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2011-01-10_Agenda Packet--Dossier de l'ordre du jourCity of Saint John Common Council Meeting Monday, January 10, 2011 Regular Meeting 1. Call to Order — Prayer 5:00 p.m. Council Chamber 2. Approval of Minutes 3. Adoption of Agenda 3.1 City Manager: Emergency Purchase of Used Fire Apparatus 3.2 Leisure Services Proposed 2011 Budget 3.3 2011 General Fund Operating Budget Discussions REPORT TO COMMON COUNCIL s� COMMITTEE OF THE WHOLE City of Saint John 5 January 2011 His Worship Ivan Court and Members of Common Council Your Worship and Councillors: SUBJECT: Emergency Purchase of Used Fire Apparatus BACKGROUND: Council, at a regularly scheduled open session meeting in November 2010, adopted a resolution authorizing the Purchasing Agent to seek out and negotiate the purchase of a used fire apparatus and the subsequent expenditure of unbudgeted funds, up to $500,000.00 to cover the cost of same. It was reported at the time that the 100 foot reserve aerial truck, employed by the Saint John Fire Department, was no longer considered safe for the job it is required to do. Concern for public safety and the City's ability to respond with the necessary tools to battle a fire would be compromised until such time as a replacement apparatus could be acquired. ANALYSIS: Staffs of Materials and Fleet Management and Saint John Fire Department have worked diligently in their attempts to locate a suitable vehicle that meets the needs of the Fire Department, within the funding parameters approved. While several trucks came close in specifications or cost only 1 has been found to meet both requirements. The Anderson Township, Cincinnati, Ohio has a 1997 Rosenbauer chassis c/w with an HME Aluminum tilt cab and 109 foot R.K. Aerial Ladder. In addition it has a 500 gal water tank and pump, and a 5000 watt Honda generator. This truck was a front line responder until 2005 (8years) and has been in reserve for the past 5 years. Page Two The Anderson Township has accepted a conditional offer from the City of Saint John to purchase this apparatus at a cost of $150,000.00. The conditions of the sale are; 1) that it passes inspection by a staff officer from the Saint John Fire Department and the City's top fire apparatus mechanic and 2) Common Council gives approval for the purchase from the Anderson Township. Given the urgency of this need, the staff persons referred to above will be on site to inspect this apparatus on Monday January l0a' and will, pending the successful outcome of their inspection, standby with intentions of returning with the truck subsequent to Council's approval for the expenditure of the required funds. FINANCIAL IMPLICATIONS: As indicated in the report previously approved by Common Council, this is an unplanned, emergency situation and as such funds to cover the cost were not identified, nor included, in the 2010 Budgets. Should Council accept the staff recommendation to purchase this apparatus the necessary cost will include the purchase price of $150,000.00 in U.S. Funds, self accessed sales tax of 13% - less applicable rebates, the cost to cover the conversion of the speedometer and other gauges to meet Canadian Standards, as per legislation and the cost to convert as necessary, pump and hose attachments to meet City of Saint John standards for compatibility. Estimated total cost will be approximately $175,000.00 Canadian. RECOMMENDATION: It is recommended that Council authorize the Purchasing Agent to complete the negotiations with the Anderson Township for the purchase of their 1997 Rosenbauer, 109 foot aerial on an as is, where is bases for the purchase price of $150,000.00 in U.S. funds and further that Council authorize the expenditure of the funds necessary to purchase this apparatus and to put it into service with the Saint John Fire Department. Respectfully submitted, (j g,— David J. Logan Pu c ing ick Woods Cr Manager D D @ 1, �. --e Leisure Services SAINT JOHN Services des lolsirs Ah Administration Sport & Recreation Facilities Service & AM ��Ah Commissioner Parks & City Landscape Service Ab Recreation Programming & Neighbourhood Improvement Capital Program Support Service Service Areas 0 Recreation Programming &Neighbourhood Improvement Support Service Sport &Recreation Facilities Service Parks &City Landscape Service Recreation Programming & Neighbourhood Improvement Support Service Sub - services • Neighbourhood Support • Community Centre Programming • Recreation Programming • Facility Bookings and Scheduling • Positive Recreation Opportunities for Kids (P.R.O. Kids) Service Drivers • Council priorities • Partnership opportunities • P.R.O. Kids • Demographics of community • Diversity of needs of neighbourhoods • Youth participation • Level of funding Staffing Two managers —Six full time coordinators —One administrative assistant — 26 sessional staff (community centres) — 30 summer playground leaders — Budget $863,023 (salaries &benefits) Focus Areas &New Initiatives • Proposed recreation master plan (capital) • Maintain summer playground program • Increase opportunities for adults and seniors • Work with community partners to continue to support special events each year (19 events in 2010) • Community centres • Neighbourhood development • Volunteer recognition event • Fees &charges review /ice allocation policy Proposed Budget for 2011 • Recreation &Neighbourhood Improvement $2,.039,,619 (includes) — Minor Hockey Subsidy $177,000 — Aquatic Clubs $15,361 — Boys and Girls Club $117,500 — Recreation Community Groups $36,000 — HOPE Centre $45,000 — Mispec Park $32,000 — YMCA Operations of FGCC /MCC $78,000 — Lifeguard Service (4 beaches) $118,000 — Pro Kids $100,500 — Neighbourhood Development $150,000 (not included) POSITIVE RECREATION OPPORTUNITIES FOR KICKS P.R.O. Kids • Growing since 2001 • 921 kids placed in 2010 • Anticipate over 1,000 kids in 2011 • Break even program • Admin costs shared among 4 municipalities (regional program) • Potentially 8,000 children qualify • Expanded budget for 2011 Proposed Budget for 2011 • 2011 Budget $100,500 • Increase by $22,183 • Budget includes: — 1 contracted management position — 1 co -op student — marketing, printing, etc. • Funds raised in 2010 - $180.1000 • All raised money goes directly to placing youth in a wide range of programs Sport &Recreation Facilities Service Sub - services • Arena Maintenance • Sports Field Maintenance • Recreational Facility Maintenance • Special Event Support • Capital Program Management Service Drivers • Ability to access capital funding • Council's priorities • Environmental issues affect maintenance requirements • Changing demographics • Service expectations are based on availability of facilities during prime time • Levels of funding • Change in facility inventory impact on resource levels Facilities — 72 playgrounds inspected weekly and maintenance carried out as needed — 16 tennis courts are maintained at 6 locations — 30 baseball /softball fields maintained at 25 locations — 7 multi -use fields (football, soccer, field hockey) — 4 City owned arenas & 1 outdoor artificial ice surface (Rainbow Park) — Station 1 Skatepark — 2 splash pads — 6 public beaches Staffing —One manager —One foreman —19 parks staff —18 casual staff — Budget $1,810,284 (salaries &benefits) Focus Areas &New Initiatives • Proposed recreation master plan (capital) • Develop operational plans to enhance scheduling and maintenance of sport and recreation facilities • Proposed fee for advertising space in arenas in 2011 • Comprehensive turf management program • Develop and update joint use agreements with School District 8 • Contact information posted at all facilities • Front line staff are more identifiable by the public Proposed Budget for 2011 • Sport, recreation &facilities service $2,904,195 Parks& City Landscape Service Sub - services • Parks &Open Space Maintenance • Urban Forestry • Rockwood Park Service Drivers • Council's priorities • Costs affected by vandalism • Funding for urban forestry needs to reflect tree planting requirements • Increased public demand for community parks, trails and maintenance standards • Restrictions of pesticide use • Climate change, weather patterns, air quality affects plants used • Large geographic area • Challenge in hiring qualified staff • Aging work force impacts labour intensive work • Level of funding Parks &Green Space — 15 regional parks — 13 community/ neighbourhood parks — 25 km. of maintained trails (3.5 km. Harbour Passage) — 907 ha. of green space — 54 ha. grass mowed — 6 tourist sites — Over 14,000 street trees — 70,000 annuals planted — Marigolds on Main Street — Rockwood Park (1,100 ha.) Staffing — Two managers — One foreman — 11 parks staff — 30 casual staff — Budget $1,518,852 (salaries &benefits) Focus Areas &New Initiatives • Proposed recreation master plan (capital) • Greater focus on core service responsibilities • Align operational needs with requests for funding • Develop maintenance standards for green spaces • Recruit and retain staff that reflect service needs • Develop partnership agreements for shared green space • Provide greater input on green space design and development • Identify locations for storage facilities across the city • Support neighbourhood / community development initiatives • Enhance IPM program • Plant 300 trees (capital dependent) • Investigate adopting a tree bylaw Rockwood Park • Over $10 million capital investment • Park interpretation /education • Environmental sustainability • Outdoor recreation, special event management • Update Rockwood Park 1986 Master Plan • Dedicate professional resources with full time park manager Rockwood Park uu - Lily Proposed Budget for 2011 • Parks &city landscape service $2,506,812 — Includes Rockwood Park budget $498,465 0 Proposed Budget Summary Recreation & Neighbourhood Support $2,039,691 Sport & Recreation Facilities $2.,904,195 City Parks & Landscape $2,506,812 Total $7,450,698 2011— 3% increase: — Same service level as 2010 Capital Budget 2011 Proposed Capital Budget • 1. Master Plan for Recreation - $100,000. • 2. Market Place West - $2,000,000. • 3. Rockwood Park - $800,000. • 4. Shamrock Park Trails - $225,000. • 5. Flemming Court Playground - $90,000 • 6. Street Trees - $55,000. • 7. Rainbow Park - $60.1000. • Total: $3,330,000 Recreation Master Plan • IFP Inventory completed in 2010 — Background study for Plan SJ & RIVIP • Rationalize &right -size inventory • Identify gaps in programs &services • Community engagement • Alignment with Plan SJ • Create a community supported policy document k Market Place West PORTAUTHORITY PATE LAND 6 LFNN W (;Rour V la F;j CONCEPTUAL MASTER PLAN Sp,16.2010 Rockwood Park • Enhancement to Lily Lake duck pond • Relocation of campground entrance • Design work for phase 3 Shamrock Park Trails IVJLVLJ�!Jjj3�jjj .rj-jjjz; nl V"I.d D 51 IShamrock Park Master Plan Draft Concept December 2008 1 t'J J ,r E5 mill rj A-31t.", N-- SL VIn6Ha St Flemming Court Playground DECORATIVE PEDESTRIAN LIGHTS COLORED COMCRETE SIDEWALK CONCEPT PLAN PICNIC TABLE I� TRASH CAN ... SERVICE B411LDlkG FOR Evos Play Structure -. SPLASH PAD PARR SIGN II Y y M. PMM FN 6 CO U R-T PAM December 2007 Street Trees • 346 trees planted in 2010 throughout the city • 300 proposed in 2011 ti Rainbow Park Thank You -•t Leisure Services SAINT JOHN S ervices des loislIrs REPORT TO COMMON COUNCIL 7 January 2011 His Worship Ivan Court and Members of Common Council Your Worship and Councillors: SUBJECT: 2011 Operating Budget w ". ' ��C 1 r , The attached documents will be used as the basis for a discussion with Common Council on the direction of the 2011 Budget. The attachments include a decision matrix, a revenue summary, an expenditure summary and a proposed budget framework. Some additional documentation will be provided at the Monday meeting. At the time of writing this report a shortfall of approximately $1.0M remains to be identified in order to maintain a stable tax rate. The budget is still a work in progress and the detailed numbers are yet to be finalized. Staff propose to review; • the current status of the budget process (revenues and expenditures) • the nature of our expenditures (fixed vs flexible) and the key restraints • the options available to Council (decision matrix) and attendant risks • a proposed budget framework with planned service objectives Once the budget is finalized the detailed numbers will be presented in the service based format. Respectfully submitted, .rl J trick Woods, CGA C1W MANAGER Shortfall with Pension Deficit $8.2M annually -Shortfall with legislative /regulatory relief $2.25M Tax Rate Increase —1 cent generates +/- $600,000 in new revenue IMPACT COMMENT CM Perspective Raise Taxes Requires 13.6 cent Rate becomes $1.92/100. Not recommended. increase to residential tax Excessive. Negative rate. impact on housing and Need legislative relief commercial development. to avoid major Extreme citizen and increase. business community dissatisfaction. Cut Services Requires major and Taxpayers will continue to Not recommended. permanent service pay current rate and reductions in core receive substantially Citizens would not be services fire, police, reduced services. Fixed receiving full value for works and /or recreation. costs limit flexibility. tax dollars. Relief @ $1.785 Requires approx $2.25M Calculated risk. Assumes Option with some risk. in budget adjustments. the City will be successful Targeted service in obtaining needed City will have to adjust reductions and general pension plan changes. services if cuts to be tightening across the sustainable. board. Cumulative impact. Relief+ 3.75 cents Leaves core service levels Calculated risk. Assumes Option with some risk. intact. Funding for the City will be successful pension shortfall and in obtaining needed Better positions City if increased costs comes pension plan changes. Province does not act from increased taxes. Taxpayers will be on changes as opposed. requested. Relief+ 1.00 cents Maintains core service Calculated Risk. Still Option with some risk. levels and offsets grant requires approx $1.6M in reduction and budget reductions and Recognizes that current assessment cap with provincial support for tax rate cannot be marginal tax increase. pension plan changes. maintained indefinitely with limited revenues and increased costs. Fee for Services Service levels and tax Would require new fees Consider SW for 2012 rate not affected. and /or major fee increases for multiple User fees can exclude services. Solid waste fee is most vulnerable from viable target. services. Still new cost to taxpayers. 07/01/2011 Revenue: Tax Rate 1.785 2011 Projected 2012 Projected 2013 Projected Tax Base 5,861,160,628 2010 Budget Budget Budget Budget 104,621,717 Revenue: Tax Rate 1.785 1.785 1.785 1.785 Tax Base 5,861,160,628 6,096,081,660 6,339,924,926 6,593,521,923 Decision of the Province of New Brunswick Property Tax Revenue: 104,621,717 108,815,058 113,167,660 117,694,366 Non -Tax Revenue: 10,082,189 10,099,571 9,730,554 9,854,304 Unconditional Grant: $ 19,499,823 $ 19,304,825 $ 19,304,825 $ 19,304,825 Decision of the Province of New Brunswick Total Revenue: $ 134,203,729 $ 138,219,454 $ 142,203,039 $ 146,853,495 City of Saint John 1011 Budget Summary Community Enrichment Program: Neighborhood Support and Social Development Service Sport and Recreation Facilities Service: Arts and Culture Service: Heritage Conservation Service: Affordable Housing Service: Public Safety Program: Street Lighting: Emergency Management Service: Public Safety Communication Service: Fire and Rescue Service: Police Service: By -Law Enforcement Service: Inspection and Enforcement Service: Development and Growth Program: Community Planning Service: Tourism Destination Marketing Service: Economic Development Service: Urban Development Service: Industrial Park Development Service: Environment Program: Environment Committee: Solid Waste Management Service: Parks and City Landscape Service: Transportation Program: Parking Service (Administration Support): Roadway Maintenance Service: Sidewalk Maintenance Service: Pedestrian and Traffic Management Service: Stormwater Management Service: Transit Service: Legislative and Corporate Administration Program: Legal Service: Corporate Management Service: Financial Management Service: Purchasing and Materials Management Service: Risk Management Service: Human Resource Management Service: Customer and Employee Communication Service: Information Management Service: Asset Management Service: Fiscal Charges Pension Overall Total: Regulatory Relief Legislative Relief 07/01/2011 2010 Budget 1011 Projected Budget 2012 Projected Budget 2013 Projected Budget 7,467,228 1 7,767,088 1 7,911,574 1 8,260,545 2,768,708 3,096,873 3,161,659 3,200,113 3,476,539 3,410,481 3,508,167 3,618,703 972,028 822,649 804,279 998,811 224,953 417,085 427,468 432,918 25,000 25,000 25,000 25,000 51,631,815 51,947,189 52,610,677 53,707,132 1,000,000 1,070,000 1,113, 000 1,158, 000 320,000 320,000 329,888 340,073 2,231,000 2,096,900 2,087,016 2,108,031 23,568,242 23,680,651 24,015,733 24,746,604 22,672,700 22,899,426 23,128,422 23,359,707 163,000 153,033 157,624 162,353 1,992,212 1,539,400 1,539,242 1,453,414 1,000,705 925,000 925,000 925,000 2,363,872 2,349,264 2,384,782 2,421,283 2,272,360 2,295,139 2,355,593 2,417,861 312,875 316,000 321,000 326,000 6,651,151 6,665,274 6,810,975 6,995,730 4,520 4,520 4,520 4,520 4,233,746 4,113,943 4,181,900 4,292,624 2,412,886 2,546,811 2,624,555 2,698,586 24,879,021 25,657,035 25,891,536 26,650,905 527,817 530,845 539,783 554,334 11, 700, 575 12, 642, 999 12, 777, 282 13, 093, 756 1,750,792 1,599,000 1,615,642 1,652,934 1,567,917 1,646,000 1,607,735 1,647,485 3,321,432 3,203,000 3,265,780 3,338,861 6,010,489 6,035,191 6,080,314 6,358,534 17, 832,126 18, 236, 652 18, 834, 436 19, 347,793 1,617,411 1,651,445 1,645,430 1,663,383 791,307 808,450 826,203 844,355 1,254,789 1,235,219 1,270,490 1,307,005 2,883,735 2,998,617 3,101,449 3,209,053 1,237,789 1,237,525 1,240,158 1,271,421 737,000 603,300 633,465 665,138 1,456,474 1,460,169 1,505,173 1,551,528 527,989 527,426 532,924 538,249 2,250,523 2,384,188 2,684,437 2,711,692 5,075,109 5,330,313 5,394,707 5,585,969 13,067,364 1 14,281,414 18,554,884 20,315,290 4,713, 000 13, 360, 611 12, 023, 510 12, 379, 327 $ 134,203,729 $ 145,340,066 $ 150,173,219 $ 155,210,278 ($3,894,000) ($3,894,000) ($3,894,000) $ 141,446,066 $ 146,279,219 $ 151,316,278 ($2,212,500) ($2,212,500) ($2,212,500) $ 139,233,566 $ 144,066,719 $ 149,103,778 2011 Operating Budget Framework Theme — fulfilling commitments, charting a careful course (completing 2010 capital programs and limiting 2011 capital, complete PlanSJ, stable tax rate, finalizing pension solution -- acknowledge uncertainty about future tax base and grant, capital cost sharing expires,) Foundation — stable tax rate (Council priority), maximize service value by responding to community expectations (roads, drainage, value for money) Financial — City must live within its means today and have prudent plans for the future Freeze Budgets of Common Clerk, Council, Mayor, City Manager for 2011/12 at 2010 level or lower Implement the 1% spending caps on Fire, Police Commission, Transit Commission Provide $2.25M supplementary funding to pension plan (assumes legislative /regulatory changes) All agencies including Regional Facilities, FRSWC to be frozen at 2011 funding levels for 2012/13 Capital budget limited to + / -$7.5M new plus carry over projects Limit new hiring until Organization Reform process is implemented — exceptions - contracts, safety No major purchases of equipment until fleet review completed — exceptions emergency No new funding commitments to be made to third party organizations Committed wage freezes to be incorporated into multi -year planning Tax Rate - $1.785 per $100 Tax Base - $6,096,081,660 Tax Revenue - $108,815,058 Non Tax Revenue - $10,099,571 Unconditional Grant- $19,304,825 Gross Expenditures - $138,219,454 Focus Areas Corporate • Implement Organizational Reform — flatter structure designed to improve effectiveness and decision making and full alignment with Council priorities • Secure Changes to Pension Legislation — financial sustainability and affordability of the plan • Complete Transition to Service Based Budgeting — better decision making, clearer choices • Customer Service Improvement — finalize process review and implement changes • Finn Report — prepare to participate /respond to PNB governance changes • Intergovernmental Affairs— establish position to pursue financial and legislative interests • Ward Meetings— review format and fix dates for community consultations • Fleet Review— complete comprehensive value for money review of fleet services • Purchasing Policy— introduce new purchasing policy to ensure best value achieved Planning and Development • Complete PlanSJ process — adopt the Plan of Growth and Change in February 2011 and then complete the Municipal Plan for final approval by Common Council in early 2012 • Heritage Program Review — Complete a full review of the City's heritage programming to improve service delivery, maximize the relevance of the program to all residents of Saint John, and ensure an appropriate return on the City's investment in the program. • SJ Industrial Parks — further investigation of the development potential of the Lorneville Industrial Site and a Spruce Lake Barge Facility will be the primary activities. SAID will also build on its park beautification and environmental stewardship initiatives in both parks; street trees and landscaping focused. • Development Incentives — To implement a new suite of development incentive programs in 2011 to complement the City's land use planning, housing, and revenue generation objectives. • Fairville Blvd Planning Study — To move forward with the completion of the Fairville Boulevard Planning Study in 2011 to help facilitate the positive transformation of this area into a high quality community commercial area. Included in the study will be land use, urban design and transportation recommendations as well as potential public realm improvements to foster commercial development and growth. • Geographic Information Systems —To transition the City to new GIS software in 2011 to support leading edge data analysis and to provide additional public access to the City's spatial data. Buildings and Inspection Facility Management • Facility Condition Assessment — provide measurement tool for life cycle analysis of City owned buildings and allocating /prioritizing projects for the short and long terms • PSAB requirements - establish methodology and work towards development of inventory of building assets and condition to be used for PSAB reporting and for identifying /prioritizing capital requirements • North End Community Centre— Building Renewal Program Phase 1: Building Addition • Carleton Community Centre — Building Renewal Program Phase 1: Second Floor Renovations • Trade and Convention Centre — secure Provincial and Federal funding for renovation project • Various facilities — ongoing Building Code and accessibility upgrades • Develop terms of "Occupancy Agreement" between the City of Saint John and the Police Commission for the new Police Headquarters 2 City Market • Issue new contract for management of operations; improved customer service, reporting, and accountability; traffic counting and improved analysis of marketing, events and programming; develop historical interpretive program • Ongoing Building code upgrade and preservation program Green Thermal Utility Finalize business case analysis and make decision to proceed or not Pursue funding from other levels of government, such as the Green Municipal Fund Energy Management Energy management projects at various city facilities, resulting in an estimated $260,000 in annual energy savings Pursue funding from other levels of government for major projects /initiatives, such as the Green Municipal Fund for the Police headquarters By -law Enforcement • Target 500 Minimum Property Standards By -law Inspections and 30 formal Notices to Comply • Target 625 Unsightly Premises and Dangerous Buildings By -law Inspections and 8 formal Notices to Comply and remedial action (demolitions) • Secure PNB commitment to implement stronger legislation re: Derelict Buildings Building Inspection • Target 13,500 inspections to protect people and property • Undertake review of Mobile Home Parks By -law • Amendments to the Building By -law to coincide with new Provincial Building Code Act Municipal Operations Municipal Operations and Engineering General Service to the Public - Enhancing service to the public calls for strengthened management of requests brought forward by citizens. Managers and supervisors (foremen) at all levels will give first priority attention to their work order management responsibilities. This will also involve establishment of priority guidelines and benchmarking in 2011 and formal standards for prioritization of job /work orders by 2012. Asset Management - Priority focus on asset management will continue in 2011, with support provided to the City's PSAB initiative. Adequate and sustained investment in infrastructure renewal maximizes the service life of tangible assets and, hence, optimizes return on taxpayer investment. Good asset management helps Councils set aside the right amounts for the right things at the right time. • Workforce Efficiency and Effectiveness - Part of the process in 2011 involves reducing the establishment of Municipal Operations (General Fund) by four operational positions; from 124 outside workers to 120. Those four positions would be transferred to fill a need in Leisure Services and are provided for in that department's budget. Solid Waste Management • 2011- Changes in the solid waste collection model will improve overall cost - effectiveness of the service. The City will also work with the Fundy Region Solid Waste Commission to increase public participation in waste diversion programs (composting and blue bin recycling) —to reduce tipping fee costs to taxpayers. A 2 -bag limit program will be piloted in 2011, with possible wider implementation later in the year. • The Solid Waste By -Law will be updated, with resources assigned to its administration and enforcement. Pedestrian & Traffic Management • 2011 - A comprehensive condition assessment of traffic system assets will be undertaken in 2011 and policy recommendations developed for traffic calming measures and signage. Coordination with the department of Transportation on the Harbour Bridge renewal project will be a priority again in 2011. Sidewalk Maintenance Service • 2011 - The organization and motivation of the winter sidewalk team should provide for enhanced winter service (subject to severity of the season). The maintenance focus for 2011 will be on completing installation of accessible ramps at all crosswalk - sidewalk junction points, reducing trip hazards and responsiveness to requests for service from the public. • A more extensive maintenance program, including assistance from the public, for the expanding inventory of grass medians and roadway green spaces will be pursued. Roadway Maintenance Service • 2011 - asset management programs are being developed for concrete curb and roadway structures (retaining walls and guiderail systems). • Enhancing service to the public will involve prompt response to service requests and ongoing dialogue with citizens. • 2011 Resurfacing - increased investment in asphalt pavements permitting the resurfacing of approximately 42 lane- kilometres of streets, along with annual crack sealing, some chip seal work and micro - surfacing of a selected street. • Curb Renewal - ($100,000) has been built into the budget for curb and sidewalk renewal associated with the paving program. 91 Stormwater Management Service • 2011 - With the video inspection support trailer being equipped over the winter, resources will be in place to deliver a full storm sewer maintenance program. An asset inventory and condition assessment of stormwater systems will form the basis for life -cycle management of stormwater infrastructure. • Development of a stormwater management by -law is also contemplated for 2011. Fire Service • Fire Administration will renegotiate current service agreements and identify "fee for service " options that are linked to sustaining specialty services /programs • Fire Administration.will actively participate in collective bargaining with a goal of achieving a multi -year collective agreement consistent with Council's guidelines • Operational capacity will be further developed in relation to: natural gas, liquefied natural gas and liquid petroleum emergencies • Operational partnerships will be further developed so as to enhance working relationships with industrial partners and neighboring communities and by extension improve operational capacity • Technical Rescue — efforts will be undertaken to close the capability gap in high angle rescue and confined space • Hazardous Materials — expand the delivery of Hazardous Materials service to the Province of New Brunswick broaden close several delivery gaps to expand service coverage • Fire Administration will update its administrative practices so as to comply with Corporate Records Management Policies and achieve further efficiencies • Employee development and skill acquisition — training and professional programs will be delivered through in- service training programs so as to ensure staff maintain and develop skills consistent with the core services of the Fire Department • Further develop video conferencing capabilities to enhance in- service training and reduce operating costs • Implementation of a complete overhaul of the Fire Prevention inspection application program Emergency Measures • Update and complete a community wide HVRA (Hazard Vulnerability and Risk Assessment) • Complete the revision of the Municipal Emergency Management Plan (EMMP) • Introduce and implement a Saint John Emergency Management Advisory Committee so as to broaden community consultation and migrate towards compliance with CSA Z1600 standards. • Broaden the City's Emergency Social Services (ESS) program so as to ensure the vulnerable and special needs of the community are properly addressed • Participate, coordinate and plan emergency exercises aligned to the HVRA (Hazard Vulnerability and Risk Assessment) of the community • Undertake the first phase of the installation of evacuation signage and develop a public education campaign in support of the initiative Leisure Services • Rockwood Park— prepare multi -year operational plan to set direction for programs /services etc • Parks and Playgrounds — rationalize number of installations based on inventory analysis & lifecycle. • Leisure Services Master Plan that will provide a blue print for the next decade. In 2010, a complete inventory of Recreation facilities in SJ was prepared. Now it is important to consult with the public and align our plans with Plan SJ. There will be efficiencies that could significantly impact on future budgets by right sizing our recreation inventory. • Community Centres— negotiate new service agreements to better respond to community needs; improve buildings and programming, more partnerships, city to take higher facilitation role; Develop and update joint use agreements with School District 8 • Increase recreation opportunities for adults and seniors • Work with community partners to continue to support special events each year • Neighbourhood development program to be enhanced • Host a Volunteer recognition event • Develop plans to enhance scheduling and maintenance of sport and recreation facilities • Comprehensive turf management program • Develop maintenance standards for green spaces • Provide greater input on green space design and development • Plant 300 trees (capital dependent); Investigate development of a tree bylaw • Fees & charges review/ ice allocation policy Communications • Insight - (circulation 39,000) 16 pages, 3 times per year (late March, mid -June, mid November). In Sight is a bilingual communication tool delivered to residences within the City boundaries. The publication will also be sent to a stakeholder's list and is available online. • Engage - (circulation 1,200) 8 pages, 16 times per year (bi- monthly). Engage is a communication tool for City employees and is also sent to CSJ retirees via mail, posted on Sharepoint and distributed to employees through internal mail and pay advices. • Website - establish a governance structure to monitor and improve quality and instruction (use and content development) throughout departments. A • Communications Plan - develop a three year internal and external plan. The plan will attempt to incorporate and streamline operational and strategic functions of the department. Plan will include media (traditional and social), advertising, corporate formal design standards and "brand" refinement (signage, collateral, sponsorships and refined logo standards). • Public Engagement - in addition to producing requested ward meetings, investigate other opportunities for public engagement. Finance Financial Reporting • With respect to government financial reporting the CICA through the Public Sector Accounting Board has established the standards that need to be followed. New Brunswick has now mandated that municipalities in New Brunswick become PSAB compliant effective January 1, 2012. In 2011 a cross departmental team is being assembled to enable the City to implement this required reporting format. Corporate Support • The Finance Department provides support services to other departments, agencies, boards, and commissions with respect to budget preparation and budget analysis. Support is also provided with respect such items as collective bargaining, calculation of water rates, contracts, and pension reform. Debt Management • The management of debt can and will have a significant impact on the ability of the City of Saint John to control expenditures as well as plan for capital expenditures. To this end a Debt Management Policy and a related multi -year plan will be developed for consideration and adoption by Common Council. Pension Administration • The City of Saint John provides administrative support to the Pension Plan. A review of these services is required to ensure compliance with the agreement and that the services are adequate to meet the needs of the plan. Service Based Budgeting • Continued support for the implementation of the Service Based budget initiative. Special Projects Support • Provision of analytical support for process change initiatives and /or other special projects 7 Economic Development • Service Level Agreements — institute agreements with Waterfront, Industrial Parks, ESJ, DMO to ensure value for money invested • Destination Marketing Organization — complete strategic plan and position city for future • Waterfront Development — continue aggressive pursuit of development opportunities Human Resources • Lead Negotiations with Local 771 • HR Policy— Introduce a new Policy that reflects contemporary trends in HR • Succession Plan- With anticipated retirements and possible resignations this must be a corporate priority • Job Evaluation —A follow up to our commitment to Management in 2010 • Change Management Training- A responsible action that supports Organizational Reform Common Clerk Information Management • Evaluate /Implement Sharepoint Enterprise Content Management Model to organize currently unmanaged information /records to improve customer service, comply with legislation and reduce risk of liability • Corporate ISO Gap Analysis and Corporate Forms Inventory • Evaluate /Integrate Laserfiche, ESRI and HTE with Sharepoint • Transfer Committee of the Whole Closed Minutes and Supporting documents (1954 -1995) to PNB Archives • Transfer Regular Minutes, paper and electronic, and supporting documents (1975 —1995) • Update Records Management Policy to reflect Information Management and Cloud Technology Right to Information Protection of Privacy (RTIPPA) • Prepare by -law to designate 'head' under the RTIPPA legislation • Prepare Policies and Procedures Manual • Prepare Personal Information Bank - Privacy Gap Analysis • Implement RTIPPA Sharepoint Tracking Module • Create RTIPPA Web presence to uniformly manage requests from public Corporate Planning • Citizen Survey /Advertise — Conducting the third citizen survey (Ipsos Reid) • Customer Service— service process reviews /public consultation requirements /workshop /engagement of consult • Corporate Planning — Planning workshops — service process reviews /accountability reporting • Performance Reporting — Dashboard requirements — development of an internal (planning for public) performance system leveraging Share Point • Service Reviews (VFM) —value for money audits /service reviews City of Saint John 2011 Operating Budget Summary of Grants Saint John Public Library 456,230 Lord Beaverbrook Arena 149,400 UNB 200,000 Imperial Theatre Capital Campaign 25,000 Key Industries 30,000 St. Joseph's Hospital Foundation (ends 2012) 25,000 Enterprise Saint John 413,567 Industrial Parks 316,000 Loch Lomond Community Centre 45,000 Boys & Girls Club 122,400 YMCA 91,000 Lifeguards 118,000 Neighbourhood Development 160,000 Water Front Development 280,000 2,431,597 10/01/2011 Page 2 of 2 City of Saint John 2011 Operating Budget Summary of Committed Expenditures Item Amount Lease City Hall 1,669,537 Market Square Common Area Costs 2,015,139 Regional Facilities Commission 1,528,439 Parking Administration 530,000 Saint John Transit Operating Grant 4,495,561 Fiscal charges 1,539,631 6,035,192 Property assessment fee 1,182,640 City Market 908,226 DMO 925,000 Pension Funding (with relief) 7,077,111 Fiscal charges 14,281,114 Street lighting 1,070,000 Liability Insurance 603,300 Grants (see other side of page) 2,431,597 Contracts in Freeze Period Police 22,889,426 Fire 23,680,651 46,570,077 86,827,372 10/01/2011 Page 1 of 2 City of Saint John Tax Rates 1990-2010 Year Tax Rate 1990 1.580 1991 1.580 1992 1.580 1993 1.580 1994 1.580 1995 1.580 1996 1.580 1997 1.580 1998 1.580 1999 1.725 2000 1.725 2001 1.725 2002 1.725 2003 1.725 2004 1.725 2005 1.795 2006 1.795 2007 1.795 2008 1.795 2009 1.785 2010 1.785 10/01/2011