130212 Council MINTown of Tillsonburg
Minutes of Council
Meeting [)ate:
Tuesday February 12, 2013
9:00AM
Cour.1cil Chambers
Chair: John Lessif
I·
I ~
1:
I
II
Review Access: e Public 0 Private
Orders of the Day:
MINUTES
Town of Tillsonburg
Council Meeting
· . on ... ·· .. · . ..
Tuesday February 12, 2p1~.09:0Q AM
Council Ch~rjlbers ·
Chair: John Lessif. ,
Callto:~rd~r
}:\doption ofAgenda ·.· . .·
. Di~¢1()sl.Jr~ ofPecul'liarylriterest or the
Gen~r~l N~to're ThereQf
CALL TO ORDER
The meeting was called to order at 9:03AM
ATTENDANCE
Mayor John Lessif
Deputy Mayor Renaud
Councillor Mel Getty
Councillor Chris Rosehart
Councillor Brian Stephenson
Councillor Dave Bares
Councillor Marty Klein
Staff:
David Calder, CAO
Donna Wilson, Clerk
Darrell Eddington, Director of Finance
Rick Cox, Director of Parks & Recreation Services
Steve Lund, Director of Operations
Jeff Smith, Fire Chief
ADOPTION OF AGENDA
Resolution No. 1:
·Minutes & E3l:.t$iness Arising out of the Mll'lmes · ··.·.·. · · ·
Fin'ahct;;)
Notice of Motion
By-Laws. .
Items of Public Interest
Adjournment
Page 1
-------................. ..... t' .............................. ..
"Carried"
3. HR 13-01 Compensation Report [:21
Presented By: Director of Finance
Resolution No. 5:
Moved By: Councillor Klein Seconded By: Councillor Beres
RESOLVED THAT Council receive HR 13-01 as information.
"Carried"
4. Development and Communications Services 2013 Business Plan lib
Presented By: Director of Development and Communication Services
Staff to provide Council with the information regarding the security for the laserfiche program once
it is in place.
The Development Commissioner to provide an update on the work plan for Economic
Development at the next Council meeting.
Staff to provide a report on the number of hits or requests for information on Tillson burg this will
include attraction activity within the whole county.
Staff to add a development plan to encourage development in Tillsonburg, this should be high
priority in the business plan.
To look at development in the Downtown core for future retail.
This plan should also include industrial development.
Future of the lands on Rokeby Road-to provide a plan for this property.
To be ready for major retail to put up a major retail development-to have the studies and
documents ready-to have the policy in place now.
Staff to provide further information to Council regarding packaging development options and
attracting business.
Sen ion Management Team to discuss how to make Tillson burg open for business.
Staff to add funds for wayward signage to the budget in the amount of $30,000 to fix and replace
the entrance signs to Tillsonburg.
Staff to come back to Council with proposed signage for endorsement.
To continue airport marketing-to determine future opportunities and potential land sales around
the airport.
Staff to look at opportunities with SW Oxford.
Staff to look at using universities and college students to complete economic development studies
Staff to do an education session on the master plan for the airport and the benefit that this
provides to the general population of Tillson burg.
Resolution No. 6:
Moved By: Deputy Mayor Renaud Seconded By: Councillor Klein
RESOLVE THAT Council receive the 2013 Development and Communication Services Business
Plan as information.
"Carried"
Page 3
master fire plan -committee struck at some point -to look at the process and to communicate
with
Strategic Plan development-identify framework and then bring back a report to council for
developing this plan.
To provide council with a time line for this plan.
building department for the town to look at their records
fire department look at pre plans for buildings that are high risk buildings and high rise structures.
town limited need for tanker fire apparatus -
long term forcast of the fleet-single access-hose, pump ladders
mutual aid agreements -used Norfolk for Frantic Upholstery fire
tankers should be purchased with respect to mutual aid
new truck should be 350 -380 thousand
manage extra costs through efficiencies and other ways
Fast track the strategic plan in order to identify the needs identified within this three year
projection
If there are no resources then come back to council regarding providing those resources.
Staff to bring back a report to council regarding the process to develop the strategic plan in the
immediate future.
staff to rework the statistic for the 2012 average minutes apparatus on scene as currently the fire
and deputy fire chief vehicles are included in this figure.
forward the estimated???? Mayor
Resolution No. 8:
Moved By: Councillor Getty Seconded By: Councillor Rosehart
RESOLVE THAT Council receive the 2013 Fire Business Plan as information.
"Carried"
7. FRS 13-01 Fire Communication Budget-Additional Information ~
Presented By: Fire Chief
Staff to provide council with pricing out department uses when quoting for contracts.
program revenue down but not lost all that would have lost with Norfolk contract
capital upgrades-
report back to council regarding training for water rescue
Resolution No. 9:
Moved By: Councillor Stephenson Seconded By: Councillor Klein
RESOLVE THAT Council receive Report FRS 13-01 Fire Communications Budget-Additional
Information.
"Carried"
Page 5
SUBMISSION
Committee: Open Council
Author: Darrell Eddington
Presenter's Name: Director of Finance
Presenter's Email:
Author's Email: Darrell Eddington!Tillsonburg Request:
Subject: FIN 13-05 2013 Budget Adjustments Cc: David Calder!Tillsonburg
Details:
(for February 14, 2013)
RESOLVED THAT Council receive Report FIN 13~05 2013 bi,JcJgefadjl.lst~ents;
.. . ·•• ·, . c.
-. . -
FURTHER RESOLVED THAT Council adopts the following 20J3 budget adjustments:
• Add way finding slgnage capital project . . . . . . ~ao,~ob /
• Del~y .iceresurfacer·C:apital funding to2014
.· .··: ·'
'• l •
• Reniove.Hospi~altrafficstJdy-$15,ooo
•
. .
R.e.move KHCL projects to 2'()14 .. $56,~oo, ga~tax
. . . . . : -: . . . . ~. . . . ' . . . . .
AND FURTHERRESOLVEDTHATCouncil giVes 2014 pre bud~ietapproval for the ice
resurfacef in the amount Of $25,000 .. · · · · · · · ·
Microsoft Word "' FIN 13~05 2013 Budget Adjustments.pdf
History
MINUTES: Meeting for the Committee "Open Council"
Review Access: Public
MINUTES
Town of Tillson burg
Council Meeting
on
Monday February 4, 2013 09:00AM
Council Chambers
Chair: John Less if
Orders of the Day:
CALL TO ORDER
The meeting was called to order at 9:00AM
ATTENDANCE
Mayor John Lessif
Deputy Mayor Renaud
Councillor Mel Getty
Councillor Chris Rosehart
Councillor Brian Stephenson
Councillor Dave Bares
Councillor Marty Klein
Staff:
David Calder, CAO
Donna Wilson, Town Clerk
Darrell Eddington, Director of Finance
Steve Lund, Director of Operations
Richard Cox, Director of Parks & Recreation Services
Jeff Smith, Fire Chief
ADOPTION OF AGENDA
Resolution No. 1:
Moved By: Councillor Rosehart Seconded By: Councillor Getty
Page 1 of6
3
Link to Agenda: td,
RESOLVE THAT the Agenda as prepared for the Council Meeting of February 4, 2013
be adopted.
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MINUTES: Meeting for the Committee "Open Council" Page 3 of6
Urban Design Reserve
Staff to provide Council with information regarding the purpose of this reserve.
Physician Recruitment
Arrange for a report to come before Council on the activity and success of this initiative.
Youth Trust
The reserve for youth of $5,000 will be added to the trust.-no policy for use currently.
The Director of Parks & Recreation Services to report back on how these funds could be
utilized.
Asset Management
To add Asset Management to agenda for Senior Management to discuss with Council.
The approach by the Minister was for SCOR to do an asset management workshop with
municipalities.
They will provide a training session including council so they are better informed.
Staff to follow up with this initiative.
Debt Prepayment
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.
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MINUTES: Meeting for the Committee "Open Council" Page 5 of6
BY-LAWS
ACR
To develop quality measure's-possibly through a phone response.
Staff to work on performance and quality indicators.
Staff to provide a report on ACR data at a minimum twice yearly.
Borrowing
Discussion took place regarding the methods for collecting taxes and the effect this
would have on the cost of borrowing.
Staff to provide a report on the use of the line of credit and that cost to use.
HUMAN RESOURCES
The Manager of HR went over the Human Resource business plan.
Staff to outline the changes to the Personnel and HR Policies as well as the whole
document.
Staff to share the management training manual with council once it is complete.
Discussion took place regarding sharing HR resources with other municipalities, possibly
SW Oxford and Ingersoll.
Discussion took place regarding fire fighter contract negotiations.
In the future staff to request Council to provide a mandate for negotiations.
Senior Management to look at a succession plan.
The Personnel Policy should identify a policy for interim positions.
Resolution No.2:
Moved By: Councillor: Getty Seconded By: Councillor Rosehart
AND RESOLVED THAT Council receives the 2013 Draft Business Plan and Budget as
information.
"Carried"
2. By-Law 3700, To Confirm the Proceedings of the Council Meeting ofFebruary 4, 2013 C.
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
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)
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$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
$1,000,000
$-
Debt Principal Balance at Year End
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11 I : _1 :· . _: ··1::: The following three years below will require refinancing
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l I 2015-$ 181,702.51
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Year
H:\Finance\Financial Plans\201312013 Business Support\2013 Debt Summary-Graph 2/5/2013
2012 Insurance Claims
Deductable
Claim# 1
Claim# 2
Total
$ 10,000.00
2,780.04
7,616.49
$ 20,396.53
C:\DOCUME~1 \DEDDIN~1 \LOCALS~1 \ Temp\notesE59927\2012 Insurance Claims 2/5/2013
2013 Budget Benefits -excluding water and sewer
Budgeted Benefits Budgeted Labour Levy Budget % of Labour % of Budget
$ 1,772,699 $ 9,271,847 $ 12,790,432 19.12% 13.86%
Note:
Benefits include the following;
Health & Dental, Life, AD&D, Dependent, LTD, OMERS, EI, CPP, EHT, & WSIB
2012 Budget Benefits -excluding water and sewer
Budgeted Benefits Budgeted Labour Levy Budget % of Labour % of Budget
$ 1,609,754 $ 8,872,808 $ 12,491,774 18.14% 12.89%
Note:
Benefits include the following;
Health & Dental, Life, AD&D, Dependent, LTD, OMERS, EI, CPP, EHT, & WSIB
C:\DOCUME~ 1 \DEDDIN~ 1 \LOCALS~ 1 \Temp\notesE59927\~2424289 2/5/2013
;E COUNT BY DEPARTMENT
rULL Time
2012 2012 2013 Variance Dept.# Department ButlnAt I-IA"tl .,nunt ButlnAt
110 Finance 9.00 9.00 9.00 -
120 Customer Service 9.40 9.00 8.25 (1.15)
130 Fleet 2.60 3.00 2.10 (0.50)
145 Hydro 12.30 12.00 12.70 0.40
150 Fire 6.00 6.00 6.00 -
160 Police Services 1.00 1.00 1.00 -
180 By-Law 1.00 1.00 2.00 1.00
190 Building 3.50 4.00 3.00 _(0.50)
200 Operations Admin 2.00 2.00 2.00 -
210 Engineering 3.25 5.00. 3.25 -
220 Roads 10.65 8.00 11.15 0.50
240 Airport 1.00 1.00 2.00 1.00
270 Water 5.80 4.00 5.80 -
300 Cemetery 1.00 1.00 1.00 -
450 Parks 1.46 1.00 1.46 -
460 Rec Programs 13.00 12.00 12.50 (0.50)
465 Rec Facilities 10.54 11.00 11.04 0.50
470 Library 2.00 2.00 -(2.00)
475 Museum 2.00 2.00 2.00 -
500 DCS 3.70 5.00 5.75 2.05
505 Econ Dev 2.30 1.00 1.00 _(1.30)
Sub-total FTE's 103.50 100.00 103.00 (0.50)
PART Time
110 Finance 0.00 0.00 0.50 0.50
120 Customer Service 0.25 1.00 0.25 -
130 Fleet 0.00 0.00 0.00 -
145 Hydro 0.00 0.00 0.00 -
150 Fire 0.45 3.00 0.45 -
160 Police Services 0.00 0.00 0.00 -
180 By-Law 1.98 10.00 1.65 (0.33)
\0 Building o.oo 0.00 0.00 -
)0 Operations Admin 0.00 0.00 0.00 -
L10 Engineering 1.34 1.00 1.00 0.34)
220 Roads 3.47 8.00 3.45 0.02)
240 Airport 1.41 2.00 1.33 0.08)
270 Water 0.62 0.00 0.58 0.04)
300 Cemetery 0.62 3.00 0.62 0.00
450 Parks 0.49 1.00 0.00 (0.49)
460 Rec Programs 10.59 35.00 10.90 0.31
465 Rec Facilities 6.17 9.00 5.75 (0.42)
470 Library 3.73 5.00 0.00 (3.73)
475 Museum 0.88 1.00 0.63 (0.25)
500 DCS o.oo 0.00 0.165 0.165
505 Econ Dev 0.75 0.00 0.165 (0.59)
TSEC TSEC 1.06 0.00 0.00 (1.06)
Sub-total FTE's 33.80 79.00 27.44 (6.36)
Summarv FTE's
110 Finance 9.00 9.00 9.50 0.50
120 Customer Service 9.65 10.00 8.50 (1.15)
130 Fleet 2.60 3.00 2.10 (0.50)
145 Hydro 12.30 12.00 12.70 0.40
150 Fire 6.45 9.00 6.45 -
160 Police Services 1.00 1.00 1.00 -
180 By-Law 2.98 11.00 3.65 0.67
190 Building 3.50 4.00 3.00 (0.50)
200 Operations Admin 2.00 2.00 2.00 -
210 Engineering 4.59 6.00 4.25 (0.34)
220 Roads 14.12 16.00 14.60 0.48
240 Airport 2.41 3.00 3.33 0.92
270 Water 6.42 4.00 6.38 _10.04)
300 Cemetery 1.62 4.00 1.62 0.00
450 Parks 1.95 2.00 1.46 (0.49)
460 Rec Programs 23.59 47.00 23.40 (0.19)
465 Rec Facilities 16.71 20.00 16.79 0.08
470 Library 5.73 7.00 -(5.73)
l Museum 2.88 3.00 2.63 (0.25)
J DCS 3.70 5.00 5.92 2.22
1505 Econ Dev 3.05 1.00 1.17 (1.89)
TSEC TSEC 1.061 0.00 0.00 -1.06
Total FTE's 137.30 I 179.00 130.44 (6.86)
Town of Tillison burg
2013Budget
Council previously established
a clear mandate for the Town: • Maintain core service
levels
1. Reduce debt.
• Seek savings and 2. Build reserves. efficiencies
3. Focus on marketing to
enhance the Town's • Complete existing capital
competitiveness and projects
attract businesses. Re-time replacement •
4. Continue to enhance the capital projects
quality of life. Minimal new debt •
The budgets of 2011, 2012
and 2013 have had a • Three year funding plan for
significant impact in creating a the Carroll Trail
fiscally responsible Surplus parking net levies organization for the future. •
to be contributed to
Proposed priorities of the 2013 reserves for further
Business Plans and Budget parking infrastructure
are: projects
• Continuing to minimize the • Establish an urban design
impact to the taxpayer reserve
2013 Budget Pressures and Issues
The Town's Pressures and • Fire Communications lost
issues for 2013 are: contract revenue,
Non-Controllable $120,000
OPP contract budget • Continued economic •
increase, $55,000. Actual climate uncertainty
contract cost increase, affecting numerous
$264,000. activities throughout the
Town.
Benefits, 5%/$28,000 •
increase was negotiated. Controllable
• Salary and wage grid • Insurance, no budget
increase. adjustments, $130,000
• IT strategic plan, $75,000 • Reduced Ontario
Municipal Partnership • Three new full time
Fund grant of $13,500. equivalent positions, one
• Increase in Omers of which is funded by the
contribution rates and County, $148,000
costs, $103,500.
•
•
•
•
•
•
•
•
Volume 1, Issue 1
Complete a community
strategic plan
Establish a youth activities
reserve
Focus on Economic
Development
Develop a plan to deal
with the under funding of
Infrastructure that
currently exists.
Proposed infrastructure
funding increase of
$175,000
All other net decreased
expenditures, including
the Library, TSEC,
$556,000
Minimal new debt to be
issued in 2013 of
$200,000
Debt to be re-financed in
2013, $2.5 million to $3.7
million depending on any
prepayment amount
Town of Tillson burg
2013 Business Plan and Budget Highlights
February 12, 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 Q1 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
D-m.,t 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 Recordin!l System 5,000
Fire Annual replacement of firefi!lhter Personal Protective EQuipment (PPE) 18,540
Fire Standpipe firefighting Equipment kits, plus Hose, nozzles and apQiiances 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 SIR 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
"~fldS Signal Upgrade -Concession and Broadway 35,000
}king 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 9,000
Cemetery Pioneer Cemetery Revitalization 15,000
Parks CIIF -Lake Li~gar 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 Design-Build Indus! 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 Tillsonburg Services: Cost per household
)
#of House Holds= 7r065
Total Cost per House hold =$11810
'------------------~-----------~-----
Summary
The Town of Tillsonburg is faced with a number of pressures in the 2013 Budget and
Business plans. These pressures are not unique to the Town but are reflective of the
economic realities faced by other communities in Ontario.
The Management team remains committed to maximizing Town resources. The
Management team believes that the proposed 2013 Budget and Business Plans
demonstrate this commitment and balance the needs with the economic reality of
affordability.
Darrell Eddington, CA
Director of Financeffreasurer
Town of Tillson burg
January 18, 2013 Page 2 of25
HOUSEHOLD COUNTS-UNCONDITIONAL GRANTS ACT FOR 2013
Report #5 Reg. 23 CT. 32 MN. 04 OXFORD TILLSONBURG TOWN
U/C PUB# SEP# FR-PUB# FR-SEP# SPLIT# PRO-sEP# NSUP# TOTAL
FRU 2 2 4
RU 6,112 897 12 9 26 5 7,061
Grand Total 6,114 899 12 9 26 5 7,065
7,065 IS THE TOTAL HOUSEHOLD COUNT FOR UNCONDITIONAL GRANTS ACT PURPOSES
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2013 Business Objectives
Item Dept Owner
Improve and Automate Customer Customer
Business Processes Service Service
Manager
Printer/Copier Tender Customer Customer
-lease expires Nov. Service Service
2013
Budget
Value
Projected
Value
Target
Date
Q4 2013
Q3 2013
Actual Date
Opportunities
• Continued use of ACR improves customer service to the community at large and
improves business processes
• Continued Customer Service Business Process reviews streamline manual processes
• With Harris Northstar upgrade, automation is available and processes can be
streamlined
• Combined Operations and CSC project to focus in on, reduce and understand current
billing exception volumes
• Reduce costs for 2014 with the tender of printer/copier fleet in late 2013
Performance Measures
Finance and Customer Service Efficiency Measures-$ 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 permits/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 Tillson burg 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.
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2012
$48
$40.13
2013
$92
$ 78.10
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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 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
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 Budget FTE
................................................. ··········:·····································:····· .............................. ·············:······································:···························
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Special Levy, Local Improvements, PILS
User charges
Debenture Proceeds
Government Grants & Subsidies
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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Position Title
2012 Asset Sales
Land Sale -180 A Quarterline Rd
Land Sale -188 Lincoln St
Land Sale -Golf Course **
Land Sale -65 Glendale
Land Sales-Coon Alley
Building Sale -TSEC
Hanger Sales
Fleet Sale -Snow plow
Fleet Sales-Various units
Net Contributions into Reserves
57,702
60,824
398,532
2,300
4,000
536,426
37,000
12,565
24,577
** Cash received $191,000. Balance is lots held for resale.
1,059,784
74,142
$ 1,133,926
C:\Documents and Settings\deddington\My Documents\Treasury\2012 Projected Year End Reserves -Asset Sales v2 2/12/2013
Title:
Report No.:
Author:
Meeting Type:
STAFF REPORT
FINANCE
PARKLAND TRUST
FIN 13-03
DARRELL EDDINGTON
COUNCIL MEETING
Council/Committee FEBRUARY 12, 2013
Date:
Attachments:
RECOMMENDATION
RESOLVED THAT Council receive Report FIN 13-03 Parkland Trust;
RESOLVED THAT the Carroll Trail shortfall of $115,027 be funded from the 2012 surplus.
FURTHER RESOLVED THAT the outstanding pledges be recorded by the Town as the cash
is received.
EXECUTIVE SUMMARY
Council at the 2013 Budget meeting on February 4, 2013 discussed the Carroll Trail
project cost overruns and the shortfall in fundraising that took place for the Carroll trail.
Council requested further information to help decide how to fund the shortfall.
The actual shortfall in fundraising as at December 31, 2012 is $115,027. Outstanding
pledges total $29,250 as of today with $9,250 pledged to be paid in 2011 and $20,000
pledged to be paid in 2012. At this point in time, it would be reasonable to assume that
the 2012 pledges may still be collected. If collected, the net shortfall in fundraising will be
$95,027. All bills have been paid by the Town and the Trust owes the Town for the full
amount of the shortfall.
The Parkland Trust is used to receive, maintain, control and use donations for parkland
purposes. The residual funds in the trust pertain to donations by developers for
playground equipment; Arbor day; and the Lake Lisgar fountain. Therefore, the Trust is
still active and funds should be used for the donated purposes.
CAO
Title:
Report No.:
Author:
Meeting Type:
STAFF REPORT
FINANCE
FULL AND PART TIME COMPENSATION GRIDS
HR 13-01
ASHLEY ANDREWS
COUNCIL MEETING
Council/Committee FEBRUARY 12, 2013
Date:
Attachments: FULL TIME GRID WITH POSITIONS, PART TIME GRID WITH POSITIOI
RECOMMENDATION
RESOLVED THAT Council receive HR 13-01 as information.
EXECUTIVE SUMMARY
At the Council meeting of February 4th, Council asked for the 2012 grids to be provided.
Please see the attached. Also, Council discussed the development of the grids and the
2013 economic adjustment of 1% for which I provide the following information.
In 2010, the consultant hired by the Town to review the Town's compensation grids for
both part time and full time employees brought forward her recommendations to Council
and upon Council approval new grids were adopted for both groups. At this time, the Part
Time grid only had Steps 1 and 2 available to employees, and the full time grid had Steps
1 through 5 available to employees because of affordability.
In 2011, a 1% cost of living adjustment was approved by Council and this was applied
equally across the grid. Council also approved expanding the part time grid to include
Steps 3 and 4, and the expanding the full time grid to include Step 6.
For 2012, it was decided not to include a cost of living adjustment because the average
staff increase was 3.25% and the grid was tested against other municipalities to assess
whether we are in line with the market; however, Council did approve expanding the Part
Time grid to include Steps 5 and 6, and expanding the Full Time grid to include Step 7.
The 2013 budget: as proposed to Council, includes costing for a 1% cost of living
adjustment to be applied to the Part and Full Time Grids, as well as expansion of the Part
Time grid to include the last two steps, Steps 7 and 8.
There are several disadvantages to not increasing the grids by at least 1%. The first of
these disadvantages includes falling behind with our municipal comparators. A recent
survey completed of surrounding and comparable municipalities, including Middlesex
CAO
~ -----
Position Title
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2013 Business Objectives-Can't
Item Dept Owner
I
Budget
. Value
Projected
Value
Target
Date
Actual Date
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 Tillsonburg.
• 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
Building Department -
Building/By-law Inspections
-·
Single Detached
M1$cii ;~E!s.; i i. ·
Multi-Res.
.; ;·lri'~£1t#f·i~
2009
Actual
$115,978
1,298
5
7-15
2010
Actual
$125,000
1,247
s
7-15
2011
Actual
$186,622
1,201
5
7-15
2012
Actual
$256,056
1,258
3~5
7-15
2013
Budget
$216,000
1,300
3-5
7-15
:'>10,:.:20
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 I Deployment Pian
2011 2013 2014 2015
Total FTE Requirements-Part time 2 2 2 2 2
C:'o~tr.~s'ft ;st:a#:,:",,J:,/; , ~ ,,._ --~ :);~·. ·;i:···~>::;:_.s·::·i·~:·:~~:;:
Change from previous year 5% 10% 10% 0% 0%
500 -Development &
Town ofTillsonburg Communication Services
2013 Financial Plan I I
201Z 2013
Budget Pro ection Budget
Operaling Plan -Cost Code Summary ~~~;-----~-------------------~~---------------
Special Levy, Local 1m rovements, PILS
3000 Tuxes -Residential
3005 Tuxes-Multi-Residential
3010 Taxes -Commercial
3012 Taxes-Commercial Vacant Unit
3014 Taxes -Commercial Vancant Land
3020 Taxes -Shopping Centre
3000 Taxe.<-Shopping Centre Vacant Unit
3030 Tuxes -lndusbial
3032 Taxes -Industria) Vacant Unit
3034 Taxes-Indusbial Vacant Land
3040 Taxes -Pipelines
3050 Taxes-Fannland
3055 Tuxes-Fannland Dev. Phase 1
3060 Tuxes -Large lndusbinl
3062 Taxes -Large lndusbinl Vacant Unit
3070 Tuxes -Supplementaries
3075 Taxes -Bill 79 Capped Levy
3080 Taxes-CaJlPed Rebates/Claw Backs
3085 Taxes - W /O's
3090 Taxes -PIL's
3095 Locnl!mprovemeniS-Residential
3096 Local Improvements-Commercin.l
3100 Tax Adjustments
3105 Taxes -Penaltv & Interest
Government GraniS & Subsidies
3200 GraniS & Subsidies -Federnl
3205 Grants & Subsidies -Provincial
3210 Granl< & Subsidie.<·Oiher -
User Charges
3300 Miscellaneous Revenue 102,880 102,237 117,237
3301 Residential Usage
3302 General Usage
3305 Admissions
3310 Fares & Fees
3315 Memberships
3320 Seasonal Revenues
3325 Spans Fields Fees
3330 Youth Prograro Fee.<
3335 Adult Program Fees
3340 Summer Programs
3345 Participate ProJ!rarlls
3350 Minor Hockey
3355 Figure Skating
3360 ProJ!r,In1S
3365 Landscaping
3400 Permit Fees 3,950 9,890 18,960
3410 Licence Fees
3420 Certificates 2,360 2,425 3.150
3430 Inspections
3500 RentaL< 80,000 80,000 80,000
3505 Merchandise
3510 Concession Sales
3515 Vending Macbines
3600 Interest
3601 Late Pavment Chni"l!es
3700 Special
3701 Cu]Jital Surchrge -Residential
3702 Capital Surchrge -General
3705 Donations
3800 Sewer Revenue-Surchar2e
3801 Reg 170 Surchr~e -Residential
3802 R~g 170 Surcbrge -Genernl
3815 Extraordinary Revenue
3999 Revenue Clearing Account
Specified Revenues
3805 Development Char~es
3810 Sale of Assets
3820 Debenture Proceeds
Contribution from Reserves
3900 I Contribution from Reserves 15,000 15,000 50.000
3905 Contribution from DC Reserves
204 190 209 552 269 347
1130120133:31PM Page 1 or 2
Town of Tillsonburg
?.f13 Financial Plan
}year Capital Plan
. Lasertiche
2 ~erverreplacements
3 File.$torage-Solution
4 · 0()1.• Teleplw.lle ,Syst¢m -CFWD
5 020 Gomputer Replacments -CFWD
7. 802 Rurall:lroa9batid .-CFWD
8
9
1 .· LllSerfiche
Description
2013
2 · . Computer replacements .• c
3 Fil¢StorageSolution ..
·.
4 Urban .Desigt1_Recommendation-Greensp11c;e suroll1utiJJ:g th~"ClockTower
2014
Capital Costs
Expenditures Reserves
' 20;000
lOQ,()QQ
1,4.5(},106
..
1,735,532
'~0;000
925,000
I 1 Laserfiche . • ... · 20,000
2015 1,070,000
1
2 • Gomputet and Seryer Replacements < .... .. ·. . t}Qi()OO •
3 brbaii Design Recommendation -Civic SculptUre ..
4 . . .. .
5 ..
2016 1,780,000
1
2 '
3
4
5
2017
5 yr Capital Plan Page 1 of 1 1/30/2013
Town of Tillsonburg I 505-Econ Devlpmt
2013 Financial Plan I J
2012 2013
Budget Pro"ection Bu~t
Operatiug Pla11 -Cost Code Summary ~7c~;-----~-------------------~~---------------
Special Levy, Local Improvements, PJLS
3000 Taxes -Residential
3005 Taxes-Multi-Residential
3010 Taxes -Commercial
3012 Taxes-Commercinl Vacant Unit
3014 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 -Pipelines
3050 Taxes-Fannland
3055 Taxe.<-Fnnnland Dev. Phase I
3060 Taxes -Large Industrial
3062 Taxe.<-Lar•e 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 Imomvements-Residential
3096 Local Improvements-Commercial
3100 Tax Adjustment<
3105 Taxes -Penaltv & Interest
Government Grants & Subsidies
3200 Grants & Subsidies -Federal
3205 Grnnts & 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 Memben~hios
3320 Sensonal Revenues
3325 Sports Fields Fees
3330 Youth Pro exam Fees
3335 Adult Program Fees
3340 Summer Programs
3345 Participate ProJ!flUlls
3350 Minor Hockey
3355 Figure Skatiog
3360 ProJ!flUlls
3365 Landscaping
3400 PennitFees
3410 Licence Fees
3420 Certificates
3430 Inspections
3500 Rentllls 28,921 27,455 24,954
3505 Merchandise -
3510 Concession Sales
3515 Vending Machines
3600 Interest
3601 Late Payment Charges
3700 Special
3701 Capitlll Surchrne-Residential
3702 Capital Surthrge -General
3705 Donations
3800 Sewer Revenue-Surchru:JI.e
3801 Reg 170 Surchrge -Residential
3802 Reg 170 Surchr•e -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 145,961 145,961 30,359
3905 Contribution from DC Reserves
174,882 174 699 55 313
H:\fifla:nai\Financ!aiPians\2013\20138udgei$\VetSion2\2013Budge1505Econc:lmk;Developmeni·V2 1130120133:18PM Page 1 of 2
Town of Tillsonburg
1q13 Financial Plan
-year Capital Plan
...... -1 811 Design-Build Indust Park ·CFWD
2. 803. Project Satellite -CFWD
3 ..
4
5
1 .· . HWV 3 Business Park Construction
Description
2013
2 H\vy 3Business park Construction (Supervision)
3 • ·· ····· l:lwy 3.Business Patk -lfwy 3Wideniil.g ·.·.. ··
4
5
2014
l ..
2 ..
3
4
)
I 2015
1
2
3
4 . · ...
5
2016
1
2
3
4
5
2017
5 yr Capital Plan
··.
...
. ..
. .··.
Page 1 of 1
Capitlll Costs
Expenditures Reserves
75,1166
395,000 .
.. .·
470,366
1,4~0;000 1 ·.
so,ooo•
25Q;QO!} .· •.
1,750,000
• .. · . .··•· ... · .•. . .
=
• .. ···~ _.:. .. i ..
.
..
' ..
1/30/2013
Town of Tillsonburg I 240 • Airport
2013 Financial Plan I I
2012 2013
I Bu~t Pro ectlon Budget
Operating Plan -Cost Code Summary ~~;.~----~------------------------------------
Special Levy, Local lm mvements, PILS
3000 Taxes -Residential
3005 Taxes-Multi-Residentinl
3010 Taxes -Commercial
3012 Taxes-Commercial Vacant Unit
3014 Taxes-Commercial Vnncnnt Land
3020 Taxes -Shopping Centre
3022 Taxes-Shoppin2 Centre Vacant Unit
3030 Taxes -Industrial
3032 Taxes-Industrial Vacant Unit
3034 Taxes -Industrial Vacant Land
3040 Taxes -Pipelines
3050 Taxes -FWlllland
3055 Taxes-Fannland Dev. Phase I
3060 Taxes -Large lndusbinl
3062 Taxes-Large Indusbial Vacant Unit
3070 Taxes -Supplementaries
3075 Taxes -Bill 79 Capped Levv
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 -Pennlty & Interest
Government Grants & Subsidies
3200 Grants & Subsidies -Federnl
3205 Grants & Subsidies -Provincial
3210 Grants & Subsidies-Other 5,000 5.000 5,000
User Charges
3300 Miscellaneous Revenue 34,540
3301 Residential Usa2e
3302 Genernl Usage
3305 Admissions
3310 Fares & Fees
3315 Memberships
3320 Seasonal Revenues
3325 Sports Fields Fees
3330 Youth Program Fees
3335 Adult Pro= Fees
3340 Summer Programs
3345 Participate Programs
3350 Minor Hockey
3355 Figure Skating
3360 PIU2rnmS
3365 Landscaping --
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 Vendin2 Machines
3600 Interest
3601 Late Payment Charges
3700 Specinl 1,900 39,046
3701 Capital Surchrge-Residential
3702 Capital Surchrge -Genernl
3705 Donations -
3800 Sewer Revenue.Surcharge
3801 Ref 170 Surchr•e -Residential
3802 Reg 170 Surchr2e -General
3815 ExtrnordinnryRevenue
3999 Revenue Clearin• 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
2K9458 475 056 394 674
1130120133:17PM Page 1 of2
Town of Tillsonburg
'l0J3 Financial Plan
.... ~ear Capital Plan
-
1 Office Expansion -Customs
2
3
4.
5
1 Taxiway "F" Extension
2 Event Ramp
Aii'port Sign LED
Event Ramp -Drainage
L Taxiway "D" Extension
2 .... Tie~down zone
3 · Private ACcess road
) Private Access road (barriers)
L
1 New industrial Rd-50% completion
2
3 .
4
1 TaX,:iway "B"
2 Pavfug of 2;600' cross runway
3 'taxiway "C" extension
4 Parking Expension
5 yr Capital Plan
Capital Costs
Descrintion Exvenditures Reserves
5,000
2013 5,000
300,000
. 222;000
32,869.
53;000.
2014 607,869
tso.ooo
21'8,'750
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 Tillsonburg I 190-Building
2013 Financial Plan I I
2012 2013
Budget Pro"ection BU<lget
Operating Plan -Cost Code Summary ~~~~----~-------------------~~---------------
Special Levy, Local IITlprovements, PILS
3000 Taxes -Residential
3005 Taxes-Multi-Residential
3010 Taxes -Commercial
3012 Taxes· Commercial Vacant Unit
3014 Taxes -Commercial Vam:ant Land
3020 Taxes -Shopping Centre
3022 Taxes-Shoooing Centre Vacant Unit
3030 Taxes -Industrlai
3032 Taxes -lndusbial Vacant Unit
3034 Taxes -Jndustrlal Vacant Land
3040 Taxes -Pipelines
3050 Taxes-Fanniand
3055 Taxes-Fanniand Dev. Phase I
3060 Taxes-Large lndustrlal
3062 Taxes-Lant.e Industrial Vacant Unit
3070 Taxes -Supplernentaries
3075 Taxes-Bill 79 Capped Levy
3080 Taxes -Caooed Rebates/Claw Backs
3085 Taxes-W/O's
3090 Taxes -PIL's
3095 Local Improvements-Residential
3096 Local Improvements -Commercial
3100 Tax Adjuslments
3105 Taxes -Penalty & Interest
Government Grants & Subsidies
3200 Grants & Subsidies-Federal
3205 Grants & Subsidies-Provincial
3210 Grants & Subsidies-Other
Other Revenues
3300 Miscellaneous Revenue 1,000 480
3301 Residential Usage
3302 Geneml Usa~e
3305 Admissions
3310 Fares & Fees
3315 Memberships
3320 Seasonal Revenues
3325 Sports Fields Fees
3330 Youth Pro~ Fees
3335 Adult Program Fees
3340 Summer PrtJgrams
3345 Participate Pro=s
3350 Minor Hockey
3355 Figure Skating
3360 Pro)!111JllS
3365 Landscaping
3400 Permit 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 Concessiop Sales
3515 Vending Machines
3600 Interest
3601 Late Payment Charges
3700 Special
3701 Caoital SU!chrge -Residential
3702 Capilal S=hr!le -Geneml
3705 Donations
3800 Sewer Revenue-Surcharge
3801 Reg 170 Surchrge-Residential
3802 Reg 170 SU<Chrge -General
3815 Extraordinary Revenue
3999 Revenue Clearing Account
~cified Revenues
3805 Development Charges
3810 Sale of Assets
3820 Debenture Proceeds
Contribution from Reserves
3900 I Contribution from Reserves -
3905 Contribution from DC Reserves
238 800 218 087 216 000
H:\Fioance\flrlal1daPianS\2013l2013Bll(lgels\Vet51M2\2013Budge\190BulldirJg·VZ !130120!33:16PM Page 1 ot 2
Town of Tillsonburg
?. 13 Financial Plan
, ear Capital Plan
r-187 New work station
7
1
3
5. ·.
6
7
1
J ... ) --· -=s
(j
7
1
2
3
5
_6
7
1
2
3
4
5
()
5 yr Capital Plan
· ..
Capital Costs
DescriPtion Exoenditures Reserves
2;800
..
2013 2,800
2014
·-_·
.
··-2015
.·
2016
·.
·_
2017
Page 1 of 1 1/30/2013
z
i
:5
D.
ln ln w
~ z .... ~ ln :::) :::) ED ED IL ln ... z ln 0 z ! 0 w a:! 0 ln u 0 .... ...I ....
1-5
\
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)
.... u 1-w w w IL ln a:: D. 0 .... 0 z Q z 0 ~ .... 5 0 1-
w
D. 0
M ....
0 N
2013 Business Objectives
Item
Review GIS and Work.
Order System
Voltage Conversion
4.16kV to 27.6kV
Dept
!==nginE!eri.ng.
and Public
Works
Enterprise
Replace Unit #116 Ice Fleet
Re-surfacer
Owner
· Ma·nager<of
ERginE!ering ..
and Roads
Manager·
Utility
Manager
Fl·eet
Manager
Budget
Value
$0
$45,000
Projected
Value
$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. $45,000 in conjunction with Urban Design Study.
Performance Measures
Operations Services Output Measures-Quantity
Km.-3 Phase
conductors (overhead
+ underground)
Km.-underground
conductors
2009
Actual
71.42
54.53
71.42 72
54.53 54.53
2012
Estimate
73
54.46
2013
Estimate
75
54.46
Performance Measures
Operations Services Efficiency Measures-$ Cost
Department Taxation operating costs as a Percentage of Total Municipal
Taxation Operating Costs
2009
Actual
2010
Actual
2011
Actual
2012
Budget
2013
Budget
(f)
Q) u
L.
::J
0
(f)
Q)
~
c ro c
E ra -a. .... ::J c cu
I E
c E e 0
\1-·-....
Q)
0'1
ra
c: u
·' ro ..c: 0
u --c(
Town o/TilfsoJJburg I l70 -Conservation
201J Financial Plan I I
lOll 2013.
Bod2el Pro eetlon BudRel
Opcmting Plan -Cost Cod~ SummliTJ ~llin.;----~--------------------------r----------
SP«ial Levy, Local 1m 10\"l!ments,PJLS'
3000 Tues-kesidenlinl
3005 Taxes-Multi'kosidenfinl
3010 Tues -Commeil:inl
3012 Tall!$-Commemal V=t Unit
3014 Taxes-·Commen:inl Vancant Land
30211 Taxes-Shopping Ceime
3022 Taxes -Shopping Centre V:u:ant Unit
3030 Taxes -Industrial
3032 Taxes-Industrial Vacant Unit
3034 Taxes ' lndu5lrial Vacant Land
3040 Taxes-Pioeline•
3050 Tues -Fl!l11lland
3055 Taxes-Farmland Dev. Phase I
3060 Taxes-largelnduslriill
3062 Taxes -Laree Indu•trial Vacant Unit
3070 Tax .. -SoPolementuies
3075 Taxes -Bill 79 Capped Le\>y
3080 Taxes -Caooed·Rebates!Ciaw Backs
3085 Tlllies-W/O's
3090 Taxes-PU ... 's
3095 Locnllmoro\"l!mems-Residential
3096 Local.lmpm\-ertienls • Cmnmen:inl
3100 TaxAd"ustments
3105 Taxes-Peoall\' & lntorest
GO\"I'mmenl Olant!i & Subsidie.
3200 Granl!i & Subsidie.• ·Federal
3205 Gmnts & Subsidies -Pnwincial
3210 Grants & Subsiilies-Olher
Olher Re\'<nues
3300 Mi.CellaneuusRevenue
3301 Residential Usage
3302 General Usaee
3305 AdmiS.iuns
3310 Fms&Fees
3315 McmbttshiDs
3320 SeasPnal Re\..:nues
3325 Somts Fields Fees
3330 Yotith Prol!htm Fees
3335 AdultPro]!mllt Fees
3340 SummerProl!nlllls
3345 Paniciiiate Pmlirams
3350 Minor Hockey
3355 Fil!lltt Skalin~
3360 Programs
3365 Landscaoine
3400 PtrlllitFees
3410 Licence:Fees
3420 Certificates
3430 lnipections
3500 Rentals
3505 Me!ChandiSe
3510 tonce5sion Snles
3515 Vendiit•Machines
3600 Jnterest
3601 Late l'.ayment ChaJJ!<-•
3700 Soecial
3701 Capital SliichrRe -Residentinl
3702 Canital Surchr2e:-General
3705 Donations
3800 Sewer ReVenue-Sun:harge
3801 Re. 110 Sun:hree-Residential
3802 Rc•l70Sun:hr•e~ Oeneml
3815 Extraordimuy Revenpe
3999 Re\,nue Clearin~t Account
Specified Re,'eOues
3805 De\-.lomnent Char•es
3810 Sale of Assel!i
3820 Debenture Pnlceeds
Contribution fmm Reset\'es
3900 I ContnlJurion from Re5eo'es --
3905 Contribution from DC Resen·es -
Page 1 ol2
Tow11 o/Tillsonburg I 220-Roads
2013 Fi11ancia/ Pla11 I I
lOU 2013
Budget Pro ecllon Bu~l
Operating Plan • Cost Code Swnmary ~7.~;----J------------------------------------Spteialle\'Y, LOcal In\ mvements. PILS
3000 Taxes -ReSidential
300~ Ta'""'-Mulli-Reliidential
3010 Taxes-Coinme~ti:il
3012 Taxes -Commen:ial Vac;mt Unit
3014 Taxes ·Commercial Vacant land
3020 Taxes -ShopJ)hl~Centre
3022 Taxes-Shopping Cenue Vacant Unit
3030 Taxes -Indui;lrial
3032 Taxa-lrtdustiial Vacant Unit
3034 Taxes -Industrial Vacant land
3040 Taxes· Pipelines
30~0 Taxes-Fmnlllnd
3055 Taxes • Fannland Dev. Phase I
3060 Taxes-wge lnduslrial
3062 Taxes-Large lnduslrial Vacant Unit
3070 Taxci • Supp)emeniaries
3075 Taxes • Bill '19 Capped levy
30110 Taxes -Cappood Robates/Ciaw Backs
3085 TaXes-W/O's
30!!0 Taxes-PJL.'s
3095 Locallin__Q_ro\...nents-Residential -
3096 l.otallmonn-entents -Climmen:ial ---
3100 Tax Adjuiunents
3105 Taxes-Penalty :&Jntenesi
Government OGIIlts & Sutmdies
3200 GiantS& Subsidie.•-Federal --
3205 OGIIlls & Subsidies -Provincial -
3210 OGIIlts & Sutmdies-Other 74,066 72,000 71,000
User Charges
3300 Miseellaneous Re•'tnue -3,500 -
3301 Residenlial Usage
3302 O.neraiU~~
3305 Admi~iuns
3310 Fares&Fccs
3315 Membcrsbios
3320 Seasonal Re\'l!nues
3325 Swrts·Fields Fffs
3330 Youth l'rol!111ln Fees
3335 Mull Propamh&
3340 Slimniet Programs
3345 Participate Promms
3350 Minor Hocke .-
33SS FiRIIieSkii.iiril'.
3360 Prol!ilttns
3365 land$cap1n~
3400 l'ennirl'tes
3410 Licence Fees
3420 certificates
3430 lnsbedioils
3500 Rentals
JSOS Metcltandioe
3SIO Cottc<Mioii Sliles
3515 Vending Machines
3600 lnte~t
3601 lnt" Payment Chnrges
3700 Special
3701 Capital.Surtbtge -Residenlial
3702 Capital surcl!rge -Oenernl
3705 Donations
3800 SewerRe\"enue-SUICbarge
3801 Reg 170 SUICbrge. Residential
3802 Re2 170 swrhree-Oeneral
3815 Exuaordinmj Re\"eni1e
3999 Re,"enueCiearin• Account
Spe<:ified Re\'l•m«
3805 De>'elopment Charges . 94,116
3810 Sale of Assets
3820 Debinture.Pmteeds
Conbibutions from -Reserves
3900 Contribution From Reser\'CS -
3905 Contributions From DC Rescn'l'S
74,066 169616 72000
Page1 ol2
Town of Tillsonburg
)013 FinancialPlan
i year Capit(tl Pkm
Description
CARRYOVER PROJECTS 2013 Section:
CARRYOVER PROJECTS Totals:
NEW CAPITAL PROJECTS 2013 Section:
TOTAL CAPITAL PROJECTS:
2014 Section:
Total Project
Expenditures
1,792,540
1,792,540
1,792,540
1 '~_Z9 ~uafResurraeing~tvarioustocat~oA5t' d::J-~~-, --,~,__: < lSO;®cL
2 fl.7a; North Street ~ Brnaawailij}fill$c:;llAYe:~tcstaew.~tkL-: , --__ ,~ , , 'i: _ _ __ / \~f6~9® ~
4
6
' ,':: ; --___ :-_
,',', ,,_
1,804,700
2015 Section:
~1229 Annual Resurfacing at various locations 150,000
2 1273 North Street -Tillson A venue to East Town Limit (Sidewalk) 84,000
5 yr Capital Plan Page 1 of 2
Non-Town Portion
Hvdro Sm1itarv Sewer Water
9,200 9,200
297,637 337,219
297,637 337,219
297,637 337,219
30,000 120,000
1/30/2013
Town ofTillsonbllrg 225-Winter Maintenance
201:1 Fi11a11Cial Plan I I
lOll l013
Bud•<l Pro cellon Bud£el
Operating Plan • Coil Cud~ Summary 'R•;.;;;;;-----~-------------------~;; ----------------Spocialle•'1'. Local lm •'i!ments,PILS
31100 Taxes -Residential
JOOl Taxes· Multi.Residenliai
3010 Taxes • C<>mmen:lal
3012 Taxes-Commerelal Vacant Unit
3014 Taxes • CommerCial Vacant Land
3020 Tlixe.<· Shoppin• Centre
3022 Ta""' · Shoppin• Cen1re Vacant Unit
3030 Taxes-lnduitrial
3032 Taxes · Industrial Vacant.Unit
3034 Taxes. lndusmal Vacant Land
3040 Taxes ·Pipelines
30l0 Taxes-Farmland
3055 Taxes· Farmland Oev. Phase I
3060 Taxes -Large Industrial
3062 Taxes· I.ar&elndustrial Vacant Unit
3070 Taxes • SupiJiemenlmies
3075 Taxes -Bill 79 caooed Lew
3080 Taxes • Caooed Rebati:s/Claw Backs
3085 Taxes-W/O's
3090 Taxes· PIL's
3095 Local Impnwements • Residenilal
3096 Lotallmpro•-ements-Commcrciill
3!00 Tax Ad'ustmeots
3105 Taxes-l'enalt • &lnteresl
Government Ornnts &: Subsidies
3200 Omnts &: Subsidies • F<:deml
3205 Omnts &: Subsidies-Provincial
3210 Omnts & Subsidies-Oiher
UserChan!es
3300 Miscellaneous Re•-enue
3301 Residential Usaoe
3302 OenemiUs:ioe
3305 Admissions
3310 Fares& Fees
3315 1\lembeisbips
3320 Seasonal Re•"tmues ms Sports Fields Fees
3330 Y<>ulh Pml>mm Fees
3335 Adult Progmm Fees
3340 Summer Pm2mms
3345 Participate Pmemms
3350 Minor Hockey
33~~ FlJ!ure Sklitint
3360 Pmgmms
3365 l.andscaoino
3400 Permilfees.
3410 Licence fcc5
3420 -certificates
3430 ln•Pe<:tion•
3500 Rentals
3505 Meicbandis•>'
3510 Concession Sales
3515 Vending Mocbines
3600 Interest
3601 Lale Po "'en1 Chlll£es
3700 Special
3701 Capital Surchroe, Residential
3702 Capital Slm:hn!e • General
3705 Donations
3800 Sewer Re\-enue-SUrchllfi!e
3801 Reg 170 Stm:hrl!e· Residentiol
3802 Re~ 110 Silrchn!e • General
3815 Extraordinary Re•-enue
3999 Re•-.nue Ctearino Account
Specified Re\-enues
3805 De•-elopment Choh!es
3810 Sale or Assets
3820 Debenture Proceeds
Contribution from Resen-es
3900 Contribution from Reser.-es
3905 Contribution fium DC Reser.-es
-
1M'20U411PM Page 1 of2
Town ofTil/sonbllrR I 235, Street/lgltls
101J Financial Plan I J
20U 2013
Budget Pro ectlon Bud2e1
OJ!!rlitiug Plo11-Co11 Codr Snimrinry R.~~6----,------------------------r----------
SJJ«iall.ew, Wcallmm \'ttDI!1Its, PIUi
3000 <axes"-Residenlial
3005 Taxts-Multi-Reslclcntial
3010 Toxes-CoJJIJIIettial
3012 Taxes· Colmneltlal Vncruu Unit
3014 Taxes~ CommerciaiVat'ant Land
30:!0 Taus. SOOollbu!"Cenlfe
30" 'faxes-Shopping Cflllre Vacant Unit
3030 Taxes -lndusuial
303~ Ta.Xes -lnduslr:ial Vil<lUII Unit
3034 Taxes ·"Industrial Vacant Land
3()4() Taxes -Pipelines
3050 Taxes-Farmland
3055 Taxes-l'annland Oev. Pha!c 1
3060 TBl!es-Larite Industrial
3062 Taxes-Large IJidU>tiW Vacant Unit
3070 Taxes,-SutiJiternentaries
3075 Taxes-Bill 79 CaJll)<d_ Levy
3080 TaXe$-C:iPlied Reb:uesfC1aw.Bncks
JOSS TaXt$ ' W/O's
3090 Taxtt • PIL's
3095 LocaJlmpm,..,.,.. • .Residential
3096 locallm!lill\'ements-Comrnertial
3t00 Tax Ad uitments
3105 TBl!es-Penaltv & Interest
Gmmunent Grants & SubSidies·
3200 Gr.lnts & Subsiclies -Fe<lellll
3:!05 Gmnls & Subsidies -1'!0\indal
3210 Ornll!S & Subsld~Other
User::llarges
3300 MilcelllintOU> Rl!\ ... OIIC --
3301 Residential Usage
3302 ClenernJUsaae
3305 Admlt!ns
3310 Fares&Fees
3315 MembeBlUJ)S
33'!0 Seasonal Re,'l'11ues
3325 I Spons F".elds Fees
3330 Youth.Pmtram Fees
3335 Adult Program Fees
3340 Suiiuner Pml!llliiiS
3345 Panidpate Programs
3350 MiliorHockev
3355 Fil!Uie Skat in~
3360 Prol!llliiiS
3365 l..:indS<aping
3400 Permit Fees
3410 LiamceFees
34:!0 Crrtilicates
3430 lt\speCtions
3500 Rentols
3505 Merchandise
3510 CoitceMirin SaleS
3515 Vending Mncllines
3600 Interest
3601 L4tePnvmeut Charges
3700 Sneclal --J70t 'Capital Surcllr2e"-Residential
3702 C!oital Surd!n!e-~
3705 DonationS
3800 Sewer Re\'OIIue-Swtharee
3801 Reg 170 SUJChrge ·Residential
3802 Re" 110 Surcbtoe -General
3815 Ex!monlin3ry Re\'1'11Ue
3999 Re'~ ClearingAccouat
SDO(:ifl<d Re\'Onue.s
380~ Oe'"loomeni Char~e.s
3810 Sale of Assets
3820 Debenture Proceeds
Contribution fom Reseril!S
3900 Contnl>ution fom Resen,.
3905 Contnl>ulion fom DC R""'"'''
-
100"ZOI1412'PM Pago1 of2
Town of Tillsonburg
)13 Financial Plan
5 yellr Capital Plan
-
1 LED Streetlights
2
3
4
5
1 LED Streetlights
2
3
4
5
l LED Streetlights
)
~
4 t-: -
I LED Streetlights
2
3.
4
5
1 LED Streetlights
2
3
4
5
5 yr Capital Plan
Capital Costs
Description Exvenditures Reserves
-
~ ~
2013
19.,200
~~ ~
2014 19,200
19,200
~ ~ ·~~~~~~
2015
19.200
~ --
2016 19,200
19,200
2017 19,200
Page 1 of 1 1/30/2013
Town of Tillsonburg I 260 -Stonn Sewers
2013 Fi1rancial Plan I I
2011 2013
Budg_et Pro ectlon Budge I
Operntf11g f'ln11 -·Co>! Codr Summary a.;;,;;;-..-----,--------------------r~-----,...----· -----
Special Levv, LocallmDm•-ement>; PIU;
3000 Taxes-Residential
3005 Tax,.•MUit~ReSidential
3010 ~ -Coiiimen:lal
30P Taxes-ColiUilCmal Vaamt Unit
3014 Taxes • Coll1llltrci:il Vacant Land
30:10 Taxes. Shopping Centre
30" Taxes-ShltppinJ! Cflltre Vaamt Unit
3030 TaxeS•-lndliiliial
3032 Taxes-lndaSirial Vacant Unit
3034 Taxes • JndrutrialVacant Land
3040 Taxes -PipelineS
3050 Taxes-FIItt)!]and
JOSS Taxes-Filrntlalllll>e•·· Phase I
3060 T""""• Ulge Industrial
3062 Taxes-Lan:dndustiia!Vacant Unit
3070 Taxes -Supjllementaries
3075 Taxes -Bill 79 Cooped Levy
30110 Taxes-Caoaed Rebates/Claw Backii
JOSS Taxes·-WtO's
3090 T.X..-PJL's
3095 Local lmpro•-· Rr<idential
3096 Locallm)lillyements-Commen:inl
3100 Tu Ailiustments
3105 Tues·-Penalty.& Interest
Go•'Ol1llll<nt Gi;rilJs & Subsidies
3200 .Gt.ints & Subsidies-Federal
3205 Giants& Subsidies. PmWtcial
3210 Orants & Subsid"'"'Other
UsetChar£e.s
3300 MiScellaneOus Re•-enue -
3301 Resideruial usau
3302 Geneinlllsage
3305 AdmisSions
3310 Fares&ffes
3315 Memberships
33:10 Se<ilonal Re•'Cllues
3325 Stioits Fields FeeS
3330 Youth Prognunl'ees
3335 Adull Pro~ ffes
3340 SIIIDIDI!rProgmms
3345 Pank:ioate Pmllnlii1S
3350 Mlnor Hocltey
335:5 Fil!Ute Skalin~
3360 Prol!lilmS
336S Landsca_M
3400 Pennit ffes
3410 Lk:'enteFeeS
3420 Certificates
3430 lnsi>eelions
3SOO Rentals
3505 Metthandlse
3510 Conc'essionsaies
3515 VendjlltMachines
3600 1nierest
3601 Late Pll)1llml Char~es
3700 SJ)fdal
3701 Canital Sun:hr2e-Residential
3702 Capital Sun:hrge -General
3705 Donations
31100 Sewer Re\"enue-Sun:harge
31101 Re2 170 Sun:hr2e-Residential
31102 Rei\ 170 Sun:hrl!e" Geneml
3815 Extraordinarv Re'."enue
3999 Re\'CllUO Clearing Acrmnll
Soecilied Re\'fnUe.s
31105 De•"elopment.Charj!es 278
3810 Sale of Assets
3820 Debenture Proc<eds
ContnlJution from R..enoes
3900 Contribution from Resem:s
3905 Contnbution from DC Resenoes
178
EXIM!nditures
Page 1 ol2
Town ofTiJlsonbllrg I 210 • Engineeri11g
2013 Financial Plan I I
1012 2013
BUdRtl Pro ecllon Budget
Operating P/nn • Cost Code S11mmury b~:u:----,--------------------~----------------
S~iall.e>'y. i.u<allm \'emcnts .. PilS
3000 Taxes • Residential
3005 Taxes.· Millti·Residentful
3010 T11Xes -Cominerelal
3012 Tau.• • Commm:ialVacant Unit
3014 Tnx~s • Commtn:ial Vancantl.and
3020 Toxes -Shopping Centre
3022 Taxe5 -Sllotinino C<:ntte Vacant Unit
3030 Taxes -lndustiiul
3032 Taxes -Industrial Vacant Unit
3034 Taxes -Indo•trial Vacant Land
3040 Taxes • PJpeUnes
3050 Taxes -Fam\lnrul
JOSS Taxes·-Farinlana Dev; Phastl
3060 Taxes -large .Industrial
3062 Taxe5-t.atl!<i InduStrial Vacant Unit
3070 Taxes-Supplemenlarits
3075 Taxes-Bill79 Capped W'Y
3080 Taxes ·.COpped Rebate$/Claw Backs
·3085 Taxes· W/O's
3090 ·Taxes. PIL's
3095 l.otat lmJ>Itl\1lments-Residential
3096 i.u<allmpm,'Omenls ··Commen."ial
3100 Tax Alf"itstments
3105 Taxes·-Penally.&JnteleSt
Go\'emment Orants· & Subsidies
3200 Gmnts & Subsidie5 • Federal 1.800 -1.800
3205 GrantS & Subsidies • Provindal -.
3210 Grants & Subsidi,.-Ollier
Other Re\·enu~
3300 Miscellaneous Revenue 20.000 59.070 40.000
3301 Residential Usa_ge
3302 Geneml UsaRe
3305 Adnil!slon~
3310 Fares & I'CeS
331~ Memberships
3320 Seasonal Re\1lRUes.
3325 SPot!s Fields Fees
3330 Youth ProgiiiJil Fees
333S Adult Propam.Fees
3340 Smiuner Pm~m~ms
3345 Pmticipate Pn!gmms
3350 r.rmor Hoclcey
3JSS Figu,e Skating
3360 Pro2IDIIIS 100.000 69.584
3365 Lanka pin~
3400 PmnitFees
3410 Lic~ce Fees
3420 CerdliEates 1,500 3.6SO l.SOO
3430 Inspections 4,500 4.500
3500 Rentals
3505 Meichatid!E
3510 Concession Silles
3515 Vendinli Machines
3600 Interest
3601 tate Pa\'ltlei\t ChaJ¥e5
3700 Special
3701 .Capital Sun:hrge -Residential
3702 I Capital Surohr~e-Genernl
3705 Donations
3800 Sewer Re\-enue-Surehnr•e
3801 Re~ 170 Still:hrire-Residen~al
3802 Reg 170 SwtllrJ<e-General
3815 Exuaonlinm Re,"enue
3999 Re\'eRue Clearing Account
SJiecified Re\'enues
3805 Development Chnrees
3810 Sale of Assets
3820 Debenture Proceeds
Contribution from Resen-es
3900 I Contribution rrom Resel\'eS
3905 Contribution from DC Resen..s
127 800 132 304 47 800
Page 1 ol2
ToWII ofTillsonbllrg 280-Solid Waste & Recycling
20IJ Financial Plan I I
lOll lOll
Bud2el Pro etllon Bud••'
Optrlllillg Pin11 • C<ul Code Smomory ~7.~~----,------------------------------------Special Le\1\ Local 1m ru\'e111eniS. PILS
3000 Taxes· ResidenUal
300S Taxes"Mulli-Resiaenual
3010 Taxes-Coritmereiul
3012 Thl<es • Cannnen:i31 Vacant Unit
3014 Taxes-Cammen:ial VanrMt Land
3020 T..U. • ShOIIPini! Centte
3022 Taxes .~Shopping Centte Vacant Unit
3030 Taxes • fnduslrial
3032 Tax ... lnduslfial Vacant Unit
3034 Tax"' -lnduslllnl Vacant Land
3040 Taxes· Pipelines
3050 T.Xes • Farmland
JOSS Taxes· Fannland De'< Phase I
3060 Taxes • ~ l.arge.lrulustrial
3061 Taxes • t:nrge Industrial Vacant Unit
3070 'lilm5 • SuPl!lcmentaries
307.5 Taxes . Bill 79 Capped Levy
3080 Taxes• CapJI"d Rebat<S/Ciaw Backs
JOSS Taxes-W/O's
3090 Taxes .. PJL's
3095 Locallmoro\"ements -Residentiol
3096 LoCa!Iniinn\l!llieots • Commercial
3100 Tax~Alliusllllents
3105 Taxes-Penalty &.lnteJeSt
Oo\'emment Grants & Subsidies.
3200 Grants & SubSidies· fedeml
3205 Grants & Subsidies • Pnnincial
3210 Giants &:Subsidies-Oiher 158,384 113,407 137,585
UserCbaJ)!es
3300 Misiellalu:ous.Re,-enue 22.000 20,978 10,000
3301 Residential Usate
3302 General Usa2e
3305 .AdmisSions
3310 Fares·& Fees
3315 Membershios
3320 Seaiilinal Re\"enues
3325 SIIOI1S Fields Fees
3330 Yoiitli l'ioltiaml'ces
3335 AdUlt Progr.un Fees
3340 Summer ProJ!Illllls
3345 Paiticioale Piul!l3ms
3350 MinorHoctcey
3355 FiweSkallil2
3360 Programs
3365 LandscaJ>!n!l
3400 PemiitFees
3410 Licence Fees
3420 CertifiC4tes
3430 Inspectiu~ns
3500 Renlllls
3505 Mettbarulise 9t000 86,916 88,000
3510 Conc~ion Sales
.351S Vendb\g.Machines
3600 Interest
3601 Late P")1nent Charges
3700 Soeciaf
3701 Captial Surehrge • ReSidential
3702 Cantlnl Surohr2e-General
3705 Donations
3800 Sewer Rcwenuc'Sun:harge
3801 Ree 170 Surchro!e • Residential
3802 Reel70.Surchli!e · Ckneral
3815 E•lnlordimuy Re\1!Due
3999 Revenue Cleatinf Account
Specified Re\-enues
3805 Den:lonment Cbar2es
3810 Sale of Assets
3820 Debenture Proceed§
ContnDution fn"'lm Resen'ts
3900 Contribolion from Resen-es . .
3905 I Conllibutlon from DC Rtse!\-es
274.384 231 301 245 585
Page 1 ol2
\own of Tillsonburg
013 Financial Plan
5 yelll' Capital Pllm
r-1 Replace Shed
2
3
4
5
1 Tar and chip ~ 2nd Coat
2
3
4
5
2
3
4
1
2
4
5
2
3
4
5
5 yr Capital Plan
Capital Costs
Descriotion Exoe11ditures Reserves
3,000
2013 3,000
25,000
2014 25,000
2015
2016
2017
Page 1 of 1 1/30/2013
Tow11 oJTillsonbllrg 200-Operalio11s Administration
2013 Finflllcml Pla11 I J
lOll 2013
Budget Pro ecllon Budge!
Optralillg Plan • Co>l Cod• Smnmnry i.7e;;.;------~----------~---------..;~;.; -----r-----------
Specialle\y, Local Improvements, PILS
3000 T~~Oli • Resideniill)
3005 Taxes.-Multi-Residential
3010 Taxes· Cilmmelcial
301' Taxes • Commercial Vacant Unit
3014 Taxes -Commercial Vancantl.and
3020 Taxes -Shopping Centre
3022 'fa~••-ShoooinQ Cen1re Vacant Unit
3030 Taxes • Industrial
3032 Taxes • Industrial Vacant Urut
3034 Taxes ~Industrial Vacant Land
3040 Taxes -Pipelines
3050 T,ues ·Farmland
JOSS Taxes " Fanmland De''· Phase I
3060 Taxes -Large lndustrial
306'2 Taxes• Lnree Industrial Vacant Unit
3070 Taxes -Suppli:mentarie•
3075 Taxes-BHI 79 Capped Le\'Y
3080 Tues-:CaPlltd Rebates/Oaw Backs
JOBS Taxes-W/O's
3090 Taxes~ PIL's
3095 l.ocallmorm-ements-Residential
3096 'U!Callll1provements-Commercial
3100 Tax Ad'ustments
3105 Taxes· PenallY & Interest
oo,-emment Grants~& Subsidies
3200 Grnnts & Sul!sidies-Ftdeml
3105 Gmrits & Subsidies • Priwincial
3210 Gmnts &~Subsidies·Olher
Olher Re\-enues
3300 Mhcellaneons Revenue . -.
3301 Residential Usa2e
3302 General Usa11.0
3305 Admissions
3310 Fares &.Fees
3315 Membetsbi!>s
3320 SfliiOilitl Re\l!ilues
3325 soons·fields Fees
3330 Youlll Pro:emn Fees
3335 AdultProeram Fees
3340 Summer Pmllfllms
3345 Paiticlpate Pttigrnrns
3350 MinorH~kev
3355 Fi~ure Siclltinl!
3360 J>ril]!lallis
3365 l..andscaoinl!
3400 Penni! Fees
3410 .UL·tmce Fees
3420 Certi1ii:ntes
3430 lnspedons
3500 Rentals
3505 Merrl!andire
3510 Concemo·n Sales
JSIS VeridlnR~Machines
3600 lnleresl
3(101 UteJ!ayment Charge.•
3700 Soeclal
3701 Capital Surcbrge • Residential
3702 CooltlUSun:brae-Oenernl
3705 Donations
3800 Sewer Re\"Cnuc•Sun:hnrge
3801 ReR 170 Sun:hrr!e ~ Residential
3802 Reg 170 Sun:hrge • Oeneml
3815 EX!IIIordirwv Re\-enue
3999 Re•-enue Clearing Account
Specified Re\-enues
3805 De,-eloomenl Chnr~es
3810 Sale of Assets
3820 Debenture ProceedS.
Contribmion from Rese:r,·es
3900 Conlribution from Reserws -.
3905 Conlribution from DC Reser\'"'
-.
t/l0o'201)A.I!PI.I Page I ol2
Town ofTillsonburg I i30 • Parki11g
2013 Fillallclal Pla11 I I
2012 2013
I Bud2et Pro ec:tlon Budaet
~ Opei'ali11g l'la11 • C.osl Code Swmnnry ~m~-----,------------------------------------
Special Levy. Locallmpm,-elnents,.PIL'>
3000 Taxes -Residential 1$,000 14,700 15.000
3005 Taxes-Mulri·Residenlial 2,600 2.450 2.450
3010 Taxes-Commercial 120,000 118.270 120,000
3012 Taxes -Commereial Vacant Unit --
3014 Taxes-Commercial Vacant Jjffid -381 .
3020 Taxes -Shopping Centre
3022 Taxes -ShOPPing O!ntre V31:3Dt Unit
3030 Taxes • Industrial ---
3032 Taxes -Industrial Vacant Unil
3034 Taxes -Industrial Vacant land
3040 Taxes -Pipelines
3050 Taxes-Flll)ll)and
3055 Taxes· Fannland Dev. Pltao;e I
3060 Taxes -Large Industrial
3062 Taxes-Large lndusnial Vacant Unit
3070 Taxes·-Supplementaries -(10) .
3075 Taxes-Bill79 Capped Levy
3080 Taxes -Capped Rebates/Claw Backs
3085 Taxll.~-W/O's 3.000) (2,875) (2,000)
3090 Taxes • PIL's 1.200 . 1.200
3095 LocallmJ!rc>yements -Residential
3096 Local Improvements -Commercial
3100 Tax Adjustments
3105 Taxe.~ -Penalty & Interest
Government Grants & Subsidies
3200 Grants & Subsidies-Fedeml
3205 Grants & Subsidies -Provincial
3210 Grants & Subsidies-Other
User Cbar_Kes
3300 Miscellaneous Re1-enue . --
3301 Residential Usage
3302 General Uiage
3305 Adl1tissioos
3310 Fares& Fees
3315 Membersbips
3320 SeasonalRevenues
3325 Sports Fields Fees
3330 Youth Program Fees
3335 AaultPmgram Fees
3340 Sumn~e.r Programs
3345 Parridpate Programs
3350 Minor Hockey
3355 FiJlllre Skating
3360 Programs
3365 landscaping
3400 Permit Fees
3410 Licenc~ Fees
3420 Certificates
3430 lnSpectiolis
3500 Rentals
3505 Merchandise
3510 Conces5lon Sales
3515 Vending Machines
3600 Interest
3601 Late Payment Cbarl!.es
3700 Speeial -1.430 -
3701 Capital~surc~-Residential
3702 CaJ!ital Stircbme -General
3705 Donations
3800 Sewer Revenue-Surcharge
3801 Reg 170 Surchrge-Residential
3802 Reg 170 Surchrge-General
3815 Extraordinary Re\-eoue
3999 Revenue Clearing Ae<:ount
Speeified Re\"Cnues
3805 De\-elnpment Cbar2es 5.882
3810 Sale<iFA'ISfiS
3820 Debenture Proceeds
Conlribmion from Rescl\-es
3900 Contribution from Reserves -
3905 I Contribution from DC Reserves 16.436 16.436 16.436
152 236 156.663 153 086
tr.»'20137STPM Page 1 of2
T~wn of Tillsonburg
)13 Financial Plan
5 year Capital Plan
-1 Future parking lot repairs
2
3
4
5
l Rehabilitate Parking Lot 9A
2 Rehabilitate ParkingLots 5A
s Future parking lot repairs
4
5
1 Rehabilitate Parking Lot 7 A
2 FuJut'e parking lot repairs
3
4 -\
1 Rehal:!ilitate Parking Lots 8A
2. Rehabilitate Parking LotS nA
3 Future parking lot repairs
4
5
1 R~ha.bilitate Par~ing I.ot 6A
2 Future parking lot repairs
3
4
5
5 yr Capital Plan
DescriPtion
2013
2014
2015
-
2016
2017
Capital Costs
Ex11enditures Reserves
46,044
46,044
250.000
35,000
47,425
285,000 47,425
250,000
31,411
----
250,000 31,411
f20,QOO
45,000
-32;354
--
--
165,000 32,354
200.ooo
---33,324
200,000 33,324
Page 1 of 1 1/30/2013
Town ofTillsonbnrg I 130· Fleet
201J Financial Plan -, I
201l 1013
Budoet Pro e<llon Bud2el
1:-, Ot1rrttlillg Pla11 ·Cost Cod• StllillnliT)' . • • R~~:----~-------------------------_!:!!!f __ -----
SpeCial Le.\:y, Local 1m ,,.m .. ntS. PILS
3000 T:lltes ~Residential -
3005 Taxes-Multi-Residential -
3010 T.Xes-Comml!ldal -
3012 1'0X:es-Commercial Va:canl Unit --
3014 ~-Commrn:ial V;mcant Land -3020 Taxes-Shoppin• Ccnue -
3022 Taxes • ShoOJJino Ccnue Vacanl Unil .
3030 Taxes-Industrial -3032 Tax .... -Jndustrial VacantUnit --
:1034 Taxes -lnduslrial Vacant Land --
3040 TaX.., -Pipeliiies
3050 Taxes-Fannland -
JOSS Taxes-Farmland DeV;J'hase I
3060 Taxes • Large lnduslrial --
3062 Tnes • l..an:e Industrial Vacanl Unit --
3070 Tax eo-Supplementarieo -
3075 Taxes -Bill 79 C~tmed Lew -
3080 T:utes -.capped Rebates/Claw BaciG -
308S Taxes-W/O's -
3090 Taxes ·l'IL's -3095 Locallmlinwemcitts-Residential -
3096 .Locallmpni\"ements-Commercial --
3100 Tax Ad.ilsbncets
3105 Taxeli.-.PenaltY & Jnterost --
00\"emment Oronts & Subsi<lies -
3200 Omnts & Subsidies-Fedeml -
3205 Grunts & Subsidies • Provincial -
3210 Ornnts & Subsidies-Other ---
User Charges --3300 MisceUaneous RC\"enue 14.000 8,470 8,000
3301 Residential Usa•e -
3302 OcnemiUS.ge -3305 Admissions -
3310 Fares&Fees --
3315 Membcm.in•· -
3320 Seasonal RC\'enoe> -
3325 SIIOIIS Fields Fies --
3330 Youth Proj!lllm Fees --
3335 Adult Pmemm Fees --
3340 Suminer Pru=ms --
3345 .Participate Priilmlffis -3350 Minor Hockey -
33SS l'igute.Skating ---
3360 Prugmms
336S Lalldscaoin2 --
3400 Permit Fees -
3410 Licence F«s --
3420 Certificates
3430 lnsJ)eetions -
3500 Rentals 1.126.410 1.149,202 1.134,622
JSOS Merrhiutilise --3510 Concession Sales
3515 Vendin2 Machines --
3600 In tete&! -j601 Late Pa~nt Chmes ---
3700 Special --
3701 C.pilal Surrhree-Residential --
3702 Caoita1 Surrhree • General -- -
370~ Donations -
3800 Sewer Rc\"enue-Sun:haille ---
3801 Rei! 170 Surrhtoe -Residential --
3802 Re2 no Sun:h= -General -
3815 Extraonlinan-Re\"enue -
3999 Re\oenue Clearin• Account -
Specilied Re•"enues -
3805 De\oelooment Charges -18,034
3810 SaleofA..ets
3820 Debenture Proceeds -
Contribution from Reseo·es
3900 Conuibution from Resen"eS -
3905 Conlribution fnllll DC Resen-es --
1140410 I 175.705 1.142.622
Page 1 or2
Town ofTillsonbftrg
'uJ Financial Pla11 ~~ .l•ear C.'apital Pla11 Capital Costs
Descr!DI!on Reserves
__ I ~~------------------------------+-~=-rl---~
1 2
3
s
2
I
·2
3
4
5
6
BtJekiltTllltk replacement 1166 -Hydro
Triickless Mf6fl:olacement H99-Roads
Leaf lolidern:placement 11100. Roads
New(:apltal
'JJailer mounted HydroVac val,, turner. shared WateriHydrbiR.oads
2013
Tmckless Mf6 replacement #99 ~ Roads
U:afLoatieti:cDiacement #1100 ·Roads
Tfuller mnunted HydroVae val\'ll turner; sllaiOO Water/Hydro/Roads
IPunlllerltescue Telllacemeilt cotnbbied 1110 & 72 Fue
2014
. ~ . ~
459,000
141;571
41000·
.75;000
~.
257,571
1 71'8ssenaerMini vanwlacement #132 PootVellicle Fleet ~ ·33>619.
3 I.Toii crew cab wilhslide,iti saJtdei" & plow replacement #46 Roads. 125;000
4 ~ Reiad LIOcl'abitiDiiMIIChbieRIIIiiCcment #I .liS· Roads ~123.60-s FlvbridTnlckieplacemeilt(SUV)#3l· Engineering ··'42;000
1 t Toll serviCe Tniclcreolacement #42· Fleet ~ · '127214
260.000
260,000
\\+-~----~~------~------------------~+-~"~···~·~~--_,
lOIS 862,331
-
I ~ 1#143-Hvdro
_1_ Ulll!e ' -Hydio
3 rre-~#2!~,~~"~"~~~~--------------~~--~~~~--~-i 4 · .· '"Piilcement#22"_Water
5~ · · IB'~·enL:1 t119S
.~
6
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Page 1 of2 1/30/2013
Tillsollbllrg Hydro Inc. 145 ·Enterprise ServiCes
2013 Financial Plan I I
I 2012 I 2013
I Budget L Projedioa I Budget
~;:------Yl!cr!f!.1!.l!f!!!.· .. !'2!'..!.-2!!..s.!!.".!!!!!!.'L-------CoiiSolidated Total ---------------Re,-enues
Special Levy. Locallmpmvemena. PllS
3000 Taxes-Residential --
3005 Taxes-Multi-Residential -
3010 Taxes • Commereial --
3012 Taxes-Commercial Vacant Unit --
3014 Taxes-Commereilil Vlilicant Land --
3020 Taxc.~. Shopping Centre --
3022 Taxes -Shoi!Pinli,Cemre Vacant Unit -
3030 Tnes -Industrial --
3032 Taxes -Tndu.<trulVacant Unit --
3034 Taxes -tnduslriaiVacant !..and --
3040 Taxes -Pipelines --
3050 TIIXes • F.Uniland ---
305:5 Taxes-Fannland Dev. Phase I ---
3060 Taxes -l.$ge lnduslrial --
3062 Taxes • l.atge Industrial Vacant Unit ---
3070 Ta<es -SupplemenlaOO --
3075 Taxes -Bill 79 capped Levy --
3080 Taxes -·capped Rebates/Cia\\' Backs --
3085 Taxes-W/O's ---
3090 Ta<es-PJL's --
3095 LocallmDTO••ements -Residential --
3096 Local Improvements -Commereial ---
3100 Tax Adjustments --
3105 Taxes • PeriattY & bl!erest . --
Go•-emmeru Gmnl.'i & Subsidies ---
3200 Grants·& Subsidies. Federal --
3205 Grants & Subsidies -Pirivincial --
3210 Grants&·Subsidies,.Olber . --
User Charll<S --
3300 Mi;cellaneeus Revenue 3,531.313 1,359.692 2.150.350
3301 Residentilll Usage --
3302 General Usage ---
3305 Admissi!lns ---
3310 Fares&F~s --
3315 Membet$ips --.
3320 Seasoniil ·Revenues --
3325 Sports fields fees --
3330 Youth ProJmlll1 Fees ---
3335 Adult Program· Fees ---
3340 Summer Programs --
3345 Panicipate Programs --
3350 MiriorHockey ---
3355 Figure Skating --
3360 Programs -
3365 Landscaping --
3400 Permit Fees --
3410 Licence Fees ---
3420 Certificales --
3430 lnSPCttillos ---
3500 Rentals 26.700 27.007 26.100
3505 r.tereband!Se -
3510 ConeessiO!LSI\Ies --
3515 Vending Machines ---
3600 lnlerest 75,000 75.000 150,000
3601 Late PaYment Cbarl(es --
3700 Soeeial -.
3701 Capital Surebrge -Rt!Sidential -3702 CapiiBi Si11cbrge -General ---
3705 Donations --
3800 Sewer Revenue-Surcliar2e ---
3801 Reg 170 Stuchrge -Residential ---
3802 Reg 170 Surcbrge -General --
3815 Extraordinary Re•·enue --
3999 Revenue Clearing Account ---
St>ecifled Revenues -
3805 Development Charges -
3810 Sale of Assets -
3820 Debenture Proceeds -
Contribution from Reserves
3900 Contribution from Reserves -
3905 Contribution from DC Reserves -
3633 073 1.461.699 2.326450
IIJQ'2UI3.11::21lPM Page 1 of6
TII/sonbllrg Hydro Inc. 145 • Enterprise Services
2013 FinancilllPian
I 2012 2013
I Budget Pnljec:lion Budaet
Opernting Plan-Cost Code Summary Tow11 ~~~~-----T--------------------· -----------------1-
Special Lew. Locallmpro\-ements,-PILS
3000 Taxes-Residential
3005 Taxes-Mulli'Residenllal
3010 Taxes • Comme~tial
3012 Taxes-Comme~tial Vacnnt Unit
3014 Taxes-CoinnWciBI Vnncnnt Land
3020 Taxes -Shopping Centne
3022 Taxes-Sboppi~g_Centne Vacant Unit
3030 Taxes -Jndustrial
3032 Taxes -Industrial Vacant Unit
3034 Taxes • mdustrial Vacant Land
3040 Ta>tts -Pipelines
3050 Taxes -Farmlaild
3055 Taxes-Farmland Oev. Phase I
3060 Tnes -Large Industrial
3062 Taxes-Large Industrial Vacant Unit
3070 Taxes -Supplementnries
3075 Tnes -Bill 79 Capped levy
3080 Taxes -Capped Rebate.'I(Ciaw Back.•
3085 Tnes-W/O's
3090 Taxe.' -PIL's
3095 Local Improvements -Residential
3096 Local Improvements -Commeri:ial
3100 TaK AdjuSID!eDts
3105 Taxes -PenallY & Interest
Government Grants & Subsidies
3200 Grants & Subsidies -Federal
32.05 Grants & Subsidies -Provincial
3210 Grants-& Subsidies·Olher
User Charges
3300 Miscellaneous Revenue 8,313 18.032 11.280
3301 Residential Usage
3302 General Usa2e
3305 Admissions
3310 Fares& Fees
3315 Memberships
3320 Seasonal Revenues
3325 SllOrts Fields Fees
3330 Youlh Program Fees
3335 Adult Program Fees
3340 Summer Programs
3345 Particivate Pr<Wllllls
3350 Minor Hoclt~y_
3355 Figure Skatlng
3360 Programs
3365 l.andscapinR
3400 Permit Fees
3410 Ucence-Fei:s
3420 certifteates
3430 Inspections
3500 Rentals 26,700 27,007 26,100
3S05 Me~tbandlse --
3510 Concession Sales
3515 Vending Machines
3600 Interest 75,000 75,000 150.000
3601 Late ·PaYlltent Charles
3700 Speeial
3701 Capital SulCbrge -Residential
3702 Capital SUJ:Chrge -General
3705 Donations
3800 SewerRevenue-SUICbarge
3801 Reg 170 Sun:hrge , Residential
3802 Reg 170 Swcbrge -General
3815 Extraordin&IY Revenue
3999 Revenue Clearin2 Account
Specified Revenues
3805 Development Charges
3810 Sale of Asset•
3820 Debenture Proceeds
Contribution from Reserves
3900 J Contribution from Reserves -.
3905 I Contribution from DC Reserves
_l 110013 120,040 187.380
1130'2013 4:28PM Page3ol6
Til/so11burl! Hydro Inc. 145-Enterprise Sel'l'ices
2013 Fina11ciai-Pian I I
2012 I 2013
Budget I PnJj_ectinn Bud~et
Operati11g Pln11 • Cos/ Cod" SIIIIIIIIIU)' Re~~-----r---------------------Hydro (IOitll) -----~----.:.. -----·r-
Special Lev);Locallmprovemeo~~. PD.S
3()00 Taxes -Residential --
3005 Taxes-Multi-Residentinl --
3010 T:axes -Commen:ial --
3012 Taxes-Commen:iaJ Weant Unil --
3014 Taxe.<' Commtrcial Vancant Land -
3020 Taxes-Shopping-Ctnrre
3022 Taxes-Shopping Cenlre Vacant Unit -
3030 Taxes -Industrial ---
3032 T11Xe.~ -Industrial Vacant Unit -
3034 Taxes-Industrial Vacant Land --
3040 Taxes-Piptlines ---
3050 Taxes-Famtland --
3055 Toaxes-Farmland Dev. Phase I --
3060 Taxes -l.ar~e Industrial --
3062 Taxes c l.argelndustrial Vacant Unit -
3070 Taxes -Supplementaries ---
3075 Taxts -Bi1179 Capped Levy -
3080 Taxes -Capped Rebates/Claw Backs --
3085 Taxes-W/O's --
3090 Taxe.•· Pn:.:,
3095 Lcicallmpro\'elilents • Residential ---
30% l..Ocalllnprovements-Commercial ---
3100 Tax Adjustmenl5 --
3105 Taxes-Penalty & Interest ---
Government Gran~~ & SUbsidies ---
3200 · Grnnts & Sub~es -Federal -
3205 :Grants & Subsidie·s -PrO\·incial ---
3210 Omnts & Subsidies-Other --
U5er Charges --
3300 Miseellaneous Re\•enue 3,523.060 1,341.660 2.139.070
3301 Residential U~e ---
3302 OenerallJsage --.
330$ Admissions --
3310 Flires ·& Fees -
3315 Membelshms --
3320 Seasonal Revenues --
3325 Sports Ftelds Fees --
3330 Youtltl'rol!f3111 Fees ---
3335 Adult Prol!f3111 Fees --
3340 Summer Programs --.
3345 Pllrlicipate Ptograms ---
3350 Minor Hockey --
3355 Figure Skating --
3360 Promams ---
3365 Landscaping --
3400 Perini I Feci . -
1410 Licence Fees --
3420 Certificates --
3430 Inspections -
3500 ll.entals ---
3505 Meit:bandlse --
3510 Concession Sales ---
3515 Vending Machines --
3600 Interest --
3601 J.atd•ayment Charges --
3700 SpeciaJ --
3701 Capital SurehrKe • Re.sidenlial ---
3702 C~pital Sureht2e -General ---
3105 Donations --
3800 Sewer Revenue.Sutcbarge ---
3801 Rei! 170 Sun:hrge -Residential --
3802 Ru 170 Sutcbn>.e -General --
3815 Extraordinary Revenue ---
3999 Revenue Clearigg_ Account -
Specified Revenues --
3805 De,·elopment Charge.< ---
3810 Sale of Assel5 -
3820 Debenture Proceeds - -
Contribution from Reserves -
3900 Contribution from Reserves -
3905 I Contribution from DC Reserves --
I 3.523.060 1.341.660 2.139,070
H.'F~FI'Wicial Poans'-2DI:r.2013~\Vb'SO"'212013~ t45En1fii'P'\H!SeMoes • V2 Page 5 ol6
__...._.. • .._..._.I
a;ktJJIJI ;ifr"M
TOWN OF TILLSONBURG
2013 BUSINESS PLAN
TILLSONBURG FI.RE 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
$21,027
Projected
Value
Target
Date
Q1
Actual
Date
Risks
4. The 1990 Pumper is no longer recognized as a emergency vehicle by
the Fire Underwriters Survey. Will negatively affect home owner
insurance rates in 2015.
5. The Nortel telephone system is increasingly less dependable to support
a 911 Secondary Public Safety Access Point. System not protected
with a redundancy.
6. The 32-year old fire station does not meet current building code,
health and safety standards, accessibility standards and the ergonomic
needs of the employees who work in it.
Opportunities
5. Achieve all Zero Quest targets through a high commitment to
the Occupational Health & Safety Act, especially sector specific
Regulations and all applicable Section 21 Guidance Notes. Eg.
Develop pre-fire plans, create new and revise existing SOGs.
Opportunity to develop and implement Fire Service specific
near-miss program.
6. Discuss innovative opportunities at the regional level to share
resources. Develop shared purchasing strategies.
7. Market Fire Communications to develop into a more viable
Division. Develop partnership prospects and non-core business
opportunities.
2015
Future Departmental
Directions: 3 year outlook
1. Continue Strategic fire planning process and
implementation.
2. Conduct needs assessment for the Fire Station, including
evaluation of renovation versus replacement options.
3. Initiate planning to replace Self Contained Breathing Air
packs and Rapid Intervention Kits (2016).
4. Replace the Personal Protective Equipment washer and
extractor.
5. Delivery of new fire apparatus.
Performance Measures
Efficiency Measures-$ Cost
Department Operating costs for as a 0/o of Total Municipal Operating Costs
Output Measures
Total·· .a'l·arrrisYr:i~s~~~:~:a;M~r
Deaths as a result of fire
.. lhj G:~i~:$ a~
Estimated residential fire loss
*Pre 2009
2009
Actual
7~74%
0
$190,000
2010
Actual
7.5.0%
0
$61,000
2011
Actual
6.70%
0
$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 of Tillsonburg I 150-Fire
2013 Financial Plan I
I 2012 2013
I Bud!!et Projection Bud2et
Operatiug 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 -Industtial
3032 Taxes-Industtial Vacant Unit
3034 Taxes-lndusttial Vacant Land
3040 Taxes -Pioelines
3050 Taxes -Farmland
3055 Taxes-Farmland Dev. Phase l
3060 Taxes -Large lndusttial
3062 Taxes-Large Industtial 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 Grants & Subsidies
3200 Grants & Subsidies -Federal -
3205 Grants & Subsidies -Provincial -- -
3210 Grants & Subsidies-Other --
User Charges
3300 Miscellaneous Revenue 10,000 13,324 15,000
3301 Residential Usage
3302 General Usage
3305 Admissions
3310 Fares & Fees
3315 Membershi_]JS
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 Programs 335,140 299,015 210,000
3365 LandscapiiJg
3400 Permit Fees
3410 UcenceFees
3420 Certificates
3430 Inspections 2,000 550 3,000
3500 Rentals --
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 Re2 170 Surchrge -Residential
3802 Reg 170 Surchrge -General
3815 Extraordinarv Revenue
3999 Revenue Clearing Account
Specified Revenues
3805 Development Charges -7.463
3810 Sale of Assets
3820 Debenture Proceeds
Contribution from Reserves
3900 Contribution from Reserves --
3905 Contribution from DC Reserves
347,140 320,352 228 000
H:\Finance\Flnan Plans\2013\2013 ~\Version 2\2013 Budgel. 150 FireN2 113012013 8:10PM Page 1 of 2
Town of Tillsonburg
)013 Financial Plan
5 year Capital Plan
1 6 pagers .• &J. portable radios (arinual repla¢i:nent5 .year rotation) .
2014
2015
1 6 pagers & 3 portable radios (annualreplaceme11t 5 y~rotation)
Arutiial repla~rnent pf fir¢fight¢f PersonaFProf¢Ctive Equipwerif(PPE)
3 . l:{oses.•noi:iles•and apJ)Jianc¢s •.. ····.. . .. . ... . . .....
4
J>dorityDispatchiUld Hardware ·.. ... .·.
2016
ter Personal Protective E ui ment (PPE)
5 yr Capital Plan Page 1 of 2
Capital Costs
Expenditures Reserves
56,567
··6,283.
·t6,QO<t. · ..
. ·..... J1:o~o·
··.
107,207
390,000
... ···. ··. l(jj()O{j
78,052 390,000
I'
I .. f9i!f9il ..
.·· .... 2os;ooo<·.······ . .· .·
280,898
1/30/2013
STAFF REPORT
FIRE & RESCUE SERVICES
Title: FIRE COMMUNICATIONS BUDGET-ADDITIONAL INFORMATION
Report No.: FRS 13-01
Author: JEFF SMITH
Meeting Type: COUNCIL MEETING
Council/Committee FEBRUARY 12, 2013
Date:
Attachments: NIL
RECOMMENDATION
RESOLVED THAT Council receive Report FRS 13-01 Fire Communications Budget-
Additional Information.
) EXECUTIVE SUMMARY
During the February 4, 2013 Budget Meeting, members of Council directed the Fire Chief
to research and provide some additional financial information regarding operating costs,
market rate for similar services and required Capital upgrades.
FINANCIAL IMPACT /FUNDING SOURCE
Market Rate for Fire Dispatching Services
Per Capita Cost Provider Type
Vendor1 $2.32 Police Service
Vendor2 $2.08 Police Service
Vendor3 $2.23 Police Service
Vendor4 $2.50 Fire Service
VendorS $3.17 Fire Service
VendorS $3.10 Fire Service
Vendor? $2.19 Fire Service
VendorS $4.50 Fire Service
Overall Average: $2.76
Fire Based Average: $3.09
Police Based Average: $2.21
CAO
Risks
1. Deferral of investing in facility renewal Town-wide is stretching lifecycles of existing
infrastructure beyond typical lifecycle limits.
2. Rising utility costs increase operational costs
3. Changing volunteer base -aging, capacity and intent is decreasing
4. Strong competition from private recreational services offered in Town
5. Loss of revenue due to fewer extracurricular sports and trips at schools
6. Aging work force requiring succession planning and modifications to work
processes.
7. Access to trained, qualified, part-time staff
2013 Business Objectives-Continued
Item Division
(Strategic Plan Reference #)
Implement electronic parks and facility inspection PRS-Facilities
tracking to meet industry trends and best practices in
risk management and monitoring. (1-4)
Install two beach volleyball courts in the Memorial PRS-Parks
Park area near the Pavilion to increase recreational
opportunities and potential revenue from an
organized league. (5-1, 5-5, 6-10)
Monitor contracts for year three of grass cutting &
horticulture for Municipal parks (1-4). Issue RFP for
2014-2016 in summer 2013.
PRS-Parks
-'-•....
Facilities
Manager
Facilities
Manager
Facilities
Manager
$2,500
$3,000
$100,000
Actual
Value
Target
Date
Q1
Q2
Q2-Q3
Actual
Date
2013 Business Objectives
Item Division
(Strategic Plan Reference #)
As part of the Marketing Strategy, create Tourism PRS~all with
packages to be distributed to our User Groups.(2-16) DCS-Comm.
and use social media (1-17). To be developed in
partnership with the Development and
Communication Services Department.
Undertake a revitalization plan for the Tillson burg PRS-all
Cemetery and Pioneer Cemetery (6-16) 2013 focus:
Pioneer Cemetery
/--,_
Programs
Manager
Director
$5,000
$15,000
Actual
Value
Target
Date
Q1-Q2
Q2-Q3
Actual
Date
Opportunities
1. Continued implementation of Master Plan
2. ACR utilization provides clarity and direction to all, optimal customer service
3. Expanding health club services for mature and older adults and therapy uses
4. Expand marketing regionally and provincially for Lake Lisgar Waterpark and
Museum/Culture operations & events.
5. Partner with adjacent municipalities on achieving a more sustainable regional
parks and recreation system
6. Support economic development by being an attractive destination for investment
and relocation.
7. Programming opportunities to replace lost extra-curricular activities at school.
Future Departmental Directions: 3 year outlook
2015
• Undertake a Physical Activity Strategy that aims to increase physical activity
levels throughout Tillsonburg for a range of ages, interests and abilities
• Formalize a Code of Conduct that governs the staff and volunteer approach to
work
• Continue to explore broad ways in which to fund the development and
operation of parks and facilities, through use of a variety of funding
mechanisms and community involvement
• Update a Parkland Design Standards Manual that provides the development
industry with technical guidance on the parks amenities.
Performance Measures
Efficiency Measure -$ Cost -Parks and Recreation Services
Department net operating cost as a percentage of total net municipal operating costs.
Facilities
Parks
PRS Total
2009
Actual
21.8%
3.4%
28.5°/o
2010
Actual
23.0%
4.5%
30.5°/o
2011
Actual
20.4%
3.9%
26.9°/o
2012
Budget
20.1%
3.5%
26.5°/o
2013
Budget
18.4%
3.4%
24.8°/o
Performance Measures
Effectiveness/Customer Service-Parks & Recreation
Programs
• Record usage of program registration versus available registration spaces.
• Measurement: to be completed each session through CLASS software and
reported quarterly where possible.
• Purpose: To identify utilization and trends in usage and to provide future
program direction.
• Goal: 70% of registration capacity
• 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 and facilities are meeting the needs of our customers
and to assist with future programming trends and staff training.
• Goal: 80°/o overall satisfaction in each category
• Continue to provide attendance comparisons.
• Measurement: Through CLASS and staff, collect total attendance for all
programs and memberships. Compared quarterly.
• Purpose: To continue our statistical comparisons that assist us in gauging the
success of our programming. These statistics also show facility usage.
• Goal: 5% increase yearly
Performance Measures
Effectiveness/Customer Service -Museum
Exhibits/Special Events/ Programs
• Continue to provide attendance comparisons
• Measurement: Through CLASS and staff, collect total attendance for all visits,
programs and special events. Compared quarterly and annually
• Purpose: To continue our statistical comparisons that assist in gauging the
success of advertising initiatives, the planned calendar of exhibits , offered
programs and special events
• Goal: annual visitation equivalent to 55°/o of town population
• Customer Satisfaction Survey
• Measurement: minimum of 10 comment cards to be completed by museum
patrons per exhibit, event or program to elicit feedback. Comment cards to
include a ranking system for overall enjoyment of exhibit, event or program.
• Purpose: to ensure that exhibits, special events and programs are meeting the
wants and needs of museum patrons
• Goal: overall ranking of 75°/o satisfaction
Human Resources
Allocation/Deployment Plan
2010
Director
Parks, Facilities & Cemetery
Total FTE Requirements-Full
time
1
14
30
2012
1 1
13 13
28 28
2013
1
13
28
Town ofTillsonburg 450 -Recreation -Parks
2013 Financial Plan I I
l012 I l013
Budget I Projectlon I Budget
Operalf11g Pla11 -Cost Code Summary Re~n~-----1--------------------~----------,.------
Special Levy, Locallmprovements,PJLS
3000 Taxes -Re.~ldendal
3005 Taxe.~ -Muld-Residential
3010 Taxes -Oxninereial
3012 Taxes-Commercial Vacant Unit
3014 Taxes -Commereial Vacam Land
3020 Taxes-Shopping Centre
3022 Taxes ·Shopping centre Vacant Unit
3030 Taxes • lnduslrial
3032 Taxes" Jndusbial Vacant Unit
3034 Taxes--Industrial Vacant Land
.3040 Taxes ·PiPelines
3050 Taxes-Flirmland
3055 Taxes· Farruland-Pev.l'hase l
3060 Taxes-~ lndustrial
3062 Taxes· l.arl!e lndustiial Vacant Unit
3070 Taxes-Su}lplementaries
3075 Taites-Bill79Cappedl.tvy
3080 Taxes -Capped Rebares/Claw Backs
3085 Taxes-W/O's
3090 Taxes-PU..'s
3095 Local JIDprovemcnts -Residential
3096 Local Improvements-· Conuriercial
3100 Tax Ad usunents
3105 Taxes -Penal tv & lnrerest
Government Grant~ & Subsidies
3200 Grants &"Subsidies-Federal --.
3205 Gnml• &Subsidies-Provincial
3210 Grants &Subsidies-Other -2,000 .
User Charges
3300 Mlscellanoous Revenue 3.000 4.030 4,500
3301 Residential Usa2e
3302 General Usage
3305 Admissions
3310 Fares. & Fees
3315 Membelships
3320 Seasonal Revenues
3325 Sports Fields Fees
3330 Youth PmJnlll Fees
3335 Adult Promm Fees
3340 Summer ProJnlllS
3345 Participate Promms
3350 MinOr Hockey
3355 Figure Skating
3360 Program.~
3365 Landscaping
3400 PenrutFees
3410 Licenc¢ Fees
3420 Certificates
3430 ln•uections
3500 Rental' ---
3505 Mercblutdise
3510 Concessioti Sales
3515 Venomg Machines
3600 Interest
3601 Laie Payment Charges
3700 Sliecial
3701 Capital Surcbr2e -ReSidential
3702 Capital Surcbrl!e -General
3705 Donations-. --
3800 Sewer Revenue-SurChatHe
JgQJ Reg 170 Surchrge_. Residential
3W2 Reg 170Surchrge_' General
3815 Extmordinary Revenue
3999 Revenue Clearing Account
Specified Revenues
3805 Development Charges
3810 SaleofA~ts
3820 Debenture Proceed~ -
Contribution ftom Reserves
3900 Contribution from Reserves . -
3905 Contribution from DC Reserves
3000 6030 4.500
1r.itno137!35PM Page 1 of 2
Town of Tillsonburg
)13 Financial Plnn
5 year Capital Plan
Horse B1l01 Demolition
623 Parks Building Demolition-CFWl)
3
4 GIIF -Lake Lisgar
5
6
Description
2013
1 Tr4ilDevelop,flUlnt --
..
Playground Equipment for new park.,;;tr.ea ~ QaKparkne;WVictoMa Wood
.·· . . . . -
4
5
2014
1 Trail Development
Playground Equipment replacement alldupgiades
.-·. . .---__ ···";: ._._-·----~-_-_·
t ! .. -.-
2015
1 Trail development as part of the tniils .tilasl.¢rpl~
Ph~ygrouild ~llipm:ent -.-.•. ---
4 .· ._
5
2016
1 Trail development as part of the trails master plan
2 Playground Equipment --..
3
4
5
2017
5 yr Capital Plan Page 1 of 1
Capital Costs
Expenditures Reserves
.. -~
112;5(}()
155,500
50,@
·.--·
125,000
:: . ·-·_ . -.
-.. ·-
80,000
30.®
.-
80,000
50,Qo0
30.000 .-_ .. :
-.---
80,000
1/30/2013
Town ofTillsonburg 460 • Recreation • Programs
2013 Financial Plan I I
2012 2013
Bud~et Pro ectlon Bud~~~
QpPrnting l'lall ~ C()st Code S11mmary R~~~-----l-------------------------------r------
SPe<:ial Levy, LOcal Improvement~. PIL'>
3000 Taxes -Residential
3005 Taxes • Multi-Residential
3010 Taxes -Coinmeroial
3012 Taxes-Cliniritim:ial VadmtUnlt
3014 Taxes -Commetl:ial Vacant Land
3020 Taxes -Sbi!Pping. centre
3022 Taxes -ShoppjnJt Centre Vacant Unit
3030 Taxes -Industrial
3032 Taxes-lndusirial Vacant Unit
3034 Taxes -Industrial Vacant Land
3040 Taxes -Pi_pelines.
3050 Taxes -Fannland
3055 Taxes-Fannlaild Dcv. Phase I
3060 Taxes -Large Industrial
3062 Taxes· Large lndustrial Vacant Unit
3070 Taxes -SuPPTementaries
3075 Taxes-Biii7~Cavoedl.evy
3080 Taxes-Capped Rebates/Claw Bnck.•
3085 Taxes~W/Q's
3090 Taxes -pn.•s
3095 Local Improvements -Residential
3096 Local Improvements -Commercial
3100 Tax Adjoistrnen!S
3105 Taxes-PenaltY & Interest
Government Grants & Subsidies
3200 Grants & Subsidies~ Federal 4,000 5.386 3,500
3205 Grants & Subsidies -I'rO'Iineial 11.700 45;804 42,708
3210 Gnlnts & Sulisidies-Otber
User Chai2es
3300 Miscellaneous Revenue 5,000 9.794 4,900
3301 Re.<identiaiiJsage
3302 General U5age
3305 Adliiissions 134,750 120.733 132 .. 200
3310 Fares&Fees .25.000 28.414 25,000
3315 Memberiiliips 119.1SO 174,)77 180.300
3320 Seasonal Revenues 85,000 90.828 85,000
3325 SJ)QIU Fields Fees 19,000 22.114 21~000
3330 Yooilh Program F.ee$ 186,500 168;942 194.500
3335 Adul!Progi;unFees 54,000 43,395 47,000
3340 Summer Programs 90,500 79.091 '10,000
3345 Participate Programs
3350 Minor Hockey 186,800 179,336 186,000
3355 Fill\ll'eSUtlng 73,500 69.526 70,000
3360 ProRJ](ms 34,500 34,584 34,500
3365 Landscapinl
3400 Permit·Fees
3410 LiCence Fees
3420 CertifiCates
3430 Inspections
3500 Renlals 163.200 170 282 158,200
35.05 Merchandise 10,000 12,177 15,000
3510 Concession Sales 42;000 36,080 42.000
3515 Vendirik Macbilles 29,000 26,657 29.000
3600 Interest
3601 Late Pavment <llall!CS
3700 Special 13,000 11,414 12000
3701 Capital Surchr~_-Rlisldential
3702 Capital Sun:hrge -General
3705 Donations 10.000 12,000 10,000
3800 Sewet Reveoue·Surcbaqe
3801 Reg170 Surchrge -Residential
3802 Rei\ no Surchrge -General
3815 Extrnordinary Revenue
3999 Revenue Clel\rln2 AccO\Hll
SpeCified Revenues
3805 Develooment Chanr.es --
3810 Sale of Assets
3820 Debenture Proceeds
Contribution from Reserves
3900 I Contnl>ution from Reserves --
3905 I Contnlmtion from DC Resen•es
I 1.357 200 1.340.795 1.362.808
113Q120137:.45PM Page 1 of 2
Town of Tillsonburg
) 13 Financial Plan
5 year Capital Plan
Description
r-1 E.eereiition Master Plan ill.itiatives (from b_usine§s plan)
2
3
4
5
2013
l. Recreation Master Plan implementation
2
·,~
4 ~ :
5
~ ~
2014
1 Recr~tioti Master Phm implementation
2
3
.)
2015
1
2
3
5
2016
2
3
4
5
2017
5 yr Capital Plan
Capital Costs
Expenditures Reserves
35,000
35,000
lQO,OPQ
100,000
100,000
100,000
Page 1 of 1 1/30/2013
Town ofTil/sonburg 465. Recreation • Facilities
2013 Financial Plan I I
J 20ll I 2013
Budaet I Pro eetion Budl!et
--------1------~0~~~~~~~~~~~~~~~----Revenues -----r-----Special Levy, Local Improvements, PILS
3000 Taxes -Resideitlial
3005 Taxes -Mulii-Residential
3010 Taxes.-ComniereiaJ
3012 Taxes -Conimereial Vacant Unit
3014 Taxes-Commercial Vacant Land
3020 T~e.~ -ShoPPinst centre
3022 Taxes· Showinl! centre Vacant Unit
3030 Taxes -Industrial
3032 Taxes-Industrial Vacant Unit
3034 Taxes-Industrial Vacantland
3040 Taxes -Pipeline.~
3050 Taxes -Farmland
3055 Taxes-Farmland Dev. Phase I
3060 Taxes -Large lndu~trial
3062 Taxes -1..ar]!e Industrial Vacant Unit
3070 Taxes -Supplemenlliries
3015 Taxes -8i1119 Canred Levv
3080 Taxes -cauned Rebates/Craw Backs
3085 Taxes-W/O's
3090 Taxes -PIL's
3095 Loc.al lmprovt:mtmts.-Residential
3096 Local Improvements·· Commercial
3100 Tax AdJuMments
3105 Taxes -PenaltY & Jntere.~t
Government Oranlli & Subsidies
3200 Gmnts &: Subsidies-Federal
3205 Gran IS & Subsidies-Provincial
3210 GJ:a.nts & SubSidies,Olher
User Char•es
3300 MisceUimeous Re•enue ---
3301 Residential Usaee
3302 General Usage
3305 AdmissionS
3310 Fares.& Fees
3315 MembershiPS
3320 Seasnnal Re .. nues
3325 SJll)its Fields Fees
3330 Y onlh Pmgtam Fees
3335 Adlllt Progr;un Fees
3340 Summer PrOiiiiiiS
3345 Participate Prol!iiliiS
3350 Minor Hilcltey
3355 Figure Skating
3360 Prolt[IIIIJS
3365 LandseaPiml
3400 Permi\Fees
3410 Licence Fees
3420 Certificates
3430 )ns~liilnS
3500 Rentals 22.500 20.279 10.600
3505 Merchandise
3510 Concession Sales
3515 Vending Machines
3600 Interest
3601 Late Pavment Cbar~:es
3700 Special
3701 .Cipital Surchn!e-Residential
3702 Capital SUrchfge-General
3705 Donations ---
3800 Sewer Revenue-Surchar""i!e
3801 Reg 170 Surcilm"-Residelltial
3802 Reg 110 Surchree -General
3815 Extraordinary Revenue
3999 Revenue Clearin• Account
Specified Revenues
3805 Develooment Cbarl!es -36,341
3810 Sale of AsselS
3820 Debenture Proceeds
Contribution from Reserves
3900 I Contribution from Reserves --
3905 I Contribution from DC Reserves
22.500 56.620 10600
lt31V20137:40PM Page 1 of2
T_own of Tillsonburg
\ }13 Financial Plan
5 year Capital Plan Capital Costs
Descriotion Exoendihtres Reserves
,...--
1 Ht}lllth CJubEquiprnent{weights, racks, etc.) 10,000
2 Auctit6rium Roof --20,000
3 Accessible Washroom '50,000
4
5
2013 60,000 20,000
l 42,000
RoVJirig Cl~b Roof( concrete roofnew coating)
4
5 · s:o~ooo
6 Seniors Roof --
7 Ice Edger .s,ooo
2014 214,000
\-~--.---------------------------------------------------~~--------~--------~ }
4 Energy Managenient _ 50,000 ·
5 --_
2015 150,000
1 RePht¢e Wateroark roof 50,000
2 Arena hot-waterh~ters
4
5
2016 140,000
1 Replaee aeatthClub Equipment JO,QOo
2 WatemarkPump teplacenient 12~000
1 Indoor-Pool ShutdoWn so;ooo -r--~E~-~-r~r~~m~ft~ri~a~~e-m-e~m~_ ~-------------------------------------;-----_~5~0~~~-~ __ r---------~
~.~---------------------------r---------;--------~
2017 122,000
5 yr Capital Plan Page 1 of 1 1/30/2013
Town {}/Tillson burg I 415-Museum
2013 FiTUJncial Plan I I
2012 2013
Bud2et Pro ecllon BudKe I
O.J!P'DiiiiJLPian-Cost Code Smnman• -----,...-----________ l _______ ----------~~~----·
Revenues
Special LevY. Locallmprovemenls, PJLS
3000 Taxes -Residential
3005 Taxes -Multi-Residential
3010 Tl!lles -Commercial
3012 Tl!lles-Collllileroial Vacant Unit
3014 Taxes -{:oinitierdal Vancant Uu!d
3020 Taxes • Shopping Centre
3022 Tl!lles-ShoJll)lngCentre Vacant Unit
3030 Tl!lles -Industrial
3032 Tl!lles -InduStrial Vacant Unit
3034 Tl!lles-Jodu.~lrial Vacant Land
3040 Taxes -Plt!CI~s
3050 Taxes-Fannland
3055 Taxes-Fannland Dev. Phase I
3060 Taxes-Lar2e"lndustrial
3062 Taxes-Large lndustrial Vacant Unit
3070 Taxes • Supplemeowies
3075 Tlllles-Bill 79 Capped LevY
3080 Taxes • eapped Rebates/Claw Back.<
3085 Taxes-WIO:s
3090 Tl!lles-PIL's
3095 LocaJJmprovements-Residential
3096 Locallmnrovements-Commercial
3100 Tax Ail'ustments
3105 TaxeS -Penalty & Interest
Government Grants & Subsidies
3200 Grants & Subsidies -Federal 7.805 3.365 3,365
3205 Grants & Subsidies -Provlnclal 17.899 17.899 17.899
3210 Giants & Subsidies-Other 2.SOO 1.500 3.500
Oilier Revenues
3300 Mi!icellaneous Revenue -. 2,000
3301 Residential Usa2e
3302 GenemUSI!JlC
3305 Admissions 6,700 6.426 7.150
3310 Faie~&Fees
3315 MembeJiibi])S ---
3320 SeasOnal Revenues
3325 SPOrts Fields Fees
3330 Youlh Proanun Fees
3335 AdultPil!Rtnm Fees
3340. Sumn!eT Pr0Rran1s 5.950 4,882 6,000
3345 Participate-Programs
3350 Minor-Hockey
3355 Figure Skating
3360 Pl'ORfBffiS 2,350 2,401 5,500
3365 Un(ls(aping
3400 PennitFees
3410 Licence Fee~
3420 Certificates
3430 lnsoectioD,S
3500 Rentals 800 750 1,200
3SOS Merchandise 500 400 1.000
3510 Coocession Sales 1,900 1.965 2,000
3515 Vending Machines
3600 lnterest - - -
3601 La!e Payineitt ChargeS
3700 Special 25,600 25,535 31,770
370! eaoi!al Surchr2e-Residentinl
3702 Caoltal SurchrJ!e-General
3705 Donations 2,000 2.977 3,000
3800 sewer Revenuf'Surcharge
3801 Reg 170 Surchq:e -Residential
3802 Reg 170 Surchrge -General
3815 Extraordinacy Revenue
3999 Revenue Oearlng Account
Soecified Revenues
3805 Development CltnrRes
3810 Sale of Assets
3820 Debenture Proceeds
Coutribution from,Reserves
3900 ConWbution from Reserves --
3905 Conb'ibution from DC Reserves
74004 68,101 90384
tr»"2013?~7PM Page 1 of 2
Town of Tillsonburg , ·· ·13 Fina11cial Plan
,J year Capital Plan
s··.
.~~)
)4:.:
..
5 yr Capital Plan
Description
..
2013
Capital Costs
Expenditures Reserves
··.·· .. ·•.
-.. . · ... : .·
15,000
Page 1 of 2 1/30/2013
Town ofTillsonburg I 300-Cemetery
2013 Financial Plan I I
2012 2013
J Bud•et ProJedlon Bud2et
~-------l _______ oe~~~~~~~~~~~~~~----Revenues -----.------Special Levv, Local Improvements, PILS
3000 Taxes -Residential
3005 Taxes-Multi-Residential
3010 Taxes-Commercial
3012 Taxes-Commercial Vacant Unit
3014 Taxes-Comme!clal Vancant Land
3020 Taxes -Sbomiinl! Centre
3022 Taxes-Sh0llllm2 Centre Vacant Unit
3030 Taxes" Industrial
3032 Taxes -lndus!dal Vacant Unit
3034 Taxes -Industrial Vacant Land
3040 Taxes -Pipelines
3050 Taxes-Farmland
JOSS Taxes -Pannland Dev. Phase I
3060 Taxes -lArge Industrial
3062 Taxes -Lar2e litdustrial Vacant Unit
:1070 Taxe.~ -SIIllPiemenWies
3075 Taxes -Bill 79 Capped LeVY
3080 Taxes -Canoed Rebates/Claw Backs
3085 Taxes-W/O's
3090 Tnes-PII..'s
3095 LocaUmprovements -Residential
3096 Locatlmprovemenl~-Commercial
3100 Tax Adjustments
3105 Taxes-PenallY & litterest
Government Grants & Subsidies
3200 Gnuits & Subsidies -Federal ---
3205 Grants & Subsidies ·'Provincial
3210 Grants & Subsidies-Other
User Charges
3300 Miscellaneous Revenue 130,000 130,354 134.000
3301 ResideDtial Usa2e
3302 General Usage
3305 Admissions
3310 Pares & Fees
3315 MemberShips
3320 SeasOnal Revenues 13,000 8,533 8.500
3325 SJ)OI'ts Fll!lds Fees
3330 Youth Program Fees
3335 Adult Program Fees
3340 Summer Pr<H!iam<
3345 Participate Pro=ms
33.50 Mln.or HockeY
3355 Fi21HC Skatlnl!
3360 Programs
3365 Land~apmg
3400 PemiitFees
3410 Licence Fees
3420 Cenificates
3430 lnsoections
3500 Rentals
3505 Mei'chlllldlse
3510 Concession Sales
3515 Vending Machines
3600 Interest 17,420 17,000 13,900
3601 Late Pilyment CharRes
3700 Sneclat
3701 Calliral Surcbrge-Residential
3702 Caoital Sun:hr .. • General
3705 Donations 500 500 500
3800 Sewer Revenue"Surcbar~e
3801 Reg 170 Surchr•e -Residential
3802 Reg 170 Surchr•e -General
3815 Extraordinary Revenue
3999 Revenue Clenrin~ Account
Specified Revenues
3805 Development Chnrees
3810 Sale of Assel~
3820 Debenture Proce.eds
Contribution from Reserves
3900 Contribution from Reserves -.
3905 Contribution from DC Reserves
160 920 156,387 156900
1136'2013 7:52PM Page 1 of 2
Town ofTillsonburg
"'113 Financial Plan
~ year Capital Plan
l
5
5 yr Capital Plan
Description
Page 1 of 2
Capital Costs
Expenditures Reserves
44,000
20,000
1/30/2013
Town ofTillsonburg I 470-Ubrary
2013 FinancialPlan I I
2012 2013
Budeet Pro ectlon Budaet
________ l _______ oE~~~~~~~~!~~~~Z---------------ReventreS
Special Levy,l.ocallmprovements, PJLS
3000 Taxes • Re.•ldenriill
3005 Taxes • Multi-Residential
3010 Taxes • Commercial
3012 Taxes· Commercial Vacant Unit
3014 Taxes· Conunercial Vancant Land
3020 Taxes • ShOmlina Centre
3022 Taxes· SholliJinl! centre vaclllit Un1t
3030 Taxes ·Industrial
3032 Taxes· Induslrial Vacant Unit
3034 Taxes • IndiiStriaJ Vacant!Jind
3040 Taxes -Pipelines
3050 Taxes • Farmland
3055 Taxes· Farmland Dev. Phase l
3060 Taxes ·Large Industrial
3062 Taxes • l.Mge Industrial Vacant Unit
3070 Taxes · Supplementaries
3075 Taxes • Bill 79 Capped Levy
3080 Taxes • Capped Rebates/Claw Backs
3085 Taxes-W/O's
3090 Tues-PIL's
3095 LOcal Improyements -Residential
3096 Localltnprovemeats · Commercial
3100 Tax Adju•tment•
3105 Taxes • Penalty & lnten:st
Government Grants & Subsidies
3200 Grants & Subsidies-Pedeml 3,000
3205 Grants & Subsidies · Provincial 23,685 23,685 .
3210 Grants & Sulisidies-Otber . 18,319 -
Other Revenues
3300 Mil;cellaneous Revenue 12,000 1&.177 -
3301 ReSidential Usage
3302 General Usage
3305 Admissions
3310 Fares & Fee.•
3315 Memberships . -
3320 Seasonal Revenues
3325 Spons.Fieids Pees
3330 Youth Program)"ees -. .
3335 AdultProgiam Pees . . .
3340 Sumnier Programs 3,750 3,058 .
3345 l'lirticipate Programs
335() Minor Hockey
3355 Fil!IIR: Skatinl
3360 PrOJ!111111S
3365 landsCaping
3400 Permit Fees
3410 Licence Pees
3420 Cenilicates
3430 Inspections
3500 Rentals 2,000 2,036
3505 Merchandise 400 .
3510 Concession Sales
3515 VendioR Machines
3600 IntereSt 1,000 2.088
31i01 Late P.aYn1ent Charges
3700 SIJeCial
3701 Capital Surcbrge -Residential
3702 Capital Surcbrge • General
3705 Donations 6,000 6,891 .
3800 Sewer Revenue-S=bar~e
3801 Rei! 170 Stu'chrl!e · Residential
3802 Rel! 170 Surchrl!t ·General
3815 Extraordinary Revenue
3999 Revenu~ Clearinl! Account
Specified Revenues
3805 Development Charges -18,823 .
3810 Sale of Asset•
3820 Debenture Proceed~
Contribution from Reserves
3900 Contnoution from Reserves . .
3905 Contribution from DC Reserve.~ 20.000 20,000 .
71,835 113,076 .
113Q120137:64PM Page 1 of2
Town ofTillsonburg 467. Elliott Fairbairn Centre
2013 Financial Plan I I
2012 I 2013
Bud2et Proecllon I Budget
Operati11g l'la11-Cost Code S11mmal)' --------l---------------.------------r-----------Revenues
Special Levy, Lccallmprovement<, PILS
3000 Taxes-Residential
3005 Taxes-Multi-Residential
3010 1'axes -Ci>n11nercial
3012 Taxes-Commm:ial Vacant Unit
3014 Taxes· Commercial Vancant Land
3020 Taxes-Shopping Centre
3022 Taxes-Sbonilinll 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 l
3060 Taxes -U!rge 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 -Pll . .'s
3095 Lccallmprovement< -Residential
3096 Local Improvements -Commercial
3100 Tax Adjustments
3105 Taxes -Penalty & Interest
Governinent GrantS & Subsidies
3200 Grant• & Subsidies -Federal
3205 Grants & Subsidies -Provincial
3210 Grant< & Subsidies-Other
Other Revenues
3300 Miscellaneoils Revenue
3301 Residential Usage
3302 General Usage
3305 Admissions
3310 Fares& Fees
3315 MemberShips
3320 Seasonal Revenues
3325 Spons Fields Fees
3330 Youth Program Fees
3335 Adult Program Fees
3340 Summer Programs
3345 Participate Programs
3350 Minor Hockey
3355 Figure Skating
3360 Pr011.180lS
3365 Land<eapinJ!
3400 PelmitFees
3410 Ucence Fees
3420 cenificates
3430 Inspections
3500 Rentals 74.983 74.491 74.980
3505 Merchandile
3510 Concession Sales
3515 Vending Machines
3600 lnterest
3601 Late l'Bymenl Chllrl1es
3700 Special
3701 Capital Surchrge -Residential
3702 capital Surchrge -General
3705 Donations
3800 Sewer Revenue-Surcharge
3801 Rel! 170 Surchrge -Residential
3802 Reg 170 Surchrge -General
3815 Extraordinary Revenue
3999 Revenue ClearinR Account
Specified Revenues
3805 Deve1onment CharRes
3810 Sale of Assets
3820 Debenture Proceeds
Contribution from ReserYeS
3900 I Contribution from Reserves --
3905 I Contribution from DC Reserves --
I 74,983 74.491 74,980
113G'20137:55PM Page 1 of 2
THE CORPORATION OF THE TOWN OF TILLSON BURG
BY-lAW NUMBER 3106
BEING A BY-lAW to confirm the proceedings of Council at its meetings held on the 12th day of
February, 2013
WHEREAS Section 5 (1) of the Municipal Act, 2001, as amended, provides that the powers of a
municipal corporation shall be exercised by its council;
AND WHEREAS Section 5 (3) of the Municipal Act, 2001, as amended, provides that municipal
powers shall be exercised by by-law;
AND WHEREAS it is deemed expedient that the proceedings ofthe Council of the Town of
Tillson burg at this meeting be confirmed and adopted by by-law;
NOW THEREFORE THE MUNICIPAL COUNCIL OF THE CORPORATION OF THE TOWN OF
TILLSONBURG ENACTS AS FOLLOWS:
1. All actions of the Council of The Corporation of the Town of Tillson burg at its meeting held
on February 12, 2013, with respect to every report, motion, by-law, or other action passed
and taken by the Council, including the exercise of natural person powers, are hereby
adopted, ratified and confirmed as if all such proceedings were expressly embodied in this
or a separate by-law.
2. The Mayor and Clerk are authorized and directed to do all the things necessary to give effect
to the action of the Council of The Corporation of the Town of Tillson burg referred to in the
preceding section.
3. The Mayor and the Clerk are authorized and directed to execute all documents necessary in
that behalf and to affix thereto the seal ofThe Corporation of the Town of Tillson burg.
4. This By-Law shall come into full force and effect on the day of passing.
READ A FIRST AND SECOND TIME THIS 12th DAY OF February, 2013.
READ A THIRD AND FINAL TIME AND PASSED THIS 12th DAY OF February, 2013.
Mayor-John Less if
Clerk-Donna Wilson
Town of Tillsonburg I 180-Protection
2013 Financial Plan I I
2012 2013
I Bud2et Pro ectlon Budget
Operating Plan • Cost Code Summary ~7.~~-----~-------------------~~---------------Special Levv, Local Improvements, PILS
3000 Taxes -Residential
3005 Taxes -Multi-Residential
3010 Taxes -Commercial
3012 Taxes-Commercinl Vacant Unit
3014 Taxes-Commercial Vnncant Land
3020 Taxes-Shoppino Centre
3022 Taxes-ShOPPino Centre Vacant Unit
3030 Taxes -lndusbinl
3032 Taxes-Industrial Vacant Unit
3034 Taxes -Industrial Vacant Land
3040 Taxes -Pipelines
3050 Taxes -Fannland
3055 Taxes-Fannland Dev. Phase I
3060 Taxes -Large Industrial
3062 Taxes -Laroe Industrial Vacant Unit
3070 Taxes -Supplementaries
3075 Taxes -Bill 79 Caooed Lew
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 -Penaltv & Interest
Government Grants & Subsidies
3200 Grant• & Subsidies-Federal 1,887
3205 Gronts & Subsidies -Provincial
3210 Gronts & Subsidies-Other
User Chnroes
3300 Miscellaneous Revenue 20,900 19,270 24,700
3301 Residential Usru!e
3302 General Usage
3305 Admissions
3310 Fares & Fees
3315 Memberships
33:!0 Seasonal Revenues
33:!5 Sports Fields Fees
3330 Youth Proorom Fees
3335 Adult Program Fees
3340 Summer Prnl!l1lffi.•
3345 Participate Prooroms
3350 Minor Hockev
3355 Fil!llte Skatino
3360 Programs .
3365 Landscaping
3400 Permit Fees
3410 Licence Fees 47,600 47,075 47,600
3420 Certificates
3430 Inspections
3500 Rentals
3505 Merchandise
3510 Concession Sales
3515 Vending Machines
3600 Interest
3601 Late Pa'lffienl Chnroes
3700 Special
3701 Capital Surchroe -Residential
3702 Capital Surchroe -General
3705 Donations
3800 Sewer Revenue-Surchnre.e
3801 Reg 170 Surchroe -Residential
3802 Re• 170 Surchme -General
3815 Extraordinary Revenue
3999 Revenue Cleariru! Account
Soecified Revenues
3805 Development Charl!es
3810 Sale of Assets
3820 Debenture Proceeds
Contribution from Reserves
3900 Contribution from Reserves -
3905 Contribution from DC Reserves .
68,500 68,232 72 300
1fJOI20133:16PM Page 1 of 2
Town of Tillsonburg
)13 Financial Plan
5 year Capital Plan
r-1
2
3
4
5
Descriotion
2013
1 AUTOMATIC HANDHELD TICKET ISSUER
2 TICKET TRACER-INTEGRATION WITII PAYMENT MANAGER-CLASS
3
4 .·
5
2014
1
2
3
4.
\5 .. -
2015
2
3 . ··.'
4
5
2016
1 ·.
2 .·
3 -
4
5
2017
5 yr Capital Plan Page 1 of 1
Capital Costs
Exoenditures Reserves
-
-
7,000
26,000
33,000
-
1/30/2013
Town of Tillsonbrlrg I I 00 • Council
2013 Financial Plan I I
2012 2013
Budget Pro"ection Budget
Operating Plarr • Cost Code Summary ie-;.;;;;;;-----~-------------------~~;; ----------------
Special Levy, Local Irn rovernents, PILS
3000 Taxes-Residential
3005 Taxes-Multi-Residentinl
3010 Taxes -Commercial
30I2 Tnxes-Commercial Vacant Unit
30I4 Taxes-Commercial Vnncant Land
3020 Taxes-Shopping Centre
3022 Taxes-Shopping Centre Vncant Unit
3030 Taxes -Industrial
3032 Taxes -Industrial Vacant Unit
3034 Taxes -Industrial Vacant Land
3040 Taxes -Pipelines
3050 Taxes • fll11IIIand
3055 Taxes-Fll11IIIand Dev. Phase I
3060 Tnxes -Lar~e Industrial
3062 Taxes-Large Industrial Vacant Unit
3070 Taxes-Suoolementaries
3075 Tnxes ·Bill 79 Cnpped Levy
3080 Taxes -Cnpped Rebntes/Ciaw Backs
3085 Tnxes-W/O's
3090 Taxes -PIL's
3095 Local Improvements -Residential
3096 Locallmurovernents -Commercial
3100 Tnx Adjustments
3105 Taxe."i -Penaltv & Interest
Government Grnnts & Subsidies
3200 GranL• & Subsidies -Federal
3205 Grants & Subsidies • Pmvincinl
32IO Grants & Subsidies-Other
Other Revenues
3300 Miscellaneous Revenue -3,327
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 Pro=rn Fees
3340 Summer Programs
3345 Particioate Programs
3350 Minor Hockev
3355 Figure Skating
3360 Programs
3365 Landscaping
3400 Pennit Fees
3410 Licence Fee."i
3420 Certificates
3430 Inspections
3500 Rentals
3505 Merchandise
3510 Concession Sales
3515 Vending Machines
3600 Interest
3601 Late Payment Charges
3700 Soecial -
3701 Cnpital Surchrge-Residential
3702 Caoital Surchr•e -General
3705 Donations -
3800 Sewer Revenue~Surcharge
3801 Re• 170 Surchr2e -Residential
3802 Re2 170 Surchrge -Genernl
3815 Extraordinary Revenue
3999 Revenue Clearinn Account
Specified Revenues
3805 Develuoment Charges
3810 Sale of Assets
3820 Debenture Proceeds
Contribution From Reserves
3900 Contribution From Reserves 20,000 20,000
3905 I Contribution From DC Reserves
20000 23 327
H:\l'inanca\Anantlal Plans\2013\2013 BudgeiS\VtlW121Z013 Bu!IQet 100 COtJncil· V2 !l30/ro!33:32PM Page 1 of 2
)
COUNCIL RESOLUTION
AGENDA ITEM NO.: __ _ Date: February 12, 2013
RESOLUTION NO.: 1
MOVED BY:
SECONDED BY: --'~-l~!Af!)___...ffi~~r-· J....t:=---
1
__ ·· __
RESOLVE THAT the Agenda as prepared for the Council Meeting of February 12, 2013, be
adopted.
~rried
D Recorded
Vote
D Defeated D Deferred D Tabled
(/1/Mayor's Initials
COUNCIL RESOLUTION
AGENDA ITEM NO.: Date: February 12, 2013
MOVED BY:
RESOLVE THAT the Minutes of the Council Meeting of February 4, 2013, be approved,
~arried
D Recorded
Vote
D Defeated D Deferred D Tabled
~yor's Initials
COUNCIL RESOLUTION
AGENDA ITEM NO.: __ _ Date: February 12, 2013
RESOLUTION NO.: 3
MOVED BY :
RESOLVE THAT Council receive the 2013 Budget follow up items as information.
~arried
D Recorded
Vote
D Defeated D Deferred D Tabled
COUNCIL RESOLUTION
AGENDA ITEM NO.: Date: February 12, 2013
RESOLUTION NO.: ___,4 __
MOVED BY:
RESOLVED THAT Council receive Report FIN 13-03 Parkland Trust;
RESOLVED THAT the Carroll Trail shortfall of $115,027 be funded from the 2012 surplus.
FURTHER RESOLVED THAT the outstanding pledges be recorded by the Town as the cash is received.
c{carried
D Recorded
Vote
D Defeated D Deferred D Tabled
~Mayor's Initials
COUNCIL RESOLUTION
AGENDA ITEM NO.: __ _
MOVED BY:
RESOLVED THAT Council receive HR 13-01 as information .
D Recorded
Vote
D Defeated D Deferred
Date: February 12, 2013
D Tabled
Cfl/Mayor's Initials
COUNCIL RESOLUTION
AGENDA ITEM NO.: __ _ Date: February 12, 2013
RESOLVE THAT Council receive the 2013 Development and Communication Services Business Plan as
information.
c=(carried
D Recorded
Vote
D Defeated D Deferred D Tabled
____/iL Mayor's Initials
COUNCIL RESOLUTION
AGENDA ITEM NO.: Date: February 12, 2013
RESOLUTION NO.: --=-7 __
MOVED BY:
RESOLVE THAT Council receive the 2013 Operations Business Plan as information.
G carried
D Recorded
Vote
D Defeated D Deferred D Tabled
L Mayor's Initials
COUNCIL RESOLUTION
AGENDA ITEM NO.: __ _ Date: February 12, 2013
RESOLUTION NO.:
MOVED BY:
RESOLVE THAT Council receive the 2013 Fire Business Plan as information.
cfarried
D Recorded
Vote
D Defeated D Deferred D Tabled
$Mayor's Initials
COUNCIL RESOLUTION
AGENDA ITEM NO.: __ _ Date: February 12, 2013
RESOLUTION NO.:
MOVED BY:
SECOND ED BY: _ffi~,;,.::.z:::==s:.__-=--=:::::=:====---
RESOLVE THAT Council receive Report FRS 13-01 Fire Communications Budget-Additional
Information.
D Recorded
Vote
D Defeated D Deferred D Tabled
~ayor's Initials
COUNCIL RESOLUTION
AGENDA ITEM NO.: __ _
RESOLUTION NO.: __J.O ~
MOVEDBY: ~~OJ___
SECONDEDBY: ----~-=--=--~-------------
Date: February 12, 2013
RESOLVE THAT Council receive the 2013 Parks and Recreation Business Plan as information.
d Carried
D Recorded
Vote
D Defeated D Deferred D Tabled
~Mayor's Initials
)
COUNCIL RESOLUTION
AGENDA ITEM NO.: __ _ Date: February 12, 2013
RESOLUTION NO .
MOVED BY:
SECONDED BY:&~~· ~~c___b~~~~~--
RESOLVE THAT By-Law 3706,_To Confirm the Proceedings of the Council Meeting of February
12, 2013, be read for a first and second time and th is constitutes the first and second reading
thereof.;
FURTHER RESOLVE THAT By-Law 3706 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.
~arried
D Recorded
Vote
D Defeated D Deferred D Tabled
~ayor's Initials