130204 Council MINTown of Tillsonburg
Minutes of Council
. Meeting Date:
Monday February 4, 2013
9:00AM
Council Chambers
Chair: John Lessif
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Discussion on how council wants to deal with this -prepay or take no action on reserves until
balloon payment comes due late in 2013.
Staff to provide the total revenue raised from the sale of real estate assets in the last year.
It was suggested that perhaps $1,000,000 could be used to reduce debt and leave balance in the
general reserve.
Staff to provide a summary and recommendation on the approach Town should make on the
balloon payments.
THI
All THI related staff need to be included in the communication regarding the impact of the RFP.
Staff to bring back to THI the possibility of increasing the dividend to $200,000 and to bring
forward the 2012 dividend payment which has not been received by the Town.
Parkland Trust for the Carroll Trail
Staff to provide a report on the Parkland Trust, including the deficit and how that it could be dealt
with.
Council took a brief recess at 10:50 AM.
The meeting was called back to order at 11 :02 AM
Full Time Equivalent
Staff to provide a report on the 2012 FTE, 2013 FTE and 2012 headcount.
Staff to add a total to the 2013 cost per household chart and to double check the policing figure.
Municipal Facility
Council requested from staff a report on the strategic direction of the Corporate Office Facility.
Municipal facility is not in this budget-to cover increased costs to extend the lease and the
strategy going forward -stand alone or continue lease.
This should be part of the strategy moving forward.
Airport
Staff to address the Airport strategic plan regarding the future of this asset.
Air shows -do we want our staff involved in planning an air show where there is large risk
dependent on weather.
There should be a report to council regarding a potential financial liability when planning these
events.
Airport master plan will require millions of dollars of investment.
Fire Master Plan
Fire master plan is no longer required by the Ontario Fire Marshal, now it is a more risk based
analysis.
What will the town do to bridge the gap?
Long Term Investment
Discussion took place regarding outstanding boundary issues.
The Town has to have a plan in place for long term investment.
Currently have residential growth but the issues are with industrial growth and commercial growth
and what is the long term.
Staff to provide a report on economic development investment, and where we are going with this.
Staff to determine if asset management could benefit from SCOR and if this group could help in
the advancement of Tillsonburg.
Page 3
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BY-LAWS
2. By-Law 3700, To Confirm the Proceedings of the Council Meeting of February 4, 2013 [)
Resolution No. 3:
Moved By: Deputy Mayor Renaud Seconded By: Councillor Klein
AND RESOLVED THAT By-Law 3700, To Confirm the Proceedings of the Council Meeting of
February 4, 2013, be read for a first and second time and this constitutes the first and second
reading thereof;
FURTHER RESOLVE THAT By-Law 3700, be given third and final reading and the Mayor and
Clerk be and are hereby authorized to sign the same, and place the Corporate Seal thereunto.
"Carried"
ADJOURNMENT
Moved By: Councillor Klein AND RESOLVED THAT the meeting be adjourned at 2:16PM.
"Carried"
Next Budget Meeting is scheduled for February 12, 2013.
Approval Received: (1 of 1)
Donna WilsonfTillsonburg (Thursday February 07,
2013 02:46 PM)
Town ofTillsonburg
Page 5
Introduction and Overview
Budget Guide
Budget Highlights
Town of Tillson burg
2013 Draft Budget
Table of Contents
Budget Summary-Consolidated
Budget Summary-PSAB Summary
Long Term Debt Repayment
Business Plans/Detailed Budgets
Finance/Human Resources
Development and Communications
Operations
Parks and Recreation
Fire
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2013 Budget
Format
~For 2012, prepared and published
a one page Budget Guide for the
public
~Goal is communication, in a
simple and straight forward manner
~Work in Progress. Two 2013
documents prepared for Council
consideration
'----
2013 Budget Overview
Pressures and Issues
~Omers benefit increase $103,500
~ 1 o/o economic adjustment to wage grids
$72,400
~Three additional FTE's $148,000
~Wage grid movement $57,600
~-
2013 Budget Overview
Pressures and Issues
)-QPP contract increase $55,000
)-Fire Communications lost contract
revenue $120,000
)-Urban design reserve $25,000
)-Physician recruitment $10,000
)-Community strategic plan $20,000
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120
500
270
145
2013 Bud
DEPARTMENT
Water
From 210
Hydro
Total FTE's
'-......,.-
et FTE
2012 ACTUAL HEAD COUNT 2013 Budget
9 8.25
5 5.75
4 5.8
12 12.7
Other sources of funding $3,916,04
Government Grants & Subsidies
User charges
Debenture Proceeds
Municipal tax levy
General RT Rate:
General Levy:
County:
Sewers:
Library:
Education:
2013 Budget -Impact to the
Median Residential Taxpayer
2012 Taxation 2013 Taxation
0.0073754 0.00749322
1,442.97 1539.53 96.56
819.02 838.00 18.97
49.67 52.16 2.49
78.10 78.10
432.38 435.57 3.19
1.60%
6.69%
2.32%
5.01%
0.74%
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Town of Tllllsonburg Volume 1, Issue 1
2013Budget
Council previously established • Maintain core service • Complete a community
a clear mandate for the Town: levels strategic plan
1. Reduce debt. • Seek savings and • Establish a youth activities
2. Build reserves. efficiencies reserve
3. Focus on marketing to • Complete existing capital • Focus on Economic
enhance the Town's projects Development
competitiveness and
attract businesses. • Re-time replacement • Develop a plan to deal
capital projects with the under funding of
The budgets of 2011, 2012 Infrastructure that
and 2013 have had a • Minimal new debt currently exists.
significant impact in creating a
Three year funding plan for fiscally responsible •
organization for the future. the Carroll Trail
Proposed priorities of the 2013 • Surplus parking net levies
Business Plans and Budget to be contributed to
are: reserves for further
parking infrastructure
• Continuing to minimize the projects
impact to the taxpayer • Establish an urban design
reserve
2013 Budget Pressures and Issues
The Town's Pressures and • Fire Communications lost
issues for 2013 are: contract revenue, • Proposed infrastructure
Non-Controllable $120,000 funding increase of
$175,000
OPP contract cost • Continued economic • climate uncertainty • All other net decreased increase, $55,000. affecting numerous expenditures, including
• Benefits, 5%/$28,000 activities through out the the Library, TSEC,
increase was negotiated. Town. $556,000
• Insurance, no budget Controllable • Minimal new debt to be
increase. issued in 2013 of • Salary and wage grid 200,000
• Reduced Ontario adjustments, $130,000
Municipal Partnership • Debt to be re-financed in • IT strategic plan, $75,000
Fund grant of $13,500. 2013, $2.5 million to $3.7
• Three new full time million depending on any
• Increase in Omers prepayment amount
contribution rates and
equivalent positions, one
of which is funded by the
costs, $103,500. County, $148,000
Town of Tillson burg
2013 Business Plan and Budget Highlights
February 4, 2013
About the budget planning process
The Town's annual budget, subject to Council approval, is financed by the tax levies it
collects for its taxpayers; government funding; reserve funding; user fee charges; and
debt. The Town's fiscal year is from January 1 to December 31. The budget planning
process begins in the summer when Town departments assess their needs and
priorities for the coming year and their current financial state in order to develop
preliminary budgets. The CAO and the Director of Finance lead the Senior Management
Team in reviewing the budgets and then developing a budget submission to Council.
The typical budget process is to present to Council the budget and business plans in
November with the aim of securing final budget approval early in Q1 of the following
year. This year's budget presentation to Council was delayed to February 4, 2013 to
allow the new CAO to be hired and have an opportunity to review the budget and
business plans. Therefore, the objective is to secure the 2013 budget approval by the
end of 01 2013. The budget consists of an operating budget that covers day-to-day
expenses such as employee salaries, maintenance and utilities at various work sites,
and the cost of providing services to people in the community. The capital budget
covers the cost of replacing or adding to the infrastructure for the Town.
Capital Budget overview
The following is the 2013 proposed capital expenditures that will be funded from various
sources including grants, reserves, debt and taxation.
Caoital Costs
De_ID Description Exoenditures
Finance Carroll Trail trust fund-year 1 of 3
Customer Service Roof Replacement -phase 1 of 3
Fleet Bucket Truck replacement #66 -Hydro 374,000
Fleet Ice resurfacer replacement #166-Parks 85,000
Fire Computer for CAD server and Digital Voice Recording System 5,000
Fire Annual replacement of firefiQhter Personal Protective Equipment (PPE) 18,540
Fire Standpipe firefighting Equipment kits, plus Hose, nozzles and appliances 12,000
Fire MSA SCBA lease agreement 8th yr of 1 0 21,027
Police Flooring replacement 32,000
Building New work station -CFWD 2,800
Roads Brock Street Recon -Surface Asphalt 27,600
Roads Wabash Road -Bell Mill S/R to west limit-Road Surfacing 68,200
Roads Annual Paving 150,000
Roads Thistle Court -Goldenrod Dr. to east limit of Cul-de-sac 255,986
Roads Glendale Dr. Area Recon (Phase 1) -Hawethorne & Parkside 150,898
Roads Oxford St Resurfacing -Broadway to Tillson Avenue -KHCL 400,000
Roads Broadway Resurfacing-North St to 120m South.-KHCL 70,000
'-ds Signal Upgrade -Concession and Broadway 35,000
. .Irking Future parking lot repairs
Airport Office Expansion -Customs 5,000
Solid Waste Replace Shed 3,000
Cemetery Columbarium unit 20,000
Cemetery Electrical connection to new water service-if not completed in 2012 9,000
Cemetery Pioneer Cemetery Revitalization 15,000
Parks CIIF -Lake Lisgar 112,500
Parks Horse Barn Demolition 20,000
Parks Parks Building -CFWD 20,000
Parks Beach Volleyball courts 3,000
Programs Recreation Master Plan initiatives (from business plan) 35,000
Recreation Facilities Health Club Equipment (weights, racks, etc.) 10,000
Recreation Facilities Auditorium Roof -
Recreation Facilities Accessible Washroom 50,000
DCS Laser fiche 20,000
DCS Server replacements 100,000
DCS Telephone System -CFWD 38,119
DCS Computer Replacements -CFWD 88,546
DCS Dell Poweredqe Serve -CFWD 32,759
DCS Rural Broadband -CFWD 1,456,108
Economic Development Desiqn-Build lndust Park -CFWD 75,366
Economic Development Project Satellite -CFWD 395,000
$ 4 216 449
Like many communities, the Town is dealing with the financial impacts of aging
municipal infrastructure as these assets are nearing the end of their intended lifespan.
The 2013 budget reflects a net levy increase for infrastructure of $175,000. It will be
recommended to Council by the Director of Finance that while the specific project listing
may vary, the total amount spent on infrastructure of $895,000 should remain and the
net capital levy continue to increase in future years in order to address a funding gap.
Reserves
40,000
60,000
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
46,044
-
-
-
-
-
-
-
-
-
20,000
-
-
-
-
-
-
$166 044
Town of Tillson burg Services: Cost per household
)
~~~~~~~~~~-----~-
Summary
The Town of Tillsonburg is faced with a number of pressures in the 2013 Budget and
Business plans. These pressures are not unique to the Town but are reflective of the
economic realities faced by other communities in Ontario.
The Management team remains committed to maximizing Town resources. The
Management team believes that the proposed 2013 Budget and Business Plans
demonstrate this commitment and balance the needs with the economic reality of
affordability.
Darrell Eddington, CA
Director of Financeffreasurer
Town of Tillson burg
}own of Tillsonburg Summary by Department
2013 Financial Plan
2012 2013
Budget Projection Variance$ Variance% Budget Variance$ Variance%
TOTAL REQUIREMENTS
Council 188,275 192,275 4,000 2.1% 222,900 34,625 18,4%
Customer Service 13,868 (95,171) (109,039) -786.3% (7,063) (20,931) -150.9%
Protection 116,319 105,119 (11,200) -9.6% 187,011 70,692 .. 60.8%
Development & Communication Services 722,082 707,665 (14,417) -2.0% 1,011,833 289,751 40J%
Economic Development 248,427 302,628 54,201 21.8% 195,496 (52,931) -21.3%
Finance 916,120 901,905 (14,215) -1.6% 1,062,856 146,735 16.0%
Police 3,173,713 3,060,346 (113,367) -3.6% 3,232,098 58,385 1,8%
Fire 844,418 877,423 33,005 3.9% 969,440 125,022 14.8%
Airport 81,694 39,419 (42,275) -51.7% 105,279 23,585 28.9%
Cemetery 68,507 52,659 {15,848) -23.1% 79,505 10,998 16.1%
Library 281,881 284,910 3,029 Ll% 8,368 (273,514) -97.0%
Museum 178,179 176,519 (1,660) -0.9% 175,991 (2,187) -1.2%
Parks & Recreation 2,847,723 2,804,285 (43,439) -1.5% 2,859;635 ll,91l 0.4%
TSEC 165,167 145,166 (20,002) -12.1% (165,167) -100.0%
EFC (36,694) (36,856) (162) 0.4% (36,534) 160 ..().4%
Roads 2,805,009 2,790,417 (14,592) -0.5% 2;384;376 (420,633) ~l5J~%
Parking (39,766) 39,766 -100.0% 39,766 -100.0%
Sanitary Sewers 0 (0) -100.0% ((}) -lOO;Q%
Solid Waste 137,563 137,599 36 0.0% 155;287 17,724 12.9%
Building 111,424 124,530 13,106 11.8% 107,383 (4,041) -3.6%
Operations Admin 96,256 73,357 (22,899) -23.8% 100,883 4,627 4.8%
Engineering 88,041 60,114 (27,927) -31.7% 189,190 101,149 114.9%
Enterprise Services (181,390) (181,617) (227) 0.1% (257,741) (76,351) 42:1%
Water (0) (0) (0) (0)
Fleet (335,044) (335,523) (479) 0.1% 44,241 379;285 -ll3.2%
ltal Requirement from Taxation 12,491,774 12,187,168 (304,606) -2.4% 12,790,432 298,658 2.39.%
H·lfinance\Fmancial P\ans\20 13\2013 Budgets\ Version 2\2013 Budget 000 Consohdation -V2 I/31/20131124AM Page I of5
fown of Tillsonburg Summary by Department
2013 Financial Plan
2012 2013
Budget Projection Variance$ Variance% Budget Variance$ Variance%
CAPITAL REQUIREMENTS
Council
Customer Service 60,000 60,000
Protection
Development & Communication Services 80,000 83,881 3,881 4.9% 120,000 40,000 50.0%
Economic Development 83,808 83,808
Finance 40,700 40,700 0.0% 40,000 (700) -1.7%
Police 32,000 32,000
Fire 44,147 45,339 1,192 2.7% 56,567 12,420 28.1%
Airport 2,000 12,020 10,020 501.0% 5,000 3,000 150.0%
Cemetery (0) (0)
Library
Museum
Parks & Recreation 101,000 99,368 (1,632) -1.6% 123,750 22,750 22.5%
EFC
Roads 445,161 447,501 2,340 0.5% (445,161) -100;0%
Parking 47,960 47,960 46,044 46,044
Sanitary Sewers
Solid Waste 3,000 3,000
Building 7,800 5,000 (2,800) -35.9% (7,800) -IOO.Q%
Operations Admin
Engineering
Enterprise Services
Water (0) (0)
Fleet 409,000 409,000
)'tal Requirement from Taxation 720,808 865,576 144,768 20.1% 895,361 174,553 24.2%
H IFmance\Fmancial Plans\20 13\2013 Budgets\Vemon 2\2013 Budget 000 Consohdat10n -V2 11311201311·24AM Page 3 ofS
Town o[Tillsonburg Town -excluding Sanitary Sewers and Water
2013 Financial Plan
2012 2013
Budget Projection Variance$ Variance% ~et Variance$ Variance%
c D D-C E E-C
OPERATING AND CAPITAL REQUIREMENTS
Operating 11,770,965 11,321,592 (449,374) -3.8% 11,895;071 124,106 1.1%
Capital 720,808 865,576 144,768 20.1% 895,361 174,553 24.2%
Total Requirement from Taxation 12,491,773 12,187,168 (304,605) -2.4% 12,7~4.11 298,659 2.39"/o
% Change from Previous Year
OPERATING REQUIREMENTS
Revenues
Special Levy, Local Improvements, PILS 372,800 161,793 (211,007) -56.6% 158,650 (214,150) -57.4%
Government Grants & Subsidies 1,118,753 1,131,838 13,085 1.2% 1,083,821 (34,932) -3.1%
User charges 8,476,824 6,413,784 (2,063,040) -24.3% 6,998,033 (1,478,791) -17.4%
Development Charges 182,872 182,872
Sale of Assets 0 100 100 49900.0% (0) -100.0%
Debenture Proceeds
9,968,377 7,890,386 (2,077,991) -20.8% 8,240,504 (1,727,873~ -17.3%
Expenditures
Labour 8,928,398 7,883,547 (1,044,850) -11.7% 9,271,847 343,449 3.8%
Purchases 5,240,413 3,900,055 (I ,340,358) -25.6% 3,51!4,277 (1,656,131?) ~31.6%
Contracted Services 4,684,758 4,610,879 (73,879) -1.6% .4,5p2;949 (121,809) -2.6%
18,853,568 16,394,481 (2,459,087) -13.0% 17;'119,072 (1,434,496}. -1.6%
8,885,191 8,504,095 (381,096) -4.3% ·9,178;568 293,377 3.3%
lnterfunctional adjustments 625,274 278,929 (346,346) -55.4% . 640,808 15,534 2.5%
Contribution from Reserves (123,087) (217,397) (94,310) 76.6% . 265,90~ 388,994 -316.()%
Contribution to Reserves 461,464 951,823 490,359 106.3% 465,664 4200 0.9%
9,848,842 9,517,449 (331,393) -3.4% 10;5$0,947 '702;105 7.1%
Debt Principal and Interest 2,061,432 2,054,186 (7,246) -0.4% ·1;726;826 (334,606) -16.2%
Prior year (surplus) deficit (139,310) (250,044) (110,734) 79.5% . (382,702~ (243,393} 174.7%
11,770,965 11,321,592 (449,374) -3.8% lJ.;895,07l 124,1<06 1.1%
Payments to (recovery from) County
Requirement from Taxation 11,770,965 11,321,592 (449,374) -3.8% :it.-9S,!I7:t. 124j106 U%
CAPITAL REQUIREMENTS
Funding Sources
Government Grants & Subsidies 1,362,324 1,065,250 (297,074) -21.8% 1;033,619 (328,705) ~24.1%
Other Revenues 907,688 517,314 (390,375) -43.0% 1;022,739 115,051 12!1%
Sale of Assets 10,000 10;000
Debenture Proceeds 100,000 810,415 710,415 710.4% 200,000 )00,000 100.0%
2,370,012 2,392,979 22,967 1.0% 2,266!359 (103;653~ -4.4%
Expenditures
Capital Expenditures 4,362,490 3,436,738 (925,752) -21.2% 4,27.6,'149 (86,041) -2.9%
4,362,490 3,436,738 (925,752) -21.2% 4,271!,449 (86;041~ -2.0%
1,992,478 1,043,759 (948,719) -47.6% 2,o1o;o91 17,613 0.9%
Interfunctional adjustments 2,312 2,312
Contribution from reserves (1,598,021) (1,341,542) 256,479 -16.0% (1,220,774) 377,24-7 -23:6%
Contribution to Reserves 326,351 1,161,047 834,696 255.8% 106,044 (220,3!ill -67.5%
720,808 865,576 144,768 20.1% 895,361 174,553 24.2%
Payments to (recovery from) County
Requirement from Taxation 720,808 865,576 144,768 20.1% 895,361 174,553 24.2%
RESERVES
Beginning Balance 2,748,376 2,889,108 140,733 5.1% 4,760,309 2,011,934 73.2%
Contribution to Resen·es
Operating fund 461,464 951,823 490,359 106.3% 465,664 4,200 0.9"/o
Capital Fund 326,351 1,161,047 834,696 255.8% 106,044 (220,307) -61.5%
Contribution from Reserves
Operating fund (123,087) (217,397) (94,310) 76.6% 265,907 388,994 -316.0%
Capital Fund (1,598,021) (I ,341 ,542) 256,479 -16.0% (1,220,774) 377,247 -23.6%
Transfers from (to) other programs 1,317,270 1,317,270
Ending Balance 1,815,082 4,760,309 2,945,227 162.3% 4,377,150 2,562,068 141.2%
li:\I20HII24A..\I PageS of5
]own of Tillsonburg
PSAB 3150 Reconciliation
2012Budget 2013 Budget
Revenues
Operating 22,001,739 20,252,371
Capital 4,688,841 4,382,493
Less:
Transfer from other Funds (1,721,108) (954,867)
Proceeds on debenture issue (100,000) (200,000)
Total Revenues $ 24,869,472 $ 23,479,997
Expenses
Operating 22,001,739 20,252,371
Non-tangible Capital 326,351 106,044
Capital 4,362,490 4,276,449
Less:
Transfer to other Funds (787,815) (571,708)
Capital Expenses ( 4,362,490) (4,276,449)
Debt Principal payments (1,315,057) (1,052,202)
Total Expenses $ 20,225,219 $ 18,734,505
Annual Surplus; before exclusions $ 4,644,254 $ 4,745,492
Exclusions:
1 Amortization of tangible capital assets
) Post-employement benefits
2,385,021 2,385,021
Solid waste landfill closure and post-closure
Total Exclusions $ 2,385,021 $ 2,385,021
Annual Surplus; after exclusions $ 2,259,232 $ 2,360,471
l-1 \Fmance\FmancJa\ Plans\20J:l\20B Budgcts\Vcrsmn 2\2013 Budget 000 Consolidation-V2 1131/2013 II 19AM Page I of I
iii ... ·;;; c ·;:: ...
.E .. 0
Debt Principal Balance at Year End
$15,000,000
$14,000,000
$13,000,000
$12,000,000
$11,000,000
$10,000,000
$9,000,000
$8,000,000
$7,000,000
$6,000,000
$5,000,000
$4,000,000
$3,000,000
$2,000,000
~+--:-+!_ .. ---"-----+---+.---+ ·····_· --+--·+-' :_-+':_ .. ·---+1---+--·-~-·-: :__;.: 1_· LJ~ I u I ~~L~± I t I ,L1~d I --~ f\. ·::!~t-· · --··~~~~-+ +---Notes
_ -·: j I ·: J. :.:::1 I 1 :· ·:·· .. :: :. :·. --···· The following three years below will require refinancing 1\~----~~--+-t-------1--------· _ _:::·!--~~-------or a "balloon" payment to pay off the remaining principal f==
· · ·1 \•·r~r -----·-·-·-·-· ------... --:::~: in that year.
~8\l~:··~t= .. :· ~-r-:=· ·~~-~:: :;~1----1--::~ 1::~~+~~ ~~~! ~ ~3·::~:~:~.·:~
\ 1 I I I I 2015-$ 181,702.51
--1-t--:-::: ~~-----·-······· ···-:r :r:--c,::_ I :··,::: : :::::: :FP=----.::
1---:-----~~-:::"t~=,==t=== =r=-= c::==::::::=+==~:=-:~ ::~::H-=~-~~: ·~-:------:'·==~~---~ === --~= ~~:
:::: _:·~~=~~ :\. : ::~~~~+--I ::=:-_:_·_::_L:J ·J~~t :.!:~_::_ ~·=~::: ::.:: [:_::_~~:-~_::_ _ ... ----~--j_~ t=:I:: L:·~ ~:
. ..... -~ ····\· .. ::: .. '::.__ ...... ···: ·~··· :.·.·:··.·:_:•.:•···-1, f•······· .. -~::1:: .... · .. :.:: :·,:·· . r···
--·~~ ---=--... f-~r---!--=~-..... l , ---··+--
~-~--~~-•---'---~---·::----. ...... r-=: .... :.... _ _::' -=-+ ' .
.1. . . ......,!', i !I ···I C .. I·· I· ·········· ~ i I . . ... ....
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~~~~~~~~~~NN~~~~~~~~~~~~@~~~~~ ~ ~ ~ ~ ~ ~ ~ ~ ~ ~ ~ ~ ~ ~ ~ ~ ~ ~ ~ ~ ~ ~ ~ ~ ~ ~ ~ ~ ~ ~
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H:\Finance\Financial Plans\2013\2013 Business Support\2013 Debt Summary-Graph 1/31/2013
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2013 Business Objectives
Item Dept Owner
~e~r~~~[~~.
,·,. •• '1 '·
Improve and Automate Customer Customer
Service
Manager
Business Processes Service
··~·~~r\lt:~~~~~~~,
Printer/Copier Tender
-lease expires Nov.
2013
Customer Customer
Service Service
Budget
Value
Projected
Value
Target
Date
Q4 2013
Q3 2013
Actual Date
Opportunities
• Continued use of ACR improves customer service to the community at large and
improves business processes
• Continued Customer Service Business Process reviews streamline manual processes
• With Harris Northstar upgrade, automation is available and processes can be
streamlined
• Combined Operations and esc project to focus in on, reduce and understand current
billing exception volumes
• Reduce costs for 2014 with the tender of printer/copier fleet in late 2013
Performance Measures
Finance and Customer Service Efficiency Measures-$ Cost
Department Net Operating costs as a Percentage of Total Net Municipal
Operating Costs
Customer
Service
2009
Actual
.9%
2010
Actual
.4%
2011
Actual
.12%
2012
Budget
.12%
2013
Budget
0%
Performance Measures
Effectiveness/Customer Service-Customer Service
~ Record completed work volume for utility bills, service orders and collections; POS
transactions; Number of phone calls answered; ACR cases logged for other departments
and for Customer Service; Burial peqnits/death registrations; Marriage, lottery and
Business licenses.
~ Measurement: Harris reports; Class reports; Nortel phone reports; ACR
reports; manual tracking.
~ Purpose: To identify workload, work flow and associated trends. Assess
staffing levels.
~ Phone calls answered a minimum of 80°/o of the time Within thirty seconds; number and
percent of abandoned calls with a maximum abandon rate of 5°/o.
);;> Measurement: Nortel reports
);;> Purpose: To identify workload, work flow and associated trends. To ensure
staff are at least meeting the needs of our customers. To assess staffing levels.
Performance Measures
Effectiveness/Customer Service-Finance
~ Quarterly reports provided to Council by the second meeting of the month following
quarter end for Ql to Q3; and to Tillsonburg Hydro Inc. in the second month following
each quarter.
~ Measurement: Manual tracking.
~ Purpose: To ensure timely reporting to Council, the Public and the Board.
~ Fourth Quarter reports provided to Council by the second meeting of the second month
following year end; and to Tillsonburg Hydro Inc. in the second month following the
quarter.
~ Measurement: Manual tracking.
~ Purpose: To ensure timely reporting to Council, the Public and the Board.
Human Resources
Allocation/Deployment Plan
2012 2013
Change from previous year (0.1) 0.1 0 (.37)
2014
:,17:25··
(.13)
/
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2013 Business Objectives
Item
Full and :Part.T:irne
(;rig $t~:P~l· · v:ea:r·Fou:r.···
1% Cost of Uving
Increase
Management
training; project
management, etc.
Ne.w •.Hi re Otlerttafi,eftl Trc:Hming .. · ·· ···· ···· · ·····.·.. ·
Investigate
paperless payroll
pay stubs
Inye!stige~t~·.p~~¢b~i~F'
fiR.t":~Y~~.~~······· ...•.. ·,·, , ; ,. .
oppqttuniti~s fot ·••··· .•.•. 2bt4/l5 . •.. .·
Dept
HR
HR
HR
Owner
HR
Manager
HR
Manager
HR
Manager
$72,400
Projected
Value
Target
Date
'· QJ-Q42013
Q1-Q4 2013
Q2 2013
Q:3 2013
Q2 2013
:Q42013''
Actual Date
Opportunities
• Review and update of Personnel Policy ensures that our policies are in line with other
Municipalities; also ensures that our policies and practices are fair and equitable
through the organization.
• Increasing the cost of living allows Tillsonburg to remain competitive in the labor
market among other Municipalities.
• Management training will ensure policies and procedures are executed equally
throughout the organization, and provide our leadership team with the necessary
skills to effectively management their departments.
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Town of Tillsonburg I 110 • Fi11ance
2013 Financial Plan I I
2012 2013
Budget Pro ection Budget
Operati11g Piau • Cost Code Summary ~~~-----r--------------------~----------------
Soecial Levv, Local Jm rovements, Pll..S
3000 Taxes -Residential 8,222,558
3005 Taxes-Multi-Residential 875,088
3010 Taxes -Commercial 2,070,216 -
3012 Tnxes-Commercial Vacant Unit 18,066 -
3014 Taxes -Commercial Vancant Lnnd 22,212
3020 Taxes -Shopping Centre
3022 Taxes-Shoppir!gCentre Vacant Unit
3030 Taxes-Industrial 639,668
3032 Taxes -Industrial Vacant Unit 10,511 -
3034 Taxes • Industrial Vacant Land 9,766
3040 Taxes -Pipeline!i 40,933
3050 Taxes • Fnnnlnnd 6,673
3055 Taxes-Farmland Dev. Phase I 3,373
3060 Taxes· Large Industrial 591,220
3062 Taxes • Large Industrial Vacant Unit 4,517
3070 Taxes-Supplementaries 110.000 110,000 110,000
3075 Taxes -Bill 79 Capped Levy
3080 Taxes· Capped Rebates/Claw Backs .
3085 Taxes -W /O's (275,000) (365,253) (350,000)
3090 Taxes -PIL's 94,000 94,000 94,000
3095 Locallmorovernents-Residential
3096 Local ImprovemenlS-Commercial
3100 Tax Ad'usbnents (0)
3105 Taxes • Penalty & Interest 210,000 167,103 168,000
Government Grants & Subsidies
3200 GranlS & Subsidies -Fedeml 454,664 454,664 454,664
3205 Grants & Subsidies -Provincial 223,600 223,645 210,100
3210 GrnnlS & Subsidies-OUter
User Charges
3300 Miscellaneous Revenue 32,100 9,856 8,000
3301 Residential Usage
3302 General Usa2e
3305 Admissions
3310 Fares & Fees
3315 Memberships
3320 Seasonal Revenues
3325 Sport< Fields Fees
3330 YouUt Pmwam Fees
3335 Adult Program Fees
3340 Summer Programs
3345 Participate Programs
3350 Minor Hockey
3355 Finure Skatiog
3360 Programs
3365 Landscaping
3400 PennitFees
3410 Licence Fees
3420 Certificates 16,000 18,955 16,000
3430 Inspections
3500 Rentals
3505 Merchandise
3510 Concession Sales
3515 Vending Machines
3600 Interest 11,000 14,800 12,000
3601 Late Payment Charges
3700 Special
3701 Capital Surchrne -Residential
3702 Capital Sun:hrge -General
3705 Donations
3800 Sewer Revenue-Surchllfge
3801 Reg 170 Surchrge -Residential
3802 Reg 170 Surchrge -General
3815 Extraordinary Revenue .
3999 Revenue Clearing Account
Specified Revenues
3805 Development Charges 673
3810 Sale of Asset< 100
3820 Debenture Proceeds
Contribution fmm Reserves
3900 _I_ Contribution from Reserves (139,310) (382,702)
3905 Contribution from DC Reserves 20,000
737 054 13,243 345 360 062
H:\Anance\FinantlaiPiaos\2013~013Budgels\V~212013BOOge1110FinMCe·Vl I/30120133:09PM Page 1 of 2
Town of Tillsonburg
) 2013 Financial Plan
5 year Capital Plan
l Budget Software
2 Carroll Trail trust fund-year l of 3
3
4
5
###
1 Carroll Trail trust fund-year 2 of 3
2 Budget Software
3
4
5
1 Carroll Trail trust fund-year 3 of 3
2
J
I 4
5
1
2
3
4
5
1
2
3
4
5
5 yr Capital Plan
Capital Costs
Description Exoenditures Reserves
40,000
2013 40,000
40,000
50,000
2014 50,000 40,000
40,000
2015 40,000
2016
2017
Page 1 of 1 1/30/2013
Town ofTil/sonburg 120 -Customer Service Centre
2013 Financial Plan I
2012 2013
Bud2et Pro'ection Bu~get
Operating Plan -Cost Cotle Summary ~;.;=~----r--------------------~--------------
Special Levy, Local Im rovements, Pll.S
3000 Taxes -Residential
3005 Taxes-Multi-Residential
3010 Taxes -Commercial
3012 Taxes-Commercinl Vacant Unit
3014 Taxes-Commercial Vancant Lnnd
3020 Taxes-Shopping Centre
3022 Taxes-Shopping Centre Vucant Unit
3030 Taxes -Industrial
3032 Taxes -Industrial Vacant Unit
3034 Taxes -Industrial Vacant Land
3040 Taxes-Pipelines
3050 Tuxes-Fnnnland
3055 Taxes-Fannland Dev. Phase 1
3060 Taxes -Large Industrial
3062 Taxes-Large Industrial Vacant Unit
3070 Taxes-Supplementnries
3075 Taxes-Bill 79 Capped Levy
3080 Taxes -Capped Rebates/Claw Backs
3085 Tuxes - W /O's
3090 Taxes -PIL's
3095 Local Improvements-Residential
3096 Local Improvements-Commercial
3100 Tnx Ad"ustments
3105 Taxes -Penalty & Interest
Government GranL'i & Subsidies
3200 Grants & Subsidies -Federal 650 2,568 1,700
3205 Grants & Subsidies -Provincial
3210 Grants & Subsidies-Other
Other Revenues
3300 Miscellaneous Revenue 1,813 1.800
3301 Residential Usage
3302 General Usage
3305 Admissions
3310 Fares & Fees
3315 Memberships
3320 Seasonal Revenues
3325 Sport• Fields Fees
3330 Youth Program Fees
3335 Adult Program Fees
3340 Summer ProJ!ffiitlS
3345 Participate Program!i
3350 Minor Hockey
3355 Figure Skating
3360 Programs
3365 Landscaping
3400 PennitFees
3410 Licence Fees 41,000 40,069 40,500
3420 Certificates 600 960 800
3430 Inspections
3500 Rentals 181,600 226,856 226,856 45,256
3505 Merchandise 400 720 750
3510 Concession Sales
3515 Vending Mnchines
3600 Interest
3601 Late Payment Charges
3700 Specinl
3701 Capital Surchrge -Residential
3702 Capital Surchrge -General
3705 Donations
3800 Sewer Revenuc~Surchllfge
3801 Reg 170 Surchrge -Residential
3802 Re• 170 Surchroe -General
3815 Extraordinary Revenue
3999 Revenue Clearing Account
Specified Revenues
3805 Development Charges
3810 Sale of Assets
3820 Debenture Pmceeds
Contribution From Reserves
3900 Contribution From Reserves -
3905 Contribution From DC Reserves
224.250 272 986 272.406
H:\Rnantelfinand&l Plansl201312013 BLKigels\Ve!$1on 212013 Budge1120 Cunrner Se!Vb:! • V2 1130120133:08PIA Page1 of 2
Town of Tillsonburg
·!13 Financial Plan
5 year Capital Plan
;-1 Roof Replacement -phase 1 of 3
2 ACRmobile
3
4
5
1 Repair spalling brick
2 RoofRep1acement -phase 2 of 3
3 ACRmobile
4
5
1 RoofReplacement-pbase 3 of 3
2
3
4
" '\
1
2
3
4 .··
5
1
2
3
4
5
5 yr Capital Plan
Capital Costs
Description Exoenditures Reserves
60,000
-
2013 60,000
25,000
60,000
25,000
2014 110,000
60;000
2015 60,000
·-
2016
2017
Page 1 of 1 1/30/2013
Tow11 ofTillso11burg I 160 -Police
2013 Fi11a11cial Pla11 I I
2012 2013
I Bud2et Pro"ection Budget
Operating Plcm -Cost Code Summary ~~~~-----~-------------------------r----------
Special Levy, Local Im rovements, PILS
3000 Taxes -Residential
3005 Taxes-Multi-Residential
3010 Taxes -Commercial
3011 Taxes-Commercial Vacant Unit
3014 Taxes-Commercial Vnncant Land
3020 Taxes -Shoooine Centre
3022 Taxes-Shoooine Centre Vacant Unit
3030 Taxes -Industrial
3032 Taxes-Industrial Vacant Unit
3034 Taxes-Industrial Vacant Land
3040 Taxes -Pipelines
3050 Taxes -Fannland
3055 Taxes -Fannland Dev. Phase 1
3060 Taxes -Large Industrial
3062 Taxes-Large Industrial Vacant Unit
3070 Taxes -Supplementnries
3075 Taxes -Bill 79 Capped Levy
3080 Taxes-Capped Rebates/Claw Backs
3085 Taxes - W /O's
3090 Taxes -PIL's
3095 Local Improvements-Residential
3096 Local Improvements -Commercial
3100 Tax Ad"ustments
3105 Taxes -Penalty & Interest
Government Grants & Subsidies
3200 Grants & Subsidies-Federal
3205 Grants & Subsidies-Provincial 130,000 130,000 130,000
3210 Grants & Subsidies-Other -
Other Revenues
3300 Miscellaneous Revenue 23,700 22,763 23,600
3301 Residential Usaee
3302 General Usage
3305 Admissions
3310 Fares &Fees
3315 Memberships
3320 Seasonal Revenues
3325 Sports Fields Fees
3330 Youth Program Fees
3335 Adult Program Fees
3340 Summer Programs
3345 Participate Programs
3350 Minor Hockev
3355 Figure Skating
3360 Programs
3365 Landscaoine
3400 Pennit Fees
3410 Licence Fees
3420 Certificates
3430 Insoections
3500 Rentals 265,180 263,313 265,180
3505 Merchandise
3510 Concession Sales
3515 Vending Machines
3600 Interest
3601 Late Payment Charges
3700 Special -
3701 Capital Surchrge-Residential
3702 Capital Surchrge -General
3705 Donations -
3800 Sewer Revenue-Surchurge
3801 Reg 170 Surchree -Residential
3802 Ree 170 Surchrge -General
3815 Extraordinary Revenue
3999 Revenue Clearinl!. Account
Specified Revenues
3805 Development Charges -1.261
3810 Sale of Assets
3820 Debenture Proceeds -
Contribution from Reserves
3900 Contribution from Reserves
3905 Contribution from DC Reserves -
418 880 417,336 418,780
H:\Finanee\l'inanclalf'lansi2013\2013Bud{lels\Ve111k:n2\2013BlJdoet160PollceV2 1130t.i!0133:08PM Page 1 of 2
Town of Tillsonburg
. )13 Financial Plan
5 year Capital Plan
~1 Flooring replacement
2
3
4
5
Descrintion
2013
1 Hvac and Boiler Replacement (with energy efficient equipment)
2
3
4
5
2014
1 Roof Replacement
2
3
4
" \
) 2015
1
2
3
4
5
2016
I ~II
2017
5 yr Capital Plan Page 1 of 1
Capital Costs
Exoenditures Reserves
32;000
32,000
60,000
60,000
170,000
170,000
·.
1/30/2013
U) z
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Q
2013 Business Objectives-Can't
Item Dept Owner
Health and Safety Departme Director.
nt
Records Management Clerk's Clerk
and Storage Office
Budget
Value
25,000
Projected
Value
25,000
Target
Date
Q4
Q4
Actual Date
Dec. 30/13
Dec. 30/13
"-·--/
Opportunities
• Improvement of marketing and communications to community and
development industry creates positive outcomes. Some comments
received that Town is Pro Business.
• Attract investment, residents and interest in the community by
improved marketing and communications and business retention.
• Seek development of underutilized parking lots may add an additional
50,000 square feet of new retail or event space.
• Visual aids and better presentation materials at Council meetings will
ensure accountability, accessibility and openness of council meetings.
• Increase the brand recognition of Tillson burg.
• Attract further investment leading to job creation.
• Create an investment ready environment.
• Innovation in communication methods makes Council appear more
transparent.
, ___ ..-"
2015
Future Departmental
Directions: 3 year outlook
•Modernization of Information Technology Fleet.
•Development Approvals Efficiency Review.
•Review of Linkage Programs from Post-secondary to Tillsonburg.
•Assessment of Industry requirements and local educational resources.
•Open Government and Open Source Review.
•Development Industry Awards Gala.
•Airport Museum Feasibility and Concept Development.
•National and International Promotions.
•Completion of Community Wide WIFI Network.
Performance Measures
Effectiveness/ Customer Service
Airport -Fuel Sales -
Revenue
Airport -Attendance at Sp.
Events
~~r1.t~:i;E;;',~~1~~"~21·~~,~~·~.r· ·· .. , ..... .
Building Department -
Building/By-law Inspections
Single Detached
1Misc.Res ..
Multi-Res.
q6rrir:herda'l~.·.
Industrial
Institutional
2009
Actual
$115,978
4,000
5
7-15
7-10
2010
Actual
$125,000
8,000
5
7-15
7-10
2011
Actual
$186,622
1,000
5
7-15
7-10
2012
Actual
$256,056
9,000
3-5
7-15
5-10
' ' ']:pP2Cl->
2013
Budget
$216,000
2,000
3-5
7-15
"'··-/
Performance Measures
Clerk's Office: Ensure Legislation Is Followed -Increase Responsive
Responding to public inquiries on addressing.
• Measurement: Use of ACR for tracking.
• Purpose: To enhance public response times.
• Goal: To eliminate issues with mailing, emergency service response times.
Response time for Notice requirements.
• Measurement: Internal tracking and legislated requirements.
• Purpose: To showcase development readiness of Department and meeting timelines.
• Goal: To exceed legislated requirements by 10%.
Percentage of planning applications completed within prescribed time frame.
• Measurement: Internal tracking tool.
• Purpose: To showcase development readiness of Department and meeting timelines.
• Goal: To exceed legislated requirements by 10%.
Human Resources
Allocation/Deployment Plan
2011 2013 2014 2015
.13
Total FTE Requirements-Part time 2 2 2 2 2
a
Change from previous year 5% 10% 10% 0% 0%
500 -Development &
Town of Til/sonburg Communication Services
2013 Financial Plan I I
2012 l 2013
Bud2et Pro'ection Bud2el
Operating Plan -Cost Code Summary ~7.~~-----~-------------------~; _____ ----------
Soecial LeVY, Lucal Im rovements, PILS
3000 Taxes -Residential
3005 Taxes-Multi-Re.•idential
3010 Taxes -Commercial
3012 Taxes-Commercial Vacant Unit
3014 Taxes -Commercial Vancant Land
3020 Taxes -Shoooine Centre
30" Taxes • Shoooine Centre Vacant Unit
3030 Taxes • Indusbial
3032 Taxes-Industrial Vacant Unit
3034 Taxes-Industrial Vacant Land
3040 Taxes -Pioelines
3050 Taxes-Fannland
3055 Taxes-Fnnnland Dev. Phase 1
3060 Tnxes -Large Indusbial
3062 Taxes-Large lndusbial Vacant Unit
3070 Taxes -Suoolemen1aries
3075 Taxes -Bill 79 Canoed Levv
3080 Taxes· Capped Rebates/Claw Backs
3085 Taxes - W /D's
3090 Taxes -PIL's
3095 Lucallmprovements -Residential
3096 Luca11morovement• -Commercial
3100 Tax Ad'ustments
3105 Taxes -Penaltv & Interest
Government Grants & Subsidies
3200 Grants & Subsidies· Fedeml
3205 Grants & Subsidies-Provincial
3210 Groot• & Subsidies-Other
User Charees
3300 Misce1laneous Revenue 102,880 102,237 117,237
3301 Residential Usa2e
3302 Geneml Usage
3305 Admissions
3310 Fares & Fees
3315 Memberships
3320 Seasonal Revenues
3325 Spotts Fields Fees
3330 Youth Progmm Fees
3335 Adult Prol!l'am Fee.•
3340 SummerPmJWcl~Ds
3345 Participate Progmms
3350 Minor HockeY
3355 Figure Skating
3360 Pro=s
3365 Landscaoine
3400 PennitFees 3,950 9,890 18,960
3410 Licence Fees
3420 Certificates 2,360 2,425 3,150
3430 Inspections
3500 Rentals 80.000 80,000 80,000
3505 Merchandise
3510 Concession Sales
3515 Vendine Machines
3600 Interest
3601 Late Payment Charoes
3700 Soecial
3701 Capital Surchrge -Residential
3702 Caoital Surchre:e -Generul
3705 Donations
3800 Sewer Revenue-Surchar•e
3801 Ree 170 Surchroe • Residential
3802 Re~ 170 Surchrge -General
3815 Extraordinnrv Revenue
3999 Revenue Clearing Account
Soecified Revenues
3805 Develooment Char•es
3810 Sale of Asset•
3820 Debenture Proceeds
Contribution from Reserves
3900 Contribution from Reserves 15,000 15,000 50,000
3905 Contribution from DC Reserves
204 190 209,552 269 347
H;\Finance\Rnanclal Plans\2:013\2013 Budgets\VetS!m 2\2013 Budget500 Oavelopmml a.ndCommunlcaliOn SeMces • V2 1/30120133:31PM Page 1 of 2
Town of Tillsonburg
)13 Financial Plan
5 year Capital Plan Capital Costs
Descriotion Exvenditures Reserves . Laserfiche 20,000
2 Server replacements 100,000.
3 File Stora.ee Solution -
4 001 Tel~phoneSystem -CFWD 38,119
5 020 Computer Replacments -CFWD 88,546
6 02:5 Dell Poweredge Serve -CFWD 32,159
7 802 RuralBroadband -CFWD 1,456;108
8
9 ·.
2013 1,735,532
1 Laserfiche '20,000
2 Computer replacements . 6Q;QOO
3 FUe Storage Solution .35~000°
4 Urban Desi.en Recommendation -Green space suroum:lin:g the .Clock Tower . 810,000
2014 925,000
I 1 . Laserfiche 20;000 · Jt+--~c=om~n~p.lu=t=~~a-n~d~S~e~--~-R~e-.p~lla-c-em_e_n_ts-.. ~----~~------~------------~~---.~12~0~~00~-.-_~p~--------~
Urban Design Recommendation-Town .Centre Mall 930,()()0 ·
5
2015 1,070,000
1 Laserfich .. 20,0QO
2 Computer and Server Replacements 6o;ooo
3 Urban Design Recommendation -Civic.Sculptirre .... 1,700,000
4
5
2016 1,780,000
1
2
3
4
5 ..
2017
5 yr Capital Plan Page 1 of 1 1/30/2013
Town ofTillsonburg I 505 • Econ Devlpmt
2013 Financial Plan I I
2012 2013
Bud2et Pro"ection Budget
~--------~-------0f."!.a~IJI_f:J.a!!.-_C2f!!::!!f!;_S!!,'!!!f~'Z.--------------Revenues
Special Levy, Local 1m rovements, PILS
3000 Taxes -Residential
3005 Taxes-Multi-Residential
3010 Taxes -Commercial
3012 Taxes-Commercial Vacant Unit
3014 Taxes-Commercial Vancant Land
3020 Taxes-Shoooine Centre
3022 Taxes-Shoppin• Centre Vacant Unit
3030 Taxes -Industrial
3032 Taxes-Industrial Vacant Unit
3034 Taxes-Industrial Vacant Land
3040 Taxes -Pipelines
3050 Taxes-Farmland
3055 Taxes -Farmland Dev. Phase I
3060 Taxes -Large Industrial
3062 Taxes-Large Industrial Vacant Unit
3070 Taxes -Supplementaries
3075 Taxes-Bill79 Canned Lew
3080 Taxes -Capped Rebates/Claw Backs
3085 Taxes-W/O's
3090 Taxes-PIL's
3095 Local Improvements-Residential
3096 LocallmQrovements-Commercial
3100 Tax Ad"ustments
3105 Taxes-Penaltv & Interest
Government Grants & Subsidies
3200 Grants & Subsidies-Federal
3205 Grants & Subsidies -Provincial
3210 Grants & Subsidies-Other 710
User Charges
3300 Miscellaneous Revenue 574
3301 Residential Usage
3302 General Usage
3305 Admissions
3310 Fares & Fees
3315 Memberships
3320 Seasonal Revenues
3325 Sports Fields Fees
3330 Youth Program Fees
3335 Adult Prolll1lll1 Fees
3340 Summer Programs
3345 Participate Proarams
3350 Minor Huckev
3355 Figure Skating
3360 Programs
3365 Landscaoinn
3400 Permit Fees
3410 Licence Fees
3420 Certificates
3430 Inspections
3500 Rentals 28,921 27,455 24,954
3505 Merchandise
3510 Concession Sales
3515 Vending Machines
3600 Interest
3601 Late Payment Charnes
3700 Soecial
3701 Capital Surchrne -Residential
3702 Capital Surchrae-General
3705 Donations
3800 Sewer Revenue-SurchQfe.e
3801 Reg 170 Surchree -Residential
3802 Re< 170 Surchroe -General
3815 Extraordinary Revenue
3999 Revenue Clenrin< Account
Specified Revenues
3805 Development Char<es
3810 Sale of Assets
3820 Debenture Proceeds
Contribution from Reserves
3900 Contribution from Reserves 145,961 145,961 30,359
3905 Contribution from DC Reserves
174,88' 174 699 55 313
H:\Finance\FinanclaiPians\201312013Blfdae151Verslcn2\2013Budget505Ecooc:mlcDwelopfnent-V2 11'J0f20133:18PM Paget of 2
Town of Tillsonburg
)13 Financial Plan
5 year Capital Plan
Descrintion
~ 8 U Design-Build Indust Park -CFWD
2 803 Project Satellite -CFWD
3
4
5
2013
1 Hwy 3 Business Park Construction
2 Hwy 3 Business park: Construction (Supervision)
3 Hwy 3.Business Park-Hwy 3Widening
4
5
2014
1
2
3
)
• -l
2015
1
2
3
4
5
2016
1
2
3
4
5
2017
5 yr Capital Plan
Capital Costs
Exvenditures Reserves
75,:366
.
395,000
470,366
1,420;000
80;000
250;QOQ . .'c.
· .. ..
1,750,000
·· ..
..
Page 1 of 1 1/30/2013
Town ofTillsonbllrg I 240 -Airport
2013 Fina11da/ Plan I I
2012 2013
Bud2et Pro'ection Bud .. t
Operating Plan -Cost Code Summary ~~~~----1-------------------~:---------------Soecial Levv, Local 1m rovements, FILS
3000 Taxes-Residential
3005 Taxes-Multi-Residential
3010 Taxes -Commercial
3012 Taxes-Commercial Vacant Unit
3014 Taxes -Commercial VnncMt Land
3020 Taxes -Shoooin• Centre
3022 Taxes-Shopping Centre Vacant Unil
3030 Taxes -Induslrial
3032 Taxes -Industrial Vacant Unit
3034 Taxes -lnduslrial Vacant Land
3040 Taxes -Pioelines
3050 Taxes -Farmland
3055 Taxes -Farmland Dev. Phase I
3060 Taxes -Large Induslrial
3062 Taxes-Laroe lndusllial Vacant Unit
3070 Taxes -Supplementaries
3075 Taxes -Bill 79 Canoed Levv
3080 Taxes -Capped Rebates/Claw Backs
3085 Taxes - W /O's
3090 Tuxes -PIL's
3095 Local Improvements-Residential
3096 Locallmorovemems-Commercial
3100 Tax Ad"uslltlents
3105 Taxes-Penalty & Interest
Government Grants & Subsidies
3200 Grants & Subsidies-Federal
3205 Grants & Subsidies -Provincial
3210 Grants & Subsidies-Other 5,000 5,000 5,000
User Charges
3300 Miscellaneous Revenue 34,540
3301 Residential Usage
3302 General Usage
3305 Admissions
3310 Fares & Fees
3315 Memberlihips
3320 Seasonal Revenues
3325 Sports Fields Fees
3330 Yuulh Program Fees
3335 Adult Prol!lllill Fees
3340 Summer Prol!Tams
3345 Participate Proorarns
3350 Minor Hockev
3355 Fioure Skating
3360 Programs
3365 Landscaoin• -
3400 PennitFees
3410 Licence Fees
3420 Certificates
3430 Inspections
3500 Rentals 86.358 139,454 173,074
3505 Merchandise 195,000 256,100 216,000
3510 Concession Sales 1,200 916 600
3515 Vendin• Machines
3600 Interest
3601 Late Payment Charges
3700 Soecial 1,900 39,046
3701 Capital Surchrge -Residential
3702 Capital Surchrge -General
3705 Donations
3800 Sewer Revenue-Surcharge
3801 Re• 170 Surchr•e-Residential
3802 Reg 170 Surchr•e -General
3815 Exlrnordinary Revenue
3999 Revenue Clearinl! Account
Specified Revenues
3805 Develooment Charoes
3810 Sale of Asset•
3820 Debenture Proceeds
Contribution from Reserves
3900 Contribution from Reserves -
3905 Contribution from DC Reserves
289 458 475 056 394 674
H:\Finance\Ananclalf'lans'<20131201JBLM:IQels\Versicn212013Bi,M;Ipei2.40Al!pQ1·VZ 1/30120133:17PM Page 1 of 2
Town of Tillsonburg
)13 Financial Plan
5 year Capital Plan
r-
1 Office Expansion -Customs
2
3
4
5
1 Taxiway "F" Extension
2 Event Ramp
I Airport Sign LED
Event Ramp -Drainage
1 Taxiway "D" Extension
2 Tie~down zone
'i. Private Access road
c_' Private Access road (barriers)
1 New industrial Rd-50% completion
2
3
4
1 TaXiway "B''
2 Paving of 2,600' cross runway
3 Taxiway "C" extension
4 Parking Expension
5 yr Capital Plan
Capital Costs
Descrintion Exoenditures Reserves
5,000
2013 5,000
300,000
222,000
32,869
53,000
2014 607,869
150,000
218,750
150,000
20,000
2015 538,750
225,000
2016 225,000
75,000
250,000
75,000
62,500
2017 462,500
Page 1 of 1 1/30/2013
Town of Til/sonburg I 190-Building
2013 Financial Plan I I
2012 J 2013
Budget Pro·ection Budget
Operating Plan -Cost Code Summary ~7.:.;----l-------------------------r----------
Special Levy, Local Im rovements, PrLS
3000 Taxes ~ Residential
3005 Taxes-Multi-Residential
3010 Taxes -Commercial
3012 Taxes -Commercial Vacant Unit
30t4 Taxes -Commercial Vancant Land
3020 Taxes -Shopping Centre
3022 Taxes-Shopping Centre Vacant Unit
3030 Taxes -Industrial
3032 Taxes-Industrial Vacant Unit
3034 Taxes -Industrial Vacant Land
3040 Taxes -Pioelines
3050 Taxes -Fannland
3055 Taxe.<-Fannland Dev. Phase I
3060 Taxes -Laree Industrial
3062 Taxes-Large Industrinl Vacant Unit
3070 Taxes -Supplementaries
3075 Taxes -Bill 79 Capped Levy
3080 Taxes -Capped Rebates/Claw Backs
3085 Taxes -W /O's
3090 Taxes -PIL's
3095 Local Improvements -Residential
3096 Local Imorovemento; -Commercial
3100 Tax Ad'ustments
3105 Taxes -Penalty & Interest
Government Grants & Subsidies
3200 Grants & Subsidies -Federnl
3205 Grants & Subsidies -Provincial
3210 Grants & Subsidies·Other
Other Revenues
3300 Miscellaneous Revenue 1,000 480
3301 Residential Usaee
3302 General Usage
3305 Admissions
3310 Fares &Fees
3315 Memberships
3320 Seasonal Revenues
3325 Sports Fields Fees
3330 Youth Program Fees
3335 Adult ProJO'arn Fees
3340 Summer Programs
3345 Participate Progt':lil!s
3350 Minor Hockey
3355 Figure Skating
3360 ProJO'aJnS
3365 Landscaping
3400 Penn it Fees 235,000 214,317 210,000
3410 Licence Fees
3420 Certificates 2,800 3,290 6,000
3430 Inspections -
3500 Rentals
3505 Merchandise
3510 Concession Sales
3515 Vendina Machines
3600 Interest
3601 Late Payment Char~es
3700 Special
3701 Capital Surchsge -Residential
3702 Capital Surchs~e -General
3705 Donations
3800 Sewer Revenue-Surcharge
3801 Ree 170 Surchree -Residential
3802 Reg 170 Surchrge -General
3815 Exb'aordinarv Revenue
3999 Revenue Clearin2. Account
Specified Revenues
3805 Development Charees
3810 Sale of Assets
3820 Debenture Proceeds
Contribution from Reserves
3900 Contribution from Reserves
3905 J Contribution from DC Reserves
238 800 218 087 216000
H:V'inanct~\ARandaiPians\2013'2013BOOgets\vetsioo2\.2013B~I190Bulldlrlg·Y2 1130120133:\&PM Page 1 of 2
Town of Tillsonburg
-}.!3 Financial Plan
J year Capital Plan
-187 New work station
7
1
2
3
4
5
6
7
l 1 ) _, -
5
6
7
1
2 -
3
4
5
6
7
1
2
3 --
4
5
L.,;;.
5 yr Capital Plan
Capital Costs
Descriotion Exoenditures Reserves
2,800
2013 2,800
2014
'
',
'' ,''
2015
,•
2016
._-
2017
Page 1 of 1 1/30/2013
Town ofTillsonburg I 180. Protection
2013 Financial Plan I I
2012 2013
Budeet Pro ectlon Budget
Operating Plan • Cost Code Summary i.7e;;;;;-----~---------------------;,; ----------------
Special Levy, Local 1m mvements, PILS
3000 Taxe.'i · Residential
3005 Taxes -Multi-Residential
3010 Taxes -Commercial
3012 Tnxes -Commercial Vacant Unit
3014 Taxes-Commercial Vancant Land
3020 Taxes -Shoooine Centre
3022 Taxes-Shopping Centre Vacant Unit
3030 Taxes -Industrial
3032 Taxes -Industrial Vacant Unit
3034 Taxes -Industrial Vacant Land
3040 Taxes -Pipelines
3050 Taxes -Fannland
3055 Taxes-Fannland Dev. Phase I
3060 Taxes -LnrJ!.e Industrinl
3062 Taxes-Large Industrial Vacant Unit
3070 Taxes -Supplementaries
3075 Taxes -Bill 79 Capped Levy
3080 Taxes -Capped Rebates/Claw Backs
3085 Taxes -W /O's
3090 Taxes -PIL's
3095 Local Improvements-Residential
3096 Local ImpJOvements -Commercial
3100 Tax Ad·ustments
3105 Taxes -Penalty & Interest
Government Grant'i & Subsidies
3200 Gmnl• & Subsidies -Federal 1,887
3205 Gmnts & Subsidies-Provincial
3210 Gmnts & Subsidies-Other
User Charges
3300 Miscellaneous Revenue 20,900 19,270 24,700
3301 Residential Usaee
3302 Geneml Usage
3305 Admissions
3310 Fares & Fees
3315 Memberships
3320 Seasonal Revenues
3325 Sports Fields Fees
3330 Youth Progmm Fees
3335 Adult Pml!tllll1 Fees
3340 SummerPml!tllii1S
3345 Participate Progmms
3350 Minor Hockev
3355 Figure Skating
3360 Pmgmms -
3365 Landscapine
3400 PennitFees
3410 Licence Fees 47,600 47,075 47,600
3420 Certificates
3430 Inspections
3500 Rentals
3505 Merchandise
3510 Concession Sales
3515 Vendine Machines
3600 Interest
3601 Late Payment Charges
3700 Special
3701 Capital Surchrge -Residential
3702 Capital Surchrge -Geneml
3705 Donations
3800 Sewer Revenue-Surcharge
3801 Ree 170 Surchree -Residential
3802 Ree 170 Surchree -General
3815 Extraordb:!ID_ Revenue
3999 Revenue ClearinJt Account
Specified Revenues
3805 Develooment Chare.es
3810 Sale of As,.ts
3820 Debenture Proceeds
Contribution from Reserves
3900 Contribution from Reserves -
3905 Contribution from DC Reserves
68,500 68,232 72 300
H.\Finance\FinanclaiPians\2013\2013Budgeti\Verslon2\2013BIJdOell8tlPtotecllon·V2 1/JOr.!0133:16PM Page1 of 2
Town of Tillsonburg
J13 Financial Plan
5 year Capital Plan
,......
1
2
3
4
5
Descriotion
2013
I AUTOMATIC HANDHELD TICKET ISSUER
2 TICKETTRACER-INTEGRATIONWITHPAYMENTMANAGER-CLASS
3
4
5
2014
2
3
4
Capital Costs
Exoenditures Reserves
-
-
7,000
26,000
33,000
~~~----------------------~~~-----------------------L----~---L--------~ ) 2015
2
3
4
5
2016
1
2
3
4
5
2017
5 yr Capital Plan Page 1 of 1 1/30/2013
\ J
Town ofTil/sonburg I 100-Council
2013 Financial Plan I I
2012 2013
Bud2et Pro"ection Budget
Operating Plan -Cost Code Summary ~~~~-----~-------------------~~---------------
Special Levy, Local Im rovements, PrLS
3000 Taxes -Residential
3005 Taxes-Multi-Residential
3010 Taxes -Commercial
3012 Taxes-Commercial Vacant Unit
3014 Taxes -Commercial Vancant Land
3020 Taxes -Shopping Centre
3022 Taxes-Shopping Centre Vacant Unit
3030 Taxes -lndusbial
3032 Taxes -Industrial Vacant Unit
3034 Taxes -lndusbial Vacant Land
3040 Taxes -Pipelines
3050 Taxes -Fannland
3055 Taxes-Fannland Dev. Phase 1
3060 Taxes-Lar~e lndusbial
3062 Taxes-Large Industrial Vacant Unit
3070 Taxes-SuppJementaries
3075 Taxes-Bill 79 Capped Levy
3080 Taxes-Capped Rebates/Claw Backs
3085 Taxes-W/O's
3090 Taxes -PIL's
3095 Local Improvements -Residential
3096 Local Improvements-Commercial
3100 Tax Adjusbnents
3105 Taxes -Pennlty & Interest
Government Grants & Subsidies
3200 Grants & Subsidies-Federnl
3205 Grants & Subsidies -Provincial
3210 Grants & Subsidies-Other
Other Revenues
3300 Miscellaneous Revenue 3,327
3301 Residential Usage
3302 Genernl Usage
3305 Admissions
3310 Fares & Fees
3315 Memberships
3320 Seasonal Revenues
3325 Sports Fields Fees
3330 Youth Program Fees
3335 Adult Prol!fam Fees
3340 Summer Programs
3345 Pnrricioate Programs
3350 Minor Hockey
3355 Figure Skating
3360 Programs
3365 Landscaping
3400 Permit Fees
3410 Licence Fees
3420 Certificates
3430 Inspections
3500 Rentals
3505 Merchandise
3510 Concession Sales
3515 Vending Machines
3600 Interest
3601 Late Pa'IJTlent Chnr~es
3700 Special
3701 Capital Surchrge-Residential
3702 Capital Surchrge -General
3705 Donations
3800 Sewer Revenue-Surcharge
3801 Reg 170 Surchrge-Residential
3802 Reg 170 Surchrge -General
3815 Extraordinarv Revenue
3999 Revenue Clearing Account
Specified Revenues
3805 Development Charges
3810 Sale of Assets
3820 Debenture Proceeds
Contribution From Reserves
3900 Contribution From Reserves 10,000 20,000
3905 Contribution From DC Reserves
20000 23 327
H:\Fil1ance\FIIWWI Plan$'2013'2013 BudgetsWerslon 212013 Bl.ltl(ltl100 Council· V2 1130120133:32PM Page 1 of 2
'-"-'
IJ.~tiiJiji{ullM
TOWN OF TILLSONBURG
2013 OPERATION SERVICES BUSINESS PLAN
DIRECTOR OF
OPERATIONS
,,
2013 Business Objectives
Item
Review GIS and Work
Order System
Voltage Conversion
4.16kV to 27.6kV
.~:y§1~~~·~t1~~~·
Replace Unit #116 Ice
Re-surfacer
Dept
Engineering
and PL;Jblic
Works
Enterprise
Owner
Manag~r;of
EAgineering .
and Roads
Manager
Utility
Manager
,, ""V• .~, · ,.....,. c:•:"-I"·""'"~'~ ~ ,,., •. -, .,. ;~··.··~··•;.,r'.Y, o .•-,;-.. :!':·•".", ~··.::-. <!r."'(':'·"·"·
Fleet Fleet
Manager
Budget
Value
$0
$45,000
Projected
Value
$0
$0
Target
Date
Q4 2013
Q4 2013
Actual Date
Opportunities
·ACR improves customer service to the community at large-ultimately save staff time
by removing duplicate processes and tracks trends.
•Participate in the corporate health and safety program.
•The 5 year Fleet capital replacement plan allows for the timely replacement of town
fleet assets to minimize maintenance costs and down-time for operational field
crews.(Q4).
•Smart Meter System monitoring and tracking to ensure system is delivering expected
outcomes(Q1-Q4).
•Transfer pricing study reducing operating costs to town.
........._ __ _..~
Future Departmental
Directions: 3 year outlook
2014
Engineering
•Rehabilitate Infrastructure as per capital replacement Plan.
Public Works
• Maintain transportation network in accordance with town and minimum maintenance standards (1-4th
Quarter).
•Reconstruct roads in accordance with Capital Replacement plan (2-4th Quarter).
•Assist in implementing new capital assets (subdivisions, etc) (1-4th Quarter).
•Review existing Snow plow equipment and potential upgrades /replacements vs. Additional Plow Truck
and Sidewalk Unit and operators to maintain new growth areas (4th Quarter).
•Improve sidewalk inspection program (1-4th Quarter).
•Replace sign room building at Public Works.
Fleet
• Continued focus on fire apparatus maintenance of external municipal fleets as an opportunity.
•To work with customers to ensure the best possible service is delivered at the appropriate level.
•Vehicle replacement schedule aids the budgeting process and allows for planned vehicle replacements
•Continue the fleet maintenance standard and PM Program
•Further implementation of hybrid vehicles and newer technologies to lower our annual fuel and
maintenance costs.
•Installation of proper fire pump testing pit with hydrant supply.
Future Departmental
Directions: 3 year outlook
2014
Sanitary Sewers
•Train and provide practical experience to employees for Wastewater Collection Certificates-Level 2.
Water Distribution System
•Additional Water Operator required to operate system and provide inspection.
Future Departmental
Directions: 3 year outlook
2016
• Looking at long range planning power projections to ensure adequate supply of electricity for existing and
new customers.
•Detailed construction drawings, for inclusion of the Tillsonburg•s electrical system.
•Asset Management of the Town's infrastructure data, such as sanitary sewer, Street Lights system, Electrical
System (both overhead and underground), Watermain etc.
•New shop bays for future -Growth Works Yard Est.$600,000.
•Resurface PL#8A (Avondale East Lot) Est. $120,000.
•Rebuild and surface Parking Lot 11A (North of Sears) Est. $45,000 in conjunction with Urban Design Study.
Performance Measures
Operations Services Output Measures-Quantity
Fleet Attachments
Traffic Signals
Maintained
Km.-3 Phase
conductors (overhead
+ underground)
Km.-underground
conductors
2009
Actual
28
6
71.42
54.53
2010
Actual
28
6
71.42
54.53
2011
Actual
28
6
72
54.53
2012
Estimate
27(parks #136
removed)
6
73
54.46
2013
Estimate
27
6
75
54.46
......_ __ _... ...
Performance Measures
Operations Services Efficiency Measures-$ Cost
Department Taxation operating costs as a Percentage of Total Municipal
Taxation Operating Costs
2009
Actual
2010
Actual
2011
Actual
2012
Budget
2013
Budget
(/)
QJ u
1...
:::J
0
(/)
QJ
~
c ro
E
:::J
I
c
fU -a. .... c cu E
c
0 ·-....
fU u 0 -<C
E e .....
Q)
Cl 1:: ro B
Tow11 ofTillsoJJbJJrg I JJO -Conservalio11
201J Fillallcial Pla11 I I
lOll 2013
Budget Pro ..:lion Budget
Opcrnling Plan • Cosl Code Summary ~7.;.;----~-------------------~~---------------~~aile\~'. Locallmpm\'emenl<, PII.S.
3000 Tnxes -Residential
3005 Taxes • Multi·Residenfial
3010 Taxes · Commeil:ial
3012 Taxes· Commen:ial Vacant Unit
3014 Taxes -Commercial Vancant Land
3020 Taxes • Shopping Cenlre
3022 Taxes . Shoppln2 Cenlre Vacant Unll
3030 Taxes· Industrial
3032 Taxes-Industrial Vnca.nl Unit
3034 Taxes · Industrial Vacant lnnd
3040 Taxe.-PiJlf.line.
3050 Taxes • Fl1ll!lland
3055 Taxe.·-Fannland Dev. Pha.<e I
3060 Taxes · Large Industrial
3062 Taxes-Large Jndu!itrinl Vacant Unil
3070 Taxe. • Supplementaries
3075 Taxes -Bill79 Capped Levy
3080 Taxes ·Capped Rebalcs!Claw Backs
3085 Taxes-W/O's
3090 Taxes · PIL's
3095 Locallmpm\-ements-Residential
3096 Locallmtinl\'ements • Cummen:ial
3100 Tax Atl'uslll\ents
3105 Taxes-Penalty & Interest
Government Gr.1nts & Subsidies
3200 Grant< & Subsidies • Federal
3205 Grants & Subsidies -Pn.winciat
3210 Gr.~nu; & SubSidies-Other
Other Re\"enues
3300 Miscellaneous Revenue
3301 Residential Usa~e
3302 GenemlU&age
3305 Admissions
3310 Fa=& Fees
3315 Memberships
3320 Seasonal Re\'enues
3325 Spurti Fields Fees
3330 Youth Program Fees
3335 AdultProl!IaDI Fees
3340 Summer ProJffilmS
3345 Pnrticipale l'rOl!lllmS
3350 Minor Hucke\'
3355 Figutt SkatiQJL
3360 Prol!raiOS
3365 Lnndscaping
3400 Pcnnitfees
3410 Licence Fees
3420 Certificates
3430 ln•pections
3500 Rentals
JSOS Men:barulise
3510 Concession Sales
JSIS Vendmg Machines
3600 Interest
3601 ute Pal10ent Charge.<
3700 Special
3701 Capital S~e . Residential
3702 Capital Sun:hrge · General
3705 Donations
3800 Sewer Revenue-Sun:han~c
3801 Reg 110 Sun:hrge . Residential
3802 Ree 170 Sun:hree ·General
3815 Extraordinary Revenue
3999 Re, ... ue Clearing Account
Soecificd Re\'eDues
3805 De\'elopment Charges
3810 Sale of Assets
3820 Debenture Proceeds
Contribution fmm Re.ser:es
3900 Contribution from Reserws
3905 Conbibution from DC Resen·es .
Page I of2
Tow11 ofTillsonbllrg I 220-Roads
2013 Financial Plan I I
2012 2013
Budt<l Pro ectlon Budtel
'=' ________
1
_______ C!£.e:!!!!'8.iJ.":!.:.!-'2!'..!:~!..S:!.'!!!!~ar!.--------------Ruenues
Sp«:iallevy. Lucallmpm\'Crnents. PILS
3000 Taxes -Residential
300S Taxes -Multi~Re!idenlial
3010 Taxes • Commercial
3012 Taxes • Commercial Vacant Unit
3014 Taxes ·Commercial Vacant land
3020 Taxes-Shoppini!Centre
3022 Taxes-Shopping Centre Vacant Unit
3030 Taxes -Industrial
3032 Taxes -Industrial Vacant Unit
3034 Taxes • Industrial Vacant land
3040 Taxes • Pipelines
3050 Taxes-Fannland
3055 Taxes· Fanntand Dev. Phase l
3060 Taxes-J.orge Industrial
3062 Taxes-J.or~lndusuial Vacoot Unit
3070 Taxes • SuJiJitemontaries
3075 Taxes ·Bill 79 Capped leV}'
3080 Taxes · Ca~ Robatcs/Ciow Backs
3085 Taxes-W/O's
3090 Tow-PIL's
3095 Loeallmom\'Cments-Residentiol
3096 Lucntlmpm\'Cments • Cotnmen:inl . . -
3100 Tax Adjusunems
3105 To•es-Penoltv & lntell'St
Goveromem ()r.mB & Subsidies
3200 Clr.mts-& Subsidies-Federol . .
3205 Clrarit< & Subsidies . Pmvinciat
3210 Grants & Subsidies-Other 74,066 72,000 12.000
User Chnrges
3300 Miseettlllleous Re,,nue 3,500
3301 Residential u..,ge
3302 Gcnciul Usate
330S AdmiS.iuns
3310 Fares&Fees
3315 MembelllhiJ,.
3320 Stasonol Re\-enues
3325 Spurts Fields Fees
3330 Youth l'roJ!J1111l Fees
3335 Adult Pro]!IliiiiFees
3340 Summer Pm!ll1lm•
3345 P:nlicipate Pmgmms
3350 Minor Hockey
3355 Fii1UlllSiolting
3360 Proj!lmlls
3365 landscaoin•
3400 Permit Fees
3410 Licence Fees
3420 certificates
3430 lnsil<Ctioils
3500 Rentals
3505 Melthandise
3510 Concession Sales
3515 Vending Machines
3600 Interest
3601 Late Pa)ment Ch~~Tges
3700 Special
3701 Capital Sun:hige -Residentiol
3702 Capital Sun:hrge • Gene rot
3705 Donations
3800 SeWer Re\-enue-Surcbarge
3801 Reg 170 Sun:hn!e • Residential
3802 Rei< 170 SUn:~ · Gencml
3815 ExtraonlinnryRe\-enue
3999 Re\-enue Clearine. Account
Specified Re\-enues
3805 De>-elopment Char2es 94.116 .
3810 Sale or AsseB
3820 Dcbtinture Proceeds
ContnOutions from Resen.-es
3900 Contn'bution From Reser\'es
3905 Contributions From DC Reserves
74066 169616 72000
lllMOtJ 409PU Page 1 of2
Town of Tillsonburg
)1.3 Financial Plan
5 year Capital Plan
Description
CARRYOVER PROJECTS 2013 Section:
Total Project
Exoenditrtres
Non-Town Portion
Hvdro Stmitarv Sewer Water
I~H +--1 ...;....___~~-+--··1 ----~11 ~~I~
CARRYOVER PROJECTS Totals:
NEW CAPITAL PROJECTS 2013 Section:
1 Brock Street Recon -Surface Asphalt ·· ·· ~ ·_·~ 46,000 9,200 9,200
. 2 Electronic Record keeping System -Road Patt6Is
3 W abasbRoad ~ Bell Mill SIR to west linlit ~ Roa9, Sur(a~i.J;lg 68,2QO .· .·
4 229 A1mtia1Paving ·.. fsd;ooo
5 · 'I;hist1~ Court.~ Ool(lenr{)d Pr. to e~stliihit1>M:qhd~~~.~~;. . · ·· · 4~8lU>8' ,_1 ...-......;....;;.+.......;·--···~·;.;:6~1.;2:::' .:::;66::;;,;.·:· . .,_... •.. ""'U ... i~,?..;:;;;S()"""~:'
6 qlen!lal~Pr;AreaRec<>n(i?haset)-mw~ffionie<.&.Pafk&id~ .. · ... ··· "< 5~4r3a2. ·· 227,i7i ·· .... 2Hi.763
7 · 9#or.i:l $t~esufacbtg • Broadway to 'I'iiJsti~:A\i'~nilc{~1<H.Qf.. . ·· ·. · · · · · 460:000
s ~rt>I@VIay :ReSurfacing -Norlli st to t2Qn.l;~~\itJ!; 5-ID'Jot•-· · < ··.·.· · 7o:ooo --· 9 ···· signiii {Jpgra~e -Concession a~~l1ir9a:~w~Y . '; ;c ·.. ' . ·. · · • . . .,J$,®0 . ..
·.
) .·.·. ~$m~~~lo11 $treet(Pha;se l) -Parkw<toclj)l~§:~mey~i:e.:Ave .• :. ••·-·· • ·_· .. -. ···.· t ) . ···-,.. ,..... <:. :~ .-.. ·:·-.. · .··. . .·.
. ., .. -.....
j··
NEW CAPITAL PROJECTS Totals: 1,792,540 297,637 337,219
TOTAL CAPITAL PROJECTS: 1,792,540 297,637 337,219
1,792;540 297,637 337,219
2014 Section:
3 €ort¢eSsion· Street (Pilase ll?f.· 2) -Mapl¢~tte t0 De~eyere Ave 71~();o6{) . iO.O(}(r • '2Q,00o
4
$
6
-
ll229
2 1273
Ridi?:eBlvd Stollll-Phasel-Goiden.R()ad:Pt:;westeriY-·. .. . ;._ -.-· -.320,000. ~· ··...-.;..;..-+__;;..;.__·~•;.;;.o,~ooo.:;.;··::..;.+-.. ~···;:;;100;;.;;·~;ooo.;;;;· -~·
S.alfcl)ntainment area around shed . · -· •. · .· . .. ·•· . .·· 20~000' ·•· · ·· I ·
SlmC'oe Street-Tillson Avenue toVie'iinaRoad(3j0ri)) 318;'100-.·· ·
1,804,700 30,000 120,000
2015 Section:
Annual Resurfacing at various locations 150,000
North Street -Tillson A venue to East Town Limit (Sidewalk) 84,000
5 yr Capital Plan Page 1 of 2 1/30/2013
Tt.>wn ofTillsonburg 215 • Winter Maintenance
2013 FiiiOIIcial Plan I I
2012 2013
Buclget Pro ectlon Budget
Operating Plan -CoSI Cadt Summary Ia'•;.;;;;~-----~-----------------------------------
Specialle\'Y, locnllm nwelrient<, PILS
3000 Taxes·-Residential
3110$ Taxes • Multi.Rendenlial
3010 Taxes -C<Jmmen:ial
3012 Taxes -Commerdal Vacant Unit
3014 Taxes -CommerCial Vacant Land
3020 Taxes -Shoooin2 Centre
3022 Taxes-Shopping Centre Vacant Unit
3030 TaxeS-lnduitrial
3032 Taxes -Industrial Vacant Unil
3034 Taxes -lndu•lrial Vacant Land
3040 Taxes-Pipelines
30$0 Taxes-Famtland
JOSS Taxes-Fannland De~. Phase I
3060 Taxes-Large Industrial
3062 Taxes-Large Industrial Vacant Unit
3070 Taxes-Supp]emeniDries
3075 Taxes-Bill79 Capped Lew
3080 Taxes-CapJIII'I Rebates/Claw Backs
3085 Taxes-W/O's
3090 Taxes -PIL's
3095 local lmorn\"ements-Residential
30% Lol:allmoro,"emenlli -Commen:iitl
31110 Tax Adjustments
3105 Taxes-Penal!}'& Interest
Go\ .. mment Grants & Subsidies
3200 Gtants & Subsidies-r..aeral
3205 Grants &Subsidies-Pnnincinl
3210 Otants & SubSidies-Other-
User Chart!"'
33110 Miscellaneous Re\"eoue
3301 Residenlial Usa~e
3302 OenemiUSllge
330S Admissions
3310 Fares&F<es
3315 Membenihips
3320 Se3SOnal Re,"enues
3325 Sports F,.lds Fees
3330 Y.Outlt Prol!tiUtl Fees
3335 Adult ProJlfllDl Fees
3340 Summer Pmgmm•
3345 Panicipate Promms
3350 Minor llocke ·
33SS Fii!OIO Sklilin2
3360 l'i\1ll1i!IRS
336S Landscaping
34110 Penmitffts
3410 Licence Fees
3420 Certificates
3430 Inspections
3SIIO Rentals
3505 Men:hnndise
3510 Concession Sales
3SI5 Vending Machines
36110 Interest
3601 Late Pa}ment Charges
3700 Special
3701 Capital Sun:hi~e-Residential
3702 Capital Sun:hrge-General
3705 Donations
38110 Sewer Re\"enue-Sun:harge
3801 Reg 170 SwciJ.rge • Residential
3802 Re~ 170 Sun:hn!e-General
3815 ExtraoroinaJY Re•'Onue
3999 Re1'enuc Clearing Account
Specified Re\"enues
380S De.·elopment Charges
3810 saleofAs!ets
3820 Debenture Proceeds
Contribution from Resen·es
39110 Contribution from Resen-es
3905 Contribution front DC Reserves
-
1!l0o'201l411PM Page 1 ol2
Town of Tillsonbnrg I 235 , Streelliglrts
20lJ Fina~rcial Plan I J
20U 2013
Budget Pro e<llon Budeet
Of!!ralillg l'la11-Cosl Code S111mrinry R.~~~----,-----------------------------------
SJJ«iall.e\)',i..arnllmpro\'el1l<Rts, Pll.'i
3(1(]() Tlllli -Residential
3005 Taxes-Multi-R6idential
3010 Taxes -Commen:ial
3012 Taxes -Commen'lal Vacant Unit
30t4 Taxes -Commercial VaL-ant Land
3020 Tlllli -Shoooine Centre
30" Taxes-Shopping Centre Vacant Unit
3030 Taxes -IPdumial
3032 Taxes -Industrial V=nt Uriit
3034 Taxes-Industrial Vacant Land
3040 Taxes -Pipelines
3050 Taxes -F:Uml:uld
3055 Taxes-Fnimland Dcv. Phase t
31160 Taxes-Laree lndu•uial
3062 Taxes -Laqu: Industrial Vacant Unit
3070 Taxes-Sutilitementaries
3075 Taxes-Bill79 Capped Levy
3080 Taxes-Cai>Piid Rebates/Cia\\' Backs
3085 Taxes-W/O's
3090 Taxes-Pn:s
3095 l.t.la~Jmpnwements -Residential
3096 Local Jmoro,-ements -Commercial
JtOO Tax Ad'ustmtnts
3105 Taxes -Penaltv & Interest
Gm=unent Grants & Subsidies
3200 Grants & Subsidies -Federal
3205 Grants & Subs~ -Pro\incial
3210 Oran15 & Subsidies-Oihet
User Charges
3300 Miscellanoous ae,,nue -
3301 Residential Usage
3302 General Usaee
3305 AdmiSSions
3310 Fares&Fres
3315 Membership<
3320 SeMQnal Re,-enues
3325 Sportsr~<lds Fees
3330 YouthPro2r010 F<es
3335 Adult Program Fees
3340 SummerProi!J1lll1S
3345 Participate Programs
3350 Minor Hockev
3355 l'ii!Ufe Skntin2
3360 Pro mons
3365 Landscaping
3400 Permit Fees
3410 LicehceFres
3420 Cmilicates
3430 I lusll«tions
3500 Rentals
3505 Merchandise
3510 ConceMiOn Sales
3515 Vending Machines
3600 Interest
3601 Late Po rment Char 'ts
3700 SP<cial --
3701 Capital Surchrge-Residential
3702 Caoital Surchtte -General
3705 Donations
3800 Sewer Re\-enue-SurcharfC
380t Reg 170 Surchrge -Residential
3802 Re2110 Surchr2e-General
3815 Extraordinary Re\-enue
3999 Re\-enue Clearillg Account
SPeCified a.,,.. ..
3805 oe,..,tooment Charges
3810 Sale of A>5ets
3820 Debenture Proceeds
Contribution fom Resenn
3900 Contribution fom Resm'OS
3905 Contnbution fom DC Resef\~.s
Paget ol2
Town of Tillsonburg
)3 Finarzcial Plan
5 year Capital Plan
r--
1 LED Streetligltts
2
3
4
5
1 LED Streetlights
2
3
4
5
1 LED Streetlights
)
4 r-: -
l LED Streetlights
2
3
4
5
1 LED Streetlights
2
3
4
5
5 yr Capital Plan
Capital Costs
Descriution Exoellditures Reserves
-
2013
19,200
2014 19,200
19,200
2015 19,200
19,200
2016 19,200
19,200
2017 19,200
Page 1 of 1 1/30/2013
Town ofTillsonburg I 260. Stonn Sewers
2013 Financial Pla11 I I
201l 2013
Bud•et Pro ecllon Budael
Optratillg /'la11 • Co 51 Codr Swmnary Re~~----,--------------------~-----~---------
SveciJU ltw, Locallmpro•.....,..t'<; Pll.S
3000 Taxes -Reoidcittial
3005 Taxes-MUlti-Residential
3010 Ta.es-Coliiiili!Cdal
3012 Taxes-CoiiUll<ltial Vo<mlt Unit
3014 Taxes • CoiiUIItn:ial Vacant Land
3020 Taxes -Shoppino Crntno
3010 Taxes-ShoPllin• Centre Vncant Unit
3030 Taxes -lndullri31
3032 Taxes -Industrial VIIOilll Unit
3034 Taxes • Industrial Vacant Land
3040 Ta.es -Pipelines
3050 TW<es • Fnnnlnnd
3055 Taxes-Fnnnlnnd De\·. Phase I
3060 TW«s ·lmlle lndu.trial
3062 Ta.es-Large lndu.UialVilcant Unit
3070 Taxes. Supplementaries
3075 Taxes -Bill 79 Canoed I..Cw
3080 Taxes-Capped Rebate</Ciaw Bncloi
3085 Ta.es-W/O's
3090 Taxes-PIL's
3095 Local lmPJO\mlfllt<-Residential
3096 l.o<lll Jmpro\'l:ments-Connneftial
3100 Tnx Alfll<linents
3105 Taxos. Penalty&. Interest
Gowmmenl Gr.mls & Subsidies
3200 Grants & Subsidies-f<dernl
3205 Oronts & Subsidies • Pmvinci31
3210 Oronts & Subsidies-Other
User Chnroes
3300 MiScellaneous Re•= -
3301 Residential Usa•e
3302 OenerniU!!agc
3305 Adtnissions
3310 F .... &Fees
3315 Memberships
3320 Seasonal Rc\'l:flUCS
3325 SllOrtS Fields Fees
3330 Youth Pmgr.un Fees
3335 Adult ProeiOm Fees
3340 Summer Prol!tal!L<
3345 Pank:ioote Programs
3350 Minor Hockey
3355 Figure Skatin•
3360 Progiams
3365 landsc3Pin£
3400 Permit Fees
3410 Licence Fees
3420 Certificates
3430 l~tions
3500 Rentals
3505 Men:handise
3510 Conc<S'ion Sales
3515 Vendin£ Machines
3600 Interest
3601 Late Pa\'JIItlll Chnr~s
3700 Special
3701 Ca_piW Sun:hr•e-Residential
3702 Capital Surcln"..,-GenemJ
3705 Donations
3800 Sewer Re\'OllUe-Sun:haree
3801 R•• 170 Sun:hr£e ·Residential
3802 Re• 170 Sun:hr•e ~ General
3815 Extraonlinarv Re\'l:flUc
3999 Rc•'l:flue Cleartn• Account
SlleCiJicd Re\'l:nUes
3805 De•'l:lopment Chnroes 278
3810 Sale of Ass<ls
3820 Debenture Proceeds
Contnllution from Resen-es
3900 Contribution from Resen~
3905 Conlribution from DC Resm-es
278
EXJ>endilu,..
Pagel oJ2
Tow11 ofTillsollburg I 210 • E11gi11eeri11g
2013 Fi11a11cial Pla11 I I
2012 2013
Bud el Pro Rtlon Budget
Oprruting /'Inn • Cost Code Sw11m<1ry ~7.;.;-----~--------------------------r----------
Special l.e\1'. l.o<:allmpml'l!meniS, PILS
JOOO Taxes. Resldenlinl
3005 Taxes. Mnlti·Residenlial
3010 Taxes • Commen:ial
3012 Taxe.'ii • Commm:ial Vacant Unit
3014 Taxes • Commercial Vanrantland
3020 Tues • Shopping Cen1re
3022 Taxes · Sfioooine Cen1re Vncnnt Unil
3030 Taxes · Industrial
3032 Taxes· Induslrial Vacllllt Unit
3034 Taxes • Induslrial Vacant Land
3040 Taxes · Pipelines
3050 Taxe.< · Fannland
JOSS Taxes-Fannllllld De1•. Phase I
3060 Ta•es · large Jnduslrial
3062 Taxes ·lar.:e lnduslrial Vacant Unit
3070 Taxes-Supplementaries
3015 Taxes-Bill79 Capped Le•'Y
3080 Taxes • Capped Rebates/Claw Backs
.JOSS Taxes-\V/O's
3090 Ta•es-PIL's
3095 Locallmonwements. Residential
3096 Locallmpm•-ements -cCommetcial
3100 Tax Ad'ustmenls
3105 Taxes . Penally & Interest
Gt.I\-emment Grants &-Subsidies
3200 GrnniS & Subsidies • Federal 1,800 . 1.800
3205 GrantS & Subsidies· Provincial
3210 Grants & Subsidies-Other
Other Re•'l!nues
3300 Miscellaneous Revenue 20.000 59.070 40.000
3301 Residential Usage
3302 General Usage
3305 Adm~lon~
3310 Fares & Fees
3315 Memberships
3320 Seasonal Rel'l!nues
3325 SJXJrts Fields Fees
3330 Youth Prognun Fees
3335 Adult Program ~Fees
3340 Summer PmJZiams
3345 Pnrticipate Programs
33SO Minor Hockey
3355 Fil1llR'Skating
3360 Progmms 100.000 69,584 .
3365 landscaping
3400 Pennitfces
3410 Licence Fees
3420 Certificates 1,500 3,650 1.500
3430 Inspections 4.500 4.500
3500 Rentals
3S05 Merchandise
3510 Concession Sales
3SIS Vendin2 Machine•
3600 Interest
3601 late Pament Charges
3700 Special
3701 Capital Surchrge -Residential
3102 Capital Sun:hr~-Geneml
3705 Donations
3800 Sewer Rel'enue-Sun:harge
3801 Reei70Surchrile-Residential
3801 Re2 170 Surchrge . General
381S Exlr.lordinll!)'_Rel'l!nue
3999 Rei'Onue Clellrin~ Account
Specified Rei'Onues
3805 Del'elooment Chnr£es
3810 Sale of Assets
3820 Debenture Proceeds
Contribution from Resen·es
3900 Conlribution from ReseMs
3905 Conlribution from DC Resenn
127 800 132304 47 800
100'201)•.15PJ.I Page 1 of 2
Tow11 ojTil/sonb11rg 280-Solid Waste & Recycling
20IJ Financial Plan I I zou 2013
Bu~el Pro ettion Bud2e1
OptruliiiJI Plan • Cost Cudt Summary ~7.~~----,-----------------------------------
Sl><!cial Le\1'. Lru:al Jmpru\'ements. PILS
3000 Taxes • Residential
300S Taxes-Mlllfi·Resident1a1
3010 Taxes-Commen:ial
3012 Taxes • Commen:ia1 Vacant Unil
3014 Taxes-Commercial Vancanl Land
3020 Taxes· Sli<iiiJiinR Centre
3012 Taxes· Shopping Centre Vacant Unit
3030 Taxes · Industrial
3032 Taxe.~ · Industrial Vacant Unit
3034 Taxes -lnduslrial Vacant Land
3040 Taxes· Pipelines
3050 Taxes · Farmland
JOSS Taxes -Farmland De\'. Phase I
3060 Taxes· Large lnduslrial
3062 Taxes~ blrge lndu~trial Vacant Unit
3070 Taxes • Suoolementmies
3075 Taxes -Bill 79. Capped Levy
3080 Taxes• CappodRebatesiCiaw Backs
3085 Taxes-W/O's
3090 Taxes • PJL's
3095 Locallmpro\'ements -Residential
30!16 LoCallnioni\1!1DenlS -Commen:ial
3100 Tax.Ad' uslmenls
3105 Taxes. Pena1tv &lntere5l
Oo\'eroment Gmnts & Subsidies
3200 Gmnts & Subsidies -l'<!dernl
320S Grants & Subsidies . Pnl\incial
3210 Gmnts & Subsidies·Olher 158,384 123,407 137,585
UserChmges
3300 MiscellaneousR.e\'eJlue 22.000 20,978 10,000
3301 ReSidential Usage
3302 General Usage
3305 Admissions
3310 Fares& Fees
3315 Membershiils
3320 Seasonal Re\'l:nnes.
3325 Spons Fields Fees
3330 Youth Ptuoram Fees
333~ AduiLPnl!!raM Fees
3340 Summer Programs
334~ Panicipale Pnl)!talll<
3350 Minor Hockey
33~~ Fieure Skatiil2
3360 Programs
3365 Landscapint_
3400 Permit Fees
3410 Licence Fees
3420 CeJtificates
3430 lllSP<dioll!
3500 Rentals
3505 Men:handise 94.000 86,916 ss.ooo
3510 Concession Snles
3515 Vending Machines
3600 Interest
3601 Late Pa)'ment Charges
3700 Soeciat
3701 Captial Surchrse -Residential
.3702 Captlal Surchrge-General
3705 Donations
3800 Se\\'<t Re1-enuc-Surcharge
3801 Reg 170 Su1thrge • Residential
3802 Re2 170 Surehl2c -Oeaeral
381~ Extraonlin:uy Re\'I!Due
3999 Re1o-enue Clearine. Account
Sl><!cified Re\'enues
3805 De\'Ciopment Charges
3810 Sale of Assets
3820 Debenture Pmceeds
Contribution from Resm-es
3900 Contribulion from Resen-es . .
3905 I Contribution from DC Resei'\'OS
274.384 231.301 24S 585
100201lA'15PI.I Page 1 ol2
Town of Tillsonburg
)J3 Financial Plan
5 year Capital Plan
r-1 Replace Shed
2
3
4
5
1 Tar and chip -2nd Coat
2
3
4
5
2
3
4
Capital Costs
Descriotion Exoe11ditures Reserves
3,000
2013 3,000
25,000
2014 25,000
\ . ._ __ _. ______________________ ~~~----------~----------L-________ ._ ______ ~
2015
2
3
4
5
2016
2
3
4
2017
5 yr Capital Plan Page 1 of 1 1/30/2013
Town ofTillsonbllrg 200 • Operatiotls Administration
2013 Financial Plan I I
lOll 2013
Budael Pro tc:llon Budael
Opttoling Plnn • Cosl Code S11lllllltli'J' ~7.~;-----~-------------------~~-----r----------
Special le''Y· Local 1m n.wements, PILS
3000 Taxes • Residential
3005 Taxes -Mulli-Residential
3010 Taxes ~ Commercial
JOP Taxes · Commercial Vacant Unit
3014 Taxes-Commercial Vancant Land
3020 Taxes -Shoppina Centre
3022 Taxes • ShQPPin~ Centte Vacant Unit
3030 Taxes .. Industrial
3032 Taxes • Industrial Vacant Unit
3034 Taxes • Industrial Vacant Land
3040 Taxes· Pipelines
3050 Taxes-F;umland
JOSS Taxes · Fannland Dev. Phase I
3060 Taxes • LurgeJndustriol
3062 Taxes· Ut_~lndu<trial Vacant Unit
3070 Taxes -Supplementaries
3075 Taxes -Bill 79 Capped Le\1'
3080 Taxes· Capped Rebates/Claw Backs
30~5 Taxe~-W/0~
3090 Taxes -PIL's
3095 Locallmprtl\-ements. Residential
3096 Local lmpro\'ements -Commercial
3100 Tax Adjustments
3105 Taxes ·Penalty & Interest
G<Jvernment Grants & Subsidies
3200 Chants & Subsidies· Fedeml
3205 Grants & Subsidies. Pnwincial
3110 G111111S & Subsidies-Olhrr
Other Rnenues
3300 Miscellaneous Re\'triue . .
3301 Residential Usage
3302 General Usa~e
3305 Admissions
3310 Fares &.Fees
3315 Mernbetsbips
3320 Seasonhl Re\"fnues
3325 soorts·fields Fees
3330 Youlh J>rogmn Fees
3335 AdUILProgrant Fees
3340 Summer l'rlllll31tts
3345 Pasticipate Progmns
3350 Minor Hockey
3355 Filure Skating
3360 l'rllgmns
3365 Landscapinf
3400 Pennit Fees
3410 Licence fees
3420 Certificates
3430 Inspections
3500 Rentals
3505 Merchandise
3510 Concession Stiles
3515 Vendln~ Machines
3600 Interest
3(.01 Late Payment Chorge.,
3700 Special
3701 Capital Sun:hrge • Residential
3702 Caoital Surchrae -General
3705 Donations
3800 Sewer Re\"t'nue•Surchnrgc
3801 Re• 170 Surchrl!e • Residential
3802 Rel 170 Sutchrle -Genernl
3815 Extraonliruuy Re\-enue
3999 Re\-enue Clearin2 AccoUPt
Specified Revenues
3805 De,-e1uprnent Chorg~
3810 Sale of A"ets
3810 Debenture Proceeds;
Contribution fmm Rcsen·es
3900 Contribution ftum Reserws .
3905 Contribution from DC Reser\'l:S . .
Page 1 ol2
Town of Til/sonburg 230 • Parkii1g
2013 Financial Plan I I
2012 I 2013
Bud~el Pro ecllon I Budget
Operati11g l'la11 -C~st Code Smmnary· ~~~-----,-------------------~~----------.------
Special levy. Local lmprm"ements. PILS
3000 Taxes-Residential 15,000 14,700 15.000
3005 Taxes-Multi-Residential 2.600 2,450 2.450
3010 Taxes-Commercial 120.000 118,270 120,000
3012 Taxes -Commercial Vacant Unit --
3014 Taxes -Commercial Vacant Land -381
3020 Taxes ~ Shoppin2 Cenw
3022 Taxes -Shopping Centre Vacant Unit
3030 Taxes -Indu•bial --
3032 Taxes-lndusbial Vacant Unit
3034 Taxes-lndusbial Vacant Land
3040 Taxe.< -Pipelines
3050 Taxes-Farmland
3055 Taxes -Farmland Dev. Phase I
3060 Taxes -LarRe lndusbial
3062 Taxes-l..arRe lndusbial Vacant Unit
3070 Taxes -SuDDiementaries -(10) -
3075 Taxes -Bill 79 Ca!lJll!ll leVY
3080 Taxes -Capped Rebates/Claw Backs
3085 Taxes-WIO's (3,000) (2,875) (2.000)
3090 Taxes -PIL's 1.200 -1,200
3095 Lccallmprovements -Residential
3096 Lccal Improvements-Commercial
3100 Tax Adjustments
3105 Taxes -Penalty & Interest
Government Grant< & Subsidies
3200 Grants & Sub•idies -Federal
3205 Grants & Subsidies -Provincial
3210 Grants & Subsidies-Other
User Charges
3300 Miscellaneous Re\"enue ---
3301 Residential Usa11e
3302 General Usa2e
3305 Admission•
3310 Fares& Fees
3315 Memberships
3320 Seasonal Revenues
3325 Sports Fields Fees
3330 Youth Program Fees
3335 Adult Program Fees
3340 SummerProlti3liiS
3345 Participate Prol\llliDS
3350 Minor Hockey
3355 FigllJI!Skating
3360 Progrnms
3365 Landscaping
3400 PennitFees
3410 Licence Fees
3420 Certificates
3430 InSpections
3500 Rentals
3i05 Merchandise
3510 Concession Sales
3515 Vending Machines
3600 Interest
3601 Late Payment CharJ:es
3700 Special -1.430 -
3701 Capital Sun:hrge -Residential
3702 Capital SlirchrRe -General
3705 Donations
3800 Sewer Re,·enue-SurcharRe
3801 Rel! 170 SurehrJte -Residential
3802 Re~t I 70 SurchrJte -General
3815 Extraordinarv Re\"enue
3999 Revenue Clearin~t Account
Specified Re\"enues
3805 De\"elopment CharJ:es 5,882
3810 Sale of A'5ets
3820 Debenture Proceeds
Contribution from Rescr\'es
3900 I Contribution !'rom Reserves -
3905 I Contribution from DC Reserves 16.436 16.436 16,436
I 152236 156.663 !53 086
t00'2013 7:57PM Page 1 of2
Town of Tillsonburg
"\13 Financial Plan t
:J year Capital Plan
-1 Future parking lot repairs
2
3
4
5
1 Rehabilitate Parking Lot 9A
2 Rehabilitate Parking Lots SA
3 Future parking lot repairs
4
5
1 Rehabilitate Parking Lot 7 A
2 Future parking lot repairs
3
4
5
)
l Rehabilitate Parking Lots SA
2 Rehabilitate Parking Lots llA
3 Future parking lot repairs
4
5
1 Rehabilitate Parking Lot 6A
2 Future parking lot repairs
3
4
5
5 yr Capital Plan
Descriotion
2013
2014
2015
2016
2017
Capital Costs
Exoe11ditllres Reserves
46,044
46,044
250,000
35,000
47,425
285,000 47,425
250,000
31,411
250,000 31,411
120,000
45,000
32,354
165,000 32,354
200,000
33;324
200,000 33,324
Page 1 of 1 1/30/2013
Town ofTil/sonbrug I 130-Fleet
Z013 Financial Plan I I
l 2012 J 2013
Budget Pro ecllon Budget
Oprrlllillg Plan-Cost Codr Srm/1/IIITl' _[!'!f _______
~~~;----,--------------------------
~ial lel'y, L<l<:al lmJJ l'ements. PILS
3000 Toxes c Residential -
300S Taxes-Mulli-Residential
3010 Taxes · Commercial -
3012 Taxes -Commercial Vacant Unit --
3014 ~~ -Commen:ial V;Ulcantland
3020 Taxes -Shoppjng C1:ntn:
3012 Taxes-ShovvingCentte Vacam Unit -
3030 Taxrs -Industrial -
3032 Taxes.· Induslrial Vacant Unit --
3034 Taxes-Induslrial Vacant Land --
3040 Taxes -Pipdines
30SO Taxes-FannJand -
JOSS Taxes· Fannland De\·.Phase I
3060 Taxes -large lnduslrial -
3062 T=s • Lmge lnduslrial Vacant Unit
3070 Taxes-Supplemenlaries -
3075 Taxes • Bill 79 C~ped Levv -
3080 Taxes· Capped Rebates/Claw Backs
3085 Taxes· W/O's -
3090 Taxes· PJJ:s -
3095 Local Jnjpnl\.,ments-Residential
3096 L<lcal lmpnwements-Commercial -
3100 Tax Ad'usbnents -
3W5 Taxc5-Penalty& Interest -
Go\'emment Grunts&: Subsidies -
3200 Grant< & Subsidies -Fedeml -
320S Gmnts &: Subsidies • Provincial
32W Grants & Subsidies-Other --
User Charges -
3300 Miscellaneous Re1·enue 14.000 8,470 8.000
3301 Residendal Usa~e
3302 General Usage . -
330S Admissions -
3310 Fares &: Fees -
331S Memberships --
3320 Seasonal Re1-enueo -
3315 SPOrts Fields Fees
3330 Youth Pm~ Fees --
333S Adult Pm)!JilJll Fees -
3340 SummerPmlJ!llllls
3345 Parlicioate Pm1!111Jl\s -
33SO Minor Hockey --
33S5 fig~~tC>Simling --
3360 PmJ!IlDltS
336S Lartdscaping --
3400 Pem~itFees
34W Licencefers --
3410 Cenificates.
3430 lnsoections -
3500 Rentals 1.126,410 1,149,202 1.134,622
JSOS MerchandiSe -
3510 Concession Sales .
3515 V~nding Machines -
3600 Interest --
3601 late Pal'!llent Charges ---
3700 Special --
3701 Caoital Surchr2e-Residential -
3702 Capital Surchrge • General --
3705 Donoitiuns --
3800 Sewer Revenue-Surcharge --
3801 Reg 170 Surrhrge -Residential - -
3802 Rei! 170 Surchrge -General -
3815 Extr.wrdinary Rel'enue ---
3999 Re1~ue Clearing Acci>unt -
Soecified Rel.,nues
380S De1-elopment Charges -18,034
3810 Sole of A..et<
3820 Debenture Proceeds -
Contribulion fron1 Resen-es
3900 Contnl>ution from Resen-es
390S Contribution from DC Resen-es
I 140 410 I 175.705 1.142.622
1004'013C21PU Page 1 or 2
Town ofTillsonburg
· V Financial Pla11
far Capital Piau
~I
~ f--2
3
4 s
1
2
1
2
3
4 s
6
I
2
3
4
5
6
7
...--
i
2
:3
4 s
6
'I
8
IS
16
17
-I
2
1--
6
7
8
9
'
Descrlotlon
I
BucketTrud; reolac:ement 1166 • Hvdro
Trackless MT6 replaCement 1199 -Roads
Leafl.oadern:DlacementiiiOO-Roads
Ice resurfacer reillacement #166 • Parks
NewCaoltal
Trailer moooted HvdroVac vah1: turner-shared WateriHvdrOIRoads
2013
Trackless MT6 teDlacement 1199-Roads
LeafLoadern:Dlacementll100-Roads
Trailer lllbUnled H\>droVac vah'll turner-shared WateriHvdroiRoads
Pumoer Rescue replacement combined 1170 & 72 Fue
2014
7 Passen~r Mini Van teDiacement1#32 Pool Vebicle (Flee!)
Pumper Resi'uereDI&Celnent conlbined 1110 & 12 Fire
I Toll crew cab with slidecin saDder & olow replacement #46 Roads
R~ Uoc Painiinl! Machble teDiacemenll# .I 15 • Roads
HybridTruckreolacement(SUVlll31-Enl!ineerinf.
2 wiv Polv blade replacement# 121 -Roads
t Ton Service Trudcreolacementll42-Fleet
2015
I Forklift
IO!ble
I# 141 -Hydro
t 11233 -Hydro
1-Hvdro
!~Water I HYbii
1/4
ron
Jybjid kU
I" 1119.5
!-Roads
I•O:metery
1-Water
I #29 .• PII.OO
112S•Roads
119-Roods . ..,~,·
:-~J:oads u: !2 ·I \oads
1-. toiJils
124-. toads
t-Roads
l -Roads
ew' iackl e5s I I ~ Roads ew umo Dmftin2 Test t-Fleet
ISnoWJJiow
Rnnm
Tandem
5 yr Capital Plan
2016
1-Roads
U36-Bvlaw
I·RD84
I PII.OO
t#43Parks
1202-. .iroort
• "113S-Roa41s
1-toads
·.·'
-
. <
Capital Costs
1!£
• .
I U ~
"374,000
-;...,
-. --:
. ss.ooo·
.
459,000
141.571
41,000
75,000
257,571
33,619
500,000
125;000
12360
42,()(J(j
22138
127;214
862,331
~2.161.
. 122, )()
llQ
:II! II
IZ_
6 I()'
13!
Sl IQ
21
1
1
ll;oli9
249. iOO
141, i7l
9.5
."L5c
17,91
48,0C
1,527,831
280.(10()
30402
112 743
112 743
16000
20()()()
19 00
16,000
Page 1 ol2
Res n•es •
260,000
260,000
1/30/2013
Tiflsonbnrg Hydro Inc. 145-Enterprise Services
2013 Financial Plan I
2012 I 2013
Bud2tt Pro eclion Budut
Opcrati11g P/o11 • (o~1 Cotle Summary
a~~~-----r--------------------
Co11solidated Total f-----------·-----
Speciall.e•'Y· Local lm)lioveruems. PllS
3000 Taxes -Residential --
JOOl Taxes. Multi-Residential ---
3010 Taxes • Commercial - --
3012 Taxes-Commereial Vacant Unit --
3014 Taxes-Commen:ial Vruicantland -
3020 Taxc.~ • ShOJl)ling Cenlre --
3022 Taxes-Shopping Cenlre Vacant Unit -
3030 Taxes -Jndusnial --
3032 Taxes -Jndu.~nial Vacant Unit -.
3034 Taxes-lndusnial Vacant Land ---
3040 Taxes-Pipelines --
3050 Ta>es -r-annJnna ---
3055 Taxes -Fannland Dev. Phase I ---
3060 Taxes -larl!.e lndusnial --
3062 Taxes-Large lndusnial Vacant Unit --
3070 Taxes -S~pplemenlaries --
3075 Taxes -Bill 79 Capped Levy --
3080 Taxes • Capped Rebates/Claw Backs -. -
3085 Taxes-W/O's ---
3090 Taxes -PIL's --
3095 locallmpro••eruent~ -Residential --
3096 locallmpro\·ements-Commercial --.
3100 Trot Ad'ilstments --.
3105 Taxes -Perialty & lnte~t ---
Go•-emmeru Granls & Subsidies --
3200 Grants & Subsidies-Federal -
3205 Grants & Subsldic.~ -Provincial -
3210 Grants & Subsidies-Other ---
User Charges --
3300 Mi-;cellaneous Revenue 3.m.:m 1,359.692 2.150.350
3301 Residential Usa!!e --
3302 General Usage --
3305 Admi~ons ---
3310 Fares& Fees --
3315 Memberships - --
3320 Seasonal Re-l'<nues --
3325 Sports Fields Fees ---
3330 Youth Program Fees --
3335 Adult Program Fees ---
3340 Summer Pro_grams --
3345 Participate Progntllls --
3350 Minor Hockey --
3355 Figure Skating --
3360 Pmmms -
3365 Landscap_ing --
3400 PermiLFees ---
3410 Licence Fees ---
3420 Certificates --
3430 lnsoectiOns ---
3500 Rentals 26,700 27,007 26.100
3505 Merchandise -
3510 Concession Sales --
3515 Vendinl! Machines --
3600 Interest 75,000 75.000 150,000
3601 Late Payment Charges --
3700 Special -
3701 Capital Sun:hrl!e -Residential -
3702 C"''ital SurchJKe • General ---
3705 Donations -
3800 Sewer Revenue-Sun:harl!.e --
3801 Rel!. 170 Surchrl!e -Residential -
3802 Re~ 170 Sun:hrl!e-General
3815 Exuaordjl!Jtry Revenue -
3999 Revenue Clearing Account --
Specified Revenues -
3805 De•·elopment Charl!es -
3810 Sale of Assets
3820 Debenture Proceeds
Contribution from Rese"·es
3900 Contribution from Reserves
3905 I Connibution from DC Reserves
3 633 073 1.461.699 2,326 450
1!30'2DI3 .. ::28PM Page 1 of6
Tillson/Jllrg Hydro Inc. 145 • Ente_rp_rise Services
2013 FinancildP/an I
2012 I 2013
BudRel ProjK:Iion I Budget
-------~r~~~~~~~~~~~~2------------r---{2~·--------Rennues
Special leV\', Local lfRJllOl"effieniS.PILS
3000 Taxes -Residential
3005 Taxes-Multi-Residential
3010 Taxes -Commercial
3012 Taxes-Commercial Vacant Unit
3014 Taxes-Comntercial Vancant Land
3020 Ta~es -Shopping Centre
3022 Taxes-Shoppin2 Centre Vacant Unit
3030 Taxes -Jnduslrial
3032 Taxes-lnduslrial Vacant Unit
3034 Taxes • lnduslrial Vacant l..arid
3040 Taxes • Pipelines
3050 Taxes-Farmland
3055 Taxes-Farmland De•·-Phase I
3060 Taxes -Large lnduslrial
3062 Taxes-Lar2e Jnduslrial Vacant Unit
3070 Taxes -Supplemenlllries
3075 Taxes -Bill79 Capped levy
3080 Taxes -Capped Rebarc.vCiaw Backs
3085 Taxes-W/O's
3090 Taxes • PIL's
3095 LocalllllJl.rol'emenrs -Residenrial
3096 Local Improvements • Commen:ial
3100 Tax Adjustments
3105 Taxes -Penalty & Interest
Government GraniS & Subsidies
3200 Grants & Subsidies -Federal
3205 Grants & Subsidies -Provincial
3210 Grants & Subsidies-Other
User Charges
3300 Miscellaneous Re~•enue 8.313 18.032 ll,280
3301 Residential Usage
3302 General UsaRe
3305 Admissions
3310 Fares & Fees
3315 Memberships
3320 Seasonal Re1·enues
3325 Sj)Orts Fields Fees
3330 Youth Program Fees
3335 Adult Pro &ran! Fees
3340 Summer ProRfalDs
3345 Participate Pro2rams
3350 Minor Hocke)'
3355 FJgUre Skating
3360 Prol!faffiS
3365 LandscapinR
3400 Permit Fee.•
3410 Licence Fees
3420 Certlrwares
3430 inspections
3500 Rentals 26.700 27.007 26,100
3505 Merchandise ---
3510 Concession Sales
3515 Vending Machines
3600 Interest 75.000 75,000 150.000
3601 Late Pll}'lllent Char~es
3700 Special
3701 Capital Sun:hrge -Residential
3702 Capital Sun:brge -General
3705 Donati oilS
3800 Sewer Reveoue-Sun:harge
3801 Reg 170 Sun:hrge, Residential
3802 Reg 170 Surchrge-General
3815 Extrnordinm• Revenue
3999 Revenue ClearioR Account
S~ilied Revenues
3805 Development Charges
3810 Sale of AsseL~
3820 Debenture Proceeds
Conlribution from Reserves
3900 I Conlribution from Reserves -
3905 I Conlribution from DC Reserves
I 110 013 120,040 187.380
Page 3 ol6
Tillsonburg Hydro Inc. 145 • Enterprise Services
2013 Financial Pla11 I I
2012 J 2013
J Budget I Pruj_ection I Budg_et
-------~1~~~~~~~~~~~~2-------Hydro (Iota/)
Revenues -----r-----~ -----·-
Special Le1•y. Local lmpro•·emcnl~. PILS
3000 Taxes -Residential ---
3005 Taxes-Multi-Residential ---
3010 Taxes -Commercial
3012 Taxes-Commercial Vacant Unil -
3014 Tax e.• -Commercial V ancant Land -
3020 Taxes -Shopping Centre
3022 Taxes-Shoppiog Centre Vacant Unit
3030 Taxes -Industrial
3032 Taxe.~-Industrial Vacant Unit -
3034 Taxes-Industrial Vacant Land --
3040 Taxes -Pipelines -
3050 Taxes-Farmland --
3055 Taxes-Fannland De'·-Phase I -
3060 Taxes-Larg_e Industrial
3062 Taxes-Large Industrial Vacant Unit
3070 Taxes -Supplemenraries --
3075 Taxes -Bill 7~ Capped Levy -
3080 Taxes -Ca~d Rebates/Claw Backs -
3085 Taxes-W/O's
3090 Taxes • PIL's
3095 Locallmpronmenrs • Residential --
3096 LocallmplOvemenrs -Commercial --
3100 Tax Adjustments
3105 Taxes-Penalty & Interest -
Government Grant• & Subsidies . -
3200 Grants & Subsidies -Federal -
3205 Grants & Subsidies -Pro,•incial --
3210 Grants & Subsidies-Other -
User Charges -
3300 Miscellaneous Revenue 3.523.060 l,J41.ii60 2.139.070
3301 Re.•idential Usage --
3302 General Usage --
3305 Admissions -
3310 Fares & Fees -
3315 Memberships -
3320 Seasonal Revenues --
3325 SPOrts Frelds Fees -
3330 YoulhPrOimllll Fees --3335 Adult Projralll Fees -
3340 StimnierPrograms --
3345 Participate Programs .
3350 Minor Hocke1· --
3355 Fi2ure Skatin2 -
3360 Programs --
3365 Lanclseaplng
3400 Permit Fees --
3410 Licence Fees --
3420 Cenificates -
3430 Inspections
3500 Rentals --
3505 Merchandise
35!0 Concession :>ales --
3515 Vending Machines --
3600 Interest -
3601 Late Payment Charges -.
3700 ~~al - -
3701 Capital Surchrge • Residential -
3702 Capital Surchrge -General ---
3705 Donations --
3800 Sewer Revenue-Surcharge -
3801 Reg 170 Surchrge -Residential - --
3802 Reg 170 Surchrge -General --
3815 Extraordinary Re'·enue -
3999 Re•·enue Clearing Account --
Specified Revenues -
3805 Development Chme.• --
3810 Sale of Assets
3820 Debenrure Proceeds
Contribution from Reserves -
3900 Contribution from Reserves
3905 Contribution from DC Reserves --
3,523.060 1.341.660 2,139,070
Page5ol6
CJ
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2013 Business Objectives-Continued
Item
(Strategic Plan Reference #)
Utilize CLASS for all Museum program registration
and booked event tickets (1-4)
Division
PRS-Muselfm Museum
Curator
Increase awareness, attendance and potentially PR$-Museurn Museum
revenue by. hosting a series of special evening Curator
gatherings on the lawn and a series of special everits
and exhibits to celebrate the museum's 40th
Anniversary (4-6)
$1,000
Actual
Value
Target
Date
Ql-Q4
Q2-Q4
Actual
Date
2013 Business Objectives -Continued
Item
(Strategic Plan Reference #)
~:!~~~i~re!~~~·ija!~::~~tk~'~!~$~'·····
Grow advertising sales for Recreation & Leisure
Guide & Rink Boards (3-1)
Expand existing retail operations at the TCC and
Museum to include Tillson burg and Annandale
merchandise., and specialty items (1-10)
Division
PRS-Programs
PRS-Programs ·
and
PRS-Museum
Program
Manager
Programs
Manager,
Museum
Curator
($13,000)
($5;000)
Actual
Value
Target
Date
Ql,Q3
Q1-Q4
Actual
Date
Opportunities
1. Continued implementation of Master Plan
2. ACR utilization provides clarity and direction to all, optimal customer service
3. Expanding health club services for mature and older adults and therapy uses
4. Expand marketing regionally and provincially for Lake Lisgar Waterpark and
Museum/Culture operations & events.
5. Partner with adjacent municipalities on achieving a more sustainable regional
parks and recreation system
6. Support economic development by being an attractive destination for investment
and relocation.
7. Programming opportunities to replace lost extra-curricular activities at school.
Future Departmental Directions: 3 year outlook
2015
• Undertake a Physical Activity Strategy that aims to increase physical activity
levels throughout Tillson burg for a range of ages, interests and abilities
• Formalize a Code of Conduct that governs the staff and volunteer approach to
work
• Continue to explore broad ways in which to fund the development and
operation of parks and facilities, through use of a variety of funding
mechanisms and community involvement
• Update a Parkland Design Standards Manual that provides the development
industry with technical guidance on the parks amenities.
Performance Measures
Effectiveness/Customer Service-Parks & Recreation
Facilities
• Record usage of bookable hours versus actual hours booked.
• Measurement: CLASS software report.
• Purpose: To identify utilization and trends in usage.
• Goal: 50%
• Respond to all ACR cases within 24 hours.
• Measurement: ACR software report will be completed quarterly.
• Purpose: To ensure and improve timely response.
• Goal: BOo/a
Performance Measures
Effectiveness/Customer Service-Parks & Recreation
Customer Service
• Customer satisfaction survey.
• Measurement: 10 surveys (with points assigned to each of 5 questions) will be
completed monthly by staff either by phone or in person and totaled quarterly.
• Purpose: To ensure staff are meeting the customer service goals of our
patrons.
• Goal: 80°/o overall satisfaction in each category
• Measure the volume of calls per month.
• Measurement: Norte! call management systems software report quarterly.
Purpose: To compare usage and efficiency of staff operating the phone
system.
• Goal: 85°/o
• Membership retention survey.
• Measurement: At time of membership renewal, staff will conduct a retention
survey. Results will be compiled quarterly. In addition a CLASS report will be
completed to acquire numbers of those members not returning.
• Purpose: To identify why members are returning and to identify any weak
areas of service.
• Goal: 80°/o
Performance Measures
Effectiveness/Customer Service-Museum
Visitor Experience
• Customer Satisfaction Survey
• Measurement: 20 surveys to be co,mpleted monthly by museum patrons. Survey to
include a ranking system for all areas of the" visitor experience" from the exhibits to
building cleanliness, staff knowledge and overall enjoyment/impression.
• Purpose: to ensure that staff and the facility are meeting the wants and needs of
museum patrons
• Goal: overall ranking of 75°/o satisfaction
Facility
• Set-up facility bookings within CLASS system for program room rentals
-Measurement: CLASS and POS
-Purpose: To identify utilization and trends in usage
-Goal: 100°/o of room rentals booked within CLASS system
Human Resources
Allocation I Deployment Pian
2010 1 2012 2013 2014
Programs Part Time FTE 14.42 10.9 10.9 10.9
Programs Head Count 63 47 47 47
Cemetery Part Time FTE 0.4 0.4 0.4 0.4
Cemetery Head Count 2 2 2 2
,Q,~I3
3
Total Part-time FTE 30.49 19.92 19.92 19.92
Total Part-time Head Count 97 65 65 65
Town ofTillsonburg 450-Recreation -Parks
2013 Financial Plan I I
2012 J 2013
Budeet Pro"ectlon j Bud_@t
Operati11g Piau • Cost Code Summary R.~~~----l-------------------------------r------
Special Levy, Local Improvement<, Pll.S
3000 Taxes -Residential
3005 Taxes -Multi-Residential
3010 Taxes -Commercial
3012 Taxes-Commercial Vacant Unit
3014 Taxes-Commercial Vacant Land
3020 Taxes -Sboppinp; Centre
3022 Taxes -Shnppin2 Centre Vacant Unit
3030 Taxes -Industrial
3032 Taxes -Industrial Vacant Unit
3034 Taxes-Industrial Vacant Land
3040 Taxes -Pipelines
3050 Taxes -Farmland
3055 Taxes-Farmland Dev. Phase I
3060 Taxes -Lar~e Industrial
3062 Taxes -Lar~ Industrial Vacant Unit
3070 Taxes -Supplementaries
3075 Taxes -Bill 79 Capped Levy
3080 Taxes -Capped Rebates/Claw Backs
3085 Taxes -WID's
3090 Taxes -PIL's
3095 Local Improvements -Residential
3096 Local improvements -Commercial
3100 Tax Adjustments
3105 Taxes -Penaltv & Interest
Government Grants & Subsidies
3200 Grant< & Subsidies -Federal
3205 Grants & Subsidies -Provincial
3210 Grants & Subsidies-Other 2,000
User Charges
3300 Miscellaneous Revenue 3,000 4,030 4,500
3301 Residential Usage
3302 General Usage
3305 Admissions
3310 Fares & Fees
3315 Memberships
3320 Seasonal Revenues
3325 Sports Fields Fees
3330 Youth Program Fees
3335 Adult Progr_am Fees
3340 Summer Progr_ams
3345 Participate Programs
3350 Minor Hockey
3355 Figure Skating
3360 Programs
3365 Landscaping
3400 Permit Fees
3410 Licence Fees
3420 Certificates
3430 lnsJlOctions
3500 Rentals
3505 Merchandise
3510 Concession Sales
3515 Vending Machines
3600 Interest
3601 Late Payment Charges
3700 Special
3701 Cajlital Surchrge -Residential
3702 Cajlital Surchrge -General
3705 Donations
3800 Sewer Revenue-Surcharge
3801 Reg 170 Surchrge -Residential
3802 Reg 170 Surchrge -General
3815 Extraordinary Revenue
3999 Revenue Clearing Account
Specified Revenues
3805 Development Charges
3810 Sale of Assets
3820 Debenture Proceed< -
Contribution from Reserves
3900 Contribution from Reserves
3905 Conuibution from DC Reserves
3,000 6,030 4 500
H:\Finance\Finandal Plans\2013\2013 &KfoetsW8fSion2\2013 Budgetotso Recreation-Ptuks-V2 1/30120137:35PM Page 1 of 2
Town of Tillsonburg
·113 Financial Plan
;) year Capital Plan
Horse Barn Demolition
623 Parks .Building Demolition-CFWD
Beacli Volleyball courts
4 · OilF-Lake Li.Sgar
. 5
6
Trail Development
Description
..
2013
2 PI~ygrou11d Equipment for new parkC;lrea-Qll)epark neatViCI:oria Wopd ..•. ·.
3
4
5
2014
Capital Costs
Expenditures Reserves
..
. ., .. ·c: : ...
.. ::
155,500
so;ooo
·. ·_
.. :. ..·.
125,000
1 TrailDevelopmeilt ·,. · 5Q,Q0().
2 Playground Equipment replacement and upgrades . .. . . · .~Q;ooo ·
2015
1 trail development as _part of the trails master:]llan. so;ooo c •..
... . 31);0Qo....... . ••
3 ·,·
5 .• ·.· .·.····· ·:
2016 80,000
1 Trail develop1llent as part of the trails master plan-so;ooo ..
2. Pla)igfound Equipment ·· · ·. · , .• · · ·'
3
4
5
2017 80,000
5 yr Capital Plan Page 1 of 1 1/30/2013
Town ofTillsonburg 460 -Recreation -Programs
2013 Financial Plan I I
2012 2013
Budi!et Pro eclion Budi!et
Operating Plan-Cost Code Smmnmy ~~~-----l--------------------------------------
Special Levy, Local Improvement•. Pll.S
3000 Taxes -Residential
3005 Taxes-Multi-Residential
3010 Taxes -Commercial
3012 Taxes-Commercial Vacant Unit
3014 Taxes -Commercial Vacant Land
3020 Taxes -Shoppin~ Centre
3022 Taxes -Shoppin~ Centre Vacant Unit
3030 Taxes -Industrial
3032 Taxes-Industrial Vacant Unit
3034 Taxes -Industrial Vacant Land
3040 Taxes-Pipelines
3050 Taxes -Farmland
3055 Taxes -Farmland Dev. Phase I
3060 Taxes -Large Industrial
3062 Taxes -Large Industrial Vacant Unit
3070 Taxes -SllJllllementaries
3075 Taxes -Bill 79 Capped Levy
3080 Taxes -C!l(lped Rebates/Claw Backs
3085 Taxes -W /O's
3090 Taxes -PIL's
3095 Local Improvements -Residential
3096 Local Improvements -Commercial
3100 Tax Ad'ustrnents
3105 Taxes -Penaltv & Interest
Government Grants & Subsidies
3200 Grants & Subsidies -Federal 4,000 5,386 3,500
3205 Grants & Subsidies -Provincial 11,700 45,804 42,708
3210 Grants & Subsidies-Other
User Charges
3300 Miscellaneous Revenue 5,000 9,794 4,900
3301 Residential Usage
3302 General Usage
3305 Admissions 134,750 120,733 132,200
3310 Fares &Fees 25,000 28.414 25,000
3315 Memberships 179,750 174,177 180,300
3320 Seasonal Revenues 85,000 90.828 85,000
3325 Sports Fields Fees 19,000 22,174 21,000
3330 Youth Program Fees 186,500 168,942 194,500
3335 Adult Program Fees 54,000 43,395 47,000
3340 Summer Promarus 90,500 79,091 70,000
3345 Participate Programs
3350 Minor Hockey 186,800 179.336 186,000
3355 Figure Skating 73,500 69,526 70,000
3360 Programs 34,500 34,584 34,500
3365 Landscaping
3400 Permit Fees
3410 Licence Fees
3420 Certificates
3430 In~ctions
3500 Rentals 163,200 170,282 158,200
3505 Merchandise 10,000 12,177 15,000
3510 Concession Sales 42,000 36,080 42,000
3515 Vending Machines 29,000 26.657 29.000
3600 Interest
3601 Late Payment Charges
3700 Special 13,000 11,414 12,000
3701 Capital Surchrge -Residential
3702 C~tal Surch!ge -General
3705 Donations 10.000 12,000 10,000
3800 Sewer Revenue-Surcharge
3801 Reg I 70 Surchrge -Residential
3802 Reg 170 Surchrge -General
3815 Extraordinary Revenue
3999 Revenue Clearing Account
Specified Revenues
3805 Development Charges --
3810 Sale of Assets
3820 Debenture Proceeds
Contribution from Reserves
3900 I Contribution from Reserves --
3905 I Contribution from DC Reserves
1.357 200 1.340 795 1,362.808
H:\Frnance\Flnaoclal Plans\2013\2013 Budgels\V81ib12\2013 Budgel460 Recreallon-Programs· V2 1131Y20137:45PM Page 1 of 2
Town of Tillsonburg
'J13 Financial Plan
:>year Capital Plan
DescriDtion
;-1 Recreation Master Plan initiatives (from business plan)
2
3
4
5
2013
1 Recreation Master Plan implementation
2
3
4
5
2014
L Recre~_ttion Master Plan implementation
2
3
~
i
2015
1
2
3
4
5
2016
2·
3
4
5
2017
5 yr Capital Plan
Capital Costs
Exvenditures Reserves
35,000
-
35,000
100,000
100,000
100,000
100,000
.. .
Page 1 of 1 1/30/2013
Town o!Tillsonburg 465-Recreation -Facilities
2013 Financial Plan I I
2012 I 2013
Budget J Pro'ection Budget
Operati11g 1'/an -Cost Code Swnmmy Re~~~----l-------------------~~----------r------
~ial Le_l'l'. Locallmprovements. PILS
3000 Taxes -Residential
3005 Taxes -Multi-Residential
3010 Taxes -Commercial
3012 Taxes -Commercial Vacant Unit
3014 Taxes-Commercial Vacant Land
3020 Taxes -Shopping Centre
3022 Taxes-Shopping Centre Vacant Unit
3030 Taxes -Industrial
3032 Taxes -Industrial Vacant Unit
3034 Taxes-Industrial Vacant Land
3040 Taxes -Pipelines
3050 Taxes -Farmland
3055 Taxes-Fannland Dev. Phase I
3060 Taxes -:__~Industrial
3062 Taxes-Large Industrial Vacant Unit
3070 Taxes -Supplementaries
3075 Taxes-Bill 79 Capped Levy
3080 Taxes-Capped Rebates/Claw Backs
3085 Taxes -W tO's
3090 Taxes-Pll..'s
3095 Local Improvements -Residential
3096 Locallm_provements -Commercial
3100 Tax Adjustroents
3!05 Taxes -Penalty & Interest
Government Grant~ & Subsidies
3200 Grants & Subsidies -Federal
3205 Grants & Subsidies -Provincial
3210 Grants & Subsidies-Other
User Charges
3300 Miscellaneous Revenue --
3301 Residential Usage
3302 General Usage
3305 Admissions
3310 Fares &Fees
3315 Memberships
3320 Seasonal Revenues
3325 -SJ>orts Fields Fees
3330 Youth Program Fees
3335 Adult Program Fees
3340 Summer Programs
3345 Participate Programs
3350 Minor Hockey
3355 Figure Skating
3360 Pro ro-ams
3365 LandscapinJl
3400 Permit Fees
3410 Licence Fees
3420 Certificates
3430 Inspections
3500 Rentals 22,500 20,279 10,600
3505 Merchandise
3510 Concession Sales
3515 Vending Machines
3600 Interest
3601 Late Payment Charges
3700 Special
3701 Capital Surcbrge -Residential
3702 Capital Surcbrge -General
3705 Donations -
3800 Sewer Revenue-Surcharge
3801 Reg 170 Surcbrge-Residential
3802 Reg 170 Surcltrge -General
3815 Extraordinary Revenue
3999 Revenue C1earin_g_ Account
Specified Revenues
3805 Development Charges 36,341 .
3810 Sale of Assets
3820 Debenture Proceeds
Contribution from Reserves
3900 I Contribution from Reserves -.
3905 I Contribution from DC Reserves
I 22,500 56,620 lO 600
H:\F"II'IRI'ICEI\fJn Plans\2013\2013 Budgels\Verslon Z\2013 Budget 465 Recrootion-Facilities~ V2 1/3012013 7:40PM Page 1 of2
Town of Tillsonburg
)13 Financial Plan
_, year Capital Plan
-Description
1 IJealtli Club Equipment (weights, racks, etc.)
2 . Audit9riw:n Roof .
Accessible Washroom
fl..
2013
1 Aud.itoriumRoof
2 RoWirigCltib.Roof (concrete roof new coating) .·. . •. ·~
4 AudicfV'i~tial'EQtJipment fqt Den and Aliditorium
5 . ~ilergy Management ·· .·.
.6< > . Seniors Roof
7 ·· IClH~dger
2014
)
~ • · WatetJ)ark slide: s~irs repl.aced
· · ·•· .2. • Health Cfub Equipment Replacement ·· 5"-·.l!li.toor.PoofMafutenancelrep~;tirs ... . . · ....
4 . Enetgy l\lanagetiieht
2015
Rei>ll!.ce W ateqiilrk roof
2
3
4
5
2016
1 ·· E.~Place IJealthClubEquipment
2 . Wat¢rpark Pumti replacement
3 inliQor.Pool Shutdown
2017
5 yr Capital Plan Page 1 of 1
Capital Costs
Expenditures Reserves
10,000
> .····· 20,000
,50,000
60,000 20,000
42,000
... ·. .. 4-o:ono ..
···.··... $.!);®0 ,····
· .. ·
214,000
•.. 35;000 ..
. '"'' .· lOlOl)(f . .
.·.·~ ' 0 :'i .55 .• 00.0 ..
150,000
·so;ooo .·
· .. •. ·'?0.~®0\ ...
140,000
10;000' o .
50.®0.
.· .. 50;000
122,000
1/30/2013
Town of Tillsonburg_ 475-Museum
2013 Financial Plan I I
I 2012 2013
Budl!et Proiection Budl!et
--------l-------~~~~~~~~~~~~~~2----Revenues -----r-----
Special Levy, Local Improvements, PILS
3000 Taxes -Residential
3005 Taxes· Multi-Residential
3010 Taxes -Commercial
3012 Taxes· Commercial Vacant Unit
3014 Taxes-Commercial Vancant Land
3020 Taxes -Shoppin£ Centre
3022 Taxes-ShoPPin£ Centre Vacant Unit
3030 Taxes -Industrial
3032 Taxes-Industrial Vacant Unit
3034 Taxes -Industrial Vacant Land
3040 Taxes -Pipelines
3050 Taxes -Fnrmland
3055 Taxes -Fnrmland Dev. Phase I
3060 Taxes -Large Industrial
3062 Taxes-Large Industrial Vacant Unit
3070 Taxes -Supplementaries
3075 Taxes-Bill 79 Capped Le_vy
3080 Taxes -Ca]JpCd Rebates/Claw Backs
3085 Taxes - W tO's
3090 Taxes -PJL's
3095 Local Improvements -Residential
3096 Local Improvement~ -Commercial
3100 Tax A<{justments
3105 Taxes -Penalty & Interest
Government Grant~ & Subsidies
3200 Grants & Subsidies -Federal 7,805 3,365 3,365
3205 Grants & Subsidies -Provincial 17,899 17,899 17,899
3210 Grant~ & Subsidies-Other 2,500 1.500 3,500
Other Revenues
3300 Miscellaneous Revenue . 2,000
3301 Residential Usage
3302 General Usage
3305 Admissions 6,700 6,426 7,150
3310 Fares & Fees
3315 Memberships
3320 Seasonal Revenues
3325 Sport~ Fields Fees
3330 Youth Prol!faDI Fees
3335 Adult Program Fees
3340 Summer Pr()grant~ 5,950 4,882 6.000
3345 Particjpate Programs
3350 Minor Hockey
3355 Figure Skatiog
3360 Programs 2,350 2,401 5,500
3365 Landscaping
3400 PennitFees
3410 Licence Fees
3420 Certificates
3430 Inspections
3500 Rentals 800 750 1,200
3505 Merchandise 500 400 1,000
3510 Concession Sales 1,900 1,965 2,000
3515 Vending Machines
3600 Interest -
3601 Late Payment Charges
3700 Special 25,600 25,535 37,770
3701 Cl!Pital Surchrge -Residential
3702 Capital SurchJ:ge -General
3705 Donations 2,000 2,977 3,000
3800 Sewer Revenue-Surcharge
3801 Reg 170 Surchrge -Residential
3802 Reg 170 Surchrge -General
3815 Extraordinary Revenue
3999 Revenue Clearing Account
Specified Revenues
3805 Development Cbar£es
3810 Sale of Assets
3820 Debenture Proceed1
Contribution from Reserves
3900 I Contribution from Reserves .
3905 I Contribution from DC Reserves
74,004 68,101 90 384
H:\Anance\Financial Plans\2013\2013 Budgets\VefSion 2\2013 Buc~Qe!-475 Museum· V2 113G'2013 7!47 PM Page 1 of 2
Town ofTillsonburg
'lf/.13 Financial Plan
~ year Capital Plan
5 yr Capital Plan
Description
Page 1 of 2
Capital Costs
Expenditures Reserves
15,000
15,000
65,000
1/30/2013
Town ofTillsonburg 300 -Cemetery
2013 Financial Plan I I
L 2012 _I 2013
Budl!et Proiection Budeet
--------l------~e~~~~~~~s~~~~~2----Revenues -----r----~
Special Levy, Local Improvements, PM
3000 Taxes -Residential
3005 Taxes-Multi-Residential
3010 Taxes -Commercial
3012 Taxes-Commercial Vacant Unit
3014 Taxes -Commercial Vancant Land
3020 Taxes -Shopping Centre
3022 Taxes -Shopping Centte Vacant Unit
3030 Taxes -lndusttial
3032 Taxes -Industrial Vacant Unit
3034 Taxes-Industrial Vacant Land
3040 Taxes -Pi)Jf'lines
3050 Taxes -Farmland
3055 Taxes -Farmland Dev. Phase I
3060 Taxes -Large Industrial
3062 Taxes-Large Industrial Vacant Unit
3070 Taxes -Supplementaries
3075 Taxes -Bill 79 Capped Levy
3080 Taxes -Capped Rebates/Claw Backs
3085 Taxes-W/O's
3090 Taxes -PIL's
3095 Local hnprovements -Residential
3096 Local hnprovements -Commercial
3100 Tax Adjusunents
3105 Taxes -Penalty & Interest
Government Grant' & Subsidies
3200 Grants & Subsidies -Federal -
3205 Grants & Subsidies -Provincial
3210 Grants & Subsidies-Other
User Charges
3300 Miscellaneous Revenue 130,000 130,354 134,000
3301 Residential Usage
3302 General Usage
3305 Admissions
3310 Fares &Fees
3315 Memberships
3320 Seasonal Revenues 13,000 8,533 8,500
3325 Sports Fields Fees
3330 Youth Program Fees
3335 Adult Program Fees
3340 Summer Programs
3345 ParticiJ>ate Pro2!'ams
3350 Minor Hock~
3355 Figure Skating
3360 Programs
3365 Land,caping
3400 Permit Fees
3410 Licence Fees
3420 Certificates
3430 Inspections
3500 Rentals
3505 Merchandise
3510 Concession Sales
3515 Vending Machines
3600 Interest 17,420 17,000 13.900
3601 Late Payment Charges
3700 Special
3701 Capital Surcbrge -Residential
3702 Capital Surcbrge -General
3705 Donations 500 500 500
3800 Sewer Revenue-SurcharJ!C
3801 Reg_ I 70 Surcbrge -Residential
3802 Reg 170 Surcbrge -General
3815 Extraordinary Revenue
3999 Revenue Clearing Account
Specified Revenues
3805 Development Charges
3810 Sale of Assets
3820 Debenture Proceeds
Conlribution from Reserves
3900 Contribution from Reserves ---
3905 Contribution from DC Reserves
160.920 156.387 !56 900
H:\Finance\Finandal Plans\2013\2013 Budge\s\Versioo 2\2013Budget300Ceme\efy· V2 1130120137:52PM Page 1 of2
Town of Tillsonburg
?1)13 Financial Plan 1 . year Capital Plan
5 yr Capital Plan
Description
--.": ~-. o·-· .·. '; -~-. . . -:_~-)~ _,::.::.~ .
Page 1 of 2
Capital Costs
Expenditures Reserves
44,000
20,000
27,500
1/30/2013
Town ofTillsonburg 470 • library
2013 Financial Plan I
I 2012 2013
I Bud~et I Projection I Budget
Operating Piau • Cost Code Summary Re~~-----l-------------------~~----------------Special Levy, Local Improvements, PILS
3000 Taxes -Residential
3005 Taxes-Multi-Residential
3010 Taxes -Commercial
3012 Taxes -Commercial Vacant Unit
3014 Taxes-Commercial Vancant Land
3020 Taxes -Shopping Centre
3022 Taxes-Shopping Centre Vacant Unit
3030 Taxes -lndusoial
3032 Taxes-lndusoial Vacant Unit
3034 Taxes-Indusoial Vacant Land
3040 Taxes -Pipelines
3050 Taxes -Farmland
3055 Taxes -Farmland Dev. Phase I
3060 Taxes -Large Indusoial
3062 Taxes-Large lndusoial Vacant Unit
3070 Taxes -Supplementaries
3075 Taxes-Bill 79 Capped l.e_Y.l'
3080 Taxes -Capped Rebates/Claw Back.•
3085 Taxes -W /O's
3090 Taxes -PIL's
3095 Local Improvements -Residential
3096 Local improvements -Commercial
3100 Tax Adjustments
3105 Taxes-Penalty & Interest
Government Grants & Subsidies
3200 Grant• & Subsidies -Federal 3,000 -
3205 Grants & Subsidies -Provincial 23,685 23,685
3210 Grant• & Subsidies-Other -18,319 -
Other Revenues
3300 Miscellaneous Revenue 12,000 18,177
3301 Residential Usage
3302 General Usage
3305 Admissions
3310 Fares & Fees
3315 Memberships
3320 Seasonal Revenues
3325 Sports Fields Fees
3330 Youth Program Fees -
3335 Adult Prowam Fees --
3340 Summer Programs 3,750 3,058
3345 Participate Programs
3350 Minor Hockey
3355 Figure Skating
3360 Programs
3365 Landscaping
3400 Permit Fees
3410 Licence Fees
3420 Certificates
3430 Inspections
3500 Rentals 2,000 2,036
3505 Merchandise 400
3510 Concession Sales
3515 Vending Machines
3600 Interest 1,000 2,088
3601 Late Payment Charges
3700 Special
3701 Capital Surcbrge -Residential
3702 Capital SurchrRe • General
3705 Donations 6,000 6,891
3800 Sewer Revenue-Surcharge
3801 Reg 170 Surchrge -Residential
3802 Reg 170 Surchrge -General
3815 Extraordinary Revenue
3999 Revenue Clearing Account
Specified Revenues
3805 Development Charges 18,823 -
3810 Sale of Asset•
3820 Debenture Proceeds
Contribution from Reserves
3900 j_ Contribution from Reserves
3905 _L Conoibution from DC Reserves 20,000 20,000
71,835 113,076
H:\Finance\Fioancial Plans\2013'12013 Budgels\Verslon 212013 800Je1470 Libfary · V2 1/30i20137:54PM Page 1 of 2
Town ofTillsonburg 467 ·Elliott Fairbairn Centre
2013 Financial Plan 1 J
I 2012 I 2013
I Bud~et I Projection I Budget
Operatiug Piau • Cost Code Summary ~~~~----l------------------------------------
Special Levy, Local improvement~. Pll.S
3000 Taxes -Residential
3005 Taxes-Multi-Residential
3010 Taxes -Commercial
3012 Taxes -Commercial Vacant Unit
3014 Taxes -Commercial Van cant Land
3020 Taxes -Shopping Centre
3022 Taxes -Shopping Centre Vacant Unit
3030 Taxes -Industrial
3032 Taxes-Industrial Vacant Unit
3034 Taxes-Industrial Vacant Land
3040 Taxes-Pipelines
3050 Taxes -Farmland
3055 Taxes-Farmland Dev. Phase I
3060 Taxes -Large Industrial
3062 Taxes-Large Industrial Vacant Unit
3070 Taxes -Supplementaries
3075 Taxes -Bill 79 Capped Levy
3080 Taxes -Capped Rebates/Claw Backs
3085 Taxes - W /O's
3090 Taxes -PIL's
3095 Local Improvements -Residential
3096 Local Improvements -Commercial
3100 Tax Adjustments
3105 Taxes-Penalty & Interest
Government Grant~ & Subsidies
3200 Grants & Subsidies -Federal
3205 Grant~ & Subsidies-Provincial
3210 Grants & Subsidies-Other
Other Revenues
3300 Miscellaneous Revenue
3301 Residential Usage
3302 General Usage
3305 Admissions
3310 Fares &Fees
3315 Memberships
3320 Seasonal Revenues
3325 Sports Fields Fees
3330 Youth Program Fees
3335 Adult Program Fees
3340 Summer Programs
3345 Participate Programs
3350 Minor Hockey_
3355 Figure Skating_
3360 Progrruns
3365 Landscaping
3400 Permit Fees
3410 Licence Fees
3420 Certificates
3430 Inspections
3500 Rentals 74,983 74,491 74.980
3505 Merchandise
3510 Concession Sales
3515 Vending_ Machines
3600 Interest
3601 Late Payment Charges
3700 Special
3701 Capital Surchrge -Residential
3702 Capital Surchrge -General
3705 Donations
3800 Sewer Revenue-Surcharge
3801 R~ 170 Surchrge -Residential
3802 Reg 170 Surchrge -General
3815 Extraordinary Revenue
3999 Revenue Clearing Account
Specified Revenues
3805 Development Charges
3810 Sale of Assets
3820 Debenture Proceeds
Contribution from Reserves
3900 Contribution from Reserves
3905 Contribution from DC Reserves -
74,983 74,491 74,980
H:\Finance\Anancial Ptans\201:1\2013 Budgets\Versim212013 Budget467 EFC-V2 113G'20137:55PM Page 1 of 2
TOWN OF TILLSONBURG
2013 BUSINESS PLAN
TILLSONBURG FIRE AND RESCUE SERVICES
AND THE
COMMUNITY EMERGENCY MANAGEMENT PROGRAM
2013 Business Objectives
Item
MSA Self Contained Breathing
Air -8th yr of 10 yr lease
agreement
Dept
Fire
Owner
Fire Chief
Budget
Value
$21,027
Projected
Value
Target
Date
Q1
Actual
Date
Risks
4. The 1990 Pumper is no longer recognized as a emergency vehicle by
the Fire Underwriters Survey. Will negatively affect home owner
insurance rates in 2015.
5. The Nortel telephone system is increasingly less dependable to support
a 911 Secondary Public Safety Access Point. System not protected
with a redundancy.
6. The 32-year old fire station does not meet current building code,
health and safety standards, accessibility standards and the ergonomic
needs of the employees who work in it.
Opportunities
5. Achieve all Zero Quest targets through a high commitment to
the Occupational Health & Safety Act, especially sector specific
Regulations and all applicable Section 21 Guidance Notes. Eg.
Develop pre-fire plans, create new and revise existing SOGs.
Opportunity to develop and implement Fire Service specific
near-miss program.
6. Discuss innovative opportunities at the regional level to share
resources. Develop shared purchasing strategies.
7. Market Fire Communications to develop into a more viable
Division. Develop partnership prospects and non-core business
opportunities.
2015
Future Departmental
Directions: 3 year outlook
1. Continue Strategic fire planning process and
implementation.
2. Conduct needs assessment for the Fire Station, including
evaluation of renovation versus replacement options.
3. Initiate planning to replace Self Contained Breathing Air
packs and Rapid Intervention Kits (2016).
4. Replace the Personal Protective Equipment washer and
extractor.
5. Delivery of new fire apparatus.
~" J /
Performance Measures
Efficiency Measures-$ Cost
Department Operating costs for as a 0/o of Total Municipal Operating Costs
Output Measures
. D~~~}tfli~jjt;A'~" ~~'"'
2009
Actual
7.74%
Total·•·ala rrns 1t~s~p~6~,~~~'f~~·-'!if~r~t~1:;:;~:_1;"~~Jl,~~~ft;~~J!f
Deaths as a result of fire 0
Inj.~:r;ies as a ;~s.ult. Qf'mr!:[': .,_,-~: <: ,\',;q·{ :·L••·
Estimated residential fire loss $190,000
*Pre 2009
0
2010
Actual
$61,000
0
2011
Actual
$1,136,001.00
2012
Budget
6.79%
0
$43,000.00
2013
Budget
7.67%
Public Relations Performance Measures
• Measurement:
-Number of requests (by type and time) by community
groups for the fire service to attend an event where the
fire department does or does not attend.
• Purpose:
-To identify the expectations of community groups and to
ascertain the availability of volunteer firefighters to
respond to event requests.
• Goal:
-To meet the needs and expectations of the community
balanced with the department's ability to provide the
resource.
-To promote the fire service and its members in the
community.
Emergency Response Performance Measures
By Fire Rate:
• Measurement:
- # of reported fires I 1,000 population
- # of reported fires I 10,000 structures (by occupancy
classification)
• Purpose:
-To determine the effectiveness of the department's fire
prevention program.
• Goal:
-To reduce the number of fires in concert with public
education and fire prevention programs and to reduce the
impact caused by fire when it does occur.
Emergency Response Performance Measures
By Civilian Fire Death, Injury and Save Rate:
• Measurement:
-Number of civilian deaths (or injuries) per 100,000
population
-Percentage of fires in which a person or people safely
evacuated a building due to having working smoke
alarm(s) and a home escape plan.
• Purpose:
-Fire rescue and public education programs affect these
measures and can be evaluated by them.
• Goal:
-To assess the effectiveness of existing public education
programs and to implement new strategies as required.
Emergency Response Performance Measures
By Property Saves I Loss -Fire Incident Calls:
• Measurement:
-Total $'s saved, in terms of structure and contents
-Average $'s saved per fire
-Estimated loss per $100,000 assessment:
• Purpose:
-In order to be reliable and valid, buildings and dollars
saved must be looked at realistically. These measures can
be determined by using dollar estimates collected in
standard incident reports. Note: Averages can be
significantly raised by the inclusion of a single major loss.
• Goal:
-To measure the effectiveness of fire suppression activities.
Fire Communications Performance Measures
• Measurement:
-0/o of 911 lines answered in 15 seconds
-0/o of emergencies dispatched to appropriate agency in 60
seconds
• Purpose:
-To improve public safety in Tillsonburg and to ensure
satisfaction of clients we serve through fire
comm.unications agreements.
-To measure customer satisfaction from other municipal
fire departments served by agreements.
• Goal:
-To reduce the risk to the community caused by fire.
-To obtain positive relations with our customers.
Town ofTillsonburg I 150-Fire
2013 Financial Plan I
2012 2013
Budget 1 Pr'll_e<:lion Budget
Operatirlg Piau -Cost Code Summary Re~~-----~-------------------~~----------r------
fule_cial Le_vy, Locallmprovements, PILS
3000 Taxes -Residential
3005 Taxes -Multi-Residential
3010 Taxes -Commercial
3012 Taxes-Commercial Vacant Unit
3014 Taxes-Commercial Vancant Land
3020 Taxes -ShopjlingCentre
3022 Taxes-ShoppingCentre Vacant Unit
3030 Taxes -Industrial
3032 Taxes-Industrial Vacant Unit
3034 Taxes-Industrial Vacant Land
3040 Taxes -Pipelines
3050 Taxes -Farmland
3055 Taxes-Farmland Dev. Phase I
3060 Taxes -Lar2e Industrial
3062 Taxes-Large Industrial Vacant Unit
3070 Taxes -Supplementaries
3075 Taxes -Bill 79 Capped Levy
3080 Taxes -Capped Rebates/Claw Backs
3085 Taxes -W /O's
3090 Taxes -PJL's
3095 Local Improvements -Residential
3096 Local Improvements -Commercial
3100 Tax Adjustments
3105 Taxes -Penalty & Interest
Government Grants & Subsidies
3200 Grants & Subsidies -Federal -
3205 Grants & Subsidies -Provincial -
3210 Grants & Subsidies-Other -
User Char2es
3300 Miscellaneous Revenue 10,000 13,324 15,000
3301 Residential Usa~
3302 General Usage
3305 Admissions
3310 Fares & Fees
3315 Memberships
3320 Seasonal Revenues
3325 Sports Fields Fees
3330 Youth Pro~ Fees
3335 Adult Program Fees
3340 Summer Programs
3345 Participate Programs
3350 Minor Hockey
3355 Figure Skating
3360 Programs 335,140 299,015 210,000
3365 Landscaping
3400 Permit Fees
3410 Licence Fees
3420 Certificates
3430 Inspections 2,000 550 3,000
3500 Rentals -
3505 MeiChandise
3510 Concession Sales
3515 Vending Machines
3600 luterest
3601 Late Payment Charges
3700 S~ial
3701 Capital SUIChrge -Residential
3702 Capital SUIChrge -General
3705 Donations -
3800 Sewer Revenue-SUICharge
3801 Reg 170 SUIChrge -Residential
3802 Reg 170 Surchrge -General
3815 Extraordinary Revenue
3999 Revenue Oearing Account
S~ed Revenues
3805 Development Charges 7,463
3810 Sale of Assets
3820 Debenture Proceeds
Contribution from Reserves
3900 I Contribution from Reserves
3905 I Contribution from DC Reserves
I 347,140 320,352 228 000
H:\FJnance\Finan Plans\2013\2013 ~\Version 212013 Budgel150 Fire -V2 I/3GI20t38:10PM Page 1 of 2
Town ofTillsonburg
"'!13 Financial Plan
~ ~ear Capital Plan
Description
Capital Costs
Expenditures Resenes
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2 A.rinua.tr~plac~me:nttof:f'irefiglJ.terPersofiat.Rfot~t:iie:gg@pfu&nteRI>EY " •... •. . ;:ta~s~o; .. ·· . ' <. < ·.
3 . Stiill&PiJ>~:i'il"~:fightiQg;Eg@iffietit.:td.m.:ill~;lto~~. no#le& .ilila ~PPJilril~s . . c · .. ··••.• . • .··. •· / : J-~;®1!!5.1\u ·t. "::. •. .
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8
2013 56,567
1 6 pll,gers& 3 portable radios (annualr~placeinent 5 year rotation) 6,283
2 Afuiuhlteplacemellt of :fuefightetPersoriatl>rot~ctiveEquipilient (PPE) 18,97()
.3 · MsASCBAlease agreetn_ent9th yr oflO -;
4 6,921:
5 ·_ 6,000
6 S¢rverfor Commiter· Voice l)jgiial.Systenia1lct13a9k-urr$erver CAb at.the.CSC 2,00(h
7
8 ·.·
Q, 3,®o••
' 2014 107,207
J -Fleet -Put<;hase t:riple combwation pumpet.torepJace Jll 390,000
3 . . Atnltiiil replace-ment of:fife:figl).ter:Persori'alPl:otective'~quiJ)Jhent (PPE) 19,425
21,027
s .. l!os~;n:6zzJe8.andapplianees 7;129 -
IO;OOQ
7 Erigiileering for Fire Station renovation .. 14;()00 ..
2015 78,052 390,000
1 _':c. 6.va_gers & 3 _portable ra<lios (annual replacement 5 year rotation) .6,665·
2. ·. Atmualreplacement of firefighter :PersonaJProt¢Ctive Equipment (PPE) 19,890
3 . . . Hoses, nozzles andapj)jiances. .-.-· ·
205;000
5 Priorityt>ispatch and Hardware 42;000
2016 280,898
ter Personal Protective E ui ment (PPE) 16,365
5 yr Capital Plan Page 1 of 2 1/30/2013
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2013 Budget
Format
~For 2012, prepared and published
a one page Budget Guide for the
public
~Goal is communication, in a
simple and straight forward manner
~Work in Progress. Two 2013
documents prepared for Council
consideration
\........-
2013 Budget Overview
Pressures and Issues
~Omers benefit increase $103,500
~ 1% economic adjustment to wage grids
$72,400
~Three additional FTE's $148,000
~Wage grid movement $57,600
\.......-
2013 Budget Overview
Pressures and Issues
~OPP contract increase $55,000
~ Fire Communications lost contract
revenue $120,000
~Urban design reserve $25,000
~Physician recruitment $10,000
~Community strategic plan $20,000
\........-~/
2013 Budget Overview
Opportunities
~ Debt prepayment
~ Minimal Library and no TSEC
expenses-remaining debt
loaded in Finance
~Assumed THI dividend level of
$150,000
'-'~
2013 Budaet FTE
Dept.# DEPARTMENT
120
500
Services
270 Water
nication
2 ACTUAL HEAD COUNT
9
4
12
100.00
2013 Budget
8.25
5.75
5.8
12.7
.\...__-',"'--...~/
Special Levy, Local Improvements, PILS
User charges
Debenture Proceeds
Government Grants & Subsidies
Municipal tax levy
,.....__,
General RT Rate:
General Levy:
County:
Sewers:
Library:
..._ __ /
2013 Budget-Impact to the
Median Residential Taxpayer
2012 Taxation 2013 Taxation
0.0073754 0.00749322
1,442.97 1539.53 96.56
819.02 838.00 18.97
49.67 52.16 2.49
78.10 78.10
1.60%
6.69%
2.32%
5.01%
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Debt Principal Balance at Year End
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Yt.,
COUNCIL RESOLUTION
AGENDA ITEM NO.: Date: February 4, 2013
RESOLUTION NO.: ---=1 __
MOVED BY:
RESOLVED THAT the Agenda as pr red for the Council Meeting of February 4, 2013, be adopted.
0 Carried
D Recorded
Vote
D Defeated D Deferred D Tabled
¥Mayor's Initials
COUNCIL RESOLUTION
AGENDA ITEM NO.: __ _ Date: February 4, 2013
RESOLUTION NO.:
MOVED BY:
RESOLVE THAT Council receives the 2013 Draft Business Plan and Budget as information.
D Recorded
Vote
D Defeated D Deferred D Tabled
~Mayor's Initials
COUNCIL RESOLUTION
AGENDA ITEM NO.: __ _ Date: February 4, 2013
RESOLUTION NO.:
MOVED BY:
RESOLVE THAT By-Law 3700, To Confirm the Proceedings of the Council Meeting of February 4,
2013, be read for a first and second time and this constitutes the first and second reading thereof;
FURTHER RESOLVE THAT By-Law 3700, be given third and final reading and the Mayor and Clerk
be and are hereby authorized to sign the same, and place the Corporate Seal thereunto.
D Recorded
Vote
D Defeated D Deferred D Tabled
()A/" Mayor's Initials