Total 2733.1400.0000 Employer Contributions 2733.1900.0000 Uniforms As per the Collective Agreement Total 2733.1900.0000 Uniforms 2733.2110.0000 Travel Supervisor, Aquatic Program: Parking & Mileage Total 2733.2110.0000 Travel 2733.2140.0000 Telephones Run Date: 4/21/2112:05 PM 2021 Bud et 472,965 (266,700) (5,916) (3,600) (6,475) 5,710 195,984 5,000 5,000 90,110 (566) (345) (267) (21,630) 704 68,006 2,688 2,688 225 225 Voice/ Data 605 Internet 75 Total 2733.2140.0000 Telephones 680 2733.2340.0000 Seminars & Education Defibrillator Training -Various staff 670 Total 2733.2340.0000 Seminars & Education 670 190 City of Pickering 2021 Approved Background Information 2733 Recreation Complex -Pool 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 2733.2395.0000 Memberships Life Saving Society Total 2733.2395.0000 Memberships 2733.2435.0000 Building Repairs & Mainte Pool Chemicals Cleaning Supplies Miscellaneous Electrical and Plumbing Repairs 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 Total 2733.2479.0000 Sfwr/Hdwr Maint Contracts 2733.5510.0000 Utilities -Water Budget based on 2020 projected actuals and regional water rate increase in 2021 Total 2733.5510.0000 Utilities -Water 2733.5520.0000 Utilities -Gas Budget based on 2020 projected actuals Total 2733.5520.0000 Utilities -Gas 2733.5530.0000 Utilities -Hydro Budget based on 2020 projected actuals and rate increase in 2021 Total 2733.5530.0000 Utilities -Hydro 2733.5902.0000 Supplies & Tools First Aid Supplies 191 Run Date: 4/21/2112:05 PM 2021 Bud et 4,630 4,630 102 102 17,250 10,300 1,500 7,000 3,000 3,000 6,000 10,400 6,500 2,000 3,000 2,000 71,950 1,000 1,000 785 785 43,800 43,800 43,700 43,700 165,000 165,000 800 City of Pickering 2021 Approved Background Information 2733 Recreation Complex -Pool Toys and Program Supplies (replacement) Small Tools etc. Total 2733.5902.0000 Supplies & Tools Total Expenses Revenues 2733.9923.0000 Admissions -Public Swimm Singles & passes Total 2733.9923.0000 Admissions -Public Swimm 2733.9932.0000 Rentals -Pool Private Permits Total 2733.9932.0000 Rentals -Pool 2733.9943.0000 Membership -Swim Memberships Total Revenues Total Transfers Net Expenses Total 2733.9943.0000 Membership -Swim 192 Run Date: 4/21/21 12:05 PM 2021 Bud et 3,000 3,850 7,650 611,870 (7,200) (7,200) (7,500) (7,500) (6,000) (6,000) (20,700) 0 591,170 2735 Recreation Complex -Arenas 2019 Actuals Expenditures 1100 Salaries & Wages 493,004 1200 Overtime 27,308 1400 Employer Contributions 117,106 1900 Uniforms 3,794 2131 Cellular Phones 622 2140 Telephones 4,154 2340 Seminars & Education 561 2370 Insurance Premium 4,343 2371 Ins. Deductible 1,442 2392 Consulting & Professional 12,040 2394 Recpt, Prom & Sp Events 150 2399 Outside Agency Serv 271 2435 Build Repairs & Mtce 131,189 2478 Misc Equip Repairs 5,068 2479 Software/Hardware Maintenanc 0 2678 Rental Misc Equip 0 5300 Stationery & Office Supplies 546 5302 Forms 0 5510 Utilities -Water 11,776 5520 Utilities -Gas 14,315 5530 Utilities -Hydro 187,841 5902 Supplies & Tools 1,969 5973 Minor Furniture & Fixtures 0 5978 Misc. Equipment 10,334 Total Expenditures 1,027,833 Revenues 9915 Snack Bar (7,575) 9916 Vending Machines (1,650) 9940 Advertising Space (55,000) 9922 Admissions -Skating (15,664) 9931 Rentals -Ice Surface (667,204) 9933 Rentals -Mtg. Room/Public (40,211) 9959 Arena Floor Rentals (5,754) 9985 Marketing Sponsorships (4,325) Total Revenues (797,383) Transfers to/from Reserves & R.F. 1911 Trans. to/(from) Continuing Stu 0 Total Transfers 0 City of Pickering 2021 Current Budget Approved Final 2020 2020 YTD Approved Actuals Budget 263,473 490,610 5,261 25,000 82,305 117,972 121 4,000 552 1,000 4,151 5,465 218 3,650 4,420 4,420 895 2,000 11,960 11,995 0 0 1,843 1,100 111,431 159,545 11,164 7,000 813 1,274 0 800 68 650 0 300 6,158 15,920 9,971 20,548 128,997 217,191 915 3,335 0 0 0 0 644,716 1,093,775 (1,900) (4,000) (567) (1,500) (11,458) (55,000) (8,568) (20,000) (144,725) (812,000) (8,466) (42,000) (865) (7,500) (2,162) (10,000) (178,711) (952,000) 0 (1,995) 0 (1,995) 193 Run Date: 4/21/2112:03 PM 2021 INC./DEC. Approved % CHGE. Budget 2020 (79,580) 411,030 (16.22%) (8,335) 16,665 (33.34%) (5,919) 112,053 (5.02%) 0 4,000 0.00% 0 1,000 0.00% (35) 5,430 (0.64%) 25 3,675 0.68% 90 4,510 2.04% 0 2,000 0.00% (11,995) 0 (100.00%) 0 0 0.00% 0 1,100 0.00% (10,939) 148,606 (6.86%) 0 7,000 0.00% (537) 737 (42.15%) 0 800 0.00% 0 650 0.00% 0 300 0.00% (4,850) 11,070 (30.46%) (6,548) 14,000 (31.87%) (36,191) 181,000 (16.66%) 0 3,335 0.00% 3,000 3,000 0.00% 0 0 0.00% (161,814) 931,961 (14.79%) 0 (4,000) 0.00% 0 (1,500) 0.00% 0 (55,000) 0.00% 10,000 (10,000) (50.00%) 516,000 (296,000) (63.55%) 12,000 (30,000) (28.57%) 0 (7,500) 0.00% 0 (10,000) 0.00% 538,000 (414,000) (56.51%) 1,995 0 (100.00%) 1,995 0 (100.00%) 2735 Recreation Complex -Arenas 2019 Actuals Net 230,450 City of Pickering 2021 Current Budget Approved Final 2020 2020 YTD Approved Actuals Budget 466,005 139,780 194 Run Date: 4/21/2112:03 PM 2021 INC./DEC. Approved % CHGE. Budget 2020 378,181 517,961 270.55% City of Pickerung 2021 Approved Background Information 2735 Recreation Complex -Arenas Expenditures 2735.1100.0000 Salaries & Wages Base Salaries and Wages Transfer of hours (640) for Maintenance Worker, Ice Arena full-time positions to 2715 Decrease in staff term hours due to COVID closures 2021 CUPE salary increase transfer from Gen. Gov't Contingency Total 2735.1100.0000 Salaries & 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 transfer of hours (640) for Maintenance Worker, Ice Arena full-time positions to 2715 Benefits related to decrease in term staff hours due to COVID closures Benefits related to 2021 CUPE salary increase transfer from Gen. Gov't Contingency 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 ORF A Maintenance & Equipment Operations Training (2) Total 2735.2340.0000 Seminars & Education 2735.2370.0000 Insurance Premium 195 Run Date: 4/21/2112:05 PM 2021 Bud et 491,766 (21,750) (66,362) 7,376 411,030 16,665 16,665 123,941 (6,525) (6,600) 1,237 112,053 4,000 4,000 1,000 1,000 1,910 1,600 1,920 5,430 375 1,200 2,100 3,675 City of !Pickering 2021 Approved Background Information 2735 Recreation Complex -Arenas 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 Insurance Deductible Total 2735.2371.0000 Insurance Deductible 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) Repairs to rubber flooring Parking lot line painting Total 2735.2435.0000 Building Repairs & Mainte 2735.2478.0000 Misc.Equipment Repairs & Ice resurfacer maintenance Misc. small equipment repairs 196 Run Date: 4/21/2112:05 PM 2021 Bud et 4,510 4,510 2,000 2,000 700 400 1,100 22,338 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 5,000 2,500 148,606 4,000 3,000 City of Pickering 2021 Approved Background Information 2735 Recreation Complex -Arenas Total 2735.2478.0000 Misc.Equipment Repairs & 2735.2479.0000 Sfwr/Hdwr Maint Contracts Maintenance -HRIS 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 2020 projected actuals and regional water rate increase in 2021 Total 2735.5510.0000 Utilities -Water 2735.5520.0000 Utilities -Gas Budget based on 2020 projected actuals Total 2735.5520.0000 Utilities -Gas 2735.5530.0000 Utilities -Hydro Budget based on 2020 projected actuals and rate increase in 2021 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 2735.5973.0000 Furniture & Fixtures Defibrillator replacement Total 2735.5973.0000 Furniture & Fixtures 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 197 Run Date: 4/21/21 12:05 PM 2021 Bud et 7,000 737 737 800 800 400 250 650 300 300 11,070 11,070 14,000 14,000 181,000 181,000 1,335 2,000 3,335 3,000 3,000 931,961 (4,000) (4,000) (1,500) City of IPiclkering 2021 Approved Background Information 2735 Recreation Complex -Arenas Total 2735.9916.0000 Vending Machines 2735.9922.0000 Admissions -Pleasure Ska Daily admissions for individuals for Public Skating Total 2735.9922.0000 Admissions -Pleasure Ska 2735.9931.0000 Rentals -Ice Surface Ice Surface Rentals Pre-School Skating Rentals Prg -(9931) Total 2735.9931.0000 Rentals -Ice Surface 2735.9933.0000 Rentals -Mtg. Room/Publi Various hall rentals, activities Total 2735.9933.0000 Rentals -Mtg. Room/Publi 2735.9940.0000 Advertising Space · Rink Board advertising Total 2735.9940.0000 Advertising Space 2735.9959.0000 Arena Floor Rentals Ball Hockey Lacrosse Total 2735.9959.0000 Arena Floor Rentals 2735.9985.0000 Sponsorships Arena Marketing Sponsorships/Advertising (Taxable) Total Revenues Total Transfers Net Expenses Total 2735.9985.0000 Sponsorships 198 Run Date: 4/21/2112:05 PM 2021 Bud et (1,500) (10,000) (10,000) (290,000) (6,000) (296,000) (30,000) (30,000) (55,000) (55,000) (5,500) (2,000) (7,500) (10,000) (10,000) (414,000) 0 517,961 2744 Museum 2019 Actuals Expenditures 1100 Salaries & Wages 659,497 1200 Overtime 611 1400 Employer Contributions 149,734 1900 Uniforms 6,985 2110 Travel 3,348 2122 Freight, Express & Cartage 4,500 2131 Cellular Phones 2,963 2140 Telephones 17,971 2210 Advertising 21,147- 2211 Trade Shows, Exhib & Display, 890 2340 Seminars & Education 5,245 2370 Insurance Premium 3,880 2392 Consulting & Professional 32,928 2394 Recpt, Prom & Sp Events 10,264 2395 Memberships 2,323 2399 Outside Agency Serv 16,573 2435 Build Repairs & Mtce 99,241 2457 Veh -Repairs & Maintenance 2,602 2478 Misc Equip Repairs 5,491 2479 Software/Hardware Maintenanc 2,180 2480 Antiques Repairs Mtce. 8,549 2482 Grounds Upkeep 766 5300 Stationery & Office Supplies 2,543 5320 Program Supplies 13,131 5340 Supplies -Special Events 8,423 5345 Antique Purchases 593 5400 Gift Shop Plaques 5,734 5520 Utilities -Gas 5,932 5530 Utilities -Hydro 23,327 5540 Utilities -Oil 1,657 5900 Gas, Oil Tires 1,789 5902 Supplies & Tools 1,216 Total Expenditures 1,122,033 Revenues 1610 Federal Grant (13,712) 1623 Ont. Specific Grants (39,263) 9910 Gift Shop (8,464) 9915 Snack Bar (1,569) City of Pickering 2021 Current Budget Approved Final 2020 2020 YTD Approved Actuals Budget 523,541 682,179 724 3,000 139,609 150,214 4,824 6,000 501 3,000 1,745 2,500 3,078 5,900 17,120 20,910 35,256 98,000 1,529 1,200 2,173 6,200 3,950 3,950 16,650 18,000 1,618 10,500 1,241 2,187 11,374 5,255 100,097 99,415 3,087 5,000 2,911 5,000 2,187 2,762 10,305 8,700 1,025 2,800 1,922 2,500 11,604 12,255 11,134 10,500 470 600 2,311 5,250 6,221 7,510 24,179 25,044 1,293 816 698 1,963 782 1,000 945,159 1,210,110 (135,662) (98,000) (44,921) (39,000) (5,025) (10,500) (329) (3,100) 199 Run Date: 4/21/2112:03 PM 2021 INC./DEC. Approved % CHGE. Budget 2020 30,537 712,716 4.48% 0 3,000 0.00% 3,392 153,606 2.26% 0 6,000 0.00% (1,500) 1,500 (50.00%) 0 2,500 0.00% 0 5,900 0.00% 560 21,470 2.68% 0 98,000 0.00% 60,500 61,700 5,041.67% (2,400) 3,800 (38.71%) 80 4,030 2.03% (4,000) 14,000 (22.22%) (5,000) 5,500 (47.62%) (160) 2,027 (7.32%) 0 5,255 0.00% 750 100,165 0.75% 0 5,000 0.00% (2,000) 3,000 (40.00%) (497) 2,265 (17.99%) 5,000 13,700 57.47% 0 2,800 0.00% 0 2,500 0.00% 0 12,255 0.00% 80 10,580 0.76% 0 600 0.00% (2,625) 2,625 (50.00%) 0 7,510 0.00% 501 25,545 2.00% 0 816 0.00% 0 1,963 0.00% 0 1,000 0.00% 83,218 1,293,328 6.88% (85,000) (183,000) 86.73% (25,500) (64,500) 65.38% 5,250 (5,250) (50.00%) 2,100 (1,000) (67.74%) 2744 Museum 2019 Actuals 9955 Programs (14,477) 9977 Donations (2,237} 9920 Admissions -Public & Edu. (128,494} 9933 Rentals -Mtg. Room/Public (11,738) 9990 Other Misc Revenue (89} Total Revenues (220,043) Transfers to/from Reserves & R.F. 1910 Transfer to/(from) Reserve 0 1911 Trans. to/(from) Continuing Stu (24,989) Total Transfers (24,989) Net 877,001 .City of Pickering 2021 Current Budget Approved Final 2020 2020 YTD Approved Actuals Budget (4,422} (23,560) (10,411) (2,000} (38,390) (141,440) (6,382) (17,000) 0 0 (245,542) (334,600) 0 0 0 0 0 0 699,617 875,510 Run Date: 4/21/2112:03 PM 2021 ! INC./DEC. Approved % CHGE. Bl!dget 2020 7,000 (16,560) (29.71%) 0 (2,000) 0.00% 0 (141,440) 0.00% 6,000 (11,000) (35.29%) 0 0 0.00% (90,150) (424,750) 26.94% (8,000) (8,000) 0.00% 0 0 0.00% (8,000) (8,000) 0.00% (14,932) 860,578 (1.71%) Staff have calculated approximately $98,186.25 in volunteer human resources and skills (based on 2020 volunteer hours totaling 3,927.45 hours at a value of $25.00 per hour) 200 City of Pickering 2021 Approved Background Information 2744 Museum Expenditures 27 44.1100.0000 Salaries & Wages Base Salaries and Wages One new Collections Officer contract position (fully funded from Museum Assistance Program) One new Project Coordinator contract position (fully funded from Virtual Museum of Canada Grant) Audience Development Officer contract position (partially funded from Canada Cultural Investment Fund Grant) Reduction in term staff hours due to COVID closures 2021 CUPE salary increase transfer from Gen. Gov't Contingency Total 2744.1100.0000 Salaries & Wages 27 44.1200.0000 Overtime To meet service level/workload commitments Total 2744.1200.0000 Overtime 2744.1400.0000 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 Collections Officer contract position Benefits related to one new Project Coordinator contract position (fully funded from Virtual Museum of Canada Grant) Benefits related to Audience Development Officer contract position (partially funded from Canada Cultural Investment Fund Grant) Benefits related to reduction in term staff hours due to COVID closures Benefits related to 2021 CUPE salary increase transfer from Gen. Gov't Contingency Total 2744.1400.0000 Employer Contributions 2744.1900.0000 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 27 44.2122.0000 Freight, Express & Cartage Shipment of artifacts or displays Total 2744.2122.0000 Freight,Express & Cartage 201 Run Date: 4/21/21 12:05 PM 2021 Bud et 654,460 25,000 25,000 30,000 (30,000) 8,256 712,716 3,000 3,000 148,271 2,000 2,000 2,400 (2,400) 1,335 153,606 2,000 4,000 6,000 1,500 1,500 2,500 2,500 City of Pickering 2021 Approved Background Information 27 44 Museum Run Date: 4/21/21 12:05 PM 2744.2131.0000 Cellular Phones Cell phone charges. Motorola Radios (Replacement) Total 27 44.2131.0000 Cellular Phones 2744.2140.0000 Telephones Voice/Data Internet Total 2744.2140.0000 Telephones 27 44.2210.0000 Advertising Print, Online, On Air Advertising; Tourism Signage and Display; Promotional Goods 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 Permanent agricultural exhibit located within the Combination Barn (partially funded by donations in reserve fund). This exhibit will largely include interactive elements such as grain grinding, a milking cow and a stock breed horse model that will recreate an 1870's barn, and also a contemporary display area that will tell the stories of Pickering's agricultural past. The $13,500 is for the entire cost of the exhibit. Permanent exhibit: Blacksmith Shop (fully funded from Rural Economic Development Fund Grant) Virtual Blacksmith Shop project (fully funded by Virtual Museum of Canada) Total 2744.2211.0000 Tr Shows,Exhib.& Displays 27 44.2340.0000 Seminars & Education High FIVE Quality Assurance Program -new staff Defibrillator Training & CPRC Certification -Various staff Volunteer training workshops Museum Conference & Training 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 202 2021 Bud et 5,200 700 5,900 19,835 1,635 21,470 18,000 70,000 10,000 98,000 1,200 13,500 22,000 25,000 61,700 250 1,500 1,000 1,050 3,800 4,030 4,030 City of Pickering 2021 Approved Background Information 2744 Museum Architectural consulting services Designated substance survey 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 Ontario Historical Society Culinary Historians Membership York Pioneer Newsletter American Association of State & Local History Canadian Association of Conservators Interpretation Canada 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 203 Run Date: 4/21/2112:05 PM 2021 Bud et 6,000 8,000 14,000 3,500 2,000 5,500 770 25 609 78 30 25 285 180 25 2,027 1,450 3,400 405 5,255 18,750 9,000 5,000 7,000 5,000 915 18,000 3,500 10,000 8,000 2,000 13,000 100,165 City of Pickering 2021 Approved Background Information 2744 Museum 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 Perfect Maintenance -HRIS Total 2744.2479.0000 Sfwr/Hdwr Maint Contracts 2744.2480.0000 Artefact Repairs & Maint Conservation & restoration materials, on going repairs and restoration of artifacts in collection Reproduction window coverings Research Materials Packing Materials (fully funded by the Museum Assistance Program) 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 Teas Christmas in the Village General Events Supplies Haunted Ghost Walk Tourism programming Total 2744.5340.0000 Supplies -Spec.Events/Ba 2744.5345.0000 Artefact Purchases Reproduction items for programming artefacts for the Collection 204 Run Date: 4/21/2112:05 PM 2021 Bud et 5,000 5,000 3,000 3,000 1,100 1,165 2,265 7,600 800 300 5,000 13,700 800 2,000 2,800 2,500 2,500 10,755 1,500 12,255 500 3,350 1,500 150 5,080 10,580 600 City of Pickering 2021 Approved Background Information 2744 Museum 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 2020 projected actuals Total 2744.5520.0000 Utilities -Gas 2744.5530.0000 Utilities -Hydro Budget based on 2020 projected actuals and rate increase in 2021 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 (includes $20,000 received in 2020) Canada Summer Jobs Virtual Museum of Canada Grant Museum Assistance Program Total 1610.2744.0000 Fed Grnts -Museum 1623.2744.0000 Ont Grant-Museum Museum Operating Grant Rural Economic Development Fund Summer Experience Fund 205 Run Date: 4/21/2112:05 PM 2021 Bud et 600 2,000 250 375 2,625 7,510 7,510 25,545 25,545 816 816 1,236 244 483 1,963 400 600 1,000 1,293,328 (5,000) (95,000) (3,000) (50,000) (30,000) (183,000) (39,000) (22,000) (3,500) City of Pickering 2021 Approved Background Information 2744 Museum 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 Programs for Summer On Site Programs for Spring On Site Programs for Fall General Admissions/ Kids in the Village Tourism programming Season's Pass Total 2744.9920.0000 Admissions -Public & Edu 2744.9933.0000 Rentals -Mtg. Room/Publi 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 Transfers 1910.7063.2744 Frm Museum Res-Museum Funding for Permanent agricultural exhibit located within the Combination Barn Total 1910.7063.2744 Frm Museum Res-Museum Total Transfers 206 Run Date: 4/21/2112:05 PM 2021 Bud et (64,500) (650) (3,250) (1,350) (5,250) (1,000) (1,000) (15,670) (5,000) (66,000) (35,000) (8,000) (9,270) (2,500) (141,440) (1,500) (9,500) (11,000) (6,000) (10,560) (16,560) (2,000) (2,000). (424,750) (8,000) (8,000) (8,000) 2744 Museum Net Expenses City of Puckering 2021 Approved Background Information 207 Run Date: 4/21/21 12:05 PM 2021 Bud et 860,578 27 40 Pickering Arts Centre 2019 Actuals Expenditures 1100 Salaries & Wages 0 1400 Employer Contributions 0 1800 Conferences 0 2110 Travel 0 2131 Cellular Phones 0 2479 Software/Hardware Maintenanc 0 5300 Stationery & Office Supplies 0 Total Expenditures 0 Revenues Total Revenues 0 Transfers to/from Reserves & R.F. 1910 Transfer to/(from) Reserve 0 Total Transfers 0 Net 0 City of Pickering 2021 Current Budget Approved Final 2020 2020 YTD Approved Actuals Budget 0 106,385 0 29,911 0 1,500 0 1,000 0 1,000 0 0 0 500 0 140,296 0 0 0 0 0 0 0 140,296 208 Run Date: 4/21/2112:03 PM 2021 INC./DEC. Approved % CHGE. Budget 2020 (73,670) 32,715 (69.25%) (14,863) 15,048 (49.69%) 0 1,500 0.00% 0 1,000 0.00% 0 1,000 0.00% 55 55 0.00% 0 500 0.00% (88,478) 51,818 (63.07%) 0 0 0.00% (51,818) (51,818) 0.00% (51,818) (51,818) 0.00% (140,296) 0 (100.00%) 27 40 Pickering Arts Centre Expenditures 2740.1100.0000 Salaries & Wages Base Salaries and Wages City of Pickering 2021 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 27 40.2110.0000 Travel 2740.2131.0000 Cellular Phones Annual Smartphone charges -Executive Director, Pickering Arts Centre Total 27 40.2131.0000 Cellular Phones 2740.2479.0000 Sfwr/Hdwr Maint Contracts Maintenance -HRIS Total 2740.2479.0000 Sfwr/Hdwr Maint Contracts 2740.5300.0000 Stationery & Office Suppl General office supplies Total 2740.5300.0000 Stationery & Office Suppl Total Expenses Total Revenues Transfers 1910.7067.2740 Frm Casino -Pick Arts Ctr Casino Reserve funding for Pickering Arts Centre expenditures Total 1910.7067.2740 Frm Casino -Pick Arts Ctr Total Transfers Net Expenses 209 Run Date: 4/21/21 12:05 PM 2021 Bud et 32,715 32,715 15,048 15,048 1,500 1,500 1,000 1,000 1,000 1,000 55 55 500 500 51,818 0 (51,818) (51,818) (51,818) 0 Overview· Community Services Department Public Works The Community Services Department is organized into two Divisions: Culture & Recreation and Operations. The Operations Division is responsible for Public Works, which runs from the Operations Centre on Clements Road and is responsible for the maintenance and operation of Roads, Parks & Property and Fleet vehicles and equipment. Public Works is responsible for the winter control of City roads and sidewalks from November to April. Fleet Services maintain all City vehicles, equipment and tools out of the Municipal Garage within the Operations Centre. Organization Chart I I Operations Property Adm. Maintenance Key Activities for 2021 Community Services Department Public Works I I Fleet Services I Roads • Seaton -Public Works maintenance of new roads, sidewalks and parks infrastructure • Completion of the Fleet Management Software Pilot Program • Implementation of the Fleet Parts Program I Parks • Development and implementation of the Public Works Level of Service Tracking and Reporting Program • Development of Parks asset management including the input of all 85 Parks into the Asset Management software solution already in use by the Facilities Capital projects team 210 Financial Information Staffing Summary (Full & Regular Part Time) Approved Current Term 2018 2019 2020 A 1pprove d 2021 Add Delete Total Full Time 68 ~ 71 71 -1 75 81 ~ 84 0 0 81 Q Q 3 Reg. Part-Time Total 0 0 84. The above chart excludes contract, students and term employees. No additional staffing recommended for 2021. Public Works hire up to 50 seasonal staff every year to supplement full time staff, with the peak in summer months when grass and parks maintenance activity is highest. Year-Over-Year (Net Cost) Budget Changes 2020 Budget 2021 Approved Budget YearNear Increase ($) (%) Operations -Adm. $1,030,442 $1,087,272 $56,830 Property Maintenance 1,157,784 1,309,148 151,364 Fleet Services 1,482,633 1,637,306 154,673 Roads 7,472,888 7,650,239 177,351 Parks 4,515,648 4,723,595 207,947 5.52 13.07 10.43 2.37 4.61 4.78 Total (Net Cost) $15,659,395 $16,407,560 $748,165 ==================================== Explanation of Significant Budget Changes -Expenses Under the "Public Works" cost centre, the following accounts have had significant Budget changes: • Salaries & Wages -$177,852 -Budget increase reflects the full year annualization of one Inspector, Utility Cuts and four Maintenance Worker positions approved in 2020, partially offset by reductions in salaries and wages for season term positions. • Overtime -($62,500) -Budget decrease due to significantly reduced overtime in support of weekend community events in 2021 due to continuation of COVID restrictions and going virtual. • Employee Contributions -$74,215 -Budget increase largely reflects higher employer paid CPP premiums and increased employer contributions due to the earlier mentioned annualized positions approved in 2020. 211 • Seminars and Education -($31,750) -Budget decrease due to seminars and education being significantly cut back in 2021 due to the continuation of COVID restrictions. Only mandatory, regulatory and operationally essential training has been included in the 2021 budget. • Repairs & Maintenance -Winter Control -$50,000 -Budget increase due to Level of Service increase in the pro-active anti-icing road brine program $20,000 additional purchase of brine per year and $30,000 additional budget for snow removal from Cul-de-sacs and bridges. • Repairs & Maintenance -Contract Services -($25,000) -Budget decrease due to deferral of Ditching Contract, ($70,000), deferral of the Phragmite Control pilot ($15,000) to 2022. • Building Repairs & Maintenance -$168,571 -Budget increase due to enhanced cleaning supplies and staff for the Operations Centre and Parks outdoor public washroom. The cleaning of these has been transferred to Facilities Operations due to the need for COVID enhanced cleaning procedures best delivered by trained Facilities staff. The 2500 Operations Admin and 2718 Parks cost centres include transfer payments for these services. • Program Supplies -$35,000 -Budget increase due to increase in the Seniors Snow Removal program 15,000 and .the addition of funding for a future pandemic monument 20,000. Explanation of Significant Budget Changes -Revenues/ (Transfer from Reserves) • Rentals -$106,000 -Revenue decrease largely from Parks permits due to COVID closures. • Other Misc. Revenue -$30,000 -Revenue decrease due to reduce anticipated revenue from Road Degradation Fees. 2020 Performance Indicators/Statistics Fleet Work orders completed -Fire Services 462 work orders Work orders completed -other Departments 1,821 work orders Vehicles maintained -cars, trucks, dump truck, snow ploughs, 210 trailer, fire truck, tractors Attachments maintained -wings, ploughs, salters, ball 69 qroomers, beach groomers, etc. Small equipment maintained -mowers, chain saws, trimmers, 373 etc. 212 Parks GarbaQe picked up/disposed Sidewalk winter control response Maintains open space Maintains parks Maintains playQrounds Maintains splash pads Maintains sports fields -soccer, baseball, artificial turf, cricket pitch · Propert Seniors sidewalk clearing program response/ registrations Roads Roadways maintained Minimum Maintenance Standards Roadway Patrol Minimum Maintenance Standards potholes repaired Winter control response Road salt used Road sand used Road sweepinQs picked up/disposed 213 200,180kQ 27 events 1,940 acres 85 63 3 64 fields 13 events/ 388 registrants 347 km paved 102 km mavel 7,220 km (cumulative) 3,312 potholes 39 events 4,335 tonnes 1,713 tonnes 1,500 tonnes Public Works 2019 Actuals Expenditures 1100 Salaries & Wages 6,596,064 1200 Overtime 517,166 1400 Employer Contributions 1,662,629 1900 Uniforms 74,318 2110 Travel 2,057 2122 Freight, Express & Cartage 1,098 2123 Environmental Charges 279 2131 Cellular Phones 12,875 2140 Telephones 23,742 2220 Subscription & Publications 3,141 2340 Seminars & Education 35,142 2370 Insurance Premium 181,881 2371 Ins. Deductible 14,794 2392 Consulting & Professional 19,948 2394 Recpt, Prom & Sp Even.ts 8,451 2395 Memberships 7,860 2396 Photo, Mapping, Printing 0 2399 Outside Agency Serv 100,844 2408 Rpr & Mnt -Winter Control 915,603 2408 Rpr & Mnt -Contract Services 240,780 2408 Rpr Main. Maint Mater 518,935 2410 Engineering Rpr & Mnt 345,656 2409 Highway Aids -Repair Maint. 82,683 2429 Parks Repairs & Maintenance 87,351 2435 Build Repairs & Mtce 347,727 2437 Tree Maintenance 377,477 2438 Lighting & Repair Maint. 30,946 2457 Veh -Repairs & Maintenance 389,549 2478 Misc Equip Repairs 301,524 2479 Software/Hardware Maintenan< 19,495 2482 Grounds Upkeep 285,699 2678 Rental Misc Equip 160,212 2682 Land Rentals 19,200 5300 Stationery & Office Supplies 9,809 5302 Forms 1,750 5320 Program Supplies 426,021 5510 Utilities -Water 59,116 5520 Utilities -Gas 42,191 City of Pickering 2021 Current Budget Approved Final 2020 2020 YTD Approved Actuals Budget 6,943,497 7,663,326 383,254 447,000 1,756,316 1,966,180 63,337 80,515 432 1,800 2,121 1,800 253 500 17,174 18,500 24,714 29,575 6,150 4,400 6,789 64,235 215,773 215,773 11,830 34,050 21,522 57,840 2,137 7,550 5,056 10,570 0 200 128,357 87,650 636,793 755,000 146,120 180,000 470,339 525,000 603,309 787,000 101,436 75,000 37,249 60,000 366,268 324,350 397,207 390,000 17,120 20,000 487,181 425,000 277,504 235,000 30,407 103,102 183,780 319,860 149,714 127,800 19,200 21,696 9,781 11,000 3,311 2,000 309,589 408,000 76,149 79,805 48,274 27,115 214 Run Date: 4/21/21 11 :58 AM 2021 INC./DEC. Approved % CHGE. Budget 2020 177,852 7,841,178 2.32% (62,500) 384,500 (13.98%) 74,215 2,040,395 3.77% 3,335 83,850 4.14% 0 1,800 0.00% 0 1,800 0.00% 0 500 0.00% 9,200 27,700 49.73% 125 29,700 0.42% 8,200 12,600 186.36% (31,750) 32,485 (49.43%) 8,622 224,395 4.00% 0 34,050 0.00% 1,925 59,765 3.33% 50 7,600 0.66% 1,060 11,630 10.03% 0 200 0.00% 17,150 104,800 19.57% 50,000 805,000 6.62% (25,000) 155,000 (13.89%) 0 525,000 0.00% (30,000) 757,000 (3.81%) 0 75,000 0.00% 0 60,000 0.00% 168,571 492,921 51.97% (5,000) 385,000 (1.28%) 0 20,000 0.00% 21,000 446,000 4.94% 0 235,000 0.00% (14,502) 88,600 (14.07%) 5,640 325,500 1.76% 3,000 130,800 2.35% 0 21,696 0.00% 0 11,000 0.00% 0 2,000 0.00% 35,000 443,000 8.58% 7,425 87,230 9.30% 24,535 51,650 90.48% Public Works 2019 Actuals 5530 Utilities -Hydro 207,629 5640 Small Tools 8,806 5900 Gas, Oil Tires 486,744 5901 Fertilizer, Grass Etc. 36,150 5902 Supplies & Tools 12,879 5903 Shop Supplies 65,745 5973 Minor Furniture & Fixtures 0 5978 Misc. Equipment 19,598 5981 Other Minor Fixed Assets 2,344 8960 Taxes Tenant 219,601 Total Expenditures 14,983,509 Revenues 1430 Sale of Services -Public Worki (204,480) 1610 Federal Grant (19,600) 9916 Vending Machines (304) 9930 Rentals (185,778) 9955 Programs (34,100) 9990 Other Revenue (4,457) 9990 Other Misc Revenue (74,458) 9954 Netted Revenue (318,015) Total Revenues (841,192) Transfers to/from Reserves & R.F. 1911 Trans. to/(from) Continuing Stu (2,524) 1920 Transfer to/(from) Reserve Fun (8,782) Total Transfers (11,306) Net 14,131,011 City of Pickering 2021 Current Budget Approved Final 2020 2020 YTD Approved Actuals Budget 182,163 195,182 16,227 8,000 362,847 520,503 23,562 42,000 21,072 10,500 72,157 49,500 1,056 1,000 40,720 53,923 48,165 70,000 223,945 258,645 14,951,357 16,777,445 (193,470) (180,000) (86,240) (18,000) (213) (500) (39,782) (210,000) 0 (40,000) (812) 0 (131,573) (130,000) (346,037) (368,350) (798,127) (946,850) (9,278) (11,200) (51,899) (160,000) (61,177) (171,200) 14,092,053 15,659,395 215 Run Date: 4/21/21 11 :58 AM 2021 INC./DEC. Approved % CHGE. Budget 2020 24,045 219,227 12.32% 2,000 10,000 25.00% 0 520,503 0.00% 0 42,000 0.00% 1,500 12,000 14.29% 0 49,500 0.00% 1,000 2,000 100.00% 2,677 56,600 4.96% 30,000 100,000 42.86% (22,645) 236,000 (8.76%) 486,730 17,264,175 2.90% 0 (180,000) 0.00% 0 (18,000) 0.00% 0 (500) 0.00% 106,000 (104,000) (50.48%) 0 (40,000) 0.00% 0 0 0.00% 30,000 (100,000) (23.08%) 0 (368,350) 0.00% 136,000 (810,850) (14.36%) (4,565) (15,765) 40.76% 130,000 (30,000) (81.25%) 125,435 (45,765) (73.27%) 748,165 16,407,560 4.78% 2500 Operations -Adm in. 2019 Actuals Expenditures 1100 Salaries & Wages 606,453 1200 Overtime 4,559 1400 Employer Contributions 131,740 1900 Uniforms 1,632 2110 Travel 251 2131 Cellular Phones 965 2140 Telephones 2,148 2220 Subscription & Publications 2,005 2340 Seminars & Education 1,975 2370 Insurance Premium 14,510 2371 Ins. Deductible 0 2392 Consulting & Professional 4,890 2394 Recpt, Prom & Sp Events 4,287 2395 Memberships 778 2399 Outside Agency Serv 3,667 2435 Build Repairs & Mtce 129,501 2479 Software/Hardware Maintenanc 519 5300 Stationery & Office Supplies 9,809 5510 Utilities -Water 7,463 5520 Utilities -Gas 42,191 5530 Utilities -Hydro 133,838 5973 Minor Furniture & Fixtures 0 Total Expenditures 1,103,181 Revenues 9916 Vending Machines (304) 9990 Other Revenue (4,457) 9954 Netted Revenue (175,350) Total Revenues (180,111) Transfers to/from Reserves & R.F. Total Transfers 0 Net 923,070 City of Pickering 2021 Current Budget Approved Final 2020 2020 YTD Approved Actuals Budget 436,393 676,447 1,404 2,000 106,668 178,866 1,464 1,200 0 250 1,097 800 2,986 4,235 6,081 4,000 148 4,450 45,426 45,426 0 2,000 6,716 10,000 46 1,500 665 1,500 6,413 5,100 156,668 101,000 2,938 25,948 9,781 11,000 7,393 6,500 48,274 27,115 121,600 95,955 1,056 1,000 963,217 1,206,292 (213) (500) (812) 0 (175,350) (175,350) (176,375) (175,850) 0 0 786,842 1,030,442 216 Run Date: 4/21/21 12:03 PM 2021 INC./DEC. Approved % CHGE. Budget 2020 (70,267) 606,180 (10.39%) 2,000 4,000 100.00% (19,750) 159,116 (11.04%) 0 1,200 0.00% 0 250 0.00% 800 1,600 100.00% (140) 4,095 (3.31%) 8,200 12,200 205.00% 200 4,650 4.49% 909 46,335 2.00% 0 2,000 0.00% 2,000 12,000 20.00% 0 1,500 0.00% (300) 1,200 (20.00%) 0 5,100 0.00% 82,011 183,011 81.20% 1,457 27,405 5.62% 0 11,000 0.00% 130 6,630 2.00% 24,535 51,650 90.48% 24,045 120,000 25.06% 1,000 2,000 100.00% 56,830 1,263,122 4.71% 0 (500) 0.00% 0 0 0.00% 0 (175,350) 0.00% 0 (175,850) 0.00% 0 0 0.00% 56,830 1,087,272 5.52% City of Pickering 2021 Approved Background Information 2500 Operations -Admin. Expenditures 2500.1100.0000 Salaries & Wages Base Salaries and Wages Transfer of full-time Coordinator, Central Stores position to 2315 Decrease in hours (590 hrs) for Student Clerk Typist, Ops. Centre term position 2021 CUPE salary increase transfer from Gen. Gov't Contingency 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 related to transfer of full-time Coordinator, Central Stores position to 2315 Benefits relate to decrease in hours (590 hrs) for Student Clerk Typist, Ops. Centre term position Benefits related to 2021 CUPE salary increase transfer from Gen. Gov't Contingency 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 and Supervisor, Public Works Operations 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 217 Run Date: 4/21/21 12:05 PM 2021 Bud et 682,493 (69,051) (11,550) 4,288 606,180 4,000 4,000 181,533 (22,313) (920) 816 159,116 1,200 1,200 250 250 1,600 1,600 3,640 455 4,095 12,000 200 12,200 City of Pickering 2021 Approved Background Information 2500 Operations -Admin. Health & Safety training and seminars Misc. training Laserfiche training Municipal Engineers Association Conference 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 Ditching and Sweepings Disposal testing Roof Safety System Inspection 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 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 Maintenance Mechanic 218 Run Date: 4/21/21 12:05 PM 2021 Bud et 600 1,200 350 2,000 500 4,650 19,910 26,425 46,335 2,000 2,000 10,000 2,000 12,000 1,500 1,500 300 300 350 250 1,200 2,900 1,800 400 5,100 37,610 81,053 5,000 15,000 1,100 43,248 . City @f Pickering 2021 Approved Background Information 2500 Operations -Admin. Total 2500.2435.0000 Building Repairs & Maint 2500.2479.0000 Sfwr/Hdwr Maint Contracts LiveCycle and Adobe Acrobat X Pro-License Cost Maintenance -HRIS Public Facing Portal EV charging station cloud services Total 2500.2479.0000 Sfwr/Hdwr Maint Contracts 2500.5300.0000 Stationery & Office Suppl General office supplies for all cost centres Total 2500.5300.0000 Stationery & Office Suppl 2500.5510.0000 Utilities -Water Budget based on 2020 projected actuals and regional water rate increase in 2021 Total 2500.5510.0000 Utilities -Water 2500.5520.0000 Utilities -Gas Budget based on 2020 projected actuals Total 2500.5520.0000 Utilities -Gas 2500.5530.0000 Utilities -Hydro Budget based on 2020 projected actuals and rate increase in 2021 Total 2500.5530.0000 Utilities -Hydro 2500.5973.0000 Furniture & Fixtures Misc. Furniture Requirements for Operations Centre Total 2500.5973.0000 Furniture & Fixtures Total Expenses Revenues 2500.9916.0000 Vending Machines Works Centre -Vending Machines Total 2500.9916.0000 Vending Machines 2500.9954.0000 Netted Revenue -Storage Storage Charges Total 2500.9954.0000 Netted Revenue -Storage Total Revenues Total Transfers Net Expenses 219 Run Date: 4/21/2112:05 PM 2021 Bud et 183,011 350 1,055 24,000 2,000 27,405 11,000 11,000 6,630 6,630 51,650 51,650 120,000 120,000 2,000 2,000 1,263,122 (500) (500) (175,350) (175,350) (175,850) 0 1,087,272 2132 Property Maintenance 2019 Actuals Expenditures 1100 Salaries & Wages 327,151 1200 Overtime 29,616 1400 Employer Contributions 72,937 1900 Uniforms 2,800 2131 Cellular Phones 1,217 2140 Telephones 265 2340 Seminars & Education 282 2370 Insurance Premium 4,058 2392 Consulting & Professional 0 2394 Recpt, Prom & Sp Events 0 2399 Outside Agency Serv 7,230 2437 Tree Maintenance 143,431 2438 Lighting & Repair Maint. 30,946 2457 Veh -Repairs & Maintenance 5,215 2478 Misc Equip Repairs 37,248 2479 Software/Hardware Maintenanc 0 2482 Grounds Upkeep 21,348 2678 Rental Misc Equip 20,126 2682 Land Rentals 19,200 5320 Program Supplies 338,176 5900 Gas, Oil Tires 19,166 5902 Supplies & Tools 3,893 5978 Misc. Equipment 9,406 5981 Other Minor Fixed Assets 0 8960 Taxes Tenant 3,809 Total Expenditures 1,097,520 Revenues 9990 Other Misc Revenue (22,225) Total Revenues (22,225) Transfers to/from Reserves & R.F. 1911 Trans. to/(from) Continuing Stu 0 1920 Transfer to/(from) Reserve Fun 0 Total Transfers 0 Net 1,075,295 City of Pickering 2021 Current Budget Approved Final 2020 2020 YTD Approved Actuals Budget 302,090 408,696 16,319 30,000 73,608 87,743 2,437 2,630 1,386 1,800 249 350 200 1,435 4,130 4,130 8,141 20,000 15 150 9,033 4,550 145,828 140,000 17,120 20,000 8,124 4,000 34,566 30,000 626 963 19,037 30,360 13,463 23,000 19,200 21,696 253,724 315,000 12,108 21,061 4,712 1,000 8,227 10,080 26,101 20,000 3,826 2,500 984,270 1,201,144 (21,846) (25,000) (21,846) (25,000) (2,951) (3,360) (15,000) (15,000) (17,951) (18,360) 944,473 1,157,784 220 Run Date: 4/21/2112:03 PM 2021 INC./DEC. Approved % CHGE. Budget 2020 43,902 452,598 10.74% (4,000) 26,000 (13.33%) 27,360 115,103 31.18% 0 2,630 0.00% 3,000 4,800 166.67% (5) 345 (1.43%) (1,300) 135 (90.59%) 80 4,210 1.94% 15,765 35,765 78.83% 50 200 33.33% 3,450 8,000 75.82% 15,000 155,000 10.71% 0 20,000 0.00% 0 4,000 0.00% 0 30,000 0.00% (193) 770 (20.04%) 39,640 70,000 130.57% 0 23,000 0.00% 0 21,696 0.00% 15,000 330,000 4.76% 0 21,061 0.00% 1,500 2,500 150.00% (480) 9,600 (4.76%) 5,000 25,000 25.00% 0 2,500 0.00% 163,769 1,364,913 13.63% 0 (25,000) 0.00% 0 (25,000) 0.00% (12,405) (15,765) 369.20% 0 (15,000) 0.00% (12,405) (30,765) 67.57% 151,364 1,309,148 13.07% 2132 Property Maintenance Expenditures 2132.1100.0000 Salaries & Wages Base Salaries and Wages City of Pickering 2021 Approved Background Information 2021 CUPE salary increase transfer from Gen. Gov't Contingency 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 2021 CUPE salary increase transfer from Gen. Gov't Contingency 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 Mobile device charges for Work Order Software -Go-Evo (MESH) -(9 tablets + 1 phone) Total 2132.2131.0000 Cellular Phones 2132.2140.0000 Telephones Run Date: 4/21/21 12:05 PM 2021 Bud et 445,865 6,733 452,598 20,000 6,000 26,000 113,917 1,186 115,103 2,630 2,630 1,800 3,000 4,800 Voice/Data 305 Internet Total 2132.2140.0000 Telephones 2132.2340.0000 Seminars & Education Integrated Pest Mgmt (1PM) Symposium -Foreperson, Parks & Property Operations 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 2132.2392.0000 consulting & Professional Soil monitoring of City Pit 221 40 345 135 135 4,210 4,210 20,000 City of Pickering 2021 Approved Background Information 2132 Property Maintenance 2020 Budget carry-over for soil monitoring of City Pit (fundec;I from Continuing . Studies Reserve -PO# 700709) 2020 Budget carry-over for design of gate at City Pit (funded from Continuing Studies Reserve -PO #700761) 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 2019, the remaining dollars would be used to purchase replacement trees. Wire Tree Wrap for Tree Protection (south of David Farr Park along Pine Creek between Glenanna Rd. and Kingston Rd.) Total 2132.2437.0000 Tree Maintenance 2132.2438.0000 Lighting Repair & 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 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 Mechanical Harvesting of Eurasian Water-Milfoil Weeds in Frenchman's Bay pilot Project 222 Run Date: 4/21/21 12:05 PM 2021 Bud et 10,000 5,765 35,765 200 200 6,000 2,000 8,000 125,000 15,000 15,000 155,000 20,000 20,000 4,000 4,000 30,000 30,000 770 770 20,000 50,000 City of Pickering 2021 Approved Background Information 2132 Property Maintenance Total 2132.2482.0000 Grounds Upkeep 2132.2678.0000 Misc Equipment Rentals Rental of equipment and vehicles for seasonal operations 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 · Chainsaw (2) Post Pounder with attachments Pole Pruners (2) 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 223 Run Date: 4/21/2112:05 PM 2021 Bud et 70,000 8,000 15,000 23,000 21,696 21,696 330,000 330,000 1,360 16,955 2,746 21,061 2,500 2,500 1,800 6,000 1,800 9,600 15,000 10,000 25,000 2,500 2,500 1,364,913 (25,000) (25,000) 2132 Property Maintenance City of Pickering 2021 Approved Background Information Run Date: 4/21/21 12:05 PM 2021 Bud et Total Revenues (25,000) Transfers 1911.2132.0000 Trsf frm Res -Prop Maint Continuing Studies Reserve funding for 2020 Budget carry-over for soil monitoring of City Pit Continuing Studies Reserve funding for 2020 Budget carry-over for design of gate at City Pit Total 1911.2132.0000 Trsffrm 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 224 (10,000) (5,765) (15,765) (15,000) (15,000) (30,765) 1,309,148 2315 Fleet Services 2019 Actuals Expenditures 1100 Salaries & Wages 957,070 1200 Overtime 60,754 1400 Employer Contributions 316,648 1900 Uniforms 21,959 2110 Travel 1,064 2122 Freight, Express & Cartage 1,098 2123 Environmental Charges 279 2131 Cellular Phones 1,337 2140 Telephones 16,423 2220 Subscription & Publications 122 2340 Seminars & Edwcation 8,608 2370 Insurance Premium 4,866 2394 Recpt, Prom & Sp Events 627 2395 Memberships 380 2399 Outside Agency Serv 1,951 2435 Build Repairs & Mtce 92 2457 Veh -Repairs & Maintenance 4,557 2478 Misc Equip Repairs 3,628 2479 Software/Hardware Maintenanc 7,642 2678 Rental Misc Equip 0 5302 Forms 1,750 5900 Gas, Oil Tires 12,822 5902 Supplies & Tools 5,531 5903 Shop Supplies 65,745 5978 Misc. Equipment 975 Total Expenditures 1,495,928 Revenues 9954 Netted Revenue (142,665) Total Revenues (142,665) Transfers to/from Reserves & R.F. Total Transfers 0 Net 1,353,263 City of Pickering 2021 Current Budget Approved Final 2020 2020 YTD Approved Actuals Budget 1,117,026 1,"123,913 46,545 30,000 292,230 320,396 23,475 20,465 325 550 2,121 1,800 253 500 1,855 1,600 16,056 17,390 69 200 3,776 15,500 4,955 4,955 549 800 428 1,660 2,099 500 0 0 12,371 8,000 4,070 5,000 11,298 54,872 0 500 3,311 2,000 5,517 6,032 12,887 8,500 72,157 49,500 0 1,000 1,633,373 1,675,633 (170,687) (193,000) (170,687) (193,000) 0 0 1,462,686 1,482,633 225 Run Date: 4/21/2112:03 PM 2021 INC./DEC. Approved % CHGE. Budget 2020 94,930 1,218,843 8.45% 15,000 45,000 50.00% 41,265 361,661 12.88% 3,335 23,800 16.30% 0 550 0.00% 0 1,800 0.00% 0 500 0.00% 2,600 4,200 162.50% (90) 17,300 (0.52%) 0 200 0.00% 4,400 19,900 28.39% 95 5,050 1.92% 0 800 0.00% 540 2,200 32.53% 5,000 5,500 1,000.00% 0 0 0.00% 0 8,000 0.00% 0 5,000 0.00% (12,402) 42,470 (22.60%) 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% 154,673 1,830,306 9.23% 0 (193,000) 0.00% 0 (193,000) 0.00% 0 0 0.00% 154,673 1,637,306 10.43% 2315 Fleet Services Expenditures 2315.1100.0000 Salaries & Wages Base Salaries and Wages City of Pickering 2021 Approved Background Information Transfer of full-time Coordinator, Central Stores position from 2500 2021 CUPE salary increase transfer from Gen. Gov't Contingency Total 2315.1100.0000 Salaries & Wages 2315.1200.0000 Overtime To service emergency repairs and be available for winter on call 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 transfer of full-time Coordinator, Central Stores position from 2500 Benefits related to 2021 CUPE salary increase transfer from Gen. Gov't Contingency 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 2315.211Q.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, Lead Hand and Foreperson, Municipal Garage Mobile device charges for Work Order Software -Go-Evo (MESH) -(6 laptops - tough books) Total 2315.2131.0000 Cellular Phones 2315.2140.0000 Telephones 226 Run Date: 4/21/21 12:05 PM 2021 Bud et 1,134,338 69,051 15,454 1,218,843 45,000 45,000 336,546 22,313 2,802 361,661 8,600 8,000 7,200 23,800 550 550 1,800 1,800 500 500 2,400 1,800 4,200 City of IPiclkeiring 2021 Approved Background Information 2315 Fleet Services Voice/ Data Internet 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 training 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 Supervisor Training Electric Vehicle Training Ontario Public Buyer Association Total 231.5.2340.0000 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 Run Date: 4/21/2112:05 PM 2021 Bud et 16,995 305 17,300 200 200 500 2,000 5,000 2,000 2,000 2,000 2,000 2,000 2,000 400 19,900 5,050 5,050 Meal Allowance 600 Receptions/Business Meetings Total 2315.2394.0000 Recpt, Prom & Sp Events 2315.2395.0000 Memberships Licence Renewals (15 x $120) Commercial Vehicle Operators Registration Number Renewal Professional Buyer Association Total 2315.2395.0000 Memberships 2315.2399.0000 Outside Agency Services Nexgen -Radio -Operating, Maintenance & Licensing Parts Supplier Overtime Fees Total 2315.2399.0000 Outside Agency Services 2315.2457.0000 Vehicle-Repair & Maintena Repair & maintenance of service vehicles 227 200 800 1,800 100 300 2,200 500 5,000 5,500 8,000 City of Pickering 2021 Approved Background Information . 2315 Fleet Services 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 Maint Contracts Maintenance -RTA -Fleet Maintenance Snap on Diagnostic Software Subscription Cummins lnsite Software Renewal (diagnostics) Focus Fleet Software (modifications) Maintenance -HRIS Fuel System Software Licence Parts Inventory Management-Service Contracts. 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 228 Run Date: 4/21/21 12:05 PM 2021 Bud et 8,000 5,000 5,000 4,000 1,000 600 1,800 2,070 8,000 25,000. 42,470 500 500 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 1,830,306 2315 Fleet Services Services Charges City cf Pickering 2021 Approved Background Information Total 2315.9954.0000 Netted Revenue Total Revenues Total Transfers Net Expenses 229 Run Date: 4/21/2112:05 PM 2021 Bud et (193,000) (193,000) (193,000) 0 1,637,306 2320 Roads 2019 Actuals Expenditures 1100 Salaries & Wages 2,557,333 1200 Overtime 315,538 1400 Employer Contributions 675,837 1900 Uniforms 26,300 2110 Travel 563 2131 Cellular Phones 3,231 2140 Telephones 1,349 2220 Subscription & Publications 1,014 2340 Seminars & Education 14,591 2370 Insurance Premium 141,254 2371 Ins. Deductible 12,929 2394 Recpt, Prom & Sp Events 3,249 2395 Memberships 3,094 2399 Outside Agency Serv 47,070 2408 Rpr & Mnt -Winter Control 915,603 2408 Rpr & Mnt -Contract Services 240,780 2408 Rpr Main. Maint Mater 518,935 2410 Engineering Rpr & Mnt 345,656 2409 Highway Aids -Repair Maint. 82,683 2435 Build Repairs & Mtce 135,450 2437 Tree Maintenance 128,266 2457 Veh -Repairs & Maintenance 316,580 2478 Misc Equip Repairs 191,462 2479 Software/Hardware Maintenanc 4,368 2678 Rental Misc Equip 53,551 5510 Utilities -Water 0 5640 Small Tools 8,806 5900 G·as, Oil Tires 321,093 5978 Misc. Equipment 449 Total Expenditures 7,067,034 Revenues 1430 Sale of Services -Public Work: (204,480) 1610 Federal Grant (9,800) 9990 Other Misc Revenue (52,233) Total Revenues (266,513) Transfers to/from Reserves & R.F. 1920 Transfer to/(from) Reserve Fun 0 Total Transfers 0 City of Pickering 2021 Current Budget Approved Final 2020 2020 YTD Approved Actuals Budget 2,851,694 3,043,196 237,570 285,000 751,306 804,870 18,212 27,220 0 500 6,060 7,800 1,990 2,825 0 200 1,347 23,000 143,762 143,762 11,217 25,000 1,274 4,000 2,926 3,740 58,912 39,500 636,793 755,000 146,120 180,000 470,339 525,000 603,309 787,000 101,436 75,000 137,455 135,450 123,793 125,000 381,362 340,000 177,214 120,000 6,700 9,282 10,859 31,500 11,456 8,000 16,227 8,000 230,393 347,543 9,137 19,500 7,148,863 7,876,888 (193,470) (180,000) (27,440) (9,000) (107,839) (105,000) (328,749) (294,000) 0 (110,000) 0 (110,000) 230 Run Date: 4/21/2112:03 PM 2021 INC./DEC. Approved % CHGE. Budget 2020 93,008 3,136,204 3.06% (25,500) 259,500 (8.95%) 22,722 827,592 2.82% 0 27,220 0.00% 0 500 0.00% 2,000 9,800 25.64% 245 3,070 8.67% 0 200 0.00% (17,750) 5,250 (77.17%) 7,188 150,950 5.00% 0 25,000 0.00% 0 4,000 0.00% 300 4,040 8.02% (5,500) 34,000 (13.92%) 50,000 805,000 6.62% (25,000) 155,000 (13.89%) 0 525,000 0.00% (30,000) 757,000 (3.81%) 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% (1,862) 7,420 (20.06%) (25,000) 6,500 (79.37%) 6,000 14,000 75.00% 2,000 10,000 25.00% 0 347,543 0.00% (15,500) 4,000 (79.49%) 37,351 7,914,239 0.47% 0 (180,000) 0.00% 0 (9,000) 0.00% 30,000 (75,000) (28.57%) 30,000 (264,000) (10.20%) 110,000 0 (100.00%) 110,000 0 (100.00%) 2320 Roads 2019 Actuals Net 6,800,521 City of Pickering 2021 Current Budget Approved Final 2020 2020 YT □ Approved Actuals Budget 6,820,114 7,472,888 231 Run Date: 4/21/2112:03 PM 2021 INC./DEC. Approved % CHGE. Budget 2020 177,351 7,650,239 2.37% 2320 Roads Expenditures 2320.1100.0000 Salaries & Wages Base Salaries and Wages City of Pickering 2021 Approved Background Information 2021 CUPE salary increase transfer from Gen. Gov't Contingency Total 2320.1100.0000 Salaries & Wages 2320.1200.0000 Overtime Winter Control and Road Patrols Emergency Call-in Streetlight Inspections (transfer from 2290) 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 2021 CUPE salary increase transfer from Gen. Gov't Contingency 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 equipment Total 2320.1900.0000 Uniforms 2320.2110.0000 Travel Parking & Mileage Total 2320.2110.0000 Travel 2320.2131.0000 Cellular Phones Annual Smartphone Charges -Supervisor, Road Operations, Lead Hand, Road Maintenance, Forepersons (2), Inspector, Municipal Infrastructure, Inspector, Utility Cuts Cell Phones Temporary Cell Phones (Winter Control) Mobile device charges for Work Order Software -Go-Evo (MESH) -(4 tablets) Total 2320.2131.0000 Cellular Phones 2320.2140.0000 Telephones Run Date: 4/21/2112:05 PM 2021 Bud et 3,091,185 45,019 3,136,204 250,000 8,000. 1,500 259,500 819,970 7,622 827,592 11,900 520 12,600 200 2,000 27,220 500 500 5,600 1,400 1,600 1,200 9,800 Voice/ Data 2,730 Internet 340 Total 2320.2140.0000 Telephones 3,070 232 City of Pickering 2021 Approved Background Information 2320 Roads 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 Chainsaw Training -8 staff 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 2320.237'1 .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) 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 -Radio -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 233 Run Date: 4/21/2112:05 PM 2021 Bud et 200 200 400 1,850 3,000 5,250 150,950 150,950 25,000 25,000 3,000 1,000 4,000 240 2,500 1,300 4,040 10,000 5,500 18,500 34,000 60,000 650,000 45,000 50,000 805,000 City of Pickering 2021 Approved Background Information 2320 Roads Liquid Magnesium Contract and Flake Calcium purchase (dust control) TRCA Permanent Repairs -Fifth Concession Road east of Church Street 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 Railro·ad Signal Charges Misc. signs (incl. hardware & posts) Purchase of Traffic Marking Paint Total 2320.2409.0000 Highway Aids-Repair & Mai 2320.2410.0001 Rpr & Mant-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 Crack Sealing Program 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 Hghwy 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 234 Run Date: 4/21/2112:05 PM 2021 Bud et 95,000 60,000 155,000 330,000 100,000 25,000 40,000 5,000 15,000 10,000 525,000 40,000 30,000 5,000 75,000 12,000 15,000 50,000 60,000 30,000 80,000 247,000 40,000 60,000 100,000 190,000 390,000 80,000 40,000 120,000 135,450 135,450 City of Pickering 2021 Approved Background Information 2320 Roads 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 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. 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 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 235 Run Date: 4/21/2112:05 PM 2021 Bud et 125,000 125,000 340,000 340,000 120,000 120,000 2,100 5,320 7,420 5,000 1,500 6,500 14,000 14,000 10,000 10,000 288,767 19,652 39,124 347,543 4,000 4,000 7,914,239 (180,000) (180,000) 2320 Roads Program Grant -Federal City of Pickering 2021 Approved Background Information 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 Total Transfers Net Expenses 236 Run Date: 4/21/21 12:05 PM 2021 Bud et (9,000) (9,000) (45,000) (30,000) (75,000) {264,000) 0 7,650,239 2718 Parks 2019 Actuals Expenditures 1100 Salaries & Wages 2,148,057 1200 Overtime 106,699 1400 Employer Contributions 465,467 1900 Uniforms 21,627 2110 Travel 179 2131 Cellular Phones 6,125 2140 Telephones 3,557 2340 Seminars & Education 9,686 2370 Insurance Premium 17,193 2371 Ins. Deductible 1,865 2392 Consulting & Professional 15,058 2394 Recpt, Prom & Sp Events 288 2395 Memberships 3,608 2396 Photo, Mapping, Printing 0 2399 Outside Agency Serv 40,926 2429 Parks Repairs & Maintenance 87,351 2435 Build Repairs & Mtce 82,684 2437 Tree Maintenance 105,780 2457 Veh -Repairs & Maintenance 63,197 2478 Misc Equip Repairs 69,186 2479 Software/Hardware Maintenanc 6,966 2482 Grounds Upkeep 264,351 2678 Rental Misc Equip 86,535 5320 Program Supplies 87,845 5510 Utilities -Water 51,653 5530 Utilities -Hydro 73,791 5900 Gas, Oil Tires 133,663 5901 Fertilizer, Grass Etc. 36,150 5902 Supplies & Tools 3,455 5978 Misc. Equipment 8,768 5981 Other Minor Fixed Assets 2,344 8960 Taxes Tenant 215,792 Total Expenditures 4,219,846 Revenues 1610 Federal Grant (9,800) 9930 Rentals (185,778) 9955 Programs (34,100) 9990 Other Misc Revenue 0 City of Pickering 2021 Current Budget Approved Final 2020 2020 YTD Approved Actuals Budget 2,236,294 2,411,074 81,416 100,000 532,504 574,305 17,749 29,000 107 500 6,776 6,500 3,433 4,775 1,318 19,850 17,500 17,500 613 7,050 6,665 27,840 253 1,100 1,037 3,670 0 200 51,900 38,000 37,249 60,000 72,145 87,900 127,586 125,000 85,324 73,000 61,654 80,000 8,845 12;037 164,743 289,500 125,392 72,800 55,865 93,000 57,300 65,305 60,563 99,227 114,829 145,867 23,562 42,000 3,473 1,000 23,356 23,343 22,064 50,000 220,119 256,145 4,221,634 4,817,488 (58,800) (9,000) (39,782) (210,000) 0 (40,000) (1,888) 0 237 Run Date: 4/21/21 12:03 PM 2021 INC./DEC. Approved % CHGE. Budget 2020 16,279 2,427,353 0.68% (50,000) 50,000 (50.00%) 2,618 576,923 0.46% 0 29,000 0.00% 0 500 0.00% 800 7,300 12.31% 115 4,890 2.41% (17,300) 2,550 (87.15%) 350 17,850 2.00% 0 7,050 0.00% (15,840) 12,000 (56.90%) 0 1,100 0.00% 520 4,190 14.17% 0 200 0.00% 14,200 52,200 37.37% 0 60,000 0.00% 86,560 174,460 98.48% (20,000) 105,000 (16.00%) 21,000 94,000 28.77% 0 80,000 0.00% (1,502) 10,535 (12.48%) (34,000) 255,500 (11.74%) 28,000 100,800 38.46% 20,000 113,000 21.51 % 1,295 66,600 1.98% 0 99,227 0.00% 0 145,867 0.00% 0 42,000 0.00% 0 1,000 0.00% 18,657 42,000 79.93% 25,000 75,000 50.00% (22,645) 233,500 (8.84%) 74,107 4,891,595 1.54% 0 (9,000) 0.00% 106,000 (104,000) (50.48%) 0 (40,000) 0.00% 0 0 0.00% 2718 Parks 2019 Actuals Total Revenues (229,678) Transfers to/from Reserves & R.F. 1911 Trans. to/(from) Continuing Stu (2,524) 1920 Transfer to/(from) Reserve Fun (8,782) Total Transfers (11,306) Net 3,978,862 City of Pickering 2021 Current Budget Approved Final 2020 2020 YTD Approved Actuals Budget (100,470) (259,000) (6,327) (7,840) (36,899) (35,000) (43,226) (42,840) 4,077,938 4,515,648 238 Run Date: 4/21/2112:03 PM 2021 INC./DEC. Approved % CHGE. Budget 2020 106,000 (153,000) (40.93%) 7,840 0 (100.00%) 20,000 (15,000) (57.14%) 27,840 (15,000) (64.99%) 207,947 4,723,595 4.61% 2718 Parks Expenditures 2718.1100.0000 Salaries & Wages Base Salaries and Wages City of Pickering 2021 Approved Background Information Decrease in staff hours for Student Labourer term positions (reduction of 8 positions) Conversion of one permanent part-time Labourer position to a full-time Maintenance Worker, Parks & Property position (net cost). 2021 CUPE salary increase transfer from Gen. Gov't Contingency Total 2718.1100.0000 Salaries & Wages 2718.1200. 0000 Overtime Special Events (Includes Canada Day) Emergency Call-in/Winter Control Claremont Rink Maintenance Park Lighting Inspection Total 2718.1200.0000 Overtime 2718.1400.0000 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 permanent part-time Labourer position to a full-time Maintenance Worker, Parks & Property position (net cost). Benefits related to decrease in staff hours for Student Labourer term positions (reduction of 8 positions) Benefits related to 2021 CUPE salary increase transfer from Gen. Gov't Contingency Total 2718.1400.0000 Employer Contributions 2718.1900.0000 Uniforms As per the Collective Agreement -(plus Student Safety shirts, rain gear, safety vests, boots, ear protection, safety glasses, hard hat liners, small safety kits) Total 2718.1900.0000 Uniforms 2718.2110.0000 Travel Parking & Mileage Total 2718.2110.0000 Travel 2718.2131.0000 Cellular Phones Cellular Phone and Smartphone Charges Total 2718.2131.0000 Cellular Phones 2718.2140.0000 Telephones Run Date: 4/21/21 12:05 PM 2021 Bud et 2,489,861 (100,000) 1,600 35,892 2,427,353 10,000 28,000 10,000 2,000 50,000 564,416 15,050 (8,000) 5,457 576,923 29,000 29,000 500 500 7,300 7,300 Voice/ Data 2,860 239 City of Pickering 2021 Approved Background Information 2718 Parks Internet Total 2718.2140.0000 Telephones 2718.2340.0000 Seminars & Education CPR & First Aid Training -20 staff Integrated Pest Mgmt. (1PM) Symposium (6 staff@ $150.00 each) 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 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, Foreperson, Parks & Property, (2) Lead Hand) Sports Turf Association -((2) Lead Hand, (2) 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, (2) Foreperson Parks, Supervisor Parks) Total 2718.2395.0000 Memberships 2718.2396.0000 Photo,Mapping,Printing 240 Run Date: 4/21/21 12:05 PM 2021 Bud et 2,030 4,890 1,500 1,050 2,550 17,850 17,850 7,050 7,050 12,000 12,000 600 500 1,100 900 800 110 130 500 760 270 220 500 4,190 City of Pickering 2021 Approved Background Information 2718 Parks Colour printing of maps Total 2718.2396.0000 Photo,Mapping,Printing 2718.2399.0000 Outside Agency Services NexGen (Region of Durham) Radio Licence Internet-Based GPS/AVL Subscription for vehicles/equipment Security guard services for weekend waterfront patrols (June-September) 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 ) Janitorial service for Park washroom (transfer from facilities) 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. Mulching Service Total 2718.2437.0000 Tree Maintenance 2718.2457.0000 Vehicle-Repair & Maintena Repair & Maint of Parks Section Licensed Vehicles Replace & Install Nexgen radios 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 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) 241 Run Date: 4/21/2112:05 PM 2021 Bud et 200 200 20,000 22,200 10,000 52,200 60,000 60,000 2,000 40,000 39,900 92,560 174,460 100,000 5,000 105,000 73,000 21,000 94,000 80,000 80,000 6,250 4,285 10,535 20,000 17,000 16,000 7,000 City of Pickering 2021 Approved Background Information 2718 Parks 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 Materials for seasonal outdoor rinks Total 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 (fully offset by fees) Monuments and commemorations -pandemic monument Total 2718.5320.0007 Memorial Trees & Benches 2718.5320.0008 Sustain Neighborhood Prgm Sustainable Neighbourhoods Program Total 2718.5320.0008 Sustain Neighborhood Prgm 2718.5320.001 O Banner Program Supplies, materials and artist fees for the Banner Program Total 2718.5320.0010 Banner Program 2718.5510.0000 Utilities -Water Budget based on 2020 projected actuals and regional water rate increase in 2021 Splash Park Total 2718.5510.0000 Utilities -Water 242 Run Date: 4/21/21 12:05 PM 2021 Bud et 10,000 2,000 1,500 5,000 30,000 75,000 5,000 20,000 7,000 10,000 20,000 10,000 255,500 50,000 48,800 2,000 100,800 25,000 25,000 10,000 3,000 13,000 30,000 20,000 50,000 10,000 10,000 15,000 15,000 60,480 6,120 66,600 City of Pickering 2021 Approved Background Information 2718 Parks Run Date: 4/21/2112:05 PM 2718.5530.0000 Utilities -Hydro Budget based on 2020 projected actuals and rate increase in 2021 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 1 -Generator 2 -Hand Blowers 1 -Hedge Trimmer & Attachments 2 -Bristle Brush 1 -Gas Trimmer 6 -Battery Push Mowers Lakeshore camera pilot project Total 2718.5978.0000 Misc. Equipment 2718.5981.0000 Other Fixed Assets Garbage receptacles, picnic tables, benches, bleachers Purchase of concrete gaming structures such as ping pong tables, chess and checkers and funds to be equally allocated for each Ward. Cost to include site preparation. 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 Dianna, Princess of Wales Park/Ontario Infrastructure West Duffin Creek Trail /Ontario Infrastructure Beverley Morgan Park/Ontario Infrastructure 243 2021 Bud et 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 2,000 800 400 800 3,000 5,000 30,000 42,000 50,000 25,000 75,000 5,000 14,000 150,000 32,000 1,500 25,000 City of Pickering 2021 Approved Background Information 2718Parks Pickering/York PIL 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 Camps/Tournaments Hydro Costs Tennis Courts Total 2718.9930.0000 Rentals -User Fees 2718.9955.0000 Memorial Tree/Bench Rev Memorial trees and benches Total 2718.9955.0000 Memorial Tree/Bench Rev Total Revenues Transfers 1920.7501.2718 Frm 3rd Party RF-Parks Tree Compensation -Cash in Lieu (7501.0101) reserve funding for general tree replacement Total Transfers Net Expenses Total 1920.7501.27'.18 Frm 3rd Party RF -Parks 244 Run Date: 4/21/21 12:05 PM 2021 Bud et 6,000 233,500 4,891,595 (9,000) (9,000) (94,000) (10,000) (104,000) (40,000) (40,000) (153,000) (15,000) (15,000) (15,000) 4,723,595 Corporate Services Department The Corporate Services Department supports the City's ongoing operations by providing legal, legislative, municipal law enforcement and information technology services to Council and to all City Departments. Corporate Services Department I I I I I " r Information Legal Services Legislative Municipal Law Technology Services* EnforcementA '- * Includes Clerks Office, Records Management & Elections and Print Shop/mail Room "' Includes By-law Enforcement Services and Animal Services Key Activities for 2021 • Broadband initiatives including build-out of Via net Whitevale/Green River Network and investigation of partnerships for the delivery of internet access to underserved areas of the City • Development of Corporate Strategic Plan, including public consultation • Agreements of Purchase and Sale for Seaton employment lands to enable ongoing economic development initiatives • Land Acquisitions and Cost Contribution Agreement for Pickering Casino Resort • Site selection and programming/conceptual design of new Animal Shelter • Preparation for 2022 Election (securing of vendor for voting method and development of voting procedures) • Completion of Ward Boundary Review • Ongoing education and enforcement of COVID Regulations and health orders • New Sign by-law (Joint initiative with City Development Department) • Implementation of multiple IT projects including security awareness training, integrated Security Incident Management System, multiple system and database upgrades, ongoing support of Webex Council and Committee meetings, virtual recreation programming and remote staff working 250 Financial Information Staffing Summary (Full & Regular Part Time) Approved Current Term Approved Full Time 2018 2019 2020 36 --1 40 38 _Q 43 41 _§ 47 Add 0 2021 Delete 0 Total 41 7 47 Reg. Part-Time Total 1 1 Q 0 The part-time Animal Services Attendant's hours have been increased in 2021 from 24 hours per week to 30 hours per week to increase the level of animal care. The additional annual cost is $11,425. Year-Over-Year (Net Cost) Budget Changes 2020 Budget 2021 Approved Budget YearNear Increase ($) (%) Information Technology $2,307,008 $2,509,713 $202,705 Legal Services 483,889 383,449 (100,440) Clerks Office 189,734 312,058 122,324 Records Mgmt. & Elections 156,841 146,401 (10,440) Print Shop/Mail Room 522,776 535,506 12,730 By-Law 301,852 723,447 421,595 Animal Services 477,755 535,116 57,361 8.79 (20.76) 64.47 (6.66) 2.44 139,67 12.01 15.90 Total (Net Cost) $4,439,855 $5,145,690 $705,835 =================================== Explanation of Significant Budget Changes -Expenses • Salaries and Wages $208,936 -Budget increase largely reflects one new Municipal Law Enforcement II position and one new part time By-law Enforcement position approved in 2020, the full year annualization of one new full time Help Desk positon, and a workplace accommodation in the Clerks and Animal Services cost centres. The budget increase was partially offset from a reduction in salaries due to the retirement of a Law Clerk position. $51,000 has also been budgeted for additional hours for By-law Enforcement staff to provide additional summer enforcement capacity. • Software and hardware maintenance $188,445 -Budget increase due to a number of factors: ► Movement of maintenance costs from System and Software Upgrades and Hardware Replacements accounts to the Software/Hardware Maintenance Contracts account. 251 Enforcement Services ParkinQ Tickets Issued 20,409 ParkinQ Fine Revenue $565,300 * COVID-19 Enforcement-hours spent 5,434 COVID-19 Enforcement -# park patrols 14,239 By-law Violations Requests for Service 1,326 Animal Services Requests for Service 925 Animals Sheltered (cats/dogs/small animals) 394 Animals Adopted 298 Lost pets found and returned 92 * subject to increase per MTO reconciliation 253 Corporate Services Department 2019 Actuals Expenditures 1100 Salaries & Wages 3,299,749 1200 Overtime 46,135 1400 Employer Contributions 836,447 1800 Conferences 4,889 1900 Uniforms 13,691 2110 Travel 3,188 2121 Postage 127,166 2122 Freight, Express & Cartage 2,564 2131 Cellular Phones 14,251 2140 Telephones 20,493 2210 Advertising 797 2220 Subscription & Publications 8,792 2320 Legal Services 10,988 2340 Seminars & Education 45,272 2341 Corporate Training 7,079 2370 Insurance Premium 23,726 2371 Ins. Deductible 0 2392 Consulting & Professional 75,579 2394 Recpt, Prom & Sp Events 9,844 2395 Memberships 8,039 2399 Outside Agency Serv 98,525 2435 Build Repairs & Mtce 17,953 2457 Veh -Repairs & Maintenance 15,489 2478 Misc Equip Repairs 22,865 2479 Software/Hardware Maintenanc 425,836 2648 Building Rentals 14,546 5300 Stationery & Office Supplies 6,328 5301 Printing Supplies 175,410 5302 Forms 8,084 5530 Utilities -Hydro 4,710 5540 Utilities -Oil 4,371 5900 Gas, Oil Tires 20,755 5902 Supplies & Tools 6,757 5903 Shop Supplies 17,926 5973 Minor Furniture & Fixtures 1,658 5974 System & Software Upgrades 91,116 5975 Hardware Replacements 52,122 5978 Misc. Equipment 81,283 City of Pickering 2021 Current Budget Approved Final 2020 2020 YTD Approved Actuals Budget 3,589,922 3,611,640 71,502 71,370 873,433 1,005,634 1,129 10,000 13,434 18,100 674 6,100 152,160 147,000 2,007 3,100 17,037 20,360 20,965 27,990 407 800 7,209 11,170 11,909 12,000 42,289 53,850 8,098 12,000 24,148 24,148 0 2,000 85,434 171,464 1,973 8,750 7,581 9,500 84,200 97,875 13,660 13,358 13,109 17,800 37,532 48,700 515,665 506,497 14,909 16,556 6,490 11,300 152,723 190,000 1,694 8,000 4,407 6,798 2,855 6,500 21,423 27,763 3,699 4,500 13,642 15,100 0 1,500 88,826 100,584 84,724 93,600 64,318 59,150 254 Run Date: 4/21/2111:58 AM 2021 INC./DEC. Approved % CHGE. Budget 2020 208,936 3,820,576 5.79% (6,820) 64,550 (9.56%) 16,570 1,022,204 1.65% (6,400) 3,600 (64.00%) 800 18,900 4.42% (1,900) 4,200 (31.15%) 5,000 152,000 3.40% 0 3,100 0.00% 1,000 21,360 4.91% 1,705 29,695 6.09% 0 800 0.00% (2,975) 8,195 (26.63%) 0 12,000 0.00% 9,300 63,150 17.27% 0 12,000_ 0.00% 472 24,620 1.95% 0 2,000 0.00% (600) 170,864 (0.35%) (500) 8,250 (5.71 %) 250 9,750 2.63% (500) 97,375 (0.51%) (1,000) 12,358 (7.49%) (5,000) 12,800 (28.09%) (2,600) 46,100 (5.34%) 188,445 694,942 37.21% 408 16,964 2.46% (400) 10,900 (3.54%) 10,000 200,000 5.26% 0 8,000 0.00% 0 6,798 0.00% 0 6,500 0.00% 0 27,763 0.00% 0 4,500 0.00% 0 15,100 0.00% (1,500) 0 (100.00%) (28,134) 72,450 (27.97%) (45,800) 47,800 (48.93%) 50,110 109,260 84.72% Corporate Services Department 2019 Actuals 6000 Parking -MOT 77,488 7181 Livestock Killed 0 Total Expenditures 5,701,911 Revenues 1411 Sale of Services-Administratior (82,509) 1413 Sale of Services -Legal (1,900) 1416 Sale of Services -Agreements (132,958) 1512 Lie. & Pet-Business (163,885) . 1513 Lie. & Per-Amusement (271,748) 1514 Lie. & Per-Taxi (29,174) 1520 Fines (908,847) 1516 Licences (53,300) 1519 Licenses & Permits-Marriage (33,456) 1570 Adoptions (36,800) 1571 Impound Fees (7,685) 1572 Service Fees (4,795) 1592 Donations (3,815) 1623 Ont. Specific Grants 0 9990 Other Revenue (37,991) 9990 Other Misc Revenue (18,043) 9980 Sponsorships No Tax (4,478) 9985 Marketing Sponsorships (800) 9995 Misc Rev (8,914) Total Revenues (1,801,098) Transfers to/from Reserves & R.F. 1910 Transfer to/(from) Reserve 0 1911 Trans. to/(from) Continuing Stu (39,295) Total Transfers (39,295) Net 3,861,518 City of Pickering 2021 Current Budget Approved Final 2020 2020 YTD Approved Actuals Budget 54,392 75,000 763 1,000 6,110,342 6,528,557 (57,829) (80,000) (600) (2,000) (131,138) (180,000) (78,735) (165,000) (181,459) (200,000) (136,178) (180,000) (752,785) (862,000) (52,166) (59,000) (27,962) (30,000) (27,895) (31,600) (5,670) (4,000) (2,655) (3,300) (592) 0 (793) (1,000) (24,666) (16,200) (9,377) (20,000) (1,000) (3,000) 0 (2,000) (7,976) (8,000) (1,499,476) (1,847,100) 0 (187,638) (31,110) (53,964) (31,110) (241,602) 4,579,756 4,439,855 255 Run Date: 4/21/21 11 :58 AM 2021 INC./DEC. Approved % CHGE. Budget 2020 0 75,000 0.00% (500) 500 (50.00%) 388,367 6,916,924 5.95% 10,000 (70,000) (12.50%) 0 (2,000) 0.00% 25,000 (155,000) (13.89%) 100,000 (65,000) (60.61%) 20,000 (180,000) (10.00%) 40,0'00 (140,000) (22.22%) 160,000 (702,000) (18.56%) 0 (59,000) 0.00% 0 (30,000) 0.00% (400) (32,000) 1.27% 0 (4,000) 0.00% 0 (3,300) 0.00% 0 0 0.00% 500 (500) (50.00%) 50 (16,150) .(0.31%) 0 (20,000) 0.00% 0 (3,000) 0.00% 0 (2,000) 0.00% 0 (8,000) 0.00% 355,150 (1,491,950) (19.23%) (91,646) (279,284) 48.84% 53,964 0 (100.00%) (37,682) (279,284) 15.60% 705,835 5,145,690 15.90% 2196 Information Technology 2019 Actuals Expenditures 1100 Salaries & Wages 1,015,375 1200 Overtime 33,034 1400 Employer Contributions 256,660 1800 Conferences 3,540 1900 Uniforms 0 2110 Travel 1,129 2131 Cellular Phones 7,209 2140 Telephones 3,833 2340 Seminars & Education 32,848 2341 Corporate Training 7,079 2370 Insurance Premium 7,711 2392 Consulting & Professional 27,638 2394 Reep!, Prom & Sp Events 627 2395 Memberships 534 2399 Outside Agency Serv 6,875 2478 Misc Equip Repairs 22,865 2479 Software/Hardware Maintenanc 373;365 5300 Stationery & Office Supplies 722 5974 System & Software Upgrades 91,116 5975 Hardware Replacements 52,122 5978 Misc. Equipment 81,283 Total Expenditures 2,025,565 Revenues Total Revenues 0 Transfers to/from Reserves & R.F. 1910 Transfer to/(from) Reserve 0 1911 Trans. to/(from) Continuing Stu (24,422) Total Transfers (24,422) Net 2,001,143 City of Pickering 2021 Current Budget Approved Final 2020 2020 YTD Approved Actuals Budget 992,829 1,113,370 33,118 52,050 269,813 311,575 0 4,000 0 0 244 1,800 7,145 8,000 4,541 8,390 33,184 36,900 8,098 12,000 7,850 7,850 40,526 65,000 193 1,000 80 650 1,800 9,600 37,532 48,700 456,348 454,089 2,504 3,700 88,826 100,584 84,724 93,600 64,318 59,150 2,133,673 2,392,008 0 0 0 (85,000) 0 0 0 (85,000) 2,133,673 2,307,008 256 Run Date: 4/21/2112:03 PM 2021 INC./DEC. Approved % CHGE. Budget 2020 39,469 1,152,839 3.55% (6,000) 46,050 (11.53%) 14,456 326,031 4.64% (2,000) 2,000 (50.00%) 800 800 0.00% (600) 1,200 (33.33%) 0 8,000 0.00% (185) 8,205 (2.21%) 12,500 49,400 33.88% 0 12,000 0.00% 150 8,000 1.91% (3,100) 61,900 (4.77%) 0 1,000 0.00% 0 650 0.00% 0 9,600 0.00% (2,600) 46,100 (5.34%) 173,639 627,728 38.24% 0 3,700 0.00% (28,134) 72,450 (27.97%) (45,800) 47,800 (48.93%) 50,110 109,260 84.72% 202,705 2,594,713 8.47% 0 0 0.00% 0 (85,000) 0.00% 0 0 0.00% 0 (85,000) 0.00% 202,705 2,509,713 8.79% 2196 Information Technology Expenditures 2196.1100.0000 Salaries & Wages Base Salaries and Wages City of IPficlkernng 2021 Approved Background Information 2021 CUPE salary increase transfer from Gen. Gov't Contingency Total 2196.1100.0000 Salaries & Wages 2196.1200.0000 Overtime Onsite Support for Council meetings and other service level commitments After hours support Total 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 2021 CUPE salary increase transfer from Gen. Gov't Contingency Total 2196.1400.0000 Employer Contributions 2196.1800.0000 Conferences IT Conferences Total 2196.1800.0000 Conferences 2196.1900.0000 Uniforms As per Collective Agreement, Personal Protective Equipment Total 2196.1900.0000 Uniforms 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: 4/21/2112:05 PM 2021 Bud et 1,142,622 10,217 1,152,839 20,050 26,000 46,050 324,071 1,960 326,031 2,000 2,000 800 800 1,200 1,200 8,000 8,000 Voice/ Data 7,355 Internet 850 Total 2196.2140.0000 Telephones 2196.2340.0000 Seminars & Education Information Technology Staff Training New Financial System (SAP) IT staff training Training & Exam -related expenditures Total 2196.2340.0000 Seminars & Education 2196.2341.0000 Corporate Training Security awareness training for all staff 257 8,205 36,000 12,500 900 49,400 12,000 City of Pickering 2021 Approved Background Information 2196 Information Technology 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 2196.2392.0000 Consulting & Professional Professional Services Support for Corporate Systems Network & Security Support Broadband Consulting 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 2196.2399.0000 Outside Agency Services Recording of Meetings within Council Chambers Total 2196.2399.0000 Outside Agency Services 2196.2478.0000 Misc.EquipmentRepairs & 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-Enterprise Agreement (Year 3 of 3). This license agreement allows the City to receive upgrades of the Microsoft licenses. Maintenance -Oracle Licenses Maintenance -Network Security -FW and SIEM Maintenance -IT Help Desk Software Maintenance -Virtualization Maintenance -Disaster Recovery Maintenance -Systems Monitoring Maintenance -Liebert -Uninterruptible Power Supply Maintenance -APC -Uninterruptible Power Supply Maintenance -HP Support for Large Format Printers and Plotters 258 Run Date: 4/21/21 12:05 PM 2021 Bud et 12,000 8,000 8,000 18,500 28,400 15,000 61,900 1,000 1,000 650 650 9,600 9,600 21,400 18,600 1,200 900 4,000 46,100 136,550 77,000 27,500 8,000 35,000 8,500 6,000 3,000 2,890 3,000 City of IP6ckeri1n1g 2021 Approved Background Information 2196 Information Technology Maintenance -Storage Area Network (SAN) -Civic 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 Maintenance -Citrix Maintenance -Edge Network Switches API Maintenance for Active Net and Arena Displays Maintenance -Veeam Backup & Replication & Management Suite Contract -Internet Security Certificates Contract -Network and Application Security Assessment Contract -Managed Services -Network Security Maintenance -Datacentre Server and Network Core Hardware Contract-Cisco Meraki Licensing 1 Year renewal -NEW Maintenance -Sierra Wireless Cloud Management Platform -NEW Maintenance -Capital Networks Audience Solution Maintenance -Multi Factor Authentication and Single Sign On Maintenance -AD Manager Software Maintenance -Remote Support Application Maintenance ~ Cisco WebEX Meetings Cloud based Security Filter OpenDNS Maintenance -HRIS Total 2196.2479.0000 Sfwr/Hdwr Maint Contracts 2196.5300.0000 Stationery & Office Suppl General office supplies Ergonomic devices for staff Total 2196.5300.0000 Stationery & Office Suppl 2196.5974.0000 System & Software Upgrade Security Management and Monitoring Upgrades Corporate -PC-based Software Upgrades Corporate -Adobe Licenses Upgrade to Cloud Connect Corporate -Project and Change Management System Additional Software Licencing for new employees Graphics Design Upgrades 11 licences for Digital Combustion(Fire) Network Access Control Solution Volunteer Management Solution (Museum) Total 2196.5974.0000 System & Software Upgrade 259 Run Date: 4/21/21 12:05 PM 2021 Bud et 20,785 24,879 8,750 26,799 510 6,500 39,547 8,535 5,000 16,500 3,500 22,000 21,600 39,555 8,700 2,500 9,000 8,000 6,635 6,528 13,000 19,500 1,965 627,728 3,200 500 3,700 7,500 5,000 27,800 6,000 8,000 1,800 6,600 4,750 5,000 72,450 City of Pickering 2021 Approved Background Information 2196 Information Technology 2196.5975.0000 Hardware Replacements PCs, Laptop Replacements and upgrades Access Point Hardware upgrades LED Monitor Upgrades or Replacements Cloud Backup Solution Network Switch Replacement 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 FlreCam (1080P) Fire Helmet Cameras (Video Storage, Network Bandwidth) - Interactive exhibit components such as LED displays, touch sensors, sound byte players, RFID tags etc. IT Budget Requests -Engineering -LED Displays for Electronic Review IT Budget Requests -City Development -Laptops, Monitors, Software IT Budget Requests -Fire Services -Remote Computing Devices IT Budget Requests -Public Works -Laptops, Workstations COVID Work from Home IT equipment -Laptops, etc. Total Expenses Total Revenues Transfers Total 2196.5978.0000 Misc. Equipment 1910.7049.2196 Trsf Fin Sys R-IT Financial Systems Reserve funding for one position (ERP Programmer/Analyst) Total 1910.7049.2196 Trsf Fin Sys R -IT Total Transfers Net Expenses 260 Run Date: 4/21/2112:05 PM 2021 Bud et 10,000 6,700 5,600 8,000 17,500 47,800 14,000 4,500 3,650 3,000 8,000 12,000 6,510 28,200 4,400 25,000 109,260 2,594,713 0 (85,000) (85,000) (85,000) 2,509,713 2125 Legal Services 2019 Actuals Expenditures 1100 Salaries & Wages 479,879 1200 Overtime 247 1400 Employer Contributions 117,447 2110 Travel 426 2131 Cellular Phones 1,331 2140 Telephones 1,576 2220 Subscription & Publications 7,986 2320 Legal Services 10,988 2340 Seminars & Education 4,074 2370 Insurance Premium 3,400 2392 Consulting & Professional 33,068 2394 Recpt, Prom & Sp Events 427 2395 Memberships 5,777 2479 Software/Hardware Maintenanc 0 5300 Stationery & Office Supplies 903 Total Expenditures 667,529 Revenues 1413 Sale of Services -Legal (1,900) 1416 Sale of Services -Agreements (132,958) 9995 Misc Rev (8,914) Total Revenues (143,772) Transfers to/from Reserves & R.F. 1910 Transfer to/(from) Reserve 0 Total Transfers 0 Net 523,757 City of Pickering 2021 Current Budget Approved Final 2020 2020 YTD Approved Actuals Budget 471,022 540,763 209 2,500 120,059 146,133 226 750 639 1,600 1,493 2,115 7,143 7,620 11,909 12,000 5,738 4,500 3,460 3,460 13,543 45,000 263 500 5,498 6,550 998 1,536 1,147 1,500 643,347 776,527 (600) (2,000) (131,138) (180,000) (7,976) (8,000) (139,714) (190,000) 0 (102,638) 0 (102,638) 503,633 483,889 261 Run Date: 4/21/21 12:03 PM · 2021 INC./DEC. Approved % CHGE. Budget 2020 (70,507) 470,256 (13.04%) (1,000) 1,500 (40.00%) (24,995) 121,138 (17.10%) 0 750 0.00% 0 1,600 0.00% (750) 1,365 (35.46%) 25 7,645 0.33% 0 12,000 0.00% 0 4,500 0.00% 70 3,530 2.02% 0 45,000 0.00% 0 500 0.00% 0 6,550 0.00% (601) 935 (39.13%) 0 1,500 0.00% (97,758) 678,769 (12.59%) 0 (2,000) 0.00% 25,000 (155,000) (13.89%) 0 (8,000) 0.00% 25,000 (165,000) (13.16%) (27,682) (130,320) 26.97% (27,682) (130,320) 26.97% (100,440) 383,449 (20.76%) 2125 Legal Services Expenditures 2125.1100.0000 Salaries & Wages Base Salaries and Wages City cf IPiclkeiring 2021 Approved Background Information One full-time Law Clerk position unfunded 2021 CUPE salary increase transfer from Gen. Gov't Contingency 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 Benefits related to one full-time Law Clerk position unfunded Benefits related to 2021 CUPE salary increase transfer from Gen. Gov't Contingency 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: 4/21/2112:05 PM 2021 Bud et 544,869 (76,885) 2,272 470,256 1,500 1,500 144,135 (23,435) 438 121,138 750 750 800 800 1,600 Voice/ Data 1,215 Internet 150 Total 2125.2140.0000 Telephones 2125.2220.0000 Subscriptions & Publicati 2020 LexisNexis Quicklaw @ $293.00 per month Canada Law Book Reference material, journals and reports Miscellaneous Total 2125.2220.0000 Subscriptions & Publicati 2125.2320.0000 Legal Services Expenses Searching titles, registering documents, filing documents and obtaining transcripts. These costs are offset by revenues (Sale of Service Agreements). Total 2125.2320.0000 Legal Services Expenses 2125.2340.0000 Seminars & Education 262 1,365 3,525 80 3,480 560 7,645 12,000 12,000 City of Pickering 2021 Approved Background Information 2125 Legal Services Topical Seminar -City Solicitor, mandatory Continuing Legal Education (CLE) Topical Seminar -Legal Services Assistant Topical Seminar -Assistant Solicitor, mandatory CLE Total 2125.2340.0000 Seminars & Education 2125.2370.0000 Insurance Premium Annual cost of insurance policy that provides protection for municipal activities and property. (Policy coverage includes: liability, automobile and property). Total 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 Total 2125.2395.0000 Memberships 2125.24 79.0000 Sfwr/Hdwr Ma int Contracts Maintenance -HRIS 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 263 Run Date: 4/21/21 12:05 PM 2021 Bud et 2,000 500 2,000 4,500 3,530 3,530 35,000 10,000 45,000 500 500 3,500 3,050 6,550 935 935 1,500 1,500 678,769 (2,000) (2,000) (150,000) (5,000) (155,000) City of Pickering 2021 Approved Background Information 2125 Legal Services Chargebacks for registration and search fees paid by the City and billed back to the developers. Total Revenues Transfers Total 2125.9995.0000 Other Revenue (Disb Recov 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 264 Run Date: 4/21/21 12:05 PM 2021 Bud et (8,000) (8,000) (165,000) (130,320) (130,320) (130,320) 383,449 2122 Clerks Office 2019 Actuals Expenditures 1100 · Salaries & Wages 336,143 1200 Overtime 631 1400 Employer Contributions 100,802 1800 Conferences 1,349 2110 Travel 285 2131 Cellular Phones 830 2140 Telephones 1,803 2220 Subscription & Publications 368 2340 Seminars & Education 1,231 2370 Insurance Premium 2,510 2394 Recpt, Prom & Sp Events 295 2395 Memberships 403 2479 Software/Hardware Maintenanc 380 5300 Stationery & Office Supplies 1,993 Total Expenditures 449,023 Revenues 1411 Sale of Services-Administratior (82,509) 1513 Lie. & Per-Amusement (271,748) 1519 Licenses & Permits-Marriage (33,456) Total Revenues (387,713) Transfers to/from Reserves & R.F. Total Transfers 0 Net 61,310 City of Pickering 2021 Current Budget Approved Final 2020 2020 YTD Approved Actuals Budget 490,779 374,763 914 1,000 84,819 108,885 14 1,600 0 500 266 1,100 995 1,410 66 500 0 2,500 2,555 2,555 22 750 824 1,000 760 1,171 1,513 2,000 583,527 499,734 (57,829) (80,000) (181,459) (200,000) (27,962) (30,000) (267,250) (310,000) 0 0 316,277 189,734 265 Run Date: 4/21/2112:03 PM 2021 INC./DEC. Approved % CHGE. Budget 2020 70,896 445,659 18.92% 0 1,000 0.00% 21,154 130,039 19.43% 0 1,600 0.00% 0 500 0.00% 0 1,100 0.00% 640 2,050 45.39% 0 500 0.00% 0 2,500 0.00% 45 2,600 1.76% 0 750 0.00% 0 1,000 0.00% (411) 760 (35.10%) 0 2,000 0.00% 92,324 592,058 18.47% 10,000 (70,000) (12.50%) 20,000 (180,000) (10.00%) 0 (30,000) 0.00% 30,000 (280,000) (9.68%) 0 0 0.00% 122,324 312,058 64.47% 2122 Clerks Office Expenditures 2122.1100.0000 Salaries & Wages Base Salaries and Wages City of Pickering 2021 Approved Background Information Workplace Accommodation (12 mths) 2021 CUPE salary increase transfer from Gen. Gov't Contingency Total 2122.1100.0000 Salaries & Wages 2122.1200.0000 Overtime To meet service level/workload commitments and Boards and Committees Total 2122.1200.0000 Overtime 2122.1400 .0000 Employer Contributions This item includes mandatory deductions (CPP, El, EHT) and employer provided benefits such as extended health and dental Benefits related to Workplace Accommodation (12 mths) Benefits related to 2021 CUPE salary increase transfer from Gen. Gov't Contingency Total 2122.1400.0000 Employer Contributions 2122.1800.0000 Conferences Assoc. of Municipal Mgrs., Clerks & Treasurers (AMCTO) Conference -City Clerk Total 2122.1800.0000 Conferences 2122.2110.0000 Travel Run Date: 4/21/2112:05 PM 2021 Bud et 374,312 70,470 877 445,659 1,000 1,000 108,731 21,140 168 130,039 1,600 1,600 Misc. Travel 500 Total 2122.2110.0000 Travel 500 2122.2131.0000 Cellular Phones Annual Smartphone charges -City Clerk 1,100 Total 2122.2131.0000 Cellular Phones 1,100 2122.2140.0000 Telephones Voice/ Data 1,820 Internet 230 Total 2122.2140.0000 Telephones 2122.2220.0000 Subscriptions & Publicati Reference material, Journals and reports Total 2122.2220.0000 Subscriptions & Publicati 2122.2340.0000 Seminars & Education Education for Clerk's staff -Courses through AMCTO Total 2122.2340.0000 Seminars & Education 2122.2370.0000 Insurance Premium Annual cost of insurance policy that provides protection for municipal activities and property. (Policy coverage includes: liability, automobile and property). 266 2,050 500 500 2,500 2,500 2,600 City of Pickering 2021 Approved Background Information 2122 Clerks Office Total 2122.2370.0000 Insurance Premium 2122.2394.0000 Recpt, Prom, & Spec Event 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 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 267 Run Date: 4/21/2112:05 PM 2021 Bud et 2,600 750 750 1,000 1,000 760 760 2,000 2,000 592,058 (18,000) (18,000) (19,000) (19,000) (33,000) (33,000) (180,000) (180,000) (30,000) (30,000) (280,000) 0 312,058 2191 Records Management & Elections 2019 Actuals Expenditures 1100 Salaries & Wages 112,080 1200 Overtime 406 1400 Employer Contributions 33,700 2110 Travel 59 2140 Telephones 265 2340 Seminars & Education 963 2370 Insurance Premium 847 2392 Consulting & Professional 14,873 2399 Outside Agency Serv 4,680 2479 Software/Hardware Maintenan< 30,783 5300 Stationery & Office Supplies 404 Total Expenditures 199,060 Revenues Total Revenues 0 Transfers to/from Reserves & R.F. 1910 Transfer to/(from) Reserve 0 1911 Trans. to/(from) Continuing Stu (14,873) Total Transfers (14,873) Net 184,187 City of Pickering 2021 Current Budget Approved Final 2020 2020 YTD Approved Actuals Budget 80,767 75,959 0 1,000 32,852 24,046 0 500 249 350 0 1,250 861 861 31,365 61,464 1,285 13,375 30,848 31,000 25 1,000 178,252 210,805 0 0 0 0 (31,110) (53,964) (31,110) (53,964) 147,142 156,841 268 Run Date: 4/21/2112:03 PM 2021 INC.IDEC. Approved % CHGE. Budget 2020 (6,637) 69,322 (8.74%) 0 1,000 0.00% (1,288) 22,758 (5.36%) 0 500 0.00% 330 680 94.29% 0 1,250 0.00% 19 880 2.21% 2,500 63,964 4.07% 0 13,375 0.00% 4,636 35,636 14.95% 0 1,000 0.00% (440) 210,365 (0.21%) 0 0 0.00% (63,964) (63,964) 0.00% 53,9!34 0 (100.00%) (10,000) (63,964) 18.53% (10,440) 146,401 (6.66%) Coty of Pickering 2021 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 Overtime To meet service level/workload commitments Total 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: 4/21/2112:05 PM 2021 Bud et 69,322 69,322 1,000 1,000 22,758 22,758 Various Travel 500 Total 2191.2110.0000 Travel 500 2191.2140.0000 Telephones Voice/Data 605 Internet 75 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 Insurance Premium 2191.2392.0000 Consulting & Professional Consultant Ward Boundary Review Resolution #179/16 -funded from Contingency Election Reserve (PO# 170826) Phase 2 -Ward Boundary Review (Public Consultation) -funded from Contingency Election Reserve 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 269 680 1,000 250 1,250 880 880 53,964 10,000 63,964 3,875 4,500 2,000 3,000 City of Puckering 2021 Approved Background Information 2191 Records Management & Elections Total 2191.2399.0000 Outside Agency Services -2191.2479.0000 Sfwr/Hdwr Maint Contracts Maintenance -Laserfiche Maintenance -HRIS 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 1910.7012.2191 Frm Elec R-Records Mgmt Contingency Election Reserve funding for Consulting Ward Boundary Review Contingency Election Reserve funding for Phase 2 -Ward Boundary Review (Public Consultation) Total Transfers Net Expenses Total 1910.7012.2191 Frm Elec R -Records Mgmt 270 Run Date: 4/21/21 12:05 PM 2021 Bud et 13,375 35,501 135 35,636. 1,000 1,000 210,365 0 (53,964) (10,000) (63,964) (63,964) 146,401 2199 Print Shop/Mail Room 2019 Actuals Expenditures 1100 Salaries & Wages 110,039 1200 Overtime 0 1400 Employer Contributions 26,864 2121 Postage 127,166 2122 Freight, Express & Cartage 2,564 2140 Telephones 527 2370 Insurance Premium 2,294 2399 Outside Agency Serv 32,732 2479 Software/Hardware Maintenanc 0 5300 Stationery & Office Supplies 830 5301 Printing Supplies 175,410 Total Expenditures 478,426 Revenues 9990 Other Revenue (9,458) Total Revenues (9,458) Transfers to/from Reserves & R.F. Total Transfers 0 Net 468,968 City of Pickering 2021 Current Budget Approved Final 2020 2020 YTD Approved Actuals Budget 92,684 109,508 0 500 21,513 33,042 152,160 147,000 2,007 3,100 498 705 2,335 2,335 33,648 35,000 4,129 286 370 1,500 152,723 190,000 462,067 522,976 0 (200) 0 (200) 0 0 462,067 522,776 271 Run Date: 4/21/2112:03 PM 2021 INC./DEC. Approved % CHGE. Budget 2020 1,902 111,410 1.74% 0 500 0.00% (4,301) 28,741 (13.02%) 5,000 152,000 3.40% 0 3,100 0.00% (25) 680 (3.55%) 45 2,380 1.93% 0 35,000 0.00% (91) 195 (31.82%) 0 1,500 0.00% 10,000 200,000 5.26% 12,530 535,506 2.40% 200 0 (100.00%) 200 0 (100.00%) 0 0 0.00% 12,730 535,506 2.44% City of Pickering 2021 Approved Background Information 2199 Print Shop/Mail Room Expenditures 2199.1100.0000 Salaries & Wages Base Salaries and Wages 2021 CUPE salary increase transfer from Gen. Gov't Contingency 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 Benefits related to 2021 CUPE salary increase transfer from Gen. Gov't Contingency Total 2199.1400.0000 Employer Contributions 2199.2121.0000 Postage Corporate wide postage costs -budget amount includes a potential 3 cent postage stamp increase. Total 2199.2121.0000 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 Total 2199.2479.0000 Sfwr/Hdwr Maint Contracts 2199.5300.0000 Stationery & Office Suppl Stationery Total 2199.5300.0000 Stationery & Office Suppl 272 Run Date: 4/21/2112:05 PM 2021. Bud et 109,764 1,646 111,410 500 500 28,408 333 28,741 152,000 152,000 3,100 3,100 605 75 680 2,380 2,380 35,000 35,000 195 195 1,500 1,500 2199 Print Shop/Mail Room 2199.5301.0000 Printing Supplies City of Pickering 2021 Approved Background Information Supplies and maintenance for all copiers and other related equipment and envelopes for corporate-wide use. Total Expenses Total Revenues Total Transfers Net Expenses Total 2199.5301.0000 Printing Supplies 273 Run Date: 4/21/2112:05 PM 2021 Bud et 200,000 200,000 535,506 0 0 535,506 2220 By-law 2019 Actuals Expenditures 1100 Salaries & Wages 854,568 1200 Overtime 4,591 1400 Employer Contributions 219,797 1800 Conferences 0 1900 Uniforms 8,619 2110 Travel 888 2131 Cellular Phones 3,845 2140 Telephones 1,611 2220 Subscription & Publications 398 2340 Seminars & Education 3,901 2370 Insurance Premium 4,742 2371 Ins. Deductible 0 2395 Memberships 734 2399 Outside Agency Serv 17,026 2457 Veh -Repairs & Maintenance 12,679 2479 Software/Hardware Maintenan< 18,959 5300 Stationery & Office Supplies 764 5302 Forms 8,084 5900 Gas, Oil Tires 15,263 5902 Supplies & Tools 1,392 6000 Parking -MOT 77,488 Total Expenditures 1,255,349 Revenues 1512 Lie. & Per-Business (163,885) 1514 Lie. & Per-Taxi (29,174) 1520 Fines (908,847) 9990 Other Misc Revenue (18,043) Total Revenues (1,119,949) Transfers to/from Reserves & R.F. Total Transfers 0 Net 135,400 City of Pickering 2021 Current Budget Approved Final 2020 2020 YTD Approved Actuals Budget 1,069,731 1,032,581 31,833 6,320 260,830 300,723 1,115 2,800 11,238 14,500 134 900 7,621 7,760 2,239 3,175 0 3,000 1,987 6,000 4,825 4,825 0 2,000 730 900 14,010 5,500 9,480 15,000 17,966 15,505 621 600 1,694 8,000 16,284 19,763 1,024 2,000 54,392 75,000 1,507,754 1,526,852 (78,735) (165,000) (136,178) (180,000) (751,085) (860,000) (9,377) (20,000) (975,375) (1,225,000) 0 0 532,379 301,852 274 Run Date: 4/21/2112:03 PM 2021 INC./DEC. Approved % CHGE. Budget 2020 124,208 1,156,789 12.03% 2,180 8,500 34.49% 2,075 302,798 0.69% (2,800) 0 (100.00%) 0 14,500 0.00% 0 900 0.00% 0 7,760 0.00% 1,950 5,125 61.42% (3,000) 0 (100.00%) (2,000) 4,000 (33.33%) 95 4,920 1.97% 0 2,000 0.00% 0 900 0.00% 0 5,500 0.00% (5,000) 10,000 (33.33%) 3,887 19,392 25.07% 0 600 0.00% 0 8,000 0.00% 0 19,763 0.00% 0 2,000 0.00% 0 75,000 0.00% 121,595 1,648,447 7.96% 100,000 (65,000) (60.61%) 40,000 (140,000) (22.22%) 160,000 (700,000) (18.60%) 0 (20,000) 0.00% 300,000 (925,000) (24.49%) 0 0 0.00% 421,595 723,447 139.67% 2220 By-law Expenditures 2220.1100.0000 Salaries & Wages Base Salaries and Wages City of Pickering 2021 Approved Background Information Additional hours (1,547 hrs) for Bylaw Enforcement term positions to provide coverage for waterfront and park areas from mid-May to labour Day for evenings, weekends and statutory holidays. 2021 CUPE salary increase transfer from Gen. Gov't Contingency Total 2220.1100.0000 Salaries & Wages 2220.1200.0000 Overtime To cover additional City functions where By-law staff are required Total 2220.1200.0000 Overtime 2220.1400.0000 Employer Contributions This item includes mandatory deductions (CPP, El, EHT) and employer provided benefits such as extended health and dental Benefits related to additional hours (1,547 hrs) for Bylaw Enforcement term positions to provide coverage for waterfront and park areas from mid-May to labour Day for evenings, weekends and statutory holidays. Benefits related to 2021 CUPE salary increase transfer from Gen. Gov't Contingency Total 2220.1400.0000 Employer Contributions 2220.1900.0000 Uniforms Uniforms, existing staff+ new officers Vests, 2 Municipal Law Enforcement Officer vests at 5 year end of life to be replaced + new officers Total 2220.1900.0000 Uniforms 2220.2110.0000 Travel Officers: Parking & Mileage 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 ticket application Total 2220.2131.0000 Cellular Phones 2220.2140.0000 Telephones Run Date: 4/21/2112:05 PM 2021 Bud et 1,096,676 47,000 13,113 1,156,789 8,500 8,500 296,460 4,000 2,338 302,798 7,400 7,100 14,500 900 900 7,760 7,760 Voice / Data 4,555 Internet 570 Total 2220.2140.0000 Telephones 2220.2340.0000 Seminars & Education Ont. Assoc. of Property Stds. Officers (OAPSO) certification 275 5,125 4,000 3,000 Coty of Pickeri1111g 2021 Approved Background Information 2220 By-law 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 2220.2395.0000 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 2220.2457.0000 Vehicle-Repair & Maintena Servicing of vehicles Total 2220.2457.0000 Vehicle-Repair & Maintena 2220.2479.0000 Sfwr/Hdwr Maint Contracts Maintenance -Groupe Techna Software Maintenance -ldenticam -Printer Maintenance -HRIS Total 2220.2479.0000 Sfwr/Hdwr Maint Contracts 2220.5300.0000 Stationery & Office Suppl General office supplies Total 2220.5300.0000 Stationery & Office Suppl 2220.5302.0000 Forms Purchase of parking ticket rolls and books, taxicab plates Total 2220.5302.0000 Forms 2220.5900.0000 Gas, Oil, Tires Etc. Fuel: Unleaded 15,400 litres @ $1.03/litre Oil changes and tires Total 2220.5900.0000 Gas, Oil, Tires Etc. 276 Run Date: 4/21/21 12:05 PM 2021 Bud et 3,000 4,920 4,920 2,000 2,000 400 500 900 3,500 1,000 1,000 5,500 10,000 10,000 16,742 770 1,880 19,392 600 600 8,000 8,000 15,862 3,901 19,763 City of Pickering 2021 Approved Background Information 2220 By-law 2220.5902.0000 Supplies & Tools Purchase of extraordinary items Total 2220.5902.0000 Supplies & Tools 2220.6000.0000 Parking -MOT Admin. fee is charged to attach outstanding parking fines to a driver's licence renewal Total 2220.6000.0000 Parking -MOT Total Expenses Revenues 1512.0001.0000 Business Licences Business licence revenue from home businesses, hawkers & peddlers, wrecking yards, etc. Total 1512.0001.0000 Business Licences 1512.0002.0000 Body Rub Licences Licence revenue from operators and attendants Total 1512.0002.0000 Body Rub Licences 1512.0003.0000 Sign Permits Revenue from sign permits Total 1512.0003.0000 Sign Permits 1512.0004.0000 Tree Cutting Permit Revenue from tree cutting permits Total 1512.0004.0000 Tree Cutting Permit 1514.0001.0000 Taxicab Drivers Licence License revenue from taxi drivers Total 1514.0001.0000 Taxicab Drivers Licence 1514.0002.0000 Plate Owner & Brokerage License revenue from taxi plate owners and taxi brokerages Total 1514.0002.0000 Plate Owner & Brokerage 1514.0003.0000 Other Taxicab Fees Revenue from other taxicab & PTC fees Total 1514.0003.0000 Other Taxicab Fees 1514.0004.0000 Veh for Hire Lie & Fees Anticipated Uber and L YFT licences and per trip fees Total 1514.0004.0000 Veh for Hire Lie & Fees 1520.0000.0000 FINES -PARKING/PROSECUT. Parking and other by-law fines from "Plate Denial" Program Total 1520.0000.0000 FINES -PARKING/PROSECUT. 277 Run Date: 4/21/2112:05 PM 2021 Bud et 2,000 2,000 75,000 75,000 1,648,447 (10,000) (10,000) (20,000) (20,000) (30,000) (30,000) (5,000) (5,000) (2,000) (2,000) (18,000) (18,000) (10,000) (10,000) (110,000) (110,000) (700,000) (700,000) 2220 By-law 2220.9990.0000 OTHER REVENUE City of Pickering 2021 Approved Background Information Recovery of cost from Clean and Clear By-Law Total Revenues Total Transfers Net Expenses Total 2220.9990.0000 OTHER REVENUE 278 Run Date: 4/21/2112:05 PM 2021 Bud et (20,000) (20,000) (925,000) 0 723,447 2293 Animal Services 2019 Actuals Expenditures 1100 Salaries & Wages 391,665 1200 Overtime 7,226 1400 Employer Contributions 81,177 1800 Conferences 0 1900 Uniforms 5;072 2110 Travel 401 2131 Cellular Phones 1,036 2140 Telephones 10,878 2210 Advertising 797 2220 Subscription & Publications 40 2340 Seminars & Education 2,255 2370 Insurance Premium 2,222 2394 Recpt, Prom & Sp Events 8,495 2395 Memberships 591 2399 Outside Agency Serv 37,212 2435 Build Repairs & Mtce 17,953 2457 Veh -Repairs & Maintenance 2,810 2479 Software/Hardware Maintenanc 2,349 2648 Building Rentals 14,546 5300 Stationery & Office Supplies 712 5530 Utilities -Hydro 4,710 5540 Utilities -Oil 4,371 5900 Gas, Oil Tires 5,492 5902 Supplies & Tools 5,365 5903 Shop Supplies 17,926 5973 Minor Furniture & Fixtures 1,658 7181 Livestock Killed 0 Total Expenditures 626,959 Revenues 1520 Fines 0 1516 Licences (53,300) 1570 Adoptions (36,800) 1571 Impound Fees (7,685) 1572 Service Fees (4,795) 1592 Donations (3,815) 1623 Ont. Specific Grants 0 9990 Other Revenue (28,533) 9980 Sponsorships No Tax (4,478) City of Pickering 2021 Current Budget Approved Final 2020 2020 YTD Approved Actuals Budget 392,110 364,696 5,428 8,000 83,547 81,230 0 1,600 2,196 3,600 70 1,650 1,366 1,900 10,950 11,845 407 800 0 50 1,380 2,700 2,262 2,262 1,495 6,500 449 400 33,457 34,400 13,660 13,358 3,629 2,800 4,616 2,910 14,909 16,556 310 1,000 4,407 6,798 2,855 6,500 5,139 8,000 2,675 2,500 13,642 15,100 0 1,500 763 1,000 601,722 599,655 (1,700) (2,000) (52,166) (59,000) (27,895) (31,600) (5,670) (4,000) (2,655) (3,300) (592) 0 (793) (1,000) (24,666) (16,000) (1,000) (3,000) 279 Run Date: 4/21/2112:03 PM 2021 INC./DEC. Approved % CHGE. Budget 2020 49,605 414,301 13.60% (2,000) 6,000 (25.00%) 9,469 90,699 11.66% (1,600) 0 (100.00%) 0 3,600 0.00% (1,300) 350 (78.79%) 1,000 2,900 52.63% (255) 11,590 (2.15%) 0 800 0.00% 0 50 0.00% (1,200) 1,500 (44.44%) 48 2,310 2.12% (500) 6,000 (7.69%) 250 650 62.50% (500) 33,900 (1.45%) (1,000) 12,358 (7.49%) 0 2,800 0.00% 7,386 10,296 253.81% 408 16,964 2.46% (400) 600 (40.00%) 0 6,798 0.00% 0 6,500 0.00% 0 8,000 0.00% 0 2,500 0.00% 0 15,100 0.00% (1,500) 0 (100.00%) (500) 500 (50.00%) 57,411 657,066 9.57% 0 (2,000) 0.00% 0 (59,000) 0.00% (400) (32,000) 1.27% 0 (4,000) 0.00% 0 (3,300) 0.00% 0 0 0.00% 500 (500) (50.00%) (150) (16,150) 0.94% 0 (3,000) 0.00% 2293 Animal Services 2019 Actuals 9985 Marketing Sponsorships (800) Total Revenues (140,206) Transfers to/from Reserves & R.F. Total Transfers 0 Net 486,753 City of Pickering 2021 Current Budget Approved Final 2020 2020 YTD Approved Actuals Budget 0 (2,000) (117,137) (121,900) 0 0 484,585 477,755 280 Run Date: 4/21/2112:03 PM 2021 INC./DEC. Approved % CHGE. Budget 2020 0 (2,000) 0.00% (50) (121,950) 0.04% 0 0 0.00% 57,361 535,116 12.01% 2293 Animal Services Expenditures 2293.1100.0000 Salaries & Wages Base Salaries and Wages City of Pickering 2021 Approved Background Information One new part-time (1,248 hrs) Clerk, Animal Services position (work place accommodation) Increase in hours (312 hrs) for one part-time Animal Shelter Attendant position (from 24 hrs a wk to 30 hrs a wk) 2021 CUPE salary increase transfer from Gen. Gov't Contingency 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 Benefits related to one new part-time (1,248 hrs) Clerk, Animal Services position Statutory benefits related to increase in hours (312 hrs) for one part-time Animal Shelter Attendant position (from 24 hrs a wk to 30 hrs a wk) Benefits related to 2021 CUPE salary increase transfer from Gen. Gov't Contingency Total 2293.1400.0000 Employer Contributions 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 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: 4/21/2112:05 PM 2021 Bud et 367,538 33,050 9,635 4,078 414,301 6,000 6,000 82,247 5,950 1,790 712 90,699 2,000 1,600 3,600 350 350 2,900 2,900 Voice/ Data 11,400 Internet 190 Total 2293.2140.0000 Telephones 11,590 2293.2210.0000 Advertising 281 City of Pickering 2021 Approved Background Information 2293 Animal Services Advertising Increase as a result of new branding guidelines to begin to replace items · Total 2293.2210.0000 Advertising 2293.2220.0000 Subscription & Publicati Animal Sheltering Total 2293.2220.0000 Subscription & Publicati 2293.2340.0000 Seminars & Education Assoc. of Animal Shelters Administrators of Ont. (AASAO) Seminar fee (2 x $150) Bite Stick/QC Spray Training (2 x $200) Other Seminars/Workshops Total 2293.2340.0000 Seminars & Education 2293.2370.0000 Insurance Premium Annual cost of insurance policy that provides protection for municipal activities and property. (Policy coverage includes: liability, automobile and property). Total 2293.2370.0000 Insurance Premium 2293.2394.0000 Recpt, Prom & Sp Events To promote Responsible Pet Ownership Month Events (partially funded from event sponsorships) Total 2293.2394.0000 Recpt, Prom & Sp Events 2293.2395.0000 Memberships Assoc.of Animal Shelter Administrators of Ont. ($100), Assoc. for An. Shelter Advancement ($350), OMMI Total 2293.2395.0000 Memberships 2293.2399.0000 Outside Agency Services Veterinary costs (surgery/diagnostics) Miscellaneous services (injured wildlife) Disposal of dead animals (wild and domestic) removed from public areas and roads Internet-Based GPS/AVL Subscription for Animal Services vehicles Security for Animal Shelter Total 2293.2399.0000 Outside Agency Services 2293.2435.0000 Building Repairs & Maint Snow removal at Animal Shelter Mat Rentals -$25 every 2 weeks General repairs Environmental Monitoring -water treatment and testing of well Cleaning supplies 282 Run Date: 4/21/21 12:05 PM 2021 Bud et 600 200 800 50 50 300 400 800 1,500 2,310 2,310 6,000 6,000 450 200 650 25,000 5,000 2,000 1,000 900 33,900 3,500 700 4,500 658 3,000 City of Pickering 2021 Approved Background Information 2293 Animal Services Total 2293.2435.0000 Building Repairs & Maint 2293.2457.0000 Vehicle Repairs & Maint Servicing of vehicle 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 Maintenance -ShelterBuddy: $266 monthly Support Cost and Monthly Hosting Fees: $367/month Total 2293.2479.0000 Sfwr/Hdwr Maint Contracts 2293.2648.0000 Building Rentals Brougham -lease location ($1,248.47/mth x 11 + ~ $1,279) + 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 2020 projected actuals and rate increase in 2021. 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 283 Run Date: 4/21/2112:05 PM 2021 Bud et 12,358 2,500 300 2,800 2,000 700 7,596 10,296 16,964 16,964 600 600 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 City of !Pickering 2021 Approved Background Information 2293 Animal Services Animal Services Sponsorships (No tax) Total 1293.9980.0000 Sponsorships 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 285 Run Date: 4/21/2112:05 PM 2021 Bud et (3,000) (3,000) (2,000) (2,000) (500) (500) (16,150) (16,150) (121,950) 0 535,116 Engineering Services Department Overview The Engineering Services Department is responsible for the overall management of major capital works projects (roads, streetlights and traffic signals, sidewalks, storm sewers, parks & trails), infrastructure maintenance/repair programs, forestry services, transportation engineering and planning, traffic operations, school crossing guard program, infrastructure asset management, storm water and water resources management and land development servicing. The Engineering Services Department oversees the following areas/functions: • Capital Projects & Infrastructure (includes the areas of crossing guards, streetlights & sidewalks) • Water Resources & Development Services Engineering Services Department Capital Projects & Infrastructure* I *Includes Crossing Guards, Sidewalks and Streetlights Key Activities for 2021 ,r \. Water Resources & Development Services • Completion of Integrated Transportation Master Plan 'I • Completion of Beachfront Park Rehabilitation and Needs Assessment work plan and public engagement • Implementation of road safety measures to combat speeding on City roads • Commencement of detailed design for Highway 401 road crossing connecting Notion Road to Squires Beach Road • Completion of servicing in Seaton Innovation Corridor related to Kubota lands 289 Financial Information Staffing Summary (Full & Regular Part Time) Approved Current Term 2018 2019 2020 Full Time Reg. Part-Time Total 29 _Q 29 30 _Q 30 30 0 30 Add 0 0 0 Approved 2021 Delete Total 0 30 Q 0 0 30 The above chart excludes 1 Full Time Term summer student (May to August) that was not hired in 2020 due to the COVID pandemic and will not be hired in 2021 due to continuation of the COVID pandemic. Year-Over-Year (Net Cost) Budget Changes 2020 Budget 2021 Approved Budget YearNear Increase ($) (%) Eng. Services -Adm. $2,406,348 $2,615,971 $209,623 Crossing Guards 376,828 396,400 19,572 Water Res. & Dev. Serv. 973,918 957,236 (16,682) Sidewalks 188,415 195,590 7,175 Street Lights 952,979 953,680 701 8.71 5.19 (1.71) 3.81 0.07 4.50 Total (Net Cost) $4,898,488 $5,118,877 $220,389 =============================== Explanation of Significant Budget Changes -Expenses • Under the Engineering Services Administration cost centre, the Outside Agency Services account includes an expenditure of $350,000 to implement the Automated Speed Enforcement program in 2021. This amount includes the one time startup cost as well as the monthly costs. • Under the Sidewalks cost centre, the Other Minor Fixed Assets account includes a reduction of $100,000 for the repair/replacement of sidewalks as this meets the requirements for the 2021 program. Explanation of Significant Budget Changes -Revenues/ (Transfer from Reserves) • The reduction in Transfer from Reserves is related to a reduction in continuing studies and consulting assignment requirements for 2021 as projects are further advanced or completed. 290 2020 Performance Indicators/Statistics E ngmeermg s erv1ces Driveway widening/curb cut applications 79 Pool enclosure applications 64 Fill permit applications 23 Centreline km of roads (paved/unpaved) 347/102 Number of Vehicular/pedestrian bridges/culverts > 3m 67 Km of storm sewers 249 Stormwater management facilities (ponds) 20 Km of sidewalks/trails 381 Number of streetlights 7,358 Number of traffic/pedestrian signals 25 Number of school crossing guard locations 36 291 Engineering Services Department 2019 Actuals Expenditures 1100 Salaries & Wages 2,405,573 1200 Overtime 16,520 1400 Employer Contributions 637,265 1800 Conferences 848 1900 Uniforms 2,571 2110 Travel 2,506 2131 Cellular Phones 5,930 2140 Telephones 6,860 2210 Advertising 1,280 2220 Subscription & Publications 1,376 2340 Seminars & Education 10,008 2370 Insurance Premium 166,050 2371 Ins. Deductible 7,652 2392 Consulting & Professional 396,653 2394 Recpt, Prom & Sp Events 153 2395 Memberships 7,389 2396 Photo, Mapping, Printing· 2,529 2399 Outside Agency Serv 364,715 2407 Roads Repair & Mtce 6,019 2408 Rpr Main. Maint Mater 8,718 2457 Veh -Repairs & Maintenance 6,152 2478 Misc Equip Repairs 276,216 2479 Software/Hardware Maintenan< 8,461 2678 Rental Misc Equip 3,357 5300 Stationery & Office Supplies 3,940 5302 Forms r 0 5530 Utilities -Hydro 484,722 5900 Gas, Oil Tires 11,823 5902 Supplies & Tools 1,282 5973 Minor Furniture & Fixtures 0 5978 Misc. Equipment 10,626 5981 Other Minor Fixed Assets 204,649 Total Expenditures 5,061,843 Revenues 1429 Sale of Serv-Dev Cntrl (1,639,629) 9990 Other Revenue (5,284) 9990 Other Misc Revenue (15,496) 9965 Cost Recoveries (36,688) City of Pickering 2021 Current Budget Approved Final 2020 2020 YTD Approved Actuals Budget 2,572,625 2,763,070 8,147 16,500 691,350 763,291 877 1,400 1,791 4,000 362 2,400 7,678 13,110 7,215 10,230 0 0 604 1,650 4,125 7,500 169,010 169,010 14,915 7,950 198,933 1,264,760 245 300 7,129 9,265 1,960 4,000 276,356 537,278 26,483 10,000 11,876 20,000 13,181 7,900 398,755 411,200 14,737 22,963 0 3,750 2,770 3,300 0 750 485,274 491,429 7,827 13,092 1,749 8,150 2,493 3,000 11,898 15,000 170,102 345,000 5,110,467 6,931,248 (1,378,605) (744,500) (6,713) 0 (20,385) (10,000) 0 (53,000) 292 Run Date: 4/21/2111:58 AM 2021 INC.IDEC. Approved % CHGE. Budget 2020 43,514 2,806,584 1.57% (4,500) 12,000 (27.27%) 6,295 769,586 0.82% (400) 1,000 (28.57%) (500) 3,500 (12.50%) (350) 2,050 (14.58%) (10) 13,100 (0.08%) 15 10,245 0.15% 0 0 0.00% 0 1,650 0.00% (2,900) 4,600 (38.67%) 7,690 176,700 4.55% 0 7,950 0.00% (215,704) 1,049,056 (17.05%) 0 300 0.00% 325 9,590 3.51% 0 4,000 0.00% 256,522 793,800 47.74% 0 10,000 0.00% 0 20,000 0.00% 5,100 13,000 64.56% (10,000) 401,200 (2.43%) (4,783) 18,180 (20.83%) 800 4,550 21.33% 0 3,300 0.00% 0 750 0.00% 8,571 500,000 1.74% 0 13,092 0.00% 0 8,150 0.00% (3,000) 0 (100.00%) (3,000) 12,000 (20.00%) (100,000) 245,000 (28.99%) (16,315) 6,914,933 (0.24%) (17,500) (762,000) 2.35% (3,000) (3,000) 0.00% 0 (10,000) 0.00% 18,000 (35,000) (33.96%) Engineering Services Department 2019 Actuals Total Revenues (1,697,097) Transfers to/from Reserves & R.F. 1910 Transfer to/(from) Reserve 0 1911 Trans. to/(from) Continuing Stu (17,270) 1920 Transfer to/(from) Reserve Fun (514,927) Total Transfers (532,197) Net 2,832,549 City of Pickering 2021 Current Budget Approved Final 2020 2020 YTD Approved Actuals Budget (1,405,703) (807,500) 0 0 (37,097) (142,785) (248,923) (1,082,475) (286,020) (1,225,260) 3,418,744 4,898,488 293 Run Date: 4/21/2111:58 AM 2021 INC./DEC. Approved % CHGE. Budget 2020 (2,500) (810,000) 0.31% (35,000} (35,000) 0.00% 37,762 (105,023) (26.45%) 236,442 (846,033) (21.84%) 239,204 (986,056) (19.52%) 220,389 5,118,877 4.50% 2290 Engineering Services -Admin. 2019 Actuals Expenditures 1100 Salaries & Wages 1,285,208 1200 Overtime 14,473 1400 Employer Contributions 342,515 1800 Conferences 848 1900 Uniforms 993 2110 Travel 1,215 2131 Cellular Phones 3,529 2140 Telephones 3,436 2210 Advertising 1,280 2220 Subscription & Publications 772 2340 Seminars & Education 2,801 2370 Insurance Premium 9,237 2371 Ins. Deductible 0 2392 Consulting & Professional 169,050 2394 Recpt, Prom & Sp Events 153 2395 Memberships 4,160 2396 Photo, Mapping, Printing 2,529 2399 Outside Agency Serv 1,628 2457 Veh -Repairs & Maintenance 4,018 2478 Misc Equip Repairs 0 2479 Software/Hardware Maintenan< 1,225 2678 Rental Misc Equip 3,357 5300 Stationery & Office Supplies 1,819 5302 Forms 0 5900 Gas, Oil Tires 6,505 5902 Supplies & Tools 127 5978 Misc. Equipment 10,626 Total Expenditures 1,871,504 Revenues 9990 Other Revenue (4,426) 9965 Cost Recoveries 0 Total Revenues (4,426) Transfers to/from Reserves & R.F. 1910 Transfer to/(from) Reserve 0 1911 Trans. to/(from) Continuing Stu (17,270) · 1920 Transfer to/(from) Reserve Fun (118,018) Total Transfers (135,288) City of Pickering 2021 Current Budget Approved Final 2020 2020 YTD Approved Actuals Budget 1,386,167 1,498,117 2,260 14,000 372,804 414,467 877 1,400 741 2,000 73 750 3,737 7,710 3,732 5,290 0 0 0 1,000 1,321 1,500 9,400 9,400 0 2,000 118,571 . 750,530 245 200 4,391 5,180 1,960 4,000 0 152,800 7,580 5,000 0 200 3,726 9,671 0 3,750 1,553 2,100 0 750 1,852 7,413 85 150 11,898 12,000 1,932,973 2,911,378 (6,713) 0 0 (15,000) {6,713) (15,000) 0 0 (30,028) (39,360) (46,120) (450,670) (76,148) (490,030) 294 Run Date: 4/21/2112:03 PM 2021 INC./DEC. Approved % CHGE. Budget 2020 24,858 1,522,975 1.66% {4,000) 10,000 (28.57%) 4,241 418,708 1.02% (400) 1,000 (28.57%) 0 2,000 0.00% 0 750 0.00% (10) 7,700 (0.13%) 175 5,465 3.31% 0 0 0.00% 0 1,000 0.00% 0 1,500 0.00% 190 9,590 2.02% 0 2,000 0.00% (68,470) 682,060 (9.12%) 0 200 0.00% (50) 5,130 (0.97%) 0 4,000 0.00% 235,000 387,800 153.80% 3,000 8,000 60.00% 0 200 0.00% (3,681) 5,990 (38.06%) 800 4,550 21.33% 0 2,100 0.00% 0 750 0.00% 0 7,413 0.00% 0 150 0.00% 0 12,000 0.00% 191,653 3,103,031 6.58% (3,000) {3,000) 0.00% 15,000 0 (100.00%) 12,000 (3,000) (80.00%) (35,000) (35,000) 0.00% 24,563 (14,797) (62.41%) 16,407 (434,263) (3.64%) 5,970 (484,060) (1.22%) 2290 Engineering Services -Adm in. 2019 Actuals Net 1,731,790 City of Pickering 2021 Current Budget Approved Final 2020 2020 YTD Approved Actuals Budget 1,850,112 2,406,348 295 Run Date: 4/21/2112:03 PM 2021 INC./DEC. Approved % CHGE. Budget 2020 209,623 2,615,971 8.71% City of Pickering 2021 Approved Background Information 2290 Engineering Services -Admin. Expenditures 2290.1100.0000 Salaries & Wages Base Salaries and Wages 2021 CUPE salary increase transfer from Gen. Gov't Contingency Total 2290.1100.0000 Salaries & Wages 2290.1200.0000 Overtime Design and Construction Traffic and Engineering (Special Events and Data Collection) Streetlight Inspections Streetlights Inspection overtime transfer to 2320 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 Benefits related to 2021 CUPE salary increase transfer from Gen. Gov't Contingency 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, Personal 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 (8): Manager, Capital Projects & Infrastructure, Sr. Coordinator, Capital Projects, Coordinator, Infrastructure Maintenance Contracts, Coordinator, Forestry Management & Sr. Coordinator, Landscape & Parks Development, Inspector, Capital Projects, Tech, Infrastructure Maintenance Contracts, Engineering Infrastructure Student Smartphone and Tablet Charges -Director, Engineering Services Cell Phones Total 2290.2131.0000 Cellular Phones 296 Run Date: 4/21/2112:05 PM 2021 Bud et 1,506,015 16,960 1,522,975 8,000 1,500 2,000 (1,500) 10,000 415,759 2,949 418,708 500 500 1,000 2,000 2,000 750 750 5,500 1,200 1,000 7,700 City cf Pickering 2021 Approved Background Information 2290 Engineering Services -Admin. 2290.2140.0000 Telephones Run Date: 4/21/2112:05 PM 2021 Bud et Voice/ Data 4,855 Internet 610 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 Business Related Seminars & 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 Insurance Deductible Total 2290.2371.0000 Insurance Deductible 2290.2392.0000 Consulting & Professional City Centre Transportation Master Plan (90% DC funded) 2021 Road Needs Study-roads condition assessment update NEW Culvert Inspection & Appraisal Report (biennial) Pre-Engineering -Soils Investigation, Surveys & Utility Locates for Capital Works p~~~ . Bridge Deck Condition Survey Centralized Collision Reporting Program (shared services with Region of Durham) Annual Average Daily Traffic (AADT) Count Program Beachfront Park Rehabilitation & Needs Assessment -Consultation/Public Engagement Component (75% DC Funded) Sideline 34 Bridge Replacement Options -Feasibility and Cost Analysis Total 2290.2392.0000 Consulting & Professional 2290.2392.0001 Consulting -Funded from Continuing Studies Res. Integrated Transportation Master Plan (ITMP) (90% DC Funded and 10% funded from Continuing Studies Reserve -PO# 170527) Beachfront Park Rehabilitation & Needs Assessment (75% DC Funded and 25% from Cont. Studies Reserve -PO# 190765) 297 5,465 1,000 1,000 1,000 500 1,500 9,590 9,590 2,000 2,000 400,000 100,000 40,000 10,000 10,000 3,000 7,500 30,000 15,000 615,500 36,325 25,425 City of Pickering 2021 Approved Background Information 2290 Engineering Services -Admin. 2020 Structure Inspection & Appraisal Report (100% funded from Cont. Studies Reserve -#PO 700227) Total 2290.2392.0001 Consulting -Funded from Continuing Studies Res. 2290.2394.0000 Recpt,Prom. & Sp.Ev.,Gen 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 Coard., Capital Projects, Inspector, Capital Projects.Tech, Constr. & Design. (2), Coard. Infrastructure Design, Coard. Traffic Operations, Coard. Infrastructure Maintenance Contracts, Technician, Infrastructure Maintenance Contracts Municipal Engineers Association -Director, Eng Services Ontario Association of Landscape Architects -Senior Coordinator, Parks & Landscape Development Canadian Association of Certified Planning Technicians -Coard., Infrastructure Design Institution of Transportation Engineers -Coard. Traffic Oper. Ontario Traffic Council (City Membership) International Society of Arboriculture/Society of Municipal Arborists -Coard., 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 -annual costs to operate one camera and a one-time fee payable City of Toronto to set up a joint processing centre for all municipalities to use. Automated Speed Enforcement Camera Services -annual costs to operate an additional radar camera (funded from Rate Stabilization Reserve). 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 298 Run Date: 4/21/2112:05 PM . 2021 Bud et 4,810 66,560 200 540 1,840 150 810 220 375 720 475 5,130 4,000 4,000 2,800 350,000 35,000 387,800 8,000 8,000 City of Pickering 2021 Approved Background Information 2290 Engineering Services -Admin. 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 -Auto Turn Upgrades (x2) Maintenance -HRIS Total 2290.2479.0000 Sfwr/Hdwr Maint Contracts 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 Traffic Speed Management Equipment Total 2290.5978.0000 Misc. Equipment Total Expenses Revenues 2290.9990.0000 Misc Income Driveway widening applications Total 2290.9990.0000 Misc Income Total Revenues 299 Run Date: 4/21/21 12:05 PM 2021 Bud et 200 200 1,400 2,000 2,590 5,990 200 4,000 350 4,550 2,100 2,100 750 750 6,633 · 780 7,413 150 150 12,000 12,000 3,103,031 (3,000) (3,000) (3,000) City of Pickering 2021 Approved Background Information 2290 Engineering Services -Admin. Transfers 1910.7021.2290 Frm Rate Stab -MPE Rate Stabilization Res. Funding for annual costs to operate an additional radar camera. Total 1910.7021.2290 Frm Rate Stab -MPE 1911.2290.0000 Trsf frm Res -MPE Cont. Studies Res. funding (10%) for Integrated Transportation Master Plan (ITMP) Cont. Studies Res. funding (25%) for Beachfront Park Rehabilitation & Needs Assessment Cont. Studies Res. funding (100%) for 2020 Structure Inspection & Appraisal Report Total 1911.2290.0000 Trsffrm 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 (75%) for Beachfront Park Rehabilitation & Needs Assessment Consultation/Public Engagement Component DC Funding (75%) for Beachfront Park Rehabilitation & Needs Assessment Total 1920. 7600.2290 Trsf frm DCRF -Engineer Total Transfers Net Expenses 300 Run Date: 4/21/21 12:05 PM 2021 Bud et (35,000) (35,000) (3,630) (6,357) (4,810) (14,797) (360,000) (32,695) (22,500) (19,068) (434,263) (484,060) 2,615,971 2230 Crossing Guards 2019 Actuals Expenditures 2370 Insurance Premium 2,310 2399 Outside Agency Serv 354,201 Total Expenditures 356,511 Revenues Total Revenues 0 Transfers to/from Reserves & R.F. Total Transfers 0 Net 356,511 City of Pickering 2021 Current Budget Approved Final 2020 2020 YTD Approved Actuals Budget 2,350 2,350 266,005 374,478 268,355 376,828 0 0 0 0 268,355 376,828 301 Run Date: 4/21/2112:03 PM 2021 INC./DEC. Approved % CHGE. Budget 2020 50 2,400 2.13% 19,522 394,000 5.21% 19,572 396,400 5.19% 0 0 0.00% 0 0 0.00% 19,572 396,400 5.19% 2230 Crossing Guards Expenditures 2230.2370.0000 Insurance Premium City of Pickering 2021 Approved Background Information 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 3 January to June and New or Extended Contract September to December). Total Expenses Total Revenues Total Transfers Net Expenses Total 2230.2399.0000 Outside Agency Services 302 Run Date: 4/21/2112:05 PM 2021 Bud et 2,400 2,400 394,000 394,000 396,400 0 0 396,400 2613 Water Resources & Development Services 2019 Actuals Expenditures 1100 Salaries & Wages 1,120,365 1200 Overtime 2,047 1400 Employer Contributions 294,750 1900 Uniforms 1,578 2110 Travel 1,291 2131 Cellular Phones 2,401 2140 Telephones 3,424 2220 Subscription & Publications 604 2340 Seminars & Education 7,207 2370 Insurance Premium 7,116 2371 Ins. Deductible 0 2392 Consulting & Professional 227,603 2394 Recpt, Prom & Sp Events 0 2395 Memberships 3,229 2407 Roads Repair & Mtce 6,019 2457 Veh -Repairs & Maintenance 2,134 2478 Misc Equip Repairs 0 2479 Software/Hardware Maintenan< 7,236 5300 Stationery & Office Supplies 2,121 5900 Gas, Oil Tires 5,318 5902 Supplies & Tools 1,155 5973 Minor Furniture & Fixtures 0 5978 Misc. Equipment 0 Total Expenditures 1,695,598 Revenues 1429 Sale of Serv-Dev Cntrl (1,639,629) 9990 Other Misc Revenue (15,496) 9965 Cost Recoveries (36,688) Total Revenues (1,691,813) Transfers to/from Reserves & R.F. 1911 Trans. to/(from) Continuing Stu 0 1920 Transfer to/(from) Reserve Fun (192,260) Total Transfers (192,260) Net (188,475) City of Pickering 2021 Current Budget Approved Final 2020 2020 YTD Approved Actuals Budget 1,186,458 1,264,953 5,887 2,500 318,546 348,824 1,050 2,000 289 1,650 3,941 5,400 3,483 4,940 604 650 2,804 6,000 7,245 7,245 0 1,000 79,344 504,230 0 100 2,738 4,085 26,483 10,000 5,601 2,900 412 1,000 11,011 13,292 1,217 1,200 5,975 5,679 1,664 8,000 2,493 3,000 0 3,000 1,667,245 . 2,201,648 (1,378,605) (744,500) (20,385) (10,000) 0 (38,000) (1,398,990) (792,500) (7,069) (103,425) (32,701) (331,805) (39,770) (435,230) 228,485 973,918 303 Run Date: 4/21/2112:03 PM 2021 INC./DEC. Approved % CHGE. Budget 2020 18,656 1,283,609 1.47% (500) 2,000 (20.00%) 2,054 350,878 0.59% (500) 1,500 (25.00%) (350) 1,300 (21.21%) 0 5,400 0.00% (160) 4,780 (3.24%) 0 650 0.00% (2,900) 3,100 (48.33%) 145 7,390 2.00% 0 1,000 0.00% (154,690) 349,540 (30.68%) 0 100 0.00% 375 4,460 9.18% 0 10,000 0.00% 2,100 5,000 72.41% 0 1,000 0.00% (1,102) 12,190 (8.29%) 0 1,200 0.00% 0 5,679 0.00% 0 8,000 0.00% (3,000) 0 (100.00%) (3,000) 0 (100.00%) (142,872) 2,058,776 (6.49%) (17,500) (762,000) 2.35% 0 (10,000) 0.00% 3,000 (35,000) (7.89%) (14,500) (807,000) 1.83% 20,655 (82,770) (19.97%) 120,035 (211,770) (36.18%) 140,690 (294,540) (32.33%) (16,682) 957,236 (1.71%) City of Puckering 2021 Approved Background Information 2613 Water Resources & Development Services Expenditures 2613.1100.0000 Salaries & Wages Base Salaries and Wages 2021 CUPE salary increase transfer from Gen. Gov't Contingency 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 Benefits related to 2021 CUPE salary increase transfer from Gen. Gov't Contingency 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 2613.2110.0000 Travel 2613.2131.0000 Cellular Phones Run Date: 4/21/21 12:05 PM 2021 Bud et 1,272,625 10,984 1,283,609 750 750 500 2,000 348,923 1,955 350,878 1,500 1,500 1,300 1,300 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. Coord. Dev. Services .and 3 Inspectors Total 2613.2131.0000 Cellular Phones 2613.2140.0000 Telephones 4,800 5,400 Voice/ Data 4,250 Internet 530 Total 2613.2140.0000 Telephones 2613.2220.0000 Subscriptions & Publicati Development Services -Construction 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) 304 4,780 650 650 2,500 600 City of Pickering 2021 Approved Background Information 2613 Water Resources & Development Services Total 2613.2340.0000 Seminars & Education 2613.2370.0000 Insurance Premium Annual cost of insurance policy that provides protection for municipal activities and property. (Policy coverage includes: liability, automobile and property) Total 2613.2370.0000 Insurance Premium 2613.2371.0000 Insurance Deductible Insurance Deductible Total 2613.2371.0000 Insurance Deductible 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) Total 2613.2392.0001 Consulting -Funded from Continuing Studies Res. 2613.2392.0002 Consulting -Funded from Developers/Land Owners Technical Peer Reviews for Development Applications ([partial funded from developers/land owners) Total 2613.2392.0002 Consulting -Funded from Developers/Land Owners 2613.2394.0000 Rec/Prom & Spc Evt/Gen 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 - 6 staff Association of Professional Engineers of Ontario, PEO (7) -Div. Head, Water Res. & Dev. Ser., Mgr., Dev. Ser., Project Mgr., Dev. Approvals, Water Resources Eng., Coord. Water Res., Coord. Dev. Approvals (2) International Erosion Control Association -Sr. Coord. Dev. Serv. Municipal Engineers Association -Div. Head, Water Res. & Dev. Serv. Total 2613.2395.0000 Memberships 2613.2407.0000 Road Maintenance 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. 305 Run Date: 4/21/21 12:05 PM 2021 Bud et 3,100 7,390 7,390 1,000 1,000 235,300 84,240 319,540 30,000 30,000 100 100 1,610 550 1,890 260 150 4,460 10,000 10,000 5,000 5,000 1,000 City of Pfickeri1111g 2021 Approved Background Information 2613 Water Resources & Development Services Total 2613.2478.0000 Misc.Equipment Repairs & 2613.2479.0000 Sfwr/Hdwr Maint Contracts Maintenance -PCSWMM Professional 20 License Annual Upgrade (x2) Maintenance -Visual Otthymo License Annual Upgrade (x2) Maintenance -HRIS 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 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 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 lnspectFees 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 306 Run Date: 4/21/21 12:05 PM 2021 Bud et 1,000 5,000 5,000 2,190 12,190 1,200 1,200 4,635 1,044 5,679 8,000 8,000 2,058,776 (150,000) (150,000) (430,000) (430,000) (50,000) (50,000) (7,000) (7,000) (35,000) (35,000) (40,000) City of Puckering 2021 Approved Background Information 26.13 Water Resources & Development Services 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 of Durham -(Claremont Drainage Plan -yr 2 of 2) 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 Trsf frm Res -Developmnt Continuing Studies Res. funding for Claremont Drainage Plan Continuing Studies Res. funding (10%) for Pickering City Centre SWM Strategy Total 1911.2613.0000 Trsf frm Res -Developmnt 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 307 Run Date: 4/21/2112:05 PM 2021 Bud et (40,000) (10,000) (10,000) (40,000) (40,000) (10,000) (25,000) (35,000) (10,000) (10,000) (807,000) (59,240) (23,530) (82,770) (211,770) (211,770) (294,540) 957,236 2323 Sidewalks 2019 Actuals Expenditures 2370 Insurance Premium 140,954 2371 Ins. Deductible 7,652 2408 Rpr Main. Maint Mater 8,718 5981 Other Minor Fixed Assets 204,649 Total Expenditures 361,973 Revenues Total Revenues 0 Transfers to/from Reserves & R.F. 1920 Transfer to/(from) Reserve Fun (204,649) Total Transfers (204,649) Net 157,324 City of Pickering 2021 Current Budget Approved Final 2020 2020 YTD Approved Actuals Budget 143,465 143,465 14,915 4,950 11,876 20,000 170,102 320,000 340,358 488,415 0 0 (170,102) (300,000) (170,102) (300,000) 170,256 188,415 308 Run Date: 4/21/2112:03 PM 2021 INC./DEC. Approved % CHGE. BudgE:it 2020 7,175 150,640 5.00% 0 4,950 0.00% 0 20,000 0.00% (100,000) 220,000 (31.25%) (92,825) 395,590 (19.01%) 0 0 0.00% 100,000 (200,000) (33.33%) 100,000 (200,000) (33.33%) 7,175 195,590 3.81% 2323 Sidewalks Expenditures 2323.2370.0000 Insurance Premium City of Pickering 2021 Approved Background Information 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 309 Run Date: 4/21/2112:05 PM 2021 Bud et 150,640 150,640 4,950 4,950 20,000 20,000 20,000 200,000 220,000 395,590 0 (200,000) (200,000) (200,000) 195,590 2325 Street Lights 2019 Actuals Expenditures 2370 Insurance Premium 6,433 2392 Consulting & Professional 0 2399 Outside Agency Serv 8,886 2478 Misc Equip Repairs 276,216 5530 Utilities -Hydro 484,722 5981 other Minor Fixed Assets 0 Total Expenditures 776,257 Revenues 9990 Other Revenue (858) Total Revenues (858) Transfers to/from Reserves & R.F. 1911 Trans. to/(from) Continuing Stu 0 Total Transfers 0 Net 775,399 City of Pickering 2021 Current Budget Approved Final 2020 2020 YTD Approved Actuals Budget 6,550 6,550 1,018 10,000 10,351 10,000 398,343 410,000 485,274 491,429 0 25,000 901,536 952,979 0 0 0 0 0 0 0 0 901,536 952,979 310 Run Date: 4/21/2112:03 PM 2021 INC.IDEC. Approved % CHGE. Budget 2020 130 6,680 1.98% 7,456 17,456 74.56% 2,000 12,000 20.00% (10,000) 400,000 (2.44%) 8,571 500,000 1.74% 0 25,000 0.00% 8,157 961,136 0.86% 0 0 0.00% 0 0 0.00% (7,456) (7,456) 0.00% (7,456) (7,456) 0.00% 701 953,680 0.07% City of Pickering 2021 Approved Background Information 2325 Street Lights Expenditures 2325.2370.0000 Insurance Premium Annual cost of insurance policy that provides protection for municipal activities and property. (Policy coverage includes: liability, automobile and property) Total 2325.2370.0000 Insurance Premium 2325.2392.0000 Consulting & Professional General consulting for streetlighting needs Rodd Avenue Streetlighting Improvements (Funded from Cont. Studies Reserve - PO# 700700) Total 2325.2392.0000 Consulting & Professional 2325.2399.0000 Outside Agency Services Ontario One call fees (legislated requirement) Total 2325.2399.0000 Outside Agency Services 2325.2478.0000 Misc.Equipment Repairs & Monthly repairs on existing streetlights by contractor, including labour, vehicle, material costs for replacements and underground cable repairs, and street light locate requests. Cracked concrete pole replacement program (20 poles per year). Total 2325.2478.0000 Misc.Equipment Repairs & 2325.5530.0000 Utilities -Hydro Budget based on 2020 projected actuals and rate increase in 2021 Total 2325.5530.0000 Utilities -Hydro 2325.5981.0000 Other Fixed Assets Streetlight installations -miscellaneous locations (TBD) Total Expenses Total Revenues Transfers Total 2325.5981.0000 Other Fixed Assets 1911.2325.0000 Trsf frm Res-Streetlights . Cont. Studies Res. Funding for Rodd Avenue Streetlighting Improvements Total 1911.2325.0000 Trsf frm Res-Streetlights Total Transfers Net Expenses 311 Run Date: 4/21/2112:05 PM 2021 Bud et 6,680 6,680 10,000 7,456 17,456 12,000 12,000 300,000 100,000 400,000 500,000 500,000 25,000 25,000 961,136 0 (7,456) (7,456) {7,456) 953,680 Finance Department Overview The Finance Department is responsible for the overall management of the City and Library from a financial management perspective. The duties and responsibilities include: advice to Council; budgets, payroll, payment of invoices, purchasing, insurance, risk management, accounts receivable, financial reporting, Tangible Capital Assets (TCA) and the issuance and collection of property taxes. The Finance Department consists of two cost centres: Supply & Services (Purchasing) and Finance that includes all of the finance and accounting functions identified above. Finance Department I I I I I r Taxation Budgets & Accountng Supply & Internal Audit Services Services \.. _J _J Key Activities for 2021 • Implementation of Financial System (SAP) and the Cash Management System (CORE) • Management of 2021 Budget Challenges • Commence new Development Charges Study and Community Benefits Study • Management of assessment appeals • Review of the City's WSIB funding arrangement, in conjunction with Human Resources • Develop a Municipal Revenue (Casino) Sharing Agreement • Completion of the 2020 Annual Audit • Completion of the five year Capital and Operating Impact Analysis • Issuance of T4 statements that meet the revised CRA reporting requirements for (Canada Emergency Response Benefit) or CERB • Implementation of the Asset Management Plan that now includes a "level of service" measured by standard metrics for core assets (roads, bridges and stormwater assets) 313 Financial Information Staffing Summary (Full & Regular Part Time) Approved Current Term 2019 2020 Approved 2021 2018 26 _Q 26 Add Delete Total Full Time Reg. Part-Time Total 26 _Q 26 27 _Q 27 1 Q 1 0 ·28 Q _Q 0 28 The proposed new position is for a Senior Financial Analyst to be deployed in two areas: budgets and financial reporting. There is an urgent need to develop capacity and experience in the budget area. Currently, the vast majority of budget work continues to be undertaken either after regular working hours or working on weekends. In addition, this position is part of the department's succession strategy due to anticipated three retirements in the near future. Government grant reporting increases every year and there is a need to have additional resources in this area. Year-Over-Year (Net Cost) Budget Changes 2020 2021 YearNear Increase Budget Approved ($) (%) Budget Finance $673,140 $665,451 ($7,689) (1.14) Supply & SeNices 430,492 449,447 18,955 4.40 Total (Net Cost) $1,103,632 $1,114,898 $11,266 1.02 Explanation of Significant Changes -Expenses • The consulting account is reflecting a decrease of $75,525 mainly due to the completion of the Property Tax System (TXM) upgrade. TXM software was upgraded to run on Oracle version 12C that provides a higher level of security functionality. For 2021, there are three major consulting projects for the City (from a financial perspective) to undertake: • Development Charge (DC) Study and Community Benefit Charge (CBC) Study ($80,000); 314 • Asset Management Plan (to be in compliance with Ontario Regulations 588/17) for a cost of $70,000; • 5 Year Capital & Operating Cost Financial Impact Analysis ($27,500). The DC and CBC studies are funded 100% from the Development Charges Reserve Fund. The costs associated with the asset management plan are funded from the Federal Gas Tax Reserve Fund. The 5 Year financial impact study is funded partially from DC's (39.1 %) and property taxes (60.9%). • The Province of Ontario has recently made changes to the Development Charges Act and Planning Act that provided a transition period of until September 18, 2022 to conform to the changes. The City needs to complete a new Community Benefit Charge Study before this date and prepare a new DC background study to reflect the changes in legislation and to allow City to continue to collect DC's after the expiry of the current DC By-law on December 31, 2022. • The City is required to produce an Asset Management Plan for its core municipal assets based on current levels of service. Municipal core assets includes roads, bridges and storm water assets. • The City has a significant major capital program for the next five years that includes City Centre project; Highway 401 Road Crossing; Animal Shelter; Pickering Heritage & Community Centre and Seaton Recreation & Library Complex. The consulting engagement should produce a five year financial strategy that examines capital and operating costs, a funding plan for capital projects that includes the use of multiple funding sources: debt, DC and other possible revenues and also considers debt levels as it applies to the Provincial Annual Repayment Limit or ARL. • The software/Hardware Maintenance account is showing an increase of $69, 113 mainly due to the SAP financial system. (The acronym SAP translates to Systems, Applications and Products). During the implementation phase, the City did not use all of the functionality/modules and with the City going "Live", this has resulted in higher software maintenance cost. • The Financial Service Charges account is showing a decrease of $175,000. This decrease is due to a transfer of the ActiveNet finance charges to the Culture & Rec - Administration cost centre. There is an accounting principle (matching) that states you "Match Expenses to Revenues". The matching principle is based on the cause and effect relationship. The City's recreation section uses ActiveNet software to manage their programs and for credit and debit payment processing. Employing the "matching principle", the ActiveNet costs of $175,000 were allocated to the recreation area to better reflect the true operating cost of the recreation area. 315 Explanation of Significant Changes -Revenues/ (Transfer from Reserves) Based on current interest rates, City staff are forecasting a decrease in investment revenues in the amount of $140,000. To mitigate the decrease, finance staff will explore opportunities with Durham Region Finance Department regarding a "pooling of investment funds" strategy. 2020 Performance Indicators/Statistics Accounts Receivable Invoices Issued Total Invoice Value Accounts Pa able Vendors Paid Total Dollar Value Paroll j T4 Slips pa Statements P rt T rope tY axes Phone Calls Tax Bills Issued Payments Processed Purchasing Cards Transactions Value of PCard Transactions Number of P Cards Issued Supply & Services Purchase Orders Issued Blanket POs -Number of Blanket POs -Total PO Value Bids -Number of Bids -Total Bids Value Quotes -Number of Quotes -Total Quotes Value RFPs -Number of RFPs -Total RFPs Value Tenders -Number of Tenders -Total Tenders Value 255 $795,394 1,849 $82.9 m 937 17,818 17,528 65,321 $241.2m 3,631 $607,168 106 783 i 101 ! 22.7m I. 98 $45.8 m 70 $6m 10 16.6 m 18 $23.1 m ;j I 0 Finance Department 2019 Actuals Expenditures 1100 Salaries & Wages 2,233,626 1200 Overtime 3,607 1400 Employer Contributions 578,684 1800 Conferences 4,305 2110 Travel 603 2131 Cellular Phones 564 2140 Telephones 8,262 2191 Data Processing Services 160,529 2220 Subscription & Publications 2,275 2340 Seminars & Education 9,119 2365 Purch Prnting/Broch/News Ltr 21,177 2370 Insurance Premium 15,605 2392 Consulting & Professional 143,924 2394 Recpt, Prom & Sp Events 2,995 2395 Memberships 14,575 2399 Outside Agency Serv 13,809 2478 Misc Equip Repairs 2,053 2479 Software/Hardware Maintenanc 219,502 2819 Financial Service Charges 254,850 5300 Stationery & Office Supplies 7,878 5302 Forms 621 5320 Program Supplies 0 5974 System & Software Upgrades 0 Total Expenditures 3,698,563 Revenues 1412 Tax Certificates & Other Fees (308,113) 1550 Interest on Investments (1,455,429) 1560 Penalties & Interest on Taxes (2,907,048) 1610 Federal Grant (30,436) 9990 Other Misc Revenue (109,728) Total Revenues (4,810,754) 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 (35,879) Total Transfers (35,879) Net (1,148,070) City of Pickering 2021 Current Budget Approved Final 2020 2020 YTD Approved Actuals Budget 2,412,476 2,570,888 9,931 40,750 626,849 712,542 2,663 10,700 0 2,600 1;505 875 7,464 10,585 170,181 165,000 2,127 4,000 3,566 18,200 18,197 22,000 15,880 15,880 200,303 404,430 1,041 2,000 15,129 17,730 7,460 14,600 2,178 2,300 481,411 428,282 134,503 250,000 · 7,371 12,200 2,008 1,500 0 0 0 12,600 4,122,243 4,719,662 (298,191) (271,000) (653,179) (665,000) (2,401,341) (2,265,000) 0 0 (117,864) (55,000) (3,470,575) (3,256,000) 0 (119,400) (24,735) (27,930) (75,713) (212,700) (100,448) (360,030) 551,220 1,103,632 317 Run Date: 4/21/21 11 :58 AM 2021 INC./DEC. Approved % CHGE. Budget 2020 136,414 2,707,302 5.31% 0 40,750 0.00% 43,899 756,441 6.16% (3,550) 7,150 (33.18%) (700) 1,900 (26.92%) 625 1,500 71.43% (34!)) 10,240 (3.26%) 7,000 172,000 4.24% 0 4,000 0.00% 5,700 23,900 31.32% 0 22,000 0.00% 320 16,200 2.02% (75,525) 328,905 (18.67%) 0 2,000 0.00% 1,050 18,780 5.92% 0 14,600 0.00% 0 2,300 0.00% 69,113 497,395 16.14% (175,000) 75,000 (70.00%) (2,000) 10,200 (16.39%) 0 1,500 0.00% 15,000 15,000 0.00% (4,000) 8,600 (31.75%) 18,001 4,737,663 0.38% (10,000) (281,000) 3.69% 140,000 (525,000) (21.05%) (150,000) (2,415,000) 6.62% 0 0 0.00% (15,000) (70,000) 27.27% (35,000) (3,291,000) 1.07% 34,000 (85,400) (28.48%) 27,930 0 (100.00%) (33,665) (246,365) 15.83% 28,265 (331,765) (7.85%) 11,266 1,114,898 1.02% 2127 Finance 2019 Actuals Expenditures 1100 Salaries & Wages 1,961,820 1200 Overtime 3,528 1400 Employer Contributions 506,918 1800 Conferences 3,787 2110 Travel 507 2131 Cellular Phones 564 2140 Telephones 7,211 2191 Data Processing Services 160,529 2220 Subscription & Publications 2,275 2340 Seminars & Education 6,356 2365 Purch Prnting/Broch/News Ltr 21,177 2370 Insurance Premium 13,756 2392 Consulting & Professional 143,924 2394 Reep!, Prom & Sp Events 2,771 2395 Memberships 13,547 2399 Outside Agency Serv 12,313 2478 Misc Equip Repairs 2,053 2479 Software/Hardware Maintenan< 219,502 2819 Financial Service Charges 254,850 5300 Stationery & Office Supplies 7,376 5302 Forms 621 5320 Program Supplies 0 5974 System & Software Upgrades 0 Total Expenditures 3,345,385 Revenues 1412 Tax Certificates & Other Fees (308,113) 1550 Interest on Investments (1,455,429) 1560 Penalties & Interest on Taxes (2,907,048) 1610 Federal Grant (30,436) 9990 Other Misc Revenue (109,728) Total Revenues (4,810,754) 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 (35,879) Total Transfers (35,879) Net (1,501,248) City of Pickering 2021 Current Budget Approved Final 2020 2020 YTD Approved Actuals Budget 2,088,743 2,243,400 9,548 35,750 539,988 630,063 1,816 8,300 0 1,700 1,072 875 6,469 9,175 170,181 165,000 2,127 4,000 2,929 14,600 18,197 22,000 14,000 14,000 200,303 404,430 1,041 1,600 14,149 16,245 5,940 13,000 2,178 2,300 480,859 427,432 134,503 250,000 7,250 11,200 2,008 1,500 0 0 0 12,600 3,703,301 4,289,170 (298,191) (271,000) (653,179) (665,000) (2,401,341) (2,265,000) 0 0 (117,864) (55,000) (3,470,575) (3,256,000) 0 (119,400) (24,735) (27,930) (75,713) (212,700) (100,448) (360,030) '132,278 673,140 318 Run Date: 4/21/2112:03 PM 2021 INC./DEC. Approved % CHGE. Budget 2020 129,958 2,373,358 5.79% 0 35,750 0.00% 36,210 666,273 5.75% (3,550) 4,750 (42.77%) (700) 1,000 (41.18%) 625 1,500 71.43% (300) 8,875 (3.27%) 7,000 172,000 4.24% 0 4,000 0.00% 600 15,200 4.11% 0 22,000 0.00% 280 14,280 2.00% (75,525) 328,905 (18.67%) 0 1,600 0.00% 1,050 17,295 6.46% 0 13,00,0 0.00% 0 2,300 0.00% 69,398 496,830 16.24% (175,000) 75,000 (70.00%) (2,000) 9,200 (17.86%) 0 1,500 0.00% 15,000 15,000 0.00% (4,000) 8,600 (31.75%) (954) 4,288,216 (0.02%) (10,000) (281,000) 3.69% 140,000 (525,000) (21.05%) (150,000) (2,415,000) 6.62% 0 0 0.00% (15,000) (70,000) 27.27% (35,000) (3,291,000) 1.07% 34,000 (85,400) (28.48%) 27,930 0 (100.00%) (33,665) (246,365) 15.83% 28,265 (331,765) (7.85%) (7,689) 665,451 (1;14%) 2127 Finance Expenditures 2127.1100.0000 Salaries & Wages Base Salaries and Wages City of' Pickering 2021 Approved Background Information ERP Project Manager position (extended to Dec 31, 2021) -funded from the Rate Stabilization Reserve and Development Charges Reserve Fund One new full-time Budget & Financial Reporting Analyst position -April 1, 2021 start date 2021 CUPE salary increase transfer from Gen. Gov't Contingency 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, 2021) -funded from the Rate Stabilization Reserve and Development Charges Reserve Fund Benefits related to one new full-time Budget & Financial Reporting Analyst position -April 1, 2021 start date · Benefits related to 2021 CUPE salary increase transfer from Gen. Gov't Contingency Total 2127.1400.0000 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 (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 319 Run Date: 4/21/21 12:05 PM 2021 Bud et 2,164,509 120,000 75,635 13,214 2,373,358 4,000 2,750 4,750 4,250 20,000 35,750 621,593 20,000 21,960 2,720 666,273 1,500 1,250 1,500 500 4,750 2127 Finance Staff: Parking & Mileage City of Pickering 2021 Approved Background Information Total 2127 .2110.0000 Travel 2127.2131.0000 Cellular Phones Annual Smartphone Charges -Director, Finance & Treasurer and Manager, Budgets & Internal Audit Total 2127.2131.0000 Cellular Phones · 2127.2140.0000 Telephones Run Date: 4/21/21 12:05 PM 2021 Bud et 1,000 1,000 1,500 1,500 Voice/ Data 7,890 Internet 985 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 Development 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 2) -Senior Financial Analyst (1) New Financial System (SAP) Finance staff training Payroll PD Courses (2 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 & Professional Services (City, Library & Public Sector Accounting Board) 320 8,875 172,000 172,000 4,000 4,000 3,500 1,500 1,500 1,200 1,150 5,100 950 300 15,200 22,000 22,000 14,280 14,280 90,000 City of Pickering 2021 Approved Background Information 2127 Finance New DC Bylaw and new Community Benefit Charge (CBC) Bylaw. Funded from DC Reserve Fund. Property tax legislation changes, capping, preparation & review of tax rates and various property tax issues Asset Management Planning (AMP). Completion of data support for continued improvement to the City's data for AMP purposes (PO# 700416). Funded from FGT. Asset Management Planning (AMP) (Phase 3). Completion of the Data Governance Policy and Procedures (PO# 180699). Funded from FGT. Consulting services to support TXM system Review and revise Investment Policy Municipal BMA Study Asset Management Planning (AMP) to meet Ontario Regulation 588/17 requirements. Funded from FGT. 5 Year Capital and Operating Cost Financial Impact Analysis (partially funded from DC Reserve Fund) Total 2127.2392.0000 Consulting & Professional 2127.2394.0000 Recpt,Prom. & Sp.Ev.,Gen Recpt., & Promo. Total 2127.2394.0000 Recpt,Prom. & Sp.Ev.,Gen 2127.2395.0000 Memberships Chartered Professional Accountants of Ont. -Corporate (10 staff) Americas SAP User Group Dept., Membership Assoc. of Mun. Managers, Clerks & Treasurers -Acct. Mgr., Senior Fin. Analyst, & Taxation Supervisor Municipal Financial Officers Assoc. -Corporate (8 staff) Ont. Mun. Tax & Rev. Assoc. -Tax Supervisor & Tax Analyst Canadian Payroll Assoc. -Payroll Supervisor, Payroll Admin., Mgr., Accounting Services and Senior Financial Analyst Insurance and Internal Audit Associations -Mgr., Budgets & IA and Director, Corporate Services & Treasurer Ont. Public Buyers Assoc. (OPBA) -(1 staff) Total 2127.2395.0000 Memberships 2127.2399.0000 Outside Agency Services Armoured car services for daily pick-up of bank deposits (Civic Complex & Recreation Complex). Total 2127.2399.0000 Outside Agency Services 321 Run Date: 4/21/2112:05 PM 2021 Bud et 80,000 12,500 8,905 13,500 10,000 11,000 5,500 70,000 27,500 328,905 1,600 1,600 10,250 2,500 1,000 1,650 500 875 300 220 17,295 13,000 13,000 City of Puckering 2021 Approved Background Information 2127 Finance 2127.2478.0000 Equipment Repairs & Maint Service contract for cheque signer and perforator Service contract for cash handling machines Total 2127.2478.0000 Equipment Repairs & Maint 2127.2479.0000 Sfwr/Hdwr Maint Contracts 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 Maintenance -CORE (Point of Sale) SAP Financials Hosting and Template Maintenance Fees 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 Receipt Forms Total 2127.5302.0000 Forms 2127.5320.0001 Garbage Tags Garbage Bag Purchases (approx. 6,000 tags purchased each year at $2.50 a tag - expense is offset by revenue from the program) -transfer from 2129 Total 2127.5320.0001 Garbage Tags 2127.5974.0000 System & Software Upgrade CityWide CPA module -Funded from FGT (PO# 160247) 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 322 Run Date: 4/21/2112:05 PM 2021 Bud et 800 1,500 2,300 19,150 14,435 800 350 8,250 67,500 7,200 1,750 4,045 134,500 238,850 496,830 8,200 1,000 9,200 1,500 1,500 15,000 15,000 8,600 8,600 175,000 13,100 32,100 17,200 100 City of Puckering 2021 Approved Background Information 2127 Financ.e Parking. tickets electronic payment ActiveNet-Transfer to 2711 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 Rcpt/Bill/Stmt Duplicate tax receipts/reprint of tax bills/statement of accounts Total 1412.0002.0000 Dup Tax Rcpt/Bill/Stmt 1412.0003.0000 Returned Pymt/Chq 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 323 Run Date: 4/21/2112:05 PM 2021 Bud et 12,500 (175,000) 75,000 4,288,216 (22,000) (22,000) (30,000) (30,000) (6,000) (6,000) (9,000) (9,000) (59,000) (59,000) (84,000) (84,000) (6,000) (6,000) (65,000) (65,000) (525,000) (525,000) (2,415,000) (2,415,000) 2127 Finance City of Pickering 2021 Approved Background Information 2127.9990.0000 Other Revenue Internal management fee for investment portfolio Garbage Bag Tag Sales -Transfer from 2129 Total 2127.9990.0000 Other Revenue Total Revenues Transfers 1910.7021.2127 Frm Rate Stab-Finance Rate Stabilization Funding for one ERP Project Manager position (extended to Dec 31, 2021) Total 1910.7021.2127 Frm Rate Stab -Finance 1920.7505.2127 Trsf frm FGT -Finance Federal Gas Tax Funding for AMP (Phase 3) for completion of Data Governance Policy and Procedures. Federal Gas Tax funding for AMP for completion of data support for continued improvement to the City's data for AMP purposes. Federal Gas Tax Funding for CityWide CPA module Federal Gas Tax Funding for AMP to meet Ontario Regulation 588/17 requirements Total 1920.7505.2127 Trsf frm FGT -Finance 1920.7600.2127 Trsf frm DCRF -Finance Development Charges Reserve funding for new DC Bylaw and new Community Benefit Charge (CBC) Bylaw Development Charges Reserve funding for one ERP Project Manager position Development Charges Reserve Funding for 5 Year Capital and Operating Cost Financial Impact Analysis Total Transfers Net Expenses Total 1920.7600.2127 Trsf frm DCRF ~ Finance 324 Run Date: 4/21/2112:05 PM 2021 Bud et (55,000) (15,000) (70,000) (3,291,000) (85,400) (85,400) (13,500) (8,905) (8,600) (70,000) (101,005) (80,000) (54,600) (10,760) (145,360) (331,765) 665,451 2133 Supply & Services 2019 Actuals Expenditures 1100 Salaries & Wages 271,806 1200 Overtime 79 1400 Employer Contributions 71,766 1800 Conferences 518 2110 Travel 96 2131 Cellular Phones 0 2140 Telephones 1,051 2340 Seminars & Education 2,763 2370 Insurance Premium 1,849 2394 Recpt, Prom & Sp Events 224 2395 Memberships 1,028 2399 Outside Agency Serv 1,496 2479 Software/Hardware Maintenan< 0 5300 Stationery & Office Supplies 502 Total Expenditures 353,178 Revenues Total Revenues 0 Transfers to/from Reserves & R.F. Total Transfers 0 Net 353,178 City of Pickering 2021 Current Budget Approved Final 2020 2020 YTD Approved Actuals Budget 323,733 327,488 383 5,000 86,861 82,479 847 2,400 0 900 433 0 995 1,410 637 3,600 1,880 1,880 0 400 980 1,485 1,520 1,600 552 850 121 1,000 418,942 430,492 0 0 0 0 418,942 430,492 325 Run Date: 4/21/2112:03 PM 2021 INC./DEC. Approved % CHGE. Budget 2020 6,456 333,944 1.97% 0 5,000 0.00% 7,689 90,168 9.32% 0 2,400 0.00% 0 900 0.00% 0 0 0.00% (45) 1,365 (3.19%) 5,100 8,700 141.67% 40 1,920 2.13% 0 400 0.00% 0 1,485 0.00% 0 1,600 0.00% (285) 565 (33.53%) 0 1,000 0.00% 18,955 449,447 4.40% 0 0 0.00% 0 0 0.00% 18,955 449,447 4.40% 2133 Supply & Services Expenditures 2133.1100.0000 Salaries & Wages Base Salaries and Wages City of Pickering 2021 Approved Background Information 2021 CUPE salary increase transfer from Gen. Gov't Contingency 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, EI, EHT) and employer provided benefits such as extended health and dental Benefits related to 2021 CUPE salary increase transfer from Gen. Gov't Contingency 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 Run Date: 4/21/2112:05 PM 2021 Bud et 330,579 3,365 333,944 5,000 5,000 89,543 625 90,168 1,600 800 2,400 900 900 Voice / Data 1,215 Internet 150 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) New Financial System (SAP) S&S staff training 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 326 1,365 900 900 1,800 5,100 8,700 1,920 1,920 400 City of Pickering 2021 Approved Background Information 2133 Supply & Services Total 2133.2394.0000 Sp. Ev. Gen. Pub. Relatio 2133.2395.0000 Memberships Manager -Ontario Public Buyers Association (OPBA) Manager -Ontario Municipal Management Institute (OMl\!11) Senior Purchasing Analyst -Ontario Public Buyers Association (OPBA) Buyer -Purchasing Management Association of Canada (PMAC) Buyers (2) -Ontario Public Buyers Association (OPBA) Total 21_33.2395.0000 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 327 Run Date: 4/21/2112:05 PM 2021 Bud et 400 220 140 220 465 440 1,485 1,600 1,600 565 565 1,000 1,000 449,447 0 0 449,447 Fire Services Department Overview The Fire Services Department is responsible for fire protection and emergency management within the City. Fire Protection responsibilities include response to emergencies, fire prevention inspections, public fire safety education and staff development and training. Emergency Management responsibilities include the coordination, response and management of large-scale emergencies in the City. Staff also ensure that the City is compliant with the Emergency Management and Civil Protection Act. Fire Services Department I I I Fire Protection Emergency Operations Operations I I I I I l Suppression ] , Fire ' I ] l Emergency J Rescue Prevention Training Management Public Education '-,/ Key Activities for 2021 • Construction proposal for new Fire Headquarters (FS#1) presented to Council for approval • Pandemic recovery • Training program(s) for recruit firefighters • Develop and implement safe practices for the rapidly changing COVID-19 environment to ensure safe operations • Design firm selection process for Fire Station #5 (1616 Bayly St.) re-development • Aerial apparatus delivery for new Fire Headquarters (FS#1) • New rescue pumper tendered to replace 2005 unit 329 Financial Information Staffing Summary (Full & Regular Part-Time) Approved Current Term 2018 2019 2020 Full Time Reg. Part-Time Total 103 0 103 106 _Q 106 109 _Q 109 Add 3 Q 3 Approved 2021 Delete 0 0 0 Total 112 _Q 112 Three additional firefighter positions added in 2021. These positions are for the new Seaton fire station that will be by early 2023. Year-Over-Year (Net Cost) Budget Changes 2020 Budget 2021 Approved Budget YearNear Increase ($) (%) Fire Protection $17,219,848 $17,951,284 $731,436 4.25 Emergency Operations 18,793 20,283 1,490 7.93 ---~-----------'-----------'------Tot a J (Net Cost) $17,238,641 $17,971,567 $732,926 4.25 ==================================== Explanation of Significant Budget Changes -Expenses • Salary and wages budget increase due to three additional firefighter positions added in 2021 for the new Seaton fire station and the anticipated 2021 Firefighters' salary increase partially offset by salary savings from four mandatory firefighter retirements (age 60) with a potential for six more that are eligible with 30+ years in 2021 , • Dispatch communications budget increase of $35,945 reflects increased operational costs for joiht fire dispatch with Ajax Fire and Emergency Services • $10,000 added for specialized personal protective equipment (COVID-19) purchases 2020 Performance Indicators/Statistics Fire Prevention & Public Safety Vulnerable Occupancy Inspections (Legislated) 20 Complaint Inspections 136 Requested Inspections 365 Fire Investigations 30 Permits Reviewed 940 Public Fire Safety Education Events 63 330 F" s ire uppress1on 0 f pera ions Fire/Smoke 350 Motor Vehicle Accidents 460 Medical Response 893 Rescue 25 Fire Alarm 318 Hazard (CO, wires down, Qas leak, etc.) 233 Other {public assist, 911 unknown call, 329 etc.) Total Incidents 2,609 B "Id" UI mgan dF" A ire t ppara us New Fire Headquarters designed and ✓ tendered for construction New Fire Tanker placed in service ✓ T .. rammg Officer Development Program Initiated ✓ Recruit firefk1hters trained (5 weeks) 3 E mergency M anagemen t Emergency Management and Civil ✓ Protection Act Compliant 2020 COVID Pandemic response coordination ✓ 331 Fire Services Department 2019 Actuals Expenditures 1100 Salaries & Wages 11,522,961 1200 Overtime 182,654 1400 Employer Contributions 3,115,036 1800 Conferences 3,023 1900 Uniforms 212,689 2110 Travel 2,213 2131 Cellular Phones 13,408 2140 Telephones 63,909 2142 Dispatch Communications 968,634 2210 Advertising 0 2220 Subscription & Publications 531 2340 Seminars & Education 114,000 2370 Insurance Premium 66,951 2371 Ins. Deductible 0 2392 Consulting & Professional 9,112 2394 Recpt, Prom & Sp Events 6,337 2395 Memberships 4,739 2396 Photo, Mapping, Printing 0 2399 Outside Agency Serv 22,737 2435 Build Repairs & Mtce 138,406 2457 Veh -Repairs & Maintenance 178,098 2478 Misc Equip Repairs 49,303 2479 Software/Hardware Maintenan< 0 5300 Stationery & Office Supplies 4,636 5302 Forms 402 5320 Program Supplies 16,517 5510 Utilities -Water 10,480 5520 Utilities -Gas 23,528 5530 Utilities -Hydro 46,518 5900 Gas, Oil Tires 88,558 5902 Supplies & Tools 40,170 5973 Minor Furniture & Fixtures 9,919 5974 System & Software Upgrades 0 5975 Hardware Replacements 0 5978 Misc. Equipment 30,803 Total Expenditures 16,946,272 Revenues 1424 Sale of Services -Fire Prot. (96,582) City of Pickering 2021 Current Budget Approved Final 2020 2020 YTD Approved Actuals Budget 11,360,107 11,870,122 152,514 225,000 3,167,279 3,292,216 1,246 10,000 121,865 200,000 733 1,000 15,290 19,600 59,461 64,005 1,033,779 1,000,547 827 1,000 0 2,000 111,428 120,500 68,140 68,140 0 2,000 6,671 10,000 703 6,300 4,646 6,375 0 1,000 4,184 1,000 148,544 122,721 230,011 169,500 61,062 53,000 19,482 329 5,883 4,400 468 1,500 12,064 18,000 10,107 13,605 21,167 26,226 45,433 62,710 53,595 94,379 123,198 71,300 7,153 8,000 0 29,666 0 0 15,321 33,500 16,862,361 17,609,641 (106,655) (120,000) 332 Run Date: 4/21/21 11 :58 AM 2021 INC./DEC. Approved % CHGE. Budget 2020 630,532 12,500,654 5.31% (25,000) 200,000 (11.11%) 138,504 3,430,720 4.21% (10,000) 0 (100.00%) 0 200,000 0.00% 0 1,000 0.00% 0 19,600 0.00% (325) 63,680 (0.51%) 35,945 1,036,492 3.59% 0 1,000 0.00% 0 2,000 0.00% (5,500) 115,000 (4.56%) 1,360 69,500 2.00% 0 2,000 0.00% 5,000 15,000 50.00% (2,300) 4,000 (36.51%) 0 6,375 0.00% 0 1,000 0.00% 0 1,000 0.00% (28,000) 94,721 (22.82%) 0 169,500 0.00% 0 53,000 0.00% 20,431 20,760 6,210.03% 0 4,400 0.00% 0 1,500 0.00% 0 18,000 0.00% 245 13,850 1.80% 0 26,226 0.00% 0 62,710 0.00% 0 94,379 0.00% 7,700 79,000 10.80% 0 8,000 0.00% (26,666) 3,000 (89.89%) 20,200 20,200 0.00% (2,000) 31,500 (5.97%) 760,126 18,369,767 4.32% 0 (120,000) 0.00% Fire Services Department 2019 Actuals 1623 Ont. Specific Grants (20,148) 1640 Other Agency Grts (20,197) 9990 Other Revenue (609) 9965 Cost Recoveries (271,231) 9980 Sponsorships No Tax 0 9985 Marketing Sponsorships 0 Total Revenues (408,767) Transfers to/from Reserves & R.F. Total Transfers 0 Net 16,537,505 City of Pickering 2021 Current Budget Approved Final 2020 2020 YTD Approved Actuals Budget (8,395) 0 0 0 0 0 (263,386) (250,000) 0 (500) 0 (500) (378,436) (371,000) 0 0 16,483,925 17,238,641 333 Run Date: 4/21/2111:58 AM 2021 INC./DEC. Approved % CHGE. Budget 2020 (27,200) (27,200) 0.00% 0 0 0.00% 0 0 0.00% 0 (250,000) 0.00% 0 (500) 0.00% 0 (500) 0.00% (27,200) (398,200) 7.33% 0 0 0.00% 732,926 17,971,567 4.25% 2240 Fire Protection 2019 Actuals Expenditures 1100 Salaries & Wages 11,369,603 1200 Overtime 182,654 1400 Employer Contributions 3,096,789 1800 Conferences 3,023 1900 Uniforms 212,689 2110 Travel 2,213 2131 Cellular Phones 12,802 2140 Telephones 62,451 2142 Dispatch Communications 968,634 2210 Advertising 0 2220 Subscription & Publications 531 2340 Seminars & Education 114,000 2370 Insurance Premium 66,292 2371 Ins. Deductible 0 2392 Consulting & Professional 9,112 2394 Recpt, Prom & Sp Events 5,893 2395 Memberships 4,739 2396 Photo, Mapping, Printing 0 2399 Outside Agency Serv 22,737 2435 Build Repairs & Mtce 138,406 2457 Veh -Repairs & Maintenance 178,098 2478 Misc Equip Repairs 49,303 2479 Software/Hardware Maintenanc 0 5300 Stationery & Office Supplies 4,636 5302 Forms 402 5320 Program Supplies 16,517 5510 Utilities -Water 10,480 5520 Utilities -Gas 23,528 5530 Utilities -Hydro 46,518 5900 Gas, Oil Tires 88,558 5902 Supplies & Tools 40,170 5973 Minor Furniture & Fixtures 9,919 597 4 System & Software Upgrades 0 5975 Hardware Replacements 0 5978 Misc. Equipment 30,803 Total Expenditures 16,771,500 Revenues 1424 Sale of Services -Fire Prot. (96,582) City of Pickering 2021 Current Budget Approved Final 2020 2020 YTD Approved Actuals Budget 11,201,045 11,742,814 152,514 225,000 3,148,077 3,260,735 1,246 8,500 121,865 200,000 733 1,000 14,797 18,800 58,189 62,125 1,033,779 1,000,547 827 1,000 0 2,000 111,428 119,000 67,470 67,470 0 2,000 6,671 10,000 703 5,500 4,646 6,050 0 500 4,184 1,000 148,544 122,721 230,011 169,500 61,062 52,500 19,268 0 5,689 4,000 468 1,500 12,064 18,000 10,107 13,605 21,167 26,226 45,433 62,710 53,595 94,379 123,198 70,500 7,153 8,000 0 29,666 0 0 15,321 33,500 16,681,254 17,440,848 (106,655) (120,000) 334 Run Date: 4/21/21 12:03 PM 2021 INC./DEC. Approved % CHGE. Budget 2020 627,509 12,370,323 5.34% (25,000) 200,000 (11.11%) 137,838 3,398,573 4.23% (8,500) 0 (100.00%) 0 200,000 0.00% 0 1,000 0.00% 0 18,800 0.00% (325) 61,800 (0.52%) 35,945 1,036,492 3.59% 0 1,000 0.00% 0 2,000 0.00% (5,500) 113,500 (4.62%) 1,350 68,820 2.00% 0 2,000 0.00% 5,000 15,000 50.00% (2,000) 3,500 (36.36%) 0 6,050 0.00% 0 500 0.00% 0 1,000 0.00% (28,000) 94,721 (22.82%) 0 169,500 0.00% 0 52,500 0.00% 20,540 20,540 0.00% 0 4,000 0.00% 0 1,500 0.00% 0 18,000 0.00% 245 13,850 1.80% 0 26,226 0.00% 0 62,710 0.00% 0 94,379 0.00% 8,000 78,500 11.35% 0 8,000 0.00% (26,666) 3,000 (89.89%) 20,200 20,200 0.00% (2,000) 31,500 . (5.97%) 758,636 18,199,484 4.35% 0 (120,000) 0.00% 2240 Fire Protection 2019 Actuals 1623 Ont. Specific Grants (20,148) 1640 Other Agency Grts (20,197) 9990 Other Revenue (609) 9965 Cost Recoveries (121,231) 9980 Sponsorships No Tax 0 9985 Marketing Sponsorships 0 Total Revenues (258,767) Transfers to/from Reserves & R.F. Total Transfers 0 Net 16,512,733 City of Pickering 2021 Current Budget Approved Final 2020 2020 YTD Approved Actuals Budget (8,395) 0 0 0 0 0 (113,386) (100,000) 0 (500) 0 (500) (228,436) (221,000) 0 0 16,452,818 17,219,848 335 Run Date: 412112112:03 PM 2021 INC./DEC. Approved % CHGE. Budget 2020 (27,200) (27,200) 0.00% 0 0 0.00% 0 0 0.00% 0 (100,000) 0.00% 0 (500) 0.00% 0 (500) 0.00% (27,200) (248,200) 12.31% 0 0 0.00% 731,436 17,951,284 4.25% City of Pickering 2021 Approved Background Information 2240 Fire Protection Expenditures 2240.1100.0000 Salaries & Wages Base Salaries and Wages Estimated net salary savings from staff retirements in 2021 Three new full-time Seaton Fire Fighter positions 2021 PPFA salary increase transfer from Gen. Gov't Contingency Total 2240.1100.0000 Salaries & Wages 2240.1200.0000 Overtime Emergency callback Overtime Total 2240.1200.0000 Overtime 2240.1400.0000 Employer Contributions This item includes mandatory deductions (CPP, El, EHT) and employer provided benefits such as extended health and dental Estimated net benefit savings from staff retirements in 2021 Benefits related to three new full-time Seaton Fire Fighter positions Benefits related to 2021 PPFA salary increase transfer from Gen. Gov't Contingency Total 2240.1400.0000 Employer Contributions 2240.1800.0000 Conferences Ontario Association of Fire Chiefs Conference Canadian Assoc. of Fire Chiefs Conference Fire and Life Safety Educators Conference Training Officers Annual Conference (Ontario Fire College) Fire Prevention Annual Conference (Ontario Fire College) Fire Department Instructors Conference Training Officers Annual Conference (Ontario Fire College) Fire Prevention Annual Conference (Ontario Fire College) Fire Department Instructors Conference Fire Department Instructors Conference COVID Reduction Total 2240.1800.0000 Conferences 2240.1900.0000 Uniforms Uniform Articles -Coats, t-shirts, hats, epaulettes, equipment bags, etc. Station wear & bunker gear Repairs and Alterations Testing and cleaning contract for bunker gear Cleaning allowance 336 Run Date: 4/21/21 12:05 PM 2021 Bud et 12,043,643 (117,920) 198,100 246,500 12,370,323 25,000 175,0d0 200,000 3,313,056 (45,860) 84,900 46,477 3,398,573 2,500 2,500 700 150 150 2,500 (8,500) 0 30,000 50,000 5,000 12,000 9,500 City of Pickering 2021 Approved Background Information 2240 Fire Protection Dress uniforms Firefighting boots, gloves, helmets & shields, balaclavas Station boots Corporate Wear Total 2240.1900.0000 Uniforms 2240.2110.0000 Travel Parking & Mileage Total 2240.2110.0000 Travel 2240.2131.0000 Cellular Phones Annual cell phone charges (on trucks) Annual smartphone charges -Deputy Chief, Fire Inspectors (4), Chief Training Officer, Training Officer, Platoon Chief, Chief Fire Prevention Officer Hardware upgrades Annual smartphone & tablet -Fire Chief Annual charges for cellular data cards -Crisys truck data terminals Total 2240.2131.0000 Cellular Phones 2240.2140.0000 Voice/ Data Internet Cable Telephones Total 2240.2140.0000 Telephones 2240.2142.0000 Dispatch Communications Pickering portion of Regional shared costs (NextGen System) Operational cost for joint fire dispatch -PFS/AFES Total 2240.2142.0000 Dispatch Communications 2240.2210.0000 Advertising Advertising Total 2240.2210.0000 Advertising 2240.2220.0000 Subscriptions & Publicati Ontario Fire & Building Codes Updates, Trade Magazines, National Fire Protection Codes, ULC/CSA Codes Total 2240.2220.0000 Subscriptions & Publicati 2240.2340.0000 Seminars & Education Continuous Education Courses Fire Prevention courses/symposiums/seminars Certification and recertification for high angle, ice & water rescue, auto extrication, company officer, pump operators, trainers and public educators Emergency Medical Response training 337 Run Date: 4/21/2112:05 PM 2021 Bud et 35,000 40,000 18,000 500 200,000 1,000 1,000 2,600 7,200 3,000 1,500 4,500 18,800 59,815 1,100 885 61,800 62,096 974,396 1,036,492 1,000 1,000 2,000 2,000 8,000 3,500 10,000 27,000 City of Pickering 2021 Approved Background Information 2240 Fire Protection Vehicle extrication training Fire Prevention resource materials Municipal management courses -UOIT Computer based instruction and resource materials TAPP-C Arson prevention program Training (OPG MOU) Ontario Fire College Incident Command Training 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 Building condition audit FS#6 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 Fire Services Bars/Medals Service Awards Meals (conferences, seminars, out of town meetings, events) COVID Reduction 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 338 Run Date: 4/21/2112:05 PM 2021 Bud et 8,000 1,000 4,000 25,000 - 1,000 15,000 3,000 8,000 113,500 68,820 68,820 2,000 2,000 5,000 5,000 5,000 15,000 1,000 1,000 1,500 2,000 (2,000) 3,500 750 275 275 250 150 150 150 150 350 350 City of Pickering 2021 Approved Background Information 2240 Fire Protection 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 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 Brick window sill repairs FS#2 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 339 Run Date: 4/21/2112:05 PM 2021 Bud et 2,000 300 200 100 600 6,050 500 500 1,000 1,000 10,000 8,000 8,000 2,500 3,000 5,000 5,000 8,000 3,000 8,000 13,221 10,000 1,000 3,000 2,000 5,000 94,721 121,300 4,400 36,800 7,000 169,500 8,000 2,000 City of Pickering 2021 Approved Background Information 2240 Fire Protection 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 calibration & repairs Repairs to Fire Prevention props Repairs to fitness equipment Fire hose testing and repairs Repairs to turnout gear extractor wash machines Total 2240.2478.0000 Misc.Equipment Repairs & 2240.2479.0000 Sfwr/Hdwr Maint Contracts Maintenance -HRIS Total 2240.2479.0000 Sfwr/Hdwr Maint Contracts 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 2020 projected actuals and regional water rate increase in 2021 Total 2240.5510.0000 Utilities -Water 2240.5520.0000 Utilities -Gas Budget based on 2020 projected actuals Total 2240.5520.0000 Utilities -Gas 2240.5530.0000 Utilities -Hydro Budget based on 2020 projected actuals and rate increase in 2021 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. 340 Run Date: 4/21/2112:05 PM 2021 Bud et 500 2,500 8,000 2,000 5,000 4,500 1,000 1,000 1,000 3,000 12,000 2,000 52,500 20,540 20,540 4,000 4,000 1,500 1,500 18,000 18,000 13,850 13,850 26,226 26,226 62,710 62,710 65,645 14,080 14,654 94,379 City of Pickering 2021 Approved Background Information 2240 Fire Protection 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) PPE (COVID) Total 2240.5902.0000 Supplies & Tools 2240.5973.0000 Furniture & Fixtures Replacement of furniture (Stations #2, #4, #5, and #6) Total 2240.5973.0000 Furniture & Fixtures 2240.5974.0000 System & Software Upgrade Fire Safety Program Software (funded from Provincial Fire Safety Grant) Total 2240.5974.0000 System & Software Upgrade 2240.5975.0000 Hardware Replacements Computer Tablets (funded from Provincial Fire Safety Grant) Desktop Computers (funded ,from Provincial Fire Safety Grant) Rugged Laptop (funded from Provincial Fire Safety Grant) Total 2240.5975.0000 Hardware Replacements 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 Cameras (funded from Provincial Fire Safety Grant) 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 341 Run Date: 4/21/21 12:05 PM 2021 Bud et 4,000 4,000 5,000 15,000 5,000 1,500 5,500 8,000 3,500 17,000 10,000 78,500 8,000 8,000 3,000 3,000 10,100 4,000 6,100 20,200 15,000 5,000 1,500 1,000 5,000 4,000 31,500 18,199,484 (120,000) 2240 Fire Protection City of Pickeri1111g 2021 Approved Background Information Total 1424.0000.0000 SALE OF SERVICES -FIRE 1623.2240.0000 ONTARIO GRANT-FIRE Provincial Fire Safety Grant Total 1623.2240.0000 ONTARIO GRANT-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-imburs.ement 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 s.ervices Marketing Sponsorships (Taxable) Total 2240.9985.0000 Marketing Sponsors Total Revenues Total Transfers Net Expenses 342 Run Date: 4/21/2112:05 PM 2021 Bud et (120,000) (27,200) (27,200) (5,000) (3,000) (60,000) (15,000) (17,000) (100,000) (500) (500) (500) (500) {248,200) 0 17,951,284 2241 Emergency Operations 2019 Actuals Expenditures 1100 Salaries & Wages 153,358 1400 Employer Contributions 18,247 1800 Conferences 0 2131 Cellular Phones 606 2140 Telephones 1,458 2340 Seminars & Education 0 2370 Insurance Premium 659 2394 Recpt, Prom & Sp Events 444 2395 Memberships 0 2396 Photo, Mapping, Printing 0 2478 Misc Equip Repairs 0 2479 Software/Hardware Maintenanc 0 5300 Stationery & Office Supplies 0 5902 Supplies & Tools 0 Total Expenditures 174,772 Revenues 9965 Cost Recoveries (150,000) Total Revenues (150,000) Transfers to/from Reserves & R.F. Total Transfers 0 Net 24,772 City of Pickering 2021 Current Budget Approved Final 2020 2020 YTD Approved Actuals Budget 159,062 127,308 19,202 31,481 0 1,500 493 800 1,272 1,880 0 1,500 670 670 0 800 0 325 0 500 0 500 214 329 194 400 0 800 181,107 168,793 (150,000) (150,000) (150,000) (150,000) 0 0 31,107 18,793 343 Run Date: 4121121 12:03 PM 2021 INC.IDEC. Approved % CHGE. Budget 2020 3,023 130,331 2.37% 666 32,147 2.12% (1,500) 0 (100.00%) 0 800 0.00% 0 1,880 0.00% 0 1,500 0.00% 10 680 1.49% (300) 500 (37.50%) 0 325 0.00% 0 500 0.00% 0 500 0.00% (109) 220 (33.13%) 0 400 0.00% (300) 500 (37.50%) 1,490 170,283 0.88% 0 (150,000) 0.00% 0 (150,000) 0.00% 0 0 0.00% 1,490 20,283 7.93% 2241 Emergency Operations Expenditures 2241.1100.0000 Salaries & Wages Base Salaries and Wages City of Pickering 2021 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 COVID Reduction 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 Date: 4/21/21 12:05 PM 2021 Bud et 130,331 130,331 32,147 32,147 1,500 (1,500) 0 800 800 Voice/ Data 500 Internet Cable Total 2241.2140.0000 Telephones 2241.2340.0000 Seminars & 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 Emerger;icy 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 344 60 1,320 1,880 1,500 1,500 680 680 500 500 125 200 325 500 500 2241 Emergency Operations General equipment repairs City of Pickering 2021 Approved Background Information Total 2241.2478.0000 Misc Equip Rep & Maint 2241.2479.0000 Sfwr/Hdwr Maint Contracts Maintenance -HRIS 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 345 Run Date: 4/21/21 12:05 PM 2021 Bud et 500 500 220 220 400 400 500 500 170,283 (150,000) (150,000) (150,000) 0 20,283 Human Resources Department Overview The Human Resources Department provides a variety of centralized services to both the City of Pickering and the Pickering PubHc Library related to the management of our people resources. This includes the following functions under each operational area: Human Resources -centralized recruitment, health & safety, employee recognition, Human Resources Information System (HRIS), training. Employee Services -Employee benefits, compensation, Ontario Municipal Employee Retirement System (OMERS) administration, disability management and Workplace Safety & Insurance (WSIB) administration, employee wellness. Labour Relations -Grievance administration, collective bargaining, employee relations and policy development. People & Culture -centralized human resources administrative services for the Pickering Public Library (PPL), diversity & inclusion and organizational development. Human Resources Department l I I I I r ' r Human Resources Employee Labour People & Services Relations Culture ./ '- Key Activities for 2021 • Collective bargaining with 3 unions (PPFA, CUPE and Library) ~ • Implementation of new Human Resources Information System including staff training on employee central (a self service module) • Select a consultant through a comprehensive RFP process for the creation of a Diversity & Inclusion Strategy with a multi-year focus and oversee the creation and implementation of the same • The creation of a comprehensive Terms & Conditions of Employment Policy for Non- union Employees which will include compensation structure and salary administration guidelines, benefits, hours of work and leaves 347 • Ongoing management of the staffing impacts resulting from the pandemic response plan including the management of existing work from home agreements and operational requirements • Review of the City's WSIB funding arrangement, in conjunction with Finance Financial Information Staffing Summary (Full & Regular Part Time) Approved Current Term 2018 2019 2020 Add Full Time Reg. Part-Time Total 7 Q 7 8 Q 8 10 _Q 10 No additional staffing recommended for 2021. Year-Over-Year (Net Cost) Budget Changes 0 Q 0 A pprove d 2021 Delete 0 0 0 Total 10 _Q 10 2020 Budget 2021 Approved Budget YearNear Increase ($) (%) Human Resources $1,013,529 $1,100,364 $86,835 Health & Safety 145,245 148,194 2,949 8.57 2.03 7.75 Total(NetCost) $1,158,774 $1,248,558 $89,784 ================================ Explanation of Significant Budget Changes -Expenses $85,000 has been budgeted for the retention of services of a Diversity & Inclusion consultant to facilitate the completion of a Diversity & Inclusion (D&I) Strategy by conducting an unbiased third party review of the current state of diversity and inclusion within The Corporation of the City of Pickering and the Pickering Public Library. The framework of the D&I Strategy will include the development and implementation of diversity and inclusion practices, which will encompass a broad cross-section of activities, including, but not limited to: • Diversity and Inclusion in the Workplace policy; • employment opportunities, policies, and practices (recruitment, development, performance management, training, retention, and succession planning); • programs and services (delivery and intake models); • community and civic engagement; • neighbourhood strengthening initiatives; 348 • planning and development of community designs and housing opportunities; • economic development programs and services. The D&I Strategy will identify recommendations to ensure all residents have access to City and PPL employment opportunities, programs, and services, and feel welcomed in Pickering. The D&I Strategy will assist us as an employer to identify gaps and implement initiatives to ensure our employees experience inclusion as well as demonstrate inclusive behaviors as we work together to serve the diverse needs of the Pickering community. 2020 Performance Indicators/Statistics Job Postings 52 New Employees Hired (excluding students) 46 Rehires/transfers/promotions 136 Redeployments (due to COVID-19) 21 Student/mass hires 49 Retirements/resignations 38 Employees trained (various courses including Lockdown, Respect 743 in the Workplace, Health & Safety Orientation, Anti-Black Racism, Mental Health, Ladder Safety, WHIMIS) 349 Human Resources Department 2019 Actuals Expenditures 1100 Salaries & Wages 630,154 1200 Overtime 2,675 1400 Employer Contributions 185,236 1700 Employee Recognition & ApprE 50,739 1800 Conferences 1,598 2110 Travel 156 2131 Cellular Phones 467 2140 Telephones 2,127 2210 Advertising 8,567 2340 Seminars & Education 45 2341 Corporate Training 28,721 2370 Insurance Premium 4,171 2392 Consulting & Professional 121,452 2394 Recpt, Prom & Sp, Events 1,823 2395 Memberships 1,091 2479 Software/Hardware Maintenanc 34,908 5300 Stationery & Office Supplies 1,072 5380 Educational/Promotional Mater 1,026 5390 Workplace Accommodations 150 Total Expenditures 1,076,178 Revenues 9954 Netted Revenue 0 Total Revenues 0 Transfers to/from Reserves & R.F. 1920 Transfer to/(from) Reserve Fun (20,172) Total Transfers (20,172) Net 1,056,006 City of Pickering 2021 Current Budget Approved Final 2020 2020 YTD Approved Actuals Budget 895,289 894,603 1,968 1,600 252,676 258,222 21,562 42,250 504 2,450 38 850 613 1,300 2,488 3,525 8,021 10,000 1,700 6,500 19,886 37,500 4,245 4,245 131,858 109,000 2,161 2,500 1,916 2,210 18,330 19,819 1,210 1,500 0 1,000 0 900 1,364,465 1,399,974 0 (213,700) 0 (213,700) (7,151) (27,500) (7,151) (27,500) 1,357,314 1,158,774 350 Run Date: 4/21/2111:58 AM 2021 INC.IDEC. Approved % CHGE. Budget 2020 19,071 9.13,674 2.13% 0 1,600 0.00% 5,038 263,260 1.95% 0 42,250 0.00% 0 2,450 0.00% 0 850 0.00% 0 1,300 0.00% (110) 3,415 (3.12%) 0 10,000 0.00% 8,200 14,700 126.15% (4,500) 33,000 (12.00%) 85 4,330 2.00% 75,000 184,000 68.81% 0 2,500 0.00% 0 2,210 0.00% (902) 18,917 (4.55%) 0 1,500 0.00% 0 1,000 0.00% 0 900 0.00% 101,882 1,501,856 7.28% (16,598) (230,298) 7.77% (16,598) (230,298) 7.77% 4,500 (23,000) (16.36%) 4,500 (23,000) (16.36%) 89,784 1,248,558 7.75% 2139 Human Resources 2019 Actuals Expenditures 1100 Salaries & Wages 527,374 1200 Overtime 1,871 1400 Employer Contributions 146,615 1700 Employee Recognition & Appre 50,739 1800 Conferences 1,598 2110 Travel 156 2131 Cellular Phones 467 2140 Telephones 1,862 2210 Advertising 8,567 2340 Seminars & Education 45 2341 Corporate Training 8,548 2370 Insurance Premium 3,442 2392 Consulting & Professional 121,452 2394 Recpt, Prom & Sp Events 1,823 2395 Memberships 951 2479 Software/Hardware Maintenan< 31,542 5300 Stationery & Office Supplies 1,072 Total Expenditures 908,124 Revenues 9954 Netted Revenue 0 Total Revenues 0 Transfers to/from Reserves & R.F. Total Transfers 0 Net 908,124 City of Pickering 2021 Current Budget Approved Final 2020 2020 YTD Approved Actuals Budget 794,225 790,647 1,427 1,000 223,406 228,757 21,562 42,250 504 1,800 38 300 613 1,300 2,239 3,175 8,021 10,000 1,700 6,000 12,734 10,000 3,505 3,505 131,858 109,000 2,161 2,500 1,776 1,740 14,867 14,055 1,095 1,200 1,221,731 1,227,229, 0 (213,700) 0 (213,700) 0 0 1,221,731 1,013,529 351 Run Date: 4/21/2112:03 PM 2021 INC./DEC. Approved % CHGE. Budget 2020 16,544 807,191 2.09% 0 1,000 0.00% 4,547 233,304 1.99% 0 42,250 0.00% 0 1,800 0.00% 0 300 0.00% 0 1,300 0.00% (105) 3,070 (3.31%) 0 10,000 0.00% 8,200 14,200 136.67% 0 10,000 0.00% 65 3,570 1.85% 75,000 184,000 68.81% 0 2,500 0.00% 0 1,740 0.00% (818) 13,237 (5.82%) 0 1,200 0.00% 103,433 1,330,662 8.43% (16,598) (230,298) 7.77% (16,598) (230,298) 7.77% 0 0 0.00% 86,835 1,100,364 8.57% 2139 Human Resources Expenditures 2139.1100.0000 Salaries & Wages Base Salaries and Wages City of' Pickering 2021 Approved Background Information 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 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 Telephones Run Date: 4/21/21 12:05 PM 2021 Bud et 807,191 807,191 1,000 1,000 233,304 233,304 15,000 2,750 4,500 20,000 42,250 1,800 1,800 300 300 1,300 1,300 Voice/ Data 2,730 Internet 340 Total 2139.2140.0000 Telephones 2139.2210.0000 Advertising Funds allocated for possible retirements, turnover of staff and advertising cost increases Total 2139.2210.0000 Advertising 2139.2340.0000 Seminars & Education Training HR staff to maintain knowledge of new legislative requirements and emerging HR issues Employee education assistance under Policy (HUR 160) 352 3,070 10,000 10,000 1,500 2,000 City cf Pickering 2021 Approved Background Information 2139 Human Resources Training funds -transfer from 2745 (Library) New Financial System (SAP) HR staff training Total 2139.2340.0000 Seminars & Education 2139.2341.0000 Corporate Training Corporate Training: ongoing team-building and corporate training initiatives Tot,al 2139.2341.0000 Corporate Training 2139.2370.0000 Insurance Premium Annual cost of insurance policy that provides protection for municipal activities and property. (Policy coverage includes: liability, automobile and property). Total 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 27 45 (Library) Diversity & lnclusi_on Strategy Consultant 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 27 45 (Library) Total 2139.2395.0000 Memberships 2139.2479.0000 Sfwr/Hdwr Maint Contracts Maintenance -HRIS Maintenance -Organization Software Maintenance -Info: HR Maintenance -Parklane Total 2139.2479.0000 Sfwr/Hdwr Maint Contracts 2139.5300.0000 Stationery & Office Suppl General office supplies Total 2139.5300.0000 Stationery & Office Suppl 353 Run Date: 4/21/2112:05 PM 2021 Bud et 2,500 8,200 14,200 10,000 10,000 3,570 3,570 60,000 2,000 4,000 37,000 3,000 3,000 75,000 184,000 2,500 2,500 320 420 1,000 1,740 1,375 512 8,300 3,050 13,237 1,200 1,200 2139 Human Resources Total Expenses Revenues 2139.9954.0000 Netted Revenue City of Pickering 2021 Approved Background Information 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) Diversity & Inclusion Strategy Consultant (cost recovery from Library) Total 2139.9954.0000 Netted Revenue Total Revenues Total Transfers Net Expenses 354 Run Date: 4/21/21 12:05 PM 2021 Bud et 1,330,662 (213,798) (2,500) {3,000) (1,000) (10,000) (230,298) (230,298) 0 1,100,364 2141 Health & Safety 2019 Actuals Expenditures 1100 Salaries & Wages 102,780 1200 Overtime 804 1400 Employer Contributions 38,621 1800 Conferences 0 2110 Travel 0 2140 Telephones 265 2340 Seminars & Education 0 2341 Corporate Training 20,173 2370 Insurance Premium 729 2395 Memberships 140 2479 Software/Hardware Maintenanc 3,366 5300 Stationery & Office Supplies 0 5380 Educational/Promotional Mater 1,026 5390 Workplace Accommodatio~s 150 Total Expenditures 168,054 Revenues Total Revenues 0 Transfers to/from Reserves & R.F. 1920 Transfer to/(from) Reserve Fun (20,172) Total Transfers (20,172) Net 147,882 City of Pickering 2021 Current Budget Approved Final 2020 2020 YTD Approved Actuals Budget 101,064 103,956 541 600 29,270 29,465 0 650 0 550 249 350 0 500 7,152 27,500 740 740 140 470 3,463 5,764 115 300 0 1,000 0 900 142,734 172,745 0 0 (7,151) (27,500) (7,151) (27,500) 135,583 145,245 355 Run Date: 4/21/2112:03 PM 2021 INC./DEC. Approved % CHGE. Budget 2020 2,527 106,483 2.43% 0 600 0.00% 491 29,956 1.67% 0 650 0.00% 0 550 0.00% (5) 345 (1.43%) 0 500 0.00% (4,500) 23,000 (16.36%) 20 760 2.70% 0 470 0.00% (84) 5,680 (1.46%) 0 300 0.00% 0 1,000 0.00% 0 900 0.00% (1,551) 171,194 (0.90%) 0 0 0.00% 4,500 (23,000) (16.36%) 4,500 (23,000) (16.36%) 2,949 148,194 2.03% 2141 Health & Safety Expenditures 2141.1100.0000 Salaries & Wages Base Salaries and Wages City of Pickering 2021 Approved Background Information Total 2141.1100.0000 Salaries & Wages 2141.1200.0000 Overtime To meet service level/workload commitments Total 2141.1200.0000 Overtime 2141.1400.0000 Employer Contributions This item includes mandatory deductions (CPP, El, EHT) and employer provided benefits such as extended health and dental Total 2141.1400.0000 Employer Contributions 2141.1800.0000 Conferences PSHSA (Public Services Health & Safety Association) membership meetings Total 2141.1800.0000 Conferences 2141.2110.0000 Travel Parking and mileage Total 2141.2110.0000 Travel 2141.2140.0000 Telephones Run Date: 4/21/21 12:05 PM 2021 Bud et 106,483 106,483 600 600 29,956 29,956 650 650 550 550 Voice / Data 305 Internet 40 Total 2141.2140.0000 Telephones 2141.2340.0000 Seminars & Education Education Assistance -Coordinator, Health & Safety Total 2141.2340.0000 Seminars & Education 2141.2341.0000 Corporate Training Corporate health & safety training program to reduce WSIB claims. Expenditure includes: in-house training, external trainers, wellness initiatives, safety supplies inclusive of food and beverage. Program funded from the WSIB reserve. Total 2141.2341.0000 Corporate Training 2141.2370.0000 Insurance Premium Annual cost of insurance policy that provides protection for municipal activities and property. (Policy coverage includes: liability, automobile and property). Total 2141.2370.0000 Insurance Premium 2141.2395.0000 Memberships HRPAO Membership -Coordinator, Health & Safety OMHSA Membership -Coordinator, Health & Safety Total 2141.2395.0000 Memberships 2141.2479.0000 SFWR/HDWR MAINT CONTRACTS 356 345 500 500 23,000 23,000 760 760 320 150 470 City of Pickering 2021 Approved Background Information 2141 Health & Safety MSDS Online (H&S compliance) Maintenance -HRIS 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 Material Training & Educational Material Total 2141.5380.0000 Educational Material 2141.5390.0000 Workplace Accommodation 'Physical Demands Analyses (assistive 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 357 Run Date: 4/21/2112:05 PM 2021 Bud et 5,500 180 5,680 300 300 1,000 1,000 900 900 171,194 0 (23,000) (23,000) (23,000) 148,194 Pickering Public Library Overview The Pickering Public Library is responsible for ensuring that all Pickering residents have equitable access to resources, information and ideas that will enrich their personal, civic and corporate lives. Public Services Pickering Public Library [ Support Services ] The Pickering Public Library offers access to free spaces, programs, collections and other services that support the following ends: • Residents will be enriched by a culture of reading. • Residents will be supported in their lifelong learning needs at all ages and stages. • Residents will have access to welcoming public facilities where the entire community can read, connect, collaborate, learn, or simply be. • Residents will have access to library services that are high quality, efficient, and cost-effective, developed with community input and awareness. • Residents will have access to library services that support their financial, physical, social, and mental well-being. Key Activities for 2021 • Development of an outreach vehicle program to serve new communities • Community engagement project connected to the services and spaces in the City Centre, Pickering Heritage & Community Centre, and George Ashe Libraries • Pilot a volunteer-supported delivery service for homebound seniors • Develop innovation plans for City Centre Library and Pickering Heritage & Community Centre • Action recommendations provided by Pickering Public Library's Anti-Black Racism Working Group • Implement enhanced outcomes-based evaluation framework for library programs 359 • Continued improvement of virtual programming through design thinking and prototyping • Implement curated book collections for children, teens ahd adults • Pilot extended service model at the Claremont Library • Develop programs and schematic concepts for the future Seaton Library Financial Information Staffing Summary (Full & Regular Part-Time) Approved Current Term 2019 2020 A ,pprove d 2021 2018 38 26 64 Add Delete Total Full Time Reg. Part-Time · Total 37 25 63 36 24 60 1 Q 1 0 37 -2 22 -2 59 The proposed staffing complement in 2021 would eliminate a part-time Marketing Assistant role and add a full-time Marketing and Community Engagement role. This deferential will be funded by the elimination of a part-time, public service role. The new role will be responsible for supporting marketing and communications work and community engagement projects and programs. Year-Over-Year (Net Cost) Budget Changes 2020 Budget 2021 Approved Budget YearNear Increase ($) (%) Libraries $5,773,179 $5,876,597 $103,418 1.79 1.79 Total (Net Cost) $5,773,179 $5,876,597 $103,418 ============================ Explanation of Significant Budget Changes -Expenditures • Overall, the Library's 2021 budgeted expenditures increased by 0. 12% -$7,418 from the previous year. This change was driven by the following: o if $37,000 to support increased use of digital collections and online learning platforms by library clients o if $30,000 to upgrade security software and support virtual programming o if $23,000 for City chargebacks related to diversity and inclusion consulting and staffing resources o if $17,000 for enhanced cleaning procedures during the pandemic o ,!J.-$95,000 in salaries and wages due to pandemic conditions 360 Explanation of Significant Budget Changes -Revenues/ (Transfer from Reserves) o -0-$68,000 in fines and room rental revenues related to pandemic conditions o . fr $37,000 in reserve transfer 2020 Performance Indicators/Statistics Annual Per Capita (pop: 100,000) or% of Population Active cardholders 37,583 38% of total population Internet sessions accessed 624,637 6.2 per capita Total materials borrowed 496,445 5. 0 per capita Website visits 246,397 2.5 per capita In-person visits 145,497 1.5 per capita Public Printing/ Copying (pages) 144,503 1.4 per capita Total digital learning sessions 108,298 1.1 per capita Program attendance 5,720 0.06 per capita Number of programs 483 361 Library 2019 Actuals Expenditures 1100 Salaries & Wages 3,580,858 1200 Overtime 1,736 1400 Employer Contributions 926,907 1700 Employee Recognition & Appre 3,535 1800 Conferences 8,694 1900 Uniforms 2,117 2110 Travel 6,341 2121 Postage 3,505 2122 Freight, Express & Cartage 1,427 2131 Cellular Phones 7,997 2140 Telephones 52,266 2210 Advertising 18,182 2320 Legal Services 11,426 2340 Seminars & Education 22,475 2365 Purch Prnting/Broch/News Ur 5,389 2370 Insurance Premium 23,918 2371 Ins. Deductible 0 2392 Consulting & Professional 17,108 2394 Recpt, Prom & Sp Events 10,910 2395 Memberships 7,482 2399 Outside Agency Serv 40,343 2435 Build Repairs & Mtce 254,401 2457 Veh -Repairs & Maintenance 685 2478 Misc Equip Repairs 38,316 2479 Software/Hardware Maintenanc 132,198 5300 Stationery & Office Supplies 19,124 5303 Catalogue Processing Supp 5,512 5310 Lib Materials 262,455 5320 Program Supplies 34,550 5510 Utilities -Water 15,374 5520 Utilities -Gas 31,741 5530 ·utilities -Hydro 170,070 5900 Gas, Oil Tires 1,639 5902 Supplies & Tools 3,863 5973 Minor Furniture & Fixtures 3,509 597 4 System & Software Upgrades 40,704 5975 Hardware Replacements 18,036 Total Expenditures 5,784,793 City of Pickering 2021 Current Budget Approved Final 2020 2020 YTD Approved Actuals Budget 3,154,486 3,461,809 480 0 862,752 914,436 2,810 3,000 4,971 6,500 617 2,300 1,413 6,000 1,170 3,800 310 1,000 9,438 11,000 50,153 57,276 13,303 14,000 0 0 29,316 16,900 2,079 9,000 24,345 24,345 0 2,000 27,151 31,850 1,928 9,000 7,388 7,500 42,287 274,760 205,757 260,389 572 2,000 25,091 43,250 191,559 187,841 10,508 19,000 2,841 5,000 288,246 273,290 20,332 35,750 14,683 17,940 27,090 34,461 153,069 189,000 2,775 2,132 5,230 3,500 415 5,000 0 0 59,205 46,075 5,243,770 5,981,104 362 Run Date: 4/21/2111 :58 AM 2021 INC./DEC. Approved % CHGE. Budget 2020 (94,527) 3,367,282 (2.73%) 0 0 0.00% (9,742) 904,694 (1.07%) 0 3,000 0.00% (3,000) 3,500 (46.15%) 0 2,300 0.00% (2,000) 4,000 (33.33%) (500) 3,300 (13.16%) 0 1,000 0.00% 8,238 19,238 74.89% 5,814 63,090 10.15% (4,000) 10,000 (28.57%) 0 0 0.00% 12,500 29,400 73.96% (4,000) 5,000 (44.44%) 485 24,830 1.99% 0 2,000 0.00% (11,350) 20,500 (35.64%) (2,000) 7,000 (22.22%) 0 7,500 0.00% 23,274 298,034 8.47% 17,357 277,746 6.67% 0 2,000 0.00% (4,000) 39,250 (9.25%) 29,809 217,650 15.87% 0 19,000 0.00% 0 5,000 0.00% 36,700 309,990 13.43% (9,000) 26,750 (25.17%) 360 18,300 2.01% 0 34,461 0.00% 0 189,000 0.00% 0 2,132 0.00% 0 3,500 0.00% 5,000 10,000 100.00% 0 0 0.00% 12,000 58,075 26.04% 7,418 5,988,522 0.12% Library 2019 Actuals Revenues 1529 Fines -Library Matis. (64,408) 1580 Misc. -Photocopi~s Lib. (44,411) 1592 Donations (6,168) 1610 Federal Grant (6,728) 1623 Ont. Specific Grants (135,345) 9916 Vending Machines (2,175) 9933 Rentals -Mtg. Room/Public (4,532) 9990 Other Misc Revenue (9,067) Total Revenues (272,834) Transfers to/from Reserves & R.F. 1910 Transferto/(from) Reserve 80,000 Total Transfers 80,000 Net 5,591,959 City of Pickering 2021 Current Budget Approved Final 2020 2020 YTD Approved Actuals Budget (18,356) (80,000) (13,409) (52,000) (5,051) (16,000) (27,136) 0 (136,689) (106,425) (848) (2,500) (830) (8,000) (2,323) (6,000) (204,642) (270,925) 100,000 63,000 100,000 63,000 5,139,128 5,773,179 363 Run Date: 4/21/2111:58 AM 2021 INC./DEC. Approved % CHGE. Budget 2020 60,000 (20,000) (75.00%) 0 (52,000) 0.00% (9,000) (25,000) 56.25% 0 0 0.00% 0 (106,425) 0.00% 0 (2,500) 0.00% 8,000 0 (100.00%) 0 (6,000) 0.00% 59,000 (211,925) (21.78%) 37,000 100,000 58.73% 37,000 100,000 58.73% 103,418 5,876,597 1.79% City of Pickering 2021 Approved Background Information 27 45 Libraries Expenditures 27 45.1100.0000 Salaries & Wages Base Salaries and Wages Pay in Lieu of benefits for casual staff (level 3) Conversion of part-time Marketing Assistant position to a full time Marketing/Community Engagement Assistant position (net cost) -effective June 1, 2021 Elimination of one part-time Client Experience Associate position Temporary staff savings (pandemic related) Temporary decrease in hours for Task Force positions (pandemic related) Temporary decrease in hours for casu~I positions (pandemic related) 2021 CUPE salary increase transfer from Gen. Gov't Contingency Total 2745.1100.0000 Salaries & Wages 2745.1400.0000 Employer Contributions This item includes mandatory deductions (CPP, El, EHT) and employer provided benefits such as extended health and dental Benefits related to Employee Post Retirement Benefits Benefits related to conversion of part-time Marketing Assistant position to a full-time Marketing Assistant/Community Engagement position (net cost) -effective June 1, 2021 Benefits related to elimination of one part-time Client Experience Associate position Benefits related to temporary staff savings (pandemic related) Benefits related to temporary decrease in hours for Task Force positions (pandemic related) Benefits related to temporary decrease in hours for casual positions (pandemic related) Benefits related to 2021 CUPE salary increase transfer from Gen. Gov't Contingency Total 2745.1400.0000 Employer Contributions 27 45.1700.0000 Employee Recog'n & App rec Long Service and Retirement Awards for staff Recognition event for volunteers 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 364 Run Date: 4/21/21 12:05 PM 2021 Bud et 3,543,525 5,100 15,050 (32,587) (141,409) (35,920) (22,084) 35,607 3,367,282 938,038 9,977 6,500 (7,739) (44,308) (2,436) (2,018) 6,680 904,694 2,000 1,000 3,000. 2,500 1,000 3,500 City of Pickering 2021 Approved Background Information 27 45 Libraries 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 27 45 .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 Public Hotspot and Internet Kit connectivity costs 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 2745.2340.0000 Seminars & Education Staff training based on Staff Development plan Legally required staff training Advanced Public Library Leadership course 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 for Library activities and property. (Policy coverage includes: liability, automobile and property) Total 2745.2370.0000 Insurance Premium 365 Run Date: 4/21/2112:05 PM 2021 Bud et 2,300 2,300 3,000 1,000 4,000 2,500 800 3,300 1,000 1,000 4,438 14,800 19,238 23,165 38,500 1,425 63,090 10,000 10,000 22,600 5,000 1,800 29,400 5,000 5,000 24,830 24,830 City of Pickering 2021 Approved Background Information 27 45 Libraries 2745.2371.0000 Insurance Deductible Insurance Deductible Total 2745.2371.0000 Insurance Deductible 2745.2392.0000 Consulting & Professional EFAP Program Board Education Ergonomic assessment SirsiDynix Server Migration project (2) Roof Anchor inspection External Audit Fees 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 Total 2745.2395.0000 Memberships 2745.2399.0000 Outside Agency Services Human Resources staff salaries -Chargeback from City Benefits related to Human Resources staff -Chargeback from City HR Legal counsel -Chargeback from City HR Training -Chargeback from City HR Professional memberships (HRPA) -charge back from City Diversity & Inclusion Strategy Consulting -Chargeback from City Salary and Benefits -Chargeback from City for services provided by Public Affairs Assistant-5 mths at 1/2 time) Security Services for Central Library Rental of storage space for Local History documents Accessibility Services Central Security Alarm System Service George Ashe -Security System Services Claremont Library--Security System Services Base Hospital Support Defibrillation Program -Central Central Library Defibrillator monitoring Total 2745.2399.0000 Outside Agency Services 2745.2435.0000 Building Repairs & Mainte Central Library Sanitact (6 units) 366 Run Date: 4/21/2112:05 PM 2021 Bud et 2,000 2,000 4,500 1,000 500 8,000 500 6,000 20,500 1,000 6,000 7,000 6,500 1,000 7,500 163,575 50,223 3,000 2,500 1,000 10,000 11,500 50,086 2,100 500 500 600 600 1,600 250 298,034 2,900 City of Pickering 2021 Approved Background·lnformation 27 45 Libraries George Ashe -Sanitact (1 unit) All Branches Washroom & Janitorial Supplies All Branches--Water Testing All Branches -Bed Bug inspection and treatment Contingency (All Sites) Claremont Library -Snow Clearing Central Library snow clearing . George Ashe Snow clearing Air handling maintenance (chillers & starters only) Fan calibration & adjustment Elevator maintenance Boiler maintenance Garbage disposal Diesel generator maintenance Main Electrical Switchboard yearly maintenance Mech. Systems Water treatment Energy Management System "PM" Electrical Safety Authority Yearly Inspections Miscellaneous provision for electrical, plumbing, mechanical & other supplies, air handling George Ashe -HVAC service contingency All Branches--Fire Alarm, Sprinkler & Fire Extinguishers 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.) 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 Repairs & 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 ILS Maintenance--BiblioCommons Biblio Web software/Content Management Module for ILS 367 Run Date: 4/21/2112:05 PM 2021 Bud et. 320 6,960 800 3,300 5,000 3,000 15,000 4,500 4,120 2,060 4,600 3,090 6,288 3,000 1,000 3,600 1,500 3,200 10,300 1,250 3,348 , 178,610 10,000 277,746 2,000 2,000 5,000 34,250 39,250 21,846 50,388 33,300 40,700 City of Pickering 2021 Approved Background Information 2745 Libraries Website content software Network Maintenance--Domain registrations Microsoft Licensing Open DNS Cloud Security Client Access software including anti-virus Virtual server licencing 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 virtual servers Public feedback software Adobe Creative Suite Veam Backup and Recovery software Lastpass Teams -password management Video conferencing software Video editing software Reading promotion software Update Self Checkout machines to Windows 10 Maintenance -HRIS software 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 Circulation 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) Additional demand for digital materials Total 2745.5310.0001 Library Mat-57.14% 2745.5320.0000 Program Supplies Programming funds for public programs. Partially offset by donations Makerspace programming supplies 368 Run Date: 4/21/2112:05 PM 2021 Bud et 3,200 200 7,000 2,000 2,500 2,500 1,300 1,000 700 350 360 650 4,100 1,000 1,000 1,300 1,500 600 7,560 240 2,700 20,000 9,656 217,650 16,000 3,000 19,000 5,000 5,000 273,290 36,700 309,990 17,750 3,000 City of Pickering 2021 Approved Background Information 27 45 Libraries Anti-Black Racism Working group Total 2745.5320.0000 Program Supplies 2745.5510.0000 Utilities -Water Budget based on 2020 projected actuals and regional water rate increase in 2021 -Central Budget based on 2020 projected actuals and regional water rate increase in 2021 -George Ashe Total 2745.5510.0000 Utilities -Water 2745.5520.0000 Utilities -Gas Central, George Ashe and Claremont Libraries -Budget based on projected 2020 actuals Total 2745.5520.0000 Utilities -Gas 2745.5530.0000 Utilities -Hydro Budget based on 2020 projected actuals and rate increase in 2021 Total 2745.5530.0000 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 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 & firewalls Technology outreach programming equipment Makerspace Equipment & programming replacement Upgrade loanable technology Loanable laptops for clients Total 2745.5975.0000 Hardware Replacements Total Expenses Revenues 1529.0000.0000 FINES -LIBRARY MATLS. 369 Run Date: 4/21/21 12:05 PM 2021 Bud et 6,000 26,750 13,725 4,575 18,300 34,461 34,461 189,000 189,000 1,627 505 2,132 2,500 1,000 3,500 10,000 10,000 2,000 7,000 4,500 4,800 3,775 36,000 58,075 5,988,522 City of Pickering 2021 Approved Background Information 27 45 Libraries 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. 1592.27 45.0000 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 2745.9990.0000 Other Revenue Payphone, book sales, genealogy research, other revenues Total 2745.9990.0000 Other Revenue Total Revenues Transfers 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 370 Run Date: 4/21/21 12:05 PM 2021 Bud et (20,000) (20,000) (49,000) (3,000) (52,000) (25,000) (25,000) (97,833) (8,592) (106,425) {2,500) (2,500) (6,000) (6,000) (211,925) 100,000 100,000 100,000 5,876,597 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. Vehfcle 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. 414 Maturity Date Projects City of Pickering 2021 Outstanding Debt Summary 2021 Liverpool Rd Nautical Village Blvd & Streetscape Liverpool Road -Road Works, Storm Sewer, Street Lighting 2021 and Boulevard Reconstruction, and Wharf Street Sidewalk Installation 2021 Stormwater Management Facility# 4 and related storm sewer cc 2021 Roof Reinforcement at East Shore Community Centre 2021 Supply & Delivery of One Articulating Front End Loader 2021 Supply & Delivery of Seven Fire Vehicles Replacement 2022 Expansion and Renovations of the Don Beer Arena (Refunding debentures of 2002 debt in 2012) 2022 Roof Replacements at the Don Beer Arena Rink 1 2022 Browning Ave Storm Sewer Replacement 2022 Supply and Delivery of Sweeper 2022 Frenchman's Bay Harbour Entrance 2022 Petticoat Creek Library Reading Garden Enclosure 2022 PCL Makerspace 2022 Highway 401 Notion Rd Crossing 2023 Banquet Hall and Washroom Renovations 3 Liverpool Road Reconstruction and Minor Storm Sewer Repair 202 from Ilona Park Road to Krosno Boulevard 2023 Fire -One new 55 Foot Aerial Quint Fire Truck 2023 Don Beer Arena-Ice Rink 2 Renovations 2023 Pickering Recreation Complex Doubles Squash Court and , Aerobics Studio 2023 Sheppard Ave, Reinforced Soil System Supply and Delivery of One New Latest Model Year Articulating 2023 Front Loader 2024 Supply and Delivery of Road Grader with Attachments 2025 Conbination Barn Restoration at the Pickering Museum Village 2025 Squires Beach Rd. From McKay to Clements Rd 2026 Urbanization of Third Concession Road and Brock Road to CPR underpass (BR-1) & (DH-15) 2026 Southview Drive -Road Reconstruction & Urbanization 2026 Westshore Neighbourhood-Flood Remediation, Breezy & Vistula Roads Reconstruction 2026 Fire -One 2013 Smeal Heavy Duty Aerial Ladder 2026 Pool Deck Repairs at Dunbarton Indoor Pool 2026 Don Beer Arena Roof Replacement 2027 AIP: Sixth Concession Rd -Road Reconstruction and Storm Sewer Replacement, Greenwood Road to Westney Road 415 Borrowed Outstanding Committed Principal Amount ($) Balance-2020 ($) 700,000 64,922 320,000 35,000 2,000,000 1 223,000 150,000 17,000 180,000 36,973 190,000 39,027 1,057,000 233,000 420,000 94,000 174,000 72,226 250,000 103,774 1,500,000 241,268 112,000 41,634 100,000 41,363 486,000 486,000 490,000 161,034 495,000 162,677 680,000 223,476 263,000 161,627 833,000 511,922 367,000 225,541 200,000 122,910 369,000 294,000 191,000 191,000 360,000 64,342 ·1,340,000 603,000 660,000 407,577 815,000 503,295 1,020,000 629,891 899,000 555,169 460,000 284,069 1,540,000 1,114,667 Maturity City of Pickering 2021 Outstanding Debt Summary Date Projects 2027 AIP Consulting Services for Sandy Beach Road Reconstruction 2027 SCBA Replacement -Breathing Apparatus 2028 Fire -One Fire Pumper Tanker 2029 Indoor Soccer Facility 2029 Westney Road -Road Reconstruction 2029 Salem Road -Road Reconstruction 2029 Brock Ridge Community Park and S.M.Woodsmere Park- Baseball Diamond Improvements Project 2029 Centennial Park Baseball Diamond Reconstruction Project 2030 Purchase of land for Seaton North Fire Station 2031 Delaney Arena Improvements at the Pickering Recreation Complex 2032 Pickering Civic Complex Roof Repairs 2032 Pickering Recreation Complex Roof Repairs 2033 Abbott Crescent Stormwater Management Pond- Reconstruction 2034 Whitevale Bridge 2037 New Operations Centre 2038 Conservation Barn Reconstruction at the Pickering Museum Village 2039 Pickering Recreation Complex Roof & Skylight Rehabilitation Program Total "Issued" Debt Commitments-Dec. 31, 2020 The City has paid 32.84% of the original borrowed amount. Borrowed Outstanding Committed Principal Amount ($) Balance-2020 ($) 300,000 218,056 288,000 173,385 749,000 614,000 3,734,000 2 2,440,000 1,496,000 1,372,770 700,000 642,338 919,000 843,300 357,000 327,593 1,856,000 1,856,000 2,249,000 1,704,000 520,000 429,543 550,000 454,324 342,000 304,000 1,400,000 1,074,000 9,907,000 3 8,735,000 850,000 784,000 690,000 658,000 45,528,000 30,575,692 Please note that the Combination Barn and Conservation Barn are two different buildings. Loan & External Debt Approved in Prior Years' Capital Budget-Still to be issued 4 External Debt To be Issued by the Region 2031 FS# 5 Replacement -Design 2031 Backup Generator Replacement-Rec Complex 2031 Westney Road -Full Road Reconstruction (From Concession 8 to Concession 9). 2031 Backup Generator Replacement 2031 Tennis Court Flooring Replacement 2036 Fire Pumper Rescue Replacement 2041 Michell Bridge -Rehabilitation 2041 FS#1 New Fire Station & HQ (Seaton) 2041 Lobby & Core Area Renovations Sub-total Debt to be Issued 2021 New Debt (To be Approved by Council) New Debentures New Internal Loans 416 465,000 1,100,000 300,000 800,000 600,000 1,000,000 850,000 2,767,180 5,600,000 13,482,180 11,391,900 . 1,607,500 Maturity City of Pickering 2021 Outstanding Debt Summary Date Projects Sub-total 2021 Debt Note: 1 Funded from Duffin Heights Reserve 2 Funded from contribution from the Pickering Soccer Club 3 Funded from Development Charges Reserve Fund 417 Borrowed Committed Amount ($) Outstanding Principal Balance-2020 ($) 12,999,400 City of Pickering Reserves and Reserve Funds Balance Preliminary Forecast 2021 • 2025 sum11fProJccted ~S1i1111of202'1T0Lal 1•ol2G2'1To&al ~um11rPr11Jeded ~SUMol2021Toul 1Sof2022To1111 Sum11fPr11J1cted s ... or a»To tal ~S-of2DDTol:III -~umofProjected ~Uffl ol2024Total 1 SU.ot21UTotar ~umofProJcetcd 1Sumof'2021Toul 1SU•ofl021Tolal ~umorProJ•cted ~ Balanc.Dec)1,2020J'rojKlad l'IMIMCIDmn Bal&nc1D1e31,2021 ProJlclld P'-'-'~ Balanc,D■c)1,2022 Pn:ijcllld Pla-..lDraw. 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'3437 3125753 312723 BuTidln"Poln'llt nooo 0 0 nooo 0 0 '3.000000 0 0 □ 000000 0 0 '3000 0 0 '300000 Cammunl Bon1r.t Chn,,,11 "0017487' "001748 1982393 r211ilH118 632874901 852873701 531380,t r90.IS01174 fVDl50 17 OovolopmontChorgn -Soo following pa;of11rOCRonrvaFundBlll11nc11, 0 7&53135 353".UI 27109252 16521'68 3510516 r7.5H:SU 201255:SS 3S71C1• 17210145 Mll70'7 9300104 3SH111 191"175:s 3987000 3HS111 801)"'35' Resorva• ■ nd Ro1orve Funds Tobi I n,1,,n I 1'11D1121 I j"3U79S,JI sou11.ul 111n1111, I IV'OIDHOII 311313771 117112731 l!IUll3111 [2D031H1l1 ~3915111011 ,,1118~t1 I 1'21~1716311 j9:SIIU!DI 17'1'21S011 [:!7927H!DI Note 1 • The above table does not Include the Cas ino Reserve ..s::,. .... co Attachment #1 to Report #FIN 06-20 City of Pickering Pre-Audit 2019 Statement of the Treasurer -Development Charges (DC) Reserve Fund for the Year Ended December 31, 2019 Services to which the Development Charaes Relates DC Act S 43 (2)(a) 100% Recovery (Non-Discounted) 10% Statutory Deduction (Discounted) Account 7605 7610 7615 7611 7601 7622 7630 Protective Other Services Storm Water Parks & Library: Services Transportation Related to a Mgmt Studies Recreation Facilities & Total Description Hiahwav . $ $ $ $ $ $ $ $ Opening Balance, January 1, 2019 2,225,617 27,702,614 82,198 3,154,525 (184,512) 21,805,122 4,003,852 58,789,415 Plus: Development Charges Collections 743,641 2,108,082 363,688 236,843 231,723 3,031,479 671,088 7,386,544 Interest Income-Internal Investment 1,859 23,138 69 2,635 0 18,213 3,344 49,257 Interest Income -External Investment 48,321 601,455 1,785 68,488 0 473,414 86,928 1,280,391 Less Admin Fee (2,315) (28,813) (85) /3,281) 0 (22,679) /4,164) (61,338) Sub-Total 791,505 2,703,863 365,456 304 685 231,723 3 500,426 757,196 8,654,854 Less: 2019 Transfer to Capital Funds 1 (866,883) (964,083) (667,843) (810,306) (350,865) (217,449) (3,877,428) 2019 Transfer to Current Funds•' 0 0 /412,389) 4 0 /292,539) /263,659) 4 0 /968,586) Sub-Total 2019 (866,883) (964,083) (1,080,232) o 0 (1,102,844) (614,524) (217,449) (4,846,014) Opr Ctr Debt Chrgs-Adjustment to 2018 Transfer to Current Funds, allocate 39% from "Other Services Related to a Highway'' to "Parks & Recreation" 262,043 5 /262,043)' 0 Sub-Total (866,883) (964,083) (818,189) 0 /1, 102,844) /876,567) /217,449) /4,846,014) Closing Balance, December 31, 2019 before Budget Commitments 2,150,240 29,442,394 (370,535) 3,459,209 (1,055,633) 24,428,981 4,543,599 62,598,255 Less Budget Cor,-;mitments 2 (2,208,950) {4,868,847) 0 (3,632,977) (1,568,231) (2,410,659) (270,443) (14,960,108) Less New Operations Ctr Debt Charges Commitment 2020-2037 0 0 /7,457,052) 3 0 0 /4,727,795) 3 0 (12,184,847) Sub-Total /2,208,950\ (4,868,847) (7,457,052) /3,632,977) (1,568,231) (7,138,455) (270,443) /27, 144,954) Closing Balance, December 31, 2019 after Budget Commitments-(Deficit) (58,711) 24,573,547 (7,827,587) 1,250,259 (2,623,864) 17,290,527 4,273,156 35,453,301 Notes: 1· See Attachment 2 for details 2 • Budget commitments include capital projects previously approved, but have not proceeded or still ongoing. 2019 & Prior Commitments 3• New Operations Ctr outstanding debt charges from 2020-2037. Total amount owing $12,184,847, allocated in the ratio of 61% "Other Services Related to a Highway" and 39% "Parks & Recreation" '· New Operations Ctr DC debt charges-2019 payment of $676,048, allocated 61% to "Other Services Related to a Highway" $412,389 and 39% $263,659 to "Parks & Recreations" 5• Adjustment to 2018 debt charges, on which 100% was allocated to "Other Services related to Highway". Per 2018 DC Study: 61% to "Other Services Related to a Highway" and 39% to "Parks & Recreation" The Municipality is compliant with s.s.59.1 (1) of the Development Charges Act, whereby charges are not directly or indirectly imposed on development nor has a requirement to construct a service related to development been imposed, except as permitted by the Development Charges Act or another Act.