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220616 Regular Council Meeting AgendaThe Corporation of the Town of Tillsonburg Council Meeting AGENDA Thursday, June 16, 2022 4:30 PM Council Chambers 200 Broadway, 2nd Floor 1.Call to Order 2.Closed Session (4:30 P.M.) Proposed Resolution #1 Moved By: ________________ Seconded By: ________________ THAT Council move into Closed Session to consider a matter involving advice that is subject to solicitor-client privilege, including communications necessary for that purpose under section 239 (2) (f) of the Municipal Act and a matter a proposed or pending acquisition or disposition of land by the municipality or local board under Section 239 (2) (c) of the Municipal Act. 2.1.Adoption of the Agenda 2.2.Disclosures of Pecuniary Interest and the General Nature Thereof 2.3.Adoption of Previous Closed Session Minutes 2.4.Reports 2.4.1.239 (2) (f) advice that is subject to solicitor-client privilege, including communications necessary for that purpose (Pending Approval) 2.4.2.239 (2) (c) a proposed or pending acquisition or disposition of land by the municipality or local board 3.Moment of Silence (6:00 P.M.) 4.Adoption of Agenda Proposed Resolution #2 Moved By: ________________ Seconded By: ________________ THAT the Agenda as prepared for the Council meeting of June 16, 2022, be approved. 5. Disclosures of Pecuniary Interest and the General Nature Thereof 6.Adoption of Council Minutes of Previous Meeting Proposed Resolution #3 Moved By: ________________ Seconded By: ________________ THAT the minutes from the regular council meeting held on May 24, 2022, be approved. 7.Presentations 7.1.Volunteer Recognition Award Presentation Volunteer Recognition Award Recipient Dave Morris Cultural, Heritage & Special Awards Committee Chair, Carrie Lewis to present 7.2. Oxford Official Plan Update and Presentation April Nix, Development Planner, County of Oxford to present (virtually) Proposed Resolution #4 Moved By: ________________ Seconded By: ________________ THAT the Council for the Town of Tillsonburg receives the presentation from the County of Oxford regarding the Official Plan Review as information. 7.3.Traffic Concerns of the Hickory Hill's Residents Presented by Claude Archambault Also in attendance: Barry Kelly, Madeleine Aucoin, and John Lawrence who are also residents and committee members. Proposed Resolution #5 Moved By: ________________ Seconded By: ________________ THAT the Council for the Town of Tillsonburg receives the presentation from Claude Archambault regarding traffic concerns at Hickory Hills as information. Page 2 of 319 7.4.Future of Shortline Rail in the South Central Ontario Region - Presentation by SCOR Kimberly Earls to present (virtually) Proposed Resolution #6 Moved By: ________________ Seconded By: ________________ THAT the Council for the Town of Tillsonburg receives the presentation from SCOR regarding the Future of Shortline Rail Investment as information. 7.5.Oxnard Developments - Minor Modifications to Zoning This matter was considered on May 24, 2022 as item 9.1 on the agenda, and the recommendation was defeated by Council. Before this presentation can be heard or debated a motion to reconsider must be passed by Council. 8.Public Meetings 9.Planning Reports 10.Delegations 11.Deputation(s) on Committee Reports 12.Information Items 12.1.Ministry of Northern Development, Mines, Natural Resources and Forestry - 2022 Rabies Control Operations Notification 12.2.Tillsonburg BIA - Motion to approve the 2021 DTBIA Financial Statements 12.3.Southwestern Public Health Letter of Appreciation Proposed Resolution #7 Moved By: ________________ Seconded By: ________________ THAT the information items from Ministry of Northern Development, Mines, Natural Resources and Forestry dated May 31, 2022 and the Tillsonburg BIA dated June 7, 2022 and from Southwestern Public Health dated May 30, 2022, be received as information. 13.2021 Fourth Quarter Financial Reports 13.1.FIN 22-12 - 2021 Q4 Consolidated Financial Results Page 3 of 319 Proposed Resolution #8 Moved By: ________________ Seconded By: ________________ THAT Council receives report FIN 22-12 2021 Fourth Quarter Consolidated Financial results as information. 13.2.EDM 22-15 Fourth Quarter Economic Development and Marketing Results 13.3.FIN 22-11 - 2021 Q4 Finance and Corporate Services Department Results 13.4.FRS 22-01 2021 Fire Services Fourth Quarter and Year End Report 13.5.OPD 22-19 - 2021 Fourth Quarter Building, Planning, By-Law Services Results 13.6.RCP 22-11 RCP 2021 Q4 Results Proposed Resolution #9 Moved By: ________________ Seconded By: ________________ THAT Council receives the 2021 Fourth Quarter Department Results, as information. 14.2022 First Quarter Financial Reports 14.1.FIN 22-14 - 2022 Q1 Consolidated Financial Report Proposed Resolution #10 Moved By: ________________ Seconded By: ________________ THAT Council receives report FIN 22-14 2022 First Quarter Consolidated financial results as information. 14.2.CS 22-17 First Quarter Corporate Services Department Results 14.3.EDM 22-16 First Quarter Economic Development and Marketing Results 14.4.FIN 22-13 - 2022 Q1 Finance Department Results 14.5.FRS 22-02 2022 Fire Services First Quarter Report 14.6.OPD 22-22 2022 First Quarter Operations and Development Services 14.7.OPD 22-20 - 2022 First Quarter Building, Planning, By-Law Services Results 14.8.RCP 22-12 RCP 2022 Q1 Results Page 4 of 319 Proposed Resolution #11 Moved By: ________________ Seconded By: ________________ THAT Council receives the 2022 First Quarter Department Results, as information. 15.Staff Reports 15.1.Chief Administrative Officer 15.1.1.CAO 22-03 Town Hall Lowest Cost Lease Option Report Proposed Resolution #12 Moved By: ________________ Seconded By: ________________ Option 1 THAT Council direct staff to retain a cost consultant to review the cost estimate for the new construction “Greyfield” scenario; AND THAT Council direct staff to proceed with an Environmental Site Assessment of the new construction “Greyfield” Option site in the Harvey and Brock streets Municipal Parking lots to determine the extent of environmental contamination, if any, and potential for any remediation costs. Option #2 Should Council require a more comprehensive cost estimate based on detailed design plans and current market conditions, then an alternative option is: THAT Council extend the previous contract with The Ventin Group Architects (+VG), for the preparation of detailed design plans for the “Greyfield” Option in order to obtain a current market cost estimate for new building construction; AND THAT Council direct staff to retain a cost consultant to review the opportunity for cost savings within the Town Centre Mall Option; AND THAT Council direct staff to proceed with an Environmental Site Assessment of the new construction “Greyfield” Option site in the Harvey and Brock streets Municipal Parking lots to determine the extent of environmental contamination, if any, and potential for any remediation costs. 15.2.Corporate Services Page 5 of 319 15.2.1.CS 22-10 Compensation Review for Elected Officials Proposed Resolution #13 Moved By: ________________ Seconded By: ________________ THAT the Compensation Review for Elected Officials Report be received as information. 15.2.2.CS 22-14 Right to Disconnect from Work Policy Proposed Resolution #14 Moved By: ________________ Seconded By: ________________ THAT the Council for the Town of Tillsonburg approves the Right to Disconnect from Work Policy. 15.2.3.CS 22-18 Hybrid Work Model Policy Review Proposed Resolution #15 Moved By: ________________ Seconded By: ________________ THAT the Council for the Town of Tillsonburg receives the review of the hybrid work policy as information. 15.2.4.CS 22-19 THI MOUD Proposed Resolution #16 Moved By: ________________ Seconded By: ________________ THAT the Council receives the THI MOUD report as information. 15.2.5.CS 22-20 Council Vacancy on the Boundary Adjustment Subcommittee Proposed Resolution #17 Moved By: ________________ Seconded By: ________________ THAT the Council for the Town of Tillsonburg appoints ______________ as a council representative on the Tillsonburg Boundary Adjustment Advisory Committee. 15.3.Economic Development 15.3.1.EDM 22-14 Offer to Purchase – Alley Lands between 6 and 8 John Street Page 6 of 319 Proposed Resolution #18 Moved By: ________________ Seconded By: ________________ THAT a by-law be brought forward to authorize the Mayor and Clerk to enter into an agreement of purchase and sale with Tillsonburg Properties for Community Living for the Alley Lands located between 6 John Street and 8 John Street and to be described by a new reference plan. 15.4.Finance 15.5.Fire and Emergency Services 15.6.Operations and Development 15.6.1.OPD 22-23 - Westwinds Subdivision Road Naming Proposed Resolution #19 Moved By: ________________ Seconded By: ________________ THAT Council approves “Darrow Drive”, “Hill Street”, “Westwinds Gate”, and “Westwinds Court” as road names for the Westwinds subdivision. 15.6.2.OPD 22-24 - Oxnard Phase 4 Subdivision Road Naming Proposed Resolution #20 Moved By: ________________ Seconded By: ________________ THAT Council approves “Waterhouse Crescent”, “Burgess Crescent”, and “Jacko Street” as road names for the Potters Gate Phase 4 subdivision. 15.6.3.OPD 22-25 Tillsonburg Airport Advisory Committee - Virtual Meetings Proposed Resolution #21 Moved By: ________________ Seconded By: ________________ THAT Council approves the request from the Tillsonburg Airport Advisory Committee to continue meeting virtually. 15.7.Recreation, Culture and Parks 16.New Business 17.Consideration of Committee Minutes Page 7 of 319 17.1.Committee Minutes Proposed Resolution #22 Moved By: ________________ Seconded By: ________________ THAT the following Council Committee minutes be received as information: May 17, 2022 Tillsonburg Transit Advisory Committee Minutes May 17, 2022 Tillsonburg 150 Ad Hoc Committee Minutes May 26, 2022 Tillsonburg Airport Advisory Committee Minutes June 1, 2022 Cultural, Heritage and Special Awards Committee Minutes, and June 6, 2022 Recreation and Sports Advisory Committee Minutes 17.2.Long Point Conservation Authority Minutes Proposed Resolution #23 Moved By: ________________ Seconded By: ________________ THAT the Council for the Town of Tillsonburg receives the May 4, 2022 Long Point Region Conservation Authority Board of Directors Meeting Minutes as information. 18.Motions/Notice of Motions Proposed Resolution #24 Moved By: Councillor Gilvesy Seconded By: ________________ THAT Staff bring a report to Council in regards to the property standards by-law. Specifically addressing the the grassed road allowances and grass islands between sidewalks and roads and who is responsible for maintaining these areas. Proposed Resolution #25 Moved By: Councillor Luciani Seconded By: ________________ WHEREAS the Association of Municipalities of Ontario has called for Nominations for its Board of Directors; AND WHEREAS Mayor Stephen Molnar, an elected official in the Town of Tillsonburg, has indicated his interest in becoming a member of the Small Urban Caucus of the AMO Board and has consented to his nomination; NOW THEREFORE BE IT RESOLVED THAT the Council of the Corporation of the Town of Tillsonburg endorses Stephen Molnar for the position of Director, Small Urban Caucus, Page 8 of 319 2022-2024 AMO Board of Directors. 19.Resolutions/Resolutions Resulting from Closed Session 20.By-Laws 20.1.A by-law to authorize the execution of a agreement of purchase and sale, to close a portion of the said lands Proposed Resolution #26 Moved By: ________________ Seconded By: ________________ THAT a by-law to authorize the execution of a agreement of purchase and sale, and to close a portion of the said lands, be read for a first, second, third and final reading and that the Mayor and the Clerk be and are hereby authorized to sign the same, and place the corporate seal thereunto. 21.Confirm Proceedings By-law Proposed Resolution #27 Moved By: ________________ Seconded By: ________________ THAT By-Law 2022-042, to Confirm the Proceedings of the Council meeting held on June 16, 2022, be read for a first, second, third and final reading and that the Mayor and the Clerk be and are hereby authorized to sign the same, and place the corporate seal thereunto. 22.Items of Public Interest June 27, 2022 Regular Council & Planning Meeting at 6:00 p.m.• 23.Adjournment Proposed Resolution #28 Moved By: ________________ Seconded By: ________________ THAT the Council meeting of June 16, 2022 be adjourned at ____ p.m. Page 9 of 319 1 The Corporation of the Town of Tillsonburg Council Meeting MINUTES Tuesday, May 24, 2022 5:00 PM Council Chambers 200 Broadway, 2nd Floor ATTENDANCE: Mayor Molnar Deputy Mayor Beres Councillor Esseltine Councillor Gilvesy Councillor Luciani Councillor Parker Councillor Rosehart Staff: Kyle Pratt, Chief Administrative Officer Michelle Smibert, Director of Corporate Services/Clerk Renato Pullia, Interim Director of Finance/Treasurer Chris Baird, Director of Recreation, Culture and Parks Carlos Reyes, Director of Operations and Development Cephas Panschow, Development Commissioner Ann Wright, Deputy Clerk Shayne Reitsma, Manager of Engineering David Drobitch, Parks & Facilities Manager Richard Sparham, Manager of Public Works _____________________________________________________________________ 1. Call to Order Chair, Deputy Mayor Beres called the meeting to order at 5:00p.m. and went directly into closed session. 2. Closed Session 5:00 P.M. Page 10 of 319 2 Resolution # 2022-161 Moved By: Councillor Luciani Seconded By: Councillor Rosehart THAT Council move into Closed Session to consider four matters of proposed or pending acquisition or disposition of land by the municipality or local board under Section 239 (2)(c) of the Municipal Act. Carried 2.1 Adoption of the Agenda 2.2 Disclosures of Pecuniary Interest and the General Nature Thereof 2.3 Adoption of Previous Closed Session Minutes 2.4 Reports 2.4.1 239 (2) (c) a proposed or pending acquisition or disposition of land by the municipality or local board 2.4.2 239 (2) (c) a proposed or pending acquisition or disposition of land by the municipality or local board 2.4.3 239 (2) (c) a proposed or pending acquisition or disposition of land by the municipality or local board 2.4.4 239 (2) (c) a proposed or pending acquisition or disposition of land by the municipality or local board 3. Moment of Silence 6:00 P.M. 4. Adoption of Agenda Resolution # 2022-162 Moved By: Councillor Rosehart Seconded By: Councillor Parker THAT the Agenda as prepared for the Council meeting of May 24, 2022, be approved. Carried 5. Disclosures of Pecuniary Interest and the General Nature Thereof No disclosures of pecuniary interests declared. Page 11 of 319 3 6. Adoption of Council Minutes of Previous Meeting Resolution # 2022-163 Moved By: Councillor Parker Seconded By: Councillor Gilvesy THAT the minutes from the regular council meeting held on May 9, 2022, be approved. Carried 7. Presentations 7.1 Station Arts Centre Presentation to Council from Gale Connor Gale O'Connor, Tabitha Verbuyst and Heather Lockert were in attendance and present a beautiful quilt made by Gale O'Connor to the Town in celebration of the Town's 150 anniversary of Incorporation. Resolution # 2022-164 Moved By: Councillor Gilvesy Seconded By: Councillor Esseltine THAT the Council for the Town of Tillsonburg receives the presentation from Gale Connor. Carried 8. Public Meetings 8.1 Consideration of Municipal Drain Report - A.J. Smith Drain Council considered the report as prepared by Spriet Associates dated March 22, 2022 and shall gave opportunity to any person who owns lands within the area requiring drainage who have not signed the petition an opportunity to do so. Brandon Widner, Engineer from Spriet Associates in attendance to present the Engineer’s Report. Peter Penner, President/ Project Manager from CJDL Consulting engineers present to speak on behalf of the developer. Questions from affected Property Owners: Page 12 of 319 4 Peter Lizak, 78 Queenston Dr., Kitchener was in attendance and had questions for the engineer regarding the purpose of Closing the drain. His concern what whether the change with the drain would affect his property. Ronal Pattyn, 253 Rokeby Road, was in attendance and was concerned with the size of the buffer zone between his property and the abutting were the drain proposed. Ron Vanderhaeghe, 247 Rokeby Road was in attendance to express his concerned about the health of the trees left existing He noted that he is okay with the proposed drain they just want privacy. Mayor Molnar requested a recorded vote. Resolution # 2022-165 Moved By: Councillor Esseltine Seconded By: Councillor Luciani THAT Council accepts the Engineers report submitted by Spriet Associates dated March 22, 2022 in reference to the A.J Smith Drain and will consider a by-law to provide for the drainage works, for the 1st and 2nd reading only, later on in the agenda. Mayor Molnar - IN FAVOUR Councillor Rosehart - OPPOSED Councillor Parker - OPPOSED Councillor Luciani - IN FAVOUR Councillor Gilvesy - OPPOSED Councillor Esseltine - IN FAVOUR Deputy Mayor Beres - IN FAVOUR Carried Page 13 of 319 5 Resolution # 2022-166 Moved By: Councillor Luciani Seconded By: Councillor Rosehart THAT the following two Council members be appoint to the Court of Revisions to be held at a future Council date: Deputy Mayor Beres and Councillor Esseltine. Carried Resolution # 2022-167 Moved By: Councillor Rosehart Seconded By: Councillor Parker THAT Council move into the Committee of Adjustment to hear an application for Minor Variance at 6:53 p.m. Carried 8.2 Minor Variance Application A08-22 at 79 Woodland Crescent County Planner Eric Gilbert provided a review of the Planning Report and recommended that the applications be approved. Opportunity was provided for comments and questions from Council. Agent Trevor Benjamins, Associate Planning Technician from CJDL Consulting Engineers will be in attendance on behalf of the applicant John Peters and is in favour of the Planning report. No public comments were received and no members of the public appeared before Council either in support or opposition to the application. Resolution # 2022-168 Moved By: Councillor Parker Seconded By: Councillor Gilvesy THAT the Town of Tillsonburg Committee of Adjustment approves Application File A08-22 submitted by Johan Peters, for lands described as Part of Block 86, Plan 41M-139, Part 4 of 41R-10084 in the Town of Tillsonburg, as it relates to: Page 14 of 319 6 1. Relief from Section 7.5.23.2.1.1, R2-23 Zone Provisions – Lot Coverage, Maximum, to increase the maximum permitted lot coverage from 45% of the lot area to 47.5% of the lot area, to facilitate the construction of a single detached dwelling. Subject to the following condition: i. A building permit for the proposed dwelling shall be issued within one year of the date of the Committee's decision. Carried Resolution # 2022-169 Moved By: Councillor Gilvesy Seconded By: Councillor Esseltine THAT Council move out of Committee of Adjustment and move back into regular Council session at 6:59 p.m. Carried 9. Planning Reports 9.1 Potters Gate Phase 4 - Minor Zoning Modification Request Resolution # 2022-170 Moved By: Councillor Esseltine Seconded By: Councillor Luciani THAT Council receives the request from Potters Gate Phase 4, Minor Modifications to Zoning as information; AND FURTHER THAT Council affirm that the requested changes are appropriate and minor in nature and further notice is not required in accordance with Section 34 (17) of the Planning Act. Defeated 10. Delegations 10.1 a+Link Architecture inc Presentation RE: New Public Sector Standard & the Tillsonburg Community Centre Page 15 of 319 7 Ed van der Maarel from a+LiNK Architecture was in attendance (virtually) and presented proposed designs for the Tillsonburg Community Centre Mayor Molnar left the meeting. Resolution # 2022-171 Moved By: Councillor Luciani Seconded By: Councillor Rosehart THAT the Council for the Town of Tillsonburg receives the presentation by Ed van der Maarel from a+LiNK Architecture regarding the new Public Standard (PSAB STANDARD PS-3280) and the Tillsonburg Community Centre; AND FURTHER directs staff to proceed to the final design and tendering process. Carried 11. Deputation(s) on Committee Reports 12. COVID-19 13. Information Items 13.1 Oxford County RE Transportation Master Plan Update and OR 4 Corridor Study 13.2 Ministry of the Solicitor General - Conclusion of COVID-19 Enforcement Support Line Resolution # 2022-172 Moved By: Councillor Rosehart Seconded By: Councillor Parker THAT the information item from Oxford County dated April 29, 2022 and from the Ministry of the Solicitor General dated May 13, 2022, be received as information. Carried 14. Staff Reports 14.1 Chief Administrative Officer 14.2 Corporate Services Page 16 of 319 8 14.2.1 CS-22-11 THI Staff Report Council had a number of questions they would like answers to before they can consider the provided MOUD and amending THI by-law and asked staff to report back to Council before the THI Annual General Meeting. Resolution # 2022-173 Moved By: Councillor Parker Seconded By: Councillor Gilvesy THAT consideration to proposed resolution #13 regarding report CS 22-11 THI Staff Report be deferred and that staff be directed to bring back a report. Carried 14.3 Economic Development 14.3.1 EDM 22-13 Tillsonburg Historical Society Request for Indigenous Recognition Signage Resolution # 2022-074 Moved By: Councillor Gilvesy Seconded By: Councillor Esseltine THAT Council approve the Tillsonburg Historical Society’s request for the addition of signage identifying the access to the Tillsonburg Minor Soccer Club as Attawandaron Way; AND THAT the wayfinding signage be located either on the 275 Quarter Town Line property owned by the Town or within the adjacent Quarter Town Line Right-of-Way; AND THAT an information report be brought back to Council confirming the details of the installation once finalized in conjunction with the Tillsonburg Historical Society and the Tillsonburg Minor Soccer Club. Carried 14.4 Finance 14.4.1 FIN 22-10 - 2022 Final Budget and Tax Rates By-Law Report Page 17 of 319 9 Resolution # 2022-175 Moved By: Councillor Esseltine Seconded By: Councillor Luciani THAT a by-law to provide for the adoption of budgetary estimates, tax rates, installment due dates, and to further provide for penalty and interest on default of payment thereof for 2022, be brought forward for Council consideration. Carried 14.5 Fire and Emergency Services 14.6 Operations and Development 14.6.1 OPD 22-17 2022 Asset Management Plan for Core Assets Resolution # 2022-176 Moved By: Councillor Luciani Seconded By: Councillor Rosehart THAT Council adopts the 2022 Asset Management Plan for Core Assets. Carried 14.6.2 OPD 22-18 Oxford County Joint Transportation Service Delivery Review - Staff Comments Resolution # 2022-177 Moved By: Councillor Rosehart Seconded By: Councillor Parker THAT report OPD 22-18 Oxford County Joint Transportation Service Delivery Review – Staff Comments be received as information and sent to Oxford County Council. Carried 14.7 Recreation, Culture and Parks 15. New Business Page 18 of 319 10 16. Consideration of Committee Minutes 16.1 Committee Minutes Resolution # 2022-178 Moved By: Councillor Parker Seconded By: Councillor Gilvesy THAT the following Council Committee minutes be received as information:  May 3, 2022 Tillsonburg 150 Ad Hoc Committee Minutes  May 4, 2022 Cultural, Heritage and Special Awards Committee Minutes  May 10, 2022 Dog Park Advisory Committee Minutes  May 11, 2022 Recreation and Sports Advisory Committee Minutes  May 10, 2022 Economic Development Advisory Committee Minutes  April 27, 2022 Affordable and Attainable Housing Advisory Committee Minutes  May 17, 2022 Boundary Adjustment Committee Minutes Carried 16.2 Conservation Authority Minutes Resolution # 2022-179 Moved By: Councillor Gilvesy Seconded By: Councillor Esseltine THAT the minutes of the April 6, 2022 Long Point Conservation Authority meeting be received as information. Carried 17. Motions/Notice of Motions Deputy Mayor's Motion regarding the script honouring Indigenous Peoples on Aboriginal Lands was pulled from consideration due to the fact that he was chairing the meeting, and staff were directed to include it on the next agenda. Page 19 of 319 11 Deputy Mayor Beres introduced the following motion at the May 9, 2022 Council meeting: THAT the following script be added to the list of approved options for the sitting Head of Council to open public meetings honouring Indigenous Peoples on Aboriginal Lands.: We begin today's meeting by acknowledging that we are meeting on Aboriginal land that has been inhabited by Indigenous peoples from the beginning. As settlers, we are grateful for the opportunity to meet here and we thank all the generations of people who have taken care of this land. We pledge to join with the Indigenous People, both present and future to honour and protect it thus creating harmony and peace. 18. Resolutions/Resolutions Resulting from Closed Session 19. By-Laws 19.1 By-Law 2022-039 to provide for the adoption of budgetary estimates, tax rates, installment due dates, and to further provide for penalty and interest on default of payment thereof for 2022 19.2 By-Law 2022-040 to amend By-Law Number 3798, being a by-law to prohibit or regulate signs and other advertising devices and the posting of notices 19.3 By-Law 2022-041 to provide for the drainage works being the J.A Smith Drain Resolution # 2022-180 Moved By: Councillor Esseltine Seconded By: Councillor Luciani THAT By-Law 2022-039 to provide for the adoption of budgetary estimates, tax rates, installment due dates, and to further provide for penalty and interest on default of payment thereof for 2022; and By-Law 2022-040 to amend By-Law Number 3798, being a by-law to prohibit or regulate signs and other advertising devices and the posting of notices be read for a first, second, third and final reading and that the Mayor and the Clerk be and are hereby authorized to sign the same, and place the corporate seal thereunto; Page 20 of 319 12 AND FURTHER THAT By-Law 2022-041 to provide for the drainage works in the Town of Tillsonburg, in the Counties of Oxford and Norfolk, being the J.A Smith Drain – Armtec Realignment be read for a first, and second time and provisionally adopted and that the Mayor and the Clerk be and are hereby authorized to sign the same, and place the corporate seal thereunto. Carried 20. Confirm Proceedings By-law Resolution # 2022-181 Moved By: Councillor Luciani Seconded By: Councillor Rosehart THAT By-Law 2022-038, to Confirm the Proceedings of the Council meeting held on May 24, 2022, be read for a first, second, third and final reading and that the Mayor and the Clerk be and are hereby authorized to sign the same, and place the corporate seal thereunto. Carried 21. Items of Public Interest  June 16, 2022 Regular Council meeting at 6:00 p.m.  Chris Baird Director of Recreation, Culture and Parks Retirement Recognition 22. Adjournment Resolution # 2022-182 Moved By: Councillor Rosehart Seconded By: Councillor Parker THAT the Council meeting of May 24, 2022 be adjourned at 8:36 p.m. Carried Page 21 of 319 Report No: CP 2022-48 COMMUNITY PLANNING Council Date: May 25, 2022 Page 1 of 11 To: Warden and Members of County Council From: Director of Community Planning Official Plan Review – Update on Next Phases RECOMMENDATION 1. That staff be directed to proceed with the subsequent phases of the Official Plan Review process in accordance with the requirements under the Planning Act, and as generally outlined in the Report No. CP 2022-48. REPORT HIGHLIGHTS Implementation Points  The purpose of this report is to update County Council with respect to the proposed scope and extent of the next phases of the County’s Official Plan review and updates.  Consideration has been given to inquiries and responses received as a result of the initial special meeting of Council held on October 13, 2021, in accordance with Section 26 of the Planning Act.  This report also provides a high-level overview of the legislative requirements and other considerations applicable to the Official Plan review building from report CP 2021-336, and outlines the proposed framework for the next phases of the Official Plan review, including related consultation. Financial Impact There are no immediate implications beyond this year’s approved budget. Any additional funding that may be required for future phases will be considered as part of the annual budget process. Page 22 of 319 Report No: CP 2022-48 COMMUNITY PLANNING Council Date: May 25, 2022 Page 2 of 11 Communications Community engagement has been and will continue to be an important part of the Official Plan (OP) review process and be undertaken at various stages as part of each review phase. The focus for communication and engagement on the OP review project moving forward will centre around each of the remaining phases, as further detailed in this report. Each phase will have its own communications and engagement plan tailored to that phase. Planning staff will ensure the minimum statutory meeting requirements under the Planning Act (i.e. an open house and public meeting) are met for each phase, as well as providing for additional engagement opportunities, as deemed appropriate. Developing separate communication and engagement plans for each phase allows the approach to be customized based on the specific policy areas, technical considerations, and level of community interest. The consultation and engagement program for each remaining phase is generally expected to involve the use of traditional and social media, a mix of in-person and on-line engagement opportunities, and consultation/engagement with:  The Province and the various agencies prescribed under the Planning Act (e.g. conservation authorities, utility providers, railways, abutting municipalities etc.);  County and Area Municipal Staff and Councils;  Indigenous communities; and  Other identified stakeholder groups, interested parties and the broader public. Strategic Plan (2020-2022) WORKS WELL TOGETHER WELL CONNECTED SHAPES THE FUTURE INFORMS & ENGAGES PERFORMS & DELIVERS POSITIVE IMPACT 3.ii. 3.iii. 4.i. 4.ii. Page 23 of 319 Report No: CP 2022-48 COMMUNITY PLANNING Council Date: May 25, 2022 Page 3 of 11 DISCUSSION Background The Planning Act requires that municipalities adopt an Official Plan (OP) to serve as the primary legal document for implementing provincial land use planning direction at the municipal level. As described in report CP 2021-336, the County OP provides that direction for both the County and the eight area municipalities that comprise the County. The policies and land use schedules contained in the OP establish the overall vision and land use strategy for growth and development in the County. This is accomplished by setting out locational, development review and other requirements for a full range of land uses (e.g. residential, commercial, industrial, institutional, parks and recreation, agriculture, etc.) and providing direction with respect to matters such as the provision of infrastructure and public services, the protection of agricultural land, and natural and cultural heritage features, and avoiding, or mitigating the potential impacts from, natural and man-made hazards. It is noted that, unlike other amendments to the OP that are approved by County Council, the Province (Ministry of Municipal Affairs and Housing) is the approval authority for any amendments to the County’s OP that are undertaken as part of an OP review process under Section 26 of the Planning Act. As such, following adoption by County Council, all amendments that form part of the County’s OP review process will need to be sent to the Province for approval. As part of their approval, the Province has the authority to impose any modifications to the County’s adopted policies that it determines to be necessary to ensure they are consistent with Provincial legislation and policies. Commentary The first phase of the County’s OP review was focused on updating the agricultural policies. Draft agricultural policies were released by County Council on October 27, 2021 for community review and input as part of report CP 2021-337. This feedback resulted in the revised policies, as detailed in Report CP 2022-98. A statutory public meeting was held March 23, 2022 to present the revised policies and provide a further opportunity for input and feedback. A recommended OPA for updating the agricultural policies was subsequently presented to County Council in report CP 2022-162 at the May 11, 2022 meeting and is to be brought back for Council consideration/adoption on May 25, 2022. Following adoption by County Council, the amendment will be forwarded to the Province for their review and approval. With the first phase of the Official Plan review nearing completion, Planning staff are now in a position to move forward with the next phases of the Official Plan review. A general overview of the proposed process and matters to be considered as part of these next phases is provided in the following sections of this report. Page 24 of 319 Report No: CP 2022-48 COMMUNITY PLANNING Council Date: May 25, 2022 Page 4 of 11 Phase 2 – Environmental Policy Updates The second phase of the OP review is proposed to focus primarily on updates to Section 3.2 - Environmental Resource Policies. This will include updates to the policies and associated terms and definitions in that section. Section 3.2 of the OP currently includes policies which provide direction on:  Natural Heritage System, including implementation tools and environmental study requirements and environmental management policies;  Open Space;  Water Resources, including watershed and sub-watershed planning and source protection;  Soil Resources;  Energy Efficiency and Air Quality; and  Natural Hazards. a) Scope of Policy Review Similar to updates to the agricultural policies, updates to Section 3.2 will focus primarily on considering and/or addressing a range of new and/or updated Provincial legislation, regulations, policies, and guidelines related to land use planning that have been enacted and/or released since the last comprehensive update of Section 3.2. These include, but are not limited to:  Updates to the Planning Act and associated regulations;  Updated Provincial Policy Statement, 2020;  New and/or updated Provincial guidelines related to PPS implementation, including:  Natural Heritage Reference Manual, and Significant Wildlife Habitat Technical Guide and Criteria Schedules for Ecoregion 6E and Ecoregion 7E;  Wildland Fire Risk Assessment and Mitigation Reference Manual;  Draft Watershed Planning Guidance and draft Subwatershed Planning Guidance; and  Changes to other provincial or federal legislation including the Species at Risk Act, Endangered Species Act, and the Fisheries Act. The following discussion provides further detail on potential updates to some of the specific policy areas within Section 3.2. Natural Heritage System Updates The Oxford Natural Heritage Systems Study (ONHSS), which was last updated in 2016, provides the current technical basis for identifying the County’s natural heritage system and informing the implementation of the natural heritage policies contained within the OP. The ONHSS takes a science-based approach with respect to terrestrial ecology to inform the identification and evaluation of certain natural heritage features and areas (i.e. woodlands, wetlands, valleylands etc.) which form part of the County’s natural heritage system. Page 25 of 319 Report No: CP 2022-48 COMMUNITY PLANNING Council Date: May 25, 2022 Page 5 of 11 Other natural heritage features and areas are identified based on Provincial data (e.g. Areas of Natural and Scientific Interest - ANSIs), or informed by other legislative requirements (e.g. fish habitat, endangered and threatened species). Updates to the natural heritage mapping contained in the 2016 ONHSS are currently underway based on the 2020 aerial imagery. These updates will provide the updated technical information necessary to inform the updates to the associated policies in the OP. Staff will also be considering potential updates to the implementation tools and environmental impact study requirements and environmental management policies which support the implementation, management, restoration, and enhancement of the natural heritage system, and associated features and areas. This may include consideration of such matters as biodiversity conservation, climate change, education, outreach and stewardship, monitoring, as well as ecological restoration, to name a few possible topics. Supporting research will also look at approaches and tools from other municipalities, as well as other science-based approaches for mitigation measures and restoration approaches, as well as conservation programs, stewardship and partnership opportunities. Open Space With respect to the proposed scope for updates to the open space policies, staff are proposing to limit the review and update of these policies to focus on incorporating PPS/Planning Act related changes and any implementation related updates, as well as changes necessary to ensure the open space and natural heritage system policies continue to integrate and support implementation. A broader review and re-envisioning of planning for open space (i.e. to better align with and support related master plans) is something that will be considered as part of the development of a new OP for the County, as described previously in report CP 2021-336. Water Resources There have been a number of changes to the water resource policies contained within the PPS, 2020, which will also need to be considered. This includes requiring that municipalities plan for the protection of water resources systems (i.e. not just water quality and quantity). This includes evaluating and preparing for the impacts of a changing climate on water resource systems at the watershed level and ensuring stormwater management practices minimize stormwater volumes and contaminant loads and maintain or increase the extent of vegetative and pervious surfaces. These PPS requirements, along with available guidance, will also be an area of focus for the OP updates. Green infrastructure is a newer concept included in the PPS, 2020 which includes both natural and human-made elements that provide ecological and hydrological functions and processes. Green infrastructure can include components such as natural heritage features and systems, parklands, stormwater management systems, street trees, urban forests, natural channels, permeable surfaces, and green roofs. Planning for green infrastructure is often included within planning for natural assets. Elements and considerations for planning for natural assets and green infrastructure will also be considered in relation to natural heritage system and water resource OP policies through the update. Page 26 of 319 Report No: CP 2022-48 COMMUNITY PLANNING Council Date: May 25, 2022 Page 6 of 11 As stormwater management and a number of other infrastructure components are areas of Area Municipal responsibility, Planning staff will be consulting closely with the Area Municipalities in the review and development of these policies. Updates to the source water protection policies in the OP are also being proposed to ensure alignment with current Provincial requirements and the four approved source water protection plans that currently apply within Oxford County. However, staff are proposing to expedite those policy updates through a separate Official Plan amendment which is to be brought forward for County Council’s consideration later in 2022. Soil Resources Staff note that there have been updates to the regulatory tools under the Environmental Protection Act, as well as new supporting guidance available from the Province regarding the control and management of excess soils. Similarly, the PPS, 2020 also encourages planning authorities to support, on-site and local re-use of excess soil through planning and development approvals while protecting human health and the environment. Supporting research will also look at approaches, tools and mitigation approaches from other municipalities as part of the review and update for this subsection. Energy Efficiency, Air Quality and Climate Change Similar to the updates proposed relating to renewable energy in the draft agricultural policies, updates to the energy efficient and air quality section will be primarily focused on incorporating updates based on legislative changes resulting from the repeal of the Green Energy Act, as well the Planning Act and PPS, 2020. Air quality considerations may also include any applicable updates or changes to related Provincial requirements including under the Environmental Protection Act and ensure alignment with other applicable Provincial requirements is maintained. In addition, climate change is a newer element within the 2020 PPS which will require more specific policy requirements and references to be incorporated into the OP. These include considerations for water resource systems and natural hazards, improving energy conservation and efficiency, improved air quality, reduced greenhouse gas emissions, and preparing for the impacts of a changing climate through changing land use and development patterns. The updates to these policy areas being proposed as part of this process are intended to focus primarily on addressing the minimum requirements under the Planning Act and the PPS, which can then provide the foundation for any further work or initiatives in this area to build upon. Natural Hazards Under the 2020 PPS, natural hazards now include policies for hazardous forest types for wildland fire, in addition to flooding related natural hazards. Municipalities are also required to prepare for the impacts of a changing climate that may increase the risk associated with natural hazards. Updates for this subsection will focus on review of the existing flood policies for consistency with the PPS, and consideration of new policies for hazardous forest types. This will include a review of background information and analysis building from Provincial guidance regarding hazardous forest types and consideration of approaches and tools utilized in other municipalities. Page 27 of 319 Report No: CP 2022-48 COMMUNITY PLANNING Council Date: May 25, 2022 Page 7 of 11 Flood hazard related updates will incorporate appropriate updates and local information available from each of the four Conservation Authorities in Oxford County. Updates may also include consideration of the outstanding regulatory changes to the Conservation Authorities Act with respect to flood protection and corresponding PPS requirements, should such updates be released by the Province during the course of the review. b) Conservation Authority Act Changes The Province is currently proposing a number of changes to the function of Conservation Authorities (CAs) that may have implications on the delivery and implementation of programs and requirements related to the implementation of the environmental resource policies in the OP, including the review of Environmental Impact Studies (EISs). Proposed regulatory changes under the Conservation Authorities Act were discussed in CP 2021-234. The Province approved amended regulations in the fall of 2021 which made some minor changes to the categorization of programs and services and extended implementation timelines into 2024. The development of agreements for “non mandatory services”, which include Planning Act development review functions on behalf of municipalities (e.g. EISs and certain natural hazards matters), is now required to be addressed as part of the implementation of the new regulations. It is anticipated that the review of these services and agreements may present potential opportunities to update, change and/or improve certain development review functions and services currently provided by the CAs with respect to environmental planning. Any potential local implications and opportunities that are identified in relation to the proposed CA regulatory changes will be communicated to Council through a future report. c) Community Engagement Staff are proposing to undertake preliminary engagement with the Area Municipalities and broader community in June to begin to develop a better understanding of some of the community’s values, opinions and concerns with respect to the topic areas addressed by the environmental resource policies. This engagement will help to inform potential updates to the vision, principles and objectives and identify areas where additional background research may be required. It will also provide an opportunity for early input and feedback into the policy development process. The specific form and details of this preliminary engagement is still in the process of being developed and/or confirmed by Planning staff. Following consideration of this initial input, staff will focus on completing updates to the mapping of the ONHSS and supporting background work, developing draft policies and supporting materials in preparation for an initial release of a ‘consultation draft’ of the proposed policies in late 2022, or early 2023. Consultation on the draft policies will include an open house, statutory public meeting(s) with County Council, and other engagement opportunities and tools (e.g. Speak Up Oxford) and will include seeking input from the area municipalities and other stakeholders. Page 28 of 319 Report No: CP 2022-48 COMMUNITY PLANNING Council Date: May 25, 2022 Page 8 of 11 Phase 3 – Updating Implementation Measures and Cultural Heritage One of the key focuses of the OP review is reviewing and addressing various changes to the Planning Act and Provincial Policy Statement (PPS) that have occurred since the last major review of the OP. As such, this Phase of the OP update will focus on updates required to address Planning Act and PPS changes related to a number of OP policy areas, including implementation measures and cultural heritage. Further details are provided below. a) Cultural Resource Policies Section 3.3 of the OP contains the policies that provide direction with respect to conservation of cultural heritage resources within the County. This includes policies pertaining to built heritage and archeological resources. There have been a number of updates to the PPS, as well as the Heritage Act, since the last review and update of Section 3.3. As such, it is proposed that these policies be reviewed and updated to ensure the policies, terms and definitions pertaining to cultural heritage are consistent with current provincial direction and terminology and continue to support the conservation of cultural heritage in Oxford County. b) Implementation Measures Chapter 10 of the OP contains the provisions and policies necessary to enable the objectives and policies of the OP as a whole to be implemented. Some examples of changes to the Planning Act and associated regulations that may need to be reviewed and considered in relation to implementation measures, are as follows:  Various changes to the requirements for processing of various planning applications (e.g. processing timelines, notice provisions, complete application requirements etc.);  Removal of the height and density bonusing provisions and introduction of new provisions to provide municipalities with the option of implementing a ‘community benefit charge’ approach to address certain planning matters (e.g. provision of parkland and certain other community amenities/improvements etc.);  Modifications to the parkland dedication provisions;  Revised provisions with respect to implementation of a community planning/development permit system; and,  Changes to the types of matters, reasons, and process for appeals to the Ontario Land Tribunal (OLT), recently known as the Local Planning Appeal Tribunal (LPAT) and prior to that, as the Ontario Municipal Board (OMB). Many of these changes are intended to support or guide planning processes, including the implementation of existing OP requirements, such as submission of background studies to demonstrate that a proposed development meets applicable development standards and criteria. Page 29 of 319 Report No: CP 2022-48 COMMUNITY PLANNING Council Date: May 25, 2022 Page 9 of 11 However, some of the other Planning Act changes (i.e. alterative parkland dedication, community benefit charges, and community planning/development permit systems etc.) that would be implemented through, or informed by, the OP would require detailed background studies and/or master plans to be undertaken in order to be implemented. Therefore, if such changes were to be considered, it would generally be more appropriate for that to be undertaken as part of the development of a new OP. Implications of Bill 109 – More Homes for Everyone Act Bill 109 included a number of changes to the Planning Act, as described in Report CP 2022-180. These changes to the Planning Act including the introduction of mandatory refund of application fees if specified review timelines are exceeded for certain applications (i.e. Zoning and Site Plan). Therefore, to ensure the County and Area Municipalities have the necessary policy framework in place to properly implement these proposed changes prior to their taking effect on January 1, 2023, Planning staff are proposing to expedite the review and update of the County’s complete application and related policies in Chapter 10 of the OP through a separate amendment from the OP review. These updates would provide more detailed direction with respect to the process and requirements for determination as to whether such applications are deemed to be ‘complete’, as that is the point at which the statutory processing timelines start. In addition, it is recognized that the Provincial government may continue to make further changes to the Planning Act and Provincial Policies based on the feedback from consultation on Bill 109 and related implementation measures, as discussed in Report CP 2022-180. As such, staff will continue to monitor the nature and extent of these changes as they are released and may include these within the scope of the third phase of the OP review, or address them through separate amendments, as appropriate. County Council will be updated on the recommended approaches in response to any such changes through future reports. Timing and Community Engagement Phase 3 work is anticipated to begin in mid 2022, with a consultation draft of policies being presented to County Council early to mid 2023, depending on the ultimate scope of the policy revisions and nature and extent of community engagement. a) Questions and Feedback following the Special Meeting of Council Following the Special Public meeting of County Council to formally initiate the current OP review on October 13, 2021, several inquiries were received with respect to the scope of the review and opportunities for input. These inquiries largely related to when updates to the County’s Growth Management policies are being considered and, in particular, implementation of the County’s Phase 1 Comprehensive Review study and related opportunities to expand the County’s urban settlement boundaries, and timing for updates to implement the recommendations of the ONHSS. Page 30 of 319 Report No: CP 2022-48 COMMUNITY PLANNING Council Date: May 25, 2022 Page 10 of 11 In this regard, it is noted that expansions to the County’s settlement areas (i.e. where required to accommodate forecasted growth as identified through the County’s Phase 1 Comprehensive Review, which was adopted by Council in 2020) have been on-going and are generally initiated by the County and/or Area Municipalities through a separate Official Plan amendment, supported by comprehensive secondary planning and servicing strategies. This allows the timing of the settlement expansion process to be tailored to each Area Municipality’s specific needs and context (i.e. to allow for the completion of municipal boundary adjustments, servicing capacity expansions etc.). Further, the County is proposing to update the Phase 1 Comprehensive Review (i.e. growth forecasts and land need study) again in early 2023 (i.e. once all of the supporting data from the 2021 Census has been released), to ensure it reflects current data and trends. Given the recent high levels of growth in the County, it is anticipated that these updates may identify the need for additional growth land in a number of the Area Municipalities. In terms of the timing for updates to implement the recommendations of the ONHSS, those are proposed to be included in the updates to the Environmental Resource policies which are to be undertaken as part of Phase 2 of the OP review, as described above. Next Steps As previously noted, the first phase of the OP review focused on proposed updates to the County’s agricultural policies and that process is nearing completion. The subsequent phases are generally proposed to proceed as outlined in this report, with each phase including opportunities for consultation with and input from the Area Municipalities, the community, and other stakeholders through a range of engagement tools and formats. In addition to the OP update, staff are also undertaking and/or proposing to undertake a separate amendment, or amendments, to expedite updates for certain key and/or time sensitive policy matters (i.e. additional residential units, source water protection, and complete application requirements). Conclusions The intent of this report is to provide County Council with an update on progress and next steps with respect to the review and update of the County’s OP in accordance with Section 26 of the Planning Act and seek Council direction to proceed with the next phases of the review, which pertain to natural heritage and the environment, cultural heritage, and general implementation measures. The primary focus will be on addressing various requirements and changes under the Planning Act and 2020 PPS, but may also include minor changes to improve the overall structure and readability of the plan, simplify and/or clarify existing policy direction and intent, and reflect community input. Page 31 of 319 Report No: CP 2022-48 COMMUNITY PLANNING Council Date: May 25, 2022 Page 11 of 11 Each phase/amendment which forms part of the OP review is subject to Provincial approval to ensure consistency with the PPS, 2020 and other Provincial interests, following adoption of the amendment by County Council. Additional and significant opportunities for public input will be provided as part of each respective phase of the OP review process. SIGNATURES Report Author: Original Signed By Paul Michiels Manager of Planning Policy Report Author: Original Signed By April Nix Development Planner – Policy Focus Departmental Approval: Original Signed By Gordon K. Hough Director of Community Planning Approved for submission: Original Signed By Michael Duben, B.A., LL.B. Chief Administrative Officer Page 32 of 319 1 Project Initiation June 2022 Page 33 of 319 22 Overview •Why update the Official Plan, •Existing OP content for environmental resources, •Legislative context •Policy focus areas •Project timing •Next steps Page 34 of 319 33 Why update the Official Plan? •Legislative and policy changes, •Ensuring local context, •Evaluating effectiveness of existing policies, and, •Improving and modernizing processes and requirements. Page 35 of 319 44 Existing OP Policy Context •Focus will be on the topics addressed through Section 3.2 of the Official Plan. •This will focus on: •Natural Heritage •Open Space •Water Resources •Watershed planning •Surface and groundwater protection •Soils •Natural Hazards •Climate Change Page 36 of 319 55 Legislative Context Planning Act •Legislative authority for municipalities to regulate land use •All planning policies/decisions must be ‘consistent with’ PPS 2020 Provincial Policy Statement (PPS) •Provides policy direction on matters of provincial interest related to land use •Municipal policies may exceed minimum PPS standards, but shall not conflict Provincial Guidance •Natural Heritage Reference Manual, •Wildland Fire Risk Assessment and Mitigation Reference Manual, •Draft Watershed Planning Guidance and Draft Subwatershed Planning Guidance Other Provincial and Federal Legislation •Species At Risk Act, Endangered Species Act •Fisheries Act; Page 37 of 319 66 Natural Heritage •The natural heritage system is made up of important natural features and areas such as woodlands, wetlands, valleylands, meadows and watercourses. •Oxford Natural Heritage Systems Study (ONHSS) was last updated in 2016. •Mapping is currently being revised again based on 2020 aerial. •Updates will focus on incorporating a natural heritage ‘system’ into the Official Plan, building from Provincial guidance and ONHSS. Page 38 of 319 77 Natural Heritage •Updates will also incorporate other legislative changes and requirements (e.g. Fisheries Act, Species At Risk Act, Endangered Species Act, etc.) •OP policies could include other aspects of natural heritage and environmental planning: •Examples: biodiversity, restoration, invasive species, pollinators, road ecology, urban forestry, stewardship, etc. •These are some of the areas where staff are seeking input from the Area Municipalities and the community. Page 39 of 319 88 Open Space •Open space policies guide uses related to parks and trails and related recreational uses. •Focus of policy updates will focus on: •alignment with Provincial requirements, •incorporate any newer local studies (as applicable), •ensure integration with other updates to the rest of the environmental resource policies Page 40 of 319 99 Water Resources •PPS, 2020 now requires municipalities to plan for ‘water resource systems’: •Includes using watersheds/subwatershed planning as part of the basis for the system, •Includes requirements for protection of water quality and quantity of surface water and groundwater features, •Policies also need to address stormwatermanagement updates, •Updates to address Source Water Protection Plans will be done through a separate amendment. Page 41 of 319 1010 Soils •Legislation regarding management of excess soils has seen a number of change in recent years. •Focus of policy updates will be on incorporating/aligning with these legislative changes. •Soil loss and degradation is also an area of concern with respect to the impacts of a changing climate. Page 42 of 319 1111 Natural Hazards •Flooding •PPS, 2020 includes requirements for planning for flooding impacts and requires that planning authorities prepare for the impacts of a changing climate that may increase the risk associated with natural hazards. •Review will be focusing on ensuring policies meet Provincial standards and understanding local flood risks. •Hazardous Forest Types •New natural hazard in the PPS •Province has developed guidance •Focus is on directing and mitigating development from high risk areas •Staff are undertaking analysis to better understand what “high risk areas” means in the context of the County and Area Municipalities. Page 43 of 319 1212 Climate Change •PPS, 2020 speaks to mitigating and adapting to a changing climate with respect to: •Natural hazards •Water resource systems •Development and land use patterns •Infrastructure and public service facilities •Updates to renewable energy policies. •Looking for input and feedback on incorporating other aspects from other plans and strategies (e.g. Future Oxford) regarding planning for a changing climate to consider as part of this update: •Biodiversity planning •Water conservation and efficiency •Transportation demand management, alternative modes of transportation Page 44 of 319 1313 Project Timing Page 45 of 319 1414 Next Steps •Meetings with each of the Area Municipal Councils •Community engagement via Speak Up Oxford •Feedback received will be used in inform research, policy objectives and directions. •Background research, development of policy objectives and directions along with mapping updates next area of focus. Page 46 of 319 1515 Questions Page 47 of 319 Concerns of the Hickory Hills Residents Tillsonburg, ON N4G 5L6 Presentation to the Mayor and Councillors of the Town of Tillsonburg Ontario. Issue: Ongoing excessive traffic volume and associated safety concerns: The Committee of Concerned Hickory Hills Residents appreciates the opportunity to present our issues and recommendations regarding the excessive traffic volume along Wilson Ave., the main avenue running north and south through our adult lifestyle living community. Following the presentation in May 2020, and the subsequent council meeting of September 14, 2020, it was recommended by the council that the speed limit be reduced to 40Km and that the appropriate signage be installed. The work was completed by December 2020 and we are grateful to the council for that decision. Unfortunately, we are still living with a high volume of traffic, the noise pollution that comes with it, the speeding (so it seems) and the important safety issue, due primarily to the growth in surrounding neighbourhoods that are using Wilson Ave. as a shortcut to downtown. The volume of traffic is heaviest along Wilson Ave. to and from Baldwin St. and Dereham Dr., especially during the morning, noon and evening rush hour. School buses transporting students from/to adjacent neighbourhoods are also using Wilson Ave. as their shortcut. Hickory Hills, as you know, is an established adult living community and many of our senior residents deal with hearing, vision, cognitive and mobility issues, putting them at a higher risk of injury when travelling along, or attempting to cross Wilson Ave. As the warm weather approaches, both adults and children from adjacent communities also walk and cycle along Wilson Ave. and often cross the main road, other than at the one designated crosswalk by our community center. Note: The only other relatively safe crossings are at the two stop signs on Wilson Ave.; one at Dereham Dr. and the other at Wilson and Charlotte. Unfortunately, some drivers in a hurry fail to make a full stop at these signs, further endangering pedestrians and cyclists. Of concern as well, at the stop sign on Wilson Ave. and Baldwin St. there are very often up to 5 cars waiting to turn left onto Baldwin St. going downtown. Because of a blind spot created by the hill, between Rolph St. and Wilson Ave., there is the possibility for a bad accident to happen. Page 48 of 319 Given the concerns outlined above, we submit the following proposed solutions to help reduce the volume of traffic, noise pollution and some speeding in Hickory Hills. We urge you to consider that no other development in Tillsonburg has an avenue, street, road or otherwise traversing their community right in the middle of their development. Please consider that we have more than 400 houses in our community. This also creates its own traffic volume. We are no different than the Trottier development, the Baldwin Place development and so on that do not have to live with these issues. The important consideration is the overall health and safety of all residents. We firmly believe that addressing and resolving these concerns in a proactive manner will prevent accidents and bodily injuries; a resolution that is a high priority and of mutual interest to both the Township and all its residents. Recommendations: • Reduce the volume of traffic on Wilson Ave. going south to Baldwin St. by changing Dereham Dr. west of Wilson Ave. to a "one way" street, ending at Denrich or Charlotte. Residents living west of Denrich have several other optional and convenient routes available to them. • Reclassify Wilson Ave. from a collector to a local avenue, street or road. • This we believe would comply with the County of Oxford Official Plan, Town of Tillsonburg Land use Policies 8.7 Transportation, Strategic Approach 8.7.1 under "Minimize Conflict" which says; "Minimize conflict between non-local and local traffic by defining a hierarchy of roads which allows a good level of service on major roads while reducing non-local, through traffic movement within neighbourhoods." • Request the OPP to conduct speed checks during busy times. Enforcement of the 40Km zone is not being done. Submitted by the committee on behalf of the concerned residents Claude Archambault, Resident and committee member Barry Kelly, Resident and committee member Madeleine Aucoin, Resident and committee member John Lawrence, Resident and committee member Page 49 of 319 Z o r;'ritz t4{ u.xx-t ' ivc - i,1,1 < S i+E>t ui.ft,, L lf t- pc )Aie s Deueloprnent Actiui$ Townaf Tillsonburg tltt tr!ttrtl-rr ROLLING I:1n LJ h o O nl I t t I I I I t I I I I I "G f, E _tt 3 41 M2 18 I&I1 4LMl47, = M I (11 oN) 7-44 7-99 NATIONAL RNLWAY ^t t 7 llrll rlllrlrlr-trrrrrrrrrrra rrra-rrrrr & T T I I I I I I 5 lI. \ il* ^- Page 50 of 319 FUTURE OF SHORTLINE RAIL IN THE SOUTH CENTRAL ONTARIO REGION Page 51 of 319 Agenda 1)Overview of Project 2)Economic Development Case •Industrial Sites Along Rail Line 3)Project Funding 4)Ask from Municipality Page 52 of 319 Overview of Project •January 2022: GIO Rail reinstated rail service from St. Thomas to Tillsonburg (Phase 1) •Phase 2 will include expansion into Norfolk County if a significant business case can be made •Timeline: Over the next three years, gradual infrastructure upgrades will take place, including bridge repairs, cross tie replacements, and crossing upgrades. Page 53 of 319 Overview of Project Page 54 of 319 Business Development Study: •7 businesses surveyed •Total employees (FTE): 402 •Reported annual revenue loss if shortline service remains suspended: $7,910,000 •Reported annual logistics costs due to loss of shortline service: $1,450,000 Current Business Plans: •Working with 4 businesses currently located along track •New Businesses (re-locating for access to rail) •Estimated Volume: 1,500 cars/yr by Year 3 Economic Development Case Page 55 of 319 Economic Development Case Municipality Total Acreage Vacant Acreage Total Number of Industrial Sites Number of Vacant Industrial Sites Norfolk County 193.31 68 11 1 Oxford County 609.71 458.8 18 8 Tillsonburg 609.71 458.8 18 8 Elgin County 665.14 387.69 22 12 Aylmer 155.31 87.05 11 6 Bayham 53.02 53.02 2 2 Central Elgin 247.62 247.62 4 4 Malahide 209.19 0 5 0 Total 1,468.16 914.49 51 21 Updated December, 2020 Industrial Sites Along Project Site Page 56 of 319 Industrial Sites along the Cayuga Line -Elgin Page 57 of 319 Industrial Sites along the Cayuga Line -Oxford Page 58 of 319 Industrial Sites along the Cayuga Line –Norfolk Page 59 of 319 Economic Development Case Benefits: •Long-term infrastructure investment •Increased environmental sustainability of transportation •Sustainable and affordable logistics for businesses and supply chains •Reduced car rate •Key piece of Business Retention + Expansion and Business Attraction strategies Page 60 of 319 Project Budget Expenditure Item Cost Tie Replacement $1,460,000 Bridge Inspection $205,680 Bridge Repairs $150,000 Crossing Upgrades $3,907,000 Project Administration $45,000 Environ/Indig. Consultation, etc.$2,000 Contingency (15%)$865,452 Total $6,635,132 Page 61 of 319 •National Funding •National Trade Corridor Fund •Provincial Funding •Discussion with relevant Ministries •Municipal Funding •Counties of Elgin, Oxford and Norfolk Project Funding Page 62 of 319 Rail Crossings –Elgin County Road Crossing Road Ownership Belmont Rd. (County Rd. 74)Elgin Penhale Rd.Central Elgin Springwater Rd.Elgin Rogers Rd.Malahide Elm St. (Count Rd. 53)Elgin John St. N. (County Rd. 73)Elgin Hacienda Rd.Malahide Glencolin Line Elgin Springfield Rd. (County Rd. 40)Elgin Walker Rd.Malahide Road Crossing Road Ownership Carter Rd.Malahide College Line Malahide Springer Hill Rd.Bayham Culloden Rd.Elgin Best Line Bayham Somers Rd.Bayham Green Line Bayham Elliot Rd.Bayham Bayham Dr.Bayham Page 63 of 319 Rail Crossings –Norfolk County Road Crossing Road Ownership Jackson Side Rd.Norfolk Goshen Rd.Norfolk Plowman’s Line Norfolk Norfolk County Hwy 59 Norfolk Talbot St. (Regional Rd. 38)Norfolk Page 64 of 319 Rail Crossings –Oxford County Road Crossing Road Ownership Clearview Dr.Tillsonburg ON-3 Provincial Young St.Tillsonburg Vienna Rd. (Hwy 19)Oxford Bell Mill Side Rd.Tillsonburg Page 65 of 319 •Letter of Support •Stating the benefits of the project to the region and your municipality •Deadline June 25, 2022 Ask from Municipalities Page 66 of 319 Contact: Contact: Kimberly Earls -kimberly.earls@scorregion.com Shelby Woodall –shelby.woodall@scorregion.com Thank you! Page 67 of 319 G . D o u g l a s V a l l e e L i m i t e d 2 Talbot Street North, Simcoe, ON N3Y 3W4  Phone: 519 426-6270  Fax: 519 426-6277  www.gdvallee.ca June 6, 2022 County of Oxford Planning and Development 21 Reeve Street, P.O. Box 1614 Woodstock, Ontario, N4S 7Y3 Attention: Mayor and Council Reference: Potters Gate Phase 4 – Minor Modifications to Zoning Clarification Letter Request for new motion and support of Council Tillsonburg – Oxford County Our File 21-002 G. Douglas Vallee Limited has been retained by Oxnard Potters Gate Inc. to make application for approval of a draft plan of subdivision, Zoning By-law Amendment and a severance application to permit 79 dwelling units (25 street townhouses and 54 single detached units) on 5.029 hectares of land in the Town of Tillsonburg, Oxford County. All applications were approved by the Town and County. Once approvals were obtained, the developer’s surveyor and architect noticed minor challenges with zoning compliance and dwelling unit designs as the ‘fit’ on the approved lot fabric. Emails were exchanged with the County to discuss these modifications. As such, at the request of the County, this letter summarizes the minor changes to the zone provisions necessary to allow for zoning compliance and to avoid challenging dwelling unit designs changes for the Phase 4 subdivision. At the Council meeting of May 24, 2022, there were concerns raised by 3 Councilors regarding how the reductions could impact parking. There did not appear to be any other concerns. The discussion was primarily regarding ‘frontage’ and the ability to park a vehicle in the driveway. Based on a review of the Council meeting recording, it appears that ‘frontage’ may have been confused with ‘front yard depth.’ Furthermore, a Councilor indicated that the reduction was for 2 ½ feet. If we are mistaken, we offer points of clarification regardless to help bring light to the nature of the minor reductions being requested. To clarify, the frontage is measured along the street line. Therefore, a reduction of 1 foot (0.3 metres) does not at all impact the ability to park a vehicle on any of the lots. Even with the reduction, there is still 4.35 metres of driveway width available whereas the zoning by-law requires a minimum width of 2.7 m – 3.0 m. In respect to the minor modifications request, all reductions to setbacks are 1 foot (0.3 metres) which have been reviewed and supported by development review and planning staff. No concerns have been identified. The lot depth reduction for Lot 3 is 0.5 metres which is caused by the ‘curve’ in the road unlike all other lots in the draft plan of subdivision. No impacts are generated from this minor reduction of lot depth for Lot 3. As such, we respectfully request that Council reconsider this request for the minor reductions to setbacks and lot frontage of 1 foot (0.3 metres) to avoid a very time consuming and costly process to re-apply for a zoning by-law amendment to achieve the exact same request here. There is a large shortage of housing and a significant immediate need to put shovels in the ground to provide the County and its residents with options for new housing. Page 68 of 319 Potters Gate Phase 4 – Minor Zoning Modifications Tillsonburg, Oxford County Our Project 21-002 Page 2 G. DOUGLAS VALLEE LIMITED Consulting Engineers, Architects & Planners Authorized by the Association of Professional Engineers of Ontario to offer professional engineering services. We respectfully request Council to support a motion to approve the minor requests. We would be pleased to be available for any questions at Council meeting to help bring clarity to the minor requests. Details regarding these requests are provided below should there be technical questions of Council. Minor Modifications Proposed Minor changes to the zoning by-law can be approved without subsequent public notice under Section 34(17) of the Planning Act. Subsection (17) states: Further notice (17) Where a change is made in a proposed by-law after the holding of the public meeting mentioned in subclause (12) (a) (ii), the council shall determine whether any further notice is to be given in respect of the proposed by-law and the determination of the council as to the giving of further notice is final and not subject to review in any court irrespective of the extent of the change made in the proposed by- law. R.S.O. 1990, c. P.13, s. 34 (17); 2006, c. 23, s. 15 (9). The requested changes to the draft zoning by-law are as follows: Firstly: Blocks 55 through to Block 60 (R3-23 and R3-24) frontages are very close to the minimums. 8.6.24.2.5 LOT FRONTAGE, CORNER LOT Minimum 10.5 m (34.4 ft) Proposed 10.2 m 8.6.24.2.6 LOT FRONTAGE, INTERIOR UNIT Minimum 7.5 m (24.6 ft) Proposed 7.2 m 8.6.24.2.7 LOT FRONTAGE, END UNIT Minimum 9 m (29.5 ft) Proposed 8.7 m For example: Block 55 needs 26.1 m with these reductions. 27 m is provided. Block 59 needs 33.3 m with these reductions. 34.5 m provided. Secondly: Lot 3 (R2 -31) does not meet the amended rear yard depth of 29.0 its depth is 28.650. The amended yard depth of the R3-23 and R3-24 zone is 28.5m. We request that the R2-31 lot depth be amended to reflect a minimum of 28.5 m. This would allow for lot depth to be consistent throughout the zone and Lot 3 would meet the minimum requirement. Page 69 of 319 Potters Gate Phase 4 – Minor Zoning Modifications Tillsonburg, Oxford County Our Project 21-002 Page 3 G. DOUGLAS VALLEE LIMITED Consulting Engineers, Architects & Planners Authorized by the Association of Professional Engineers of Ontario to offer professional engineering services. Thirdly: The single detached dwelling lots are slightly narrow. The architect dwelling unit designs include 1.2m side yard setbacks for the R2-31 zoned lands. The by-law requires 1.5 m and 1.2 m on one side which would trigger minor variances or a redesign of each dwelling unit proposed for the R2-31 zoned lots. There does not appear to be any planning impacts with the change of 0.3 metres to the interior side yard setback. We request that both interior side yard setbacks be required at minimum of 1.2m. Conclusion: The draft plan of subdivision for Potters Gate Phase 4 was originally designed too precise at the draft plan stage to consider updates from the surveyor and consultation with the developer’s architect for unit dwelling design. In order to ensure all lots and future dwelling units comply with the zoning by-law, a modification of 0.3 metres is requested for the R3 category frontage requirements, the R2 lot depth requirement and the R2 interior side yard setback requirement. These minor changes will allow for the draft plan approval to move forward through the clearance of conditions and final approval process while ensuring all lot comply with zoning and the architectural design of the dwelling units do not have to be redesigned. There does not appear to be any planning related impacts or functionality impacts resulting from these minor changes. Accordingly, we respectfully request that the forthcoming by-law to implement the proposed zoning changes, be supported by staff and approved by Council, and that Council resolve to determine that further notice does not need to be given in respect of the proposed by-law. We encourage you to contact us should you have any questions or concerns. Yours truly, Eldon Darbyson, MCIP RPP G. DOUGLAS VALLEE LIMITED Consulting Engineers, Architects & Planners H:\Projects\2021\21-002 Potters Gate Phase 4\Agency\Submissions\2022.05.16 - Zoning Update Letter\2022.06.06 - Council Response Letter - Potters Gate Phs 4.docxx Page 70 of 319 Page 71 of 319 1 Ministry of Northern Development, Mines, Natural Resources and Forestry Ministère du Développement du Nord, des Mines, des Richesses naturelles et des Forêts Wildlife Research and Monitoring Section Phone: 1-888-574-6656 2140 East Bank Drive Fax: 705-755-1559 DNA Building, c/o Trent University Email: rabies@ontario.ca Peterborough, ON K9L 1Z8 May 31, 2022 In 2022, the Ministry of Northern Development, Mines, Natural Resources and Forestry (NDMNRF) will once again be conducting Oral Rabies Vaccine (ORV) bait distribution and trap-vaccinate- release (TVR) programs in Ontario. Baiting and TVR operations will begin June 27 and continue until the end of October. TVR operations in St. Catharines began May 2. Please find attached: 1) Map of planned baiting area for 2022 2) Rabies Vaccine Bait Information Sheet Per the attached map, rabies vaccine bait distribution will be conducted in rural areas with NDMNRF aircraft and by hand in urban areas by NDMNRF wildlife technicians. These are the details of bait distribution work in 2022 (dates are subject to change depending on weather conditions):  Grey shaded areas will be completed with a combination of Twin Otter airplane and Eurocopter EC130 helicopter. Twin Otter flights will occur from August 15 through to August 21, with Eurocopter EC130 flights occurring August 22-26.  Urban hand baiting, including the use of temporary bait stations, will occur in the brown shaded areas starting June 27 and continue through to the end of October.  Live trapping and vaccinating wildlife (trap-vaccinate-release) will occur in the areas surrounding Hamilton, Niagara, St. Catharines and Welland shaded in yellow starting May 2 and will continue through to the end of October.  Preventative baiting of the purple shaded areas in eastern Ontario will take place in early August and will take one day to complete. In addition to the activities mentioned above, NDMNRF may conduct localized rapid response baiting and trap-vaccinate-release measures, which would take place in the event of a raccoon or fox strain rabies case outside of the planned baiting area. The ministry is committed to the research, surveillance, control and elimination of the outbreak of rabies in southwestern Ontario to prevent the disease from spreading. Since the start of the rabies outbreak in 2015, the first of its kind in over a decade, NDMNRF has taken quick action to protect communities, distributing 7.5 million vaccine baits by air and ground. Rabies cases have decreased by 95% since 2016. Page 72 of 319 2 In keeping with current World Health Organization guidelines, the 2022 rabies control zone has been reduced as some areas have had no reported cases in over two years. The control zone encompasses an area within approximately 50 km of positive cases that are less than two years old (positive cases since July 1, 2020). Any warm-blooded mammal can contract rabies. If a human contracts rabies and does not receive treatment, the disease is fatal. The khaki-green coloured bait being distributed by hand and by aircraft is made of wax-fat with an attractant flavour (vanilla-sugar). A label with a toll-free telephone number (1-888-574-6656) and the message “Do not eat” is located on the exterior of the bait, and a plastic package containing the liquid rabies vaccine is embedded in the centre. If found, the bait should not be touched, but left for raccoons, skunks and foxes to consume. (See attached bait identification hand out for detailed description.) Ontario’s rabies vaccine baits have been tested to ensure they are safe for wildlife, people, and pets. However, eating a vaccine bait does not replace the regular rabies vaccination provided by a veterinarian for pets. If a pet has eaten a bait and the owner is concerned, they should contact their vet as a precaution. Ontario’s rabies control program is a joint effort that receives important input and contributions from a variety of partners across the province. Partnerships with provincial ministries, federal agencies, regional health units, municipalities, wildlife rehabilitators, licensed trappers, wildlife control agents and Indigenous communities are all key to the continued success of Ontario’s rabies control program. For further information about rabies in Ontario, please visit Ontario.ca/rabies or contact the ministry’s rabies information line at 1-888-574-6656. Larissa Nituch Rabies Science Operations Supervisor 705-313-2043 (cell) Larissa.Nituch@ontario.ca Page 73 of 319 The Ministry of Northern Development, Mines, Natural Resources and Forestry Rabies vaccine bait identification June 2022 The Ultra-lite vaccine bait, ONRAB®, is used in Ontario for both fox strain and raccoon strain rabies control. Exposure to the bait is not harmful to people or pets; however, in the unlikely event that people or pets come in contact with the vaccine contained in the bait, contacting a doctor or veterinarian as a precaution is recommended. Bait Ingredients The bait formula coats the blister pack containing the vaccine. This formula consists of vegetable based fats, wax, icing sugar, vegetable oil, artificial marshmallow flavour and dark-green food grade fat-soluble dye. Ultra-lite blister-pack (Vaccine Carrier) This is a polyvinyl chloride (PVC) blister pack (40 mm x 22 mm x 10 mm) which weighs approximately 4.3 grams. The blister pack is a white/clear polyester flocked container with a heat-sealed laminated polyester lidding. The body of the blister pack is embedded in the bait matrix but the green lidding is exposed and has a black warning label printed on it. Inside Baits: ONRAB® oral rabies vaccine Description: a recombinant live virus liquid vaccine Volume/bait: 1.8 ±0.1 ml in the blister pack Other inclusions: vaccine stabilizers Colour: clear Target species: skunk, fox, and raccoon Contact: Wildlife Research and Monitoring Section rabies@ontario.ca1-888-574-6656Ontario.ca/rabies Disponible en français Page 74 of 319 Page 75 of 319 1 Downtown Tillsonburg Business Improvement Area E-VOTE of June 7th, 2022 Motion to approve the 2021 DTBIA Financial Statements Moved by: D. Rasokas, (Treasurer) and Seconded by: W. Cameron "And resolved that the 2021 DTBIA financial statements as presented (attached); hereby be approved/adopted; and be sent to the Town of Tillsonburg forthwith". TOMICO Yes No E-VOTE VIRTUAL CAMERON Yes No E-VOTE VIRTUAL GILVESY Yes No E-VOTE VIRTUAL VAN GEER TRUYDE Yes No E-VOTE VIRTUAL RASOKAS Yes No E-VOTE VIRTUAL TEDESCO Yes No E-VOTE VIRTUAL ROSEHART Yes No E-VOTE VIRTUAL BOSSY Yes No E-VOTE VIRTUAL BIRTWELL Yes No E-VOTE VIRTUAL CRESSMAN Yes No E-VOTE VIRTUAL “MOTION CARRIED” VOTES IN THE AFFIRMATIVE: 10 NO VOTES: 0 NOT VOTING: 0 APPROVED BY: C. Tomico, Board Chair Page 76 of 319 Page 77 of 319 Page 78 of 319 Page 79 of 319 Page 80 of 319 Page 81 of 319 Page 82 of 319 Page 83 of 319 Page 84 of 319 Page 85 of 319 Page 86 of 319 Page 87 of 319 Page 88 of 319 Page 89 of 319 Page 1 of 2 SUBJECT: 2021 Fourth Quarter Consolidated Financial Results Report Number: FIN 22-12 Department: Finance Department Submitted by: Renato Pullia, Interim Director of Finance/Treasurer Meeting Type: Council Meeting Meeting Date: Thursday, June 16, 2022 RECOMMENDATION THAT Council receives report FIN 22-12 2021 Fourth Quarter Consolidated Financial results as information. BACKGROUND To provide Council with the actual January 1, 2021 to December 31, 2021 Town wide consolidated financial results. DISCUSSION The attached appendices summarize by department the variances between 2021 actual results for the year ended December 31, 2021 and the 2021 budget. The fourth quarter results reflect an overall Town wide consolidated draft 2021 operating surplus of $933,847 and capital surplus of $77,958. 2021 was a year that was still impacted heavily by the pandemic. A year-end surplus is being reported due to the relatively continued mitigation efforts implemented by Town staff, which included staffing layoffs, delays in some recruitments and suspension of all non-critical recruitment; training/workshops/conferences, heat-light-water, advertising and certain subcontractor expense reductions; and reduced service levels to recreation programs and facilities, museum and airport operations due to mandated closures. Additionally, the financial support received by the Province ($295K) significantly assisted with mitigating the financial strain resulting from lost user-fee revenue sources. Page 90 of 319 FIN 22-12, Q4 Consolidated Financial Results Page 2 of 2 FINANCIAL IMPACT The Town’s 2021 financial external audit is currently underway and, once completed, a subsequent report containing the draft financial statements and related recommendation on reserve transfers per the Town’s Surplus Allocation Policy will be provided for Council review and approval. Questions or comments relative to the departmental 2021 fourth quarter revenues and expenditures should be referred to the applicable members of the Senior Leadership Team for commentary. CORPORATE GOALS How does this report support the corporate goals identified in the Community Strategic Plan? ☐ Lifestyle and amenities ☒ Customer service, communication and engagement ☐ Business attraction, retention and expansion ☐ Community growth ☐ Connectivity and transportation Does this report relate to a specific strategic direction or project identified in the Community Strategic Plan? Please indicate section number and/or any priority projects identified in the plan. Goal - The Town of Tillsonburg will strive for excellence and accountability in government, providing effective and efficient services, information, and opportunities to shape municipal initiatives. Strategic Direction – N/A Priority Projects – N/A ATTACHMENTS 1. Appendix A – 2021 Q4 Consolidated Operating Results 2. Appendix B – 2021 Q4 Consolidated Capital Results Page 91 of 319 2021 2021 Actual %Note Budget Actuals Variance Variance Reference Revenues Levy, PILS 17,730,900 17,356,007 (374,893) Grants 1,856,500 2,370,222 513,722 User Charges 5,675,600 6,280,842 605,242 Other Revenue 299,600 335,571 35,971 Specified Revenue 14,296 14,296 Contribution from Reserves 348,400 510,013 161,613 Total Revenues 25,911,000 26,866,951 955,951 Expenditures Labour 10,446,500 9,843,670 602,830 Purchases 4,525,400 4,055,764 469,636 Contracted Services 6,210,600 6,071,822 138,778 Contribution to Reserves 476,800 1,690,916 (1,214,116) Interfunctional Adjustments 444,800 446,518 (1,718) Debt Principal & Interest 1,895,040 1,912,554 (17,514) Total Expenditures 23,999,140 24,021,244 (22,104) Total Net Levy 1,911,860 2,845,707 933,847 Development Charges DC Revenue Collected (1,893,009) DC Contribution to Reserves 1,893,009 Page 92 of 319 2021 YTD Budget Budget Actuals Variance 110 Corporate Services 59,600 63,261 (3,661) 130 Fleet (1,229)1,229 150 Fire 10,000 7,475 2,525 160 Police 57,000 55,726 1,274 210 Engineering 99,000 87,970 11,030 220 Public Works 875,700 875,700 0 240 Airport 0 0 260 Storm Sewers 555,600 555,600 0 300 Cem 60,000 55,228 4,772 450 Parks 110,000 109,590 410 460 Rec - Programs 10,000 13,243 (3,243) 465 Rec - Bldg Mtce 205,000 142,601 62,399 467 Elliott Faifbairn Centre 0 0 475 Museum 10,000 10,000 0 500 DCS (1,221)1,221 505 Economic Dev 0 0 Total Town 2,051,900 1,973,942 77,958 Page 93 of 319 Page 1 of 9 Subject: Fourth Quarter Economic Development and Marketing Results Report Number: EDM 22-15 Department: Economic Development Department Submitted by: Cephas Panschow Meeting Type: Council Meeting Meeting Date: Thursday, June 16, 2022 RECOMMENDATION THAT Council receives Report EDM 22-15, 2021 Fourth Quarter Economic Development and Marketing Results as information. BACKGROUND Economic Development Activity 2020 (Actual) 2021 (Target) 2021 (Actual) Lead Files Opened 75 70 100 Lead Files Closed 60 65 103 Corporate Visits 15 12 7 Client Visits 27 20 18 New Businesses Opened 23 15 25 Businesses Closed 18 N/A 15 Website (All Town Pageviews) 525,108 N/A 557,017 Page 94 of 319 EDM 22-15 Page 2 of 9 Website Activity (Main Business Page) 2,048 3,400 2,149 Website Activity (Available land/buildings) 2,023 N/A 2,016 New Businesses Quarter Business Name/Address Q1 Inara Counselling** - Home Occupation ReelFlies.ca – 93 Broadway People's Choice Warranty – 107 Broadway Tillsonburg Chiropractic – 10 Brock St E Q2 Capturing Eden Cannabis – 52 Simcoe St Canadian Mental Health Agency – 41 Broadway Grand Cannabis – 523 Broadway Green Theory Design – 1523 Bell Mill Sideroad Our Creative Touch - 21 Ridout St W QBUD Cannabis – 200 Broadway The Underground – 107 Concession St E True North Cannabis – 110 Broadway Two Ladies and a Cheese Shop – 20 Brock St W Q3 At my Playground – 60 Cedar St DeVos Construction** – Home Occupation Fallen Forest – 102 Spruce St Hoof and Tails Tack Shop - 145 Simcoe St Motor City Wheelz – 39 Oxford St Pizza Time* – 523 Broadway Safe on Site Training – 213 Tillson Ave Tuan the Barber – 164 Broadway Q4 Cool Convenience* - 150 North St E Otter Creek Physio – 14 Tillson Ave Sparkle Candle – 18 Oxford St The Missing Sock – 102 Tillson Ave *Denotes business that replaced or took over an existing business/location with no material change in use **Denotes Home Occupation. Starting in 2020, these businesses have been included in new business start-ups to help identify entrepreneurial activity Page 95 of 319 EDM 22-15 Page 3 of 9 Closed Businesses Quarter Business Name/Address Q1 Boss Tooling Inc – 131 Townline Rd Eberhard Hardware Manufacturing Ltd – 1523 Bell Mill Side Road Hexacomb Corporation – 101 Cedar St Paper Suitcase Photography – 93 Broadway Rogers Radio – 77 Broadway Styles on the Go – 140 Oxford St Tomorrow’s Health and Wellness – 523 Broadway Q2 ABO Baseball – 37 Tillson St Cardinal Muffler – 39 Oxford St Hue Salon – 20 Brock St W Lioness Club of Tilllsonburg Morgan Realty – 38 Brock St E Q3 Krushed Tomato – 523 Broadway Q4 Cranberry Convenience* - 150 North St E Fresh Auto – 671 Broadway The below tables summarize the status of the 2021 Business Plan Operating and Capital Budget objectives. Table 1: 2021 Business Plan Objectives Objective Budget Value Target Date Status Community Improvement Plan (Downtown Façade) $31,000 Q4 Funding provided to BIA Community Improvement Plan $20,000 Q4 Two applications approved in Q3 Economic Development Strategy Implementation $10,000 Q4 Approved in principal March 30, 2022 with input from the Economic Development Advisory Committee Enhanced Business Processes $10,000 Q4 Subscription to company prospecting tools (IBISWorld) completed High Tech Manufacturing Action Plan $2,000 Q4 Implementation in process. Kick-off event delayed until 2022 SOMA Asia Mission $20,000 Q4 Not initiated Van Norman Innovation Park – Clearview Dr Extension Q4 Substantial completion achieved on September 9. Electrical Page 96 of 319 EDM 22-15 Page 4 of 9 & SWM Pond Construction servicing and legal plan registration in process Van Norman Innovation Park (Certified Sites) $7,000 Q4 Not initiated. Included in 2022 Business Plan Engineering Design Services for Rokeby Road Property $265,000 with offsets Q4 In process Chamber Awards – Grant $4,000 Q2 Q4 Completed. Event deferred until November 18 Chamber Awards – Sponsorship $4,000 Q2 Q4 Completed Community Video Production $15,000 Q3 Production not completed and moved to 2022 Bridges to Better Business $1,000 Q4 Cancelled due to pandemic considerations Youth Robotics Challenge $1,000 Q4 Cancelled due to pandemic considerations Residential marketing $11,000 Q4 Completed. Fall 2021 magazine published Branding – Wayfinding Signage (carry- forward) $30,000 (Reserves) Q3 Contract awarded September 27. Final design and implementation underway Consultations for Mall Parking Lot Reconfiguration (carry- forward) $0 Q1 - Q2 Not initiated. Included in 2022 Business Plan 1101 Highway 3 Property – Explore development opportunities $0 Q4 Council approved funding for preliminary planning on October 12. Conceptual plan preparation underway Education Task Force $0 Q4 Initiated. Providing support to Career Studies Class (Glendale) Pandemic Business Recovery $0 Q4 Completed. Application to MyMain Street program for Clock Tower area redevelopment was not approved. Page 97 of 319 EDM 22-15 Page 5 of 9 Town Hall Project Support $0 Q4 Space Needs Study, Conceptual Floor Plans and Project Analysis completed. Continue to facilitate discussions and networking with potential partners to review additional opportunities for Short Line Rail connectivity within the Town of Tillsonburg. $0 Q4 In process. Re-start of rail service on the Cayuga Subdivision announced Continue to facilitate discussions, networking and planning to ensure adequate Industrial Zoned land is available for servicing and development. $0 Q4 In process DISCUSSION In terms of Economic Development & Marketing activity, many metrics were strong despite the impact of the pandemic on regular actions and initiatives. Most notably, lead files opened by Tillsonburg were 33% higher than the previous record! New businesses that opened increased to 25 and businesses that closed decreased to 15. The Economic Development & Marketing Department also supported investment in the Town of Tillsonburg as follows:  Lot 2 (2 acres initially then 2 more) – March 8, 2021 and then February 14, 2022  Lot 3 (2.5 acres initially then 1.05 acres more) – May 25, 2021 and October 25, 2021  Lot 7 (2 acres south of Progress Dr) – April 12, 2021  THK – Investment of $27 Million o Town support for $1 M SWODF Grant  Community Improvement Plan Applications o 141 Broadway (Accessibility Rebate) o 61 Townline Rd (Tax and Building Permit rebates)  Sale of 671 Broadway for Commercial Plaza In summary, the above departmental metrics demonstrate that, despite the impacts of the pandemic shutdowns on the economy, 2021 was still a very good year in terms of interest Page 98 of 319 EDM 22-15 Page 6 of 9 and investment in the Town! Town Council’s multi-year funding for the development and construction of the Van Norman Innovation Park has resulted in a number of different land sales and this bodes well for future growth and development. CONSULTATION The reporting of quarterly results helps demonstrate accountability to Senior Leadership, Town Council, and the public. In addition to this, the Economic Development Advisory Committee was provided with a summary of these metrics at their March 8, 2022 meeting. FINANCIAL IMPACT/FUNDING SOURCE The Economic Development & Marketing Department variances for 2021 are as follows: Department Variance (Brackets denote over budget) Explanation Economic Development (505) $50,372 Rent Revenue under $7,500 Meeting Expense under $7,000 Advertising Expense over $8,100 Special Events under $21,900- SOMA Asia mission Special Projects under $17,300 Subcontractor Expense under $19,100 -CIP program Debt interest under $5,700 Development & Communications (500) $902 Discover Tillsonburg Advertising Revenue and Expenses under budget TOTAL $51,274 Due to ongoing pandemic considerations, a trade mission to Asia was not able to be planned for 2021. Through Finance’s final 2021 Year End report, staff will be seeking Council approval to move funds totaling $24,000 into a reserve in order to put towards the costs of future trade missions. Page 99 of 319 EDM 22-15 Page 7 of 9 CORPORATE GOALS How does this report support the corporate goals identified in the Community Strategic Plan? ☐ Lifestyle and amenities ☒ Customer service, communication and engagement ☐ Business attraction, retention and expansion ☐ Community growth ☐ Connectivity and transportation ☐ Not Applicable Does this report relate to a specific strategic direction or project identified in the Community Strategic Plan? Please indicate section number and/or any priority projects identified in the plan. Goal - The Town of Tillsonburg will strive for excellence and accountability in government, providing effective and efficient services, information and opportunities to shape municipal initiatives Strategic Direction – Not applicable Priority Project – Not applicable ATTACHMENTS Appendix A – Operating and Capital Financial (Cost Code) Summary Page 100 of 319 EDM 22-15 Page 8 of 9 Appendix A – Operating and Capital Financial (Cost Code) Summary 2021 2021 Actual %Note YTD Budget YTD Actuals Variance Variance Reference Revenues User Charges 90,000 84,741 (5,259)(6%)1 Total Revenues 90,000 84,741 (5,259) Expenditures Purchases 55,000 50,639 4,361 (8%)2 Contribution to Reserves Interfunctional Adjustments 4,700 4,704 (4)(0%) Total Expenditures 59,700 55,343 4,357 Total Net Levy 30,300 29,398 (902) Notes 1 Discover Tillsonburg Advertising Revenue 2 Discover Tillsonburg Expenses Page 101 of 319 EDM 22-15 Page 9 of 9 2021 2021 Actual %Note YTD Budget YTD Actuals Variance Variance Reference Revenues Grants 12,000 13,087 1,087 (9%) User Charges 108,000 100,450 (7,550)(7%)1 Contribution from Reserves 29,100 29,100 Total Revenues 149,100 142,637 (6,463) Expenditures Labour 202,200 203,773 (1,573)(1%) Purchases 112,300 73,935 38,365 (34%)2 Contracted Services 30,000 15,618 14,382 (48%)3 Contribution to Reserves 76,000 76,000 0% Interfunctional Adjustments (18,900)(18,900)0% Debt Principal & Interest 90,800 85,139 5,661 (6%)4 Total Expenditures 492,400 435,565 56,835 Total Net Levy (343,300)(292,928)50,372 Notes 1 Rent Revenue under $7,500 3 subcontractor Expense under $19,100 -CIP program 4 Debt interest under $5,700 2 Meeting Expense under $7,000; Advertising Expense over $8,100; Special Events under $21,900- SOMA Asia mission; Special Projects under $17,300 Page 102 of 319 Page 1 of 5 SUBJECT: 2021 Fourth Quarter Finance & Corporate Services Department Results Report Number: FIN 22-11 Department: Finance Department Submitted by: Renato Pullia, Interim Director of Finance/Treasurer Meeting Type: Council Meeting Meeting Date: Thursday, June 16, 2022 RECOMMENDATION THAT Council receives report FIN 22-11 2021 Fourth Quarter Finance & Corporate Services Department results as information. BACKGROUND To provide Council with the actual January 1, 2021 to December 31, 2021 Finance & Corporate Services Department financial results. DISCUSSION Summary of Operational Results Table 1: 2021 Operations Business Plan Objective Owner Target Date Status Development Charges By- Law Review & Update Finance Q1 Completed Report to Council re: Town’s response to BIA Write-Off Policy request Finance Q1 Completed Expand Electronic Receivables Acceptance Finance Ongoing Ongoing; enrolling in EFT receipts as received. Page 103 of 319 FIN 22-01, Q4 Finance & Corporate Services Results Page 2 of 5 Purchasing Consultant – Document Review Finance Q2 Completed HST Rebate Audit Finance Q3 Completed RFP for Banking Services/Review Banking Arrangements Finance Q3 Completed 2022 Multi Year Budget Finance Delayed to Q2 2022 Delayed; prerequisites to completion include completed Asset Management Plan (July 2022) and budgeting system update Asset Management Plan Integrated into 2022 Budget Finance Delayed to Q2 2022 Physician Recruitment CAO Q4 Ongoing Ongoing; regular committee meetings to discuss updates and initiatives Strategic Plan CAO Q4 Completed Town Hall CAO Q4 In progress; Directed by Council to negotiate lowest costed option & report back Integration of County Service Plan Items CAO Ongoing Town continues to engage neighbouring municipalities and utilize Modernization funding. Facilitate discussions, networking and planning to ensure expanded opportunities for Affordable and Attainable Housing alternatives within the community & determine applicable strategies for Council review CAO Ongoing In progress; Subcommittee has been established and meeting regularly to advance initiatives. Accessibility for Ontarians with Disabilities Act (AODA) Website Upgrades Corporate Services Q4 Completed Senior Leadership Team to prepare a draft Tillsonburg Corporate Services Q2 Q4 Incorporated within the Strategic Plan Page 104 of 319 FIN 22-01, Q4 Finance & Corporate Services Results Page 3 of 5 Table 2: 2021 Capital Business Plan Objective Owner Target Date Status Server Replacement Corporate Services Q3 Annual Computer Replacement Corporate Services Q4 Ongoing In progress Cell Phone Replacements Corporate Services Q4 Ongoing In progress Contribution to IT Reserves from Departmental Charges for future Computer Hardware Replacements Finance Q4 response to Oxford County Report CAO 2020-01 regarding Housing BIA boundary request to include the process involved under the Act and also options available for Council consideration. Corporate Services Q3 Completed; Boundary adjustment not supported RFP for Insurance Corporate Services Q4 Central Record Transference (permanent physical documents to electronic format) Corporate Services Q4 In progress Local Government Week Corporate Services Q4 Evaluating options due to Covid-19 Report on updating website and development of Tillsonburg Mobile App Corporate Services Q4 Delayed to Q2 2022 Received Intake #3 Funding; Website and Mobile App project in progress Proceed with a general planning application to prevent the conversion of commercial space on Broadway to residential on the ground floor. Report on how to preserve commercial space in the downtown area. Corporate Services Q4 Completed Page 105 of 319 FIN 22-01, Q4 Finance & Corporate Services Results Page 4 of 5 Table 3: 2021 Additional Information Objective Target Date Status 2020 Final Audit Q2 Completed Audited 2020 Financial Statements Q2 Completed 2021 Interim Audit Q4 Completed FINANCIAL IMPACT The 2021 fourth quarter Finance & Corporate Services Department surplus is $378,780. This is broken down as follows: Department 100 – Council (5,047) Department 105 – Financial Services $320,407 Department 110 – Corporate Services 64,889 Department 120 – Customer Service Centre (1,469) $ 378,780 Details on major variances can be found in the attached Q4 results appendices. CORPORATE GOALS How does this report support the corporate goals identified in the Community Strategic Plan? ☐ Lifestyle and amenities ☒ Customer service, communication and engagement ☐ Business attraction, retention and expansion ☐ Community growth ☐ Connectivity and transportation Does this report relate to a specific strategic direction or project identified in the Community Strategic Plan? Please indicate section number and/or any priority projects identified in the plan. Goal - The Town of Tillsonburg will strive for excellence and accountability in government, providing effective and efficient services, information, and opportunities to shape municipal initiatives. Strategic Direction – N/A Page 106 of 319 FIN 22-01, Q4 Finance & Corporate Services Results Page 5 of 5 Priority Projects – N/A ATTACHMENTS 1. Appendix A - 2021 Q4 Finance & Corporate Services Operating Results Page 107 of 319 Council 2021 2021 Actual %Note YTD Budget YTD Actuals Variance Variance Reference Revenues Contribution from Reserves 135,000 51,386 (83,614)(62%)1 Total Revenues 135,000 51,386 (83,614) Expenditures Labour 199,000 201,178 (2,178)(1%) Purchases 278,100 195,709 82,391 (30%)2 Contracted Services 1,800 3,102 (1,302)(72%) Contribution to Reserves 10,000 10,000 0% Interfunctional Adjustments 26,400 26,744 (344)(1%) Total Expenditures 515,300 436,733 78,567 Total Net Levy (380,300)(385,347)(5,047) Notes 1 Strategic Plan Physician Recruitment 2 Training under $9,700; Special Events under 9,300 - Local government week, volunteer Recognition event; Special Projects under $54,000 Page 108 of 319 Financial Services 2021 2021 Actual %Note YTD Budget YTD Actuals Variance Variance Reference Revenues Grants 709,900 1,232,023 522,123 (74%)1 User Charges 24,000 31,177 7,177 (30%)2 Other Revenue 60,000 94,670 34,670 (58%)3 Contribution from Reserves 150,000 345,388 195,388 (130%)4 Total Revenues 943,900 1,703,258 759,358 Expenditures Labour 800,000 797,474 2,526 (0%) Purchases 65,300 52,414 12,886 (20%)5 Contracted Services 40,000 44,844 (4,844)(12%) Contribution to Reserves 53,800 503,335 (449,535)(836%)6 Interfunctional Adjustments (199,100)(199,116)16 (0%) Total Expenditures 760,000 1,198,951 (438,951) Total Net Levy 183,900 504,307 320,407 Notes 1 OCIF Formula Funding - $221,400; Cannabis Grant - $5,000; Covid-19 Recovery Grant - $295,400 6 OCIF formula funding contributed to reserves - $221,400; Bank interest earned relating to Reserve account $32,700; 2020 YE surplus $195,400 2 Certificate Revenue over $7,750 -Tax 3 Interest Revenue 4 2020 YE surplus $195,400 5 Training Exp under $12,900 Page 109 of 319 Corporate Services 2021 2021 Actual %Note YTD Budget YTD Actuals Variance Variance Reference Revenues Grants 109,065 -109,065 1 User Charges 11,000 156,802 145,802 (1,325%)2 Other Revenue Contribution from Reserves 4,000 13,406 9,406 (235%)3 Total Revenues 15,000 279,273 264,273 1 Expenditures Labour 1,066,300 1,068,092 (1,792)(0%) Purchases 562,100 586,117 (24,017)(4%)4 Contracted Services 525,600 572,550 (46,950)(9%)5 Contribution to Reserves 102,137 -102,137 6 Interfunctional Adjustments (438,000)(437,641)(359)(0%) Debt Principal & Interest 24,129 (24,129)2 Total Expenditures 1,716,000 1,915,384 (199,384) Total Net Levy (1,701,000)(1,636,111)64,889 Development Charges DC Revenue Collected (96,308) DC Contribution to Reserves 96,308 Notes 2 Vaccine Clinic Revenue - $123,185; Misc Rec - $23,000 Off Set Debt Principal 1 HST Audit Refund 3 DC Reserves to offset DC Study update 4 Supplies Exp over $55,400 - Vaccine Clinic $13,400, COVID Supplies over $42,900; Insurance Claims under $25,800 5 Legal Exp over $24,300; Computer Maintenance contract over $19,500 6 Insurance Claims Surplus & Net HST Audit Refund Page 110 of 319 Customer Service Centre 2021 2021 Actual %Note YTD Budget YTD Actuals Variance Variance Reference Revenues User Charges 298,700 294,148 (4,552)(2%) Other Revenue Total Revenues 298,700 294,148 (4,552) Expenditures Labour 280,600 282,567 (1,967)(1%) Purchases 90,600 55,148 35,452 (39%)1 Contracted Services 32,000 62,559 (30,559)(95%)2 Interfunctional Adjustments (231,400)(231,396)(4)(0%) Debt Principal & Interest 7,300 7,139 161 (2%) Total Expenditures 179,100 176,017 3,083 Total Net Levy 119,600 118,131 (1,469) Notes 2 Sub Contractor Expense over $ 30,600 1 Supplies Exp under $21,600; Equipment Supplies & Repairs Exp under $6,500; HLw under $6,700 Page 111 of 319 Page 1 of 4 Subject: Fire and Emergency Services Fourth Quarter Report 2021 Report Number: FRS 22-09 Department: Fire and Emergency Services Submitted by: Shane Caskanette, Fire Chief Meeting Type: Council Meeting Meeting Date: Thursday, June 16, 2022 RECOMMENDATION THAT Report FRS 22-01 Fire and Emergency Service Fourth Quarter Report 2021 be received for information. BACKGROUND To provide Council with October 1, 2021 to December 31, 2021 and year end Fire and Emergency Services performance results. DISCUSSION SUMMARY OF PERFORMANCE MEASURES 2021 Business Objectives Objective Target Date Status Continuation of multi-year training plan for Firefighters and Officer Development Q1 / Q2 / Q3 / Q4 Ongoing Continue Development of PTSD risk reduction strategy and program. Q1 / Q2 / Q3 / Q4 Ongoing Continue to develop and implement cancer risk reduction strategy and program Q1 / Q2 / Q3 / Q4 Ongoing Update Establishing and Regulating By-law Q4 / 2022 Ongoing Continue training on Technical Rescue/Ice Water/Fire Ground Operations Q1 / Q2 / Q3 / Q4 Ongoing Continued progress in Mandatory Emergency Management Q1 / Q2 / Q3 / Q4 Ongoing Continued progress in Fire Prevention and Public Education Q1 / Q2 / Q3 / Q4 Ongoing Page 112 of 319 FRS 22-09 Page 2 of 4 Key Performance Indicators Average number of firefighters attending training sessions was twenty-five (25) of 28 firefighters. The average attendance at fire incidents are as follows:  Platoon Calls: 10 firefighters respond  All Calls: 13 firefighters respond  Medical Calls: 8 firefighters respond 2021 Alarm Data (Year to Date) OFM Response Type Total Incidents Total Staff Hours Property Fires/Explosions 26 620 Burning Controlled 17 31 Pre Fire Conditions/ No Fire 19 114 False Fire Calls Alarm Activations 117 446 Carbon Monoxide False Calls 26 92 Public Hazard 64 461 Rescue MVC 31 154 Medical/Resuscitator Call 39 77 Other Response 110 440 YTD 449 2,435 2021 Dollar Loss / Loss Prevention Number of Property Fire Incidents Estimated Property Value at Risk Estimated Structure Fire Loss Estimated Content Fire Loss Property Fire Loss Prevented Q1 2 $175,000.00 $45,000.00 $10,000.00 $120,000.00 Q2 1 $520,000.00 $250,000.00 $15,0000.00 0 Q3 2 $700,00.00 $700,000.00 $150,000.00 0 Q4 4 $3,075,000.00 $730,000.00 $826,000.00 $295,500.00 YTD Total 9 $1,395,000.00 $995,000.00 $175,000.00 $120,000.00 Fire Prevention Inspections 4th Quarter 2021 Year to Date New Inspections 8 34 Ongoing Inspections 12 38 Legal Action 0 0 Closed 25 47 Page 113 of 319 FRS 22-09 Page 3 of 4 Public Education Types 2021 4th Quarter 2021 Year to Date Age Groups Served YTD Fire Public Education Presentations and Events 13 28 Under 5 = 79 Ages 5-10 = 27 Ages 11-15 - 16 Ages 16-25 = 30 Ages 26-54 = 57 Ages 55+ = 39 All Ages (Group) = 400 Emergency Management Public Education Presentations and Events 1 2 Emergency Management – Social Media 13 77 Social Media Posts 146 Fire Public Education - Social Media 8 69 Fire Communication Report After Hours Town of Tillsonburg Calls 2021 4th Quarter On Call Called Out 2021 YTD On Call Called Out YTD Town Administration 456 N/A 1,100 N/A OPP 47 N/A 258 N/A Roads 67 11 176 59 Hydro 222 44 823 150 Water/Waste 21 4 111 35 By-Law Enforcement/Parking 9 2 29 10 Animal Control 9 2 27 11 Garbage Collection/Transfer Station 35 2 148 2 Fleet 0 0 0 0 Community Centre/Parks 13 0 96 9 Facilities 3 0 22 0 Fire Communications (Tillsonburg) 2021 4th Quarter 2021 YTD Administration Lines 290 1,598 Fire Incidents 131 449 Fire Communication Services (Customers) 2021 4th Quarter 2021 YTD Emergency Calls Received 2,627 11,468 Non Emergent Calls Received 3,014 10,986 Actual Fire Incidents Dispatched 964 5,277 Page 114 of 319 FRS 22-09 Page 4 of 4 FINANCIAL IMPACT/FUNDING SOURCE 1) FT Labour under $101,600 Gapping – Communications under $73,000, and General under 29,000, PT Labour over $24,000 Communications over $38,000 and Fire Suppression under $13,600 2) Equipment S&R under $$12,500, Training expense under $27,100, Advertising over $19,700. 3) Maintenance Contract over $16,000, Subcontracted Expense over $8,900 Total Net Levy impact 2021 YTD Budget Vs Actuals under $90,103 CORPORATE GOALS How does this report support the corporate goals identified in the Community Strategic Plan? ☒ Lifestyle and amenities ☒ Customer service, communication and engagement ☐ Business attraction, retention and expansion ☐ Community growth ☐ Connectivity and transportation ☐ Not Applicable Does this report relate to a specific strategic direction or project identified in the Community Strategic Plan? Please indicate section number and/or any priority projects identified in the plan. Goal – Within the community, Tillsonburg will strive to offer residents the amenities, services and attractions they require to enjoy balanced lifestyles. Strategic Direction – Expand community partnerships in the delivery of programs and amenities. Priority Project – Not applicable. Goal – The Town of Tillsonburg will strive for excellence and accountability in government, providing effective and efficient services, information, and opportunities to shape municipal initiatives. Strategic Project – Explore opportunities for service efficiencies in partnership with adjacent municipalities. Priority Project – Not applicable. ATTACHMENTS 1. Fire Operating Plan Q4 2021 Financials Page 115 of 319 2021 2021 Actual %Note YTD Budget YTD Actuals Variance Variance Reference Revenues Grants User Charges 611,400 619,527 8,127 (1%) Contribution from Reserves 3,512 3,512 Total Revenues 611,400 623,039 11,639 Expenditures Labour 1,279,500 1,199,971 79,529 (6%)1 Purchases 220,500 196,327 24,173 (11%)2 Contracted Services 138,700 163,665 (24,965)(18%)3 Contribution to Reserves 30,000 30,000 0% Interfunctional Adjustments 295,000 295,842 (842)(0%) Debt Principal & Interest 70,300 69,731 569 (1%) Total Expenditures 2,034,000 1,955,536 78,464 Total Net Levy (1,422,600)(1,332,497)90,103 Development Charges DC Revenue Collected (158,257) DC Contribution to Reserves 158,257 Notes 2 Equipment Supplies & Repairs under $12,500; Training Expense under $ 27,100; Advertising Exp over $19,700 3 Equipment Maint. Contract over $16,000 - Fire Comm; Subcontractor Exp Over $8,900 -Building Maintenance 1 FT labour under $101,600 - Fire Comm under $73,300 and General under $29,200; PT labour over $24,400 - Fire Comm over $38,000, Fire Suppression under $13,600 Page 116 of 319 Page 1 of 6 Subject: 2021 Fourth Quarter Building, Planning & By-Law Services Results Report Number: OPD 22-19 Department: Building/Planning/By-Law Services Submitted by: Geno Vanhaelewyn, CBO Meeting Type: Council Meeting Meeting Date: Thursday, June 16, 2022 RECOMMENDATION THAT report OPD 22-19 - 2021 Fourth Quarter Building, Planning & By-Law Services Results be received as information. BACKGROUND This report contains information on the annual activity volumes, trends over time, financials and updates on major initiatives. The statistics provided are inclusive from January 1, 2021 to December 31, 2021. DISCUSSION BUILDING SERVICES Building Services experienced another record setting year for total number of permits issued and total value of construction far surpassing the record setting 2020. Increases in activity were recorded across all sectors with the highest activity experienced within the residential sector. These statistics are provided in the tables below. 2021 – Annual Building Permit Activity Overview (Jan 1/21 – Dec 31/21) Total Permits Issued 623 Inspections Completed 3,098 Total Construction Value $112,944,208 Total Permit Revenue $1,329,302 Page 117 of 319 OPD 22-19 - 2021 Fourth Quarter Building, Planning & By-Law Services Results Page 2 of 6 2021 Value of Construction Comparisons (Jan 1/21 – Dec 31/21) CLASS 2021 2020 2019 2018 2017 2016 Single Dwellings 55,243,304 32,571,350 21,766,521 18,283,760 17,381,846 22,986,868 Other Residential 48,274,615 32,315,462 24,972,135 13,141,512 3,394,667 2,931,504 Institutional 1,473,000 90,718 6,990,840 2,392,166 256,900 76,114 Commercial 3,252,230 2,318,485 1,968,684 6,698,430 1,700,068 5,463,272 Industrial 4,701,059 4,367,080 901,403 2,934,002 1,992,965 4,361,500 Total Value of Construction 112,944,208 71,663,095 56,599,583 43,449,870 24,726,446 35,819,258 Total Number of Permits Issued 623 538 469 436 431 426 2021 - Residential Construction Comparison (Jan 1/21 – Dec 31/21) TOTAL RESIDENTIAL PERMITS ISSUED SINGLE (DETACHED) DWELLINGS APARTMENT UNITS TOWNHOUSE UNITS CONDO UNITS TOTAL RESIDENTIAL CONSTRUCTION VALUE OVERALL CONSTRUCTION VALUES 2021 521 167 4 160 7 103,517,919 112,944,208 2020 423 110 9 - 121 64,886,812 71,663,095 2019 329 90 133 - 24 46,738,656 56,599,583 2018 325 86 42 - 22 31,425,272 43,449,870 2017 316 80 5 - 4 21,276,513 24,726,446 2016 300 117 0 - 0 25,918,372 35,819,258 2015 218 61 - - 0 14,568,726 19,569,694 2014 240 64 36 - 0 16,432,935 38,932,498 2013 200 67 1 - 0 12,643,180 19,442,337 2012 203 54 0 - 0 10,387,007 18,982,457 2011 249 42 68 - - 13,781,335 17,921,577 2010 236 58 - - - 8,463,514 12,455,689 2009 175 42 30 - - 20,267,358 26,021,858 2008 228 41 - - 10 8,924,882 13,407,055 2007 299 98 13 - - 16,471,262 22,770,077 2006 252 73 2 - - 11,822,167 19,723,767 Page 118 of 319 OPD 22-19 - 2021 Fourth Quarter Building, Planning & By-Law Services Results Page 3 of 6 Inspection Activity Comparisons (Jan 1/21 – Dec 31/21) Output Measures/Activity Quantity 2016 Quantity 2017 Quantity 2018 Quantity 2019 Quantity 2020 Quantity 2021 Building Inspections Completed 1621 2092 2317 2296 2492 3,098 Major Construction/Development Projects:  Northcrest Estates Subdivision – 76 singles & 72 towns - Hayhoe Homes  101 North St E – 59 unit townhouse development – Hayhoe Rentals  61 Vienna – 26 unit townhouse development  Potters Gate Phase 3 – 53 singles & 26 towns – Oxnard Developments  361 Quarter Town Line – 360 West Development  200 Broadway – Strathallen/Popeye’s Chicken – commercial alteration  200 Broadway – Strathallen/barBurrito – commercial alteration  31 Frances – St. Joseph’s Catholic School – institutional alteration – new unit ventilators  10 Lisgar – Town of Tillsonburg - CSC Façade  32 Clearview –industrial interior fit out.  96 Tillson Ave – Livingston Ctr. – institutional alteration  45 Brock W – Dental Clinic – alteration Building Financial Impact Completed work was funded through 2021 budget allotments, with a permit revenue surplus in the amount of $513,164 allocated to Building Permit Obligatory Reserve, resulting in a net operating balance of $0 ($2 shown due to rounding). Financial summary attached to this report. PLANNING SERVICES 2021 – Planning Activity (Jan 1/21 – Dec 31/21) Output Measures/Activity 2016 2017 2018 2019 2020 2021 Minor Variance Applications 12 11 19 17 14 24 Zone Change Application 9 14 14 16 19 17 Site Plan Formal Consultations 4 7 4 5 5 4 Site Plan Approvals 10 6 16 13 9 8 Site Plan Applications (in progress) 5 8 9 4 3 7 Page 119 of 319 OPD 22-19 - 2021 Fourth Quarter Building, Planning & By-Law Services Results Page 4 of 6 Subdivision Agreements 4 3 0 3 2 2 Pre-Servicing Agreement 1 0 3 3 3 2 Draft Plan of Subdivision Approvals 1 1 1 1 1 5 Draft Plan of Subdivision Approval Ext 2 2 2 0 2 1 BY-LAW SERVICES Records indicate that by-law and property standard enforcement activities and occurrences are fairly consistent with the previous year. There were reductions in parking tickets issued and the variances noted are directly related to COVID-19. These activities are noted in the table below. 2021 – By-Law Activity (Jan 1/21 – Dec 31/21) Output Measures– Quantity 2016 Actual 2017 Actual 2018 Actual 2019 Actual 2020 Actual 2021 Actual Parking Tickets Issued 891 663 835 921 353 482 Animal Tags Issued Cats 1221 1024 971 978 990 848 Dogs 2101 2272 2512 2232 2110 2093 Enforcement – Complaints and Occurrences Parking, Taxi, Illegal Dumping, Noise 132 152 146 - 241 212 Property Stds, Zoning, Clean Yard, Sign, Fence, etc. 255 313 280 - 308 269 Animal Control 350 321 261 - 272 210 By-Law Financial Impact By-Law Services (Protection) resulted in a net operating surplus of $29,020 as a result of savings in labour, purchases and training. A copy of the financial summary has been attached to this report. DEPARTMENTAL TASKS/BUSINESS OBJECTIVES 2021 Business Plan Objectives Objective Target Project Status Review Amanda Building Permitting Software Solution Mobility Options – Provided via Cloudpermit Q2 Complete Page 120 of 319 OPD 22-19 - 2021 Fourth Quarter Building, Planning & By-Law Services Results Page 5 of 6 Objective Target Project Status Implement Permit Web Portal & Digital Service Delivery Q1 Complete Communicate Building Code Amendments Q4 Complete By-Law Reviews – Traffic By-law (complete), Clean Yard By-Law (complete), Garbage/Dumping By-Law (carry over into 2022), Building By-Law (carry over into 2022) Q4 Q3 2022 Complete In Progress Animal Control Contractor RFQ Q2 Complete Central Area Design Study – Façade Improvement Program Q4 Complete Central Area Design Study – Public Objectives – Alley Connecting Walkways Proposal Q4 Complete Review Planning Process & Procedures Q1 Q3 2022 In Progress Review Planning Submission Web Portal Options & Digital Service Delivery Q4 Complete Review Innovative Options related to MMAH More Homes, More Choice: Ontario’s Housing Supply Action Plan - secondary dwelling units, tiny homes, etc. Q4 Q2 2022 In Progress CORPORATE GOALS How does this report support the corporate goals identified in the Community Strategic Plan? ☐ Lifestyle and amenities ☒ Customer service, communication and engagement ☐ Business attraction, retention and expansion ☐ Community growth ☐ Connectivity and transportation ☐ Not Applicable Does this report relate to a specific strategic direction or project identified in the Community Strategic Plan? Please indicate section number and/or any priority projects identified in the plan. Goal - The Town of Tillsonburg will strive for excellence and accountability in government, providing effective and efficient services, information, and opportunities to shape municipal initiatives. Page 121 of 319 OPD 22-19 - 2021 Fourth Quarter Building, Planning & By-Law Services Results Page 6 of 6 Strategic Direction - Develop a communications strategy to increase awareness of Council decisions and municipal programs, projects and services. Priority Projects – N/A ATTACHMENTS - 2021 Q4 Budget vs Actual – Building - 2021 Q4 Budget vs Actual - Protection Page 122 of 319 2021 2021 Actual %Note YTD Budget YTD Actuals Variance Variance Reference Revenues User Charges 801,500 1,423,030 621,530 (78%)1 Total Revenues 801,500 1,423,030 621,530 Expenditures Labour 459,200 554,480 (95,280)(21%)2 Purchases 64,900 68,487 (3,587)(6%) Contracted Services 14,000 23,497 (9,497)(68%)3 Contribution to Reserves 174,100 687,264 (513,164)(295%)4 Interfunctional Adjustments 89,300 89,304 (4)(0%) Total Expenditures 801,500 1,423,032 (621,532) Total Net Levy (2)(2) Notes 1 Permit Revenue - $579,300 2 FT Reg over $79,900; FT Over Time over $13,400 3 Legal costs over $9,900 -Plans examination 4 Year End surplus contributed into the Building Obligatory Reserve Page 123 of 319 2021 2021 Actual %Note YTD Budget YTD Actuals Variance Variance Reference Revenues User Charges 74,300 67,464 (6,836)(9%)1 Total Revenues 74,300 67,464 (6,836) Expenditures Labour 237,700 208,573 29,127 (12%)2 Purchases 32,900 27,456 5,444 (17%)3 Contracted Services 15,000 12,952 2,048 (14%) Contribution to Reserves 755 (755) Interfunctional Adjustments 29,200 29,208 (8)(0%) Total Expenditures 314,800 278,944 35,856 Total Net Levy (240,500)(211,480)29,020 Notes 1 Licence fees under $3,200 - Animal Control ; Parking Enforcement Revenue under $7,800 2 Net labour under $29,200 - Crossing Guards Savings resulting from COVID 3 Supplies Exp under $3,900 -Parking Enforcement; Training Exp under $2,900 Page 124 of 319 Page 1 of 4 Subject: RCP 2021 Fourth Quarter Financial Results Report Number: RCP 22-11 Department: Recreation, Culture & Parks Department Submitted by: Chris Baird, Director of Recreation, Culture & Parks Meeting Type: Council Meeting Meeting Date: Thursday, June 16, 2022 Recommendation: THAT Report RCP 22-11 – Recreation, Culture & Parks 2021 Q4 Results be received as information. Background: This report provides Council with the January 1, 2021 to December 31, 2021 Department year-to-date operational and financial results for Recreation, Culture & Parks Department. Discussion: 2021 Business Objectives and Capital Projects Item Target Date Q4 Status Update MOU with BIA Q1 Complete Develop RCP 10-Year Capital Plan Q1 Complete Complete 2021 RCP Capital Budget Q1 Complete Implement Recommendations from RCP Departmental Service Review Q4 Complete Tillsonburg Community Centre Aquatic Rehabilitation Project 2021-23 On schedule Review and update MOUs and User Agreements Q4 Ongoing Update Cemetery Bylaw Q1 Complete Cemetery Laneway Resurfacing Phase 1 Q3 Complete Cemetery Office Upgrades Q3 Complete Page 125 of 319 RCP 22-11 Page 2 of 4 Item Target Date Q4 Status Complete Staffing Review & Recruitment Q1 Complete Dog Park Enhancements Q3 Complete Perfect Mind / Legend Conversion Q3 Complete Capital Fundraising Strategy Q4 Delayed due to COVID-19 Grow participation in Corporate Memberships and Personal Training 2021 Delayed due to COVID-19 Increase marketing of Halls and Meeting Room Rentals to generate additional revenue 2021 Delayed due to COVID-19 Increase School Programming 2021 Delayed due to COVID-19 Marketing & Promotion Delivery Strategy Q3 Complete & Ongoing Tillsonburg Sesquicentennial (2022) 2021 Carried forward, July 2022 Continued Town beautification with BIA & Horticultural Society Q2 Ongoing Work with TMBI on Optimist, Kiwanis & HB#1 ball diamond enhancements Q3 Complete & Ongoing Update Corporate Facility Fire Safety Plans Q4 Carried forward Replace indoor pool lane ropes & carts Q1 Complete Install walls at Kinsmen Band Shell Q4 Carried forward Update signage at TCC/Memorial Park Q3 In progress LLWP New Waterslide Installation Q2 Complete Annual Playground Replacement Glendale Park Q1 Complete Annual Playground Replacement Optimist/Rotary Park Q2 Complete OPP Station HVAC upgrades Q3 Complete Station Arts HVAC Replacement Q3 Complete Annandale House Boiler Replacement Q3 Carried forward Customer Service Centre Facade Q2 Complete CSC Security Camera Replacement Q3 Carried forward Page 126 of 319 RCP 22-11 Page 3 of 4 FINANCIAL IMPACT/FUNDING SOURCE Throughout the course of the year some budgeted 2021 capital projects were completed over/under budget totaling a cumulative favourable variance of $64,339. At the final year-end report, staff will be requesting a transfer of the favourable variance into reserves. The overall variance for the Operating budget for each area of RCP is as follows: 2021 YTD YTD Budget Budget Budget Actuals Variance 300 Cem 151,300 151,300 45,425 (105,875) 450 Parks 804,700 804,700 752,312 (52,388) 455 Community Events 92,200 92,200 101,331 9,131 460 Rec - Programs 1,086,200 1,086,200 1,085,528 (672) 465 Rec - Bldg Mtce 2,796,300 2,796,300 2,542,868 (253,432) 467 Elliott Faifbairn Centre (54,600) (54,600) (45,323) 9,277 475 Museum 338,200 338,200 285,081 (53,119) Total Recreation, Culture & Parks 5,214,300 5,214,300 4,767,223 (447,077) Page 127 of 319 RCP 22-11 Page 4 of 4 COVID-19 continued to create unique challenges for the RCP department. Budgets were created with COVID restriction in place however, restrictions and closures were unpredictable. Cemetery revenues were larger than expected due to delayed interments from 2020 COVID closures, coupled with a COVID grant received by the Museum played a part in the favourable variance at the end of Q4. Contracted services costs were below budget in Parks and Building Maintenance. Net labour was below budget in each functional area. Additional specific details in attached appendices. CORPORATE GOALS How does this report support the corporate goals identified in the Community Strategic Plan? ☐ Lifestyle and amenities ☒ Customer service, communication and engagement ☐ Business attraction, retention and expansion ☐ Community growth ☐ Connectivity and transportation ☐ Not Applicable Does this report relate to a specific strategic direction or project identified in the Community Strategic Plan? Please indicate section number and/or any priority projects identified in the plan. Goal – The Town of Tillsonburg will strive for excellence and accountability in government, providing effective and efficient services, information and opportunities to shape municipal initiatives. Strategic Direction – Engage community groups, including advisory committee’s and service organizations in shaping municipal initiatives. Priority Project – N/A ATTACHMENT 1. 2021 Fourth Quarter RCP Financial Results Page 128 of 319 2021 2021 Actual %Note YTD Budget YTD Actuals Variance Variance Reference Revenues User Charges 153,200 190,894 37,694 (25%)1 Other Revenue 18,500 31,766 13,266 (72%)3 Total Revenues 171,700 222,660 50,960 Expenditures Labour 152,400 117,751 34,649 (23%)2 Purchases 70,600 43,100 27,500 (39%)4 Contracted Services 21,000 16,799 4,201 (20%) Contribution to Reserves 11,460 (11,460)5 Interfunctional Adjustments 76,700 76,692 8 (0%) Debt Principal & Interest 2,300 2,284 16 (1%) Total Expenditures 323,000 268,086 54,914 Total Net Levy (151,300)(45,426)105,874 Notes 2 Net labour under $34,700 - transition from PT to FT status 3 Interest Revenue over - Earned from the Trust 4 Special Projects under $14,300 -Memorial trees, benches & plaques 5 Surplus Niche sales into the Cemtery reserve 1 Niche Sales over $41,000, due to postponed interments from COVID 2020 Page 129 of 319 2021 2021 Actual %Note YTD Budget YTD Actuals Variance Variance Reference Revenues User Charges 28,300 13,075 (15,225)(54%)1 Other Revenue 1,600 160 (1,440)(90%) Total Revenues 29,900 13,235 (16,665) Expenditures Labour 260,000 257,720 2,280 (1%) Purchases 126,300 96,128 30,172 (24%)2 Contracted Services 259,400 227,869 31,531 (12%)3 Contribution to Reserves 16,300 12,075 4,225 (26%) Interfunctional Adjustments 96,400 96,408 (8)(0%) Debt Principal & Interest 76,200 76,180 20 (0%) Total Expenditures 834,600 766,380 68,220 Total Net Levy (804,700)(753,145)51,555 Notes 3 Subcontractor Exp under -Parks/Playgrounds & Sports Fields, cancelled Yardstick 1 Miscellaneous Revenue - BIA 2 HLW under $16,700; Page 130 of 319 2021 2021 Actual %Note YTD Budget YTD Actuals Variance Variance Reference Revenues Grants 24,200 6,000 (18,200)(75%)1 User Charges 2,000 2,000 Total Revenues 24,200 8,000 (16,200) Expenditures Labour 6,000 79 5,921 (99%)2 Purchases 110,400 103,252 7,148 (6%) Contribution to Reserves 6,000 (6,000)3 Total Expenditures 116,400 109,331 7,069 Total Net Levy (92,200)(101,331)(9,131) Notes 1 Turtlefest, Family Day and Sanata Parade Grant - Events cancelled 2 Labour savings relating to community events not held through out the year 3 Cultural Grant Surplus Page 131 of 319 2021 2021 Actual %Note YTD Budget YTD Actuals Variance Variance Reference Revenues Grants 42,700 46,423 3,723 (9%) User Charges 811,300 577,985 (233,315)(29%)1 Other Revenue 12,500 5,121 (7,379)(59%)2 Total Revenues 866,500 629,529 (236,971) Expenditures Labour 1,531,000 1,379,528 151,472 (10%)3 Purchases 273,400 187,229 86,171 (32%)4 Interfunctional Adjustments 148,300 148,296 4 (0%) Total Expenditures 1,952,700 1,715,053 237,647 Total Net Levy (1,086,200)(1,085,524)676 Notes 1 Admissions Revenue over $7,400; Fares under $31,600; Membership Revenue under $42,600; Seasonal Revenue over $11,300; Sports Fields Revenue under $13,800; Youth Program Revenue under $8,400; Adult Program Revenue under $10,500; Summer Program revenue under $27,200; Minor Hockey Revenue over $6,100; Programs under $96,100; Figure Skating over $9,900; Programs Revenue under$78,300; Rent Revenue under $68,900; Concession Sales under $8,600; FARE Subsidy $24,400 2 Donation Revenue under $5,000 - Bingo unable to run due to COVID 3 PT labour under $144,600 - COVID related 4 Net supplies under $36,000; Advertising Exp under $25,100; Training Exp under $13,700; Equipment Supplies & Repairs under $6,000 - COVID related Page 132 of 319 2021 2021 Actual %Note YTD Budget YTD Actuals Variance Variance Reference Revenues User Charges 3,600 9,162 5,562 (155%)1 Specified Revenue 14,296 14,296 2 Total Revenues 3,600 23,458 19,858 Expenditures Labour 1,071,200 951,357 119,843 (11%)3 Purchases 656,200 656,578 (378)(0%) Contracted Services 388,700 252,581 136,119 (35%)4 Contribution to Reserves 20,478 (20,478)5 Interfunctional Adjustments 93,400 93,396 4 (0%) Debt Principal & Interest 590,400 592,583 (2,183)(0%) Total Expenditures 2,799,900 2,566,973 232,927 Total Net Levy (2,796,300)(2,543,515)252,785 Development Charges DC Revenue Collected (318,168) DC Contribution to Reserves 318,168 Notes 5 User Pay Debt Aquatics and Natural Gas Rebate 1 LAS Natural gas rebate 2 User Pay Debt - Aquatics 3 FT labour under $23,900- Vacancy; PT Labour under $97,100 - COVID related 4 Subcontractor Expense under $128,900; Equipment Maint. Contract under $7,200 - Saving on cleaners due to COVID Page 133 of 319 2021 2021 Actual %Note YTD Budget YTD Actuals Variance Variance Reference Revenues User Charges 112,500 112,204 (296)(0%) Total Revenues 112,500 112,204 (296) Expenditures Purchases 3,200 11,560 (8,360)(261%)1 Contracted Services 11,200 10,678 522 (5%) Contribution to Reserves 12,500 12,228 272 (2%) Debt Principal & Interest 31,000 30,931 69 (0%) Total Expenditures 57,900 65,397 (7,497) Total Net Levy 54,600 46,807 (7,793) Notes 1 Building Repiars & Maintenance over $8,000 - emergency repairs H&S issues Page 134 of 319 2021 2021 Actual %Note YTD Budget YTD Actuals Variance Variance Reference Revenues Grants 18,900 72,489 53,589 (284%)1 User Charges 6,300 3,192 (3,108)(49%) Other Revenue 7,000 3,854 (3,146)(45%) Contribution from Reserves 30,300 30,300 0% Total Revenues 62,500 109,835 47,335 Expenditures Labour 279,300 221,295 58,005 (21%)2 Purchases 84,400 93,069 (8,669)(10%)3 Contracted Services 15,000 13,943 1,057 (7%) Contribution to Reserves 44,610 (44,610)4 Interfunctional Adjustments 22,000 21,996 4 (0%) Total Expenditures 400,700 394,913 5,787 Total Net Levy (338,200)(285,078)53,122 Notes 1 Federal Grant - COVID-19 $44,600; Provincial Grant Digital grant $8,700 3 Special Projects over $41,200 -Compact Storage System; HLW under $8,700; Special Events under $11,600 -workshops, bus trips, lunch & learns, etc. - events did not run due to COVID 4 Federal Grant - COVID-19 $44,600 to be used in 2022 2 Part time labour under $13,100; Full time labour under $43,800 - COVID related Page 135 of 319 Page 1 of 4 Subject: RCP 2022 First Quarter Financial Results Report Number: RCP 22-12 Department: Recreation, Culture & Parks Department Submitted by: Chris Baird, Director of Recreation, Culture & Parks Meeting Type: Council Meeting Meeting Date: Thursday, June 16, 2022 Recommendation: THAT Report RCP 22-12 – Recreation, Culture & Parks 2022 Q1 Results be received as information. Background: This report provides Council with the January 1, 2022 to March 31, 2022 Department year-to-date operational and financial results for Recreation, Culture & Parks Department. Discussion: 2022 Business Objectives and Capital Projects Item Target Date Q1 Status Completion of new Splash Pad Q2 On Schedule Initiate Northcrest Estates Phase 2 Park 2023 Q2 On Schedule Complete 2022 RCP Capital Budget Q1 Complete Aquatics Rehabilitation 2023 Q4 On Schedule Tree Canopy Project Q4 On Schedule Updating of Facilities Asset Management Plan Q3 On Schedule Community Recreation Survey Q2 On Schedule Review/Revise Membership Structure Q3-Q4 Complete Page 136 of 319 RCP 22-12 Page 2 of 4 Item Target Date Q1 Status Municipal Open House Event – Tillsonburg 150 Q1 Completed in March 150th Anniversary Special Exhibit in Pratt Gallery Q1-Q3 Ongoing Hosting of series of special events and production of souvenir items in honor of town’s 150th Anniversary Q1-Q4 Ongoing General Facility repairs Q4 Complete Roof Repair/Replacement Q4 2024 Q3 New Playground Apparatus – Cranberry Park Q3 On Schedule Increase marketing of Halls and Meeting Room Rentals to generate additional revenue Q1 Complete Marketing & Promotion Delivery Strategy Q3 Complete & Ongoing Tillsonburg Sesquicentennial (2022) 2022 On schedule Continued Town beautification with BIA & Horticultural Society Q4 Ongoing Work with TMBI on Optimist, Kiwanis & HB#1 ball diamond enhancements Q3 On schedule Update Corporate Facility Fire Safety Plans Q4 On schedule Capital Fundraising Strategy Q4 On Schedule Update signage at TCC/Memorial Park Q3 On Schedule Increase marketing of Halls and Meeting Room Rentals to generate additional revenue Q4 Ongoing Install walls at Kinsmen Band Shell Q2 Complete Annandale House Boiler replacement Q3 On Schedule CSC Security Camera replacement Q3 On Schedule Review MOUs and User agreements Q4 Ongoing Page 137 of 319 RCP 22-12 Page 3 of 4 FINANCIAL IMPACT/FUNDING SOURCE The RCP Department’s 2022 Q1 operational variance summary is as follows: The January closure for COVID, along with the rapid lifting of all COVID restrictions shortly after, has resulted in an unexpected increase in revenues for the Programs Department. That, as well as a decrease in expenses for door Marshalls and cleaners, has contributed to a favourable variance for Q1. CORPORATE GOALS How does this report support the corporate goals identified in the Community Strategic Plan? ☐ Lifestyle and amenities ☒ Customer service, communication and engagement ☐ Business attraction, retention and expansion ☐ Community growth ☐ Connectivity and transportation ☐ Not Applicable Does this report relate to a specific strategic direction or project identified in the Community Strategic Plan? Please indicate section number and/or any priority projects identified in the plan. Goal – The Town of Tillsonburg will strive for excellence and accountability in government, providing effective and efficient services, information and opportunities to shape municipal initiatives. 2022 YTD YTD Budget Budget Budget Actuals Variance 300 Cem 178,700$ 28,394$ 25,925$ 2,469$ 450 Parks 839,100$ 138,456$ 105,931$ 32,525$ 455 Community Events 106,800$ 9,728$ 6,259$ 3,469$ 460 Rec - Programs 1,152,400$ 279,187$ 171,108$ 108,079$ 465 Rec - Bldg Mtce 2,844,900$ 602,456$ 484,583$ 117,873$ 467 Elliott Faifbairn Centre (47,900)$ (14,137)$ (14,123)$ (14)$ 475 Museum 352,300$ 90,934$ 84,850$ 6,084$ Total Recreation, Culture & Parks 5,426,300$ 1,135,018$ 864,533$ 270,485$ Page 138 of 319 RCP 22-12 Page 4 of 4 Strategic Direction – Engage community groups, including advisory committee’s and service organizations in shaping municipal initiatives. Priority Project – N/A ATTACHMENT 1. 2022 First Quarter RCP Financial Results Page 139 of 319 2022 2022 Actual %Note YTD Budget YTD Actuals Variance Variance Reference Revenues User Charges 37,050 37,605 555 (1%) Other Revenue 4,622 2,622 (2,000)(43%) Total Revenues 41,672 40,227 (1,445) Expenditures Labour 32,294 30,891 1,403 (4%) Purchases 11,091 9,732 1,359 (12%) Contracted Services 3,403 2,233 1,170 (34%) Contribution to Reserves 0 Interfunctional Adjustments 23,278 23,296 (18) (0%) Debt Principal & Interest Total Expenditures 70,066 66,152 3,914 Total Net Levy (28,394)(25,925)2,469 Page 140 of 319 2022 2022 Actual %Note YTD Budget YTD Actuals Variance Variance Reference Revenues Grants 1,000 1,000 User Charges 3,000 (3,000)(100%) Other Revenue Total Revenues 3,000 1,000 (2,000) Expenditures Labour 49,734 36,332 13,402 (27%)1 Purchases 22,886 12,097 10,789 (47%)2 Contracted Services 25,022 14,699 10,323 (41%)3 Contribution to Reserves Interfunctional Adjustments 24,150 24,150 0% Debt Principal & Interest 19,664 19,653 11 (0%) Total Expenditures 141,456 106,931 34,525 Total Net Levy (138,456)(105,931)32,525 Notes 1 FT labour under- vacancy 2 HLW under $4,800; Supplies Exp under $2,000; Building Repairs & Maintenance under $1,300 3 Subcontractor under - Trees Page 141 of 319 2022 2022 Actual %Note YTD Budget YTD Actuals Variance Variance Reference Revenues Grants Other Revenue 4,000 4,000 1 Contribution from Reserves Total Revenues 4,000 4,000 Expenditures Labour 1,103 1 1,102 (100%) Purchases 8,625 10,258 (1,633) (19%) Total Expenditures 9,728 10,259 (531) Total Net Levy (9,728)(6,259)3,469 Notes 1 Tillsonburg 150 donation Page 142 of 319 2022 2022 Actual %Note YTD Budget YTD Actuals Variance Variance Reference Revenues Grants 10,678 12,715 2,037 (19%) User Charges 121,578 191,113 69,535 (57%)1 Other Revenue 1,500 1,661 161 (11%) Total Revenues 133,756 205,489 71,733 Expenditures Labour 310,428 287,792 22,636 (7%)2 Purchases 67,246 53,528 13,718 (20%)3 Interfunctional Adjustments 35,269 35,277 (8) (0%) Total Expenditures 412,943 376,597 36,346 Total Net Levy (279,187)(171,108)108,079 Other Revenue 3 Net Supplies Exp under $6,500; Advertising Exp under $3,500; Insurance under $2,800 1Admissions over $6,400; Membership Revenue over $5,700; Youth Program Revenue over $15,800; Programs over $17,200; Rent Revenue over $22,200 - COVID restrictions lifted sooner than anticipated 2 FT labour under $30,900 -Vacancy; OT is over $3,700; PT labour is over $4,800 Page 143 of 319 2022 2022 Actual %Note YTD Budget YTD Actuals Variance Variance Reference Revenues User Charges 922 995 73 Specified Revenue 1,025 1,025 Total Revenues 922 2,020 1,098 Expenditures Labour 262,008 237,353 24,655 (9%)1 Purchases 167,738 114,630 53,108 (32%)2 Contracted Services 140,031 101,014 39,017 (28%)3 Interfunctional Adjustments 27,422 27,426 (4) (0%) Debt Principal & Interest 6,179 6,180 (1) (0%) Total Expenditures 603,378 486,603 116,775 Total Net Levy (602,456)(484,583)117,873 Development Charges DC Revenue Collected (106,275) DC Contribution to Reserves 106,275 Notes 1 PT under $24,100, Marshalls not required 2 HLW under $42,100; Supplies Exp under $ 9,900 3 Subcontractor Exp under $31,300, cleaning contracts Page 144 of 319 2022 2022 Actual %Note YTD Budget YTD Actuals Variance Variance Reference Revenues User Charges 29,672 29,412 (260)(1%) Total Revenues 29,672 29,412 (260) Expenditures Purchases 625 354 271 (43%) Contracted Services Contribution to Reserves 3,131 3,124 7 (0%) Debt Principal & Interest 11,779 11,811 (32) (0%) Total Expenditures 15,535 15,289 246 Total Net Levy 14,137 14,123 (14) Page 145 of 319 2022 2022 Actual %Note YTD Budget YTD Actuals Variance Variance Reference Revenues Grants User Charges 1,075 2,649 1,574 (146%) Other Revenue 610 1,216 606 (99%) Contribution from Reserves Total Revenues 1,685 3,865 2,180 Expenditures Labour 62,048 58,716 3,332 (5%) Purchases 19,152 21,077 (1,925) (10%) Contracted Services 5,250 2,745 2,505 (48%) Interfunctional Adjustments 6,169 6,177 (8) (0%) Total Expenditures 92,619 88,715 3,904 Total Net Levy (90,934)(84,850)6,084 Page 146 of 319 Page 1 of 2 SUBJECT: 2022 First Quarter Consolidated Financial Results Report Number: FIN 22-14 Department: Finance Department Submitted by: Renato Pullia, Interim Director of Finance/Treasurer Meeting Type: Council Meeting Meeting Date: Thursday, June 16, 2022 RECOMMENDATION THAT Council receives report FIN 22-14 2022 First Quarter Consolidated financial results as information. BACKGROUND To provide Council with the actual January 1, 2022 to March 31, 2022 Town wide consolidated financial results. DISCUSSION The attached data summarizes the variances between 2022 actual results for the period ended March 31, 2022 and the 2022 YTD budget. Questions or comments relative to the departmental 2022 first quarter revenues and expenditures should be referred to the applicable members of the Senior Leadership Team for commentary. FINANCIAL IMPACT The first quarter results reflect an overall Town wide consolidated 2022 favourable variance of $940K. This includes $370K in Building Services, which is transferred to an obligatory reserve at year-end, and would likewise be impacted by fluctuations in revenues and expenditures throughout the year, as well as other reserve transfers that would be recommended at year-end. Thus, this preliminary figure is not a certain indication of what may be expected as the year progresses. Page 147 of 319 FIN 22-14, Q1 Consolidated Financial Results Page 2 of 2 CORPORATE GOALS How does this report support the corporate goals identified in the Community Strategic Plan? ☐ Lifestyle and amenities ☒ Customer service, communication and engagement ☐ Business attraction, retention and expansion ☐ Community growth ☐ Connectivity and transportation Does this report relate to a specific strategic direction or project identified in the Community Strategic Plan? Please indicate section number and/or any priority projects identified in the plan. Goal - The Town of Tillsonburg will strive for excellence and accountability in government, providing effective and efficient services, information, and opportunities to shape municipal initiatives. Strategic Direction – N/A Priority Projects – N/A ATTACHMENTS 1. Appendix A - 2022 Q1 Finance Operating Results Page 148 of 319 2022 2022 Actual %Note YTD Budget YTD Actuals Variance Variance Reference Revenues Levy, PILS 8,695,599 8,696,200 601 Grants 466,653 682,897 216,244 User Charges 1,099,635 1,503,577 403,942 Other Revenue 18,398 15,315 (3,083) Specified Revenue 1,025 1,025 Contribution from Reserves Total Revenues 10,280,285 10,899,014 618,729 Expenditures Labour 2,526,008 2,402,840 123,168 Purchases 1,153,061 1,014,551 138,510 Contracted Services 1,523,035 1,304,886 218,149 Contribution to Reserves 3,131 160,545 (157,414) Interfunctional Adjustments 105,901 106,792 (891) Debt Principal & Interest 86,707 86,773 (66) Total Expenditures 5,397,843 5,076,387 321,456 Total Net Levy 4,882,442 5,822,627 940,185 Development Charges DC Revenue Collected (606,252) DC Contribution to Reserves 606,252 Page 149 of 319 Page 1 of 3 Subject: 2022 First Quarter Corporate Services Department Results Report Number: CS 22-17 Department: Corporate Services Department Submitted by: Director of Corporate Services Meeting Type: Council Meeting Meeting Date: Thursday, June 16, 2022 RECOMMENDATION That Council receives report CS 22-17 2022 First Quarter Corporate Services Department results as information. BACKGROUND To provide Council with the actual January 1, 2022 to March 31, 2022 Corporate Services Department financial results. DISCUSSION Summary of Operational Results Objective Owner Target Date Status Investigate Options for a Volunteer Recognition Program Manager of HR Q3 Working on a breakfast for the end of the term Council Orientation Program Director of CS Q4 All depts. are collecting info/presentations being identified Youth Engagement Program Clerk Q4 Discussion with Youth Coalition – youth committee identified during new term of Council Page 150 of 319 CS 22-17 Page 2 of 3 Review of Council Committees Clerk Q3 Departmental review currently being conducted and Committee Chair meeting scheduled. Municipal Election Clerk Q3 Ongoing Navigation improvements on the website Communications Officer Q3 Work has started with e-solutions Mobile application for reporting and service requests Communications Officer Q3 RFP submissions received and presentations scheduled Implement IT Plan Director of CS 2023 No monies budgeted for any recommendations Computer Replacements IT Full year Ongoing Cell Phone Replacements IT As needed Ongoing Physician Recruitment CAO Ongoing Town Hall Project CAO Negotiations taking place with Strathallen Attainable and Affordable Housing CAO Ongoing Boundary Adjustment CAO Ongoing Carry out Strategic Initiatives CAO Ongoing CONSULTATION CAO FINANCIAL IMPACT/FUNDING SOURCE Details on major variances can be found in the attached Q1 results appendices. CORPORATE GOALS How does this report support the corporate goals identified in the Community Strategic Plan? ☐ Lifestyle and amenities ☒ Customer service, communication and engagement ☐ Business attraction, retention and expansion ☐ Community growth Page 151 of 319 CS 22-17 Page 3 of 3 ☐ Connectivity and transportation ☐ Not Applicable Does this report relate to a specific strategic direction or project identified in the Community Strategic Plan? Please indicate section number and/or any priority projects identified in the plan. Goal - The Town of Tillsonburg will strive for excellence and accountability in government, providing effective and efficient services, information, and opportunities to shape municipal initiatives. Strategic Direction – Not applicable. Priority Projects – Not applicable. ATTACHMENTS Appendix A – 2022 Q1 Corporate Services Operating Results Appendix B – 2022 Q1 Customer Service Operating Results Appendix C – 2022 Q1 Council Operating Results Page 152 of 319 Page 153 of 319 Page 154 of 319 Page 155 of 319 Page 156 of 319 Page 1 of 6 Subject: First Quarter Economic Development and Marketing Results Report Number: EDM 22-16 Department: Economic Development Department Submitted by: Cephas Panschow Meeting Type: Council Meeting Meeting Date: Thursday, June 16, 2022 RECOMMENDATION THAT Council receives Report EDM 22-16 First Quarter Economic Development and Marketing Results as information. BACKGROUND The below tables summarize the status of the 2022 Business Plan Operating and Capital Budget objectives. Table 1: 2021 Business Plan Objectives Objective Budget Value Target Date Status Community Improvement Plan (Downtown Façade) $35,000 Ongoing Community Improvement Plan $20,000 Ongoing No applications received to date Updated Economic Development Strategy Implementation $5,000 Ongoing Approval in principal by Council at their March 14 meeting Enhanced Business Processes (Apps) $5,000 Q1 Subscription to company prospecting tools (IBISWorld) Page 157 of 319 EDM 22-16 Page 2 of 6 Van Norman Innovation Park (Ontario Certification) $2,000 Q2 In process. Draft application prepared Chamber Awards – Grant $4,000 Q3 Chamber Awards – Sponsorship $4,000 Q3 Award selection by Economic Development Advisory Committee scheduled for June Community Video Production $10,000 Q3 Bridges to Better Business $1,000 Q3 Youth Robotics Challenge $1,000 Q3 Contract signed Discover Tillsonburg $8,000 offset by revenue of $6,000 Ongoing Considering Tillsonburg News insert for spring edition Pandemic Business Recovery (MyMain Street) $2,000, but TBD subject to grant funding approval Q4 Grant application not approved Town Hall Project Support N/A Ongoing In process Continue to facilitate discussions and networking with potential partners to review additional opportunities for Short Line Rail connectivity within the Town of Tillsonburg. N/A Q4 Service along the Cayuga Subdivision rail line re-started in January Engineering Design Services for Rokeby Road Property $265,000 with offsets Q4 In process Wayfinding Signage $53,649 per Report EDM 21-27 Q4 Majority of signs installed, with remainder scheduled for June Consultations for Mall Parking Lot Reconfiguration $5,000 Q4 Not initiated Page 158 of 319 EDM 22-16 Page 3 of 6 VIP Phase 2 Conceptual Plan Development $50,000 (funded by reserves) Q4 Preliminary consultation meeting held High Tech Manufacturing Action Plan $5,000 Ongoing Webpage created at www.Tillsonburg.ca/hightech, video and ad creation underway, session planning CFOxford Partnership (Pop-up) $5,000 Q4 Not initiated Airport Business Development (Fly-in Tours) TBD Q4 Not initiated Project Big Swing TBD Ongoing Further to Council’s review at their January 21, 2021 meeting, plan being revised for future consideration County Surplus Rail Lands TBD Ongoing Council reviewed at their May 24, 2022 Closed meeting DISCUSSION Some key investments for the first quarter were:  Purchase and renovation of 101 Cedar Street property by Fairview Holdings;  Conditional offer on lot 2B in the Van Norman Innovation Park;  Conditional offer on lots 5 and 6 in the Van Norman Innovation Park. A more detailed report with standard metrics will be provided in the second quarter. CONSULTATION The reporting of quarterly results helps demonstrate accountability to Senior Leadership, Town Council, and the public. In addition to this, the Economic Development Advisory Committee is provided with a regular summary of these metrics. FINANCIAL IMPACT/FUNDING SOURCE The Economic Development & Marketing Department financial results for the first quarter of 2022 are as follows: Page 159 of 319 EDM 22-16 Page 4 of 6 Department Variance (Brackets denote over budget) Explanation Development & Communications (500) $0 Economic Development (505) $7,591 Oxford Connection Economic Development Grant – Tillsonburg Share of Remaining 2021 Funds provided by the County towards Town’s SOMA Membership TOTAL $7,591 At this time, there are no anticipated impacts to the budget. CORPORATE GOALS How does this report support the corporate goals identified in the Community Strategic Plan? ☐ Lifestyle and amenities ☒ Customer service, communication and engagement ☐ Business attraction, retention and expansion ☐ Community growth ☐ Connectivity and transportation ☐ Not Applicable Does this report relate to a specific strategic direction or project identified in the Community Strategic Plan? Please indicate section number and/or any priority projects identified in the plan. Goal - The Town of Tillsonburg will strive for excellence and accountability in government, providing effective and efficient services, information and opportunities to shape municipal initiatives Strategic Direction – Not applicable Priority Project – Not applicable ATTACHMENTS Appendix A – DCS and Economic Development Operating Summary Page 160 of 319 EDM 22-16 Page 5 of 6 Appendix A – DCS and Economic Development Operating Summary 2022 2022 Actual %Note YTD Budget YTD Actuals Variance Variance Reference Revenues User Charges Total Revenues Expenditures Purchases 19,700 19,700 0% Total Expenditures 19,700 19,700 Total Net Levy (19,700)(19,700) Page 161 of 319 EDM 22-16 Page 6 of 6 2022 2022 Actual %Note YTD Budget YTD Actuals Variance Variance Reference Revenues Grants 18,500 23,598 5,098 (28%)1 User Charges 24,500 24,450 (50)(0%) Contribution from Reserves Total Revenues 43,000 48,048 5,048 Expenditures Labour 46,458 47,135 (677) (1%) Purchases 43,637 40,522 3,115 (7%) Contracted Services 732 627 105 (14%) Contribution to Reserves Interfunctional Adjustments (3,975) (3,975) 0% Debt Principal & Interest Total Expenditures 86,852 84,309 2,543 Total Net Levy (43,852)(36,261)7,591 1 Oxford Connection Economic Development Grant Page 162 of 319 Page 1 of 2 SUBJECT: 2022 First Quarter Finance Department Results Report Number: FIN 22-13 Department: Finance Department Submitted by: Renato Pullia, Interim Director of Finance/Treasurer Meeting Type: Council Meeting Meeting Date: Thursday, June 16, 2022 RECOMMENDATION THAT Council receives report FIN 22-13 2022 First Quarter Finance Department results as information. BACKGROUND To provide Council with the actual January 1, 2022 to March 31, 2022 Finance Department financial results. DISCUSSION Summary of Operational Results Table 1: 2022 Operations Business Plan Objective Owner Target Date Status Financial System Upgrade Finance Q1 Completed AP Digitalization, implementation study with County and Ingersoll Finance Q1 2023 In progress Purchase Order Pilot & GP Commitments to FMW Finance Q4 In progress Multi-year budget development Finance Q3 In progress Reserve Policies Finance Q4 To be initiated Background work on 2023-2025 Goals Finance Q4 To be initiated Page 163 of 319 FIN 22-13, Q1 Finance Services Results Page 2 of 2 Table 2: 2022 Additional Information Objective Target Date Status 2021 Final Audit Q2 In progress Audited 2021 Financial Statements Q2 In progress 2022 Interim Audit Q3 Scheduled FINANCIAL IMPACT The 2022 first quarter for Finance shows a surplus of $45,078. Details on major variances can be found in the attached Q1 results appendix. CORPORATE GOALS How does this report support the corporate goals identified in the Community Strategic Plan? ☐ Lifestyle and amenities ☒ Customer service, communication and engagement ☐ Business attraction, retention and expansion ☐ Community growth ☐ Connectivity and transportation Does this report relate to a specific strategic direction or project identified in the Community Strategic Plan? Please indicate section number and/or any priority projects identified in the plan. Goal - The Town of Tillsonburg will strive for excellence and accountability in government, providing effective and efficient services, information, and opportunities to shape municipal initiatives. Strategic Direction – N/A Priority Projects – N/A ATTACHMENTS 1. Appendix A - 2022 Q1 Finance Operating Results Page 164 of 319 2022 2022 Actual %Note YTD Budget YTD Actuals Variance Variance Reference Revenues Grants 163,175 316,294 153,119 (94%)1 User Charges 6,000 5,679 (321)(5%) Other Revenue 11,666 5,816 (5,850)(50%)2 Contribution from Reserves Total Revenues 180,841 327,789 146,948 Expenditures Labour 190,122 186,654 3,468 (2%) Purchases 12,707 13,586 (879)(7%) Contracted Services 22,638 (30,331) 52,969 (234%)3 Contribution to Reserves 157,421 (157,421) 4 Interfunctional Adjustments (56,803) (56,796) (7) (0%) Total Expenditures 168,664 270,534 (101,870) Total Net Levy 12,177 57,255 45,078 Notes 1 OCIF Formula Funding 2 Interest/Finance charges under 3 Auditing Expense accrual - timing 4 OCIF formula funding contributed to reserves - $152,900; Bank interest earned relating to Reserve account $4,500 Page 165 of 319 Page 1 of 5 Subject: Fire and Emergency Services First Quarter Report 2022 Report Number: FRS 22-02 Department: Fire and Emergency Services Submitted by: Shane Caskanette, Fire Chief Meeting Type: Council Meeting Meeting Date: Thursday, June 16, 2022 RECOMMENDATION THAT Report FRS 22-02 Fire and Emergency Service 2022 First Quarter Report be received as information. BACKGROUND To provide Council with January 1, 2022 to March 30, 2022 Fire and Emergency Services performance results. DISCUSSION SUMMARY OF BUSINESS PLAN OBJECTIVES 2022 Business Objectives Objective Target Date Status Increase Fire Prevention Inspection & Public Education Awareness Program Q1 / Q2 / Q3 / Q4 Ongoing Implement Mandatory NFPA Compliant Training Programs and Officer Development Q1 / Q2 / Q3 / Q4 Ongoing Continue to Develop and Implement Cancer, PTSD, Mental Health Risk Reduction Program Q1 / Q2 / Q3 / Q4 Ongoing Update Establishing and Regulating By-law Q2 2022 Ongoing Revise Emergency Management Program and Plan Q2 2022 Ongoing Page 166 of 319 FRS 21-09 Page 2 of 5 Key Performance Indicators The average number of firefighters attending training sessions was twenty-two (22). The average attendance at fire incidents are as follows:  Platoon Calls - 11 firefighters respond  All Calls - 11 firefighters respond  Medical Calls - 8 firefighters respond 2022 Alarm Data (Year to Date) OFM Response Type Total Incidents Total Staff Hours Property Fires/Explosions 3 248 Burning Controlled 2 4 Pre Fire Conditions/ No Fire 7 27 False Fire Calls Alarm Activations 16 62 Carbon Monoxide False Calls 8 22 Public Hazard 5 27 Rescue MVC 7 96 Medical/Resuscitator Call 15 18 Other Response 21 40 YTD 84 594 2022 Dollar Loss / Loss Prevention Number of Property Fire Incidents Estimated Property Value at Risk Estimated Structure Fire Loss Estimated Content Fire Loss Property Fire Loss Prevented Q1 3 19,430,000 $3,000,000 3,500,000 12,870,000 Q2 Q3 Q4 YTD Total Fire Prevention Inspections 1st Quarter 2022 Year to Date New Inspections 8 8 Ongoing Inspections 238 238 Legal Action 0 0 Closed 169 169 Page 167 of 319 FRS 21-09 Page 3 of 5 Public Education Types 2022 1ST Quarter 2022 Year to Date Age Groups Served YTD Fire Public Education Presentations and Events 2 2 Under 5 = Ages 5-10 = Ages 11-15 - Ages 16-25 = Ages 26-54 = Ages 55+ = All Ages (Group) = 85 Social Media (1 Month Total) =326,000 Emergency Management Public Education Presentations and Events 0 0 Emergency Management – Social Media 27 27 Fire Public Education - Social Media 65 65 Fire Communication Report After Hours Town of Tillsonburg Calls 2022 1ST Quarter On Call Called Out 2022YTD On Call Called Out YTD Town Administration 234 N/A 234 N/A OPP 59 N/A 59 N/A Roads 69 26 69 26 Hydro 65 10 65 10 Water/Waste 48 15 48 15 By-Law Enforcement/Parking 1 0 1 0 Animal Control 6 0 6 0 Garbage Collection/Transfer Station 29 0 29 0 Fleet 3 0 3 0 Community Centre/Parks 11 0 11 0 Facilities 2 0 2 0 Fire Communications (Tillsonburg only) 2022 1ST Quarter 2022 YTD Administration Lines 929 929 Fire Incidents 84 84 Page 168 of 319 FRS 21-09 Page 4 of 5 Fire Communication Services (Customers) 2022 1ST Quarter 2022YTD Emergency Calls Received 2,567 2,567 Non Emergent Calls Received 1,896 1.896 Actual Fire Incidents Dispatched 1,097 1,097 CONSULTATION N/A FINANCIAL IMPACT/FUNDING SOURCE Q3 Financial Review 1) Municipal Modernization Funding of $55,561 for NG-911 program received. 2) FT Labour under $43,700 due to Asst. Chief vacancy, Overtime over $5,700 COVID impact and part-time vacancies. 3) Training Expense under $6,000 funding is allocated to future training. CORPORATE GOALS How does this report support the corporate goals identified in the Community Strategic Plan? ☒ Lifestyle and amenities ☒ Customer service, communication and engagement ☐ Business attraction, retention and expansion ☐ Community growth ☐ Connectivity and transportation ☐ Not Applicable Does this report relate to a specific strategic direction or project identified in the Community Strategic Plan? Please indicate section number and/or any priority projects identified in the plan. Goal – Within the community, Tillsonburg will strive to offer residents the amenities, services and attractions they require to enjoy balanced lifestyles. Strategic Direction – Expand community partnerships in the delivery of programs and amenities. Priority Project – Not applicable. Page 169 of 319 FRS 21-09 Page 5 of 5 Goal – The Town of Tillsonburg will strive for excellence and accountability in government, providing effective and efficient services, information, and opportunities to shape municipal initiatives. Strategic Project – Explore opportunities for service efficiencies in partnership with adjacent municipalities. Priority Project – Not applicable. ATTACHMENTS 1. 2022 Q1 Fire Operating Financial Results Page 170 of 319 2022 2022 Actual %Note YTD Budget YTD Actuals Variance Variance Reference Revenues Grants 55,561 55,561 1 User Charges 40,728 38,242 (2,486)(6%) Total Revenues 40,728 93,803 53,075 Expenditures Labour 339,628 302,424 37,204 (11%)2 Purchases 46,556 31,819 14,737 (32%)3 Contracted Services 19,116 15,319 3,797 (20%) Contribution to Reserves Interfunctional Adjustments 81,253 81,590 (337) (0%) Debt Principal & Interest Total Expenditures 486,553 431,152 55,401 Total Net Levy (445,825)(337,349)108,476 Development Charges DC Revenue Collected (51,328) DC Contribution to Reserves 51,328 Notes 1 Modernization Intake 3 funding - Fire Service Modernization Program 2 Full Time labour under $43,700 - Vacancy/implementation of new deputy position; Over time over $5,700 3 Training Exp under $6,000; Insurance under $3,900 Page 171 of 319 Page 1 of 13 Subject: 2022 First Quarter Operations and Development Services Report Number: OPD 22-22 Department: Operations and Development Department Submitted by: Carlos Reyes, Director of Operations and Development Meeting Type: Council Meeting Meeting Date: Thursday, June 16, 2022 RECOMMENDATION THAT report OPD 22-22 2022 First Quarter Operations and Development Services be received as information. BACKGROUND To provide Council with the January 1, 2022 to March 31, 2022 Department year to date operational and financial results for the Operations and Development Department. DISCUSSION 2022 Business Objectives and Capital Projects: Table 1: 2022 Operating Business Plan Objective Target Date Q1 Project Status Renegotiations of Westtown Line Boundary Road Agreement Q4 In progress Renegotiations of Water Distribution and Wastewater Collection Agreement with Oxford County Q3 In progress Airport Website redesign Q3 In progress Renegotiations of the Traffic Signal/Streetligths maintenance Agreement Q3 In progress Investigate Private Woodlot East of Runway 08-26 Removal Options Q4 In progress Page 172 of 319 OPD 22-22 2022 First Quarter Operations and Development Services Page 2 of 13 Finalize Engineering Design Criteria & Standard Drawings Q3 In Progress Asset Management Plan Update Q2 Completed Lincoln Street Reconstruction Detailed Design Q4 In progress Townline Road Reconstruction Detailed Design Q4 In progress Goshen Street Reconstruction Detailed Design Q4 In progress Table 2: 2022 Capital Business Plan Objective Target Date Q1 Project Status Kinsmen Bridge Upgrade Design Q4 In Progress – Awarded to Planmac Facilities Asset Management Q3 In progress – Awarded to Roth IAMS 2022 Asphalt Resurfacing Program Q3 In progress – Awarded to Brantco Woodcock Drive and Pheasant Crt – Design Q3 In progress – Awarded to GM Blueplan 2022 Sidewalk Inspection Program Q4 In progress Cranberry Rd - Design Q3 In Progress – Project Awarded to CJDL Engineering Beech Blvd and Stoney Creek - Retaining Walls Reconstruction Q3 In progress Stoney Creek Sanitary Sewer Retaining Walls - Design Q4 In progress Lindsay St Reconstruction Q3 In progress – Awarded to Euro Ex Construction Frances St Reconstruction Q3 In progress – Awarded to Euro Ex Construction 3D Lidar – Manhole Condition Assessment Q4 In progress – Awarded to Andrews Engineering Stoney Creek Sanitary Trunk Main Repair - Design Q4 In progress – Awarded to Matrix Solutions 2020 CFWD - Young Street Storm Outlet Class Environmental Assessment (Design) Q4 In progress – Project Awarded to GM Blueplan Page 173 of 319 OPD 22-22 2022 First Quarter Operations and Development Services Page 3 of 13 Light Duty Vehicles 2021 CFWD - Water unit #28 – Replace pickup truck Q3 2021 Q3 Awarded / Delivery expected July 2022 2021 CFWD - Fire unit #37 – Replace pickup truck Q4 2021 Q1 2023 In progress 2021 CFWD – Fire unit #38 – Replace SUV Q3 2021 Q1 2023 In progress 2021 CFWD - Hydro unit #65 – Replace pickup truck Q3 2021 Q3 Awarded / Delivery expected July 2022 2021 CFWD - New Parks/Facilities unit - mini cargo van Q3 2021 Q3 Awarded / Delivery expected July 2022 Heavy Duty Vehicles Roads unit #80 – Replace loader Q4 In Progress Roads unit #63 – Replace snowplow/sander Q2 2024 In Progress Off Road Equipment Roads unit #203 – Replace zero turn mower Q4 In Progress Roads unit #98 - Replace trackless flail mower Q3 Completed Roads unit #135 - Replace trackless boom flail Q3 In Progress New sidewalk plow for Roads Q3 Completed Key indicators measure growth in terms of infrastructure i.e. Roads, Sewers, Watermain, Sidewalk, etc. and the associated maintenance level of service. The Towns ability to mitigate the associated incremental costs to maintain the additional infrastructures demonstrates the efficiencies of continuous internal improvement. Table 3: Key Indicators Key Indicators 2021 2020 2019 2018 2017 2016 2015 2014 Roads (Lane km) 242.3 238.3 235.4 234.1 233.6 229.4 226.8 226.1 Sidewalks (km) 117.1 107.6 98.6 97.4 96.6 94.2 91.6 89.5 Page 174 of 319 OPD 22-22 2022 First Quarter Operations and Development Services Page 4 of 13 GOALS FOR NEXT QUARTER  Finalize Engineering Design Criteria & Standard Drawings  Continue renegotiation of Westtown Line Boundary road agreement  Complete redesign of the Airport website CONSULTATION The following staff/resources have been consulted for this report:  Senior Analyst/Deputy Treasurer  Manager of Public Works  Manager of Engineering FINANCIAL IMPACT/FUNDING SOURCE The consolidated 2022 Q1 Operations Services overall variance is summarized in Table 4. Table 4: First Quarter Budget vs. Actual Variance Summary Department Surplus / (Deficit) Operations Administration 1,374 Engineering Services 17,432 Public Works (55,228) Waste Management 1,320 Municipal Parking 12,970 Airport Operations (2,186) Fleet Services 13,213 Transit Services (In-Town) 52,040 Total Variance $40,935 Surplus CORPORATE GOALS How does this report support the corporate goals identified in the Community Strategic Plan? ☐ Lifestyle and amenities ☒ Customer service, communication and engagement ☐ Business attraction, retention and expansion ☐ Community growth ☐ Connectivity and transportation ☐ Not Applicable Page 175 of 319 OPD 22-22 2022 First Quarter Operations and Development Services Page 5 of 13 Does this report relate to a specific strategic direction or project identified in the Community Strategic Plan? Please indicate section number and/or any priority projects identified in the plan. Goal – The Town of Tillsonburg will strive for excellence and accountability in government, providing effective and efficient services, information, and opportunities to shape municipal initiatives. Strategic Direction – Develop a communications strategy to increase awareness of Council decisions and municipal programs, projects and services. Priority Project – N/A ATTACHMENTS: Appendix A – Operating Summaries Page 176 of 319 OPD 22-22 2022 First Quarter Operations and Development Services Page 6 of 13 Page 177 of 319 OPD 22-22 2022 First Quarter Operations and Development Services Page 7 of 13 Page 178 of 319 OPD 22-22 2022 First Quarter Operations and Development Services Page 8 of 13 Page 179 of 319 OPD 22-22 2022 First Quarter Operations and Development Services Page 9 of 13 Page 180 of 319 OPD 22-22 2022 First Quarter Operations and Development Services Page 10 of 13 Page 181 of 319 OPD 22-22 2022 First Quarter Operations and Development Services Page 11 of 13 Page 182 of 319 OPD 22-22 2022 First Quarter Operations and Development Services Page 12 of 13 Page 183 of 319 OPD 22-22 2022 First Quarter Operations and Development Services Page 13 of 13 Page 184 of 319 2022 2022 Actual %Note YTD Budget YTD Actuals Variance Variance Reference Revenues Total Revenues Expenditures Labour 63,717 63,176 541 (1%) Purchases 5,194 4,365 829 (16%) Interfunctional Adjustments (6,122) (6,126) 4 (0%) Total Expenditures 62,789 61,415 1,374 Total Net Levy (62,789)(61,415)1,374 Page 185 of 319 2022 2022 Actual %Note YTD Budget YTD Actuals Variance Variance Reference Revenues Grants 50,000 49,862 (138)(0%) User Charges 3,824 1,601 (2,223)(58%) Total Revenues 53,824 51,463 (2,361) Expenditures Labour 144,621 141,153 3,468 (2%) Purchases 10,593 6,757 3,836 (36%) Contracted Services 12,497 12,497 (100%)1 Interfunctional Adjustments (53,156)(53,148)(8) (0%) Total Expenditures 114,555 94,762 19,793 Total Net Levy (60,731)(43,299)17,432 Notes 1 County GIS services - timing Page 186 of 319 2022 2022 Actual %Note YTD Budget YTD Actuals Variance Variance Reference Revenues Grants User Charges 1,500 1,500 Contribution from Reserves Total Revenues 1,500 1,500 Expenditures Labour 306,060 360,997 (54,937) (18%)1 Purchases 171,755 171,008 747 (0%) Contracted Services 20,937 23,401 (2,464) (12%) Interfunctional Adjustments 126,948 126,984 (36) (0%) Debt Principal & Interest 45,233 45,271 (38) (0%) Total Expenditures 670,933 727,661 (56,728) Total Net Levy (670,933)(726,161)(55,228) Development Charges DC Revenue Collected (414,593) DC Contribution to Reserves 414,593 Notes 1 FT Overtime over $41,500 -Winter Maintenance; FT regular over $13,200 - allocation of staff time Page 187 of 319 2022 2022 Actual %Note YTD Budget YTD Actuals Variance Variance Reference Revenues Grants 46,300 46,301 1 (0%) User Charges 23,170 15,312 (7,858)(34%)1 Contribution from Reserves Total Revenues 69,470 61,613 (7,857) Expenditures Labour 5,272 8,058 (2,786) (53%) Purchases 16,341 10,114 6,227 (38%)1 Contracted Services 10,435 4,711 5,724 (55%)2 Interfunctional Adjustments 33,609 33,597 12 (0%) Total Expenditures 65,657 56,480 9,177 Total Net Levy 3,813 5,133 1,320 Notes 1 Bag Tag sales/inventory purchases 2 Large Item Bins - Transfer Station Page 188 of 319 2022 2022 Actual %Note YTD Budget YTD Actuals Variance Variance Reference Revenues Levy, PILS 71,898 72,283 385 (1%) Total Revenues 71,898 72,283 385 Expenditures Labour 20,731 6,855 13,876 (67%)1 Purchases 12,500 16,428 (3,928) (31%) Contracted Services 25,756 23,115 2,641 (10%) Contribution to Reserves Interfunctional Adjustments 11,522 11,526 (4) (0%) Debt Principal & Interest Total Expenditures 70,509 57,924 12,585 Total Net Levy 1,389 14,359 12,970 Notes 1 Allocation of staff time 2 Supplies Expense under Snow Removal under 3 Subcontractor Snow Clearing Expense under Page 189 of 319 2022 2022 Actual %Note YTD Budget YTD Actuals Variance Variance Reference Revenues Grants User Charges 27,729 30,907 3,178 (11%)1 Total Revenues 27,729 30,907 3,178 Expenditures Purchases 47,355 51,145 (3,790) (8%)1 Contracted Services 38,372 39,954 (1,582) (4%) Interfunctional Adjustments 3,431 3,423 8 (0%) Debt Principal & Interest Total Expenditures 89,158 94,522 (5,364) Total Net Levy (61,429)(63,615)(2,186) Notes 1 Fuel Sales/purchases Page 190 of 319 2022 2022 Actual %Note YTD Budget YTD Actuals Variance Variance Reference Revenues User Charges 388,061 390,960 2,899 (1%) Total Revenues 388,061 390,960 2,899 Expenditures Labour 84,671 80,442 4,229 (5%) Purchases 191,229 185,180 6,049 (3%)1 Contracted Services 500 454 46 (9%) Contribution to Reserves Interfunctional Adjustments 2,372 2,376 (4) (0%) Debt Principal & Interest 3,852 3,858 (6) (0%) Total Expenditures 282,624 272,310 10,314 Total Net Levy 105,437 118,650 13,213 Development Charges DC Revenue Collected (2,815) DC Contribution to Reserves 2,815 Notes 1 Supplies Exp over $9,300; Equipment Supplies & Repairs under $7,000; Insurance under $3,000; Training under $1,700; Page 191 of 319 2022 2022 Actual %Note YTD Budget YTD Actuals Variance Variance Reference Revenues Grants 100,000 100,241 241 (0%) User Charges 9,047 5,019 (4,028)(45%) Total Revenues 109,047 105,260 (3,787) Expenditures Labour 19,016 18,256 760 (4%) Purchases 4,366 5,338 (972)(22%) Contracted Services 150,450 94,407 56,043 (37%)1 Interfunctional Adjustments 2,222 2,226 (4) (0%) Total Expenditures 176,054 120,227 55,827 Total Net Levy (67,007)(14,967)52,040 Notes 1 Subcontractor Exp under $56,000 - timing of invoices Page 192 of 319 Page 1 of 7 Subject: 2022 First Quarter Building, Planning & By-Law Services Results Report Number: OPD 22-20 Department: Operations and Development Department Submitted by: Geno Vanhaelewyn, Chief Building Official Meeting Type: Council Meeting Meeting Date: Thursday, June 16, 2022 RECOMMENDATION THAT report OPD 22-20 - 2022 First Quarter Building, Planning & By-Law Services Results, be received as information. BACKGROUND This report contains information on activity volumes, trends over time, financials and updates on major initiatives. The statistics provided are inclusive from January 1, 2022 to March 31, 2022. DISCUSSION BUILDING SERVICES Construction activity in the Town of Tillsonburg has decreased in terms of overall permits issued and the total value of construction for the first quarter. A decrease in all sectors was experienced with an increase in industrial. These statistics are noted in the tables that follow. 2022 – Building Permit Activity Overview – Q1 ending (Jan 1/22 – Mar 31/22) Total Permits Issued 107 Total Construction Value $21,990,285 Total Permit Revenue $ 443,911 Page 193 of 319 OPD 22-20 – 2022 First Quarter Building, Planning & By-Law Services Results Page 2 of 7 Value of Construction by Sector (Jan 1/22 – Mar 31/22) Value of Construction Comparisons (Jan 1/22 – Mar 31/22) TYPE 2017 2018 2019 2020 2021 2022 Residential (Value) 3,911,090 7,550,226 5,089,508 15,574,762 24,397,902 16,033,472 Commercial (Value) 476,880 1,143,580 303,200 976,510 679,230 322,813 Industrial (Value) 168,254 165,000 156,300 2,702,800 358,000 5,609,000 Institutional (Value) 0 36,000 1,506,500 50,300 35,000 25,000 TOTAL 4,556,224 8,894,806 7,055,508 19,304,372 25,470,132 21,990,285 Residential $16,033,472 Industrial $5,609,000 Commercial $322,813 Institutional $25,000 Page 194 of 319 OPD 22-20 – 2022 First Quarter Building, Planning & By-Law Services Results Page 3 of 7 Number of Permits Issued (Jan 1/22 – Mar 31/22) Residential Development Inspection Activity Comparisons (Jan 1/22 – Mar 31/22) Major Construction/Development Projects:  61 Townline Cedarcrest Wood Products – addition  19 Van St – Sewage Treatment Plant upgrades  1417 Bell Mill Sideroad – THK - warehouse addition  101 Spruce – Vacant Industrial - alteration  2 Clearview – storage facility buildings (2)  301 Tillson Ave –Martenria – addition  Lot 2 VanNorman Innovation Park TYPE 2017 2018 2019 2020 2021 2022 Single Detached Dwellings 13 22 11 27 34 19 Townhouse Dwellings - - - - - 26 Total Dwelling Units 17 12 21 31 84 53 Total All Permits 89 81 54 92 132 107 DEVELOPER NUMBER OF SINGLE DETACHED & TOWNHOUSE DWELLINGS Performance Communities Inc – Hayhoe Homes 31 Wrenmark Limited 8 Simon Wagler Homes Inc. 4 Tillsonburg Developments Inc. 1 Everest Estate Homes 1 Output Measures/Activity 2017 2018 2019 2020 2021 2022 Building Inspections Completed 353 256 299 346 583 659 Page 195 of 319 OPD 22-20 – 2022 First Quarter Building, Planning & By-Law Services Results Page 4 of 7  Northcrest Estates Subdivision PH 1 - Hayhoe Homes  Northcrest Estates Subdivision - PH 2 - Hayhoe Homes  101 North St E – 59 unit townhouse development – Hayhoe Rentals  Potters Gate Phase 3 – 53 singles & 26 towns – Oxnard Developments  361 Quarter Town Line – 360 West Development  164 Broadway – Strathallen/Popeye’s Chicken – commercial alteration  164 Broadway – Strathallen/barBurrito – commercial alteration  38 Oxford – Starbucks – commercial renovation  96 Tillson Ave – Livingston Ctr. – institutional alteration Building Financial Impact Financial records indicate that the Building sector has a surplus of $273,012 at the end of Q1. The increase in activity and project value of construction is a direct result of the increase in revenue found in the financial records. The forecast for year end is to be on budget with an estimated $250,000 contribution to the Building Permit Reserves. PLANNING SERVICES 2022 Planning activity has continued to remain very active particularly with increased activity in site plan formal consultations and site plan approvals. Planning Activity (Jan 1/22 – Mar 31/22) Output Measures/Activity 2017 2018 2019 2020 2021 2022 Minor Variance Applications 1 5 2 4 8 6 Zone Change Application 3 3 6 3 5 3 Site Plan Formal Consultations 2 2 1 0 1 4 Site Plan Approvals 1 1 5 1 1 5 Site Plan Applications (in progress) 4 9 5 5 8 4 Subdivision Agreements 2 0 2 2 2 1 Pre-Servicing Agreements 2 0 1 Plans of Subdivision 1 1 Severances 4 2 Page 196 of 319 OPD 22-20 – 2022 First Quarter Building, Planning & By-Law Services Results Page 5 of 7 Site Plan Applications (in progress)  49 North Street East  500 Broadway  301 Tillson Avenue  14 Glendale  116 Simcoe Street  261 Broadway  61 Vienna Road  19 Van Street BY-LAW SERVICES Records indicate that by-law and property standard enforcement activities and occurrences are down slightly from the previous year. There were reductions in parking tickets and the variance noted is directly related to COVID-19. These activities are noted in the table below. By-Law Activity (Jan 1/22 – Mar 31/22) Output Measures– Quantity 2017 2018 2019 2020 2021 2022 Parking Tickets Issued 198 179 266 358 128 111 Animal Tags Issued Cats 756 632 472 673 806 - Dogs 1634 1855 960 1440 1851 1616 Enforcement – Complaints and Occurrences Parking, Noise, Garbage, Taxi 23 32 - - 59 35 Property Stds, Zoning, Clean Yard, Sign, Fence, etc. 61 52 - - 42 66 Animal Control 70 48 61 42 COVID-19 - - - - 24 3 By-Law Financial Impact Financial records indicate that the By-Law sector has a surplus of $9,351 at the end of Q1. The forecast for year end is to be on budget. A copy of the financial summary has been attached to this report. Page 197 of 319 OPD 22-20 – 2022 First Quarter Building, Planning & By-Law Services Results Page 6 of 7 DEPARTMENTAL TASKS/BUSINESS OBJECTIVES 2022 Business Plan Objectives Objective Target Project Status Review and implement CloudPermit customer payment integration Q2 In Progress Complete Amanda/CloudPermit Integration Q1 Q2 In Progress Inspector Training/Consistency & Policy Review Program Q4 In Progress Communicate Building Code Amendments Q4 In Progress 2022 Building Code Amendments – Notify/educate designers, contractor and general public Q1 Complete By-Law Reviews – Building By-Law (in progress), Garbage/Dumping By-Law (in progress), Pool Enclosure By-law (in progress) Q4 In Progress Central Area Design Study – Façade Improvement Program Q4 In Progress Implement Planning Application Web Portal & Digital Service Delivery Q4 In Progress Review Planning Process & Procedures Q3 In Progress Review Innovative Options related to MMAH More Homes, More Choice: Ontario’s Housing Supply Action Plan - secondary dwelling units, tiny homes, etc. Q2 Q3 In Progress CONSULTATION N/A FINANCIAL IMPACT/FUNDING SOURCE See attached financials. CORPORATE GOALS How does this report support the corporate goals identified in the Community Strategic Plan? ☐ Lifestyle and amenities ☒ Customer service, communication and engagement ☐ Business attraction, retention and expansion ☐ Community growth Page 198 of 319 OPD 22-20 – 2022 First Quarter Building, Planning & By-Law Services Results Page 7 of 7 ☐ Connectivity and transportation ☐ Not Applicable Does this report relate to a specific strategic direction or project identified in the Community Strategic Plan? Please indicate section number and/or any priority projects identified in the plan. Goal - The Town of Tillsonburg will strive for excellence and accountability in government, providing effective and efficient services, information, and opportunities to shape municipal initiatives. Strategic Direction - Develop a communications strategy to increase awareness of Council decisions and municipal programs, projects and services. Priority Projects – N/A ATTACHMENTS - 2022 Q1 Budget vs Actuals – Building - 2022 Q1 Budget vs Actuals - Protection Page 199 of 319 2022 2022 Actual %Note YTD Budget YTD Actuals Variance Variance Reference Revenues User Charges 202,310 457,050 254,740 (126%)1 Total Revenues 202,310 457,050 254,740 Expenditures Labour 152,456 133,436 19,020 (12%)2 Purchases 17,077 13,484 3,593 (21%) Contracted Services 28,000 32,341 (4,341) (16%) Contribution to Reserves Interfunctional Adjustments 26,625 26,625 0% Total Expenditures 224,158 205,886 18,272 Total Net Levy (21,848)251,164 273,012 Notes 1 Permit Revenue over 2 FT labour under $18,900 - vacancy Any surplus at year end will be contributed into the Building Department Obligatory Reserve Page 200 of 319 2022 2022 Actual %Note YTD Budget YTD Actuals Variance Variance Reference Revenues User Charges 18,609 12,534 (6,075)(33%)1 Total Revenues 18,609 12,534 (6,075) Expenditures Labour 62,133 51,383 10,750 (17%)2 Purchases 8,820 2,118 6,702 (76%)3 Contracted Services 1,363 3,389 (2,026) (149%) Interfunctional Adjustments 8,325 8,325 0% Total Expenditures 80,641 65,215 15,426 Total Net Levy (62,032)(52,681)9,351 Notes 2 Net labour under $10,700 - Crossing Guards $6,500; FT under $5,000 - Vacant position 3 Docupet Fees under $3,400; Training Exp under $1,400 1 Licence fees under - Animal control $2,700; Parking Enforcement under $2,300 Page 201 of 319 Page 1 of 7 Subject: Town Hall Lowest Cost/Lease Option Report Report Number: CAO 22-03 Department: Office of the CAO Submitted by: Kyle Pratt, CAO Prepared by: Renato Pullia, Interim Director of Finance; Kyle Pratt, CAO; Cephas Panschow, Development Commissioner. Meeting Type: Council Meeting Meeting Date: Thursday, June 16, 2022 RECOMMENDATION Option 1 THAT Council direct staff to retain a cost consultant to review the cost estimate for the new construction “Greyfield” scenario; AND THAT Council direct staff to proceed with an Environmental Site Assessment of the new construction “Greyfield” Option site in the Harvey and Brock streets Municipal Parking lots to determine the extent of environmental contamination, if any, and potential for any remediation costs. Option #2 Should Council require a more comprehensive cost estimate based on detailed design plans and current market conditions, then an alternative option is: THAT Council extend the previous contract with The Ventin Group Architects (+VG), for the preparation of detailed design plans for the “Greyfield” Option in order to obtain a current market cost estimate for new building construction; AND THAT Council direct staff to retain a cost consultant to review the opportunity for cost savings within the Town Centre Mall Option; AND THAT Council direct staff to proceed with an Environmental Site Assessment of the new construction “Greyfield” Option site in the Harvey and Brock streets Municipal Parking lots to determine the extent of environmental contamination, if any, and potential for any remediation costs. Page 202 of 319 CAO 22-03 Town Hall Lowest Cost/Lease Option Page 2 of 7 BACKGROUND At its February 28, 2022 meeting, Council adopted the following resolution: Resolution # 2022-070 Moved By: Deputy Mayor Beres Seconded By: Councillor Gilvesy THAT Council receives Report CAO 22-01 Town Hall Steering Committee Recommendation; AND THAT Council directs staff to negotiate a lease or other options with Strathallen that is equal to or better than the lowest costed option identified in CAO 22-01 Town Hall Steering Committee Recommendation. DISCUSSION The lowest costed option identified in CAO 22-01 report, attached as Appendix A, was Option C (Greyfield) location, ‘Minimum’ scenario, meaning lowest footprint with highest level of work-from-home: Table 1 – Option C, Greyfield Site, Scenario Costing Scenario Total 30 Year Costs Construction Costs plus 10% contingency “Maximum” Scenario (No Work-from-home) $ 17,546,357 $ 9,073,000 “Medium” Scenario (Some Work-from-home) $ 16,700,213 $ 8,640,000 “Minimum” Scenario (High Work-from-home) $ 11,330,167 $ 5,860,000 That option was one of four options identified in the CAO 22-01 report, derived from the space needs study identifying the square footage requirements: Table 2 – Area Requirement for Each Option (in Square Feet) Option A – Town Centre Mall (Improvements Financed by Mall Owner) Option A – Town Centre Mall (Improvements Financed by Town) Option B – 10 Lisgar Ave Option C – Brock/Harvey “Greyfield” site “Maximum” Scenario (No Work-from-home) 27,317 SF 27,317 SF 23,640 SF 21,959 SF “Medium” Scenario (Some Work-from- home) 26,000 SF 26,000 SF 22,500 SF 20,900 SF Page 203 of 319 CAO 22-03 Town Hall Lowest Cost/Lease Option Page 3 of 7 “Minimum” Scenario (High Work-from- home) 17,640 SF 17,640 SF 15,265 SF 14,179 SF Strathallen’s Proposal In seeking a lease or other options from Strathallen as directed by Council, Strathallen has provided a proposal, attached as Appendix B. The proposal’s information was reviewed and clarified, and is summarized below: 1. Total budget for retrofit/upgrade of Town Centre Mall: $13M, less value engineering of $1.5-$2M = $11.5M conservatively 2. Strathallen would provide a $3M contribution, resulting in $8.5M ($11.5M - $3M) to be financed 3. Town would finance $2.5M 4. Strathallen would provide financing on the remaining $6M over a 20-year lease term at 5%, with principal and interest payments of $475K per year 5. The net lease rate for initial 30-year period would be $18.55 per square foot (PSF) on 26,000 square feet (SF) 6. Operating costs during the 30-year lease would start at $3.10 PSF and be indexed annually by CPI In reviewing this with Strathallen, they confirmed that they are amenable to the Town financing the entire $8.5M, and staff note it would be beneficial in doing so given more favorable rates from Infrastructure Ontario, as shown below: Table 3 – Strathallen vs Town Financing Appendix C summarizes Strathallen’s current proposal, inclusive of all the items summarized above, plus the common area maintenance (CAM) and hydro costs, to a total 30-yr cost of $31.7M, or $40.65 PSF on 26,000 SF premises. The proposal also notes “the lease arrangement holds the Landlord responsible to maintain the building and associated capital costs including major components such as Amount Rate Term Yearly Payment Strathallen $6,000,000 5%20 $ 475,000 Town $2,500,000 4.27%20 $ 188,380 $8,500,000 $ 663,380 vs. Town $8,500,000 4.27%20 $ 640,489 Town to finance entire $8.5 M through Infrastructure Ontario vs. finance $2.5M through Infrastructure Ontario and $6M through Strathallen Page 204 of 319 CAO 22-03 Town Hall Lowest Cost/Lease Option Page 4 of 7 HVAC (15-year useful life) and roof (20-year useful life). Based on prices provided by our third party cost consultant, a new build approaches $31.2M in addition to the responsibility of any capital replacement costs.” Staff requested specific details on the estimate of the $31.2M cost for a new Town Hall, but Strathallen did not provide any additional information in this regard. Updated Greyfield Site Figures Since the CAO 22-01 report, Council adopted Hybrid Work Policy 6-010, of which the implementation of such hybrid work model currently reflects the ‘Medium’ scenario area requirement shown in Table 2. That scenario had 26,000 SF for the Town Centre Mall, and 20,900 SF for the Greyfield Site. In terms of the cost of a new build, +VG supported taking the ‘Medium’ scenario’s total construction cost of $8,640,000 and inflating that by the Stats Canada, Non-Residential Building construction price index, Q3 2021 vs Q1 2022 for Toronto, to reflect increases in the cost of construction, being a change of 7.12%, for an updated principal amount of $9,255,168. For a 20,900 SF building, that equates to $443 PSF. That PSF rate is in line with the Altus Group’s 2022 Canadian Cost Guide, which indicates an estimated range of $375 to $500 PSF for new municipal office construction in the Greater Toronto Area (costs include above grade scope of work, complete with foundations). Construction costs in the Greater Toronto Area, while similar to Southwestern Ontario, are likely to be higher on average depending on the specific characteristics of the development. Strathallen noted that some significant costs were not captured in the construction + 30- year cost figures. For example:  Environmental – “from our understanding the grey field site may be contaminated. In the budget for this site we did not see any investigative costs to determine and delineate any contamination (~$100k). If contamination is found that would be another item to add to the budget.”  Parking – “the land lease requires the Town to reinstate any parking that is displaced within the controlled land lease area. In the budget for the grey field site there was no budget allocation to construct the ~100-150 spaces that are being displaced by the development site.”  Capital – “the 30-year cost summary for the grey field site did not include any capital cost in the last 10-years. Some of those items would include roof replacement, paving, and HVAC. Those three items alone could add $1M+ in years 21-30.” In staff’s analysis of the Greyfield site option, shown in Appendix C, the missing cost information was reviewed and conservative adjustments were made, including: Page 205 of 319 CAO 22-03 Town Hall Lowest Cost/Lease Option Page 5 of 7 1. Capital maintenance costs for years 21-30 of $1M 2. Location specific costs of $250K to cover any contamination remediation 3. Renovation costs of $500K ($250K every 15 yrs) for carpets, furniture, painting, and other ancillary costs 4. Insurance costs $210K (30 yrs), changing from current tenant insurance to building owner’s insurance All costs in Appendix C are over 30 years, and the interest rate for financing has been kept at 3% for comparison purposes with prior analysis. The actual rate, as of May 13th, was 4.27% for a 30-year debenture, and it is expected that rates will continue to rise for the balance of this year (Bank of Canada, April 13, 2022). Appendix C summarizes updated +VG’s figures, inclusive of all the items summarized above, including the common area maintenance (CAM) and hydro costs, to a total 30-yr cost of $20.2M, or $32.29 PSF on 20,900 SF premises. Overall Comments The analysis in Appendix C indicates that, unless the Town achieves an equalized 30- year total cost for both the Town Centre Mall Option and a New Construction “Greyfield” Option development, the “Greyfield” Option would cost the taxpayers less and the Town would own the building at the end of the period. Strathallen has noted that an equalized 30-year total cost is not feasible with the current +VG design specification and Greyfield pricing, but perhaps with a reduced scope. With +VG’s current estimated costs, they feel there is significant construction cost risk in the provided pricing. A smaller scale matching Greyfield’s site of 20,900 SF or a smaller size unit can be accommodated at the Centre Mall, but this reduced layout will have a common area hallway on the second floor for access to the excess space. On whether or not there would be interest in purchasing the land underneath the mall and/or the adjacent parking lots at market value, Strathallen noted they would be interested in understanding the Town’s proposed terms. CONSULTATION This report has been prepared in consultation with Strathallen Capital Corp., +VG Architects, along with an internal staff team comprised of the Chief Administrative Officer, Interim Director of Finance, Development Commissioner, Manager of Parks & Facilities, and the Chief Building Official. Page 206 of 319 CAO 22-03 Town Hall Lowest Cost/Lease Option Page 6 of 7 FINANCIAL IMPACT/FUNDING SOURCE Appendix D summarizes the Appendix C information, and adds the impact per household, as well as the incremental cost over the current lease payments being paid by the Town. Appendix D also adds the lowest costed option shown in prior reports, shown as 3- ‘Minimum Scenario’, which is the scenario with the most work-from-home days, requiring space needs of 14,179 square feet. Page 207 of 319 CAO 22-03 Town Hall Lowest Cost/Lease Option Page 7 of 7 Table 4 – Summary of Options Overall, as the Town Centre Mall option includes both a lease component and a financing component, it has the highest overall 30-year cost, versus the Greyfield Medium or Minimum scenarios where there are no lease costs. Budget impact would depend on the option chosen, and the applicable rates at the timing of financing. CORPORATE GOALS How does this report support the corporate goals identified in the Community Strategic Plan? ☐ Lifestyle and amenities ☒ Customer service, communication and engagement ☐ Business attraction, retention and expansion ☐ Community growth ☐ Connectivity and transportation ☐ Not Applicable Does this report relate to a specific strategic direction or project identified in the Community Strategic Plan? Please indicate section number and/or any priority projects identified in the plan. Goal – The Town of Tillsonburg will strive for excellence and accountability in government, providing effective and efficient services, information, and opportunities to shape municipal initiatives. Strategic Direction – Position Tillsonburg as a leader in the municipal sector. Priority Project – Immediate Term – Consolidated Town Hall initiative ATTACHMENTS 1. Appendix A – CAO 22-01 report 2. Appendix B – May 2022 Strathallen’s Proposal 3. Appendix C – Strathallen’s Proposal & Medium Scenario Analysis 4. Appendix D – Scenario Analysis with Lowest Cost Option Option Capital P+I Lease/Other Costs Total 30-yrs Incremental 30-yr Cost over Current Lease Incremental per household cost Town Centre Mall 13,086,411$ 14,469,000$ 27,555,411$ 17,942,797$ 114.11$ Greyfield Medium 14,249,052$ 2,700,000$ 16,949,052$ 7,336,438$ 41.25$ Greyfield Minimum 9,664,288$ 2,500,000$ 12,164,288$ 2,551,674$ 16.31$ Page 208 of 319 Page 1 of 10 Subject: Town Hall Steering Committee Recommendation Report Number: CAO 22-01 Department: Office of the CAO Submitted by: Kyle Pratt Meeting Type: Council Meeting Meeting Date: Monday, February 28, 2022 RECOMMENDATION THAT Council receives Report CAO 22-01 Town Hall Steering Committee Recommendation; AND THAT Council endorses the Town Hall Steering Committees recommendation regarding Option C – Greyfield Site – located at the corner of Brock and Harvey Street at the “Maximum” square footage scenario to enable future growth and expansion; AND THAT staff be directed to move forward with this option. BACKGROUND During the latter half of 2019, Council considered three options for a new Town Hall under a Design/Build and Leaseback scenario. The building sizes ranged from 25,025 square feet to 27,198 square feet with estimated 30 year Total Lease Costs ranging from $23.8 Million to $25.1 Million. At their December 9, 2019 meeting, Council passed the following resolution, which essentially terminated the Design/Build and Leaseback process and resulted shortly thereafter with the Town Hall Steering Committee being reconstituted with a mandate to look at all options for a new Town Hall. THAT Report CAO 19-14 Town Hall Recommended Option – Town Hall Steering Committee be received; AND THAT, given that the quotes have come in well in excess of the benchmark and will create a negative impact on future budgets, that Council reject all Page 31 of 483Page 209 of 319 CAO 22-01 Page 2 of 10 proposals for the Design, Build/Lease of a new Town Hall and terminate the current RFP process. AND THAT staff communicate with the proponents in regards to the honorarium; AND THAT staff report back in February with recommendations on how to proceed with consideration of a complete set of options on how to proceed towards new corporate space for the Town of Tillsonburg with lower costs to the Town. The Town Hall Steering Committee has been working over the past two years to fulfill this mandate and have been able to, despite the pandemic, work with Town staff and various consultants to move this project forward. One of the main tasks undertaken was an update to the 2016 Town Hall Space Needs Study to reflect the changes since that study was completed. These changes include restructuring within its various departments, more consideration given to how the overall Town functions and who should be located in a new Town Hall. In addition to this, the global pandemic has resulted in a shift in thinking as to how businesses can operate, and specifically, with respect to flexible and virtual work arrangements. Fabrik Architects was retained to conduct this update, which has been completed with input from the Town Hall Steering Committee and Town staff. The next step in the Town Hall project was the completion of a location/site Feasibility Analysis, including conceptual design options. Town Staff have met with VG+ on a weekly basis to discuss the three options for the Town Hall which include: Option A – 200 Broadway (Tillsonburg Town Centre Mall) Option B – 10 Lisgar Avenue (Customer Service Centre) Option C – Grey field Site (Northeast corner of Brock and Harvey streets) Once the conceptual floor plans for each of these locations was finalized, a Project Analysis, outlining the estimated costs for three scenarios for each location, along with the pros/cons for each, was completed. Town Staff and +VG Architects presented the information to the Town Hall Steering Committee at their January 18, 2022 meeting. Based on the input from the Committee, a number of revisions were made to the information and brought back for consideration by the Committee at their January 31, 2022 meeting. Based on the revised information, the Town Hall Steering Committee has made a recommendation for Council’s consideration as follows: Page 32 of 483Page 210 of 319 CAO 22-01 Page 3 of 10 RESOLUTION Mover: Rick Strouth Seconder: Jesse Goossens THAT the Town Hall Steering Committee recommends Site C for the new Town Hall with the largest square footage format; AND THAT the Town Hall Steering Committee and VG+ be brought into the February 14th Council meeting to present the three Town Hall options. CARRIED DISCUSSION With Modernization funding provided by the Ontario Government, the Town was able to retain The Ventin Group (+VG Architects) to develop Conceptual Floor Plans for each of the three locations now under consideration. The purpose of the Conceptual Floor Plans is to incorporate the information from the updated Space Needs Study into a floor plan design that shows if/how the specific location could accommodate the Town’s requirements. Once this work was completed, a Project Analysis was conducted to better evaluate the long term feasibility of the three options and help the Town in identifying the preferred location and optimal solution for the Town’s space needs. The following information has been developed with extensive input from Town Staff, Department Heads and the Town Hall Steering Committee. It is important to note that all locations have both pros and cons (see Appendix B – Report – Town Hall Stage 1 Designs and Site Options Analysis. In terms of the required area for the new Town Hall, the Conceptual Floor Plans prepared by +VG are based on the “Medium” Scenario, which is a combination of Work-from-the- Office and Work-from-home options. However, +VG did provide proposed floor plan areas and cost estimates for the “Maximum” (No Work-from-home) and “Minimum” (High Work-from-home) scenarios for each of the three location options. Because of how the existing built space is constructed and the flexibility afforded by new construction, the first two options tend to have larger area requirement than the new construction/Greyfield location. Table 1 summarizes the area requirement for each of the options. Table 1 – Area Requirement for Each Option (in Square Feet) Page 33 of 483Page 211 of 319 CAO 22-01 Page 4 of 10 Option A – Town Centre Mall (Improvements Financed by Mall Owner) Option A – Town Centre Mall (Improvements Financed by Town) Option B – 10 Lisgar Ave Option C – Brock/Harvey “Greyfield” site “Maximum” Scenario (No Work- from-home) 27,317 sf 27,317 sf 23,640 sf 21,959 sf “Medium” Scenario (Some Work-from- home) 26,000 sf 26,000 sf 22,500 sf 20,900 sf “Minimum” Scenario (High Work- from-home) 17,640 sf 17,640 sf 15,265 sf 14,179 sf Option A – 200 Broadway (Town Centre Mall) Site A option is to renovate the existing Town Centre Mall location with the addition of an entrance and customer service wickets on the Broadway frontage of the mall with the majority of space and staff being located on the second floor of the Town Centre Mall. This site has two different pricing options due to the fact that originally the financial projections provided by Strathallen in regards to the amount of financing they would cover for Leasehold Improvements did not provide an “apples to apples” comparison. Therefore, VG+ and Town Staff requested a version of the pricing where the cost of site A was funded by the Town in order to show a realistic comparison between Sites A, B, and C. Cost Scenario Option A – Town Centre Mall (Improvements Financed by Mall Owner) Total 30 Year Costs Option A – Town Centre Mall (Improvements Financed by Town) Total 30 Year Costs Initial Capital Cost “Maximum” Scenario (No Work-from-home) $20,840,238 $31,028,149 $ 9,907,787 “Medium” Scenario (Some Work-from- home) $19,859,600 $29,531,868 $ 9,430,000 “Minimum” Scenario (High Work-from-home) $14,693,144 $20,035,732 $ 6,397,731 Page 34 of 483Page 212 of 319 CAO 22-01 Page 5 of 10 The Town Hall Steering Committee agreed with the concerns for this site including the fact that the building is already a 40 year old structure. VG+ noted that in order to avert the worst impacts of climate change, the Government of Canada is committed to achieving net-zero emissions by 2050. As a result, the need to meet requirements may be a challenge if the Town Hall is inserted into an already existing building. If the Town Hall is constructed as a new facility, requirements can be incorporated into the designs and will not cause an issue in the future. Strathallen noted that if the Town Hall would be constructed at the Mall, the Town could take ownership of the building after 50 years. As such, this would require a 30 year lease agreement plus an additional 20 year lease agreement. While the implication of ownership from Strathallen can be seen as positive for the Town of Tillsonburg, the value of a building of that age could be minimal and this could led to the cost of upkeep or possible demolition being the responsibility of the Town of Tillsonburg. Parking was a major discussion point in regards to which Town Hall location would be the best option. It was noted by the Town Hall Steering Committee that the parking in the mall is very limited. It was noted that those coming to the Council Chambers and the Corporate Office do not have a designated place to park or a stand alone presence in Tillsonburg, which the Town Hall Steering Committee noted would be a very welcoming and important aspect for the Community. The Committee wanted to express the fact that originally the Town of Tillsonburg agreed to support the mall owners (now Strathallen) for 10 years. The Town of Tillsonburg has gone well above that and it is believed that Strathallen will be able to find a new tenant in the Mall, therefore this should not be a concern for the Committee or Council. The Committee agreed that Site A is not their recommended location/design for the new Town Hall. Option B – 10 Lisgar Ave (Customer Service Centre) Option B is the Customer Service Centre located at 10 Lisgar Avenue. This location would involve renovating the existing Town owned facility. This location is reasonably close to the Downtown Core and is currently the location of the Customer Service, Water, and Building Department(s), as well as Hydro Operations/Administration. A large portion of this building is occupied with the bays that are required to house the Hydro Operations fleet. What is more, it was noted that similar to Site A, the parking for this lot is not ideal and if chosen for the new Town Hall site, community members and/or staff would need to park across the street in the Mall parking lot in order to get to the proposed Town Hall. The total cost over 30 years and the initial capital costs for Option B is: Page 35 of 483Page 213 of 319 CAO 22-01 Page 6 of 10 Scenario Total 30 Year Costs Initial Capital Cost “Maximum” Scenario (No Work-from-home) $ 18,967,221 $ 9,477,013 “Medium” Scenario (Some Work-from-home) $ 18,052,558 $ 9,020,000 “Minimum” Scenario (High Work-from-home) $ 12,247,658 $ 6,119,569 The Town Hall Steering Committee agreed that this is not their recommendation for a new Town Hall. It was noted that if this option was in fact selected for a new Town Hall, a new home for the operations and hydro teams that work out of this building would be required (an additional $14M to $17.6M as per Appendix B - Town Hall Space Needs Analysis Report), and that the Town of Tillsonburg could sell this building. Option C – Greyfield Site at Brock/Harvey Streets (Municipal Parking Lot) Option C is a new construction facility located at Harvey Street and Brock Street. This facility would have access to much more available parking (which is not achievable with Options A and B) and natural lighting. This location is also the most cost effective. The total cost over 30 years and the initial capital costs for Option C is: Scenario Total 30 Year Costs Initial Capital Cost “Maximum” Scenario (No Work-from-home) $ 17,546,357 $ 8,247,733 “Medium” Scenario (Some Work-from-home) $ 16,700,213 $ 7,850,000 “Minimum” Scenario (High Work-from-home) $ 11,330,167 $ 5,325,789 The Town Hall Steering Committee agreed that Site C is their recommendation for the new Town Hall. The Committee noted that the community of Tillsonburg is growing and this is the best way to serve this growth. Committee members also agreed that this option would assist in attracting people to Tillsonburg (works/residents). The Committee’s discussion around the preferred Square Footage scenario focused on either the “Medium” or “Maximum” scenario. While some cities may continue to support the ramifications of COVID-19 and remain in a hybrid work model, they do not believe Tillsonburg would fall under this umbrella. What is more, the Committee noted the amount of growth and potential for future growth in Tillsonburg, and as such building a new Town Hall that is limited in space would not be justifiable. Page 36 of 483Page 214 of 319 CAO 22-01 Page 7 of 10 CONSULTATION The purpose of the Town Hall Steering Committee is to provide input, feedback, advice and recommendations on the business and financial decisions for the location and construction/renovation of a building for the purpose of a Tillsonburg Town Hall. The primary function of the Town Hall Steering Committee is to take responsibility for establishing a business case and the achievement of outcomes of the Tillsonburg Town Hall Project as identified in the Committee’s Terms of Reference. The Town Hall Steering Committee is comprised of various private sector leaders and members of Council, and supported by Town Staff from a variety of departments. The Project Team that worked with +VG for this stage of the process was comprised of the Chief Administrative Officer, Development Commissioner, Director of Corporate Services and the Executive Assistant. The Senior Leadership Team (SLT) was apprised with updates as needed and they reviewed and provided comments on the Conceptual Floor Plans after their January 5, 2022 meeting. SLT members also participated in the November 16, 2021 tour of various Town facilities and locations. The Development Commissioner and +VG representatives reviewed Strathallen’s 2020 Proposal and subsequently engaged in discussions with Strathallen to update the information for the various scenarios and this information has been included in their final analysis. FINANCIAL IMPACT/FUNDING SOURCE The estimated cost of a new Town Hall at Site C (Grey Field) location over a 30 year timeframe, and under the “Maximum” square footage (21,959 sf) as per the Town Hall Steering Committee Recommendation is $17,546,357. The construction cost for this option is estimated to be $8,247,733 to $9,073,000. It is important to note that depending on when the construction will commence, pricing for construction materials will likely increase as seen in the last two years. Financing Overall, Site C has 3 potential scenarios, which are outlined below, followed by calculations of each scenario for comparison: Scenario Total 30 Year Costs Construction Costs including 10% contingency “Maximum” Scenario (No Work-from-home) $ 17,546,357 $ 9,073,000 Page 37 of 483Page 215 of 319 CAO 22-01 Page 8 of 10 “Medium” Scenario (Some Work-from-home) $ 16,700,213 $ 8,640,000 “Minimum” Scenario (High Work-from-home) $ 11,330,167 $ 5,860,000 Taking each of the scenarios for Site C, using the most current interest rates for both the construction period (estimated at 1-yr) and a 30-yr amortization, the following tables shows the total cost for each scenario, both total paid in principal and interest, and impact per household. As noted, pricing for construction materials will likely increase as seen in the last two years, plus interest rates are likely to rise. In the chart below, since last November the rates have increased ~30 basis points for the 30 year rates (~40 points for the 5 year), and that is without an increase to the Prime lending rate. Thus, we would anticipate that Page 38 of 483Page 216 of 319 CAO 22-01 Page 9 of 10 by the time we issue the debenture in 2023, interest rate may be up to a percentage point higher. Also, municipalities in Ontario are responsible for ensuring that they do not exceed their legislated Annual Repayment Limit (ARL). The ARL is the maximum amount that a municipality in Ontario can pay each year in principal and interest payments for its long- term debt and other long-term financial commitments. The ARL is set at 25 percent of a municipality’s annual own-source revenues (such as property taxes, user fees and investment income), less their annual existing long-term debt service costs and payments for other long-term financial obligations. The Ministry’s set ARL for 2021 was $2M against a limit of $5.725M (being total annual principal + interest payments). The $2M amount is for principal and interest against current debt, which the Town is projected to have by the end of 2022 $12.6M (see below). That amount, plus 2022 budgeted, would bring the total debt to $17.5M including prior year committed debt that has not yet been issued (done so at completion of respective projects). Debt issued for the Town Hall would be in addition to the $17.5M noted above, and if the maximum scenario is selected, that would increase the Town’s total principal and interest payments up to $3M. That would bring the Town’s ARL to about 12.8% in terms of the 25% limit. Interest Rates 15-Nov 9-Feb Construction 0.67%0.73% 30YR 3.04%3.35% 2022 PRINCIPAL Total Tax Supported Debt Outstanding 8,756,328$ Total Operational Savings Debt Outstanding 2,765,500$ Total User pay debt Outstanding 1,097,769$ Total Debt outstanding 12,619,597$ New debt for 2022 1,416,000$ Prior-years Committed debt but not issued - tax 1,033,000$ Prior-years Committed debt but not issued - user pay 2,403,000$ Total 17,471,597$ Page 39 of 483Page 217 of 319 CAO 22-01 Page 10 of 10 CORPORATE GOALS How does this report support the corporate goals identified in the Community Strategic Plan? ☐ Lifestyle and amenities ☒ Customer service, communication and engagement ☐ Business attraction, retention and expansion ☐ Community growth ☐ Connectivity and transportation ☐ Not Applicable Does this report relate to a specific strategic direction or project identified in the Community Strategic Plan? Please indicate section number and/or any priority projects identified in the plan. Goal – The Town of Tillsonburg will strive for excellence and accountability in government, providing effective and efficient services, information, and opportunities to shape municipal initiatives. Strategic Direction – Position Tillsonburg as a leader in the municipal sector. Priority Project – Immediate Term – Consolidated Town Hall initiative ATTACHMENTS Appendix A - Presentation – Town Hall Stage 1 Designs and Site Options Analysis Appendix B – Report – Town Hall Stage 1 Designs and Site Options Analysis Page 40 of 483Page 218 of 319 Strathallen Capital Corp. Suite 1001, 2 Bloor Street West | Toronto, ON M4W 3E2 t: 416.922.5553 | f: 416.922.6667 | www.strathallen.com The Corporation of the Town of Tillsonburg May 11, 2022 10 Lisgar Ave. Tillsonburg, ON N4G 5A5 Attn: Mr. Kyle Pratt, CAO, Town of Tillsonburg Kyle and Team, First and foremost, on behalf of Strathallen and the ownership of Tillsonburg Town Centre, we appreciate the opportunity to work with you to have the Tillsonburg Town Hall at the property long term. This underlines our mutual agreement on the importance of ensuring the Town Hall has prominent exposure on Broadway in Downtown Tillsonburg. Thank you for your patience and allowing us the time to work through the Town Hall specifications. The detailed scope of the future Town Hall speaks to the significance of this next phase for the benefit of the Town of Tillsonburg. Gaining a deeper understanding of your requirements will assist in providing ideal financial terms to the citizens of Tillsonburg in locating their Town Hall at the Town Centre. We have completed a detailed review of +VG’s revised scope of work to integrate Tillsonburg Town Hall into Tillsonburg Town Centre including the engagement of a third- party cost consultant with deep municipal knowledge for a detailed pricing package. Through this exercise, and as previously noted to your team, the scope of work has significantly increased resulting in material changes to both total cost and timeline. Based on the criteria proposed by +VG, we have estimated the total budget for this project to be in the approximately $13,00,000. To meet these new design requirements, base rents of $30-35 psf would be necessary to proceed with the project, which from past discussions we understand to be untenable by the Town. As a solution, we have spent time to value engineer the scope of work for cost reduction with little compromise and would be pleased to present these options to the Town and +VG . As an example, to achieve the specified R-value of roof insulation, the removal of all the existing roof membrane for a landfill is unnecessary given its significant remaining useful life. Alternatively, additional insulation could be applied on top on the existing roof assembly, achieving the desired R-value, with the same warranty at a lower cost. The Landlord would continue to maintain any roof obligations, which typically has a useful life of 20 years. This mitigates any cost to the Town much unlike the obligations should the Town own their facility. Several similar cost saving items have been identified by our team which would achieve considerable cost savings, in turn reducing the annual rental cost. In keeping with our alignment to have the Town Hall remain at Tillsonburg Town Centre, we propose the following terms: - The Town Centre would offer a onetime contribution of $3 million toward the Town’s design and construction costs. - The net lease rate for this initial 30-year period would be $18.55 psf on 26,000 sf. - In addition, the landlord would provide financing for an additional $6 million over the initial 20-years of the lease term at 5% interest, which equates to a principal and interest payment of $475K per year. - Operating costs during the lease term would start at $3.10 psf and be indexed annually by CPI. Page 219 of 319 Strathallen Capital Corp. Suite 1001, 2 Bloor Street West | Toronto, ON M4W 3E2 t: 416.922.5553 | f: 416.922.6667 | www.strathallen.com We would like to highlight that this lease arrangement holds the Landlord responsible to maintain the building and associated capital costs including major components such as HVAC (15-year useful life) and roof (20-year useful life). Based on prices provided by our third party cost consultant, a new build approaches $31.2M in addition to the responsibility of any capital replacement costs. We believe these new terms reflect the evolution of our discussions and to our willingness to collaborate and create terms that provides the Town with the lowest controlled costs over a 30-year period while providing a Town Hall that meets municipal standards and has a significant presence anchoring main street downtown for decades to come. Should the Town of Tillsonburg chose not proceed with a long term lease arrangement at the Tillsonburg Town Centre to pursue the alternative site proposed, further discussions would be required on the lands encumbered by the land lease as it relates to the rights and impact on Tillsonburg Town Centre. We appreciate your consideration for such an important decision and look forward to a mutually positive outcome for both parties. It is our expectation that our fulsome proposal be disclosed to the Town Hall Committee Members as well as Council and would be pleased to make ourselves available for further discussion. Please feel free to reach out directly to discuss. We look forward to hearing from you. Sincerely, Ben Cressman, SBLP Tillsonburg Town Centre Inc. Cc: Cephas Panschow - CPanschow@tillsonburg.ca Renato Pullia - rpullia@tillsonburg.ca Kennedy Atkinson - katkinson@tillsonburg.ca Terra Attard -tattard@strathallen.com Don Burton - donburton@strathallen.com Page 220 of 319 Appendix CItem CommentsSF Unit Rate Annual Rate 30 Yr SUB TOTAL SF Unit Rate Lump-Sum Annual Rate 30 Yr SUB TOTALCapital Cost/ PrincipalSee Costing SchedulePrincipal Payment26,000 $13M - $1.5M value engineering N/A N/A $ 11,500,000 20,900 N/A N/A $ 9,255,168 Strathallen contribution (LI) $ 3,000,000 Town to finance $ 8,500,000 Interest Cost (30 YR term)Cost of Borrowing for constructionInterest Rate @3.00% amortized over 30 YR26,000 Debt of $8.5M over 30 years * 3.00% 30 $ 4,509,912 20,900 3.00% 30 $ 4,910,587 Carry CostFinanced by Town (Site A,B &C)Principal + interest @3.00% over 30 YR26,000 30 $ 13,009,912 20,900 3.00% 30 $ 14,165,755 Base Building Lease (SIteA)*26,000 $ 18.55 $ 482,300 30 $ 14,469,000 N/A N/A N/A N/A $ - Temporary relocation (Moving and swing space cost) $ 500,000 $ 500,000 Operating Cost (CAM)AverageUnit Rate: 30YRAS PROVIDED BY LESSOR (NOT INDEXED)26,000 $ 3.10 CAM (indexed @ 2.3%**) $ 80,600 30 $ 3,427,934 N/A N/A N/A N/A $ - Estimated Property MaintenanceAverage Unit Rate: 30YRAVERAGE ANNUAL OVER 30YRN/A N/A N/A N/A * (Included) 20,900 $ 3.73 Property Maintenance $ 77,957 30 $ 2,338,710 Operating Cost (Hydro)AverageUnit Rate: 30YRAVERAGE ANNUAL OVER 30YR26,000 $ 2.95 Hydro $ 76,700 30 $ 2,301,000 20,900 $ 2.04 Hydro $ 42,636 30 $ 1,279,080 $ 31,707,846 $ 18,283,545 psf 30 $ 40.65 ADD: $ 210,000 $ 1,000,000 $ 500,000 $ 19,993,545 Plus $ 250,000 $ 20,243,545 psf 30 $ 32.29 RESIDUAL VALUE AFTER 30 YEARS (50% ASSET VALUE ON SITE B&C AND 0% FOR SITE A) ZERO $ 4,627,584 Age of Asset [after 30 Years] 71 Years 30 Years Item CommentsSF 30 Yr SUB TOTAL SF Unit Rate Lump-Sum Annual Rate 30 Yr SUB TOTALMax. Space Flexibility Option [Medium Hybrid]The analysis Bench Mark for the comaparison of 3 site options 26,000 Base Building Lease: $12.50 for 2nd floor $18.00 for Gr. floor Average 30 YR $ 31,707,846 20,900 $ 20,243,545 Optimized Floor Plate Option [Max. Hybrid]32% reduction in space needs to the bench mark as per FABRIK's Space Needs Study Report17,640 Base Building Lease: $12.50 for 2nd floor $18.00 for Gr. floor Average 30 YR $ 21,512,012 14,179 $ 13,734,121 No Work From Home Option [No Hybrid]5% increase in space needs to the bench mark claculated based on the program in FABRIK's Space Needs Study Report27,317 Base Building Lease: $12.50 for 2nd floor $18.00 for Gr. floor Average 30 YR $ 33,314,377 21,959 $ 21,269,218 TOTAL CARRYING COST 30 YEARS* Interest rate shown is 3% for comparative purposes. Actual rate currently 4.3%, and likely closer to 5% at time of debenture Capital Maintenance (yrs 21-30 roof, parking, HVAC) Modernization Renos ($250K every 15 yrs) Location specific costs Insurance (premiums 30yrs) SITE A_TOWN CENTRE MALL LEASEHOLD IMPROVEMENTS FINANCED BY TOWN - MAY 2022TOWN OF TILLSONBURG _ TOWN HALL SITE OPTIONS ANALYSIS _30 YEARS QUANTITATIVE ANALYSISEXPENDITURESStrathallen Current ProposalALTERNATE FLOOR AREA COST OPTIONS (30 YR)TOTAL CARRYING COST 30 YEARSTown Updated +VG's FiguresNotes: 1. At 4.3%, 30-yr interest would be $6.8M2. **assumed average index over 30 years 3. Hydro rate is Town's current rateSITE C_GREYFIELDPage 221 of 319 Appendix C Town Hall Options Analysis Capital + Interest + Other Costs, not including CAM & Hydro  Updated May 2022 1 - Option Town Centre Mall: Initial cost $8,500,000 Households At 30 yrs, 3.00%, Amortizer: * Per household 6,091       Total Paid Annual P&I: 433,664$        71.20$       Principal 8,500,000$         Plus: 30‐yr Lease 482,300$        Interest 4,509,911$         Total 915,964$        13,009,911$       Construction Period Cost^ 76,500$              Less: Current lease 220,937$        Total Capital P+I 13,086,411$      695,027$        114.11$  Lease Payments 30‐yrs 14,469,000$       per HH Total Financing + Lease 27,555,411$      Sq. ft.: 26,000   Psf: 35.33$  Current lease pmts indexed 2.3% over 30‐yr 9,612,614$         ^Assuming 1 yr period, .90% Incremental cost 17,942,797$       2 - Option Greyfield Site (Medium Scenario): Initial cost $9,255,168 Households At 30 yrs, 3.00%, Amortizer:* Per household 6,091       Total Paid Annual P&I: 472,192$        77.52$       Principal 9,255,168$         Interest 4,910,587$         Annual Pmt 472,192$        14,165,755$       Less: current lease 220,937$        Construction Period Cost^ 83,297$              251,255$        41.25$    Total Capital P+I 14,249,052$      per HH Other Costs 2,700,000$         Total Financing + Other Costs 16,949,052$      Sq. ft.: 20,900   Psf: 27.03$  Current lease pmts indexed 2.3% over 30‐yr 9,612,614$         ^Assuming 1 yr period, .90% Incremental cost 7,336,438$         3 - Option Greyfield Site (Minimum Scenario): Initial cost $6,277,232 Households At 30 yrs, 3.00%, Amortizer:* Per household 6,091       Total Paid Annual P&I: 320,260$        52.58$       Principal 6,277,232$         Interest 3,330,560$         Annual Pmt 320,260$        9,607,792$         Less: current lease 220,937$        Construction Period Cost^ 56,496$              99,323$          16.31$    Total Capital P+I 9,664,288$         per HH Other Costs 2,500,000$         Total Financing + Other Costs 12,164,288$      Sq. ft.: 14,179   Psf: 28.60$  Current lease pmts indexed 2.3% over 30‐yr 9,612,614$         ^Assuming 1 yr period, .90% Incremental cost 2,551,674$         *With amortizer debentures, borrowers pay an equal payment throughout the term.  With serial debentures, borrowers pay equal  amounts of principal every six months, and interest is calculated on the declining principal balance, and payments decline each year.   For either one, once the interest rate is set, that rate stays the same for the term of the loan. Page 222 of 319 Page 1 of 3 Subject: Compensation Review for Elected Officials Report Number: CS 22-10 Department: Corporate Services Department Submitted by: Director of Corporate Services Meeting Type: Council Meeting Meeting Date: Thursday, June 16, 2022 RECOMMENDATION That the Compensation Review for Elected Officials Report be received as information. BACKGROUND The following is contained in By-Law 4207 (Establish the Rate of Remuneration for Members of Council of the Corporation of the Town of Tillsonburg for the 2018-2022 Term of Council): Review of Council Remuneration 5. 1 That Council Remuneration shall be reviewed each Council term during the last 24 months of the term. 5. 2 That the report and recommendations as a result of the review shall be presented to Council at a meeting open to the public. 5. 3 That any changes as a result of the Council remuneration review shall take effect on the 15 day of the new Council term and shall remain in effect for the Council term. DISCUSSION Recently, the Township of Norwich outsourced a 2022 Compensation Review for Elected Officials and local municipalities such as the Town of Tillsonburg was asked to provide our compensation information to the consultant as part of this study. Staff asked that the results of the study be shared so that we could review the collected information as well as the results. The summary report which was considered by the Township of Norwich Council is attached to this report. Page 223 of 319 CS 22-10 Page 2 of 3 The study shows that the Mayor’s annual rate of pay is at the high end of the comparator’s within the market comparison while the Deputy Mayor’s annual rate of pay along with the Council Member annual rate of pay seem to be in line with the 50th percentile of the comparator information. Staff undertook a survey of annual rates of pay for Mayor’s in more comparable/urban municipalities with the results being: Strathroy – Mayor receives $50,100 (Council members receive $19,350) Coburg – Mayor receives $40,440 The Town of Ingersoll – Mayor receives $35,000 City of Woodstock – Mayor receives $73,026 The 2022 Base Rate of Pay for current members is as follows: Mayor - $40,354.59 Deputy Mayor - $20,159.68 Councillor - $18,792.41 The annual base rate is adjusted by using the % adjustment provided for the Employee Salary Grid (Cost of Living Adjustment). It is suggested that since the annual rate of pay seems to be in line with the comparator information contained within the Town of Norwich report that no changes be made to Council compensation at this time. Staff welcome any feedback that members of Council might have regarding this matter. If there are no changes then staff will prepare the By-Law to establish the rate of remuneration for Members of the Council of the Corporation of the Town of Tillsonburg for the 2022-2025 term of Council. CONSULTATION N/A FINANCIAL IMPACT/FUNDING SOURCE N/A Page 224 of 319 CS 22-10 Page 3 of 3 CORPORATE GOALS How does this report support the corporate goals identified in the Community Strategic Plan? ☐ Lifestyle and amenities ☐ Customer service, communication and engagement ☐ Business attraction, retention and expansion ☐ Community growth ☐ Connectivity and transportation ☒ Not Applicable Does this report relate to a specific strategic direction or project identified in the Community Strategic Plan? Please indicate section number and/or any priority projects identified in the plan. ATTACHMENTS 1. Township of Norwich 2022 Compensation Review for Elected Officials Page 225 of 319 Township of Norwich 2022 Compensation Review for Elected Officials Summary Report Marianne Love, ML Consulting April 26, 2022 Page 226 of 319 Background Compensation for Elected Officials at the Township of Norwich was reviewed in 2019 and received as information. 2022 Base Pay Rates—Mayor: $25,410; Deputy Mayor: $22,271; Councillor: $18,840 Compensates for duly called meetings of Council, Advisory Committee Meetings, related business functions, Ad Hoc Committee meetings, official functions Salary adjusted annually by the Cost-of-Living Adjustment provided to the non-union employee salary grid Per diem rates for Members of Council: $160 per diem for attendance at conferences and conventions; up to 3 per diems are provided per event, up to 3 events per year $125 for training session/seminar; up to 3 sessions per year Lap-top is provided; internet/data charges are not covered Kilometrage is paid at the previous year’s CRA rate: $0.59 per kilometre Travel and accommodation expenses are reimbursed for conferences, training and seminars No participation in Group Benefits Plan, OMERS or RRSP No reimbursement of cell phones or line charges The Consultant was retained to review comparator pay data, prepare a market analysis for Elected Official positions and provide observations relating to pay practice 1 Page 227 of 319 Executive Summary 3Elected Official base pay rates have been adjusted annually 2022 base pay rates—Mayor: $25,410; Deputy Mayor: $22,271; Councillor: $18,840 The 2022 base pay compensation for the Mayor is below the 50th percentile of the municipal comparators identified; the 2022 base pay compensation for Deputy Mayor and Councillor is above the 50th percentile. The comparator group is representative and includes municipalities used in the 2021 Management/Non-union Compensation Review; the 50th percentile pay target identified for the employee group is a reasonable pay target for Elected Official base pay. Other elements of compensation (i.e., per diem payments, technology/line charges, travel and meal expense) are generally competitive. Method of establishing annual adjustments for Elected Official base pay aligns with best practice in the sector. Recommend periodic review of Council Compensation (i.e., once during a term of Council) 2 Page 228 of 319 Market Competitiveness—Methodology and Source Data 4 A custom survey was prepared using 9 comparator municipal organizations. The comparator group was selected having regard to relevant scope/criteria: Historic comparators Geographic location Similar service alignment/”like” services Size (i.e., population/operating budget) The comparator group includes: Central Elgin, Malahide, Middlesex Centre, Thames Centre, Tillsonburg, Zorra, Ingersoll, North Perth, Wilmot. These comparators were used for the 2021 Township Management/non-union Compensation Review Number of members of Council range from 5 to 10; and none of the comparators report use of standing committees in their governance structure 2 of the 9 comparators do not have a Deputy Mayor 3 Page 229 of 319 2022 Municipal Comparators (9) Comparator County/Region Population 20121 Stats Canada Number of Council Members Wilmot Waterloo 21,991 5 Middlesex Centre Middlesex 19,272 7 Tillsonburg Oxford 18,615 7 North Perth Perth 15,538 10 Thames Centre Middlesex 13,980 5 Ingersoll Oxford 12,100 7 Central Elgin Elgin 13,994 7 Malahide Elgin 9,308 5 Zorra Oxford 8,628 5 Norwich Oxford 11,151 5 CONFIDENTIAL Page 8 Page 230 of 319 Market Observations 6 Compensation for the positions of Mayor, Deputy Mayor and Councillor positions was reviewed and compared to the defined pay market using 2022 base pay rates. Base pay comparative statistics were prepared using a variety of percentile targets. The percentile target is a measure of how the positions are ranked in the comparator group, highest to lowest the 50th percentile target is the $ Rate where 50% of the wage rates in the comparator organizations are below this amount and 50% are above; the 50th percentile is the market median rate The “% Difference” shown beside each percentile value is the amount that the current base pay amount for the Mayor, Deputy Mayor and Councillor positions is above or below the market target percentile value. 5 Page 231 of 319 Market Observations 7 6 Township of Norwich 2022 Council Market Summary Job Title 2022 Base Salary Rate No. of Obs. Market Median % Diff. Market P55 % Diff. Market P60 % Diff. Annual Annual Annual Annual Mayor $25,410 9 $30,502 +20.0%$31,461 +23.8%$32,419 +27.6% Deputy Mayor $22,271 7 $20,000 (10.2%)$20,002 (10.2%)$20,003 (10.2%) Councillor $18,840 9 $17,430 (7.5%)$17,465 (7.3%)$17,500 (7.1%) 2022 MARKET SUMMARY - ANNUAL JOB RATE (_%) = above market +_% = below market Page 232 of 319 Market Observations 8Market comparison for Norwich Elected Official positions based on the 50th percentile is as follows: The Mayor is 20% below the 50th percentile; the 2022 50th percentile rate is $30,502; 2022 base pay rates range from $24,980 (Malahide) to $39,931 (Tillsonburg) The Deputy Mayor is 10.2% above the 50th percentile; the 2022 50th percentile rate is $20,000; 2022 base pay rates range from $18,626 (Malahide) to $28,061 (Ingersoll) Councillors are 7.5% above the 50th percentile; the 2022 50th percentile rate is $17,430; 2022 base pay rates range from $12,899 (Malahide) to $22,194 (Middlesex Centre) All comparators report that the base pay rates for Elected Official positions are adjusted annually by CPI or a cost of living adjustment provided to the employee salary grid 7 Page 233 of 319 Market Observations 9Technology: All comparators provide a lap top, ipad, or a technology allowance. 2 comparators provide cellphones for all members of Council; 2 comparators provides a cell phone to Mayor only; and 2 comparators provide to the Mayor and to the Councillor or Deputy Mayor Extended Health Benefits: 3 of 9 comparators offer Group Health/Dental benefits; and 1 comparator offers benefits on a 50% co-pay basis. Travel Reimbursement: Kilometrage reimbursement ranges from $.50/km to $.61/km (CRA rate). One comparator provides an annual travel allowance ($900 for Mayor, $900 for Deputy Mayor and $600 for Councillor) and km reimbursement for travel to conferences; one comparator provides an annual allowance of $1,000 for the Mayor and $500 for the Deputy Mayor and Councillor in addition to a km reimbursement of $.50/km 8 Page 234 of 319 Market Observations 10Conference/Training: 5 of 8 comparators report reimbursement for conference expenses One comparator provides a $350/day allowance inclusive of meal and travel expenses 3 comparators provide per diem rates of conference/seminar attendance in addition to travel/meal expenses; per diem rates provided: $160/day, $180/day and $164/half day or full day None of the comparators offer OMERS participation; none provide RRSPs. 8 Page 235 of 319 Market Observations 11Reporting of Expenses The format and level of detail of reporting in the Statement of Council Compensation varies among the municipalities, with some municipalities showing a greater level of detail Frequency of Meetings: Generally, Council meets twice a month and could vary by jurisdiction All comparators hold Special, Public and Other meetings; the number varies between the municipalities and fluctuates within the municipality based on the mandates and issues arising An Elected Official’s workload also fluctuates based on local issues centric to their community and participation on various committees All comparators report that Elected Officials attend and participate in professional development, workshops and conferences 9 Page 236 of 319 Market Observations 12Market trends and prevailing practice: Base pay rates for Elected Officials are typically adjusted annually based on the annual adjustment provided to the Employee Salary/Wage Grid This allows for a year over year increase to align with cost-of-living increases and mitigates large adjustments identified in cyclical market reviews. Compensation is reviewed once during the term of Council; often in the third year or in the last year of the 4-year term and typically by surveying neighbouring municipalities. Municipalities use a range of factors to help them set compensation levels for Elected Officials. The most common practice is to survey the compensation paid by neighbouring municipalities to ensure that Elected Official compensation is competitive considering the fiscal capacity of the municipality. (AMCTO Report, March 2018) 10 Page 237 of 319 Conclusion 13 The 50th percentile target (P50) is a reasonable pay target for base pay having regard to the comparator group and the prevailing pay practice. The comparator group is representative based on select criteria and is aligned with the comparator group used for the Employee Compensation Review. The 2022 base pay compensation for Mayor is below the 50th percentile of the comparator group identified and requires adjustment. Other elements of compensation are generally competitive to the comparator group. The method of annual adjustment to base pay for Council compensation aligns with best practice 11 Page 238 of 319 Recommendations 14 The following recommendations are provided for Council’s consideration: 1.Adjust the base pay rate for the Mayor, effective January 1, 2023 to reflect the 50th percentile of the defined comparator group to $30,502 plus the economic adjustment provided to the 2023 Management/Non-union Salary Grid 2.Confirm the base pay rates for Deputy Mayor ($22,271) and Councillor ($18,840) plus the economic adjustment provided to the 2023 Management/Non-union Salary Grid, effective January 1, 2023 3.No change to ancillary compensation such as per diem rates, technology, meal and travel expenses. 4.Continue the practice of providing annual adjustments by using the % adjustment provided for the Employee Salary Grid. 5.Continue to use the same municipal comparators as those used for Employee Compensation Reviews and revise the comparator group when the comparators for the Employee group change. 6.Adopt the practice of reviewing Council Compensation in the last year of Council, with any changes being effective the first year of the new Council term. 12 Page 239 of 319 Page 1 of 2 Subject: Right to Disconnect from Work Policy Report Number: CS 22-14 Department: Corporate Services Department Submitted by: Michelle Smibert, Director of Corporate Services Meeting Type: Council Meeting Meeting Date: Thursday, June 16, 2022 RECOMMENDATION That the Right to Disconnect from Work Policy be approved. BACKGROUND On December 2, 2021, the Employment Standards Act, 2000 (ESA) was amended to include the requirement for employers with 25 or more employees to have a written policy on disconnecting from work which must be in place by June 2, 2022. The ESA outlines that “disconnecting from work” is defined as not engaging in work- related communications, including emails, telephone calls, video calls or sending or reviewing other messages, to be free from the performance of work. DISCUSSION The proposed policy meets our obligations under the ESA and contributes to a workplace that values employee health and well-being, while outlining exceptions to disconnecting from work to maintain optimal service delivery. CONSULTATION Manager of Human Resources, Management Team FINANCIAL IMPACT/FUNDING SOURCE N/A Page 240 of 319 CS 22-14 Page 2 of 2 CORPORATE GOALS How does this report support the corporate goals identified in the Community Strategic Plan? ☐ Lifestyle and amenities ☐ Customer service, communication and engagement ☐ Business attraction, retention and expansion ☐ Community growth ☐ Connectivity and transportation ☒ Not Applicable Does this report relate to a specific strategic direction or project identified in the Community Strategic Plan? Please indicate section number and/or any priority projects identified in the plan. ATTACHMENTS Appendix A – Right to Disconnect Policy Page 241 of 319 X-XXX Page 1 of 6 CATEGORY Policy X-XXX: Right to Disconnect Policy Approval Date: Month, DD, YYYY Approval Authority: Council, Resolution # Effective Date: June 2, 2022 Next Scheduled Review Year: 2023 Department: Human Resources Last reviewed: Month, DD, YYYY Revision Date/s: Schedules: POLICY STATEMENT The health and wellbeing of our employees is of the utmost importance to us, and we, the Town of Tillsonburg, encourage and support our employees in prioritizing their own wellbeing. Work- related pressure and the inability to disconnect from work can lead to stress, deterioration of mental health, impacts on family or personal relationships and overall well-being. In light of the current landscape of work, an employee’s work environment or location, and ongoing work commitments, employees may feel obligated or choose to continue to perform their job duties outside their normal working hours. The Town of Tillsonburg is committed to supporting our employees in balancing their working and personal lives. This policy has been established to support employee wellness, minimize excessive sources of stress related to work or workload, and ensure that employees have the ability to disconnect from their work outside their normal work day. SCOPE This policy applies to all employees for the Town of Tillsonburg and excludes members of Town Council. Page 242 of 319 X-XXX Page 2 of 6 ROLES & RESPONSIBILITIES Role of the Employee:  All employees regardless of their position are responsible for understanding the intent of this policy and following the guidelines it contains.  Manage their working time while at work.  Take reasonable care to protect their safety, health and welfare, and the health and safety of co-workers.  Be mindful of co-workers, and all others, right to disconnect.  Be conscious of their work pattern and aware of their work-related well-being, and remedy if necessary.  If unable to disconnect, discuss with their Manager/Supervisor Role of Management  All employees in a supervisory role are responsible for working with their team to establish work practices that support the Right to Disconnect Policy.  Ensure the employees within their team are able to disconnect from work outside of normal working hours.  Be mindful of times emails are sent and should they notice that a member of their team is sending emails at odd hours or are logging in excessively, they should speak to the employee as soon as possible, as this may indicate they are finding it difficult to manage their workload during normal working hours.  The senior leadership team is responsible for enforcing this policy, and for mediating any conflicts that may arise between staff and supervisors. DEFINITIONS Disconnecting Not engaging in work-related communications, including emails, From work telephone calls, video calls, or the sending or reviewing of other messages, so as to be free from performing work. Normal work day The typical number of hours an employee is scheduled for in a work day. A normal work day varies by employee, position, and/or department. An employee’s normal hour of work are set out in their employment contract and/or applicable collective agreement. Page 243 of 319 X-XXX Page 3 of 6 Due to the nature of their position, some employees are afforded flexibility in working hours and location, which may occasionally affect their normal work hours in a day. For example, an employee attends a personal appointment during their regular work day, but subsequently works past their normal end time to account for time spent at the personal appointment. For the purposes of this policy, the employee’s normal work day would be considered extended accordingly. PROCEDURE 1.0 Employees have the right to disconnect from their work outside of their normal working day without fear of reprisal. Employees are encouraged to set clear boundaries between their work and personal lives. 2.0 The right to disconnect means that employees: 2.1 Can and should stop performing their job duties and work-related tasks when they are not expected to work; 2.2 Are not expected or required to respond to work-related communication outside their regular working hours, while on break, or during any paid or unpaid time off; 2.3 Are encouraged to utilize their scheduled breaks and time off entitlements for non-work related activities; and 2.4 Will not face repercussion or be penalized for not communicating or continuing to work outside of their regular working hours. 3.0 Employees must also be respectful of others’ right to disconnect and should not expect others to respond, communicate, or complete work outside of their normal work day. 4.0 Where employees are required to work outside of their normal work day, they will be entitled to compensation either in the form of banked lieu time or overtime in accordance with their Collective Agreement or the Personnel Policy. 5.0 Employees who, on a regular basis, cannot manage their workload during their regularly scheduled hours should meet with their direct supervisor/manager to evaluate their current workload, priorities, and due dates. Managers/supervisors will work with employees to come up with a solution to ensure regular job duties can be completed during their normal work day. Page 244 of 319 X-XXX Page 4 of 6 6.0 Meetings 6.1 Where possible, meetings should be scheduled during regular business hours, or normal working hours if the attendees have work schedules outside of regular business hours. 6.2 Those organizing meetings should be mindful of the time of those whom they are inviting to attend, and ensure that those invited will play an active role and have something to contribute to the matters being discussed. 7.0 Communication 7.1 Employees should recognize that there is no organizational expectation of immediate response outside of their normal work day, and they retain the right to disconnect at the end of their normal work day. 7.2 Employees may feel obligated to send or respond to messages when not working. On occasion communication may be sent to employees when they are not working, such as on an employee’s day off or scheduled vacation. Employees are not expected to read or respond to any organizational communication when not at work, with the exception of unforeseen circumstances, such as an emergency. 7.3 It may be necessary to communicate with or forward important information to an employee who is not working. If employees do send communications to others who are not at work, they should not expect a response until the other employee returns. If the matter is urgent or an emergency and requires an immediate response from a colleague, employees must reach out to their manager/supervisor, or other management designate, if their manager/supervisor is also away from work. 8.0 Exceptions 8.1 The Town of Tillsonburg understands that employees may want or need to work outside their normal work day to meet a time-sensitive deadline, to attend to an urgent or emergency matter, or due to unforeseen circumstances; however, employees are not required to regularly or frequently work outside their scheduled hours to complete or catch up on work. 8.2 Some employees are required to participate in an on-call/standby rotation in accordance with the Personnel Policy or their Collective Agreement. For the purposes of this policy, an employee being compensated to be on stand-by/on- call does not have the right to disconnect from work related to the reasons for being on-call (communication unrelated to being on-call may be addressed during normal working hours). 8.3 Work-related communications that employees are expected to respond to outside of normal working hours include those related to shift scheduling, arrangements Page 245 of 319 X-XXX Page 5 of 6 for off-shift meetings or arranging a return to work if employees have been out of the workplace for a period of time. 9.0 Time Away From Work 9.1 The Town of Tillsonburg understands the importance for employees to have time off away from work including breaks, meal breaks, and vacation to recharge and resume their work productively and safely. Employees should use their annual vacation time in accordance with their Collective Agreement or the Personnel Policy for rest, relaxation, and personal pursuits. 9.2 At least one week in advance of a scheduled vacation, employees should discuss with their supervisor any job duties that need to be completed while the employee is on vacation. Managers/supervisors will work with employees to delegate job-specific duties that must be completed maintain workflow and productivity. Employees should not be reluctant to take vacation due to workload, unless there are limitations or restrictions because of a due date, project priority, scheduling conflict, unforeseen circumstance or other urgent operational need that prevent an employee from taking a vacation at a specific time requested. 10.0 Productivity Working additional hours does not always equate to higher productivity. Employees can maximize their productivity during their work day by using time management strategies, such as: 10.1 Blocking off periods in their schedule and calendar to complete specific tasks or address communication; 10.2 Working with their manager to organize work in order of priority or importance; 10.3 Breaking down projects and tasks into manageable chunks; 10.4 Setting goals to work continuously for a specified period before taking a break or responding to communication. 11.0 Reporting Concerns 11.1 All employees are expected and required to report any concerns or issues they may have which they feel is impacting their ability to disconnect-from-work. 11.2 Employees should report such concerns or issues, in writing, to their immediate supervisor. If that is not appropriate or the matter cannot be resolved by doing so, employees should direct their concerns or issues to Human Resources. 11.3 Employees will not be subject to reprisal for reporting such concerns as outlined above. Page 246 of 319 X-XXX Page 6 of 6 12.0 Posting, Notice, and Retention 12.1 A copy of this Policy shall be provided to each employee of the Town of Tillsonburg within 30 calendar days of implementation. Should any changes be made to the Policy after its implementation, the Town of Tillsonburg shall provide each employee a copy of the revised Policy within 30 days of the changes being made. 12.2 The Town shall provide a copy of this Policy to all new employees upon onboarding and within 30 calendar days of the employee commencing employment. 12.3 This policy will be reviewed on an annual basis to ensure relevance and adherence with provincial legislations. It is subject to updates, changes, and cancellation at any time without advance notice to employees. Page 247 of 319 Page 1 of 5 Subject: Review of Hybrid Work Policy Report Number: CS 22-18 Department: Corporate Services Department Submitted by: Director of Corporate Services Meeting Type: Council Meeting Meeting Date: Thursday, June 16, 2022 RECOMMENDATION That the Council receive the review of the hybrid work policy as information. BACKGROUND At the April 19th, 2022 Council meeting, a notice of motion was passed which amongst other items, asked for the following: “AND FURTHER having been advised that the recently approved Hybrid Work Policy could result in staff not being able to attend in person meetings, or to complete other tasks for which in person attendance at town facilities is considered important and often in the best interest of the municipality.” DISCUSSION The Hybrid Work Model program is now in place and has been since May 2nd, with a total of 33 staff members participating. (Note: the Town employs 210 staff with 47 employees eligible to participate in this non-mandatory program). Each staff member was required to complete and sign agreements which are now on file with the Human Resources office. We are finding that staff is normally working more hours in the office compared to those required as per the signed agreement. The large majority of staff, particularly management, have been requested to be in the office a minimum of 3 days per week. The following shows the number of staff working in the office along with the number of days each week: 12 Staff are in the office 2x a week 15 Staff are in the office 3x a week Page 248 of 319 CS 22-18 Page 2 of 5 6 Staff are in the office 4x a week After further review, generally staff has been attending meetings and other events/tasks with no issues or concerns on availability to attend in-person meetings. As a result, staff are not recommending any changes to the Hybrid Work Model policy at this time. Staff will continue to monitor the program and adjust to corporate needs. In addition to the notice of motion passed by Council, a member of Council has asked that we also address the following questions:  Will there be sufficient staff working in town facilities to ensure that staff feel safe and supported in the workplace, and for the public to feel welcome and well served? Answer: Yes, under the Health and Safety legislation, the Town has always had obligations as it relates to ensuring Supervisory coverage and we continue to comply with the legislation even with the Hybrid Work model.  Will staff be committed to attending regular public meetings of council and committees? Answer: staff have been attending all regular meetings of council and committees with the only exception being if a staff member has COVID symptoms then they will connect electronically. If a staff member is on vacation or if they too ill to participate then they will not be attending the meeting which is what occurred even before COVID.  Will the Hybrid Work Policy provide enough opportunities for staff to create connections with other staff, and with people in the community and for people in the community to connect with staff? Answer: The Hybrid Work Policy provides for staff to be in the office during a certain amount of days of the week which will assist in creating these connections with staff and people in the community. Even during COVID, connections were made with telephone and zoom meeting opportunities.  What are the most significant positives / negatives about hybrid work from home for employees / the town? Answer: Hybrid work helps to maintain optimal productivity while also allowing staff to maintain work, life, balance. Most staff working the hybrid work model will work more hours than scheduled. The Corporation has also seen a reduction in sick time overall. One of the negatives is that not all staff members can participate in this model but staff is looking into opportunities as already mentioned to Council like a four-day work week, flexing opportunities, etc)  what are the most significant positives / negatives about working in place at town facilities for staff / the town? Answer: a significant positive is synergy created between staff members working on on-going projects while a negative is decreased productivity and the lack of work, life balance flexibility which can cause a decrease in morale and eventually staff leaving for better opportunities) Staff would like to reiterate the importance of flexible working arrangements and the positive impact that it has on the recruitment and retention of employees. In both the public and private sectors, we are seeing more job opportunities then candidates to fill Page 249 of 319 CS 22-18 Page 3 of 5 these roles so anything we can do to help attract employees is essential. It should be noted that in comparison with other like municipalities, our wage grid is not competitive (and needs to be reviewed) and also the fact that our employees work a 40-hour work week with a 30 minute lunch break when others work 35 hours or 37.5 hours per week with an hour lunch already puts us at a disadvantage so the hybrid work option is an important element in our recruitment and retention processes. We are already seeing challenges in recruitment and SLT believes that the removal of the hybrid option could see staff leave for other/better opportunities in the sector. During the last two years of COVID, we have seen the work from home model work well from both a Corporate and personal perspective. For those who are involved in the work from home model, it has a morale booster. It is worth noting that several municipalities offer hybrid work/flexible arrangements. Municipalities in close proximity include, but are not limited to:  Brantford – “Remote First” work from home approach – determined by position  Norfolk County – work from anywhere policy in place  Kingsville – allow work from home 1 to 2 days per week  Central Elgin – provides for alternative work arrangements and work from home even before COVID to allow for maximum flexibility with scheduling and work location  Brant County – hybrid model continues and they are working out the details with the management team.  Wilmot – Hybrid with anchor days based on operational needs  Oxford - full flexible work arrangements – compressed work week, job sharing, reduced hours and hybrid  Bruce – full flexible work arrangements  East Zorra – Tavistock – flexible work arrangements – WFH 2 days a week  Zorra – 4 day work week  Orangeville – 50% hybrid  Elgin – not working remotely since end of March due to a cyber-issue. They are looking at going remote again.  Cambridge – Hybrid up to 3 days per week  St Mary’s - they do not have a hybrid model but offer flexible work arrangements – flex hours, banked time, work from home for specific reasons.  Middlesex Centre – hybrid work model based on role  Woolwich – hybrid with 3 anchor days in office  Thames Centre – one day a week from home as an option in addition to a flex time program  Strathroy-Caradoc – work from home policy Page 250 of 319 CS 22-18 Page 4 of 5  Chatham Kent – remote work policy based on position  City of London – remote work  Waterloo – allows remote work with anchor days in the office  County of Huron – hybrid work model CONSULTATION SLT/Management Team FINANCIAL IMPACT/FUNDING SOURCE N/A CORPORATE GOALS How does this report support the corporate goals identified in the Community Strategic Plan? ☐ Lifestyle and amenities ☒ Customer service, communication and engagement ☐ Business attraction, retention and expansion ☐ Community growth ☐ Connectivity and transportation ☐ Not Applicable Does this report relate to a specific strategic direction or project identified in the Community Strategic Plan? Please indicate section number and/or any priority projects identified in the plan. Goal: The Town of Tillsonburg will strive for excellence and accountability in government, providing effective and efficient services, information, and opportunities to shape municipal initiatives. Strategic Direction: Enhance employee engagement and training as the foundation for exceptional customer service. ATTACHMENTS Appendix A – Hybrid Work Model Policy Page 251 of 319 CS 22-18 Page 5 of 5 Page 252 of 319 6-010 Page 1 of 4 CATEGORY Policy 6-010: Hybrid Work Model Policy Approval Date: March 14, 2022 Approval Authority: Council, Resolution #2022-086 Effective Date: Upon Council Approval Next Scheduled Review Year: 2023 Department: Corporate Services Last reviewed: Revision Date/s: Schedules: POLICY STATEMENT The Town of Tillsonburg supports flexibility with certain positions so that team members can work from home. This policy outlines the process for participation and expectations for employees working from home under a hybrid work model. SCOPE This policy applies to the following employees: Non-union, full time employees. Employees within the scope of this policy are eligible to apply for participation if they have demonstrated a satisfactory level of job experience and consistently met or exceeded expectations for job performance. Page 253 of 319 6-010 Page 2 of 4 DEFINITIONS Hybrid Work Model: means that the employee must work at a minimum two (2) days per week in the Town of Tillsonburg office as designated. IMPLEMENTATION PROCEDURE This policy does not alter or replace the terms of an existing employment contract. Employees must comply with all Town of Tillsonburg policies, procedures, and instructions that would apply if the employee were working at their regular worksite. Work hours, compensation, absence reporting and leave scheduling will continue to conform to applicable policies and agreements. Requests to work overtime or use leave time must be approved by the employee’s supervisor in the same manner. Home/hybrid work arrangements are not substitutions for, or part of, the accommodation for employees with disabilities. In cases where an employee requests this work arrangement for medical reasons or to accommodate a disability, the Town has a duty to accommodate (to the point of undue hardship). There is a separate process in place to arrange accommodation related to illness or disability facilitated through the Human Resources department. Approval Process: Hybrid Work Model Arrangement is not an entitlement and will only be considered: i. where working off-site will not negatively impact client/ customer/ citizen service and the ability of the employee’s co-workers to perform their duties, and is operationally feasible; ii. when the employee’s work can reasonably be done off-site; iii. where the employee has demonstrated that they are self-motivated, self-disciplined, can work independently, are able to manage distractions and have the ability to meet deadlines; iv. when the overall quality and productivity of work is maintained at acceptable level, as determined by the immediate supervisor. Where all above conditions are met, approval for participation in the Hybrid Work Model is subject to the approval of the employee’s immediate supervisor. The approval of participation in the hybrid work model is subject to operational and work- related requirements, and may be modified or cancelled as necessary at any time, at the supervisor’s discretion, with reasonable notice provided to the employee. Availability: When working at home employees must ensure availability to work and continuity of communication during the core business hours (8 am to 4:30 pm). The employee is responsible for maintaining effective and timely communication and workflow management with clients, co-workers and their supervisors, including monitoring of voice mail and email as applicable. Employees must make appropriate dependent care arrangements and must Page 254 of 319 6-010 Page 3 of 4 manage their personal responsibilities in a way that allows them to successfully meet their job responsibilities. While participating in the hybrid work arrangement model, the employee’s designated remote workspace must be located within a reasonable commuting distance from the Town of Tillsonburg. Health and Safety: Town of Tillsonburg is committed to ensuring that the alternate worksite is safe and hazard free. Employees participating in the Hybrid Work Model Arrangement are required to complete a Home Office Safety assessment and the workspace must meet all the criteria detailed in the assessment. Employees will remain fit for duty during working hours. Employees cannot meet with work clients or coworkers at their home, or provide their home phone number or address for contact to conduct work business. Employees must immediately report all work-related accidents or injuries to their supervisor and in in the case of a workplace injury/illness, a member of Human Resources is permitted to attend their residence to perform an inspection. Additionally, the employee may be required to grant access to their residence from such authorities as the Ministry of Labour or the Workplace Safety Insurance Board (WSIB). Incidents of workplace violence and harassment must be reported by the employee to the supervisor as soon as possible. Confidentiality Employees are responsible for protecting the confidentiality of any privileged and/or confidential Town information/documents while it is being transported to and from their home and while it is in their home. Employees are expected to follow the provisions identified in the Records Management Policy and Procedure. Responsibilities: The employee shall: a) review and understand the Hybrid Work Model Policy; b) review and understand all other applicable policies (HR, Health and Safety and IT Policies) related to remote work; c) discuss and seek the approval of their immediate supervisor for participation in a hybrid work model arrangement; d) upon approval, review, agree, and sign the Hybrid Work Model Agreement; e) review the working from Home Office Safety Information Sheet; f) complete and sign the Home Office Safety Assessment; and g) Use their own work related equipment and be responsible for the maintenance and repair of that equipment including home maintenance, insurance, adequate internet, telephone connection, and utilities. Page 255 of 319 6-010 Page 4 of 4 The immediate supervisor shall: a) review, discuss, assess and authorize requests for hybrid work model arrangement where appropriate; b) ensure that an appropriate trial period is completed for ongoing Hybrid Work Model Arrangements and ensure that such agreements do not negatively impact on required business continuity or service levels; c) review and sign the Hybrid Work Model Agreement with your employee and forward the completed document to Human Resources; and d) confirm the details, changes or discontinuation of all ongoing Hybrid Work Model Arrangements with the employee in writing through the completion of a new Hybrid Work Model Agreement or written notice to discontinue the arrangement. Page 256 of 319 Page 1 of 3 Subject: THI MOUD Report Number: CS 22-19 Department: Corporate Services Department Submitted by: Director of Corporate Services Meeting Type: Council Meeting Meeting Date: Thursday, June 16, 2022 RECOMMENDATION That the Council receives the THI MOUD report as information. BACKGROUND At the May 24, 2022 Council meeting, staff was asked to review a number of concerns and questions raised as part of the MOUD as proposed to be revised by the THI Board. DISCUSSION The following is a summary of the concerns/questions raised at the previous meeting along with answers provided by staff:  What is the standard practice for tenure of Hydro Board members? Is it 9 years as proposed in the MOUD? Answer: Typical industry practice is 3 years’ term with 2 optional renewals for a total of 9 years. With that being said it is at the sole discretion of the shareholder to decide on the renewal. If the shareholder is happy with the board they renew the term, if not they reject the renewal and then recruit new board member/members. Page 257 of 319 CS 22-19 Page 2 of 3  What is the maximum number of Board Members? Answer: The current Articles of THI requires a minimum of 5 directors and permit a maximum of 9 members. Section 2.1.2 of the OEB Affiliate Relationships Code states: A utility shall ensure that at least one-third of its Board of Directors is independent from any affiliate.  Who is involved in the evaluation process of the Board members? Answer: The Board’s intention is for members to complete an individual board member evaluation tool as approved by the Board that would be reviewed by the Board’s Governance Committee.  What members are on the Governance Committee? Answer: The MOUD was referred to the Governance Committee for review which consists of the Chair Dan Rasokas, Vice Chair Ann Loker, Board member Alex Urbanowicz and Amelia Jaggard as Board Secretary.  Current shareholder would now be an affiliate member – why and what does this mean? Answer: although there is no definition of what an “affiliate related director is”, the following is found in the proposed MOUD: an affiliate related director is someone that is a representative of a shareholder, a municipal council, a member of any affiliate or an employee of the Town. Recently, shareholder representatives have been asked to leave any closed session meetings by the rest of the Board. At one point the Board was proposing a Closed Session Policy that excluded all shareholder members (included ‘Affiliated Director’) and only included Independent Directors.  Why isn’t there a cap on the Board members per diem? Answer: Currently there isn’t a remuneration by-law similar to what guides the salaries for Council. Each year, the cost of living adjustment is applied to the per diem rates. There were some questions raised by Council concerning the addition of shareholder representation as well as the removal of Board members. Additional information regarding this matter will be provided by the Town’s solicitor in a future closed session meeting. Page 258 of 319 CS 22-19 Page 3 of 3 CONSULTATION CAO and THI General Manager FINANCIAL IMPACT/FUNDING SOURCE N/A CORPORATE GOALS How does this report support the corporate goals identified in the Community Strategic Plan? ☐ Lifestyle and amenities ☐ Customer service, communication and engagement ☐ Business attraction, retention and expansion ☐ Community growth ☐ Connectivity and transportation ☒ Not Applicable Does this report relate to a specific strategic direction or project identified in the Community Strategic Plan? Please indicate section number and/or any priority projects identified in the plan. ATTACHMENTS Appendix A – redlined MOUD Page 259 of 319 Page 1 of 6 MEMORANDUM OF UNDERSTANDING AND DIRECTION BETWEEN THE CORPORATION OF THE TOWN OF TILLSONBURG ("TOWN") AND TILLSONBURG HYDRO INC. ("THI") 1.0 STATEMENT OF INTENT: This Memorandum of Understanding and Direction (MOUD) is designed to identify individual and collective responsibilities that will ultimately provide for safe, reliable and financially responsible distribution of electrical energy to identified stakeholders. The purpose of this MOUD is to confirm the working partner relationship between the TOWN and THI (The PARTIES) that reinforces and enhances their joint commitment to maintain a vibrant Electrical Energy Utility to the benefit of the community they serve. Therefore this document shall set out the general expectations of the TOWN (as Sole Shareholder) and THI. 2.0 GUIDING PRINCIPLES (GOVERNANCE): The following guiding principles will direct the deliberations of the TOWN and THI in achieving that goal. It must be further understood that the TOWN is the Sole Shareholder of THI and that THI is a distinct and separate Corporation granted the benefits of operating under the regulations of the Ontario Business Corporations Act. The Board Shall; a) Govern and provide stewardship of the business and affairs of THI. In so doing, shall adhere to all appropriate legislation and regulations that impact the electrical distribution industry in the Province of Ontario b) Provide that the focus of safe, reliable and financially responsible distribution is adhered to c) Address any conflict of interest, act honestly and in good faith with a view to the best interests of THI and shall exercise the same degree of care, diligence and skill that a reasonably prudent person would exercise in similar circumstances d) Promote operational and strategic improvement projects that will enhance the profile of THI and the TOWN The TOWN Shall; a) Encourage and support the THI Board and staff in their endeavors Page 260 of 319 Page 2 of 6 b) Receive an annual return on its' investment in the form of a cash Dividend, subject to the conditions set out in Section 7.0-Dividend Policy 3.0 BUSINESS ACTIVITIES: THI may engage in any business activities as may be permitted by the Ontario Energy Board Act, 1998 (OEB Act) and the Electricity Act, 1998 (Electricity Act), and as authorized by the Board from time to time, including; a) Distributing electricity b) Business activities, the principal purpose of which is to use more effectively the assets of the distribution system of THI c) Generating electricity from renewable energy sources d) Conservation and Demand Management activities In carrying out these business activities THI shall be guided by the following; a) Compliance with all applicable laws and regulations. b) Operate in a manner that considers community values to the extent possible, TOWN practices and policies. c) Act in a safe and environmentally responsible manner d) Employ prudent business practices e) Have regard to the fact that the TOWN is a Municipal Corporation f) Maintain and appropriately enhance THI owned infrastructure 4.0 BOARD COMPOSITION: The Board of Directors of THI (the BOARD); a) Shall be a number as permitted by current By-law(s) of THI minimum of seven (7) members. Consideration may be given to increasing the number of Directors to ensure maintenance of a desired skill set, within prudent and, cost effective parameters. a)b) Shall review the number of Board Directors every three years. b)c) Shall consist of; a. One member selected by the TOWN at large, who is to be considered an Affiliate Related Director. An Affiliate Related Director is someone that is a representative of a shareholder, a municipal council, a member of any affiliate or an employee of the Town. Page 261 of 319 Page 3 of 6 b. A minimum of 4 (four) and a maximum of six (6) independent members, A minimum of six (6) members are to be considered as Independent Directors in accordance with the skills matrix as recommended developed by the Board. An Independent Director means a director that is independent from, the shareholder, the municipal council, any affiliate or employee of the Town, as required by section 2.1.2 of the Affiliates Relationship Code. d) Shall take into consideration Director qualifications, skills and experience, in the discharge of THI duties for oversight of; strategy, utility operations, finance, regulatory, technical resources and customer service. e) Shall protect the best interests of the electricity rate payers and shareholder, and shall ensure financial integrity. b.f)Shall strive for a tenure term of nine years with possible one-year term extensions thereafter. Independent Directors shall be reappointed after each three year increment based on individual performance. An Independent Director’s tenure may be extended after nine years by one- year terms when their qualifications and value are in the best interest of THI. c)g) Shall meet the requirements as outlined by the Ontario Energy Board (OEB) through and the Affiliate Relationships Code (ARC) d)h) The Chair of the Board shall be selected by Board members e)i)No member of the Board shall receive any remuneration or compensation, other than as expressly stated in applicable By-Law 5.0 TOWN APPROVAL: The Board shall seek the approval of the TOWN in respect to each of the following matters prior to the BOARD undertaking or causing to undertake, authorizing or approving any of the following matters with respect to THI: a) Any changes or amendments to the share structure of THI b) Any changes to the business activities of THI as identified in Section 3.0 c) Entering into any discussions or negotiations regarding a potential merger, amalgamation, divestiture or acquisition of THI or another corporation. Page 262 of 319 Page 4 of 6 6.0 REPORTING: THI is required to provide the TOWN with an annual Business Plan and Budget (the "Business Plan"). THI is to carry out its affairs and carry out its business operations in accordance with the Business Plan. THI will provide the TOWN with any revision, update or amendment of a material nature to the Business Plan. The Business Plan will take the format as adopted by the Board of THI but shall include the following; a) Comprehensive financial plan with significant operational projects b) Most recent Audited Financial Statements c) A statement of any material variances in the projected ability for THI to meet or continue to meet its strategic, financial or development goals, including any material variances from current Business Plan In addition to the presentation of the annual Business Plan and Budget, THI shall provide updated Financial reports, in a format as adopted by the Board, to the TOWN on a semi-annual basis. 7.0 DIVIDEND POLICY: Subject to the provisions herein, the Board of THI shall declare and issue an Annual Dividend to the TOWN as referenced in Section 2.0. The payment of the Dividend shall be subject to the following; a) No dividend shall be declared where to do so would significantly impact THI's ability to satisfy any appropriate replacement or improvement of assets of THI b) No Dividend shall be declared if the Board can demonstrate to the TOWN that; a. After any expected payment, THI would be unable to meet its financial commitments and pay its liabilities when due b. The realizable value of THI's assets would be less than the aggregate of its liabilities and its stated capital of all classes With concurrence of the THI Board and the TOWN, the Annual Dividend Policy shall be established as in accordance with Schedule 1 (attached), subject to the conditions in 7.0, and confirmed at the Board's November board meeting, or before December 31. The approval and the declaration of the actual Annual Dividend shall take place at the conclusion of the annual audit of THI. Page 263 of 319 Page 5 of 6 A Special Dividend may be considered and approved at the discretion of the Board; a) After the review of Annual Financial Statements, and b) Consultation with the Corporation of the TOWN of Tillsonburg 8.0 COMMUNICATIONS PROTOCOL: Positive and effective communication is a cornerstone of relationship building and ultimately enhances the long-term working relationship of the TOWN and THI. In supporting the spirit of this Agreement, the communication protocol between the parties shall be identified as follows; a) As to specifically identified services or general information exchange, in writing on Corporate letterhead directed to; i. To TOWN - Clerk copied to CAO ii. To THI -Secretary copied to Chair and Vice-Chair b) Best efforts are expected to be used to identify and acknowledge when any issue of communication will be considered and responded to c) The Chair of THI will deliver at a minimum, and not counting the Annual General meeting, semi-annual status reports to the TOWN (Shareholder) 9.0 REVISIONS: This document shall be reviewed at least once every two years and may be revised from time to time as circumstances may require. A review of the MOUD can be initiated by either party subject to appropriate communication and consultation. Date: Acknowledged and Agreed to as of the date above CORPORATE OF THE TOWN OF TILLSONBURG ____________________________ Name ____________________________ Title TILLSONBURG HYDRO INC. ____________________________ Name ____________________________ Page 264 of 319 Page 6 of 6 Title Page 265 of 319 Page 1 of 2 Subject: Council Vacancy on the Boundary Adjustment Subcommittee Report Number: CS 22-20 Department: Corporate Services Department Submitted by: Ann Wright, Deputy Clerk Meeting Type: Council Meeting Meeting Date: Thursday, June 16, 2022 RECOMMENDATION THAT the Council for the Town of Tillsonburg appoints ______________ as a council representative on the Tillsonburg Boundary Adjustment Advisory Committee. BACKGROUND On April 12, 2021 Council established the Boundary Adjustment Subcommittee and appointed Councillor Parker and Deputy Mayor Beres as the council representatives on the Committee. The mandate of the Boundary Adjustment Subcommittee is to review the growth being experienced by the town and the remaining inventory of development land and identify potential land needs to support the sustainable growth objectives of the Town in accordance with the Community Strategic Plan. The role of the Committee is: 1.1 To identify strategic opportunities to increase the land supply for future development 1.2 To advise Council on matters related to future land needs. The Boundary Adjustment Committee meets the third Tuesday of the month at 7:30 a.m. until approximately 9:00 a.m. DISCUSSION Councillor Parker has had to resign from the Boundary Adjustment Subcommittee due to the committee meetings conflicting with his hours of work, and so there is now a Council representative vacancy on the Committee that should be filled. Page 266 of 319 CS 22-20 Council Vacancy on the Boundary Adjustment Subcommittee Page 2 of 2 CONSULTATION None. FINANCIAL IMPACT/FUNDING SOURCE None. CORPORATE GOALS How does this report support the corporate goals identified in the Community Strategic Plan? ☐ Lifestyle and amenities ☒ Customer service, communication and engagement ☐ Business attraction, retention and expansion ☐ Community growth ☐ Connectivity and transportation ☐ Not Applicable Does this report relate to a specific strategic direction or project identified in the Community Strategic Plan? Please indicate section number and/or any priority projects identified in the plan. Goal – The Town of Tillsonburg will strive for excellence and accountability in government, providing effective and efficient services, information, and opportunities to shape municipal initiatives. Strategic Direction – Engage community groups, including advisory committees and service organizations, in shaping municipal initiatives. Priority Project – Not applicable. ATTACHMENTS None. Page 267 of 319 Page 1 of 6 Subject: Offer to Purchase – Alley Lands between 6 and 8 John St Report Number: EDM 22-14 Department: Economic Development Department Submitted by: Cephas Panschow Meeting Type: Closed Council Meeting Meeting Date: Thursday, June 16, 2022 RECOMMENDATION THAT a by-law be brought forward to authorize the Mayor and Clerk to enter into an agreement of purchase and sale with Tillsonburg Properties for Community Living for the Alley Lands located between 6 John Street and 8 John Street and to be described by a new reference plan. BACKGROUND Council declared the Alley lands located between 6 John Street (Lot 606, Plan 500) and 8 John Street (Lot 607, Plan 500) as surplus to the Town’s needs at their September 21, 2021 meeting: THAT Council receives Report EDM 21-25 Surplus Land Declaration – Alley Lands between 6 and 8 John Street; AND THAT the Alley Lands located between 6 John Street (Lot 606, Plan 500) and 8 John Street (Lot 607, Plan 500), and shown as a public road, be closed; AND THAT Alley Lands between 6 John Street and 8 John Street, to be described by a new reference plan, be declared surplus to the needs of the Town of Tillsonburg in accordance with Bylaw 2021-031 (land disposition) including suitable notification to the public. Page 268 of 319 EDM 22-14 Page 2 of 6 A sign notifying the public of the Town’s intent to declare the property surplus was posted on the property with a deadline of October 12, 2021 for interested parties to register their interest. Both adjacent property owners initially expressed interest in the property, but one property owner has confirmed that they are no longer interested in acquiring the property. Tillsonburg Properties for Community Living has submitted an Offer to Purchase for the lands and the purpose of this report is to seek Council approval to enter into an Agreement of Purchase and Sale for these lands. Subject Property: Lands between 6 and 8 John Street Properties Page 269 of 319 EDM 22-14 Page 3 of 6 DISCUSSION The Alley lands between 6 and 8 John Street are approximately 6 metres (20 feet) wide and 16 metres (52 feet) long and comprise approximately 1,100 square feet of land area. While the Alley is currently shown as an open road allowance, it is not a paved surface nor is there any municipal or public use of the property. The Offer to Purchase submitted by Tillsonburg Properties for Community Living is summarized as follows: Offer Details Comments on the Offer Details Price $2,500 for the lands plus reimbursement of the Town’s costs up to $5,000 for a total price of up to $7,500 plus HST Price reflects the value of the lands and covers the Town’s costs to enable a transfer of the property Area (estimated subject to final adjustments) 1,100 square feet A new reference plan to describe the property has been requested Irrevocable Date May 27, 2022 Closing Date July 4, 2022 Purchaser Conditions Seller declaring the lands surplus, bylaw closing the road, and lands being rezoned to Residential Lands have already been declared surplus along with approval to bring forward a bylaw to close the road. The property is already zoned Residential “R1”. The improved offer from TPCL includes a price of $2,500 for the property over and above the commitment to cover the costs to the Town necessary to transfer the property. Based on the improved offer and the fact that the other property owner declined to submit an offer, the Development Commissioner is recommending that Council approve the agreement with Tillsonburg Properties for Community Living. Page 270 of 319 EDM 22-14 Page 4 of 6 CONSULTATION The intent to declare the property as surplus to the Town’s needs was circulated to all Town Departments and Tillsonburg Hydro Inc as detailed in report EDM 21-25 Surplus Land Declaration - Alley Lands between 6 and 8 John St with all concerns being addressed. Public Notice of the Surplus Property was provided through a sign posted on the property on September 17, 2021. FINANCIAL IMPACT/FUNDING SOURCE An estimate of the property’s value was obtained through a Letter of Opinion prepared by Royal Lepage RE Wood Realty dated October 1, 2021. The Letter of Opinion indicated that the estimated value of the property is $15,000. While the offer as submitted does not achieve the estimated value of the property, there are limited purchasers for the property and the additional land does not lend itself well for development so the price submitted appears to be what the market is willing to pay for the property. Since the Town’s costs to transfer the property will be covered by the Purchaser (up to the limit of $5,000), the $2,500 value for the land will result in net revenue for the Town. CORPORATE GOALS How does this report support the corporate goals identified in the Community Strategic Plan? ☐ Lifestyle and amenities ☒ Customer service, communication and engagement ☐ Business attraction, retention and expansion ☐ Community growth ☐ Connectivity and transportation ☐ Not Applicable Does this report relate to a specific strategic direction or project identified in the Community Strategic Plan? Please indicate section number and/or any priority projects identified in the plan. Goal – The Town of Tillsonburg will strive for excellence and accountability in government, providing effective and efficient services, information, and opportunities to shape municipal initiatives. Page 271 of 319 EDM 22-14 Page 5 of 6 Strategic Direction – Not applicable. Priority Project – Not applicable ATTACHMENTS Offer to Purchase – Tillsonburg Properties for Community Living Appendix A – Legal Plans Excerpt from Part 9, Judges’ Plan 500 Page 272 of 319 EDM 22-14 Page 6 of 6 Plan 41R-4383 Page 273 of 319 Page 274 of 319 Page 275 of 319 Page 276 of 319 Page 277 of 319 Page 278 of 319 Page 279 of 319 Page 1 of 4 Subject: Westwinds Subdivision Road Naming Report Number: OPD 22-23 Department: Operations and Development Department Submitted by: Geno Vanhaelewyn, Chief Building Official Meeting Type: Council Meeting Meeting Date: Thursday, June 16, 2022 RECOMMENDATION THAT Council approves “Darrow Drive”, “Hill Street”, “Westwinds Gate”, and “Westwinds Court” as road names for the Westwinds subdivision. BACKGROUND Planning Services received a formal request from the developer of the Westwinds subdivision for the approval of four new road names “Darrow Drive”, “Hill Street”, “Westwinds Gate”, and “Westwinds Court” to be used in the subdivision. DISCUSSION The request for approval is required as a Draft Plan of Subdivision condition and verification that the proposed names will meet the requirements of the Road Naming Policy found in By-Law 3553. The road naming policy identifies that the naming of roads and subdivisions for the municipality should be determined in a manner that incorporates local history, culture and environmental features. In this case, the developer is proposing to use local history by incorporating names of one of the former Councilors of the West Ward, as well as another Councilor from the first Town Council. The following maps identifies the location and request. Page 280 of 319 OPD 22-23 – Westwinds Subdivision Road Naming Page 2 of 4 LOCATION MAP Page 281 of 319 OPD 22-23 – Westwinds Subdivision Road Naming Page 3 of 4 SUBDIVISION PLAN CONSULTATION Recreation, Culture and Parks Department’s Culture and Heritage Manager/Curator was consulted and noted that the proposed road names of “Darrow Drive” and “Hill Street” meet the section of the Town's policy for road naming and are recognized for the heritage within the community. Darrow Drive is being named in recognition of W.C. Darrow who was a member of the first Town Council. Page 282 of 319 OPD 22-23 – Westwinds Subdivision Road Naming Page 4 of 4 Hill Street is being named in recognition of Charles Hill who was one of the first Councilors elected in the former West Ward, where the Westwinds subdivision is located. Westwinds Gate and Westwinds Court are both proposed as names derived from the name of the subdivision, which recognizes the former West Ward where the subdivision is located. Fire Services/9-1-1 were circulated for emergency conflict assessment and approval was granted with no conflicts. FINANCIAL IMPACT/FUNDING SOURCE Not applicable CORPORATE GOALS How does this report support the corporate goals identified in the Community Strategic Plan? ☐ Lifestyle and amenities ☒ Customer service, communication and engagement ☐ Business attraction, retention and expansion ☐ Community growth ☐ Connectivity and transportation ☐ Not Applicable Does this report relate to a specific strategic direction or project identified in the Community Strategic Plan? Please indicate section number and/or any priority projects identified in the plan. Goal – The Town of Tillsonburg will strive for excellence and accountability in government, providing effective and efficient services, information, and opportunities to shape municipal initiatives. Strategic Direction – N/A Priority Project – N/A ATTACHMENTS - Developer Request Letter - Westwinds Road Names Page 283 of 319 May 3, 2022 Mr. Geno A. Vanhaelewyn Town of Tillsonburg 10 Lisgar Avenue Tillsonburg, ON N4G 5A5 Dear Mr. Vanhaelewyn, RE: Plan of Subdivision (Westwinds Subdivision) – Request for Street Names 97 North Street West Our File: SSD/TLS/20-01 Zelinka Priamo Ltd., on behalf of Southside Construction Management Limited, is pleased to submit the following Street Names for the draft approved Plan of Subdivision located at 97 North Street West in the Town of Tillsonburg. An outline of the subdivision name and proposed street names is provided below along with a brief explanation of how it meets the Town’s Road Naming Policy By-law: Subdivision Name  Westwinds Subdivision: The Plan of Subdivision is located along the current western boundary of the Town of Tillsonburg, and the former West Ward when the Town was founded. The Town is celebrating their 150th anniversary this year and the name pays homage to the former ward name, as well as its current location along the settlement boundary. Street Names  Darrow Drive: W.C. Darrow was a member of the first Town Council. In recognition of the Town’s 150th anniversary and Councillor Darrow’s service to the community Darrow Drive is proposed. Given the historical context, the name ‘Darrow’ is consistent with the Town’s Road naming policies.  Hill Street: Charles Hill was one of the first Councillors elected in the former West Ward when the Town of Tillsonburg was established. In recognition of the Town’s 150th anniversary and Councillor Hill’s service to the community Hill Street is proposed. As per the Town’s Road Naming Policy, Hill Street is consistent given its historical context within the former West Ward of the Town.  Westwinds Gate: Name derived from the name of the subdivision. Consistent with the rational provided above for the subdivision name.  Westwinds Court: Name derived from the name of the subdivision. Consistent with the rational provided above for the subdivision name. Page 284 of 319 A plan has been provided showing the location of the proposed street names within the draft approved plan of subdivision. We trust the enclosed is sufficient for your review and we look forward to a timely approval process. Should you have any questions or require additional submission material, please feel free to contact our office. Yours very truly, ZELINKA PRIAMO LTD. Casey Kulchycki, BAA, MCIP, RPP Senior Planner Page 285 of 319 Page 1 of 4 Subject: Oxnard Phase 4 Subdivision Road Naming Report Number: OPD 22-24 Department: Operations and Development Department Submitted by: Geno Vanhaelewyn, Chief Building Official Meeting Type: Council Meeting Meeting Date: Thursday, June 16, 2022 RECOMMENDATION THAT Council approves “Waterhouse Crescent”, “Burgess Crescent”, and “Jacko Street” as road names for the Potters Gate Phase 4 subdivision. BACKGROUND Planning Services received a formal request from the developer of the Potters Gate Phase 4 subdivision for the approval of three new road names “Waterhouse Crescent”, “Burgess Crescent”, and “Jacko Street” to be used in the subdivision. DISCUSSION The request for approval is required as a Draft Plan of Subdivision condition and verification that the proposed names will meet the requirements of the Road Naming Policy found in By-Law 3553. The road naming policy identifies that the naming of roads and subdivisions for the municipality should be determined in a manner that incorporates local history, culture and environmental features. In this case, the developer is proposing to use local history by incorporating names of the former Councilors of the South Ward, as well as the family name of the previous landowner. The following maps identify the location and request. Page 286 of 319 OPD 22-24 – Oxnard Phase 4 Subdivision Road Naming Page 2 of 4 LOCATION MAP Page 287 of 319 OPD 22-24 – Oxnard Phase 4 Subdivision Road Naming Page 3 of 4 PROPOSED SUBDIVISION PLAN CONSULTATION Recreation, Culture and Parks Department’s Culture and Heritage Manager/Curator was consulted and noted that the proposed road names of “Waterhouse Crescent” and “Burgess Crescent” meet the section of the Town's policy for road naming and are recognized for the heritage within the community. Waterhouse Crescent & Burgess Crescent are being named in recognition of J. Waterhouse and E. Burgess who, along with G.B. Tillson, were the first Councilors of the former South Ward of Tillsonburg, where the Potters Gate Subdivision lands are located. Page 288 of 319 OPD 22-24 – Oxnard Phase 4 Subdivision Road Naming Page 4 of 4 Streets have already been named after G.B. Tillson, but the names Waterhouse and Burgess have not. Jacko Street is being named in recognition of the family name of the previous owners of what are now the Potters Gate Subdivision lands. The Jacko family owned, resided on, and farmed the lands from 1968 until 2021. Fire Services/9-1-1 were circulated for emergency conflict assessment and approval was granted with no conflicts. Staff will communicate with the previous owners of the land to inform of the dedication if approved. FINANCIAL IMPACT/FUNDING SOURCE Not applicable. CORPORATE GOALS How does this report support the corporate goals identified in the Community Strategic Plan? ☐ Lifestyle and amenities ☒ Customer service, communication and engagement ☐ Business attraction, retention and expansion ☐ Community growth ☐ Connectivity and transportation ☐ Not Applicable Does this report relate to a specific strategic direction or project identified in the Community Strategic Plan? Please indicate section number and/or any priority projects identified in the plan. Goal – The Town of Tillsonburg will strive for excellence and accountability in government, providing effective and efficient services, information, and opportunities to shape municipal initiatives. Strategic Direction – N/A Priority Project – N/A ATTACHMENTS - Developers Request Letter – Oxnard Ph 4 Subdivision Road Naming Page 289 of 319 1 Geno Vanhaelewyn From:Soheil Khodadadi <Soheil@oxnarddevelopments.com> Sent:Wednesday, April 13, 2022 10:29 AM To:Kendall Wharton Cc:Geno Vanhaelewyn; Jeff Jafarpour; Ashcon Jafarpour Subject:Potters Gate PH4 Subdivision - Formal Request for Street Names Attachments:Potters Gate PH 4 Siteplan - with Street Names.pdf; 00043-0119[1].pdf CAUTION: This email originated from outside your organization. Exercise caution when opening attachments or on clicking links from unknown senders. Hello Kendall, Please find this email as Oxnard’s formal request for naming the streets in our latest approved subdivision development in Tillsonburg – Potters Gate PH4. Please review the attached site plan for our proposed names. The information to support each name is below: Waterhouse Crescent & Burgess Crescent 2022 marks the 150th Anniversary of Incorporation of the Town of Tillsonburg. At that time Tillsonburg was divided into three Wards with three Councilors to be elected per Ward. Potters Gate PH4 would have been in the South Ward. The first Councilors for this Ward were J. Waterhouse, E. Burgess and G.B. Tillson. Although there is a Tillson Street and Tillson Avenue in town, the names Waterhouse and Burgess have not been used. In this the 150th Anniversary year, we think it would be appropriate to recognize the contributions of the very first south ward councilors with street names in our development. Jacko Street “Jacko” is the family name of the previous land owner and we would like to propose their name on one of the streets in this subdivision development. I attached the parcel registry for your review. Please review and let us know if the proposed names are acceptable by Town. Thanks so much for your consideration in advance. Kind Regards, Soheil Khodadadi Project Coordinator, M.Arch Oxnard Development Inc. 9140 Leslie St., Unit 210 Richmond Hill, ON L4B 0A9 (905)762-9200 ext#224 soheil@oxnarddevelopments.com Page 290 of 319 Page 1 of 3 Subject: Tillsonburg Airport Advisory Committee – Virtual Meetings Report Number: OPD 22-25 Department: Operations and Development Department Submitted by: Richard Sparham, Manager of Public Works Meeting Type: Council Meeting Meeting Date: Thursday, June 16, 2022 RECOMMENDATION THAT Council approves the request from the Tillsonburg Airport Advisory Committee to continue meeting virtually. BACKGROUND Council for the Town of Tillsonburg passed the following resolution at their meeting on April 19, 2022 (Resolution # 2022-144), which states: THAT plans be put in place for council members and staff to return to the council chambers for regularly scheduled council meetings as soon as possible, and in accordance with the end of the COVID-19 pandemic as determined by the provincial government. At this time, the provincial government has stated that Ontario COVID-19 Public Health measures and advice and all remaining measures, directives and orders are to end by April 27, 2022. A hybrid option will continue to be available for individuals, who are unable to attend in person citing health or distance concerns. With the provincial statement in mind and as per the town’s Procedural By-Law section 5.3 which reads “Electronic meetings for both open and closed meetings will be permitted in the following circumstances: during a pandemic and in certain emergency situations”, the provincial government’s declaration supports the town’s return to open, in person meetings of council and council committees. AND FURTHER having been advised that the recently approved Hybrid Work Policy could result in staff not being available to attend in person meetings, or to complete other tasks for which in person attendance at town facilities is important, that council requests a staff report outlining revisions to the Hybrid Work Policy that will assure council and the community that staff attendance at Page 291 of 319 OPD 22-25 Tillsonburg Airport Advisory Committee – Virtual Meetings Page 2 of 3 town facilities is considered important and often in the best interest of the municipality. Should Southwestern Public Health issue regulations requiring in-person public meetings to cease because of a continuance or reoccurrence of COVID-19, Councillors and staff will return to the full hybrid meeting option for the required period of time specified by public health. Although not specifically stated, the communication put forth was to include all Committee meetings within the resolution and that individual Committees wishing to conduct the meetings virtually shall make a request to Council. DISCUSSION The Tillsonburg Regional Airport is located in Southwest Oxford with the Airport Advisory Committee being comprised of individuals located in various areas of the County and beyond. Further, a few of the members, being pilots, are often connecting from more remote locations. As indicated in the attached meeting minutes of the Tillsonburg Airport Advisory Committee of May 26, 2022: Moved by: Euclid Benoit Seconded by: Dan Cameron THAT the Tillsonburg Airport Advisory Committee will take a resolution to Council to continue meeting virtually. Carried The committee therefore is requesting to conduct the Tillsonburg Airport Advisory Committee meetings virtually. CONSULTATION The following staff and resources have been consulted in preparing this report:  Director of Operations and Development FINANCIAL IMPACT/FUNDING SOURCE No impact to the budget. CORPORATE GOALS How does this report support the corporate goals identified in the Community Strategic Plan? Page 292 of 319 OPD 22-25 Tillsonburg Airport Advisory Committee – Virtual Meetings Page 3 of 3 ☐ Lifestyle and amenities ☒ Customer service, communication and engagement ☐ Business attraction, retention and expansion ☐ Community growth ☐ Connectivity and transportation ☐ Not Applicable Does this report relate to a specific strategic direction or project identified in the Community Strategic Plan? Please indicate section number and/or any priority projects identified in the plan. Goal – The Town of Tillsonburg will strive for excellence and accountability in government, providing effective and efficient services, information, and opportunities to shape municipal initiatives. Strategic Direction – Engage community groups, including advisory committees and service organizations, in shaping municipal initiatives. Priority Project – N/A ATTACHMENTS: Tillsonburg Airport Advisory Committee Meeting minutes Page 293 of 319 Page 1 of 3   The Corporation of the Town of Tillsonburg Tillsonburg Airport Advisory Committee May 26, 2022 5:30 p.m. Electronic Meeting MINUTES Present: Mark Renaud, Councillor Gilvesy, Emily Crombez, Jeff Miller, Dan Cameron, Euclid Benoit. Absent with Regrets: David Brandon, Jeff Dean, Valerie Durston, Mayor Molnar. Also Present: Carlos Reyes, Director of Operations and Development Richard Sparham, Manager of Public Works Eric Duffy, Airport Manager Tracy Hird, Public Works Co-ordinator 1) Call to Order The meeting was called to order at 5:30 p.m. Chair declared that there is a quorum for this meeting. 2) Adoption of Agenda Resolution #1 Moved by: Emily Crombez Seconded by: Dan Cameron THAT the Agenda as prepared for the, May 26th, 2022 meeting be adopted. Carried 3) Minutes of the Previous Meeting Resolution #2 Moved by: Councillor Gilvesy Seconded by: Euclid Benoit Page 294 of 319 Page 2 of 3   THAT the Minutes of the Tillsonburg Airport Advisory Committee meeting dated April 21st, 2022 be approved. Carried 4) Disclosures of Pecuniary Interest and the General Nature Thereof There were no disclosures of pecuniary interest declared. 5) Committee to Continue Meeting Virtually Proposed Resolution #3 Moved by: Euclid Benoit Seconded by: Dan Cameron THAT the Tillsonburg Airport Advisory Committee will take a resolution to Council to continue meeting virtually. Carried 6) General Business and Reports a) Hangar Updates – Staff  No new movement on hangar development. All current delays are Contractor related.  Staff shared the new development map that the Engineering Department is working on. It is currently a work in progress. b) Master Plan Update – Staff i) Update on Hydro Supply  Staff has forwarded everything to ERTH and is waiting on a response.  The committee has asked that once ERTH reports back that staff create a report for future information.  The hydro supply for the fence will come in from the road. ii) Taxiway Construction Update  The taxiway pavement surface can now be used, however, there is still surveying taking place.  Full completion is anticipated by the end of next week. iii) Airport Fence and Gate Installation  Work will commence in the next couple of weeks when the other Contractors are finished.  Fence and Gate Contractor – Hudson Entry & Automation.  The gate will have a FOB system. Page 295 of 319 Page 3 of 3   iv) End of Runway Trees – Staff  Staff met last Friday to come up with a plan.  Committee recommends that Engineering stake out the property lines.  Engineering to provide a better map to figure out what size of trees will be removed.  Staff will provide a timeline as soon as possible. c. Safety Spreadsheet – Staff  Ben Nichols, Health & Safety Coordinator completed a Health and Safety Inspection at the Airport. Staff received a report that they are currently working though. d. Fuel Sales and Airport Movement - Staff  Fuel sale totals and airport movement stats were sent out to the group through a separate email. Very positive numbers were reported.  In the future, monthly reports will be accessed through a link where committee members can view the numbers at any time. 7) Other Business  Staff updated the committee that the large agricultural mower has been returned. The same Trackless Vehicle equipment will be used this season as in the past. In the future, staff will investigate to find a better solution that does not damage the runway.  Runway 0220 is in really bad shape. The water issues at the South end are still an issue. Staff advised that the runway has been rolled once this year. Staff will investigate the drainage issue. It was suggested that they give David Stevens Drainage a call as they should have some information.   8) Next Meeting June 23rd, 2022 at 5:30 p.m. Note: The committee will not be meeting in July. 9) Adjournment Resolution #4 Moved by: Jeff Miller Seconded by: Emily Crombez THAT the May 26th, 2022, Tillsonburg Airport Advisory Committee meeting be adjourned at 6:15 p.m. Carried Page 296 of 319 Page 1 of 3 The Corporation of the Town of Tillsonburg Tillsonburg Transit Advisory Committee May 17, 2022 10:00 a.m. Hybrid Meeting MINUTES Present: Cindy Allen, Sherry Hamilton, Rick Martin, Kathryn Leatherhead, Lynn Temoin and Councillor Luciani Also Present: Ashley Taylor, Transit Coordinator Carlos Reyes, Director of Operations 1. Call to Order The meeting was called to order at 10:03 a.m. 2. Adoption of Agenda Resolution #1 Moved by: Cindy Allen Seconded by: Lynn Temoin THAT the Agenda as prepared for the Tillsonburg Transit Advisory Committee meeting of May 17 2022, be adopted. Carried 3. Minutes of the Previous Meeting 4. Disclosures of Pecuniary Interest and the General Nature Thereof No disclosure of pecuniary interest were declared. Page 297 of 319 Page 2 of 3 5. General Business and Reports 5.1. In Town Transit Update 5.1.1. Statistics Staff provided an overview of the In-Town Statistics. The In-Town bus had 932 riders in March 2022 and 725 riders in April 2022. 5.1.2. Stop Times on Signs Staff gave an overview of the new time stickers that are being ordered for each In-Town stop to allow the riders to easily see the time the bus comes to each bus stop. 5.1.3. Sobeys Bus Stop Staff discussed that the current Sobeys stop was not in an ideal location and will be moving so that passengers can load at the side of the building and not in the middle of the parking lot. 5.1.4. Rural Transit Solutions Fund Staff provided an update on the Rural Transit Solutions fund. 5.1.5. Tillsonburg 150 Staff discussed the idea of T:GO assisting with the promotions of the Tillsonburg 150 event (advertising etc.) 5.2. Inter-community Transit Update 5.2.1. Statistics Staff provided an overview of the Inter-Community Statistics. 5.3. New Bus Stop in Woodstock Staff presented where a new bus stop location on Route 1 will be located in Woodstock. This stop will allow riders to access the shopping area in the south end of Woodstock. 5.4. Port Burwell Summer Promotion Promotion of the Port Burwell run was discussed. The new flyer that was created for social media and posters was shown. Various other ideas were discussed including free rides, promotions with local Port Burwell business and prize draws. 6. Next Meeting Page 298 of 319 Page 3 of 3 July 19th, 2022 at 10:00 a.m. 7. Adjournment Resolution #3 Moved by: Kathryn Leatherhead Seconded by: Pete Luciani THAT the May 17th, 2022 Tillsonburg Transit Advisory Committee meeting be adjourned at 10:42 a.m. Carried Page 299 of 319 Tillsonburg 150 Ad-Hoc Committee Minutes, May 17, 2022 Page 1 of 4 The Corporation of the Town of Tillsonburg Tillsonburg 150 Ad Hoc Committee May 17, 2022 4:30 p.m. Council Chambers MINUTES Present: Chair Joan Weston, Deputy Mayor Dave Beres, Aleksandra Webber, Courtney Booth, Absent with Regrets: Christine Wade, Rosemary Dean Staff Also Present: Patty Phelps- Culture and Heritage Manager/Curator Margaret Puhr- Administrative Assistant – Recreation, Culture & Parks Gina Armand - Records & Legislative Coordinator 1. Call to Order The meeting was called to order at 4:33pm by Chair Joan Weston 2. Adoption of Agenda Resolution #1 Moved by: Dave Beres Seconded by: Courtney Booth Page 300 of 319 Tillsonburg 150 Ad Hoc Committee Minutes, May 17, 2022 Page 2 of 4 THAT the Agenda as prepared for the Tillsonburg 150 Ad-Hoc Committee meeting of May 17, 2022, be adopted. Carried 3. Minutes of the Previous Meeting May 3, 2022 Committee Minutes – Correction to 5.7 Strike out “The event banner is ready to be erected”. 4. Disclosures of Pecuniary Interest and the General Nature Thereof No disclosures of pecuniary interest were declared 5. General Business and Reports 5.1 Bentley’s Bentley’s has been secured for the month of June. Volunteers will be selling souvenirs every Saturday in June, from 10 am – 4:00 pm. Committee Members will run the store on Thursday evenings. To be discussed in more detail at next meeting. 5.2 Volunteers There are currently 2 volunteers who will be selling souvenirs from 10am-4pm in Bentley’s. A cash float box will be provided by the Committee. Volunteers from the Lion’s Club have been secured to unload and load the band truck as and help with the stage set up. Volunteers are needed for the Kid’s Zone and the Paw Patrol adult costume. There are 2 student volunteers secured to help during the event. More details be discussed at next meeting. 5.3 T-Go Bus The Committee has enough funds to run a monthly advertising campaign for the month of June on both the T-go, and the Inter-County Go buses. Page 301 of 319 Tillsonburg 150 Ad Hoc Committee Minutes, May 17, 2022 Page 3 of 4 Committee Members were in agreement to have an ad on both buses for the entire month of June. 5.4 Tillsonburg 150 Events Review & Implementation Applications for the full day events need to be handed in to Margaret Puhr as soon as possible. The parade has been cancelled. The gun salute has been cancelled due to Covid precautions. The Chair will try to have the fly over happen at 12:20pm to have it coincide with the Legion’s Flag Ceremony. Souvenirs are to arrive in early June. They include the wine tumbler, soft cover journal, keychain, pub glass, and camper mug. Town logo frisbees have been ordered and will be given out as prizes. Red and white balloons have been ordered with the Town’s logo. Members discussed decreasing the prices of souvenirs for customers to cost. The general consensus was to sell souvenirs at cost plus tax, rounding up to the nearest dollar. Packaging and wrapping for souvenirs will be discussed at next meeting. An order of 1000 wooden nickels was recommended for giveaways. Committee members agreed to order the 1000 wooden nickels. Committee members are gathering sizes of the volunteer t-shirts and will be confirmed at next meeting. Bookmarks with the schedule of events was also recommended and will be discussed at next meeting. Banners for Broadway St. are designed. Town is waiting for second quote as required before proceeding. The posters for storefronts are completed and are Page 302 of 319 Tillsonburg 150 Ad Hoc Committee Minutes, May 17, 2022 Page 4 of 4 being distributed across town. Save the date cards should be delivered with the next paper route. The time capsule is being engraved and should be completed by this weekend. Pictures will be taken for social media and the Town’s website. There will be a 3pm dedication to the Town regarding The Tillsonburg Lions Memorial Tree Grove. 6. Next Meeting June 7, 2022 at 4:30 pm. 7. Adjournment Resolution #2 Moved by: Courtney Booth Seconded by: Aleksandra Webber THAT the May 17, 2022 Tillsonburg 150 Ad-Hoc Committee meeting be adjourned at 5:10pm. Carried Page 303 of 319 Page 1 of 3   The Corporation of the Town of Tillsonburg Tillsonburg Airport Advisory Committee May 26, 2022 5:30 p.m. Electronic Meeting MINUTES Present: Mark Renaud, Councillor Gilvesy, Emily Crombez, Jeff Miller, Dan Cameron, Euclid Benoit. Absent with Regrets: David Brandon, Jeff Dean, Valerie Durston, Mayor Molnar. Also Present: Carlos Reyes, Director of Operations and Development Richard Sparham, Manager of Public Works Eric Duffy, Airport Manager Tracy Hird, Public Works Co-ordinator 1) Call to Order The meeting was called to order at 5:30 p.m. Chair declared that there is a quorum for this meeting. 2) Adoption of Agenda Resolution #1 Moved by: Emily Crombez Seconded by: Dan Cameron THAT the Agenda as prepared for the, May 26th, 2022 meeting be adopted. Carried 3) Minutes of the Previous Meeting Resolution #2 Moved by: Councillor Gilvesy Seconded by: Euclid Benoit Page 304 of 319 Page 2 of 3   THAT the Minutes of the Tillsonburg Airport Advisory Committee meeting dated April 21st, 2022 be approved. Carried 4) Disclosures of Pecuniary Interest and the General Nature Thereof There were no disclosures of pecuniary interest declared. 5) Committee to Continue Meeting Virtually Proposed Resolution #3 Moved by: Euclid Benoit Seconded by: Dan Cameron THAT the Tillsonburg Airport Advisory Committee will take a resolution to Council to continue meeting virtually. Carried 6) General Business and Reports a) Hangar Updates – Staff  No new movement on hangar development. All current delays are Contractor related.  Staff shared the new development map that the Engineering Department is working on. It is currently a work in progress. b) Master Plan Update – Staff i) Update on Hydro Supply  Staff has forwarded everything to ERTH and is waiting on a response.  The committee has asked that once ERTH reports back that staff create a report for future information.  The hydro supply for the fence will come in from the road. ii) Taxiway Construction Update  The taxiway pavement surface can now be used, however, there is still surveying taking place.  Full completion is anticipated by the end of next week. iii) Airport Fence and Gate Installation  Work will commence in the next couple of weeks when the other Contractors are finished.  Fence and Gate Contractor – Hudson Entry & Automation.  The gate will have a FOB system. Page 305 of 319 Page 3 of 3   iv) End of Runway Trees – Staff  Staff met last Friday to come up with a plan.  Committee recommends that Engineering stake out the property lines.  Engineering to provide a better map to figure out what size of trees will be removed.  Staff will provide a timeline as soon as possible. c. Safety Spreadsheet – Staff  Ben Nichols, Health & Safety Coordinator completed a Health and Safety Inspection at the Airport. Staff received a report that they are currently working though. d. Fuel Sales and Airport Movement - Staff  Fuel sale totals and airport movement stats were sent out to the group through a separate email. Very positive numbers were reported.  In the future, monthly reports will be accessed through a link where committee members can view the numbers at any time. 7) Other Business  Staff updated the committee that the large agricultural mower has been returned. The same Trackless Vehicle equipment will be used this season as in the past. In the future, staff will investigate to find a better solution that does not damage the runway.  Runway 0220 is in really bad shape. The water issues at the South end are still an issue. Staff advised that the runway has been rolled once this year. Staff will investigate the drainage issue. It was suggested that they give David Stevens Drainage a call as they should have some information.   8) Next Meeting June 23rd, 2022 at 5:30 p.m. Note: The committee will not be meeting in July. 9) Adjournment Resolution #4 Moved by: Jeff Miller Seconded by: Emily Crombez THAT the May 26th, 2022, Tillsonburg Airport Advisory Committee meeting be adjourned at 6:15 p.m. Carried Page 306 of 319 Culture, Heritage & Special Awards Advisory Committee, June 1, 2022 Page 1 of 4 The Corporation of the Town of Tillsonburg Cultural, Heritage & Special Awards Committee June 1, 2022 4:30 p.m Council Chambers MINUTES Present: Chair-Carrie Lewis Courtney Booth, Nisha Khan, Councillor Penny Esseltine, Jason Pankratz, Rosemary Dean Absent with Regrets: Tabitha Verbuyst Staff Present: Patty Phelps- Culture and Heritage Manager/Curator Gina Armand-Records & Legislative Coordinator 1. Call to Order The meeting was called to order at 4:30pm by Chair-Carrie Lewis. 2. Adoption of Agenda Resolution #1 Moved by: Courtney Booth Seconded by: Rosemary Dean  THAT the Agenda as amended for the Culture, Heritage and Special Awards Advisory Committee meeting of June 1, 2022, be adopted. Page 307 of 319 Culture, Heritage & Special Awards Advisory Committee, June 1, 2022 Page 2 of 4 Carried.  3. Previous Minutes Committee Minutes No errors or omissions 4. Disclosures of Pecuniary Interest and the General Nature Thereof No disclosures of Pecuniary Interest were disclosed. 5. Closed Session Resolution #2 Moved by: Jason Pankratz Seconded by: Nisha Khan THAT the Culture, Heritage and Special Awards Advisory Committee move into Closed Session to consider a personal matter about identifiable individuals, including municipal or local board employees; under Section 239 (2)(b) of the Municipal Act. 5.1. Adoption of the Closed Session Agenda 5.2. Disclosures of Pecuniary Interest and the General Nature Thereof 5.3. Closed Session Items 5.3.1. Section 239 (2) (b) personal matters about identifiable individuals, including municipal or local board employees; Carried 6. General Business & Reports The Committee would like to thank Collette Takacs for her hard work and dedication on the Committee thus far as she has stepped away from the Committee for personal reasons. The Committee Members wish Collette all the best. Committee Members were updated on the progress from the Tillsonburg 150 Committee. T-shirts are free to staff provided they order via the link in email. Souvenirs are available to purchase at the Museum and will be sold at cost. Souvenirs not sold, will be brought to the 150 event to sell on July 1st. Page 308 of 319 Culture, Heritage & Special Awards Advisory Committee, June 1, 2022 Page 3 of 4 Members were updated on the time capsule event that will take place on July 1st. Posters and information was provided to all members. Members discussed and decided to purchase a keychain to add to the time capsule on behalf of the Culture, Heritage, and Special Awards Committee. Information was also provided on the High Tea event. Public are welcome to attend between 10am-2pm. Tillsonburg`s Town Crier will be featured doing her cry on CBC Morning News on June 2, 2022. 6.1. Heritage Listings Committee Chair advised the Members that the Heritage Listings have all been sent to the museum for proof reading. The goal is to have the listings ready for approval before the end of this term. Committee Members agreed to hold an additional committee meeting on August 10, 2022 from 4:30pm – 5:30pm to discuss further. 6.2. Grant Application submitted by Ben Andress which requests funds to support Forge Fest. (Attached) Resolution #3 Moved by: Jason Pankratz Seconded by: Courtney Booth  THAT the Cultural, Heritage and Special Awards Advisory Committee approve the Cultural Grant Application submitted by Ben Andress which requests funds to support Forge Fest AND THAT staff notify the applicant of the Committee’s decision and to provide information regarding the applicant’s responsibilities according to the Cultural Grant Guidelines; AND THAT staff forward the Cultural Grant in the amount of $1,100 to Forge Fest. Carried A fly cheque was discussed and will be requested by Liaison to Finance as soon as possible. Page 309 of 319 Culture, Heritage & Special Awards Advisory Committee, June 1, 2022 Page 4 of 4 6.3. Vote for Vice Chair of Committee Committee Members discussed having a Vice Chair appointed should the Chair fall ill or be unable to attend a meeting. A Motion was passed. Resolution #4 Moved by: Carrie Lewis Seconded by: Rosemary Dean THAT Jason Pankratz be the new appointed Vice Chair for the Culture, Heritage and Special Awards Advisory Committee Carried 7. Next Meeting Wednesday, August 10, 2022 at 4:30 p.m.  8. Adjournment Resolution #5 Moved by: Rosemary Dean Seconded by: Nisha Khan  THAT the June 1, 2022 Culture, Heritage and Special Awards Advisory Committee meeting be adjourned at 5:26 p.m. Page 310 of 319 Page 1 of 3 The Corporation of the Town of Tillsonburg Recreation & Sports Advisory Committee June 6, 2022 5:30 p.m. Council Chambers MINUTES Present: Taylor Campbell, Scott Gooding, Chris Parker, Carrie Lewis, Christian Devlin Absent with Regrets: Kim Sage, Susie Wray Staff Present: Andrea Greenway, Margaret Puhr 1. Call to Order The meeting was called to order at 5:32p.m. 2. Adoption of Agenda Resolution #1 Moved by: Carrie Lewis Seconded by: Taylor Campbell THAT the Agenda as prepared for the Recreation & Sports Advisory Committee meeting of June 6, 2022, be adopted. Carried 3. Minutes of the Previous Meeting 4. Disclosures of Pecuniary Interest and the General Nature Thereof There were no disclosures of pecuniary interest declared. Page 311 of 319 Page 2 of 3 5. General Business and Reports 5.1. Hall of Fame update – changes made by Andrea were circulated, and approved, therefore it will be adopted and process will be started. Andrea will start putting notifications on the town page in the newspaper and the website. Forms will be available at the community centre and possibly on the website. 5.2. General discussion – Chris reached to by-law regarding the horse waste on the trail, the animal control by-law would cover it if the person was seen when it happens, with the size of the by-law team it is not easily accomplished. They will be on the lookout. Scott would like to see some regular weekly cleaning of the tennis courts, leaves, needles etc., as they are a slip hazard. Andrea will discuss with parks manager. Christian would like the large rocks at Annandale diamonds moved to expand the parking lot. This was also discussed as a spot for playground. Chris did not see the need to do that and the playground is a future consideration as there is not one nearby. Christian wondered if the parks signs will in the future be replaced with more durable materials. Chris noted that this issue has not been discussed, but could be in the future. Chris would like to start locking the portable toilets at Annandale diamonds to prevent them from being used for drug injections. This is a growing issue throughout town. Andrea gave an update on the Clerks department meeting with Chairs and Staff Liaisons. Issues discussed were: terms of references; in-person vs virtual meetings; member commitment to the committee attendance and work; role of committees being not in a role to direct staff or assign staff tasks; AODA training for committee members to be done in person; refresher training to all members halfway through term; discussion on cross-over among some committees; maximum number of members in order to be effective; recognition of committee members. Clerks department will be sending an email looking for feedback from all members. Recruitment for new term will be starting in September. Page 312 of 319 Page 3 of 3 6. Next Meeting July 6 at 5:30p.m., Council Chambers. 7. Adjournment Resolution #2 Moved by: Scott Gooding Seconded by: Christian Devlin THAT the June 6, 2022 Recreation & Sports Advisory Committee meeting be adjourned at 6:15p.m. Carried Please contact the Staff Liaison listed below to gain access to this electronic meeting: Contact Margaret Puhr mpuhr@tillsonburg.ca 519-688-3009 ext.4202 Page 313 of 319 FULL AUTHORITY COMMITTEE MEMBERS Dave Beres, Robert Chambers, Kristal Chopp, Michael Columbus, Valerie Donnell, Ken Hewitt, Tom Masschaele, Stewart Patterson, Ian Rabbitts, John Scholten, Peter Ypma - 1 - LONG POINT REGION CONSERVATION AUTHORITY Board of Directors Virtual Meeting Minutes of May 4, 2022 Approved June 1, 2022 The Board of Directors Meeting was held via videoconference, on Wednesday, May 4, 2022, pursuant to section C.9, of the LPRCA’s Administrative By-Law. Members in attendance: John Scholten, Chair Township of Norwich Michael Columbus, Vice-Chair Norfolk County Dave Beres Town of Tillsonburg Robert Chambers County of Brant Valerie Donnell Municipality of Bayham/Township of Malahide Tom Masschaele Norfolk County Stewart Patterson Haldimand County Ian Rabbitts Norfolk County Peter Ypma Township of South-West Oxford Regrets: Kristal Chopp Norfolk County Ken Hewitt Haldimand County Staff in attendance: Judy Maxwell, General Manager Aaron LeDuc, Manager of Corporate Services Lorrie Minshall, Special Projects Zachary Cox, Marketing Coordinator Dana McLachlan, Executive Assistant 1. Welcome and Call to Order The chair called the meeting to order at 6:30 p.m., Wednesday, May 4, 2022. The Chair notified the members that Ken Hewitt will be running as a candidate for Haldimand-Norfolk in the upcoming provincial election. Therefore, he is stepping away from the LPRCA Board until further notice, pending the outcome of the election. 2. Additional Agenda Items There were no additional agenda items. 3. Declaration of Conflicts of Interest None were declared. Page 314 of 319 FULL AUTHORITY COMMITTEE MEMBERS Dave Beres, Robert Chambers, Kristal Chopp, Michael Columbus, Valerie Donnell, Ken Hewitt, Tom Masschaele, Stewart Patterson, Ian Rabbitts, John Scholten, Peter Ypma - 2 - 4. Minutes of the Previous Meeting a) Board of Directors Meeting of April 6, 2022 There were no questions or comments. A-48/22 Moved by T. Masschaele Seconded by D. Beres THAT the minutes of the LPRCA Board of Directors Meeting held April 6, 2022 be adopted as circulated. CARRIED 5. Business Arising There was no business arising from the previous minutes. 6. Review of Committee Minutes There were no Committee Minutes presented. 7. Correspondence a) Paul De Cloet – Thank you b) Ken Hewitt – Election Ken Hewitt’s email regarding stepping away from LPRCA board duties was included as an additional item of correspondence. A-49/22 Moved by R. Chambers Seconded by P. Ypma THAT the correspondence outlined in the Board of Director’s Agenda of May 4, 2022 with additions be received as information. CARRIED 8. Development Applications a) Section 28 Regulations Approved Permits Through the General Manager’s delegating authority, 18 applications were approved in the past month, LPRCA-66/22, LPRCA-68/22, LPRCA-69/22, LPRCA-70/22, LPRCA- 71/22, LPRCA-72/22, LPRCA-73/22, LPRCA-75/22, LPRCA-76/22, LPRCA-77/22, LPRCA-78/22, LPRCA-80/22, LPRCA-81/22, LPRCA-82/22, LPRCA-83/22, LPRCA- 84/22, LPRCA-87/22, and LPRCA-88/22. Page 315 of 319 FULL AUTHORITY COMMITTEE MEMBERS Dave Beres, Robert Chambers, Kristal Chopp, Michael Columbus, Valerie Donnell, Ken Hewitt, Tom Masschaele, Stewart Patterson, Ian Rabbitts, John Scholten, Peter Ypma - 3 - All of the staff-approved applications met the requirements as set out in Section 28 of the Conservation Authorities Act. A-50/22 Moved by M. Columbus Seconded by V. Donnell THAT the LPRCA Board of Directors receives the Staff Approved Section 28 Regulations Approved Permits report as information. CARRIED b) New Business a) General Manager’s Report The General Manager provided an overview of operations this past month. The General Manager and Vice-Chair attended the Conservation Ontario Annual General Meeting, held virtually on April 11, 2022. Alan Revill, Cataraqui Region Conservation Authority, was elected as Conservation Ontario Chair, and Alan Dale, Upper Thames River Conservation Authority, was elected as Conservation Ontario Vice-Chair for 2022. The Province released the Phase 2 Regulations defining rules for the 2024 budget discussions. Staff is reviewing the regulations and a report will be brought back to the board with further details. The parks and campgrounds opened on May 1 and seasonal sites continue to be filled. Tree planting is ongoing but has been delayed somewhat by rain. A-51/22 Moved by P. Ypma Seconded by S. Patterson That the LPRCA Board of Directors receives the General Manager’s Report for April 2022 as information. CARRIED b) Q1 Financial Report – March 31, 2022 The Manager of Corporate Services reviewed the financials up to and including March 31, 2022. Revenues to date represent 26.6% of the annual budget and expenditures 15.1%. Planning revenues are $128,007 and are in line with the previous year. Forestry revenues are currently $195,175 and are projected to meet target. Page 316 of 319 FULL AUTHORITY COMMITTEE MEMBERS Dave Beres, Robert Chambers, Kristal Chopp, Michael Columbus, Valerie Donnell, Ken Hewitt, Tom Masschaele, Stewart Patterson, Ian Rabbitts, John Scholten, Peter Ypma - 4 - To date, 396 seasonal campsites have been paid and seasonal camping revenues are projected to meet or exceed budget. Overall, the Authority is in a positive financial position up to, and including, March 31, 2022. A-52/22 Moved by T. Masschaele Seconded by I. Rabbitts THAT the LPRCA Board of Directors receives the Q1 Financial Report – March 31, 2022 for the period up to and including March 31st, 2022 as information. CARRIED c) Authorization Federal Funding Agreement In July 2021, staff submitted a federal grant application to help fund the Backus Revitalization Project. The grant was approved for $143,250 in March 2022. To fully execute the agreement, a Board resolution of authorization was required. To date, $242,091 has been raised, including this grant funding, toward the estimated project cost of $250,000. A-53/22 Moved by P. Ypma Seconded by V. Donnell THAT the LPRCA Board of Directors pass a resolution to authorize execution of the funding agreement with the Federal Government for eligible funding totaling $143,250. CARRIED Adjournment The Chair adjourned the meeting at 6:55 p.m. _______________________________ ________________________________ John Scholten Judy Maxwell Chair General Manager/Secretary-Treasurer /dm Page 317 of 319 THE CORPORATION OF THE TOWN OF TILLSONBURG BY-LAW NUMBER 2022-____ A by-law to authorize the execution of an agreement of Purchase and sale with Tillsonburg Properties for Community Living for the Alley Lands located between 6 John Street and 8 John Street and to be described by a new reference plan and to close a portion of the said lands. WHERAS the Corporation of the Town of Tillsonburg deems it necessary and expedient to enter into an agreement of purchase and sale of those lands described as Alley Lands located between 6 John Street and 8 John Street to be described by a new reference plan. WHEREAS pursuant to Section 8 of the Municipal Act, 2001, C. 25, a municipality has the capacity, rights, powers and privileges of a natural person for the purpose of exercising its authority under this or any other Act; THEREFORE the Council of the Town of Tillsonburg enacts as follows: 1. THAT the Agreement of Purchase and Sale attached hereto as Schedule A forms part of this by-law; 2. That the Mayor and Clerk be hereby authorized to execute the Agreement of Purchase and Sale on behalf of the Corporation of the Town of Tillsonburg; and 3. THAT a portion of the Alley Lands located between 6 John Street (Lot 606, Plan 500) and 8 John Street (Lot 607, Plan 500), in the Town of Tillsonburg, County of Oxford, as indicated on Schedule "A" attached, is hereby closed. 4. AND THAT this By-Law shall come into full force and effect on the day of passing. READ A FIRST AND SECOND TIME THIS 16th DAY OF JUNE 2022. READ A THIRD AND FINAL TIME AND PASSED THIS 16th DAY OF JUNE, 2022. _______________________ MAYOR – Stephen Molnar ________________________ CLERK – Michelle Smibert Page 318 of 319 THE CORPORATION OF THE TOWN OF TILLSONBURG BY-LAW 2022-042 A by-law to confirm the proceedings of Council at its meeting held on June 16, 2022. WHEREAS Section 5 (1) of the Municipal Act, 2001, as amended, provides that the powers of a municipal corporation shall be exercised by its council; AND WHEREAS Section 5 (3) of the Municipal Act, 2001, as amended, provides that municipal powers shall be exercised by by-law; AND WHEREAS it is deemed expedient that the proceedings of the Council of the Town of Tillsonburg at this meeting be confirmed and adopted by by-law; BE IT THEREFORE ENACTED by the Council of the Corporation of the Town of Tillsonburg as follows: 1.All actions of the Council of The Corporation of the Town of Tillsonburg at its meeting held on June 16, 2022, 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.That this By-Law shall come into force and take effect on the date it is passed. READ A FIRST AND SECOND TIME THIS 16TH DAY OF JUNE, 2022. READ A THIRD AND FINAL TIME AND PASSED THIS 16TH DAY OF JUNE, 2022. _______________________________ MAYOR – Stephen Molnar _______________________________ CLERK – Michelle Smibert Page 319 of 319