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130220 Council MINTown of Tillson burg Minutes of Council Meeting Date: Wednesday February 20, 2013 1:00PM Council Chambers Chair: John Lessif ! .. I· IVIII'IU I c;:,: IVIt:lt:lliii\J lUI lllt:l vUrnmmee Vpen vUWlGII Review Access: e Public 0 Private MINUTES ToWn'of Tillson burg Cow1cil M~eting on Wednesday Fel:)r~~ry ?0, 2013 01 :00 PM CounciiChambers Chair: John tessif Orders of the Day: CALL TO ORDER The meeting was called to order 1 :02 PM 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 Rick Cox, Director of Parks & Recreation Services Jeff Smith, Fire Chief ADOPTION OF AGENDA Resolution No. 1: Moved By: Councillor Rosehart Seconded By: Councillor Getty RESOLVE THAT the Agenda as prepared for the Council Meeting of February 20, 2013, be adopted. "Carried"" CLOSED MEETING SESSION Resolution No. 2: Moved By: Councillor Getty Seconded By: Councillor Rosehart RESOLVE THAT Council move into Closed Session, to consider: Matters relating to labour relations or employee negotiations (Compensation). 5 Page 1 MINU 1 t:::>: Meer1ng ror me L;Ommmee "Upen L;ouncll· reserves. Staff to review the budget to provide the additional reduction of $55,000. The budget to come to Council on March 11, 2013. The following resolution was passed. Resolution No. 5: Moved By: Councillor Getty Seconded By: Councillor Rosehart RESOLVE THAT Council receive Report FIN 13-06 2013 budget adjustments; FURTHER RESOLVE THAT Council adopts the following 2013 budget adjustments resulting in a reduction in the 2013 Budget of $398,553: -Total net reduction in funding for capital projects ($174,553) -Total net reduction in funding for operations ($224,000) "Carried" 3. 2013 Financial Plan G.:l Presented By: Director of Finance The budget document attached will be edited to reflect the changes discussed in item 2 above .. Development and Communication Services to add development charges revenue to the quarterly report. Resolution No. 6: Moved By: Councillor Rosehart Seconded By: Councillor Getty RESOLVE THAT the 2013 Financial Plan be received as information. "Carried" 4. 2013 Capital Project Listing [dl Presented By: Director of Finance Resolution No. 7: Moved By: Councillor Stephenson Seconded By: Councillor Beres RESOLVE THAT the 2013 Capital Project Listing be received as information. "Carried" 5. OPS 13-04 Operations Budget Supplementary Report Presented By: Director of Operations 2013 Operations Budget Supplementary Report 20022013.doc Replacement report# 66 19022013.doc liJ liJ -,: 2013 Budget 130 Fleet-V2.xls 2013 Budget 230 Parking -V2.xls 5 yr forecast annual repaves.pdf Page 3 MINU 1 t:::>: Meenng ror me Gomm1nee ··upen Gouncw "Carried" ITEMS OF PUBLIC INTEREST ADJOURNMENT Moved By: Councillor Klein AND RESOLVED THAT the meeting be adjourned at4:13 PM. "Carried" Approval Received: (0 of 1) Donna Wilson!Tillsonburg (Friday February 22, 2013 04:43PM) Town of Tillsonburg Page 5 MINUTES: Meeting for the Committee "Open Council" Review Access: Public Orders of the Day: MINUTES Town ofTillsonburg Council Meeting on Tuesday February 12, 2013 09:00AM Council Chambers Chair: John Lessif Call to Order Adoption of Agenda Page 1 of 4 4 Disclosure of Pecuniary Interest or the General Nature Thereof Minutes & Business Arising out of the Minutes CALL TO ORDER The meeting was called to order at 9:03 AM ATTENDANCE Mayor John Lessif Deputy Mayor Renaud J 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 David Sam is, Director of Development & Communication Services Jeff Smith, Fire Chief ADOPTION OF AGENDA Resolution No.1: Moved By: Councillor Rosehart Seconded By: Councillor Getty Finance Notice of Motion By-Laws Items of Public Interest Adjournment RESOLVED THAT the Agenda as prepared for the Council Meeting of February 12,2013, be adopted. "Carried .. MOMENT OF SILENCE DISCLOSURE OF PECUNIARY INTEREST OR THE GENERAL NATURE THEREOF No Disclosures of pecuniary interest were declared MINUTES & BUSINESS ARISING OUT OF THE MINUTES Minutes of the Meeting of February 4, 2013(1 Resolution No.2: Link to Agenda: 1':: http://notes.town.tillsonburg.on.ca/SuiteResponse/eGenda%205.0%20GA/eGenda50.nsf/... 22/06/2015 MINUTES: Meeting for the Committee "Open Council" Page 3 of 4 Moved By: Deputy Mayor Renaud Seconded By: Councillor Klein RESOLVE TilA T Council receive the 2013 Development and Communication Services Business Plan as information. "Carried" Council took a brief recess at 10:40 AM Council moved back into session at 10:50 AM 5. Operations 2013 Business Plan (I Presented By: Director of Operations Staff to provide a report regarding completing both phase I & 2 for Glendale Drive. To remove the Hospital traffic study from the business plan in the amount of$15,000. County of Oxford road reconstruction-town to do reconstruction in conjunction with the County -to look at connecting link funding to be moved to 2014. Staff to provide a report regarding the priority items for repaving parking lots in the down town. Replace unit #66 -to review the necessity of replacement regarding the current situation with THI Staff to provide the cost of repairs over the past year. Staff to provide a supplementary report at the February 14,2013 meeting for this vehicle, including delivery times. Staff to provide full reports on vehicles that are proposed to be replaced in the future. To put funding in reserves to cover future replacements of vehicles. Staff to provide further details regarding the repairs on the Ice re-surfacer and provide the cost of leasing. Staff to remove KHCL projects from the budget in the amount of$50,500. Staff to provide a report on insurance claims with respect to sidewalk inspections, did this improve claims -to look back a few years to get a points history. Staff to reference items that are THI related. Staff to provide a report on the results of the disposal of the old fire truck Staff to commence a dialogue with neighbouring communities who we share services with to look at sharing the costs of equipment. Staff to provide information on the hybrid program-report will be provided during the 2013 quarterly reports. Staff to provide an Asset Management list. Resolution No. 7: Moved By: Councillor Rosehart Seconded By: Councillor Getty RESOLVE TIIAT Council receive the 2013 Operations Business Plan as information. II Carried II 6. Fire 2013 Business Plan C Presented By: Fire Chief To provide Council with a report for developing and providing a time line for the fire strategic plan. Discussion took place regarding future purchases of fire fleet vehicles. The Fire Chief indicated that there are no plans for future purchases of a tanker fire apparatus. 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. Staff to provide Council with fire call statistics to outside municipalities. Resolution No. 8: Moved By: Councillor Getty Seconded By: Councillor Rosehart RESOLVE TIIAT Council receive the 2013 Fire Business Plan as information. "Carried" http://notes.town.tillsonburg.on.ca/SuiteResponse/eGenda%205.0%20GA/eGenda50.nsf/... 22/06/2015 MINUTES: Meeting for the Committee "Open Council" Review Access: Public Klrders of the Day: CALL TO ORDER MINUTES Town ofTillsonburg Council Meeting on Thursday February 14, 2013 09:00AM Council Chambers Chair: John Lessif The meeting was called to order at 9:05AM ATTENDANCE Mayor John Lessif Deputy Mayor Renaud Councillor Mel Getty Councillor Chris Rosehart Councillor Brian Stephenson Councillor Dave Beres Staff David Calder, CAO Donna Wilson, Town Clerk Darrell Eddington, Director of Finance Rick Cox, Director of Parks & Recreation Services Steve Lund, Director of Operations Jeff Smith, Fire Chief REGRETS Councillor Marty Klein Director of Development & Communication Services ADOPTION OF AGENDA Resolution No. 1: Moved By: Councillor Rosehart Seconded By: Councillor Getty AND RESOLVE THAT the Agenda as prepared for the Council Meeting of February 14, 2013, be adopted. "Carried .. MOMENT OF SILENCE DISCLOSURE OF PECUNIARY INTEREST OR THE GENERAL NATURE THEREOF No disclosures of pecuniary interest were declared. PRESENTATIONS 1. Erie Innovation & Commercialization(] 9:00AM Mr. John Kelly and Ms. Shelly lmbeault appeared before Council. Oxford county has supported this initiative. Staff will send a letter of support to Erie Innovation & Commercialization from the Town ofTillsonburg. Moved By: Deputy Mayor Renaud Seconded By: Councillor Beres AND RESOLVED THAT Council support a contribution to Erie Innovation & Commercialization; Page 1 of 5 Link to Agenda: ~ Presented By: John Kelly & Shelly Imbeault FURTHER THAT this funding come from the Economic Development 2013 Budget and Business Plan in the amount of $5,000. "Carried" 2. Business Improvement Area(] 9:30AM Presented By: John Kirkland, Chair http://notes.town.tillsonburg.on.ca/SuiteResponse/eGenda%205.0%20GA/eGenda50.nsf/... 22/06/2015 MINUTES: Meeting for the Committee "Open Council" FURTHER RESOLVE THAT Council support pre budget approval in the amount of$ 26,000 in the 2013 budget as per the existing MOU; AND FURTHER RESOLVE THAT an further $1,000 stipend be provided in the 2013 budget. "Carried'' 6. Tillsonburg Police Service Board t:l 11 :20 AM Page 3 of5 Presented By: John Smith, Vice Chair Mr. John Smith, a provincial appointee to the Board appeared before Council Council has requested that the Board identify special projects for the 2013 calendar year and provide that information to Council. Resolution No. 6: Moved By: Rosehart Seconded By: Councillor Getty RESOLVE THAT Council receive the report from the Police Service Board; FURTHER RESOLVE THAT Council support the Police Service Board operating budget in the amount of$7,950.00, with an additional $5,000.00 for special projects. ''Carried" 7. Tillsonburg Multi Service Centre a 11:40 AM Presented By: Maureen Vandenberghe, Communications & Development Coordinator Ms. Maureen Vandenberghe appeared before Council. To provide a breakdown of participants from each municipality in Oxford County in a future report. Mayor Lessifhas requested that he be kept informed regarding initiatives throughout Oxford County. It was suggested that MSC present to County Council next year at budget time. Resolution No. 7: Moved By: Councillor Getty Seconded By: Councillor Rosehart RESOLVE THAT Council receive the presentation by the Multi Service Centre; FURTHER RESOLVE THAT Council support the budget request in the amount of$ 5,000.00. "Carried" Moved By: Councillor Getty Seconded By: Councillor Rosehart AND RESOLVED THAT the meeting be in recess for lunch at 12:00 noon. "Carried" The meeting was called back to order at 12:36 PM FINANCE 8. FIN 13-04 Line of Credit Interest a Resolution No. 8: Moved By: Councillor Beres Seconded By: Deputy Mayor Renaud AND RESOLVED THAT Council receive Report FIN 13-04 Line of Credit interest as information. "Carried" 9. PRS 13-03-ICE RESURFACER COSTS C Council suggest that $25,000 come from the 2013 budget and the remaining $20,000 be pre approved for the 2014 budget. Staff to look at their budget to see if they can absorb this cost. Resolution No.9: Moved By: Councillor Beres Seconded By: Deputy Mayor Renaud Presented By: Director of Finance Presented By: Rick Cox AND RESOLVED THAT Council receive Report PRS 13-03 Supplementary Information -Ice Resurfacer Costs for information FURTHER RESOLVED THAT the purchase of the Ice resurfacer be approved and that $25,000 of that budget be provided in 2013 and the balance of$20,000 to be provided in the 2014 budget. Carried" http://notes.town.tillsonburg.on.ca/SuiteResponse/eGenda%205.0%20GA/eGenda50.nsf/ ... 22/06/2015 MINUTES: Meeting for the Committee "Open Council" 14. By-Law 3707, To Confirm the Proceedings ofthe Council Meeting of February 14,2013 C Resolution No. 11: Moved By: Councillor Beres Seconded By: Councillor Stephenson Page 5 of 5 AND RESOLVED TI!AT By-Law 3707, To Confirm the Proceedings of the Council Meeting of February 14, 2013, be read for a first and second time and this constitutes the first and second reading thereof.; FURTHER RESOLVE TI!AT By-Law 3707 be given third and final reading and the Mayor and Clerk be and are hereby authorized to sign the same, and place the Corporate Seal thereunto. "Carried" ITEMS OF PUBLIC INTEREST ADJOURNMENT Moved By: Councillor Stephenson AND RESOLVED TI!A T the meeting be adjourned at 2:43PM. "Carried" Approval Received: (l of l) Donna Wilsonffillsonburg (Friday February 15, 2013 12:55 PM) David Calder/Tillsonburg (Friday February 15, 2013 04:03PM) Town ofTillsonburg http:/ /notes. town. tillsonburg.on.ca/SuiteResponse/eGenda%205. 0%20GA/eGenda50 .nsf/... 22/06/20 15 \ Town of Tillson burg Insurance Claims } 2008to 2012 Year Description Expense 2012 Sewer backup $ 10,000.00 2012 Fallen Tree 2,780.04 2012 Icy sidewalk 7,616.49 Total $ 20,396.53 2011 Fallen Tree $ 330.00 2011 Icy sidewalk $ 1,237.00 2011 Icy sidewalk $ 10,613.79 2011 Uneven sidewalk $ 10,000.00 2011 Fallen Tree $ 701.51 Total $ 22,882.30 2010 Uneven sidewalk $ 10,000.00 2010 Icy sidewalk $ 2,383.51 2010 Property Damage $ 205.24 2010 Parking lot $ 253.00 Total $ 12,841.75 2009 Water Damage $ 10,000.00 2009 Vibration $ 385.00 2009 Unlicensed Equipment $ 253.00 2009 Potholes $ 308.00 2009 Icy sidewalk $ 1,574.00 2009 Icy sidewalk $ 1,695.00 2009 Icy sidewalk $ 10,000.00 2009 Uneven sidewalk $ 10,000.00 2009 Icy Parking lot $ 858.00 2009 Icy Parking lot $ 3,166.00 2009 Sewer backup $ 880.50 2009 Vehicle Accident $ 10,000.00 Total $ 49,119.50 2008 Vibration $ 968.00 2008 Potholes $ 1,430.00 2008 Vehicle Damage $ 5,502.15 2008 Fallen Tree $ 732.00 2008 Icy sidewalk $ 10,000.00 2008 Vehicle Damage $ 675.20 2008 Sewer backup $ 3,668.55 2008 Sewer backup $ 977.00 2008 Vibration $ 1,579.00 2008 Fall-Indoors $ 2,330.15 Total $ 27,862.05 C:\DOCUME~l \DEDDI N~l \LOCALS~!\ Temp\notesE59927\2012 Insurance Claims 2/13/2013 Title: Report No.: Author: Meeting Type: fFJif6o,!buro -· a pke &kli[P-J! ~ STAFF REPORT FINANCE 2013 BUDGET ADJUSTMENTS FIN 13-06 DARRELL EDDINGTON COUNCIL MEETING Council/Committee FEBRUARY 20, 2013 Date: Attachments: RECOMMENDATION RESOLVED THAT Council receive Report FIN 13-06 2013 budget adjustments; AND FURTHER RESOLVED THAT Council adopts the following 2013 budget adjustments resulting in a reduction in the 2013 Budget of $248,553: • Total net reduction in funding for capital projects • Total net reduction in funding for operations EXECUTIVE SUMMARY ($174,553) ($74,000) Council discussion at the meeting of February 14, 2013 resulted in number of suggested budget reductions aggregating approximately $500,000. Council may recall that although TSEC and Library departments are not in the 2013 budget, the residual 2013 debt servicing costs of $120,000 are incorporated in the budget. Staff reviewed all suggestions and is recommending the following changes to the 2013 budget: CAO Council should note that the increase in the Town's general levy to the median residential taxpayer is now solely the CVA increase, which is outside the Town's control, and the median residential taxpayer will pay an additional County Library levy of $78.10, however, for expanded library services. Staff did consider Council's suggestion of a further reduction in capital of $250,000; however, staff is recommending keeping the funds raised from taxation for capital purposes at the same amount as the prior year. The primary justification for this is until the Town has an asset management plan approved by Council, the capital funding should not be decreased. Staff affirm that the funding for capital projects needs to increase over time so as to get the funding raised from taxation to appropriate levels and address the asset funding gap. However, staff acknowledge that this has to be demonstrated to Council at a later date. Therefore, for now, staff is recommending to leave the capital funding at the same level. If capital is further reduced by $250,000, the contribution to reserves for capital would be reduced to $127,345. The resulting requirement from taxation would be a decrease of $199,895 or -1.6% and the impact to the median residential taxpayer would be -2.36% as follows: 2013 Taxation (Phased CVA) Code 301 Residential Median CVA General RT Rate: General Levy: County: Sewers: Library: Education: Total Levy: APPROVALS Author Name/Signature Director Name/Signature Finance Name/Signature $ 205,456 0.00720114 $ 1,479.52 $ 838.00 $ 52.16 $ 78.10 $ 435.57 $ 2,883.35 Darrell Eddington Darrell Eddington Darrell Eddington %Var. 5.01% -2.36% 2.53% 2.32% 5.01% 0.74% 5.08% 3 Var. $ 36.55 $ 18.97 $ 2.49 $ 78.10 $ 3.19 $ 139.31 DATE: 02/15/13 DATE: 02/15/13 DATE: 02/15/13 CAO of Tlllsollbllrg Pla11 OPERATING AND CAPITAL REQUIREMENTS Operating Capital Total Requirement from Taxation % Change from Previous Year OPERATING REQUIREMENTS Revenues Special Levy, Local Improvements. PILS Government Grants & Subsidies User charges Development Charges Sale of Assets Debenture Proceeds Expenditures Labour Purchases Contracted Services lnterfunctional adjustments Contribution from Reserves Contribution to Reserves Debt Principal and Interest )ior year (surplus) deficit Payments to (recovery from) County Reguirement from Taxation CAPITAL REQUIREMENTS Funding Sources Government Grants & Subsidies Other Revenues Sale of Assets Debenture Proceeds Expenditures Capital Expenditures lnterfunctional adjustments Contribution from reserves ContribuHon to Reserves Payments to (recovery from) County Requirement from Taxation RESERVES Beginning Balance Contribution to Resen·es Operating fund Capital Fund Contribution rrom Reser\'es Operating fund Capital Fund "ransfers from (to) other programs ...._ ... dng Balonce 11,770,965 11,321,592 720,808 865,576 12,491,773 12,187,168 372,800 161,793 1,118,753 1.131,838 8,476,824 6,413,784 182,872 0 100 9,968,377 7,890,386 8,928,398 7,883,547 5,240,413 3,900,055 4,684,758 4,610,879 18,853 568 16,394,481 8,885,191 8,504,095 625,274 278,929 (!23,087) (217,397) 461,464 95 !,823 9,848,842 9,517,449 2,061,432 2,054,186 (139,3 10) (250,044) [ 1,770,965 11,321,592 11,770,965 11,321,592 1,362,324 1,065,250 907,688 517,314 100,000 810,415 2,370,0!2 2,392,979 4,362,490 3,436,738 4,362,490 3,436,738 1,992,478 1,043,759 2,312 (1,598,021) ( 1,341,542) 326,35! 1,161,047 720,808 865,576 720,808 865,576 2,748,376 2,889.108 461,464 951,823 326,351 1,161,047 (123,087) (217,397) (1,598,021) ( 1,341,542) 1,317,270 1,815,082 4,760,309 Tow11-excludi11g Sa11itary Sewers a11d Water (449,374) -3.8% 144,768 20.1% po41605! -2.4% (211,007) -56.6% 13.085 1.2% (2,063,040) -24.3% 182,872 100 49900.0% (2,077,991) -20.8% (I ,044,850) -11.7% ( 1.340,358) -25.6% (73,879) -1.6% (2,459,087) -13.0% (381,096) ·4.3% (346,346) -55.4% (94,310) 76.6% 490,359 106.3% (331,393) -3.4% (7,246) -0.4% (110,734) 79.5% (449,374) -3.8% (449,374! ·3.8% (297,074) -21.8% (390,375) -43.0% 710,415 710.4% 22,967 1.0% (925, 752) -21.2% !925,752) -21.2% (948,719) -47.6% 2,312 256,479 -16.0% 834,696 255.8% 144,768 20.1% 144,768 20.1% •• < • 140,733 5.1% ~ -. :4;169;~09 z;ou;934· Pi~% ~·· 490,359 106.3% !1.6~,66_4. ~·~9.() M'* 834,696 255.8% H7,34s (9,00§) ,~;8% (94,310) 76.6% iil~;'ioi 3!1!(.994 •316.6% 256,479 -16.0% <r;i47;t-zs) 4so,8~j lis,~%, 1,317,270 2,945,227 162.3% 4;iri;2,Q!i7 2,s41;ots ;)56.9% li$lODIIP \.\1 Page I of I Tqwn of Tillsol!burg }3 Fillallcial Plmt OPERATING REQUIREMENTS Council Customer Service Protection Development & Communication Services Economic Development Finance Police Fire Airport Cemetery Library Museum Parks & Recreation TSEC EFC Roads Parking Sanitary Sewers Solid Waste Building Operations Admin Engineering Enterprise Services Water Fleet ~j Requirement from Taxation Budget 188,275 192,275 13,868 (95,171) 116,319 105,119 642,082 623,785 248,427 218,820 875,420 861,205 3,173,713 3,060,346 800,271 832,084 79,694 27,398 68,507 52,659 281,881 284,910 178,179 176,519 2,746,723 2,704,917 165,167 145,166 (36,694) (36,856) 2,359,848 2,342,916 (39,766) (47,960) 0 137,563 137,599 103,624 119,530 96,256 73,357 88,041 60,114 (181,390) (181,617) (335,044) (335,523) 11,770,965 11,321,592 Summary by Departme11t 4,000 2.1% (109,039) -786.3% (11,200) -9.6% (18,297) -2.8% (29,607) -11.9% (14,215) -1.6% (113,367) -3.6% 31,813 4.0% (52,295) -65.6% (15,848) -23.1% 3,029 1.1% (1,660) -0.9% (41,807) -1.5% (20,002) -12.1% {162) 0.4% (16,931) -0.7% (8,194) 20.6% (0) -100.0% 36 0.0% 15,906 15.3% (22,899) -23.8% (27,927) -31.7% (227) 0.1% (479) 0.1% (449,374) -3.8% Page 2 of 4 T,ow11 of Tillson burg ) 3 Financial Plan RESERVE BALANCES Council Customer Service Protection Development & Communication Services BIA Economic Development Finance Police Fire Airport Cemetery Library Museum Parks & Recreation EFC Roads Parking Sanitary Sewers Solid Waste Building Operations Admin Engineering Enterprise Services Water Fleet )1 Reserve Balances: Budget (20,000) (3,000) (114,424) 10,087 (441,327) 2,676,317 6,493 59,542 (22,250) 164,168 279,506 (743,593) (16,436) (20,000) 1,815,082 2012 Projection Variance$ 20,000 3,000 763,736 878,160 55,087 45,000 0 441,327 3,194,156 517,840 22,021 15,529 67,005 7,463 22,250 182,991 18,823 306,755 27,249 (100,907) 642,685 37,406 53,842 20,000 232,059 232,059 4,760,309 2,945,227 ~il512UD II I.J AM -100.0% -767.5% 446.1% -100.0% 19.3% 239.2% 12.5% -100.0% 11.5% 9.7% -86.4% -327.6% -100.0% 162.3% Summary by Department Page4of4 2013 CAPITAL PROJECT USTING ,c· ''\ l . .Deat gml:iRtigo Customer Service Roof Replacement -phase 1 of 3 Fleet Ice resurfacer replacement #166-Parks Fleet Future caoital projects place holder Fire Computer for CAD server and Dlaital Voice Recording System Fire Annual replacement of firefighter Personal Protective EQuipment (PPE) Fire Standpipe firefightina Eaulpment kits, plus Hose nozzles and appliances Fire MSA SCBA lease agreement 8th vr of 10 Police Flooring replacement Building New work station -CFWD Roads Brock Street Recon -Surface Asohalt Roads Wabash Road -Bell Mill S/R to west limit-Road SurfaclnCl Roads Annual Pavlna Roads Thistle Court -Goldenrod Dr. to east limit of Cul-de-sac Roads Glendale Dr. Area Recon (Phase 1)-Hawethorne & Parkslde Roads Oxford St Resurfadno -Broadway to Tillson Avenue -KHCL Roads Broadway Resurfacina -North St to 120m South. -KHCL Roads Signal Upgrade -Concession and Broadwav Parking Future parking lot repairs Alroort Office Expansion -Customs Solid Waste Replace Shed Cemetery Columbarium unit Cemeterv Electrical connection to new water service-if not completed in 2012 Cemetery Pioneer Cemetery Revitalization Parks CIIF -Lake Llsgar Parks Horse Barn Demolition Parks Parks Building -CFWD Parks Beach Volleyball courts Programs Recreation Master Plan Initiatives (from business )Jian} ~ecreation Facilities Health Club Equipment (weights racks etc.) ' 'r-ation Facilities Auditorium Roof f, ~eation Facilities Accessible Washroom DCS Laser fiche DCS Server replacements DCS Telephone System -CFWD DCS Computer Replacements -CFWD DCS Dell Poweredge Serve -CFWD DCS Rural Broadband -CFWD DCS Wavfindage Economic Development Design-Build Indust Park -CFWD Economic Development Project Satellite -CFWD Council Council sound system H:\Finance\Financial Plans\2013\2013 Business Support\2013 Capital Project List Summary v2 Cllf!.ital Costs J•• - 60,000 \ 25 000 226 301 5 000 - 18 540 - 12,000 -21,027 - 32 000 . 2,800 - 27,600 - 68 200 - 150,000 - 255,986 - 150 898 - 400 000 - 70 000 ~ 35 000 - 46044 5 000 - 3 000 - 20000 - 9,000 - 15 000 - 112 500 20 000 - 20 000 - 3 000 - 35 000 - 10 000 -20,000 50 000 20,000 - 100,000 - 3lt,119 -· - 88 546 - 32 759 - 1456 108 - 30 000 75 366 395,000 10 000 $ 3,797,449 $ 377,345 2/15/2013 l I ·i I Title: Report No.: Author: Meeting Type: STAFF REPORT OPERATIONS SERVICES 2013 Operations Budget Supplementary Report OPS 13-04 S.T.Lund, P.Eng., Director of Operations COUNCIL MEETING Council/Committee FEBRUARY 20, 2013 Date: Attachments: SIX RECOMMENDATION RESOLVED THAT Council receive Report OPS 13-04 Operations Budget Supplementary Report as information; \ EXECUTIVE SUMMARY As a result of the council budget meeting held on Tuesday February 12, 2013, a number of issues regarding the 2013 Operations Services Budget were identified and responses are contained in the comments section below. COMMENTS Glendale Drive Reconstruction The costs to reconstruct Glendale Drive can be summarized as follows: Phase 1 Glendale Drive, Hawthorne to Parkside Town Watermain Sanitary Total $150,898 $216,763 $227,171 $594,832 Phase 2 Glendale Drive, Victoria to Parkside and Hawthorne to Poplar Town Watermain Sanitary Total $248,456 $334,562 $301,499 $884,517 Total town cost to complete in 2013/14 is $399,354. CAO Annual Paving Staff has proposed that $150,000 be set aside for asphalt resurfacing for 2013. This could be used to resurface the following: • Concession Street -Broadway to Rolph St • Cedar Street-Simcoe Street to Earle St • Cedar Street-Lincoln St to 80m N. of Elm St. TOTAL $ 61,500 $ 25,700 $ 62,300 $149,500 The Worktech Asset management priorities are also attached for information. Similar to roads we determine need based on age, pavement condition, drainage concerns, accident and external comments which are all factored into annual budget recommendations. (See attachment). FINANCIAL IMPACT /FUNDING SOURCE No further Comment. APPROVALS Director Name/Signature Finance Name/Signature S.T.Lund, P.Eng., Director of Operations Darrell Eddington, Director of Finance 3 DATE: 14 Feb., 2013 DATE: 14 Feb., 2013 CAO THE CORPORATION OF THE TOWN OF TILLSON BURG BY-LAW NUMBER 3709 BEING A BY-LAW to confirm the proceedings of Council at its meetings held on the 2CJh 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 of the 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 TILLSON BURG ENACTS AS FOLLOWS: 1. All actions of the Council of The Corporation of the Town of Tillsonburg at its special meeting and regular meeting held on February 20'h, 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 Tillsonburg 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 of The Corporation of the Town of Tillsonburg. 4. This by-law shall come into full force and effect on the day of passing. READ A FIRST AND SECOND TIME THIS 2CJh DAY OF FEBRUARY, 2013. READ A THIRD AND FINAL TIME AND PASSED THIS 2CJh DAY OF FEBRUARY, 2013. MAYOR-John Lessif CLERK-Donna Wilson COUNCIL RESOLUTION AGENDA ITEM NO.: __ _ Date: February 20, 2013 RESOLUTION NO .: 1 MOVED BY: RESOLVE THAT the Agenda as epa red for the Council Meeting of February 20, 2013, be adopted. ~rried D Recorded Vote D Defeated D Deferred D Tabled fL Mayor's Initials COUNCIL RESOLUTION AGENDA ITEM NO.: __ _ Date: February 20, 2013 RESOLUTION NO.: MOVED BY: RESOLVE THAT Council move into Closed Session, to consider: Matters relating to labour relations or employee negotiations (Compensation). ~ried D Recorded Vote D Defeated D Deferred D Tabled ~Mayor's Initials I COUNCIL RESOLUTION AGENDA ITEM NO.: __ _ Date: February 20, 2013 MOVED BY: RESOLVE THAT the Minutes of the Council Meetings of February 12 and February 14, 2013, be approved, ~rried D Recorded Vote D Defeated D Deferred D Tabled ~ayor's Initials COUNCIL RESOLUTION AGENDA ITEM NO.: _1:::___ RESOLUTION NO.: 4 !____ MOVED BY: ~%.&::: SECONDEDBY:~~~-~==~------------ Date: February 20, 2013 RESOLVE THAT Council receive 2013 Budget -5 year insurance claims as information. r.z( Carried D Recorded Vote D Defeated D Deferred D Tabled ~Mayor's Initials ) COU!'JC!L RESOtUT!ON RESOLUTION NO.: 5 Date: February 20, 2013 MOVED BY : IJI/ !.() J:~Jq·· SECONDED BY: e-=~==+·-- D RESOLVE THAT Council receive Report FIN 13-06 2013 budget adjustments; FURTHER RESOLVE THAT Council adopts the followinq 2013 budqet adjustments resultinq in a reduction in the 2013 Budget of $398,553: -Total net reduction in funding for capital projects ($174,553) -Total net reduction in funding for operations ($224,000) Recorded Vote n Defeated n Deferred n Tabled ~ayor's Initials COUNCIL RESOLUTION AGENDA ITEM NO .: ---'3::;___ Date: February 20, 2013 RESOLUTION NO.: 6 MOVED BY: RESOLVE THAT the 2013 Financial lan be received as information. ~d D Recorded Vote D Defeated D Deferred D Tabled COUNCIL RESOLUTION AGENDA ITEM NO.: _4...;___ Date: February 20, 2013 RESOLUTION NO.: MOVED BY: RESOLVE THAT the 2013 Capital Project Listing be received as information. c;alcarried D Recorded Vote D Defeated D Deferred D Tabled ~ayor's Initials COUNCil RESOLUTION Date: February 20, 2013 r-..~OVED BY: RESOLVE THAT the funds for phase 1 for the Glendale Drive project be put in reserves and that phase 2 be provided for in the 2014 budget in order for the whole project to be completed in 2014 ~arried n Defeated n Deferred n Tabled D Recorded Vote ~Mayor's Init ials COUNCIL RESOLUTION AGENDA ITEM NO .: -----'5=----Date: February 20, 2013 RESOLUTION NO.: MOVED BY: RESOLVE THAT Council receive Report OPS 13-04-Operations Budget Supplementary Report as information. G Carried D Recorded Vote D Defeated D Deferred D Tabled __ijJL Mayor's Initials COUNCIL RESOLUTION AGENDA ITEM NO.: ____;6:::....___ RESOlUTION NO.: 9 . /J MOVEDBY: ~~ ------------~----------- SECONDED BY: --~~"d--..:::::=:===----- Date: February 20, 2013 RESOLVE THAT By-Law 3709, To Confirm the Proceedings of the Council Meeting of February 20, 2013, be read for a first and second time and this constitutes the first and second reading thereof; FURTHER RESOLVE THAT By-Law 3709, be given third and final reading and the Mayor and Clerk be and are hereby authorized to sign the same, and place the Corporate Seal thereunto. D Recorded Vote D Defeated D Deferred D Tabled ~Mayor's Initials