180129 Council Budget AGDTable of Contents
Agenda 4
Minutes from Council Budget Meeting January 15, 2018
180115 Council Budget MIN 14
2018 Budget Tally
2018 Budget Tally 22
Gibson Bridge
Motion - consult fee Gibson Bridge- Stephenson 23
Gibson Pedestrian Bridge
Resolution - Gibson Bridge 24
X40 Gibson Pedestrian Bridge Design Study
X40 Operations Capital 25
Trail - Railroad Bed
Motion - Trail Railroad - Stephenson 26
Annandale Parking Lot
Motion - Annandale parking lot - Rosehart 27
X14 Annandale Parking Lot
X14 Annandale Parking Lot 28
Excerpt - Resolution Pre Budget November 27, 2018 29
Consultant - Kitchen Reno (2017 Budget Item)
Motion - Consultant Kitchen Reno - Rosehart 30
RCP 17-53 Kitchen Renovation
RCP 17-53 - Lions Auditorium Kitchen Improvements 31
RCP 17-53 Resolution 34
Park Signage Design
Motion - Parks Signage Design - Rosehart 35
Parks Signage
Motion - Parks Signage Design and Install - Esseltine 36
X70 Park Sign Design
X70 Parks Signage 37
RCP 18-04 Park Signage 38
Dispatch Console
Motion - Fire Communications Dispatch Console
Funding Esseltine 39
FRS 18-01 Fire Communication Console
FRS 18-01 Fire Comm Console 40
Airport Master Plan
Motion - Airport Master Plan Update - Esseltine 44
Airport Master Plan
Motion - Airport Master Plan -Adam 45
X12 Airport Master Plan
X12 Operations Capital Airport Master Plan 46
Annandale House Repairs and Maintenance
Motion - Annandale House Trust - Esseltine 47
1
X97, X98 & X 99 Museum Repairs
X97 Museum Repairs 48
X98 Museum Repairs 49
X99 Museum Repairs 50
Kinsmen Bridge Enhanced OSIM Inspection
Motion - Kinsmen Bridge Enhanced OSIM Inspection -
Esseltine 51
Kinsmen Pedestrian Bridge
Resolution - Kinsmen Bridge 52
X41 Kinsmen Bridge
X41 Kinsmen Bridge Inspection 53
Asphalt Resurfacing Program
Motion - Ashpalt resurfcing -Adam 54
X39 Asphalt Resurfacing
X39 Asphalt Resurfacing 55
Excerpt - Resolution Pre Budget November 27, 2018 56
Annual Playground Equipment Replacements
Motion - Playground equip -Adam 57
X75 Playground Equipment
X75 - Playground Equipment 58
Band Shell Ramp Completion
Motion - bandshell ramp - Rosehart 59
Maintenance and Upkeep of Lake Lisgar
Motion - Lake Lisgar - Stephenson 60
Beautification Program
Motion - beautification program - Rosehart 61
Enhanced Beautification Program
Motion - beautification program - Hayes 62
RCP 17-49 Enhanced Beautification
RCP 17-49 - Enhanced Beautification Program
Summary 63
Loose Leaf Collection Program
Motion - loose leaf - Rosehart 66
OPS 17-33 Loose Leaf Collection
OPS 17-33 Loose Leaf Collection Program Review (2)67
H & S Coordinator
Motion - F.T.E Health & Safety Coordinator - Rosehart 73
H & S Coordinator
Motion - F.T.E Health & Safety Coordinator - Hayes 74
Gibson House Boathouse (Not currently in the 2018 Budget)
Motion - Gibson House - Rosehart 75
Gibson House
Resolution - Gibson House 76
Building Department Parking Study
Motion - parking study - Rosehart 78
2
Cost of Living Increase
Motion - COL reduced - Adam 79
Branding—Wayfinding Signage
Motion - PWayfinding Signage -Adam 80
T: Go Call n’ Ride
Motion -T-Go - Adam 81
TGO CALL-N-RIDE Grant Request – 2018-19 82
Motion to Reconsider Council Resolution #5 from the Council
Budget Meeting January 15, 2018 - .25 FTE
Motion to Reconsider - Adam 85
By-Law 4168 To Confirm the Proceedings of the Council
Meeting of January 29, 2018
By-law 4168 Confirming Jan 29 18 87
3
1.Call to Order
2.Adoption of Agenda
Proposed Resolution #1
THAT the Agenda as prepared for the Council meeting of January 29, 2018, be adopted.
3.Moment of Silence
4.Disclosures of Pecuniary Interest and the General Nature Thereof
5.Adoption of Council Minutes of Previous Meeting
5.1. Minutes from Council Budget Meeting January 15, 2018
180115 Council Budget MIN
Proposed Resolution #2
THAT the Minutes of the Council Budget Meeting of January 15, 2018 be approved.
6.Budget Tally
6.1. 2018 Budget Tally
2018 Budget Tally
7.Notice of Motions for which previous notice was given
CAPITAL
7.1 Gibson Pedestrian Bridge
Motion - consult fee Gibson Bridge- Stephenson
Proposed Resolution #3
The Corporation of the Town of Tillsonburg
BUDGET COUNCIL MEETING
Monday, January 29, 2018
6:00 PM
Council Chambers
200 Broadway, 2nd Floor AGENDA
4
Council Budget Meeting – Agenda 2
Moved By: Councillor Stephenson
THAT Council not go ahead with a consulting fee on the bridge(Gibson) over Stoney creek.
Resolution - Gibson Bridge
Proposed Resolution #4
Moved By: Councillor Adam
THAT the Gibson Pedestrian Bridge Replacement Design Study be removed from the 2018
Town budget and business plan;
AND THAT the bridge be closed immediately if deemed unsafe by Senior Leadership;
AND FURTHER THAT a staff report be brought back to Council regarding the costs and
ramifications of removing the bridge.
X40 Operations Capital
7.2 Railroad Bed
Motion - Trail Railroad - Stephenson
Proposed Resolution #5
Moved By: Councillor Stephenson
THAT that the trail(railroad bed) from Tilson Ave to Quarterline be completed this year using
DC reserves.
7.3 Annandale Parking Lot
Motion - Annandale parking lot - Rosehart
Proposed Resolution #6
Moved By: Councillor Rosehart
THAT the Annandale parking lot for $50,000 be reviewed after a meeting with the Ball
Players.
X14 Annandale Parking Lot
Excerpt - Resolution Pre Budget November 27, 2018
7.4 Consultant – Kitchen Reno
Motion - Consultant Kitchen Reno - Rosehart
Proposed Resolution #7
5
Council Budget Meeting – Agenda 3
Moved By: Councillor Rosehart
THAT no consultant be hired for the kitchen renovation at the community centre.
RCP 17-53 - Lions Auditorium Kitchen Improvements
RCP 17-53 Resolution
7.5 Parks Signage
Motion - Parks Signage Design - Rosehart
Proposed Resolution #8
Moved By: Councillor Rosehart
THAT the Parks Signage Design for $5,000 be revisited to allow for other designs to be
given for review.
Motion - Parks Signage Design and Install - Esseltine
Proposed Resolution #9
Moved By: Councillor Esseltine
THAT an additional $5000 per year be added to the Parks Signage Capital Projects Budget
(for a total of $10,000 annually) to enable the project to be completed within a reasonable
length of time;
AND FURTHER THAT the signs be constructed of a long-lasting, weather resistant material;
AND FURTHER THAT the design and cost estimates for the signs be brought before council
for approval.
X70 Parks Signage
RCP 18-04 Park Signage
7.6 Fire Communications Dispatch Console
Motion - Fire Communications Dispatch Console Funding Esseltine
Proposed Resolution #10
Moved By: Councillor Esseltine
THAT because of the additional capital requirement in 2018 for the purchase of a Dispatch
Console ($155,000) to replace the current equipment used in Fire Communications, council
defer the purchase of the items requested for capital purchase in the earlier version of the
2018 budget including X18 Fire Ground Equipment ($12,500), X46 Large Vehicle/Building
Stabilization ($14,000), and X48 Communications Log Recorder ($18,500) as well as X47
6
Council Budget Meeting – Agenda 4
Digital Road Sign ($14,500) and that these dollars from taxation be directed toward the
purchase of the required Dispatch Console at this time.
FRS 18-01 Fire Comm Console
7.7 Airport Master Plan Update
Motion - Airport Master Plan Update - Esseltine
Proposed Resolution #11
Moved By: Councillor Esseltine
THAT Council consider deferring the Airport Master Plan Update proposed in the 2018
budget. The $50,000 budget consists of $11,000 from reserves and $39,000 from taxation.
Motion - Airport Master Plan -Adam
Proposed Resolution #12
Moved By: Councillor Adam
THAT the Airport Master Plan update ($50,000) be removed from the 2018 budget and
business plans.
X12 Operations Capital Airport Master Plan
7.8 Annandale House
Motion - Annandale House Trust - Esseltine
Proposed Resolution #13
Moved By: Councillor Esseltine
THAT Council reconsider the 2018 capital budget allocations for the museum for which
funds are to be drawn from the Annandale House Trust including Repairs and Maintenance
($50,000), the servant’s porch ($15,000) and fire doors ($8,000). Taking these amounts
from the trust along with the $35,000 2017 allocation for painting the eaves and fascia
(incomplete at this time) would deplete most if not all of the dollars held in the reserve.
And further that the terms of the trust be reviewed to identify the approved uses of the funds
(for example, are funds to be used for the restoration and maintenance of the historic and
architectural features of Annandale House, and/or can they be applied to the costs of
mechanical systems and such that have been added to the house to accommodate the
operation of the museum). Money held in this reserve comes largely from donations
as well as fundraising efforts of a volunteer committee. It has been the goal of the
7
Council Budget Meeting – Agenda 5
fundraising committee to add in excess of $10,000 to the Trust Fund each year. It should
also be noted that the allocation of dollars from the Annandale House Trust would also
require approval of the Trustees as well as the Museum Advisory Committee.
X97 Museum Repairs
X98 Museum Repairs
X99 Museum Repairs
7.9 Kinsmen Bridge Enhanced OSIM Inspection
Motion - Kinsmen Bridge Enhanced OSIM Inspection - Esseltine
Proposed Resolution #14
Moved By: Councillor Esseltine
THAT council reconsider the Kinsmen Bridge Enhanced OSIM Inspection ($80,000 from
taxation) proposed in the 2018 budget.
Resolution - Kinsmen Bridge
Proposed Resolution #15
Moved By: Councillor Adam
THAT the Kinsmen Pedestrian Bridge Enhanced OSIM budget value of $80,000 be adjusted
to $40,000;
AND THAT the project implementation be delayed until 2019 (for further deliberation);
AND FURTHER THAT the $40,000 be contributed to the appropriate reserve fund.
X41 Kinsmen Bridge Inspection
7.10 Asphalt Resurfacing
Motion - Ashpalt resurfcing -Adam
Proposed Resolution #16
Moved By: Councillor Adam
THAT the proposed funding for the Asphalt Resurfacing Program be adjusted from
$382,400 to $350,000.
X39 Asphalt Resurfacing
Excerpt - Resolution Pre Budget November 27, 2018
8
Council Budget Meeting – Agenda 6
7.11 Annual Playground Equipment Replacement
Motion - Playground equip -Adam
Proposed Resolution #17
Moved By: Councillor Adam
THAT the funding for Annual Playground Equipment Replacement be reduced from $30,000
to $25,000.
X75 - Playground Equipment
7.12 Bandshell Ramp
Motion - bandshell ramp - Rosehart
Proposed Resolution #18
THAT Council direct staff to bring forward dollars from the 2017 budget in order to finish the
concrete ramp at the band shell.
OPERATING
7.13 Lake Lisgar Maintenance & Upkeep
Motion - Lake Lisgar - Stephenson
Proposed Resolution #19
Moved By: Councillor Stephenson
THAT Council put an operations line budget in Parks, Rec & Culture of $25K to be used for
maintenance and upkeep of Lake Lisgar;
AND FURTHER THAT these funds be contributed from reserves.
7.14 Beautification
Motion - beautification program - Rosehart
Proposed Resolution #20
Moved By: Councillor Rosehart
THAT no enhanced beautification program be done in 2018 and no new employee be hired
to provide the program
Motion - beautification program - Hayes Proposed Resolution #21
Moved By: Councillor Hayes
THAT the enhanced beautification program be removed from the 2018 budget and
reduce taxation by $53,200.
9
Council Budget Meeting – Agenda 7
RCP 17-49 - Enhanced Beautification Program Summary
7.15 Loose Leaf Program
Motion - loose leaf - Rosehart
Proposed Resolution #22
Moved By: Councillor Rosehart
THAT the loose leaf collection program to stop in 2018.
OPS 17-33 Loose Leaf Collection Program Review (2)
7.16 H & S Coordinator
Motion - F.T.E Health & Safety Coordinator - Rosehart
Proposed Resolution #23
Moved By: Councillor Rosehart
THAT 1.0 F.T.E, Health & Safety Coordinator for $58,000 be removed from the 2018
budget; AND THAT options for this work be provided.
Motion - F.T.E Health & Safety Coordinator - Hayes
Proposed Resolution #24
Moved By: Councillor Hayes
THAT $58,000 for one F.T.E, Health & Safety Coordinator be removed from the 2018
budget.
7.17 Gibson House
Motion - Gibson House - Rosehart
Proposed Resolution #25
Moved By: Councillor Rosehart
THAT the Gibson House Boathouse be fundraised by the Boaters and/or the Scouts.
Resolution - Gibson House
Proposed Resolution #26
Moved By: Councillor Adam
10
Council Budget Meeting – Agenda 8
THAT the Tillsonburg Scout Association and Sea Scouts once again be provided the rights
of primary usage and access to Gibson House for related meetings and water activities;
AND THAT a memorandum of understanding be established between the Town and the
organization(s);
AND FURTHER THAT this relationship be reviewed at least on a bi-annual basis until
another solution is solidified between the Town and organization(s) with respect to the
Memorial Park Revitalization initiative.
7.18 Parking Study
Motion - parking study - Rosehart
Proposed Resolution #27
Moved By: Councillor Rosehart
THAT the $5,000 for a Building Department parking study at the back of the mall be
removed from the 2018 budget;
AND THAT the Building Department work with Operations to use the same consultant for
the parking study at the back of the mall that is in place now in the budget for $35,000 for
the downtown parking study.
7.19 Cost of Living Adjustment
Motion - COL reduced - Adam
Proposed Resolution #28
Moved By: Councillor Adam THAT the Cost of Living increase of 1.5% for staff be adjusted to 0.5%.
7.20 Wayfinding Signage
Motion - PWayfinding Signage -Adam
Proposed Resolution #29
Moved By: Councillor Adam
THAT the funding for Branding—Wayfinding Signage be increased from $9,000 to $25,000
to allow for larger signs with larger print where appropriate, as well as further exploration into
the implementation of the program as a whole (i.e. adding other signs in strategic locations if
necessary).
11
Council Budget Meeting – Agenda 9
7.21 T-Go Call n’ Ride
Motion -T-Go - Adam
TGO CALL-N-RIDE Grant Request – 2018-19
Proposed Resolution #30
Moved By: Councillor Adam
THAT the already approved 2018 pre-budget funding for T: Go Call n’ Ride ($22,500) be
increased by $6,350 ($28,850).
7.22 Motion to Reconsider
Motion to Reconsider - Adam
Proposed Resolution #31
Moved By: Councillor Adam
THAT Resolution number 5 from the Council Budget meeting of January 15, 2018, duly
moved and seconded by Councillor Esseltine and Councillor Adam, and read as follows:
THAT Council includes the following additional items to the 2018 Operating Budget
1.$15,000 for the cost of snow removal at the CSC;
2.$54,075 in Provincial Gas Tax Revenue and an expenditure of the same to the
Community Transportation Committee for the operation of Transit in the
community in the 2018;
AND THAT Council includes the following additional items to the 2018 Capital Budget;
1.$25,000 to be funded from reserves for the cost of storm drain enhancements for
Quarter Town Line;
2.$158,000 for the cost of a Fire Communication Console to be funded by
$120,000 from user pay debt and $38,000 from reserves;
AND THAT Council approves an increase of .25 FTE to the overall FTE Count for CSR
support at the CSC;
be reconsidered at the Council Budget meeting of January 29, 2018.
8.2018 Budget
Proposed Resolution #32
THAT the 2018 Budget be approved.
9.By-Laws
9.1 By-Laws from the Meeting of January 19, 2018.
12
Council Budget Meeting – Agenda 10
By-law 4168 Confirming Jan 29 18
Proposed Resolution #33
THAT By-Law 41568, to Confirm the Proceedings of Council at its meetings held on January
29, 2018 be read for a first, second, third and final reading and that the Mayor and the Clerk
be and are hereby authorized to sign the same and place the corporate seal thereunto.
10.Adjournment
Proposed Resolution #34
THAT the Council Budget Meeting of January 29, 2018 be adjourned at _____ p.m.
13
ATTENDANCE
Mayor Stephen Molnar Councillor Max Adam Councillor Penny Esseltine Councillor Jim Hayes Councillor Chris Rosehart Councillor Brian Stephenson (left meeting 10:45am -1:15pm)
Staff: David Calder, CAO
Dave Rushton, Director of Finance/Treasurer Kevin DeLeebeeck, Director of Operations Rick Cox, Director of Recreation, Culture & Parks
Jeff Smith, Fire Chief Michael Desroches, General Manager, THI Janelle Costantino, Deputy Treasurer Cheyne Sarafinchin, Senior Cost & Budget Analyst Lana White, Executive Assistant/Deputy Clerk
Regrets: Deputy Mayor Dave Beres Donna Wilson, Town Clerk
1.Call to Order
The meeting was called to order at 9:05am.
2.Adoption of Agenda
Resolution #1
Moved By: Councillor Rosehart Seconded By: Councillor Hayes
THAT the Agenda as prepared for the Council meeting of Monday, January 15 2018 be
adopted.
Carried
The Corporation of the Town of Tillsonburg
COUNCIL BUDGET MEETING
Monday, January 15, 2018
9:00 AM
Council Chambers
200 Broadway, 2nd Floor MINUTES
14
Council Meeting – Agenda 2
3. Moment of Silence
4. Disclosures of Pecuniary Interest and the General Nature Thereof
There were no disclosures of pecuniary interest declared.
5. Adoption of Council Minutes of Previous Meeting
5.1. Council Budget Meeting Minutes of December 14, 2017
171214 Budget MIN
Resolution #2
Moved By: Councillor Hayes Seconded By: Councillor Rosehart
THAT the Minutes of the Council Budget Meeting of December 14, 2017 be approved.
Carried
6. Departmental Business Plans
6.1. Tab 8 - Building & By-Law Department Business Plan
Building & Bylaw Department
Mr. Geno Vanhaelewyn, CBO, appeared before Council to present the Building and By-
Law Department’s Business Plan and to provide follow-up information.
Noted was that the 2012 downtown design study remains relevant. The department is
looking for $5000 for a consultant. The consultant would assist, along with the BIA and
Chamber, to identify items to be focused on next.
The 2012 downtown design study to be circulated to Council as information.
Resolution #3
Moved By: Councillor Adam Seconded By: Councillor Esseltine
THAT Council receives the Building & Bylaw Department Business Plan, as information.
Carried
6.2. Tab 9 - Economic Development and Marketing Department Business Plan and
Budget
Economic Development and Marketing Department
Mr. Cephas Panschow, Development Commissioner, appeared before Council to
present follow-up information.
15
Council Meeting – Agenda 3
C. Panschow to bring back a report regarding Wayfair Signage.
C. Panschow’s report regarding the SOMA trip, to be amended for Council and brought
forward.
Regular updates on developments, closures and other activities within the department
will be included in monthly updates.
Information to be provided regarding media access enhancements, in 2018 Q1/Q2, with
no impact on taxation.
Resolution #4
Moved By: Councillor Adam Seconded By: Councillor Stephenson
THAT Council receives the Economic Development and Marketing Department
Business Plan and Budget, as information.
Carried
7. Budget Requests
7.1. Supplemental Budget Additions
Additional Budget Items
Emergency museum repairs were discussed.
An Emergency Repairs Report to be brought back to Council.
Resolution #5
Moved By: Councillor Esseltine Seconded By: Councillor Adam
THAT Council includes the following additional items to the 2018 Operating Budget
1. $15,000 for the cost of snow removal at the CSC;
2. $54,075 in Provincial Gas Tax Revenue and an expenditure of the same to the
Community Transportation Committee for the operation of Transit in the
community in the 2018;
AND THAT Council includes the following additional items to the 2018 Capital Budget;
1. $25,000 to be funded from reserves for the cost of storm drain enhancements for
Quarter Town Line;
2. $158,000 for the cost of a Fire Communication Console to be funded by
$120,000 from user pay debt and $38,000 from reserves;
AND THAT Council approves an increase of .25 FTE to the overall FTE Count for CSR
support at the CSC.
Carried
16
Council Meeting – Agenda 4
Resolution #5a
Moved By: Councillor Hayes Seconded By: Councillor Rosehart
THAT a report regarding the museum emergency repairs be prepared for Council,
including a recommendation for the funding source.
Carried
Councillor Stephenson left the meeting at 10:45am.
7.2. Council Discussion Points
Discussion Points
Customer Service Timeline
CSD Timeline
Council Purchases
Payroll Deduction Change
Bill 148 Impact
Employee Retention
Stale Developments
Museum Souvenirs
Community Events Details
Physical Security
Park Signage
Fire Succession Plan
Fire Comm Console
Fire Comm Layout
The Director of Finance provided a summary.
A.Andrews, HR Manager, appeared before Council and provided additional information,
Five Year Full Time Employee Retention Rates (2013-2017).
Staff provided additional information by email regarding Pro-Forma Profit and Loss to
Annandale’s 45th Anniversary Souvenirs/Publications.
Staff to provide alternative design/materials for park signage.
17
Council Meeting – Agenda 5
Resolution #6
Moved By: Councillor Adam Seconded By: Councillor Esseltine
THAT Council receives the following documents, as information:
1) Discussion Points Summary
2) Customer Service Delivery Model Update & Timeline
3) Council Expense Increase
4) 2018 Employer Payroll Costs
5) Bill 148 2018 Budget Impact
6) 2017 Employee Retention Rate
7) Prioritization of Stale Developments
8) Annandale House Anniversary Souveniers and Publications
9) Community Events - Additional Detail
10) 2018 Physical Security Review
11) Park Signage
12) Fire & Rescue Services Succession Management Plan
13) Fire Comm Dispatch Console Replac
Carried
Council recessed from 12:10pm and reconvened at 1:00pm.
Agenda item 8 was brought forward at this time, Notice of Motions.
7.3. Review of Group Presentations
Councillor Stephenson returned at 1:27pm.
A spreadsheet detailing information regarding 2018 grant requests, 2017 grants, and
current budget was provided.
Discussion took place to encourage groups to be more self-sufficient.
Staff to communicate this to the various groups.
Resolution #7
Moved By: Councillor Rosehart Seconded By: Councillor Hayes
THAT Council has received applications for grant funding from various community
groups during the 2017 budget sessions;
AND THAT the following groups are awarded the following dollar amounts:
18
Council Meeting – Agenda 6
1) Tillsonburg & District Multi-Service Centre ($10,000);
2) Tillsonburg Station Arts Centre ($40,000);
3) Town of Tillsonburg Cultural Advisory Committee ($10,000);
4) Big Brothers Big Sisters of Ingersoll, Tillsonburg & Area ($3000);
5) Lake Lisgar Revitalization Committee ($3,500);
6) Upper Deck Youth Centre ($2000);
7) Tillsonburg Turtlefest ($10,000);
8) Tillsonburg Fair ($2,000);
9) Family Day ($2,500).
Carried
Resolution #7a
Moved By: Councillor Esseltine Seconded By: Councillor Stephenson
THAT staff be instructed to follow up on the Tillsonburg Legion community grants
request and ask this organization to approach Council with information about how the
Town can best support their organization in 2018.
Carried
Council to submit any Notice of Motions for the January 29, 2018 Council Budget
Meeting to the Clerk’s Office by Friday, January 19, 2018.
It was noted that the January 29 Council Budget Meeting is scheduled to begin at
6:00pm.
Staff to provide a summary of debentures, reserves and taxation for the January 29
Meeting.
7.4. Budget Approval
8. Notice of Motions for which previous notice was given
The motion, previously introduced by Deputy Mayor Beres, was discussed.
Suggestion was to include an update regarding the Community Strategic Plan.
A recorded vote was requested by Councillor Adam.
19
Council Meeting – Agenda 7
Resolution #9
Moved By: Councillor Adam Seconded By: Councillor Esseltine
THAT Tillsonburg Town Council host an open ‘Town Hall’ Meeting as an opportunity for
residents to bring forward their concerns, or opportunities.
Recorded Vote:
NAME VOTE IN FAVOUR VOTE AGAINST
Councillor Adam X
Deputy Mayor Beres - absent
Councillor Esseltine X
Councillor Hayes X
Mayor Molnar X
Councillor Rosehart X
Councillor Stephenson - absent
The recorded vote reflects the vote is 3 in favour of the Motion and 2 against the Motion.
The motion is "Carried ".
9. By-Laws
By-Laws from the Meeting of January 15, 2018
Resolution #10
Moved By: Councillor Adam Seconded By: Councillor Esseltine
By-Law 4161, to Confirm the Proceedings of Council at its meetings held on January 15,
2018 be read for a first, second, third and final reading and that the Mayor and the Clerk be
and are hereby authorized to sign the same and place the corporate seal thereunto
Carried
20
Council Meeting – Agenda 8
10. Adjournment
Resolution #11
Moved By: Councillor Esseltine Seconded By: Councillor Stephenson
THAT the Council Budget Meeting of January 15, 2018 be adjourned at 2:40 p.m.
Carried
21
C:\Users\dewilson\AppData\Local\Microsoft\Windows\INetCache\Content.Outlook\87YOFY47\Book1 2018-01-25
Variance Current
$
Total Taxation - SLT Recommendation 648,900 4.64%
Variance
$
Total Capital - SLT Recommendation 337,000 2.41%
Increase in Capital spending is made up of:
Asset Management Plan Funding 337,000
Recommended increase to Capital 337,000
Budget Deliberation - Effect of proposed changes
Staff Recommendations Department Expenses Reserves (DC/Gen)Debt
Oversizing Storm Drain - Andrew's Crossing 260 25,000 25,000
New Fire Com Console 150 158,000 38,000 120,000
Revised taxation requirement 1,458,600
Capital change in tax rate 0 0.00%
Operating
Total Operating 341,600 2.65%
Budget Deliberation - Effect of proposed changes
Staff Recommendations Department Change
CSC Snow Removal -15,000
Museum Repairs -20,000
Council Grants 100 5,300
Total Operating - SLT Recommendation 12,867,500 13,179,400 311,900 2.42%
Revised Taxation requirement 13,179,400
Operating change in tax rate (29,700)(0.22%)
2018 Financial Plan
Budget Summary - Taxation Requirement
2017 2018
Budget Budget
13,989,100 14,638,000
2017 2018
Budget Budget
1,121,600 1,458,600
Funding Source
12,867,500 13,209,100
22
NOTICE OF MOTION
AGENDA ITEM NO.: _____ Date: January 29, 2018
RESOLUTION NO.: ______ MOVED BY: Councillor Stephenson SECONDED BY: _________________________
THAT Council not go ahead with a consulting fee on the bridge(Gibson)
over Stoney creek.
Carried Defeated Deferred Tabled
Recorded
Vote ________ Mayor’s Initials
23
COUNCIL RESOLUTION
AGENDA ITEM NO.: ______ Date: January 29, 2018
RESOLUTION NO.: ______ MOVED BY: Councillor Adam
SECONDED BY: _________________________
THAT the Gibson Pedestrian Bridge Replacement Design Study be
removed from the 2018 Town budget and business plan;
AND THAT the bridge be closed immediately if deemed unsafe by Senior
Leadership;
AND FURTHER THAT a staff report be brought back to Council regarding
the costs and ramifications of removing the bridge.
Carried Defeated Deferred Tabled
Recorded
Vote ________ Mayor’s Initials
24
ORGANIZATION
Capital Projects
Project
Department
Version Year
X40 Gibson Pedestrian Bridge Design Study
Engineering
3 - SMT final 2018
Description
Project Description
Gibson Pedestrian Bridge is located 90m southwest of Valley Road. The structure is a girder bridge placed on its weak axis,
spanning 10.4m. During the 2017 OSIM Inspection it was noted that there was an increase in the amount corrosion since the
2015 OSIM Inspection along with extensive pitting to the underside of the girder. This project will take the initial steps to
design the bridge replacement, abutments, site access, etc. allowing the Town to move forward with securing the necessary
approvals (i.e. LPRCA)
Project Justification
The Gibson Pedestrian Bridge is not an engineered bridge and does not provide the structural capacity or serviceability
required for a pedestrian bridge. To avoid closure of this bridge and the associated trail connectivity identified in the Trails
Master Plan completion of the engineering design places the Town in a favourable position to address this public safety
concern and mitigate the associated risk from an insurance liability perspective.
This will be funded primarily from DC Reserves and the Town's 10% funded through the RCP Reserve.
Budget
2018Total
Expenditures
Construction
Subcon Exp 35,00035,000
35,000 35,000
35,000 35,000Expenditures Total
Funding
Cont.from Reserves 3,5003,500
Cont from DC Reserves 31,50031,500
35,000 35,000Funding Total
Page No. : 5
25
NOTICE OF MOTION
AGENDA ITEM NO.: _____ Date: January 29, 2018
RESOLUTION NO.: ______ MOVED BY: Councillor Stephenson SECONDED BY: _________________________
THAT that the trail(railroad bed) from Tilson Ave to Quarterline be completed this year using DC reserves.
Carried Defeated Deferred Tabled
Recorded
Vote ________ Mayor’s Initials
26
NOTICE OF MOTION
AGENDA ITEM NO.: _____ Date: January 29, 2018
RESOLUTION NO.: ______ MOVED BY: Councillor Rosehart SECONDED BY: _________________________
THAT the Annandale parking lot for $50,000 be reviewed after a meeting
with the Ball Players.
Carried Defeated Deferred Tabled
Recorded
Vote ________ Mayor’s Initials
27
ORGANIZATION
Capital Projects
Project
Department
Version Year
X14 Annandale Ball Park - Parking lot
Parks
3 - SMT final 2018
Description
Project Description
Complete implementation of expanded parking lot using part of former Diamond #1.
Entrances, drainage, etc. to be integrated with Concession Street E reconstruction
project
Project Justification
Site requires adequate off-street parking to accommodate tournament and league traffic
while maintaining safety on Concession Street. Integrating the timing of the project
with the road reconstruction will save on mobilization and materials costs.
Budget
2018Total
Expenditures
Construction
Subcon Exp 50,00050,000
50,000 50,000
50,000 50,000Expenditures Total
Funding
Taxation 50,00050,000
50,000 50,000Funding Total
Page No. : 4
28
Excerpt from Council Meeting of November 27, 2017
14.4.1. FIN 17-36 - 2018 Capital Pre-Budget Approval
Projects
Report FIN17-36
Resolution #8 Moved By: Councillor Hayes Seconded By: Councillor Rosehart THAT Report FIN17-36 - 2018 Capital Pre-Budget Approval be received;
AND THAT Council gives 2018 pre-budget approval for:
i) Asset Management Plan Implementation Project x33 $150,000; ii) Concession Street East Project x37 $890,000; iii) Annandale Ball Park Parking Lot Project x14 $50,000; iv) Asphalt Project x39 $382,000; and v) Lake Lisgar Water Park Renovations Project x95 $129,000. Carried
29
NOTICE OF MOTION
AGENDA ITEM NO.: _____ Date: January 29, 2018
RESOLUTION NO.: ______ MOVED BY: Councillor Rosehart SECONDED BY: _________________________
THAT no consultant be hired for the kitchen renovation at the community
centre.
Carried Defeated Deferred Tabled
Recorded
Vote ________ Mayor’s Initials
30
Report Title Lions Auditorium Kitchen Improvements
Report No. RCP 17-53
Author Rick Cox, Director of Recreation, Culture & Parks
Meeting Type Council Meeting
Council Date December 11, 2017
Attachments • RCP 17-24 – Lions Auditorium Kitchen Reno
Project Outline
RECOMMENDATION
THAT Council receives Report RCP 17-53 – Lions Auditorium Kitchen Improvements;
AND THAT Council authorize staff to proceed with procuring the recommended improvements in accordance with the Town’s Purchasing Policy.
EXECUTIVE SUMMARY Council directed staff to bring a report forward outlining proposed improvements to the Lions Auditorium before proceeding with procurement. This report provides a recommended program of improvements to the kitchen and seeks approval to proceed.
BACKGROUND
During the 2017 budget process, Council authorized a capital allocation for improvements to the Lions Auditorium kitchen. Staff provided an update in April (RCP 17-24) identifying the expected components of the improvement project. At the Council meeting of April 10, 2017, Council passed the following resolution:
Moved By: Councillor Esseltine Seconded By: Councillor Stephenson
THAT Council receives Report RCP 17-24 – Lions Auditorium Kitchen Reno Project
Outline for information;
AND THAT Staff report back to Council on the kitchen renovation project with a draft RFP when information is available.
Carried
The proposed upgrades include improvements to the usability and energy efficiency of the Auditorium kitchen. The first priority is to update the exhaust hood, fire suppression, electrical infrastructure and ventilation to current code requirements. While there are existing drawings from the original construction, various repairs and changes over the years have not been properly documented. This requires an investment in verifying and documenting the existing
infrastructure and preparing digitized base drawings. Once that work is complete, a proper engineering/architectural design can be prepared to ensure all code requirements are met.
Replacing the inefficient dishwasher and walk-in cooler are also a high priority so that the operating costs of the kitchen are lower and the dishwasher is more functional for users of the
facility. A new stove including a griddle, a new double door cooler, two rolling holding cabinets
and some utility carts have been identified as desirable equipment to make the kitchen more useable for caterers and other functions.
Page 1 / 3 RCP 17-53 - Lions Auditorium Kitchen Imp
31
As the proposed improvements are not consolidated into one large renovation, a single RFP is not a practical approach to the project. Preliminary pricing has been obtained from vendors,
consultants and contractors to develop the following estimated cost breakdown:
Ventilation hood and fire suppression 60” 6-burner, 2 oven raised griddle range
70oC rise 3-phase door style dishwasher Walk-in cooler with interior racks, rooftop unit
Component Professional Fees Construction Equipment
Pre-project documentation 12,800$
Ventilation, fire suppression, HVAC & electrical 14,350$ 31,433$ 25,718$
Stove: 60" 6 burner, 2 oven, raised griddle 9,300$
Dishwasher: 70deg Rise 3-phase door type 11,800$
Walk-in Cooler w/ interior racks, rooftop unit 16,750$
Double sliding door cooler 3,350$
Holding cabinets (2)7,150$
Utility carts (4)1,200$
Contingency (10%)13,385$
Subtotal 147,235$
Net taxes 2,591.34$
Total 149,826.34$
Page 2 / 3 RCP 17-53 - Lions Auditorium Kitchen Imp
32
Holding cabinet Double sliding door cooler Utility cart
If Council gives staff approval to proceed with the above components, procurement will be
initiated immediately in compliance with the Town’s purchasing policy. Work will be scheduled to minimize or avoid impact on facility users and rentals.
The stove and dishwasher that are being removed may have some residual value to be redeployed within the Town’s facilities, used as trade-ins or sold through the GovBids surplus
equipment website. The existing stainless steel dishwashing tables will be re-used.
CONSULTATION/COMMUNICATION Local caterers and managers from kitchen facilities in nearby municipalities were contacted to determine the preferred upgrades. Kitchen equipment suppliers, architectural and engineering design firms, and mechanical contractors were contacted to obtain budget pricing.
FINANCIAL IMPACT/FUNDING SOURCE
The 2017 approved budget includes a $150,000 allocation for improvements to the Lions Auditorium kitchen.
COMMUNITY STRATEGIC PLAN (CSP) IMPACT This issue paper provides information in alignment with the following Objectives of the
Community Strategic Plan:
• Objective 1 – Excellence in Local Government
• Objective 2 – Sustainable Economy
• Objective 4 – Culture & Community
Page 3 / 3 RCP 17-53 - Lions Auditorium Kitchen Imp
33
Excerpt – December 11, 2018 Council Minutes
1.1.1. RCP 17-53, Lions Auditorium Kitchen Improvements
RCP 17-53 - Lions Auditorium Kitchen Improvements
RCP 17-24 - Lions Auditorium Kitchen Reno Project Outline
Resolution #15
Moved By: Deputy Mayor Beres Seconded By: Councillor Adam
THAT Council receives Report RCP 17-53, Lions Auditorium Kitchen
Improvements;
AND THAT Council authorizes staff to proceed with procuring the recommended
improvements in accordance with the Town’s Purchasing Policy.
Carried
34
NOTICE OF MOTION
AGENDA ITEM NO.: _____ Date: January 29, 2018
RESOLUTION NO.: ______ MOVED BY: Councillor Rosehart SECONDED BY: _________________________
THAT the Parks Signage Design for $5,000 be revisited to allow for other
designs to be given for review.
Carried Defeated Deferred Tabled
Recorded
Vote ________ Mayor’s Initials
35
NOTICE OF MOTION
AGENDA ITEM NO.: ______ Date: January 29, 2018
RESOLUTION NO.: ______ MOVED BY: Councillor Esseltine
SECONDED BY: _________________________
THAT an additional $5000 per year be added to the Parks Signage Capital
Projects Budget (for a total of $10,000 annually) to enable the project to be
completed within a reasonable length of time;
AND FURTHER THAT the signs be constructed of a long-lasting, weather
resistant material;
AND FURTHER THAT the design and cost estimates for the signs be
brought before council for approval.
Carried Defeated Deferred Tabled
Recorded
Vote ________ Mayor’s Initials
36
ORGANIZATION
Capital Projects
Project
Department
Version Year
X70 Parks Signage design & install
Parks
3 - SMT final 2018
Description
Project Description
Parks signage replacement
Project Justification
Wooden parks signs have deteriorated and need to be replaced. Etched concrete like at the Skatepark is recommended as
the long term construction. Design work is anticipated in year 1, and then 1-2 signs per year would be replaced including
adjoining garden bed.
Budget
2018Total
Expenditures
Construction
Subcon Exp 5,0005,000
5,000 5,000
5,000 5,000Expenditures Total
Funding
Taxation 5,0005,000
5,000 5,000Funding Total
Page No. : 5
37
Report Title Budget Memo – Park Signage
Report No. RCP 18-04
Author Rick Cox, Director of Recreation, Culture & Parks
Meeting Type Budget Meeting
Council Date January 11, 2018
Attachments
EXECUTIVE SUMMARY Council requested additional information regarding the park signage design and capital budget item.
BACKGROUND Many of the engraved wooden park signs at neighbourhood park locations around Tillsonburg
have deteriorated. They are generally placed in a small garden bed with low-maintenance plantings.
Staff felt that the very effective and durable sign at the Kolin Smith Memorial Skatepark created by engraving the concrete wall was an excellent template to consider elsewhere.
Preliminary scoping of permanent replacement decorative park signage using engraved concrete for each Tillsonburg neighbourhood park location determined an approximate cost per location for removal and disposal of the existing sign, excavating, forming and pouring of the
concrete, and on-site engraving of the Town graphic and park name at $5,000 per location.
There are currently 10 locations where this sign would be deployed.
CONSULTATION/COMMUNICATION
If Council supports the capital project, the proposed design will be referred to the Parks and Recreation Advisory Committee for consideration.
FINANCIAL IMPACT/FUNDING SOURCE
The requested budget of $5,000 for 2018 is adequate to execute one sign location. There are minimal savings achieved by doing multiples, as the same mobilization is required for each location.
COMMUNITY STRATEGIC PLAN (CSP) IMPACT This issue paper provides information in alignment with the following Objectives of the Community Strategic Plan:
• Objective 1 – Excellence in Local Government
• Objective 2 – Sustainable Economy
Page 1 / 1 RCP 18-04 Park Signage
38
NOTICE OF MOTION
AGENDA ITEM NO.: ______ Date: January 29, 2018
RESOLUTION NO.: ______ MOVED BY: Councillor Esseltine
SECONDED BY: _________________________
THAT because of the additional capital requirement in 2018 for the
purchase of a Dispatch Console ($155,000) to replace the current
equipment used in Fire Communications, council defer the purchase of the
items requested for capital purchase in the earlier version of the 2018
budget including X18 Fire Ground Equipment ($12,500), X46 Large
Vehicle/Building Stabilization ($14,000), and X48 Communications Log
Recorder ($18,500) as well as X47 Digital Road Sign ($14,500) and that
these dollars from taxation be directed toward the purchase of the required
Dispatch Console at this time.
Carried Defeated Deferred Tabled
Recorded
Vote ________ Mayor’s Initials
39
Report Title Budget Issue Paper: Dispatch Console Replacement
Report No. FRS-18-01
Author Jeff Smith
Meeting Type Council Budget Meeting
Council Date
Attachments Town of Tillsonburg Fire Comm Dispatch Centre Overview
EXECUTIVE SUMMARY
The Radio-Operator Console is the main interface between the Fire Communicator and the fire
department being dispatched. It is a vital link in the dispatch process to ensure that fire
departments are effectively dispatched to the residents needing emergency assistance. It is the
intent of this document to provide Council with sufficient background information to assist in their
decision making.
ISSUE/BACKGROUND
Currently, Tillsonburg Fire Communications dispatches for 16 customers operating 26 fire stations and protecting a combined population of 119,164 people (2016 census). To deliver this service in an accurate and efficient manner, a number of systems are in place to support the Fire
Communicators.
The three main systems are the 9-1-1 & PTSN (Public Switched Telephone Network) telephone system, the Computer Aided Dispatch (CAD) system and the Radio-Operator consoles. The telephone system is capable of receiving calls by way of the 9-1-1 network as well as traditional PTSN
lines. The Radio-Operator console is the interface between the dispatcher and the radio
systems used for paging and duplex (two way) radio communication with the customer’s local radio system. The telephone system is independent from the radio system, but the two systems share a common voice & data recording system. The CAD system is the mapping and information database for the Fire Communicator. This system ensures that the proper fire
department is alerted and provides site specific resource requirements and information to the
Fire Communicator. The 9-1-1 system interacts directly with the CAD to “drop” 9-1-1 call locations on the geographical map automatically. While these systems are essentially separate and stand alone, they do synergistically work together to enhance the accuracy of our staff and to minimize dispatching times. A schematic of these systems is attached to this report.
Tillsonburg Fire Communications uses a Zetron dispatch console. This console was previously located at the OPP station prior to 2006. The console was purchased around 1997 - 1998 when the previous dispatch console was damaged beyond repair by a lightning strike to the OPP building. The Zetron Corporation was founded in 1980 and began making radio dispatch
Page 1 / 4 FRS 18-01 Fire Comm Console
40
consoles for public safety entities in 1987. In 2007 Zetron was purchased by Kenwood Corporation but remained an independent subsidiary. Throughout this time, Zetron Corporation
has maintained both service support and parts inventory for all of their radio dispatch consoles, current and historical. Late in 2017, Zetron ceased support of legacy products and no longer provides technical support or maintains parts inventory. The Radio-Operator console is the VHF radio interface between Fire Communications and the
customer. The console allows the Fire Communicator to dispatch the alarm to the customer via the radio pager as well as maintain duplex (two way) radio communication with the customer throughout the emergency incident. The console in the dispatch room is hard-wired to system cards located in the equipment room. It is these system cards that then interface with the customer’s radio network.
The Zetron card cage is capable of holding 12 cards with each card supporting 2 radio channels, for a total capacity of 24 channels maximum. Slots 13 – 16 are used to connect individual consoles with the card cage. With our current customer load, we utilize 18 of
the 24 available channels, leaving only 6 channels available for future customers. Depending on the end user radio system, these available channel slots represent 3-4 additional customer capacity. Until recently, it was the limited expansion capacity and not system
reliability that drove the requirement to replace the Radio-Operator Console. Recent card and back-plate failures have reduced the number of available slots and increased the urgency to replace the dispatch console system.
Figure 1 illustrates the console card cage in the equipment room and shows the 3 vacant radio channel card slots and the 2 vacant console slots.
Figure 2 provides a close-up view of a channel card and shows the slot on the back-plate that the channel cards connect to. A further card slot failure of the back-plate will require removal of a current customer from the
dispatch console and an alternate dispatch method used, such as the use of a desk top remote mini-console. A complete failure of the back-plate would render the current console disabled and unrepairable. Several mini-consoles are kept at the Customer Service Centre for use as a back-up communications centre, as required by the NFPA standard and our business continuity program. This space is designed for short-term, emergency use when the main Fire
Communications room has to be evacuated. Usage of the back-up location causes a significant disruption to the normal work space and activities of the CSC when the designated area is operated as a dispatch centre.
Fig.1 - Console Card Cage
Page 2 / 4
41
The Radio-Operator Console replacement was initially forecasted for 2021 in the Fire Department’s Capital Expenditure program. Due to
the withdrawal of technical support and parts inventory by the manufacturer, the replacement of the console was moved to 2019 in the Capital Program forecast presented as part of the 2018 Business Plan to Council.
With the recent card and back-plate slot failure, combined with the lack of technical support and the risk of a complete system failure, the Senior Leadership Team supports replacement of the Radio-Operator Console as part of the Fire Department’s 2018 Capital program.
The replacement console will be designed to accommodate all current customers as well as
having sufficient expansion capacity to meet foreseeable future needs. The new Radio-Operator
Console will be computer based and as such will use keyboard, mouse and/or touch screen technology rather than the fixed base console. This new set-up will be much more user friendly and more accommodating of the various ergonomic needs of staff.
The system proposed will be a two position Radio-Operator Console and will be initially sized at
18 radio channels, but is expandable to 1000 for future customers. Associated equipment and programming costs for expanding the system will be built into future customer contracts. As an IP based system the current Communications Logging (recording) equipment is not compatible but a project to replace the Com Log is included in the 2018 Capital Program.
Fire administration staff and the Finance Department have considered purchasing versus leasing and are recommending purchasing a new Radio-Operator Console. Outright purchase of a new two position Radio-Operator Console and installation costs will be
$155,000.00, before tax. As all new dispatch systems are IT based, there would be an annual
software service agreement cost of $13,500 starting in the second year. This annual service agreement cost would include software updates and equipment replacement. The terms of the lease to own option are five years with a $10.00 cost to purchase the system at
the conclusion of the lease period. The 60 month term lease would cost $5,290.00 per month.
A third option that was considered would be to enter an agreement for a Maintained System. A Maintained system agreement would cost $7,500 per month ($90,000 per year). This cost would be higher than the cost of outright purchase, service agreements and borrowing costs combined
with no additional benefit to the Town. Additionally, at the end of the contract term, the Town
would not own any equipment. Maintained System agreements are normally put in place when there are multiple owners of a single system and the cost of ownership and system servicing is spread over these multiple owners.
Fig.2 - Cards & Back-Plate
Page 3 / 4
42
FINANCIAL IMPACT/FUNDING SOURCE
To determine the most cost effective option, staff examined the 10 year cost of ownership.
Outright Purchase: $366,500 + debenture costs $11,000 (full amount) 60 Month Lease: $429,900 + $10 system purchase at end of term Maintained System: $900,000 In the 2017 Budget program, $20,000 was reserved for Fire Communications infrastructure.
This reserve was designated for replacement of equipment such as the Radio-Operator Console. The proposed 2018 Budget program contains a further $20,000 contribution to this reserve account. It is recommended that $37,728 is funded from Reserves and the balance of $120,00 be funded partially from use pay debt in the form of a 5 year debenture.
Page 4 / 4
43
NOTICE OF MOTION
AGENDA ITEM NO.: ______ Date: January 29, 2018
RESOLUTION NO.: ______ MOVED BY: Councillor Esseltine
SECONDED BY: _________________________
THAT Council consider deferring the Airport Master Plan Update proposed
in the 2018 budget. The $50,000 budget consists of $11,000 from reserves
and $39,000 from taxation.
Carried Defeated Deferred Tabled
Recorded
Vote ________ Mayor’s Initials
44
NOTICE OF MOTION
AGENDA ITEM NO.: _____ Date: January 29, 2018
RESOLUTION NO.: ______ MOVED BY: Councillor Adam SECONDED BY: _________________________
THAT the Airport Master Plan update ($50,000) be removed from the 2018 budget and business plans.
Carried Defeated Deferred Tabled
Recorded
Vote ________ Mayor’s Initials
45
ORGANIZATION
Capital Projects
Project
Department
Version Year
X12 Airport Master Plan Update
Airport
3 - SMT final 2018
Description
Project Description
The Airport Master Plan Update is a projection of the Airport’s conceptual long term development. The Plan update would
provide new strategic direction and planning for the future of the Airport to support both short and long term decisions.
Master Plans are regularly updated to support construction, development, expansion, and modernization as well as to justify
construction of additional infrastructure to accommodate growth.
Project Justification
Since the 1989 Airport Master Plan there has been a considerable amount of progress and development at the Airport. In
2015 a significant amount of effort was invested into updating the conceptual drawings for the Airport, however updates to the
accompanying document that coincides with the conceptual drawings remains outstanding. A new Master Plan document
that incorporates the conceptual drawings should be completed by an aviation consultant and will provide the basis to
support long term infrastructure related decisions such as electrical upgrades and taxiway extensions on both the
commercial and general aviation side of the Airport.
$11,000 will be funded from the Airport Reserve.
Budget
2018Total
Expenditures
Construction
Subcon Exp 50,00050,000
50,000 50,000
50,000 50,000Expenditures Total
Funding
Cont.from Reserves 11,00011,000
Taxation 39,00039,000
50,000 50,000Funding Total
Page No. : 14
46
NOTICE OF MOTION
AGENDA ITEM NO.: _____ Date: January 29, 2018 RESOLUTION NO.: ______
MOVED BY: Councillor Esseltine SECONDED BY: _________________________ THAT Council reconsider the 2018 capital budget allocations for the museum for which funds
are to be drawn from the Annandale House Trust including Repairs and Maintenance ($50,000),
the servant’s porch ($15,000) and fire doors ($8,000). Taking these amounts from the trust
along with the $35,000 2017 allocation for painting the eaves and fascia (incomplete at this
time) would deplete most if not all of the dollars held in the reserve.
And further that the terms of the trust be reviewed to identify the approved uses of the funds (for
example, are funds to be used for the restoration and maintenance of the historic and
architectural features of Annandale House, and/or can they be applied to the costs of
mechanical systems and such that have been added to the house to accommodate the
operation of the museum).
Money held in this reserve comes largely from donations as well as fundraising efforts of a
volunteer committee. It has been the goal of the fundraising committee to add in excess of
$10,000 to the Trust Fund each year. It should also be noted that the allocation of dollars from
the Annandale House Trust would also require approval of the Trustees as well as the Museum
Advisory Committee.
Carried Defeated Deferred Tabled
Recorded
Vote ________ Mayor’s Initials
47
ORGANIZATION
Capital Projects
Project
Department
Version Year
X97 Repairs and Maintenance
Museum
3 - SMT final 2018
Description
Project Description
Ongoing capital maintenance program to maintain and extend lifecycle of Museum and
Annandale House. Eligible repairs to Annandale House
Project Justification
Priority repairs identified in FCA report will be addressed within available budget.
Budget
2018Total
Expenditures
Construction
Subcon Exp 97,00097,000
97,000 97,000
97,000 97,000Expenditures Total
Funding
Cont.from Reserves 50,00050,000
Taxation 47,00047,000
97,000 97,000Funding Total
Page No. : 21
48
ORGANIZATION
Capital Projects
Project
Department
Version Year
X98 Servant Porch
Museum
3 - SMT final 2018
Description
Project Description
Repair east porch of Annandale House.
Project Justification
Old wooden parts of this porch have deteriorated and pose safety and aesthetic issues. This project is part of the old house
and is eligible for full funding from the Annandale House Trust. This project has been authorized by the Trustees.
Budget
2018Total
Expenditures
Construction
Subcon Exp 15,00015,000
15,000 15,000
15,000 15,000Expenditures Total
Funding
Cont.from Reserves 15,00015,000
15,000 15,000Funding Total
Page No. : 22
49
ORGANIZATION
Capital Projects
Project
Department
Version Year
X99 Connect fire doors into FAS
Museum
3 - SMT final 2018
Description
Project Description
Add auto-release closers to fire separation doors that swing shut when the fire alarm is triggered.
Project Justification
Internal fire doors are not connected to the fire alarm system with automatic closers so they must remain closed for fire
safety. This poses safety and security issues for staff and visitors as both visual and auditory monitoring of the museum is
blocked when the doors are closed. By adding auto-closers to the system that close the doors when there is a fire alarm,
this issue is resolved. Funds will be from the Annandale House Trust
Budget
2018Total
Expenditures
Construction
Subcon Exp 8,0008,000
8,000 8,000
8,000 8,000Expenditures Total
Funding
Cont.from Reserves 8,0008,000
8,000 8,000Funding Total
Page No. : 23
50
NOTICE OF MOTION
AGENDA ITEM NO.: ______ Date: January 29, 2018
RESOLUTION NO.: ______ MOVED BY: Councillor Esseltine
SECONDED BY: _________________________
THAT council reconsider the Kinsmen Bridge Enhanced OSIM Inspection
($80,000 from taxation) proposed in the 2018 budget.
Carried Defeated Deferred Tabled
Recorded
Vote ________ Mayor’s Initials
51
COUNCIL RESOLUTION
AGENDA ITEM NO.: ______ Date: January 29, 2018
RESOLUTION NO.: ______ MOVED BY: Councillor Adam
SECONDED BY: _________________________
THAT the Kinsmen Pedestrian Bridge Enhanced OSIM budget value of
$80,000 be adjusted to $40,000;
AND THAT the project implementation be delayed until 2019 (for further
deliberation);
AND FURTHER THAT the $40,000 be contributed to the appropriate
reserve fund.
Carried Defeated Deferred Tabled
Recorded
Vote ________ Mayor’s Initials
52
ORGANIZATION
Capital Projects
Project
Department
Version Year
X41 Kinsmen Bridge Enhanced OSIM Inspection
Engineering
3 - SMT final 2018
Description
Project Description
The Kinsman Pedestrian Bridge is located on Veterans Memorial Walkway, 170m west of Rolph St. The structure is an old
railway girder bridge converted to a pedestrian bridge, with 9 spans and a total length of 107.5m. It was noted in the 2017
OSIM Inspection that access and inspection to underside elements is limited. The Enhanced OSIM Inspection for the
Kinsmen Pedestrian Bridge consists of a detailed inspection and investigation of all elements of the bridge with the use of
specialty access equipment, completion of a structural evaluation and Load Limit Analysis, and scope the extent of
rehabilitation repair options with cost estimates for the rehabilitation options.
Project Justification
The 2017 OSIM Inspection report strongly recommended that an Enhanced OSIM Inspection be completed to ensure
structural capacity of the bridge through detailed inspection and Load Limit Analysis. This study would define the scope of
rehabilitation work to ensure structural integrity and look to address both the potential safety concerns associated with the
slippery deck surface as well as mitigating the labour intensive winter maintenance operations associate with this structure.
Budget
2018Total
Expenditures
Construction
Subcon Exp 80,00080,000
80,000 80,000
80,000 80,000Expenditures Total
Funding
Taxation 80,00080,000
80,000 80,000Funding Total
Page No. : 6
53
NOTICE OF MOTION
AGENDA ITEM NO.: _____ Date: January 29, 2018
RESOLUTION NO.: ______ MOVED BY: Councillor Adam SECONDED BY: _________________________
THAT the proposed funding for the Asphalt Resurfacing Program be adjusted from $382,400 to $350,000.
Carried Defeated Deferred Tabled
Recorded
Vote ________ Mayor’s Initials
54
ORGANIZATION
Capital Projects
Project
Department
Version Year
X39 Asphalt Program
Roads
3 - SMT final 2018
Description
Project Description
Partial depth resurfacing (top layer) or Full-depth rehabilitation (top & bottom layers) with spot curb and gutter repairs would
be completed on various streets within Town.
Project Justification
During a road’s lifecycle, there are opportunities for work activity to extend the life of the roadway which generally coincides
with its condition. Utilizing the two most economical pavement management strategies outlined in the Towns Asset
Management Plan it has been determined that in order to maintain the current road network condition that rehabilitation
investment varies between $900,000 to $1,200,000 per year over the next ten years (excluding road renewal through
reconstruction activities). Using these strategies, and depending on individual road conditions, the most economical annual
road resurfacing program is developed within the allocated budget.
The funding for this will come from the Gas Tax Reserve.
Budget
2018Total
Expenditures
Construction
Subcon Exp 382,400382,400
382,400 382,400
382,400 382,400Expenditures Total
Funding
Grants 382,400382,400
382,400 382,400Funding Total
Page No. : 12
55
Excerpt from Council Meeting of November 27, 2017
14.4.1. FIN 17-36 - 2018 Capital Pre-Budget Approval
Projects
Report FIN17-36
Resolution #8 Moved By: Councillor Hayes Seconded By: Councillor Rosehart THAT Report FIN17-36 - 2018 Capital Pre-Budget Approval be received;
AND THAT Council gives 2018 pre-budget approval for:
i) Asset Management Plan Implementation Project x33 $150,000; ii) Concession Street East Project x37 $890,000; iii) Annandale Ball Park Parking Lot Project x14 $50,000; iv) Asphalt Project x39 $382,000; and v) Lake Lisgar Water Park Renovations Project x95 $129,000. Carried
56
NOTICE OF MOTION
AGENDA ITEM NO.: _____ Date: January 29, 2018
RESOLUTION NO.: ______ MOVED BY: Councillor Adam SECONDED BY: _________________________
THAT the funding for Annual Playground Equipment Replacement be reduced from $30,000 to $25,000.
Carried Defeated Deferred Tabled
Recorded
Vote ________ Mayor’s Initials
57
ORGANIZATION
Capital Projects
Project
Department
Version Year
X75 Annual Playground Eqpt replacement
Parks
3 - SMT final 2018
Description
Project Description
Annual playground replacement and upgrades
Project Justification
Facility Condition Assessment study recommendations. Updated every 5 years. Annual allocation unused will be contributed
to reserve for future years.
Budget
2018Total
Expenditures
Construction
Subcon Exp 30,00030,000
30,000 30,000
30,000 30,000Expenditures Total
Funding
Taxation 30,00030,000
30,000 30,000Funding Total
Page No. : 1
58
NOTICE OF MOTION
AGENDA ITEM NO.: _____ Date: January 29, 2018
RESOLUTION NO.: ______ MOVED BY: Councillor Rosehart SECONDED BY: _________________________
THAT Council direct staff to bring forward dollars from the 2017 budget in
order to finish the concrete ramp at the bandshell.
Carried Defeated Deferred Tabled
Recorded
Vote ________ Mayor’s Initials
59
NOTICE OF MOTION
AGENDA ITEM NO.: _____ Date: January 29, 2018
RESOLUTION NO.: ______ MOVED BY: Councillor Stephenson SECONDED BY: _________________________
THAT Council put an operations line budget in Parks, Recreation & Culture
of $25,000 to be used for maintenance and upkeep of Lake Lisgar;
AND FURTHER THAT these funds be contributed from reserves.
Carried Defeated Deferred Tabled
Recorded
Vote ________ Mayor’s Initials
60
NOTICE OF MOTION
AGENDA ITEM NO.: _____ Date: January 29, 2018
RESOLUTION NO.: ______ MOVED BY: Councillor Rosehart SECONDED BY: _________________________
THAT no enhanced beautification program be done in 2018 and no new
employee be hired to provide the program
Carried Defeated Deferred Tabled
Recorded
Vote ________ Mayor’s Initials
61
NOTICE OF MOTION
AGENDA ITEM NO.: _____ Date: January 29, 2018
RESOLUTION NO.: ______
MOVED BY: Councillor Hayes
SECONDED BY: _________________________
THAT the enhanced beautification program be removed from the 2018 budget and reduce
taxation by $53,200.
Carried Defeated Deferred Tabled
Recorded
Vote ________ Mayor’s Initials
62
Report Title 2018 Beautification Plan
Report No. RCP 17-56
Author Corey Hill – Manager of Parks & Facilities
Meeting Type Budget Meeting
Council Date December 14, 2017
Attachments
• RCP 17-49 – Enhanced Beautification Program Summary
• RCP 17-09 - Budget Issue Paper - Enhanced Beautification
• Letter from Horticultural Society
RECOMMENDATION
THAT Report RCP 17-56 – 2018 Beautification Plan be received for information.
EXECUTIVE SUMMARY In follow-up to Report No RCP 17-49 - Enhanced Beautification Program Summary, this report will outline the Beautification Plan scope of work commencing in 2018 and for future years.
BACKGROUND
The Heritage, Beautification & Cemetery Committee, recommended implementing an enhanced Town-wide in-house beautification program through the 2017 budget process. The recommended program would have included the work already contracted out as a part of the garden bed maintenance contract plus enhanced services provided by Town staff. RCP staff, with the
assistance of Operations staff, prepared an implementation estimate that included the operational and capital impact of the recommended program. This proposal was designed as a 2017-2018 trial program and was detailed in Report RCP 17-09 – Budget Issue Paper – Enhanced Beautification. Council directed to revise the enhanced beautification model and determine what service level increase could be achieved with a net budget of $25,000.
To determine the service level that was possible for a net budget of $25,000, a smaller list of locations to be beautified was established, the number of downtown flower urns was reduced, the quantity of supplies and staffing required to perform the revised scope of work was adjusted and all capital expenditures were eliminated. The following locations were approved in April as the scope of the 2017 trial service enhancement (RCP 17-17):
Town Gateways (Hwy 3 & 19)
12 Downtown Flower Urns
LLWP & Summerplace
Oxford & Broadway Parkette
Skatepark/Pumptrack Fourth to North TCT Gateway (Fourth
St)
Mineral Springs
Clock Tower
Page 1 / 5 RCP 17-56 - 2018 Beautification Plan
This service level increase was approved by Council as a trial year in 2017. The program was to be reviewed in the fall of 2017 for effectiveness and be re-evaluated at that time for future viability.
As summarized in Report No. RCP 17-49 on October 23, 2017, the program commenced in May
2017 and included cleaning the above locations and prepping the sites for plantings. This was a lengthy process due to the poor shape of the garden beds and the fact they had not been properly maintained for many years (or not at all). As the summer came to an end, the BIA offered to supply fall mums to be planted in the downtown urns in replacement of the annuals. This was
accomplished with no additional cost to the Town other than staff time, which was already allocated to the program, to pull the annuals and plant and maintain the mums. Parks staff planted, maintained, weeded and watered the flowerbed locations and downtown urns daily throughout the program. It should be noted that that the Parks team allocated approximately 16
hrs/weekend of additional horticultural work to maintain and water the locations and downtown urns on weekends. These hours were absorbed into the existing Parks & Cemetery operational staffing complement. This staffing arrangement was required for the success of the enhanced beautification program, but did result in delayed Parks & Cemetery responsiveness to other Town areas and related service requests such as ACRs. Feedback from Council was to incorporate
enhanced beautification into the 2018 Parks business plan.
As such, staff is recommending the implementation of the beautification plan as originally proposed in RCP 17-09. This plan includes the enhanced beautification for the following areas (below list includes the 2017 trial sites):
Annandale Diamonds (by canteen) Gyulveszi Park Gateway
Bert Newman Park Keep Tillsonburg Beautiful Tree Sites
Bidwell St (along municipal lots) Library Parkette
Bloomer St Bridge (Van St) LLWP & Summer Place
Carroll Trail Gateway Memorial Trees
Cemetery Mineral Springs
Clock Tower OPP Station
Concession St E & Maple Lane Triangle Oxford & Broadway St Parkette
Corner of Concession St & Park St Participark Gateway
Coronation Park Gateway Public Works
Cranberry Park Gateway Pumptrack
Cranberry TCT Gateway Skatepark
Customer Service Centre South Ridge Park Gateway
Elliot Fairbairn Station Arts (west of building)
Fire Hall Town Gateways (Hwy 3 & 19)
Fourth to North TCT Gateway Trottier Park Gateway
Gibson House Veterans Memorial Walkway Gateway
Glendale Park Gateway Westmount Park Gateway
The recommended 2018 plan also includes redeploying the 12 large downtown flower urns that
were used in 2017 plus the addition of a medium sized urn at each of the 12 large urn locations. The Memorial Park Revitalization Project rose garden incorporated into the Celebration Plaza (to
Page 2 / 5 RCP 17-56 - 2018 Beautification Plan
be installed in 2018) would also be maintained and watered, and additional work at Annandale House. Beyond that, the Horticultural Society has volunteered to add significant work at Bert Newman Park to enhance the park beyond the efforts proposed for the Town beautification staff.
There are two major factors affecting the cost to expand the program: The first is that adding more locations will require a second person to be able to install and maintain the gardens, but once that person is in place many new locations can be added. The recommended approach is to invest in
one permanent horticultural worker starting in May 2018, and supplementing that with a 6-month seasonal position. In addition to the service level increase for horticulture, this approach will also provide much-needed additional capacity through the winter to assist with snow removal and other off-season cemetery and parks maintenance.
The second major factor is the need for a truck. The 2017 trial took advantage of a truck that was replaced as per the fleet replacement program in early 2017, but was not disposed of until the license expired in October. A similar one-time opportunity may exist in 2018 provided the Hydro Operations replacement vehicle is secured before May. For 2019, an addition to the fleet would
need to be acquired for the beautification team. The following is a cost breakdown for implementing the enhanced program next 2 budget years:
Operations Capital
$31,920 0
$1,250 0
$5,000 0
$2,500 0
$33,600 0
$26,300 0
Total $100,570 $0
$25,000
$8,600
$66,970 $0
Operations Capital
$30,000 0
$1,250 0
$7,000 $60,000
$1,000 0
$54,100 0
$26,695 0
Total $120,044 $60,000
$91,970
$8,600
$19,474 $60,000
Recommended Enhanced Beautification Program
Revenue sources
BIA/Hort contributions
Net 2019 budget impact
Base Beautification budget
Supplies (flowers/landscaping/mulch/large & medium urn flowers)
Fleet Costs (water trailer)
Fleet Costs (truck)
Commercial gardening equipment
FT Beautification Position
Seasonal Beautification Position (6 mnths)
Net 2018 budget impact
2019
Expense Item
FT Beautification Position (8 months)
Seasonal Beautification Position (6 months)
Revenue sources
Base Beautification budget
BIA/Hort contributions
2018
Expense Item
Supplies (flowers/landscaping/mulch/urn flowers/medium pots)
Fleet Costs (water trailer)
Fleet Costs (truck)
Commercial gardening equipment
Page 3 / 5 RCP 17-56 - 2018 Beautification Plan
This funding level is incorporated in the draft 2018 operating budget as presented to Council on December 14, 2017. Alternatively, Council could decide not to increase the service level for beautification for 2018, in which case the following budget would be required:
This approach would reduce the 2018 impact on taxation by $53,520.
CONSULTATION/COMMUNICATION
Throughout the 2017 season, Parks staff were approached by dozens of citizens who were very
complimentary of the enhanced beautification initiatives and wanted to pass along their support and desires for this program to not only continue, but be enhanced in future years. Staff also received specific comments about other sites that were not beautified (i.e. Customer Service Centre, Bert Newman Park) needing similar attention so they could look as good as the sites that
were enhanced.
Operations Capital
$12,000 0
$1,250 0
$5,000 0
$2,500 0
$26,300 0
Total $47,050 $0
$25,000
$8,600
$13,450 $0
Operations Capital
$12,000 0
$1,250 0
$16,000 $0
$2,500 0
$26,695 0
Total $58,445 $0
$38,450
$8,600
$11,395 $0
Non-enhanced Beautification Program
Revenue sources
Base Beautification budget
BIA/Hort contributions
Net 2019 budget impact
Supplies (flowers/landscaping/mulch/large & medium urn flower
Fleet Costs (water trailer)
Fleet Costs (truck)
Commercial gardening equipment
FT Beautification Position
BIA/Hort contributions
Net 2018 budget impact
2019
Expense Item
Seasonal staff
Revenue sources
Base Beautification budget
2018
Expense Item
Supplies (flowers/landscaping/mulch/urn flowers/medium pots)
Fleet Costs (water trailer)
Fleet Costs (truck)
Commercial gardening equipment
Page 4 / 5 RCP 17-56 - 2018 Beautification Plan
In addition, the Horticultural Society was complementary of the enhanced beautification efforts of the Town and is supportive of expanding that program in 2018 as outlined in the attached letter. The Horticultural Society is also willing to continue its financial contribution towards expanding the
program again in 2018.
The BIA is also supportive of the enhanced beautification program and is willing to continue its financial contribution towards the program again in 2018.
FINANCIAL IMPACT/FUNDING SOURCE The net increase in the financial impact to taxation for the operational costs of the recommended beautification program would be $66,970 in 2018 and estimated as a further $19,474 in 2019.
The capital costs for the required truck would be incorporated into the 2019 fleet plan. The net increase in the financial impact to taxation for the operational costs of maintaining the 2017 level beautification program would be $13,450 in 2018 and estimated as a further $11,395 in
2019. COMMUNITY STRATEGIC PLAN (CSP) IMPACT This issue paper provides information in alignment with the following Objectives of the
Community Strategic Plan:
• Objective 1 – Excellence in Local Government
• Objective 2 – Sustainable Economy
• Objective 4 – Culture & Community
Page 5 / 5 RCP 17-56 - 2018 Beautification Plan
Report Title Enhanced Beautification – Program Summary
Report No. RCP 17-49
Author Corey Hill – Manager of Parks & Facilities
Meeting Type Budget Meeting
Council Date October 23, 2017
Attachments • RCP 17-17 - Enhanced Beautification Program – Updated
RECOMMENDATION
THAT Report RCP 17-49 – Enhanced Beautification – Program Summary be received for information.
EXECUTIVE SUMMARY An enhanced town-wide in-house beautification program was recommended by the Heritage,
Beautification & Cemetery Advisory Committee (HBCAC). This service level increase was approved by Council as a trial year (2017) for enhanced beautification working within a net budget of $25,000. The program was to be reviewed in the fall of 2017 for effectiveness and be re-evaluated at that time for future viability.
BACKGROUND
To meet the service level within a net budget of $25,000, the following list of locations were
approved by Council to be enhanced:
Town Gateways (Hwy 3 & 19)
12 Downtown Flower Urns
LLWP & Summerplace
Oxford & Broadway Parkette
Skatepark/Pumptrack
Fourth to North TCT Gateway (Fourth St)
Mineral Springs
Clock Tower
The program commenced in May 2017 and included cleaning the above locations and prepping the sites for plantings. This was a lengthy process due to the poor shape of the garden beds and the fact they had not been properly maintained for many years (or not at all). In addition, the Horticultural Society embarked on a campaign
to engage local businesses to donate funds to cover the costs of the flowers in the downtown urns. They were successful in raising sufficient funds for all 12 urns. This reduced the supplies budget resulting in the ability to invest in more plantings at the other
locations.
Page 1 / 3 RCP 17-49 - Enhanced Beautification Prog
63
As the summer came to an end, the BIA offered to supply fall mums
to be planted in the downtown urns in replacement of the annuals. This was accomplished with no additional cost to the Town other than staff time, which was already allocated to the program, to pull the annuals and plant and maintain the mums.
Parks staff planted, maintained, weeded and watered the flowerbed
locations and downtown urns daily throughout the program. Throughout the season, Parks staff were approached by dozens of citizens who were very complimentary of the enhanced beautification initiatives and wanted to pass along their support and desires for this program to not only continue, but be enhanced in future years. Staff also received specific comments about other
sites that were not beautified (i.e. – Bert Newman Park) needing similar attention so they could look as good as the sites that were enhanced.
The transformation at the locations was significant as shown below:
Page 2 / 3 RCP 17-49 - Enhanced Beautification Prog
64
The following is how the budget was allocated and actuals to the end of the program (Nov 1, 2017);
The enhanced beautification program was delivered under the approved $25,000 budget at a total cost of $23,643. The savings were primarily achieved through not requiring as much commercial gardening equipment
as was allocated in the original budget. It should be noted that that the Parks team allocated approximately 16 hrs/weekend of
additional horticultural work to maintain and water the locations and downtown urns on weekends. These hours were absorbed into the existing Parks & Cemetery operational staffing complement. This staffing arrangement was required for the success of the enhanced
beautification program, but did result in delayed Parks & Cemetery responsiveness to other Town areas and related service requests such as ACRs.
CONSULTATION/COMMUNICATION The creation of the program and budget was completed in consultation with the Town’s Fleet Department, representatives of the BIA and the Horticultural Society.
FINANCIAL IMPACT/FUNDING SOURCE The 2017 program was delivered within allocated budget. If the program is extended beyond
2017, the fleet equipment would need to be re-evaluated as the truck was and trailer were temporary allocations specifically for the 2017 trial year. COMMUNITY STRATE,GIC PLAN (CSP) IMPACT This report provides information in alignment with the following Objectives of the Community Strategic Plan:
• Objective 1 – Excellence in Local Government
• Objective 2 – Sustainable Economy
• Objective 4 – Culture & Community
Cost Description Budget Actual
Supplies (flowers/mulch, top soil etc) $11,940 $11,836
Fleet (truck & water trailer) $3,300 $3,300
Commercial Gardening Equipment $2,500 $500
Staffing (Seasonal Parks & Cemetery Operator) $17,000 $17,807
Hort Society Contribution -$1,600 -$1,600
BIA Contribution -$7,000 -$7,000
Reduction in Contract Costs -$1,200 -$1,200
TOTAL $24,940 $23,643
Page 3 / 3 RCP 17-49 - Enhanced Beautification Prog
65
NOTICE OF MOTION
AGENDA ITEM NO.: _____ Date: January 29, 2018
RESOLUTION NO.: ______ MOVED BY: Councillor Rosehart SECONDED BY: _________________________
THAT the loose leaf collection program to stop in 2018.
Carried Defeated Deferred Tabled
Recorded
Vote ________ Mayor’s Initials
66
Report Title Loose Leaf Collection Program Review
Report No. OPS 17-33
Author Kevin De Leebeeck, P.Eng. Director of Operations
Meeting Type Budget Meeting
Council Date December 14, 2017
Attachments OPS 15-20 Loose Leaf Collection Program
Page 1 / 2
RECOMMENDATION:
THAT Council receive Report OPS 17-33, Loose Leaf Collection Program Review; AND THAT Council direct staff to continue to provide curbside loose leaf collection service. BACKGROUND
Prior to procuring the replacement of leaf loading equipment in 2015, Council requested staff
review the curbside loose leaf collection program. Operations Report OPS 15-20 (attached)
summarized the various factors to consider with regards to the loose leaf collection program, possible alternatives to providing the loose leaf collection program, and different methods of performing loose leaf collection. In the end the program was revised to start approximately two (2) weeks later in the year to try and accommodate more fallen leafs and a new leaf vacuum
unit was acquired to complete the curbside loose leaf collection more efficiently within a four
(4) week timeframe. At the end of Q3 in 2017 the rehabilitated Transfer Station facility re-opened to the public and now provides Yard Waste disposal six (6) days a week from 9am - 5pm Monday to Saturday.
SUMMARY
The chart below summarizes some key metrics associated with the loose leaf collection program over the past several years and demonstrates overall increased program efficiency in recent years through decreased number of ACR’s and decreased cost despite increased participation/volume of material. The proposed 2018 loose leaf collection budget is comprised
of about $28,000 in labour and about $48,500 in fleet user charges due to a scheduled $5,200
impeller replacement in 2018.
**Program Budget
Year ACR’s Tonnes Cost Collection Period
2018 - - $ 77,000* TBD
2017 7 - $ 72,200* Nov 6th to Dec 1st (4 wks)
2016 12 352 $ 63,965 Nov 7th to Dec 2nd (4 wks)
2015 30 377 $ 74,016 Nov 9th to Dec 4th (4 wks)
2014 33 316 $ 82,959 Oct. 27th to Dec. 5th (6 wks)
2013 27 307 $ 82,116 Oct. 28th to Dec. 6th (6 wks)
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Page 2 / 2
CONSULTATION/COMMUNICATION The Towns new website has a dedicated section to the Loose Leaf Collection Program that describes the level of service for loose leaf collection and provides a link to view the collection
zone map. The webpage also includes a Frequently Asked Questions section to assist and help
address common public concerns.
Information regarding the Loose Leaf Collection program including the collection zone map is also incorporated into the Fall Community Guide and weekly program information is also provided leading up to and during the program through the Update Tillsonburg page in the
Tillsonburg News.
FINANCIAL IMPACT/FUNDING SOURCE
Discontinuing the curbside loose leaf collection program would result in one-time equipment disposal savings estimated at $20,000 and an average annual budgeted savings of approximately $6,750 in overtime and fleet user charges (inclusive of scheduled impeller
replacements every three years). COMMUNITY STRATEGIC PLAN (CSP)
Continuing to provide curbside loose leaf collection services supports Objective 1 – Excellence in Local Government of the Community Strategic Plan.
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Page 1 / 4
STAFF REPORT
OPERATIONS SERVICES
Report Title: Loose Leaf Collection Program
Report No.: OPS 15-20
Author: Kevin De Leebeeck, P.Eng., Director of Operations
Meeting Type: REGULAR COUNCIL
Council Date: JULY 13, 2015
Attachments: LOOSE LEAF COLLECTION MAP
LOOSE LEAF COLLECTION DRAFT WEBPAGE
RECOMMENDATION:
THAT Council receive Report OPS 15-20 Loose Leaf Collection Program;
AND THAT Council direct staff to procure the leaf vacuum equipment in order to
continue to provide loose leaf collection services.
SUMMARY
The Town of Tillsonburg Loose Leaf Collection Program typically begins in late October
and runs for about 6 weeks. The current process utilizes four crew members, two
trackless tractors (one with the leaf loader, the other with a rotatory angle broom), two
single axle dump trucks and on occasion the front end loader. The program begins by
collecting leaves in a designated area and systematically moves through the Town until
each zone has been visited at least once, weather permitting. A map outlining the Loose
Leaf Collection areas is provided Figure 1.
The chart below identifies the tonnage and cost associated with the current program
over the past couple of years. The 2015 Loose Leaf Collection Program budget is
comprised of about $40,000 in labour and about $50,000 in fleet user charges.
* Program Budget
Year Tonnes Cost Collection Period
2015 - $ 89,500* Starting 1st wk of Nov (4-5 wks)
2014 316 $ 82,959 Oct. 27th to Dec. 5th (6 wks)
2013 307 $ 82,116 Oct. 28th to Dec. 6th (6 wks)
69
Page 2 / 4
There are many other factors to consider with regards to the Loose Leaf Collection
Program such as:
Safety
• Leaves piled in any location are attractive places for children to play. Piles
of leaves at a roadside location raise concerns of child safety.
• Most fire hydrants are located close to roadsides and leaves piled in these
locations can cause concerns with respect to fire protection.
• Large leaf piles along roadways and near intersections create traffic safety
concerns and sightline issues.
• Wet leaves found on roadways can result in dangerous driving conditions
and piling leaves at such locations exacerbates this condition.
Maintenance
• Catchbasins can become plugged as a result of the build-up of leaves on
the roadway requiring additional maintenance (staff time and financial
costs) in order to prevent flooding/ponding on the roadway.
• In the case of an early snowfall, leaves may become frozen or covered
with snow on the roadway, making their collection difficult and impacting
the Town’s snow clearing efforts.
Miscellaneous
• There are aesthetic concerns that the Town looks cleaner without piles of
leaves on the roadside.
• The public becomes frustrated due to the fact that they raked all of their
leaves to the curb/boulevard for pick-up, and in the meantime, the wind
picks up and blows the leaves back onto their property and/or neighbours
properties.
• A concern with loose leaf collection is that past experience has seen an
increase in the amount of contaminated leaf piles (i.e. rocks, pieces of
metal, branches, sticks, brush, yard waste, and other debris) that cause
damage to equipment and slow the collection program progress as well as
raising safety concerns for crew members.
The Transfer Station Yard Waste site is a resource currently available to all residents of
Tillsonburg that addresses all of these issues. Possible alternatives to the additional
service of the Loose Leaf Collection Program include:
Discontinuing the additional loose leaf collection service would result in a one-
time capital savings of $45,000 in leaf loading equipment and an annual
budgeted savings of approximately $12,000 in overtime and fleet user charges.
This option would decrease the current level of service provided by the Works
Department.
70
Page 3 / 4
Contract out the Loose Leaf Collection Program under the guidance of the Works
Department. This option has the advantage of not requiring a capital investment
in equipment or impact upon the current service levels provided by the Works
Department.
Continue providing the additional service of loose leaf collection and procure the
leaf loading equipment in order to deliver the service. There are two methods of
operation available under this option:
• Leaf Loader Operation (current process)
o As described above the leaf loader process requires four crew
members and the use of two trackless tractors, one with the leaf
loader attachment and the other with a rotatory angle broom for
boulevard and roadway sweeping clean-up.
o The leaf loader acts similar to a snow blower using augers and an
impeller to blow the leaves into the dump truck.
o Two singe axle dump trucks are rotated through once filled with
loose leafs and emptied at a temporary storage site for later
transport and disposal at the Salford Landfill.
o Total equipment capital investment of approximately $45,000 with
an expected useful life of about 10 years.
• Leaf Vacuum Operation (proposed process)
o The leaf vacuum process would still require the use of four crew
members, but would eliminate the need for the two trackless
tractors that would translate into about a $10,000 decrease in
annual fleet user charges for this program.
o This process would also reduce the amount of boulevard lawn
damage caused by the trackless tractors.
o A tow behind vacuum unit shreds leaves at a 10:1 to 15:1 ratio
allowing more debris to be loaded in each truck making direct
disposal to the Salford Landfill practical, eliminating the need for a
temporary storage site.
o Would require modifications to the dump body of two plow trucks to
create a sealed enclosure.
o Total equipment capital investment including the plow truck
modifications is approximately $50,000 with an expected useful life
of about 15 years.
Both types of equipment for each respective method of operation are special
purpose equipment for the sole purpose of loose leaf collection and do not have
any other known applicable applications.
71
Page 4 / 4
CONSULTATION/COMMUNICATION
The crew members of the Works Department were consulted to review the delineation
of zones and to identify improvements in the sequence of collection operations. As a
result the collection zone map presentation has been updated and adjusted in an
attempt to better communicate the Loose Leaf Collection program operations with the
general public.
Staff have also developed a new webpage dedicated to the Loose Leaf Collection
Program (layout attached) that describes the level of service for loose leaf collection
and provides a link to view the collection zone map. The webpage also includes a
Frequently Asked Questions section to assist and help address common public
concerns.
Information regarding the Loose Leaf Collection program including the collection zone
map will also be incorporated into the 2015 Fall Community Guide and through the
Focus Ad in the Tillsonburg News.
FINANCIAL IMPACT/FUNDING SOURCE
The capital replacement of leaf loading equipment was identified in the 2015 Operations
Business plan with a total project value of $45,000 from reserves.
If Council elects to continue to provide loose leaf collection services operations staff
recommend investing into the leaf vacuum method of operation. The additional $5,000
capital investment for the leaf vacuum can be accommodated by the under budget
expenditures of fleet capital to date.
72
NOTICE OF MOTION
AGENDA ITEM NO.: _____ Date: January 29, 2018
RESOLUTION NO.: ______ MOVED BY: Councillor Rosehart SECONDED BY: _________________________
THAT 1.0 F.T.E, Health & Safety Coordinator for $58,000 be remove from
the 2018 budget;
AND THAT options for this work be provided.
Carried Defeated Deferred Tabled
Recorded
Vote ________ Mayor’s Initials
73
NOTICE OF MOTION
AGENDA ITEM NO.: _____ Date: January 29, 2018
RESOLUTION NO.: ______ MOVED BY: Councillor Hayes SECONDED BY: _________________________
THAT $58,000 for one F.T.E, Health & Safety Coordinator be remove from
the 2018 budget.
Carried Defeated Deferred Tabled
Recorded
Vote ________ Mayor’s Initials
74
NOTICE OF MOTION
AGENDA ITEM NO.: _____ Date: January 29, 2018
RESOLUTION NO.: ______ MOVED BY: Councillor Rosehart SECONDED BY: _________________________
THAT the Gibson House Boathouse be fundraised by the Boaters and/or
the Scouts.
Carried Defeated Deferred Tabled
Recorded
Vote ________ Mayor’s Initials
75
COUNCIL RESOLUTION
AGENDA ITEM NO.: ______ Date: January 29, 2018
RESOLUTION NO.: ______ MOVED BY: Councillor Adam
SECONDED BY: _________________________
THAT the Tillsonburg Scout Association and Sea Scouts once again be
provided the rights of primary usage and access to Gibson House for
related meetings and water activities;
AND THAT a memorandum of understanding be established between the
Town and the organization(s);
AND FURTHER THAT this relationship be reviewed at least on a bi-annual
basis until another solution is solidified between the Town and
organization(s) with respect to the Memorial Park Revitalization initiative.
Carried Defeated Deferred Tabled
Recorded
Vote ________ Mayor’s Initials
76
Carried Defeated Deferred Tabled
Recorded
Vote ________ Mayor’s Initials
77
NOTICE OF MOTION
AGENDA ITEM NO.: _____ Date: January 29, 2018
RESOLUTION NO.: ______ MOVED BY: Councillor Rosehart SECONDED BY: _________________________
THAT the $5,000 for a Building Department parking study at the back of the
mall be removed from the 2018 budget;
AND THAT the Building Department work with Operations to use the same
consultant for the parking study at the back of the mall that is in place now
in the budget for $35,000 for the downtown parking study.
.
Carried Defeated Deferred Tabled
Recorded
Vote ________ Mayor’s Initials
78
NOTICE OF MOTION
AGENDA ITEM NO.: _____ Date: January 29, 2018
RESOLUTION NO.: ______ MOVED BY: Councillor Adam SECONDED BY: _________________________
THAT the Cost of Living increase of 1.5% for staff be adjusted to 0.5%.
Carried Defeated Deferred Tabled
Recorded
Vote ________ Mayor’s Initials
79
NOTICE OF MOTION
AGENDA ITEM NO.: _____ Date: January 29, 2018
RESOLUTION NO.: ______ MOVED BY: Councillor Adam SECONDED BY: _________________________
THAT the funding for Branding—Wayfinding Signage be increased from $9,000 to $25,000 to allow for larger signs with larger print where appropriate, as well as further exploration into the implementation of the program as a whole (i.e. adding other signs in strategic locations if necessary).
Carried Defeated Deferred Tabled
Recorded
Vote ________ Mayor’s Initials
80
NOTICE OF MOTION
AGENDA ITEM NO.: _____ Date: January 29, 2018
RESOLUTION NO.: ______ MOVED BY: Councillor Adam SECONDED BY: _________________________
THAT the already approved 2018 pre-budget funding for T: Go Call n’ Ride ($22,500) be increased by $6,350 ($28,850).
Carried Defeated Deferred Tabled
Recorded
Vote ________ Mayor’s Initials
81
Report Title T:GO CALL-N-RIDE Grant Request – 2018-19
Report No. CTPPSC 60-17
Author John Preston
Meeting Type Council Meeting
Committee
Date December 5, 2017
Attachments
Page 1 / 3
RECOMMENDATION
THAT Report CTPPSC 60-17 be received for information, and that a grant request of $35,200.00
by the Community Transportation Steering Committee be approved during budget deliberations
for the upcoming 2018-19 fiscal year.
EXECUTIVE SUMMARY
The Transportation Steering Committee is requesting a grant from the Town of Tillsonburg to be
applied to the T:GO CALL-N-RIDE Program for the 2018-19 fiscal year. The Town of Tillsonburg
has previously committed $22,500 for the 2017-18 fiscal year; this has moved the community
transportation forward in receiving on-going Pilot Program funding as well as a successful
application to the Ontario Gas Tax Program for this year. Further funding from the municipality
will continue its participation in the Ontario Gas Tax Program to support T:GO CALL-N-RIDE.
BACKGROUND
Operating costs for the T:GO CALL-N-RIDE Program have been divided into two categories:
Direct Operating Costs, and Coordination Costs.
Direct Operating Costs include the following cost items:
Driver Wages: $16.87/hour, 12 hours/day, 5 days/week (1)
Employer Benefit Costs: 15% of wages
Vehicle Insurance
Vehicle Maintenance
Licensing Fees (Provincial, Municipal – CVOR not included)
Vehicle Leasing Fees: $13,500/year (2)
Fuel
Branding
Profit Margin: 10% of operating costs (3)
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Coordination Costs include the following:
Coordinator: $22.08/hour, 35 hours/week
Employer Benefit Costs: 17% of wages, includes 3% medical benefits
Website Maintenance
Advertising, Outreach, Print Material
Office and Equipment: Currently provided In-Kind by Community Living staff
Staff Support: Financial reports, reception currently provided In-Kind by Community Living
staff
Communications: Cellphone for bus driver, currently provided in-kind by Community
Living
Bus signs: 50 units a $20 (Sign Art Tillsonburg) to identify main T:GO stops within
Tillsonburg
Notes:
It is the intent to issue a Request for Proposals for the Direct Operating Costs; costs listed are
based on current T:GO Rates and estimated rates for contractors:
(1) Provincial wage average for bus drivers is $16.87/hour; Southwestern Ontario rates
around London are $13.85/hour.
(2) The current T:GO vehicle leasing rate is $13,500 from Community Living Tillsonburg to
the T:GO Program. Review of the using the current bus versus one provided by the
successful bidder will be part of the RFP Process.
(3) Profit margins will vary depending on the bidder, so a baseline of 10% has been set to
estimate overall costs to the Program.
Revenues include:
Fares, Pass Sales
Donations & Partner Contributions
Municipal Contributions
Additional Revenues (i.e., on-board advertising)
MTO Gas Tax
FINANCIAL
Estimated costs for the 2018-19 fiscal year for each category are as follows:
Direct Operating $ 99,288.32
Coordination $ 61,457.50
Total $ 160,745.82
A grant of $35,200.00 from the Town toward the T:GO Program will be matched by Donations
and Partner Contributions through fundraising efforts by the Coordinator and transportation
committee. Combined with arevenue of $19,000 from fares, plus additional revenue
opportunities, this makes the Municipality eligible for up to $69,000 from the Ontario Gas Tax.
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The combination of community partners and the Gas Tax will cover the total operational costs for
the 2018-19 fiscal year.
REVENUE
Fares, Sales $ 19,000.00
Donations - Partner Contributions $ 35,200.00
Municipal Portion $ 35,200.00
Additional revenues (In-bus advertising) $ 2,500.00
Total Revenue $ 91,900.00
MTO Gas Tax (75% Total Revenue) $ 68,925.00
Total Revenue After MTO Contribution $ 160,825.00
Minus Contributions $ (79.18)
CONSULTATION/COMMUNICATION
Budget Information (2017-18) provided by Art Fuller, Finance Director, Community Living
Tillsonburg.
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NOTICE OF MOTION
Date: _January 29, 2018 __
MOVED BY: Councillor Adam
SECONDED BY:
THAT Resolution number 5 from the Council Budget meeting of January 15, 2018, duly moved
and seconded by Councillor Esseltine and Councillor Adam, and read as follows:
THAT Council includes the following additional items to the 2018 Operating Budget
1. $15,000 for the cost of snow removal at the CSC;
2. $54,075 in Provincial Gas Tax Revenue and an expenditure of the same to the
Community Transportation Committee for the operation of Transit in the community in the
2018;
AND THAT Council includes the following additional items to the 2018 Capital Budget;
1. $25,000 to be funded from reserves for the cost of storm drain enhancements for
Quarter Town Line;
2. $158,000 for the cost of a Fire Communication Console to be funded by $120,000 from
user pay debt and $38,000 from reserves;
AND THAT Council approves an increase of .25 FTE to the overall FTE Count for CSR
support at the CSC;
be reconsidered at the Council Budget meeting of January 29, 2018.
Carried Defeated Deferred Tabled
Recorded
Vote ________ Mayor’s Initials
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Carried Defeated Deferred Tabled
Recorded
Vote ________ Mayor’s Initials
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THE CORPORATION OF THE TOWN OF TILLSONBURG
BY-LAW NUMBER 4168
BEING A BY-LAW to confirm the proceedings of Council at its meetings held on the 29th day of January, 2018
WHEREAS Section 5 (1) of the Municipal Act, 2001, as amended, provides that the powers of a municipal corporation shall be exercised by its council;
AND WHEREAS Section 5 (3) of the Municipal Act, 2001, as amended, provides that
municipal powers shall be exercised by by-law;
AND WHEREAS it is deemed expedient that the proceedings of the Council of the Town of Tillsonburg at this meeting be confirmed and adopted by by-law;
NOW THEREFORE THE MUNICIPAL COUNCIL OF THE CORPORATION OF THE TOWN OF TILLSONBURG ENACTS AS FOLLOWS:
1.All actions of the Council of The Corporation of the Town of Tillsonburg at its meeting
held on January 29, 2018, with respect to every report, motion, by-law, or other action passed and taken by the Council, including the exercise of natural person powers, are hereby adopted, ratified and confirmed as if all such proceedings were expressly embodied in this or a separate by-law.
2.The Mayor and Clerk are authorized and directed to do all the things necessary togive effect to the action of the Council of The Corporation of the Town of Tillsonburgreferred to in the preceding section.
3.The Mayor and the Clerk are authorized and directed to execute all documents
necessary in that behalf and to affix thereto the seal of The Corporation of the Townof Tillsonburg.
4.This By-Law shall come into full force and effect on the day of passing.
READ A FIRST AND SECOND TIME THIS 29th DAY OF JANUARY, 2018.
READ A THIRD AND FINAL TIME AND PASSED THIS 29th DAY OF JANUARY, 2018.
_____________________________ MAYOR – Stephen Molnar
______________________________ TOWN CLERK – Donna Wilson
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