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2012-02-27_Supplemental Agenda Packet--Dossier de l'ordre du jour supplémentaireCity of Saint John Common Council Meeting Monday, February 27, 2012 Location: Common Council Chamber Supplemental to Agenda 8.1 City of Saint John Development Support Activities and Service Levels Supplemental Report 12.1 Revised 2012 General Fund Capital Budget and Powerpoint Presentation 13.2 Committee of the Whole: Recommended Appointments to Committees 13.3 Committee of the Whole: Appointment of Commissioners 13.4 Committee of the Whole: Appointment of Fire Chief 13.5 Committee of the Whole: Termination — Employee Number 2381 13.6 Committee of the Whole: Water Committee Advice and Support 13.7 Committee of the Whole: Career Transition Funding for Employee Number 2447 13.8 Committee of the Whole: Existing Litigation Ville de Saint John Seance du conseil communal Le lundi 27 fevrier 2012 Lieu: Salle du conseil communal Ordre du jour supplementaire 8.1 Activites de soutien au developpement de la Ville de Saint John et rapport supplementaire sur les niveaux de service 12.1 Presentation Powerpoint sur le budget d'immobilisations du fonds d'administration de 2012 13.2 Comite plenier : Recommandations de nominations pour sieger aux comites 13.3 Comite plenier : Nomination des commissaires 13.4 Comite plenier : Nomination d'un chef du service d'incendie 13.5 Comite plenier : Cessation d'emploi pour 1'employe no 2381 13.6 Comite plenier : Saint John Water — Conseils et soutien 13.7 Comite plenier : Financement de la reorientation professionnelle de 1'employe no 2447 13.8 Comite plenier : Litiges existants R A j • r a. � The City of Saint John SAINT JOHN City of Saint John Development Support Activities & Service Levels Enterprise Saint John, Saint John Development Corporation, Destination Marketing Organization, and Saint John Industrial Parks February 2012 Background The C" of SWnt jolm ■ In June 2011, Council approved the following recommendations from the City of Saint John's Task Force on Economic Development: 1. Strengthen existing economic development model: Improve the link between the City and Enterprise Saint John through the City's proposed economic development role. This proposed role would also coordinate activities for businesses within City Hall. 2. Develop a Service Level Agreement, including Return on Investment metric and reporting processes, aligned with City of Saint John priorities 3. Increase alignment between the City and Enterprise Saint John: A. Clarify Mayor /Council's expectation of Enterprise Saint John Board Appointees on role and interaction B. Improve alignment through a cooperative strategic planning process C. Provide input to the Annual Performance Review process of Enterprise Saint John CEO 4. Apply Governance and alignment recommendations to other boards, agencies, and commissions 1. Coordinate recommendations with City's phased approach to reorganization 2. Review and update appointment process for agencies, boards, and commissions ■ This document is in response to Recommendation #2. It is a comprehensive view of the key agencies performing various economic development activities on the City's behalf, including: • Enterprise Saint John • Saint John Development Corporation ❑ Destination Marketing Organization ❑ Saint John Industrial Parks 2 SAINT JOHN Reporting Process and Timeline The City of Saint John • It is important to note that the Service Levels are new to both the City and to the Agencies, and it is recommended that an ongoing review and development process continue through 2012 • Semi - annual checkpoints should be set up with Council to discuss the content and metrics held within the Service Levels The background and details of the Service Levels should also be reviewed in a separate session with the incoming Council as part of their orientation program following the Spring 2012 election in order to clearly set expectations and make any amendments reflecting the incoming Council's priorities 3 SAINT JOHN Alignment to City Priorities The City of Saint john ■ The Activities and Service Levels included in this document are aligned with: ❑Plan SJ's Economic Prosperity Goals ❑Council Goals !! SAINT JOHN PlanSTs Economic Prosperity Goals The city of Saint John 1. Support the development of a strong, diversified, and resilient economy. 2. Enhance the quality of life and the quality of the urban environment in the City to support economic prosperity. 3. Support the development of the City's economy by attracting new investment to the City and expanding the population and workforce. 4. Identify appropriate locations for a wide range of employment uses that support economic growth while enhancing quality of life in the community. 5. Work cooperatively with the City's economic development partners and all stakeholders in the community to: a. Project a positive image of the City as a place to live and as a place to do business. b. Cultivate an entrepreneurial business spirit to support economic prosperity and community success. C. Create and implement economic development strategies that support the PlanSJ Vision and Directions, strengthen the local economy, and enhance quality of life in the community. d. Increase the attractiveness of the City as a destination for visitors as well as for residents. 5 SAINT JOHN Council Goals The City of saint John To provide a context for its priorities Council has established the following goals: ❑ We are a City that draws people — they want to live here. ❑ We are in the top five of places to live in Canada. ❑ We have revitalized neighbourhoods that are safe, vibrant and attractive. ❑ We have clean, safe drinking water. ❑ We have strategic /coordinated planning, development and maintenance of municipal facilities and infrastructure. ❑ We have City services that are delivered efficiently and effectively at an equitable tax rate. ❑ Our citizens /ratepayers consistently recognize municipal services as being effective at a supportable cost. l_—MM 6 SAINT JOHN Note on the City of Saint John's Updated 2012 Budget The City of Saint John ■ Two of the agencies included in this document, Enterprise Saint John, and Saint John Development Corporation, were impacted by the City of Saint John's 2012 Budget reductions. ■ As such, these agencies were required to amend their original activities and service level documentation to reflect the decrease to their operating budgets, which has resulted in a change in how they deliver economic development services to the City and other stakeholders. Details are included in the following pages. SAINT JOHN Enterprise Saint John Activities and Service Levels for 2012 The City of Saint John City of Saint John Service Overview • Enterprise Saint John is the City of Saint John's Economic Development Agency and together with funding from municipalities of Grand Bay - Westfield, Quispamsis, Rothesay, and St. Martins, the Province of New Brunswick and the Atlantic Canada Opportunities Agency (ACOA), the Agency is responsible for the development and implementation of the region's economic development strategic framework. • Mission Statement: To create an environment for prosperity in the Saint John Community by inspiring and supporting people, ideas and investment. • Key service areas include: ❑ Investment attraction — Central to the Agency's role, investment attraction is a complex and often long term activity. It requires coordination and collaboration with partners in both the public and private sectors to seek out and develop projects that add value to our community. We work closely with InvestNB as the strategic partner responsible for attracting investment opportunities to the province. Enterprise Saint John works strategically to identify domestic and international investment prospects and follow -up on leads that flow directly from our local businesses and entrepreneurs. Using this methodology, the Agency ensures we have strong value propositions to present to potential investors. • Entrepreneur development — Enterprise Saint John provides free and confidential business counselling, training and access to funding to promote new business start ups and business expansions. Programs and services are provided to all residents including youth, immigrants, creative entrepreneurs and people living in poverty. • Business support — Enterprise Saint John proactively reaches out to existing businesses in the Saint John region to explore opportunities for growth, expansion and re- investment as well as helping businesses deal with challenges and threats. • Workforce development — For many existing businesses and potential investors, the retention and recruitment of qualified workers is their biggest challenge. Enterprise Saint John actively works with employers and investment prospects to strengthen their HR efforts by focusing on job retention training, providing labour market information, workforce requirement analyses, targeted recruitment campaigns and community representation at� \,�� indu_ y -s ecific job fairs 8 SAINT JOHN Enterprise Saint John Activities and Service Levels for 2012 The City of Saint John Enterprise Saint John's Strategic Direction and 3 -Year Objectives • Enterprise Saint John is in year two of its three year strategic plan. • Enterprise Saint John's 2012 Work Plan goals are aligned with Council's priorities as reflected in PlanSJ. Within the Work Plan, key goals are indicated for each of the Agency's service functions. • Strategic emphasis is placed on the development of priority growth sectors including: Energy, Advanced Manufacturing, Health & Life Sciences, Information & Communications Technology (ICT) and Tourism. • Corporate goals focus on three strategic areas: 1. Implementation of the region's 2011 — 2013 Economic Development Strategic Framework. 2. Achievement of our Core Services mission to inspire and support innovation, creativity and business investment in the Saint John Community, as measured by improvement in key economic development indicators (i.e. ROI Model and Peer Group Comparisons). 3. Achievement of our workforce development goals. 9 SAINT JOHN Enterprise Saint John aw Key 2011 Activity & Outcome Highlights The City of Saint john Key Accomplishments for 2011 • Provided business counselling, business plan assistance and financing advisory services which led to 28 new entrepreneurial business start ups • Attracted 3 new investment companies • Provided business and financial advice which contributed to the expansion of 5 existing businesses • Led the initiative to have Saint John named one of the world's Smart21 communities • Coordinated integrated strategy to grow the knowledge cluster at Tucker Park • Launched an Energy and Advanced Manufacturing Sector workforce development initiative • Coordinated the investment attraction activities to secure potash mining rights for Millstream • Coordinated a job fair for the contact centre industry with 28 employers to help find employment for 300 displaced workers • Conducted over 800 client counselling sessions • Hosted 220 immigrant investor clients • Hosted 48 investment clients • Recipient of the Saint John Board of Trade's 2011 Chair's Award • Recipient of the Saint John Multicultural and Newcomers Resource Centre's 2011 Outstanding Partnership Award 10 SAINT JOHN Enterprise Saint John Activities and Service Levels for 2012 The city of Saint John Enterprise Saint John Activity & Outcome Summary (see pages 14 -16 for more detail) Overall Economic Coordinate efforts across development agencies $332,000 ROI of 3 times the City's investment Development to align activities in support of PlanSJ *(Total agency funding based on a 3 year rolling average (See _ $1,561,206) pages 12 & 13) Investment Attraction 1. Lead generation $249,225 1. Target is to attract 2 new investment - Attract new investment or 2. Community orientations & site tours companies business expansions in the 3. Prospect counselling (Total investment = 2. Host 18 strategic investment prospects region 4. Prospect networking $686,931) 3. Host 110 potential immigrant investor 5. Develop cluster /sector strategies and lead 1. Increased investment clients investment attraction efforts for Health & Life 2. Increased tax revenue 4. Conduct 18 site tours Sciences, ICT, Energy & Advanced Job creation - direct, Manufacturing indirect & induced 6. Optimize investment opportunities related to 3. Employment Halifax shipyard contract opportunities for youth. 4. Strategic immigrant Entrepreneur 1. Business counselling, training, and retention & attraction $24,400 1.515 client meetings with a goal of 18 Development networking 5. Strengthen the core new business start ups - Assist new business start- 2. Administer SEED financing program 6. Supports business (Total investment = 2. Counsel 15 new immigrant clients to ups or expansions p 3. Run Business Immigrant Mentorship Program growth, development & $265,405 ) support growth target of 4 new 4. Develop Tourism sector product development reinvestment businesses strategy 7. Existing infrastructure 3. Match 12 immigrant mentees with will be improved mentors (70% retention) Business Support 1. Business building & retention counselling 8. Job retention $44,930 1. Target is for 4 business expansions Services - Help employers 2. Business training 9. Improved labour force 2. Business and financial advice to 11 pursue opportunities and /or 3. Business networking attachment (Total investment = local businesses address challenges 4. Establish True Growth Network $359,077) Workforce Development 1. HR counselling $13,445 1. Assist 70 organizations and 12 labour - Assist employers with HR 2. Job retention training groups to develop, retain and recruit a recruitment, retention and 3. Labour market information (Total investment = skilled labour pool training strategies 4. Sector - specific HR forums $249.793) 2. Maintain 25 highly engaged workforce 5. Life on Your Terms portal clients *The City of Saint John's decreased contribution jeopardizes a further $57,438 leveraged from the other four municipalities Enterprise Saint John ROI Model The City of Saint John Notes on Metrics ■ The key metric is to deliver 3 times return on the City's investment based on a three year rolling employment average. The ROI model was approved by Council in 2011 as part of the Economic Development Task Force recommendation. Enterprise SainitJohn Return on City of 5a int John I nvestment - 201U Illustrative example of quantification methodology Calculated May 19, 2011 Notes 1 New em pioyment activity impacted directly by ESJ From Line 11 below A 1,245 2 Estimated proportion ofemployeeswho live in: Saint John B 58% 3 Saint John residential propertytax rate 1.785 4 Avvidge VdIUC ur-uwned dweRing] C $ 155,000 5 Average residential property tax bill Line 3 x Line 4 S 2,767 6 Adjustment for employment income Factor supplied by David Campbell offupia Consultants 69% 7 Estimated residential pTOperty taxes supported per job Lime 5 x Line 6 1,909 8 Estimated resldentlal property taxes supported by E5J Line 1 x Llne 2 x Lrne 7 $ 1,366,647 manuh[turing Retail service & related & related & related Totals 9 New em playment 207 a38 goo D 1,245 10 Employment retained - - - - 11 Total emolovment impacted by IESJ 207 438 600 1,245 _ 12 Estimated square fmt per emplovee 500 1,000 200 E 13 Total square faotagc 103,500 438,000 120,000 661,500 14 Estimated proportion within Saint John 95% 95% 95% F 15 Estimated property tax per square foot $ 1 -50 $ 2.50 S 250 G 16 Total commercial property taxes supported $ 117,499 S 1,040,250 S 285,000 H $ 1,172,738 17 Total municipal property taxes supported directly through E5J activitie Lime 8 + Line 16 5 2,839,384 TR City of Saint Inhn financial rnntrihntinn to FSi in 2ntn 5 4.97,75n 19 Retum on Municipal Investment (for every dollar invested) $ 6.561 12 SAINT JOHN tieEnterprise Saint John ROI Model Notes The City of Saint John Notes A This analysis quantifies the estimated property tax revenue generated for the City of Saint John on direct employment in 2010 which ES) had an active and beneficial role in creating or retaining within the City, within the three years ended December 31, 2010. While the average life span of the jobs created is well in excess of three years, this time frame presents a trackable base_ This calculation does not include contractors or indirect employment in those organizations which service the new employers, or construct their buildings or leasehold improvements_ This calculation does not assign value to the numerous jobs supported by ES) through workforce initiatives with employers. S Proportion of population in Census Metropolitan Area which resided in the City of Saint John based upon the 2006 Canadian Census_ C This is an estimate based upon year to date 2011 MLS data, reduced for inflation. D These are the number of full -time equivalent jobs that were in existance as of December 31, 2010, which ESJ had played an active and beneficial role in creating or retaining within the three years ended December 31, 2010. E Manufacturing and service company estimates of average square foot per employee were provided by David Campbell of Jupia Consultants, based upon a study conducted by a national accounting firm. The estimated average square footage per employee were based upon industry standard provided by East Point Shopping. F Estimate based upon review of the specific employers and their operating locations_ G Estimates used by David Campbell of Jupia Consultants in a recent study completed in rural Nova Scotia. Saint John rates may exceed these estimates. Efforts will be made in future to determine best metrics for the City of Saint John. This schedule is to serve as a draft for discussion purposes only. H Line 13 x Line 14 x Line 15 13 SAINT JOHN Enterprise Saint John Detailed Activities and Services Levels - 2012 The City of Saint John Investment . Lead community investment attraction efforts: Increased $249,225 Target is to attract 2 Attraction - Develop and deliver executive briefings for key targeted prospects investment. (Total investment new investment -Host familiarization tours for qualified investment prospects Increased tax = $686,931) companies. -Help potential investors navigate jurisdictional and regulatory revenue. Host 18 strategic approvals A strong and investment prospects. - Undertake appropriate media and public relations activities to position vibrant city core. Host 110 potential our community as "open for business" Job creation — immigrant investor - Maintain website to service basic information needs of prospective direct, indirect & clients. investors induced. Conduct 18 site tours. - Produce relevant promotional materials for specific opportunities Employment - Attend business development conferences, conventions and opportunities for networking events youth. • Coordinate the development of a knowledge cluster strategy and Immigrant lead investment attraction to support growth and investment in Health retention & & Life Sciences, ICT Energy & Advanced Manufacturing: attraction. - Develop and implement marketing & branding strategy - Identify & target specific investment prospects - Formally establish and support cluster organizations - Building networks, map assets, leading a needs /gap and opportunity analysis - Pursue profile- building awards and recognition programs - Target top energy investment prospects - Secure a barge facility • Lead the development of an integrated Economic Development Strategy to support PlanSJ 14 SAINT JOHN Enterprise Saint John Detailed Activities and Service Levels - 2012 The City of Saint John Support Development Key Activities Link to Council Investment by Targets/KPIs Goals PlanSJ Entrepreneur • Provide SME's (small & medium -sized enterprises) and Increased tax $24,4000 515 client meetings will result in Development entrepreneurs business support services: revenue. (Total a target of 18 new business - Provide one -on -one business counselling Increased investment = start ups. A goal is for at least 2 - Assist clients access capital employment — direct, $265,405) of the start -ups to be in the - Assist clients develop business plans indirect & induced priority sectors. - Mentor clients Strengthens the core Counsel 15 new immigrant - Provide networking opportunities by developing clients to support growth of 4 - Conduct education /training seminars & workshops entrepreneurs. new immigrant run businesses. - Conduct entrepreneurship awareness and training Employment Increase business skills for 200 opportunities for youth opportunities for students and assist 30 young - Conduct workshops & seminars specifically for those living in youth. entrepreneurs with their poverty Immigrant retention businesses. • Conduct a tourism product development workshop for & attraction. Help 15 youth increase their entrepreneurs entrepreneurial skills. a Run the Business Immigrant Mentorship Program (BIMP): Provide 50 young entrepreneurs -Match new business immigrant mentees with business mentors the opportunity to test their skills - Conduct group and networking activities by selling products at youth - Provide orientation & training markets. • Provide business skills training and support services for the Match 12 immigrant mentees arts & culture sector with mentors (2 cohorts of 6 per - Conduct seminars and networking opportunities for creative year and achieve 70% entrepreneurs immigrant retention for those - Support the establishment of a post- secondary education participating in the program). program Uptown 15 SAINT JOHN Enterprise Saint John Detailed Activities and Service Levels - 2012 The City of Saint john Support Development Key Activities Link to Council Priorities/ Investment by Targets/KPIs .. John Business . Provide business support services to existing businesses: Maintains tax revenue. $44,930 Target is for 4 Support - Proactively reach out to 25 employers in the energy, Maintains or increases employment (Total business expansions. Services advanced manufacturing , financial services and shipbuilding — direct, indirect & induced. investment = to explore business expansion opportunities Supports business growth, $359,077) - Provide one -on -one counselling development and reinvestment. - Support the home team to identify and pursue solutions for Existing infrastructure will be the challenges impacting investment retention and attraction improved. • Establish a True Growth Network: Employment opportunities for -Build network youth. - Compile content on key discussion topics and report back to Immigrant retention & attraction. the network - Develop technology platform Workforce • Energy and advanced manufacturing sector support: Increased tax base. $13,445 Assist 70 Development - Conduct and analyze labour market information and skills Enable long term employment (Total organizations, plus 12 requirements with 40 top employers (retention). investment = labour groups as well - Conduct workshops and forums Increase youth retention. $249,793) as education and - Distribute a bi- monthly newsletter Existing businesses access skilled government develop, • Provide tools to improve HR capacity for SME's labour. retain and recruit a - Conduct employer information sessions Strategic immigration recruitment skilled labour pool. - Inform HR managers of government programs and retention. Maintain 25 highly - Educate and inform through e- letter distribution Strengthen and enable SME's to be engaged workforce Provide labour market information as requested more profitable /successful. clients. Support current local employers. Improve labour force attachment. 6 /— ' +_..a 16 SAINT JOHN REPORT TO COMMON COUNCIL M &C- 2012 -33 February 24, 2012 His Worship Mayor Ivan Court and Members of Common Council city of saint John Your Worship and Councillors: SUBJECT: 2012 General Capital Budget INTRODUCTION Attached is the proposed 2012 Capital Budget for the General Fund. The proposed budget is the culmination of a number of months of work from staff in nearly all City departments to ensure that appropriate investments are made in the community's infrastructure. The General Capital Budget includes important investments in our transportation system, our storm water management infrastructure, municipal facilities and buildings, information technology, fleet vehicles, our leisure facilities, and other assets. This infrastructure enables and enhances the quality of life of our citizens and contributes to our economic prosperity. The net cost of capital expenditures incurred by a City is financed by way of formal debt obligations. The annual payments on these debt instruments are made through the operating budget and financed through the tax rate. Current global and local economic conditions have a very real impact on the City's ability to invest in its assets. In adopting the "Plan B" 2012 Operating Budget for the City, Common Council directed staff to present a budget for the General Capital Fund that included no more than $10,000,000 in new expenditures excluding funded projects that must be carried over from the approved 2010 and 2011 capital budgets. The $10 million budget cap is a significant reduction from previous years but this level of expenditure is much better aligned with the fiscal capacity of the City of Saint John at this time. The capital budgets approved by Common Council in recent years have been exceptionally ambitious and maintaining a level of expenditure comparable to recent years is simply unsustainable for this community. Prior to providing further detail with respect to the proposed budget for the 2012 General Capital program, Council should be reminded that the following additional direction was provided to staff in advance of the preparation of this budget: • Projects identified in the General Capital Fund must align with the objectives and principles of P1anSJ. The infrastructure investments included as part of the General Capital Budget must contribute to higher density objectives, discourage urban sprawl, and enhance livability and sustainability. 2 • The 2012 General Capital Fund shall not include projects approved in previous years for City funding support conditional on contributions from the Government of New Brunswick and/or the Government of Canada. This aligns with the direction received from the federal and provincial governments that the City must only maintain one priority for capital works and that priority remains Safe, Clean Drinking Water. • The City shall limit its capital expenditures in order to reduce future debt repayment costs. • Available funds in the General Capital Fund shall be used for the highest priority City needs (infrastructure, roads, buildings, etc.) and be linked to PlanSJ and Council's priorities. The process followed by staff to arrive at this proposed budget for the General Capital Fund was thorough and carefully considered. The first task undertaken as part of the process was to collate all of the funding requests from City departments, agencies, boards, and commissions, as well as funding requests from various community groups. It is clear that the needs in the community are great and far exceed the municipality's fiscal capacity. This is not a circumstance unique to Saint John and is perhaps the most significant problem facing all urban communities in Canada. Regardless of the fact that Canada's urban areas are home to more than 82% of the Canadian population (Source: 2011 Federal Census) generating 86% of the nation's gross domestic product (Source: Statistics Canada, 2001), municipalities receive only 8 cents of every tax dollar collected by the three levels of government in Canada. As a result, municipal governments across the country lack the resources they need to address deteriorating and inadequate infrastructure. In Saint John, the result is that the City simply does not have the money it requires to appropriately maintain even its existing infrastructure, without considering what is truly required to support the city's future growth and prosperity. After all of the capital funding requests were collated, more than $35 million in important investments were identified just from City departments, agencies, board, and commissions. Groups in the community identified projects where municipal contributions totaling tens of millions of dollars of additional investments were sought. As identified previously, this proposed budget limits new expenditures to $10 million. As a result, though many important projects will be funded in 2012 resulting in substantive community improvements, many more projects could not be funded. Establishing the 2012 General Capital Program The full 2012 program in General Capital is a product of identifying projects which fall within four general categories: 3 Carry Forward Projects Underway — The proposed budget for the 2012 General Capital Fund includes all of those projects that were funded in 2010 and 2011 and are underway but have not been completed. Carry Forward Projects Not Yet Started — In order to ensure that the limited resources available for general capital expenditures in 2012 are utilized for those projects most necessary, all projects funded in 2010 and 2011 that have not been started have been forced to compete for funding with all new investments. Previously Approved 2012 Investments — At the request of a City department or commission, Common Council has already pre - approved a number of expenditures which must come from the $10 million envelope identified for new investments in the 2012 capital program. New Investments — Projects which are seeking funding in 2012 where no funding has been previously approved. For the sake of clarity, projects in this category are often subsequent unfunded phases of a large project that has already been initiated. Carry Forward Projects Underway Many of the projects undertaken by the City of Saint John are large and complex and cannot be completed in a single fiscal year. In many situations, project work and expenditures are realized over multiple years. In order to complete these projects, provision must be made in the 2012 General Capital Fund Budget for their completion. A full detailing of the carry forward projects is included in Appendix "A" but the following table provides a summary of the financial requirements by major funding category. A total of $7.4 million in projects are underway carry forward projects including the completion of infrastructure work on Prince William Street, storm water improvements at Rodney Terminal and Honeysuckle, and a variety of other projects. CATEGORY Carry Forward-City Share Other share TOTAL BUILDING & ASSET PROTECTION $413,090 $413,090 CORPORATE $170,939 $170,939 ECONOMIC DEVELOPMENT $1,036,600 $1,036,600 RECREATION & GREEN SPACE $471,000 $471,000 SAFETY $227,366 $227,366 SOCIAL $112,821 $112,821 SPORTS $155,653 $155,653 STORM (FLOOD CONTROL) $2,526,472 $4,818,028 $7,344,500 TRANSPORTATION $2,288,021 $2,288,021 Grand Total $7,401,962 $4,818,028 $ 12,219,990 Carry Forward Projects Not Yet Started Given the challenging financial times facing the City, all capital projects that were approved in 2010 and 2011 but have yet to begin were specifically identified and were forced to compete for funds with the new projects identified for 2012. In total, approved projects with a budgeted cost of $4,010,045 have not been started. Staff are recommending that a number of these funded projects proceed in 2012 as they are important community investments. All of the projects are 4 listed in Appendix "B" and the column on the far right identifies those projects which are recommended to move forward in 2012. As a result of this evaluation, a further $1,213,247 of funding previously approved in 2010 or 2011 is available to fund new investments from the 2012 request list. Of the projects that are not recommended for carry forward, Council may want to reconsider the specific project if funds become available through land sales revenue or other revenues that accrue to the City from time to time. Previously Approved 2012 Investments Common Council approved requests submitted from Saint John Transit, Waterfront Development, and the Department of Municipal Operations and Engineering to pre- approve certain capital expenditures from the 2012 General Capital Fund. The following expenditures have already been approved: Purchase of 2 New Transit Buses $900,000 Purchase of 3 New Packer Trucks for Solid Waste Collection $615,000 Rodney Terminal Storm $975,000 Fire Department Pumper Truck $500,000 Coast Guard Site Legal, Real Estate and Other Costs $200,000 Total $3,190,000 It should be noted that the pumper truck listed by the Fire Department is a crucial piece of new equipment required given the redeployment of fire personnel and equipment from the North End to the East Side. A truck with the ability to store water as well as provide fire suppression, rescue and extrication services is required in East Saint John given the large amount of unserviced development in this part of the community. The acquisition of this truck was preapprovcd for 2012 when Common Council adopted the 2011 General Capital Budget. New Investments — Projects Not Previously Approved or Funded To review the approach taken to prepare the proposed budget for the 2012 General Capital Fund, the amount of money available to undertake new projects has been established as follows: Amount Identified for New Investments $10,000,000 Plus Carry Forward Projects Not Started $ 4,010,045 Minus Not Started Carry Forward Projects Recommended to Proceed $ 2,796,798 Minus Previously Approved 2012 Investments $ 3,190,000 Total $ 8,023,247 As mentioned previously, requests for funding as part of the 2012 General Capital Program far exceeded the number of dollars available. In the instructions provided to City departments for the capital budget process, the following information had to accompany each request for funding: • Project Description • Funds Required: G o City Share o Other Share (Province, Federal Government, Other) • An assessment of the relative significance of the project in terms of: o Public or occupational health and safety; o An existing contractual requirement; o Whether the project is an identified Council priority; o Whether co- funding or cost sharing is available; o The strategic significance of the investment; o Whether the investment will increase municipal revenues or reduce City operating expenses; o Improved efficiency or effectiveness; o Whether the investment protects City assets; and o Whether the investment improves City services. • An examination of whether the project implements the City's municipal plan and is consistent with the vision, directions, and policies of Plan SJ. • Whether the project is linked to a project identified for funding in the Utility Capital Fund or is linked to another capital investment (for example: a transportation project that is linked to a storm water or sanitary sewer project). As part of the process identified above, projects within each major funding category (such as transportation, storm water, municipal facilities, etc.) were ranked in order of priority based on all of the considerations identified. A comprehensive list of those projects submitted for consideration is appended as Appendix "C ". The Proposed 2012 General Capital Fund Budget In summary, the proposed 2012 budget for the General Capital Fund continues to place priority on those projects which protect the health and safety of Saint John residents and advances the City's quality of life and economic objectives. The 2012 General Capital Budget has been prepared in full recognition of the enormous effort invested into the City's new municipal plan, P1anSJ and the future direction for Saint John clearly articulated in the Plan. The successful implementation of P1anSJ and the prosperity and satisfaction of our citizens demands that the City's capital investments advance our long -term vision for Saint John. The listing of projects recommended for funding in the 2012 General Capital Fund Budget is attached as Appendix Transportation and Storm Water (Drainage) Infrastructure Renewal The proposed capital budget advances a strategic and targeted utilization of the very limited financial resources of the City to make Saint John a better place to live and invest. The renewal of the City's existing transportation and storm water infrastructure is essential to encourage development in the City's urban and suburban core and to facilitate continued economic development. As a result, the budget contains $2,345,000 in new investments in transportation in addition to the $3,033,021 in projects already started and carried forward from previous years for a total investment of more than $5.35 million in transportation projects. M Common Council is keenly aware of the many challenges that the City faces with respect to drainage and storm water management. The City's difficult geology and topography poses many challenges when dealing with the environmental impacts of urban development. It is essential that the City maintain an efficient and effective system of storm water management to ensure that our natural and built environments are appropriately protected while ensuring that the community is positioned to accept growth and deal with the impacts of climate change. Consistent with the direction provided by Council to prioritize storm water management, this budget proposes $3,396,000 in new storm water investments added on top of a further $8,399,500 in projects that have been started and are on the carry forward list for a total investment of almost $11.8 million. The City's commitment to effectively dealing with storm water issues is conveyed most clearly by the substantial investment the community is making in this critical infrastructure. The projects identified for funding are detailed in Appendix "D ". It is clear from the lists that the investments are focused in areas that have the potential to receive new development while serving those citizens who frequent those areas regularly. Transportation projects that are proposed to move forward including improvements to important thoroughfares including Garden Street, Rothesay Avenue, Westmorland Road, Loch Lomond Road, and Somerset Street. Investments will also be made in nearly all corners of the City in curb and sidewalk. Significant storm water system improvements will be carried out in the Honeysuckle, Rodney Terminal, and Milford areas on the West Side as well as the Brentwood -Boars Head area in Millidgeville and areas near Rothesay Avenue and Marsh Creek. It is important to note that the City does make strategic use of funding from other sources such as gas tax funding to advance the City's transportation and storm water objectives. Over $7,000,000 of non -City funding will help advance these important projects in 2012. Buildings, Equipment Upgrades, and Energy Manama The City is responsible to operate and maintain a number of buildings and facilities that provide services and amenities to our residents. These facilities require ongoing investment to ensure that they will continue to serve our community for many years to come. The City has significant challenges in making all of the investments necessary to best manage these important assets. In reality, the limited financial resources available to municipalities leaves cities like Saint John without the money needed to optimize building and equipment preventative maintenance. The proposed 2012 General Capital Budget does continue to place significant emphasis on taking care of the community's assets to avoid much more significant replacement costs later. A budget envelope of $455,000 has been proposed for municipal facilities to undertake work at a number of locations including the community centres and other City -owned buildings. Funding has also been provided for a number of other important initiatives including energy management and street lighting projects to reduce energy consumption and decrease operating costs for the City on an ongoing basis. In addition, investments in equipment will proceed to ensure that the services provided by the Fire Department, the Saint John Parking Commission, 7 the Trade and Convention Centre, Harbour Station, the Aquatic Centre, and the Library continue to serve our citizens well. Overall, this capital budget provides for $1,182,100 in new investments in buildings, equipment, and energy management in addition to $640,456 in carry forward projects (identified as Building and Asset Protection and Safety projects in the carry forward items) for a total investment of more than $1.8 million in 2012. Recreation and Leisure Council has identified recreation and leisure services as a community priority. The City has dedicated significant resources to the renewal of many recreational amenities in previous years and has undertaken significant planning work in this area including the recreation inventory/asset study and the soon to be completed PlaySJ. The new Municipal Plan emphasizes the importance of providing an appropriate number of high quality recreation facilities to enhance the quality of life offered by this community and encourage citizens to lead an active and healthy lifestyle. The 2012 budget significantly increases the amount of capital funding devoted to recreation and leisure when compared to 2011. The budget includes the provision of $1,260,000 in new investments including $700,000 for the renewal of existing facilities, $500,000 for a major investment in Market Place West on the Lower West Side as well as continuing the City's investment of $60,000 in street trees to improve the quality of the public realm on our roadways and sidewalks. A further $626,653 has been identified as carry forward projects from 2010 and 2011 including arena improvements and projects in the South End and Crescent Valley. Almost $1 million has also been identified as carry forward for the North End Community Centre so this budget provides for a total investment of nearly $2.9 million in recreation and leisure capital in 2012 when those projects that include buildings (listed in the Buildings, Equipment Upgrades, and Energy Management category) are included. Technology and Communications The City's information technology and communications infrastructure supports the delivery of every service that is received by residents of the City of Saint John. Keeping this infrastructure current and modern is critical to protect all of the information assets of the corporation and is also crucial to maintaining and enhancing productivity within the organization. Saint John is an acknowledged leader in this area as evidenced by the City's selection as one of top seven Intelligent Communities, The 2012 budget establishes a line item of $914,202 to acquire the appropriate tools including servers and other technology and there is a further $150,000 in approved carry forward items from previous years. This amount is offset by funds available in the Computer Reserve to reduce the amount of capital financed from borrowing. In 2012, $464,202 of the acquisitions will be funded from the Reserve leaving a net expenditure of only $450,000 in 2012. Fleet Replacement Common Council will recall that a full review of the City's fleet management system was undertaken in 2011. The City's current approach to fleet management was generally given positive reviews although it was acknowledged that the City struggles to replace fleet assets in a timely manner therefore increasing repair and operating costs for the corporation. Common E Council has already approved significant expenditures totaling $2,015,000 for new packer trucks for the solid waste management service, new transit buses, and a new pumper truck for the Fire Department. In addition to these vehicle purchases, a further municipal investment of $2,200,000 is recommended for a total investment of $4,215,000. The limited financial resources available to the City for general capital will result in further aging of the City's fleet and will undoubtedly lead to higher operating costs for the City. The City is very fortunate to fund a significant proportion of the City's fleet costs from the operating fund which reduces the amount of borrowing required for fleet replacement by $2 million. As a result, the net fleet costs to be financed in 2012 will only total $2,215,000. Waterfront Development The City of Saint John has made significant and important investments in the community's beautiful waterfronts. The community's fresh and salt water waterfronts are a defining feature of the community; much valued by residents and an important feature that attracts visitors to Saint John. The City's new municipal plan also emphasizes the importance of the City's waterfronts as an amenity that must be further developed and enhanced to attract population and economic growth. Investments in the waterfront have the potential to return many times more property tax revenue to the City in the future as the appropriate conditions are created to secure investment. Saint John Waterfront Development advanced an ambitious capital program for 2012. Requests for almost $2.5 million were submitted to fund the Coast Guard project as well as Loyalist Plaza, the North Market Slip and Boardwalk refurbishments, work related to Market Square, and the eco hub development. In addition to these requests, a further $265,000 has been requested for costs related to the Coast Guard administration building and preparing the Coast Guard site for development. The major investment that the City must make in 2012 is the acquisition of the remaining portion of the Coast Guard site. An allocation of $1,968,000 has been made to facilitate the completion of this real estate transaction. Unfortunately, the City is unable to fully fund all of the other requests to further enhance our urban waterfront. A further $450,000 investment has been proposed to complete the Boardwalk and eco hub work and to undertake necessary work at Smythe Street related to Market Square. A carry forward amount totaling $125,000 has also been identified which is necessary to complete an earlier phase of the work related to Market Square at Smythe Street. The work related to Loyalist Plaza and North Market Slip is important work but perhaps it is even more appropriate for this work to be deferred until the City has a private sector partner engaged in the development of the Coast Guard site. Economic Development In difficult economic times, it is necessary for the City to make hard decisions respecting the investments it can afford to make in capital assets. In past years, the City has invested considerable money in private suburban development projects to create tax base and encourage growth and investment in the community. P1anSJ advocates a major shift in the City's position with respect to growth and development. The Plan advocates more dense residential and commercial growth in urban and suburban neighbourhoods within a defined Primary R] Development Area. The Plan recommends that the City pursue this new growth pattern through significant, regular, and reliable infrastructure investments in designated Intensification Areas. A consistent program of investments in care municipal infrastructure (roads, water, sewer, storm water, etc.) should be viewed as a necessary pre - condition for economic development and necessary to maximize the community's growth opportunities. In the current fiscal environment, the City must therefore focus its limited resources on infrastructure renewal and investments in municipal facilities and recreational amenities. Without these public investments, the conditions will not be appropriate for sustainable private sector investment in residential or commercial development. As a result, this proposed budget maintains funding levels for important public infrastructure including transportation, storm water management, curbing, sidewalks, street trees, recreation facilities and the Waterfront. Consequentially, however, it has proven impossible to provide any funding to a new suite of development incentive programs that was intended to be released subsequent to the adoption of P1anSJ. This is not an ideal scenario but staff cannot recommend redirecting funding away from core infrastructure to subsidize new private sector development. The Hcroson Report on the City's development incentives clearly pointed out that the City's contribution through incentives to new development only averaged about 2% of the purchase price of a new home so the elimination of the incentive programs is not anticipated to have any substantive impact on development activity. Conversely, reducing funding to core infrastructure in favour of maintaining some incentive funding could significantly impact the desirability of developing, living, or working, in the City. When economic conditions permit, the City should re- examine whether there is role for the municipality to play in incenting development. In the future, incentives could be directly tied to the implementation of neighbourhood plans which is one of the important community deliverables identified in PlanSJ. This budget contains only a small amount of funding necessary ($100,000) to meet the City's obligations under the incentive programs that were terminated in 2011. It will be necessary to continue to provide these payments until March 14, 2014. The industrial development sector differs markedly from the residential and commercial development business. Saint John Industrial Parks (SJIPL), an entity wholly owned by the City of Saint John is practically the only major developer of industrial lands in the community. Council is well aware of the importance of maintaining an inventory of industrial lands to increase non - residential tax base and to increase employment and therefore housing demand in the community. Funding of $200,000 is recommended for SJIPL in 2012 which leverages an investment of $785,000 directly from SJIPL. This investment will help realize work to move the barge facility at Lorneville forward as well as further land acquisition and servicing at Spruce Lake. Streetscape improvements will also continue at Spruce Lake and McAllister Industrial Parks. Unfunded Items The financial resources available to the City to undertake projects in the General Capital Fund are significantly limited in 2012 and this will continue to be the case for the next number of years going forward. This reality calls for careful decision making to ensure that the recommended investments in infrastructure and facilities are consistent with the goals and objectives of the community. Unfortunately, the City of Saint John, and nearly all Canadian urban municipalities, 10 are unable to raise the amount of revenue necessary to filly support community investment and reinvestment. As a result, a number of worthy and important projects cannot be funded in 2012 adding to further to the community's infrastructure deficit. Following is a summary of some of the projects that are not proposed for funding in 2012: Transportation —11 of 17 new projects identified are unfunded - Storm Water Management — 9 of lb new projects identified are unfunded The new YMCA in Crescent Valley - Funding for new municipal infrastructure in Crescent Valley to implement the Province's housing plan for the area - The Field House being pursued by the Exhibition Association - The Paramount Theatre Restoration City Market Office Tower renovations - Phase 2 of the North End Community Centre Building Renewal Program - Major renovations to the Trade and Convention Centre - Major renovations to the Canada Games Aquatic Centre The Fire Department Training Facility Further investments in Rainbow Park Further investments in Rockwood Park - An artificial turf field at Millidgeville North - Improvements to Fallsview Park Improvements at Reversing Rapids Commencing the implementation of the Shamrock Park Master Plan and mountain bike trail construction Elimination of the majority of the funding for the Customer Service Project No funding for any new residential and commercial development incentive programs The purchase of additional transit buses (2 additional buses will not be purchased) Funding to improve the Coast Guard administration building and site preparation work for the Coast Guard site Council should be aware that there may be opportunities for some of these unfunded projects to move forward in the future with the proceeds of various land sales that are being contemplated by the municipality. INPUT FROM OTHER SOURCES Staff of all City departments have provided input in the development of the capital budget. THE PATH FORWARD Immediately following the approval of the budget for the General Capital Fund, work will begin to finalize the capital budget for the Utility Fund. The Utility Capital Budget must align with the General Fund budget to ensure that the financial resources necessary to complete a number of 11 important infrastructure projects are available. Staff anticipate being able to provide the Utility Fund Capital Budget two weeks after approval of the General Capital Budget. Following completion of the Utility Capital Budget, staff will then focus on the five -year capital budget which must be appended to the City's new municipal plan and must be aligned with the City's planning objectives, council priorities, and the municipality's fiscal reality. Staff hope to have the five year budget to Council for review in four weeks time. Given the significant financial challenges facing the City of Saint John, staff and Council must adopt a rigorous discipline to the capital budget process. Following approval of the City's capital budgets, it is recommended that Common Council adopt a resolution providing that the overall envelope for each capital program shall be fixed and there shall be no new projects added to the 2012 capital program without finding the required funding from within the pre - established envelopes. Further, it is recommended that Common Council not pre - approve any project for inclusion within the 2013 capital program without first making any consequential revisions necessary to the five -year capital budget. CONCLUSIONS The proposed 2012 General Capital Fund Budget strategically uses the City's very limited financial resources to make substantial investments in Saint John's community assets. The budget continues to position Saint John for population and economic growth while ensuring that the municipal corporation lives within its means to avoid property taxation increases. This proposed budget is fully consistent with P1anSJ and begins the process of implementing the Plan. The investments contained within the budget will make noticeable improvements to our infrastructure and to the amenities that make Saint John a great place to live and invest. As has been the case for many years now in Saint John and in all other urban municipalities in Canada, this budget clearly demonstrates the need for a new financial relationship between cities and the provincial and federal governments. The future of New Brunswick and the future of Canada is increasingly in the hands of urban communities like Saint John that house the creative and intelligent capital required to propel regional and national economies. Our cities require the fiscal capacity necessary to take care of critical urban infrastructure to support growth and development and improve quality of life. Saint John must compete with cities around the world for growth. Saint John needs to provide excellent infrastructure and an enviable quality of life not just to ensure the community's success, but also the success of our province and our nation. Senior levels of government need to prioritize changes that provide Saint John and other cities with the financial resources they require to be sustainable and successful. This is a critical issue for the City and one which will benefit from the City's recent investment in intergovernmental affairs. 12 RECOMMENDATION: 1. That Common Council, Approve the 2012 Capital Budget for the General Fund in the amount of $16,030,302 (gross) with contributions from other sources of $4,814,202 yielding a capital budget in the amount of $11,216,100 (net) as set out in Appendix "D ". 2. That Common Council adopt the following resolutions: a) That the overall funding envelope for the 2012 Capital Budget for the General Fund be fixed and there shall be no new projects added to the 2012 capital program without finding the required funding from the fixed envelope. b) That Common Council not pre - approve any project for inclusion within the 2013 capital program without first making any consequential revisions necessary to the five -year capital budget. Respectfully submitted, Ken orrest, MCIP RPP Commissioner of Planning and Development J. Patrick Woods, CGA City Manager 13 APPENDIX "A" CARRY FORWARD PROJECTS FROM THE 2010 AND 2011 GENERAL CAPITAL BUDGETS CURRENTLY Description Carryover -Other Share Carryover -City Share Notes TRADE & CONVENTION 202,000 Trade & Convention Centre - Other Capital OPERATIONS GARAGE 142,754 Ventilation system upgrades, overhead door replacement, transit panel removal VARIOUS 37,130 Development of Standard Specifications WORKS NORTH DEPOT 18,928 Exterior lightings AQUATIC CENTRE -ROOF 12,278 Fitness centre roof replacement design SAINT JOHN INFORMATION MANAGEMENT PROJECT 150,000 Information System ENERGY MANAGEMENT 20,939 Energy Management measures HABOUR CONDO PLAZA 323,000 Harbour Front Condominium Plaza INDUSTRIAL PARKS 195,840 Industrial Park capital expenditure MARKET SQUARE COMPLEX 125,000 Expansion Joints Smythe St. HARBOUR PASSAGE 100,000 Harbour Passage repairs DERELICT BLDG ACQUISITION 100,000 Derelict building FAIRVILLE BLVD IMPROVEMEN 100,000 Fairville Blvd Improvement CITY MARKET 92,760 City Market - lighting upgrades, Linja storefront upgrades, preservation program SOUTH END PLAYGROUND 280,000 South End Playground RECREATION MASTER PLAN 100,000 Master plan CRESCENT VALLEY 46,000 Crescent valley GLEN ROAD PLAYGROUND 45,000 Glen Road Playground RECORDING SYS-INTERVIEW 85,000 Recording system FIRE STATION #4 53,392 Under slab floor drain reinstatement FIRE STATION #8 41,146 Basement area emergency egress FIRE STATION #1 20,000 Bunker gear storage improvements 14 APPENDIX "A" CARRY FORWARD PROJECTS FROM THE 2010 AND 2011 GENERAL CAPITAL BUDGETS CURRENTLY Carryover -Other Carryover -City Description Share Share Notes FIRE STATION #5 10,590 Building code upgrades FIRE STATION #7 9,238 Building code upgrades FIRE STATION #2 8,000 Washroom improvements ST ANDREW H- SW,CURB,PAVE 46,000 Curbs, sidewalks CARLETON COMMUNITY CENT 28,050 Building renewal program A BE C EXTERIOR 26,391 Washroom /Interior renovations S 1 FREE PUBLIC LIBRARY 7,910 Library capital expenditure PEDWAY SYSTEM 4,470 Elevator design LORD BEAVERBROOK RINK 39,190 Ice surface expansion feasibility study GORMAN ARENA 32,465 Building code and fire alarm BELYEA ARENA 30,355 Building code and fire alarm PETER MURRAY ARENA 27,188 Building code and fire alarm STU HURLEY ARENA 26,455 Building code and fire alarm Renewal or structural lining of approx 380m of 2150mm diameter CMP. Project to be funded under G.T.F. (Design and approvals to be completed in 2010 for construction in 2011) (GTF fund: $1,645,665), Design services for renewal or structural lining of approx 380m of 2150mm diameter RODNEY TERMINAL 1,721,528 1,398,472 CMP. Install approx 694m of new storm piping and structures for separation in the area per the 2010 Drainage study, including design and construction management services. Project to be funded under G.T.F. HONEYSUCKLE -FUNDY HEIGHTS 725,000 700,000 Remove catch basins from sanitary sewer and pipe to existing storm sewers per 2010 Drainage Study. Includes design and construction management services. BEACH CRES - MEADOWNBANK 175,000 Install approx. 365m of new 300mm storm sewer for separation, including design and construction management services HONEYSUCKLE - BLEURY ST 160,000 &I APPENDIX "A" CARRY FORWARD PROJECTS FROM THE 2010 AND 2011 GENERAL CAPITAL BUDGETS CURRENTLY Carryover -Other Carryover -City Description Share Share Notes Local drainage improvements - various locations as per 2009 drainage basin study MILFORD DRAINAGE BASIN 58,000 Install approx. 210m of new 600mm concrete class III storm sewer, including design and construction management services HONEYSUCKLE - MOLSON AVE 35,000 Install approx 400m of new storm piping and structures for separation in the area per the 2010 Drainage study, including design and construction management services. Project to be funded under G.T.F. HONEYSUCKLE - LANCASTER MAL 845,000 Install approx. 460m of new 200mm and 300mm storm sewer and structures for separation in the area including 160m of new 450mm storm outfall piping, including construction management services. Project to be funded under G.T.F. MILFORD - BALMORAL CRIES 515,000 Install approx. 310m of new 900mm storm sewer and structures for separation in the area and new storm outfall near "X' Lift Station, including construction management services. Project to be funded under G.T.F. MILFORD -ST CLAIR AVE 500,000 Install approx. 300m of new 200mm and 300mm of new storm sewer piping and structures for separation in the area and 140m of new 450mm outfall piping. Includes construction management services. Project to be funded under G.T.F. MILFORD - KINGSVILLLE RD 295,500 Construction of community retention facilities - Caledonia Brook, including land acquisition and environmental approvals, drainage improvements along Woodward Avenue as per 2009 drainage basin study. Project to be funded by under G.T.F. (2009). Design, approvals and BRENTWOOD DESIGN /CONST 216,000 EIA to be completed in 2010 for construction in 2011. Street reconstruction (excavation, storm sewer, underground utilities, curb, sidewalk, landscaping, paving) to be done as part of the proposed Peel Plaza Development, including construction management services BUILDING SITE SELECTION 906,880 Culvert renewal including design and construction management services. KENNEBECASIS- BROTHERS COV 400,000 Supplemental funding for street rehabilitation(excavation, backfill, curb, sidewalk, landscaping and paving), including construction management services. Project to be funded under G.T.F. WESTFIELD RD- ACAMAC 2300 360,000 lity APPENDIX "A" CARRY FORWARD PROJECTS FROM THE 2010 AND 2011 GENERAL CAPITAL BUDGETS CURRENTLY TOTAL 4,818,028 7,401,962 Carryover -Other Carryover -City Description Share Share Notes Street reconstruction (excavation, backfill, curb, sidewalk, landscaping and paving), including design and construction management services. Asphalt pavements $145,000 / 0.54LK BLEURY STREET 200,000 Street Reconstruction PRINCE WILLIAM STREET 150,000 Install approx. 170m of new concrete curb and sidewalk on western side, including design and construction management services. SIMPSON DRIVE 105,000 STREET LIGHTING 50,000 Facility Management TRANSIT- BUILDING 50,000 Holdback for Transit Building SAINT JOHN TRANSIT 50,000 Saint John Transit capital expenditure Design for road reconstruction (excavation, backfill, curb, sidewalk, landscaping, paving) in conjunction with road realignment as part of the One -mile Interchange construction, including design services L LOMOND -ST CATHERINE /WES 16,141 TOTAL 4,818,028 7,401,962 ]7 Appendix "B" - Carry Forward Projects from the 2010 and 2011 General Capital Budgets Not Yet Started Carryover -City Project to proceed Description Share Notes Category in 2012? Yes /No Installation of traffic signals and other intersection improvements, including design and construction management GARDEN STREET_ ~ 225,000 services. TRANSPORTATION YES Installation of traffic signals, including design and construction management ROTHESAY AVE- TRAFFIC SIG 120,000 services. TRANSPORTATION YES SIMMS CORNER /BRIDGE Retaining Wall Repairs Project - ROAD 400,000 Simms Corner /Bridge Road TRANSPORTATION YES Complete a Harmful Alteration, Disruption or Distruction of fish habitat study (HADD) in advance of Manawagonish Creek channel improvements STORM (FLOOD HONEYSUCKLE -HADD 220,000 project. CONTROL) YES Install approx 77m of new storm piping and structures for separation in the area per the 2010 Drainage study, including design and construction STORM (FLOOD HONEYSUCKLE- ONTARIO ST 145,000 management services. CONTROL) YES Design services for twin HONEYSUCKLE - DESIGN 2400mm x 1200mm box STORM (FLOOD CULVER 50,000 culverts. CONTROL) YES Install approx 232m of new storm piping and structures for separation in the area per the 2010 Drainage study, including HONEYSUCKLE- LANCASTER design and construction STORM (FLOOD AVE 495,000 management services. CONTROL) YES Install approx 77m of new storm piping and structures for separation in the area per the 2010 Drainage study, including design and construction STORM (FLOOD HONEYSUCKLE - BEAVER CT 145,000 management services. CONTROL) YES Facility Management, North End Comm Centre, Legal NORTH END COMM CENTRE 956,798 dealing with land issue SOCIAL YES THERMAL IMAG & SCBA EQUIP 525,000 Fire Dept. - Training Tower SAFETY NO CUSTOMER SERVICE PROJ 546,000 Customer Service Project CORPORATE YES (only $40,000) Facility Management -T &CC BUILDING & ASSET TRADE & CONVENTION CENT 182,247 Renovation go ahead or not PROTECTION TOTAL VALUE OF NO PROJECTS TO TOTAL 4,010,045 PROCEED 2,796,798 18 Appendix "C" — Submissions Received for Fundin2 in the 2012 General Capital Fund Eudtet Project # CATEGORY DEPARTMENT DESCRIPTION BUDGET - OTHER SHARE BUDGET - CITY SHARE 1 Corporate IT Sewer Video System and Storage 37,000 2 Corporate IT Tape library (Combined) 62,000 3 Corporate IT Disk Storage City Hall 117,500 4 Corporate IT Disk Storage Expansion - City 10,000 5 Corporate IT Disk Storage Expansion - Police 10,000 6 Corporate IT MediaSolve - New Police HQ 7,000 7 Corporate IT Security Review- Penetration Audit 30,000 8 Corporate IT 6 Security Cisco Switches New Police HQ 45,000 9 Corporate IT 6 Door Access Switches New Police HQ 45,000 10 Corporate IT Firewall - New Police HQ 33,000 11 Corporate IT Replace VMWare F51 ESX 17,000 12 Corporate IT Peel Plaza Connectivity - Conduit Installation 40,000 13 Corporate IT 18 User Cisco Switches New Police HQ 135,000 14 Corporate IT Fibre - City Hall to New Police HQ 10,000 15 Corporate IT Police HQ IT Implementation Team 62,500 16 Corporate IT Automatic Vehicle Location (AVL) 6,000 19 17 Corporate IT Exchange - Store 7,000 18 Corporate IT Exchange - Store 7,000 19 Corporate IT Exchange - CAS 6,000 20 Corporate IT HTE Professional Services (upgrades and implement new features) 30,000 21 Corporate IT VMwareESX - Police 13,500 22 Corporate IT VMware ESX - Police 13,500 23 Corporate IT IBM AS400 Upgrades 10,000 24 Corporate IT 20 WiFi Access Points New Police HQ 10,000 6,000 25 Corporate IT Wireless Bridge Fire 26 Corporate IT Fleet Management System 140,000 27 Corporate IT Agenda Management Software 24,000 28 Corporate IT Replace WCS and Apps Server 8,000 29 Corporate IT SQL Server 8,000 8,000 30 Corporate IT SQL Server 31 Corporate IT VMware ESX -City 10,000 32 Corporate IT Replace vCenter VMWare Server 8,000 33 Corporate IT VMWare ESX -City 7,000 34 Corporate IT Website - Tools, upgrades 10,000 35 Corporate IT Replace ORCA Web Server 8,000 20 36 Corporate IT Mobile Device Security 15,000 I 37 Corporate IT Citrix/ Virtual Desktop Software 10,000 38 Corporate IT VMWare DMZ ESX 17,000 39 Corporate IT Replace Utility Numera 9,000 40 Corporate IT 10 WiFI Access Points Rothesay Avenue 5,000 2 User Switches - City Hall and Rothesay 41 Corporate IT Ave. 15,000 42 Corporate IT Communication Server 7,000 Desktop Computers (Chargeback 43 Corporate IT Program) 464,202 Economic 44 Development Planning Development Incentive Program 500,000 Economic Saint John Barge Facility - Major infrastructure 45 Development Industrial Park project in support of fabricators 250,000 Economic Saint John 46 Development Industrial Park Land Acq. Lorneville - purchase of LIS 50,000 Lorneville Hydro Extension - hydro Economic Saint John looping from Coleson Cove to Paddy's 47 Development Industrial Park hill along King Will. 50,000 Economic Saint John Spruce Lake Beautification - ongoing 48 Development Industrial Park beautifciation 25,000 Economic Saint John McAllister Beautification - ongoing 49 Development Industrial Park beautification 25,000 Materials & Fleet 50 Fleet Management 1 Pumper Truck 500,000 Materials & Fleet 51 Fleet Management 3 Packers 898,000 Materials & Fleet 52 Fleet Management Fleet replacement 2,000,000 Canada Games Municipally Aquatic 53 owned Facilities Centre Aquatic centre capital expenditure 1,830,265 21 Municipally Harbour 54 owned Facilities Station Forklift 40,00 Municipally Harbour 55 owned Facilities Station Snow blower 10,00 Municipally Harbour 56 owned Facilities Station Evaporative Condenser 80,00 Municipally Harbour 57 owned Facilities Station Phase 2 Fluorescent Lighting Retrofit 40,00 Municipally Harbour Video /Audio System Component 58 owned Facilities Station Upgrades 25,00 Municipally Harbour 59 owned Facilities Station Roof and Facade Cleaning and Repairs 30,00 Rockwood Municipally Park Golf Rockwood Park Golf Course capital 60 owned Facilities Course contribution 25,001 Municipally Saint John 61 owned Facilities Arts Centre Carpet 15,00 Municipally SJ Free Public Renovations, signage, painting, Self 62 owned Facilities Library check -out - West Branch 55,001 SJ Trade & Municipally Convention Relocation &Renovation of Trade Centre 63 owned Facilities Centre Sales Office 100,001 Parking 64 Parking Commission 5 Pay & Display Machines 80,001 Parking 65 Parking Commission 800 New alternate Parking Signs 70,001 Real Estate & NORTH END COMMUNITY CENTRE - Facility Facility Building Renewal Program - Ph 2: 66 Management Management Interior /M &E /Life Safety 1,300,001 Real Estate & CARLETON COMMUNITY CENTRE - Facility Facility Building Renewal - Phase 2 (Second 67 Management Management Floor, M &E) 35,001 Real Estate & Facility Facility STEWART HURLEY ARENA - Floor Drain 68 Management Management Repair 40,001 Real Estate & Facility Facility LOCH LOMOND COMMUNITY CENTRE - 69 Management Management Replace Septic System 25,001 Real Estate & CITY MARKET - Office Tower Facility Facility Renovations - Phase 1 (Building 70 Management Management Envelope) 1,080,00( Real Estate & Facility Facility CITY MARKET PEDWAY - Replace 71 Management Management Elevator 550,00{ 22 Real Estate & Facility Facility CARLETON COMMUNITY CENTRE- 72 Management Management Replace Windows 120,000 Real Estate & Facility Facility CITY MARKET - Install New Security 73 Management Management System 50,000 Real Estate & NORTH END COMMUNITY CENTRE - Facility Facility Building Renewal Program - Ph 3: 74 Management Exterior Cladding/Glazing 40,000 __Management Real Estate & Facility Facility CHARLES GORMAN ARENA - Replace 75 Management Management Lighting System 70,000 Real Estate & Facility Facility 76 Management Management STREET LIGHTING - Replace Street Lights 75,000 Real Estate & Facility Facility SHAMROCK PARK CLUBHOUSE /FIELD - 77 Management Management Install New Plumbing Fixtures 50,000 Real Estate & Facility Facility SHAMROCK PARK CLUBHOUSE /FIELD - 78 Management Management Washroom Renovations 10,000 Real Estate & Facility Facility CHARLES GORMAN ARENA - Low 79 Management Management Emissivity Ceiling 40,000 Real Estate & Facility Facility CHARLESGORMANARENA - Structural 80 Management Management Steel Painting 40,000 Real Estate & Facility Facility CITY HALL - Interior Renovations for 81 Management Management Organizational Re- Alignment 350,000 Real Estate & Facility Facility PETER G. MURRAY ARENA- New Water 82 Management Management Flooding System 35,000 Real Estate & Facility Facility CHARLES GORMAN ARENA - Install New 83 Management Management Ammonia Heat Recovery System 50,000 Real Estate & Facility Facility FIRE DEPARTMENT TRAINING CENTRE - 84 Management Management New Training Tower - Phase 2 450,000 Real Estate & _ Facility Facility MUNICIPAL OPERATIONS COMPLEX - 85 Management Management Replace Lighting Equipment 30,000 Real Estate & Facility Facility Rothesay Avenue Fleet Services Garage - 86 Management Management New Fire Alarm System 45,000 Real Estate & SUSTAINABLE ENERGY MANAGEMENT - Facility Facility Miscellaneous Energy Management 87 Management Management Measures 50,000 Real Estate & Facility Facility FIRESTATION NO. 1 (LEINSTER) - 88 Management Management Modifications to Vehicle Exhaust System 30,000 Real Estate & Facility Facility FIRESTATION NO. 5 (ADELAIDE) - 89 Management Management Modifications to Vehicle Exhaust System 30,000 23 Real Estate & Facility Facility FIRESTATION NO. 8 (MILLIDGE)- 90 Management Management Modifications to Vehicle Exhaust System 30,000 Recreation & Leisure Facility Renewal Fund -to perform 91 Green Space Services necessary repairs & replacements 800,000 Recreation & Leisure 92 Green Space Services Shamrock Park Master Plan Phase 1 2,833,000 Recreation & Leisure 93 Green Space Services Rainbow Park Revitalization 1,800,000 Recreation & Leisure 94 Green Space Services Rockwood Park Event Signage 50,000 Recreation & Leisure 95 Green Space Services Rockwood Park Phase 3 800,000 Recreation & Leisure 96 Green Space Services Shamrock Park Mountain Bike Trails 250,000 Recreation & Leisure 97 Green Space Services Market Place West Phase 1 500,000 Recreation & Leisure i 98 Green Space Services Street Trees 60,000 Fire Dept. - Urban Environment Equipment Renewal - Personal 99 Safety Service Protective Equipment 62,500 Fire Dept. - Urban Environment Equipment Renewal - Self Contained 100 Safety Service Breathing Apparatus 76,000 Fire Dept. - Urban Environment Equipment Renewal - Ropes and 101 Safety Service Harnesses 28,600 Rodney Terminal -Supplemental Funding for renewal and structural lining of 380m of 2150mm diameter CMP to Municipal include the installation of a check valve Storm to provide additional backflow Operations prevention not part of the original 860,000 975,000 design that has been determined to be a necessary component of the overall 102 project. Storm Water Management - Brentwood - Boars Head Road Construction of stormwater detention pond on Municipal Caledonia Brook - High Pond "A ", Storm Operations including land acquisition, design and 1,140,000 construction management services. Subject to environmental approvals.. 103 Project to be funded under G.T.F. 24 Boars Head Road - Near Caledonia Brook, construction of a detention Swale along Boars Head Road at the Aliant Municipal building, installation of inlet control Storm Operations devices and a new storm sewer outfall 225,000 to Caledonia Brook from Boars Head Road, including design and construction 104 management services. Milford Drainage Basin -Gifford Road - Gifford Road from Milford Road to approximately Civic #90. Install approx. 160m of new 300mm and 100m of Storm Municipal 200mm storm sewer and structures for Operations separation in the area and 25m of 500,000 375mm storm outfall piping with headwall. Includes construction 105 �^ management services. Milford Drainage Basin - River Hill Drive - Dwyer Road to Silvermount Crescent, including existing storm outfall. Install Municipal approx_ 300m of new 300mm and 65m Storm of 375mm storm sewer for separation in Operations the area and renew existing 300mm 510,000 with new 375mm storm outfall, including construction management 106 services. Milford Drainage Basin - Russell Hill Road - Russell Hill Road from Civic #484 to Greenhead / Dwyer Road Storm Municipal intersection. Install approx. 140m of Operations new 200mm and 300mm storm piping 175,000 and structures for separation in the area. Includes construction 107 management services. Storm Water Management - Brentwood - Cambridge Estates Modifications to the Municipal storm outfall at Boars Head and Storm Operations Cambridge Estates - new outfall to 35,000 Caledonia Brook including construction 108 management services. Storm Water Management - Brentwood Municipal -Various locations Property acquisition Storm for construction of stormwater Operations detention ponds in various locations in 150,060 109 Millidgeville. Allison Street - Milford Road to Francis Municipal Street. Replace existing 375mm storm Storm sewer with new 600mm storm sewer, Operations including design and construction 140,000 110 management services. Frederick Street - Rothesay Avenue to end. Install approx. 100m of new Storm Municipal 300mm storm sewer for separation, Operations including design and construction 60,000 111 management services 25 Honeysuckle, Sherbrooke Street Municipal Drainage Basin - Culvert #2 - Storm Operations Honeysuckle Drive. Install twin 2400mm 415,000 x 1200mm box culverts including 112 construction management services. Loch Lomond Road - Russell Street to Westmorland Road; Atlantic Avenue. Renewal of existing sections of storm Storm Municipal sewer in conjunction with road Operations realignment as part of the One Mile 210,000 Interchange project; includes construction management services. Will 113 seek to tender as part of D.O.T. contract Mystery Lake Flow Control Structure - Storm Municipal Mystery Lake Environmental Impact Operations Assessment for the Flood Control 90,000 114 System Seaton Street - Rothesay Avenue to end. Municipal Install approx. 90m of new 300mm Storm storm sewer for separation, including Operations design and construction management 50,000 115 services Adelaide Street - Between Victoria Municipal Street and Newman's Brook. Install Storm approx. 125m of new storm sewer for Operations separation, including design and 100,000 116 construction management services. Sea Street - Sea Street to outfall_ Approx. 335m of various size pipe with Municipal associated swales, manholes, Storm Operations landscaping and reinstatements, 400,000 including outfall analysis, design and 117 construction management services. Saint John 118 Transit Transit 2 Buses (Pre - approved in 2011) 900,000 I i Saint John 119 Transit Transit Fleet Replacement (2 new buses) 860,000 Saint John Handi -Bus replacement (1 new 120 Transit Transit paratransitvehicle) 100,000 Saint John Garage Equipment, Bus Stop & on Street 121 Transit Transit Infrastructure 160,000 Transportation Master Plan - Plan SJ. Development of a comprehensive plan that guides implementation of Transportation and Mobility policies of Municipal PlanSJ. The developed plan will Transportation Operations recommend means of improving the 350,000 movement of people and goods within, to, from and the City in the mode of choice, be it walking, cycling, public r 122 transportation or driving. 26 Westfield Road - Civic #2184 to Civic #2300 (275m). Road reconstruction Municipal (drainage control, curb and sidewalk Transportation Operations (north side), landscaping, expanded 1,175,00 foam asphalt resurfacing), including construction management services_ 123 Phase A2. Anglin Drive - Thornbrough Street to Sandy Point Road (including storm sewer on Pidgeon Terrace from Anglin Drive to end) Design services for storm sewer, Transportation Municipal curb, sidewalk, landscaping, cold milling, Operations paving_ Design in 2011 for construction 125,001, in 2013, design to consider local traffic calming measures and an assessment of the pedestrian crosswalk at Sandy Point 124 Road. 4 Curb & Sidewalk Renewal - Neighbourhoods -Various locations. Transportation Municipal Renewal of concrete curb and sidewalk Operations in conjunction with the annual asphalt 650,000 roadway maintenance and rehabilitation 125 Y program. Frederick Street - Rothesay Avenue to end. Street reconstruction (excavation, Transportation Municipal backfill, curb, sidewalk, landscaping, Operations paving), including design and 150,000 construction management services. 126 Asphalt Pavements $100,000 / 0.42LK Loch Lomond Road - Saint Catherine Street to Westmorland Road including Westmorland Road Intersection Road. Reconstruction (excavation, backfill, Municipal curb, sidewalk, utilities, traffic lights, Transportation Operations landscaping, paving) in conjunction with 805,000 road realignment as part of the One Mile Interchange project; including land acquisition and construction management services. Will seek to 127 tender as part of D.O.T. contract Seaton Street - Rothesay Avenue to end. Street reconstruction (excavation, Transportation Municipal backfill, curb, sidewalk, landscaping, Operations paving), including design and 140,000 construction management services_ 128 Asphalt pavements $100,000 / 0.42LK Upland Road -John T. McMillan Avenue to Reading Crescent. Street Municipal reconstruction (excavation, backfill, Transportation Operations curb, sidewalk, landscaping and paving) 155,000 including design and construction management services. Asphalt 129 pavements $85,000 / LK 0.33 27 Westmorland Road -At Loch Lomond Road intersection Intersection. Reconstruction to be done in Transportation Municipal conjunction with construction of One - Operations Mile House Interchange including land 250,00( acquisition, design and construction management services. Will seek to 130 tender as part of D.O.T. contract. Westmorland Road - Kervin Road to Golden Grove Road. Street Municipal rehabilitation(curb, sidewalk and Transportation Operations landscaping), including design and 350,00( construction management services, in conjunction with asphalt resurfacing 131 (operating budget) Whipple Street -Sea Street to Fundy Drive. Street reconstruction (excavation, backfill, curb, sidewalk, landscaping and Municipal paving) along with access improvements Transportation Operations to Beaconsfield School, including design 400,000 and construction management services. Street asphalt pavement width to be narrowed. Asphalt pavements $160,000 132 / 0.61LK Somerset Street - (RDH) - Wellesley Avenue to Samuel Davis Drive Street. Transportation Municipal Reconstruction (storm sewer, Operations excavation, backfill, curb, sidewalk, 350,000 1,100,000 landscaping), including design and 133 construction management services Adelaide Street -Victoria Street to Visart Street Street. Reconstruction Municipal (excavation, backfill, curb, sidewalk, Transportation Operations landscaping and paving), including 490,000 design and construction management services. Asphalt pavements $360,000 / 134 1.42LK. Golden Grove Road - Dresden Avenue to Essex Street East (May need to reduce Municipal scope) Road reconstruction (excavation, Transportation Operations drainage control, curb, sidewalk, 1,650,000 landscaping, paving), including design and construction management services. 135 Asphalt pavements $770,000 / 3.00LK Loch Lomond Road - Between Commerce Drive and Old Champlain ! Transportation Municipal Drive. Slope remediation - slope the area Operations between the curb and existing guide rail 100,000 towards the road and resurface this area 136 with asphalt. Roundabout Analysis - Rothesay Avenue. Engineering services to evaluate Transportation Municipal potential for a traffic roundabout at Operations Rothesay Avenue/Ashburn Lake 40,001 Road /Retail Drive and preparation of a 137 conceptual design report. /: Municipal Trails and Bikeways - Various. Design Transportation and construction of projects from the Operations Trails and Bikeways Master Plan 100,001 138 Waterfront Waterfront Land Acquisition - CCG 2nd and Final 139 Development Development Phase 1,968,00+ Waterfront Waterfront 140 Development Development Expansion Joint #2 - Smythe Street 160,001 Waterfront Waterfront 141 Development Development Boardwalk Area refurbishment 50,001 Waterfront Waterfront CCG -Administration Bldg: HVAC 142 Development Development design /engineering 75,001 Waterfront Waterfront 143 Development Development Waterfront Eco -Hub infrastructure development 40,001 Waterfront 144 Development Development Loyalist Plaza & North Market Slip 40,001 Waterfront Waterfront CCG - Administration Bldg: interior 145 Development Development renovations 30,001 Waterfront Waterfront _ 146 Development Development Site Re- Development /Construction 80,001 Waterfront Waterfront CCG - Administration Bldg: Sewer /water 147 Development Development hook -up 70,001 Waterfront Waterfront CCG - Administration Bldg: 148 Development Development interior /exterior signage 10,001 Waterfront Waterfront CCG - EA, Legal, Real Estate, engineering 149 Development Development professional services 200,001 GRAND TOTAL 4,814,202 34,470,36! 29 Appendix "D" — The 2012 General Capital Fund Budget Project CATEGORY DEPARTMENT DESCRIPTION BUDGET- BUDGET - # OTHER SHARE CITY SHARE 1 Corporate IT MediaSolve - New Police HQ 7,000 2 Police HQ IT Implementation Team - Corporate IT New Police HQ 62,500 3 Peel Plaza Connectivity - Fiber Corporate IT Installation (in CH) 12,000 4 Corporate IT Mobile Device Security 18,000 5 Corporate IT Fleet Management System 140,000 6 Corporate IT IBM AS400 Upgrades 10,000 7 Corporate IT Sewer Video System and Storage 10,000 8 Corporate IT Tape library (Combined) 40,000 9 Corporate IT Citrix /Virtual Desktop Software 10,000 10 Corporate IT Website - Tools, upgrades 10,000 11 Corporate IT Replace VMWare FS1 ESX 17,000 12 2 User Switches - City Hall and Corporate IT Rothesay Ave. 15,000 13 Corporate IT VMware ESX - Police 13,500 14 Corporate IT Disk Storage Expansion - City 10,000 15 Corporate IT Disk Storage Expansion - Police 10,000 16 10 WiFI Access Points Rothesay Corporate IT Avenue 5,000 17 HTE Professional Services (upgrades Corporate IT and implement new features) 20,000 18 Corporate IT SQL Server 8,000 19 Corporate IT SQL Server 8,000 20 Corporate IT VMware ESX - City 13,500 21 Corporate IT Exchange - Store 10,500 22 Desktop Computers (Chargeback Corporate IT Program) 464,202 30 23 Economic Development Planning Development Incentive Program 100,000 24 Economic Saint John Barge Facility - Major infrastructure Development Industrial Park project in support of fabricators 100,000 Lorneville Hydro Extension - hydro 25 Economic Saint John looping from Coleson Cove to Paddy's Development Industrial Park Hill along King William. 50,000 26 Economic Saint John Spruce Lake Beautification - ongoing Development Industrial Park beautification 25,000 27 Economic Saint John McAllister Beautification - ongoing Development Industrial Park beautification 25,000 Materials & 28 Fleet Fleet Management 3 Packers 615,000 Materials & 29 Fleet Fleet Management Fleet replacement from Fleet Reserve 2,000,000 Materials & 30 Fleet Fleet Management 1 Pumper Truck (Fire) 500,000 Canada 31 Games Aquatic centre capital expenditure Municipally Aquatic (Earth Filters, Control actuators with owned Facilities Centre electronics, Energy Audit) 71,450_ Municipally Harbour 32 owned Facilities Station Evaporative Condenser 80,000 33 Municipally Harbour owned Facilities Station Phase 2 Fluorescent Lighting Retrofit 40,000 Municipally Harbour 34 owned Facilities Station Snow blower 10,000 Rockwood 35 Municipally Park Golf Rockwood Park Golf Course capital owned Facilities Course contribution 25,000 36 Municipally Saint John owned Facilities Arts Centre Carpet 15,000 37 Municipally SJ Free Public Renovations, signage, painting, Self owned Facilities Library check -out - West Branch 45,000 SJ Trade & 38 Municipally Convention Relocation & Renovation of Trade owned Facilities Centre Centre Sales Office 100,000 39 Parking Parking Commission Equipment and Signage 80,000 40 Parking Parking Commission Equipment and Signage 13,550 Real Estate & Sustainable Energy Management - 41 Facility Facility Miscellaneous Energy Management Management Management Measures 50,000 Real Estate & 42 Facility Facility Management Management Street Lighting- Replace Street Lights 50,000 31 Real Estate & North End Community Centre - 43 Facility Facility Building Renewal Program - Ph 2: Management Management Design consulting) 235,000 Real Estate & 44 Facility Facility Rothesay Avenue Fleet Services Management Management Garage - New Fire Alarm System 45,000 Real Estate & 45 Facility Facility Loch Lomond Community Centre - Management Management Replace Septic System 25,000 Real Estate & 46 Facility Facility Management Management Renewal of City -owned buildings 150,000 47 Recreation & Leisure Green Space Services Market Place West Phase 1 500,000 48 Recreation & Leisure Green Space Services Street Trees 60,000 49 Recreation & Leisure Facility Renewal Fund -to perform Green Space Services necessary repairs & replacements 700,000 Fire Dept. - Urban 50 Environment Equipment Renewal - Personal Safety Service Protective Equipment 62,500 Fire Dept. - Urban 51 Environment Equipment Renewal - Self Contained Safety Service Breathing Apparatus 56,000 Fire Dept. - 52 Urban Environment Equipment Renewal - Ropes and Safety Service Harnesses 28,600 Rodney Terminal - Supplemental Funding for renewal and structural 53 Storm Municipal lining of 380m of 2150mm diameter Operations CMP to include the installation of a 860,000 975,000 check valve to provide additional backflow prevention. Loch Lomond Road - Russell Street to Westmorland Road; Atlantic Avenue. Renewal of existing sections of storm 54 Storm Municipal sewer in conjunction with road Operations realignment as part of the One Mile 21,000 Interchange project; includes construction management services. Frederick Street - Rothesay Avenue to Municipal end. Install approx. 100m of new 55 Storm Operations 300mm storm sewer for separation, 6D,000 including design and construction management services 32 Seaton Street - Rothesay Avenue to Municipal end. Install approx. 90m of new 56 Storm Operations 300mm Storm sewer for separation, 50,000 including design and construction management services Allison Street - Milford Road to Francis Street. Replace existing 57 Storm Municipal 375mm storm sewer with new Operations 600mm storm sewer, including design 140,000 and construction management services. Storm Water Management - Brentwood - Boars Head Road Construction of stormwater detention Municipal pond on Caledonia Brook - High Pond 58 Storm "A ", including land acquisition, design Operations and construction management 1,140,000 services. Subject to environmental approvals. Project to be funded under G.T.F. Storm Water Management - Municipal Brentwood -Various locations 59 Storm Operations Property acquisition for construction 150 000 of stormwater detention ponds in ' various locations in MiRidgeville. 60 Saint John Transit Transit 2 Buses (Pre- approved in 2011) 900,000 61 Saint John Handi -Bus replacement (1 new Transit Transit paratransit vehicle) 100,000 62 Saint John Garage Equipment, Bus Stop & on Transit Transit Street Infrastructure 100,000 Westmorland Road - At Loch Lomond Road intersection. Reconstruction to Municipal be done in conjunction with 63 Transportation construction of One -Mile House Operations Interchange including land 25,000 acquisition, design and construction management services. Loch Lomond Road - Saint Catherine Street to Westmorland Road including Westmorland Road. Reconstruction (excavation, backfill, 64 Transportation Municipal curb, sidewalk, utilities, traffic lights, Operations landscaping, paving) in conjunction 80,000 with road realignment as part of the One Mile Interchange project; including land acquisition and construction management services. 33 Somerset Street - (RDH) - Wellesley Avenue to Samuel Davis Drive. 65 Transportation Municipal Reconstruction (storm sewer, Operations excavation, backfill, curb, sidewalk, 350,000 1,100,000 landscaping), including design and construction management services. Frederick Street - Rothesay Avenue to end. Street reconstruction 66 Transportation Municipal (excavation, backfill, curb, sidewalk, Operations landscaping, paving), including design 150,000 and construction management services. Seaton Street- Rothesay Avenue to end. Street reconstruction 67 Transportation Municipal (excavation, backfill, curb, sidewalk, Operations landscaping, paving), including design 140,000 and construction management services. Curb & Sidewalk Renewal - Neighbourhoods - Various locations. 65 Transportation Municipal Renewal of concrete curb and Operations sidewalk in conjunction with the 500,000 annual asphalt roadway maintenance and rehabilitation program. 69 Waterfront Waterfront CCG - EA, Legal, Real Estate, y Development Development engineering professional services 200,000 70 Waterfront Waterfront Development Development Boardwalk Area refurbishment 50,000 71 Waterfront Waterfront Development Development Expansion Joint #2 - Smythe Street 160,000 72 Waterfront Waterfront Development Development Eco -Hub infrastructure development 40,000 73 Waterfront Waterfront Land Acquisition — Coast Guard 2nd Development Development and Final Phase 1,965,000 TOTAL 4,814,202 11,216,100 - — � a' The 2012 General Fund Capital Budget The Foundation nf the Budget New capital expenditures limited to $io million (excluding the outstanding commitments to the new Police Headquarters) in order to reduce future debt repayment costs. Projects must align with the objectives and principles of PIanSJ and Council's priorities. All projects funded conditionally prior to 2012 were removed. Funds shall be used for the highest priority core City SAINT JOHN The Budget Making Process - 1 Each project description included: • The funding required (City and Other Share) • An assessment of the relative significance of the project in terms o Public or occupational health and safety; An existing contractual requirement; Whether the project is an identified Council priority; Whether co- funding or cost sharing is available; The strategic significance of the investment; Whether the investment will increase municipal revenues or reduce City operating expenses; SAINT JOHN The Budget Making Process - 2 Improved efficiency or effectiveness; Whether the investment protects City assets; and Whether the investment improves City services. • An evaluation of whether the project implements the City's municipal plan and is consistent with the vision, directions, and policies of Plan SJ. • Whether the project is linked to a project identified for funding in the Utility Capital Fund or is linked to another capital investment. • Each project was then ranked in order of priority based on all of the considerations identified. i SAINT JOHN The Funding Envelope New City Money Expenditures Approved in zoio and 2011 Total Amount Invested by the City Amount Invested by Others Total Investment in General Capital $1010001000 +$1134123007 $21,412,007 +$9,632,230 T $3l i O44, 237 SAINT JOHN Carry Forward Projects Underway CATEGORY Carry Forward -City Share Other share TOTAL BUILDING & ASSET PROTECTION $413,090 $413,090 CORPORATE $1701939 $170,939 ECONOMIC DEVELOPMENT $1,0361600 $1103600 RECREATION & GREEN SPACE $4711000 $4711000 SAFETY $2271366 $2271366 SOCIAL $1121821 $1121821 SPORTS $155,653 $1551653 STORM FLOOD CONTROL $215261472 $418181028 $7,344,500 TRANSPORTATION $2,2881021 $21288,021 Grand Total $7,4019962 $498189028 $ 12,219,990 Not Started Carry Forward to Proceed Category Carryover -City Share TRANSPORTATION $745,000 STORM (FLOOD CONTROL) $1,055,000 SOCIAL $956,.798 CORPORATE $40,000 TOTAL VALUE OF PROJECTS TO PROCEED $2,796,798 SAINT JOHN "Dre- App roved" ' ^"' Projects Purchase of a New Transit Buses Purchase of 3 New Packer Trucks for Solid Waste Collection Rodney Terminal Storm Fire Department Pumper Truck Coast Guard Site Legal, Real Estate and Other Costs Total $9001000 $615,000 $975,000 $500,000 $2,00,000 $3,190,000 S,AI \j )()B!\ The 2012 General Capital Program Waterfront 8% n Fleet 14% Technology 4% Recreation and Leisure io% Buildings, Equipment and Energy Economic 0 evelopment �% Drainage 39% Transportation 18% Transportation and Storm Water (Drainage) Total Investment in Transportation - $5.35 million Total Investment in Storm Water - sii.8 million Highlights Transportation - Garden Street, Rothesay Avenue, Westmorland Road, Loch Lomond Road, Somerset Street, curb and sidewalk work Storm - Honeysuckle, Rodney Terminal, Milford, Rr""flAT""A / "n VC! uAnrl Rl1t "kACntT AXT""11"/]kA-nrCb 1 rAA1r SAINT JOHN Buildings, Equipment and Energy Total Investment s1.8 million Highlights Buildings and Facilities - centres, Harbour Station, Investments in the community the Aquatic Centre, the Arts Centre, the Trade and Convention Centre, and the libraries Equipment - Investments in Parking Commission and Fire Department assets. Energy - Investments in energy audits and street lighting SAINT JOHN Recreation and Leisure Total Investment $2.9 million Hiiahli Facility Renewal - $700,00o and Market Place West (pending) -$500,000 Investments in Street Trees, arena improvements, projects in the South End and Crescent Valley. Nearly si million for the North End Community Centre. SAINT JOHN Technology and Fleet Total Investment in Technology s1.o6 million Total Investment in Fleet $4.215 million Highlights Technology - Fleet Management System, other system upgrades. Fleet - 3 packer trucks for solid waste, new fire truck, Z new transit buses, other vehicle replacement. Waterfront Development Total Investment $Z.543 million Highlights Acquisition of the balance of the Coast Guard Site - $1,968,000 Other Coast Guard site costs - $200,000 Other projects including Boardwalk refurbishment and Eco Hub - $250,000 SAINT JOHN Economic Development Total Investment $300,000 Highlights No new development incentive programs. Wind -up funds for incentive programs cancelled in 2011. $Z00,000 for Saint John Industrial Parks to leverage an additional investment of $785,000 from SJIPL to move the barge facility project forward, acquire additional land in Spruce Lake, extend electrical infrastructure in Spruce Lake, and carry out further improvements at Spruce Lake and McAllister. SAINT JOHN Unfunded Projects - 1 Transportation - ii of 17 projects unfunded Storm Water Management - 9 of 16 projects unfunded The new YMCA in Crescent Valley Crescent Valley infrastructure (related to housing plan) The Exhibition Association Field House The Paramount Theatre Restoration City Market Office Tower renovations Phase Z of the North End Community Centre Building Renewal Program Major renovations to the Trade and Convention Centre and the Canada Games Aquatic Centre The Fire Department Training Facility SAINT JOHN Unfunded Projects - 2 Further investments in Rainbow Park, Rockwood Park, an artificial turf field at Millidgeville North, Fallsview Park, Reversing Rapids and Shamrock Park Elimination of the majority of the funding for the Customer Service Project (the centralized service model) The purchase of additional transit buses (Z additional buses will not be purchased) Funding to improve the Coast Guard administration building and site preparation work for the Coast Guard site The Path Forward Utility Capital Budget -Two weeks after approval of the General Capital Budget and aligned with this budget. Five Year Capital Budget Four weeks after approval of the General Capital Budget. Must be appended to the new Municipal Plan. SAINT JOHN Recommendations That Common Council: • Approve the 2012 Capital Budget for the General Fund in the amount of $16,030,302 (gross) with contributions from other sources of $4,814,202 yielding a capital budget in the amount of $11,216,ioo (net) as set out in Appendix `D'. That Common Council adopt the following resolutions: • That the overall funding envelope for the 2012 Capital Budget for the General Fund be fixed and there shall be no new projects added to the 2012 capital program without finding the required funding from the fixed envelope. That Common Council not pre- approve any project for inclusion within the 2013 capital program without first making any consequential revisions necessary to the five -year capital budget. SAINT JOHN Conclusions The 2012 General Fund Capital Budget: Strategically uses the City's very limited financial resources; Makes substantial investments in Saint John's community assets, hard infrastructure, and quality of life infrastructure; Positions the community for population and economic growth; Is fully consistent with P1anSJ; and Distributes investments across all parts of the City. r3.2, ON City Hall P.O. Box 1971 15 Market Square Saint John New Brunswick Canada E2L 4L1 February 27, 2012 Your Worship, Deputy Mayor and Councillors: E Subject: Committee of the Whole — Recommended Appointments to Committeeistty of Saint John The Committee of the Whole, having met on February 27 2012, adopted the following resolution: RESOLVED that as recommended by the Nominating Committee, having met on February 23 2012, Committee of the Whole recommends that Council makes the following appointments to Committees: Heritage Development Board: to appoint Dr. Elizabeth McGahan to replace Grant Heckman and re- appoint Colin Waldschutz for a three year term from February 2, 2012 to February 2, 2015. Leisure Services Advisory Board: to appoint Dr. Theresa Koppert, Daryl Steeves and Derrick Mitchell, and to re- appoint Andrea Garland for a three year term from February 27, 2012 to February 27, 2015. City of Saint John Non - Profit Housing Committee: to re- appoint Sandy Bastarache for a three year term from February 27, 2012 to February 27, 2015. Saint John Parking Commission: to appoint Lori Byrne for a three year term from February 27, 2012 to February 27, 2015. Planning Advisory Committee: to appoint David Drinnan for a term from February 27, 2012 to January 1 St, 2014. PRO Kids: to appoint Patrick Darrah, Michael Whelton and Charlie Swanton for one term ending on December 31, 2014 and to re- appoint Danny Jardine for one term ending on December 31, 2014. Saint John Free Public Library: to re- appoint Patti Chisholm for a three year term from February 27, 2012 to February 27, 2015. Rockwood Park Advisory Board: to appoint Derrick Mitchell for a one year term from February 27, 2012 to February 27, 2013. Saint John Energy: to re- appoint Councillor Titus for a three year term from March 15, 2012 to March 15, 2015. City Hall 15 Market Square Respectfully Submitted, Jonathan Taylor Assistant Common Clerk P.O. Box 1971 Saint John New Brunswick Canada P2L 4L1 A aIA111) City of Saint John REPORT TO COMMON COUNCIL 27 February 2012 ICA ,ot C His Worship Ivan Court and Members of Common Council city of saint John Your Worship and Councillors: SUBJECT: Commissioner Appointments The organizational realignment is founded on a key objective, "to create a service based, results oriented, high performance public service organization ". Council has approved the new organizational structure with six commissioner positions and the job descriptions for each position. The 2012 Operating Budget was developed in a service based format consistent with the new organizational structure. The new structure will not in itself achieve the desired objective. It is necessary to appoint highly competent and experienced individuals to the Commissioner positions. These individuals must function in a team environment while fulfilling their respective mandates. Commissioners have significant managerial responsibilities as department heads and exercise key leadership roles in the City structure. They occupy public positions that must demonstrate professionalism, trust, and competence to the citizens of the City of Saint John. Just as importantly, they are expected to regularly provide professional advice to the City Manager and policy advice to Common Council on a broad range of complex issues_ It falls to the City Manager to recommend appointments to these positions and it is the prerogative of Council to make the actual appointment. The purpose of this report is to recommend the appointment of four Commissioners. The four departmental areas under consideration include; Growth and Development Services — delivers services that support the community in achieving its long -term vision of having a diverse, vibrant, resilient and environmentally sound economy. Responsibilities include growth and planning services, permitting and inspection services, development support and geographic information systems. Ken Forrest, MURP, MCIP, RPP currently Commissioner of Planning and Development Services, is ideally suited to this role. He offers a strong planning and development background, has demonstrated effective leadership and municipal experience and has a clear understanding of how to achieve the PlanSJ outcomes while encouraging quality investment in the community. Finance and Administrative Services - enables the delivery of municipal services that are effective and efficient in meeting the needs of our community. The focus is on responsible financial management and sustainable life cycle management of the City's physical assets (fleet, facilities, real estate, purchasing and materials management). Greg Yeomans CGA MBA, currently Commissioner of Finance, is the most qualified candidate for this key position. He has the relevant professional accounting qualifications, has excellent financial management experience, has a solid understanding of the organizational demands as well as its capacity and has the leadership abilities to.take on a broader mandate responsible for the lifecycle management of the City's physical assets. Strategic Services — supports the organization in responding to constant change by employing strategic approaches to effective communication, collaborative service delivery, corporate planning and policy development, fostering productive intergovernmental relationships, maximizing the use of information technology and positioning human resources as a key element in building a high performance public service. Jacqueline Hamilton, MURP, MCIP, RPP currently Deputy Commissioner Planning and Development Services, has excelled in her role in the development of PlanSJ and has demonstrated her ability to work with the community, as well as both internal and external stakeholders in a collaborative manner while still achieving the desired outcomes. She has a broad range of experience in the municipal sector and has the strategic thinking skills and professional strength to lead significant change in the organization. Transportation and Environment Services and City Engineer - supports the community in achieving its long -term vision and goal of creating a green, attractive city where people can travel safely and easily. Services are delivered to provide an evolving array of convenient, comfortable, affordable and efficient modes of transportation. Services also focus on protecting our natural environment with the maintenance of outstanding parks, green and other public spaces, while promoting a shared commitment to environmental stewardship and keeping Saint John clean. William Edwards, BSc, PEng - currently serving as Commissioner of Buildings and Inspection Services and most recently assigned to lead construction of the Peel Plaza development. He has continued to assume increased responsibility throughout his engineering career and excelled in each assignment. His proven management skills coupled with his project management experience and his professional engineering qualifications make him an exceptional candidate for this assignment. His ability to get the job done in a complex multi- stakeholder environment will bring real value to this leadership position. Financial Implications The annual budget includes provision for the salaries of the Commissioner positions. Recommendations That Common Council adopt the following recommendations in order to make the appointments to the positions of Commissioner Growth and Development Services, Commissioner Finance and Administrative Services, Commissioner of Transportation and Environment and City Engineer and Commissioner of Strategic Services; Resolved that the attached job descriptions for the positions of Commissioner Growth and Development Services, Commissioner Finance and Administrative Services, Commissioner of Transportation and Environment and City Engineer and Commissioner of Strategic Services be approved, and; Resolved that the position of Commissioner of Finance is hereby deleted from the City Establishment; that the position of Commissioner of Finance and Administrative Services is hereby added to the City Establishment and further that Gregory Yeomans is hereby appointed to the position of Commissioner of Finance and Administrative Services pursuant to Section 74 of the Municipalities Act upon his same terms and conditions of employment at his current Group and Step in the Management Pay Scale, and; Resolved that the position of Commissioner of Planning and Development is hereby deleted from the City Establishment; that the position of Commissioner of Growth and Development Services is hereby added to the City Establishment and that Mr. Ken Forrest is hereby appointed to the position of Commissioner of Growth and Development Services, upon his same terms and conditions of employment and at Group 9 and Step F in the Management Pay Scale, and; Resolved that the position of Commissioner of Corporate Services is hereby deleted from the City Establishment; that the position of Commissioner of Strategic Services is hereby added to the City Establishment and further that Ms. Jacqueline Hamilton is hereby appointed to the position of Commissioner of Strategic Services upon her same terms and conditions of employment and at Group 9, Step B in the Management Pay Scale, and; Resolved that the position of Commissioner of Buildings and Inspection Services is hereby deleted from the City Establishment: that the position of Commissioner of Transportation and Environment Services and City Engineer is hereby added to the establishment and further that Mr. William Edwards is hereby appointed to the position of Commissioner of Transportation and Environment Services and City Engineer pursuant to Section 74 of the Municipalities Act at Group 9 and Step F in the Management Pay Scale. Respectfully submitted, \\P}}atrick Woods CGA Cry Manager Finance and Administrative Services - enables the delivery of municipal services that are effective and efficient in meeting the needs of our community. The focus is on responsible financial management and sustainable life cycle management of the City's physical assets (fleet, facilities, real estate, purchasing and materials management). Greg Yeomans CGA MBA, currently Commissioner of Finance, is the most qualified candidate for this key position. He has the relevant professional accounting qualifications, has excellent financial management experience, has a solid understanding of the organizational demands as well as its capacity and has the leadership abilities to take on a broader mandate responsible for the lifecycle management of the City's physical assets. Strategic Services — supports the organization in responding to constant change by employing strategic approaches to effective communication, collaborative service delivery, corporate planning and policy development, fostering productive intergovernmental relationships, maximizing the use of information technology and positioning human resources as a key element in building a high performance public service. Jacqueline Hamilton, MURP, MCIP, RPP currently Deputy Commissioner Planning and Development Services, has excelled in her role in the development of PlanSJ and has demonstrated her ability to work with the community, as well as both internal and external stakeholders in a collaborative manner while still achieving the desired outcomes. She has a broad range of experience in the municipal sector and has the strategic thinking skills and professional strength to lead significant change in the organization. Transportation and Environment Services and City Engineer - supports the community in achieving its long -term vision and goal of creating a green, attractive city where people can travel safely and easily. Services are delivered to provide an evolving array of convenient, comfortable, affordable and efficient modes of transportation. Services also focus on protecting our natural environment with the maintenance of outstanding parks, green and other public spaces, while promoting a shared commitment to environmental stewardship and keeping Saint John clean. William Edwards, BSc, PEng - currently serving as Commissioner of Buildings and Inspection Services and most recently assigned to lead construction of the Peel Plaza development. He has continued to assume increased responsibility throughout his engineering career and excelled in each assignment. His proven management skills coupled with his project management experience and his professional engineering qualifications make him an exceptional candidate for this assignment. His ability to get the job done in a complex multi - stakeholder environment will bring real value to this leadership position. Financial Implications The annual budget includes provision for the salaries of the Commissioner positions. Recommendations That Common Council adopt the following recommendations in order to make the appointments to the positions of Commissioner Growth and Development Services, Commissioner Finance and Administrative Services, Commissioner of Transportation and Environment and City Engineer and Commissioner of Strategic Services; Resolved that the attached job descriptions for the positions of Commissioner Growth and Development Services, Commissioner Finance and Administrative Services, Commissioner of Transportation and Environment and City Engineer and Commissioner of Strategic Services be approved, and; Resolved that the position of Commissioner of Finance is hereby deleted from the City Establishment; that the position of Commissioner of Finance and Administrative Services is hereby added to the City Establishment and further that Gregory Yeomans is hereby appointed to the position of Commissioner of Finance and Administrative Services pursuant to Section 74 of the Municipalities Act upon his same terms and conditions of employment at his current Group and Step in the Management Pay Scale, and; Resolved that the position of Commissioner of Planning and Development is hereby deleted from the City Establishment; that the position of Commissioner of Growth and Development Services is hereby added to the City Establishment and that Mr. Ken Forrest is hereby appointed to the position of Commissioner of Growth and Development Services, pursuant to Section 74 of the Municipalities Act upon his same terms and conditions of employment and at Group 9 and Step F in the Management Pay Scale, and; Resolved that the position of Commissioner of Corporate Services is hereby deleted from the City Establishment; that the position of Commissioner of Strategic Services is hereby added to the City Establishment and further that Ms. Jacqueline Hamilton is hereby appointed to the position of Commissioner of Strategic Services upon her same terms and conditions of employment and at Group 9, Step B in the Management Pay Scale, and; Resolved that the position of Commissioner of Buildings and Inspection Services is hereby deleted from the City Establishment: that the position of Commissioner of Transportation and Environment Services and City Engineer is hereby added to the establishment and further that Mr. William Edwards is hereby appointed to the position of Commissioner of Transportation and Environment Services and City Engineer pursuant to Section 74 of the Municipalities Act at Group 9 and Step F in the Management Pay Scale. Respectfully submitted, Matrick Woods CGA City Manager Commissioner, Growth and Development Services of Work As a member of the senior management team reporting directly to the City Manager, strategically lead the organization in being a high performance public service — one that is service- based, customer focused and resource conscious, and accountable. As a member of the team, ensure the collaborative and collective management of the organization by promoting change and innovation, fostering a culture around providing quality customer service, achieving results efficiently, building high performance teams, and enabling others to act. As the Commissioner of the Growth and Development Services team, provide strategic leadership in nurturing a positive, productive and collegial workplace focused on service excellence. This is accomplished by promoting the skills, coaching, mentoring and collaborative leadership required to inspire employees and produce a unified effort in quality service to our customers (public and internal). The Growth and Development Services team delivers services that support the community in achieving its long- term vision of having a diverse, vibrant, resilient, and environmentally sound economy. Services include providing guidance, direction and support for development that enhances quality of life for our residents by working to create new and renewed places where people want to live, work and invest. Key Result Areas As a member of the senior management team, enhance the ability of the City of Saint John to fulfill its service mandates; working collaboratively across the organization to ensure service delivery continues to address the needs of the community and is efficient. Consider Council's priorities in recommending corporate strategic priorities and directions for the organization; evaluating the extent to which progress is being made to ensure service delivery is customer focused and resource conscious. • Ensure that Common Council, through the City Manager, is provided with professional advice and options concerning emerging issues and policies to achieve their priorities. • Review all major corporate initiatives, policy changes, and changes to service delivery to ensure Common Council's priorities and corporate objectives can be achieved. • Endorse and provide leadership in the implementation of major organizational policy changes and other key initiatives; effectively communicating opportunities and issues impacting the organization across all service delivery areas. • Champion a service -based approach to the operating and capital budget process that incorporates long- term planning and measurement of outcomes to assist Council in making policy decisions about service offerings. • Strengthen ties between the Corporation, the City's agencies, boards and commissions (ABCs) and other organizations that share a commitment to the sustainable development of Saint John and the delivery of quality public service; ensuring there is alignment between the activities of these organizations and Council's priorities. • Strategically build organizational capacity to achieve corporate objectives through analysis, coordination, and innovation. • Encourage personal and professional development activities that foster a culture of collaboration and creativity; focusing on building relationships across the organization, external agencies (including ABCs), other levels of government, and the public in support of a positive, productive and collegial workforce. As the Commissioner of Growth and Development, build, lead and manage teams of professional, technical and administrative employees who deliver service in the areas of growth and community planning, permitting and inspection, heritage, infrastructure development, GIS and development support in order to; • Foster a commitment to quality customer service in the delivery of municipal services; ensuring courteous, knowledgeable, and responsive interactions with citizens that help to demonstrate the value of public investments (tax dollars) into the community. • Provide balanced direction and attention to all areas of responsibility within the organization unit. • Promote a collaborative and coordinated approach to service delivery, working with service areas across the organization as required, to more effectively and efficiently achieve community and organizational goals. • Fulfill regulatory requirements of the position in accordance with all relevant legislation including the roles of the Municipal Planning Director and the Development Officer pursuant to the Community Planning Act subject to the authority provided to the Building inspector appointed pursuant to the Municipalities Act and subject to the authority provided to the Heritage Officer appointed pursuant to the Heritage Conservation Act. • Ensure service objectives, policies and systems are aligned to efficiently address community needs. • Act as the lead contact with the City's relevant agencies, boards and commissions to coordinate strategic direction and service activities. + Approve the annual work plan for each service area in accordance with Council's Priorities and corporate strategic objectives; ensuring services can be delivered effectively within available resources. • Demonstrate accountability for service results by ensuring clear outcomes for service delivery are established, performance is measured and publically reported, and service improvement strategies are implemented. • Establish a comprehensive policy planning framework for Saint John that will guide the development and integration of community planning policies (inclusive of land -use, transportation, recreation and infrastructure planning). + Lead an aggressive planning policy program that strives to build strong and vibrant communities that considers the implications of a wide range of social, economic, physical and environmental issues; balancing the historic character of the community with future needs; constructing safe, accessible buildings and municipal infrastructure; and supporting diverse recreation opportunities. • Develop plans, policies and services that support land development, use and growth management in support of the community's long -term vision and goals for Saint John. • Manage future growth and change on a city wide basis by ensuring development processes support the City's planning policies and can be efficiently and consistently applied. • Establish linkages with the City's budget to ensure municipal investment supports the long term objectives of the City's municipal plan. • Develop capacity in recreation, transportation and infrastructure planning to support implementation of the City's municipal plan. • Integrating the City's development processes to ensure that planning, inspection and infrastructure requirements are clearly communicated to developers and applied in a responsible and efficient manner that improves the services provided to customers. • Ensure permitting and inspection processes are developed to confirm that building environments are safe and healthy for occupancy and proposed use; making sure standards identified in codes and related by- laws are applied consistently. + Ensure municipal infrastructure investments and servicing requirements for sustainable development is in accordance with community and neighbourhood plans, strategic direction and policies of the City of Saint John, Provincial regulations and sound engineering standards. • Provide advice and support to the development and business community that will help foster growth; supporting the economic viability of the community. • Manager the City's corporate investment in geographic information systems and data to support the delivery of services provided by the City of Saint John. Service Areas of Responsibility + Growth and Planning (policy and current planning (including land -use, transportation, recreation and infrastructure), heritage conservation, and development engineering) + Permitting and Inspection (permitting and inspection, by -law enforcement) • Development Support • Geographical Information Systems (GIS) Essential qualifications Certification: The incumbent shall be a full member of the Canadian Institute of Planners and a Registered Professional Planner and may possess other certifications) that will add value to the strategic nature of the position and meets essential legislative requirements. Experience: A minimum of ten years of progressively responsible and relevant experience in government or a large corporation is essential. Education: A university degree, preferable at the graduate level (i.e., Master's Degree), in a related discipline is required. Competencies As a member of the strategic leadership team the incumbent must demonstrative the following competencies: Strategic leadership: Developing and inspiring commitment to a vision of success; supporting, promoting and ensuring alignment with the organization's vision and values. More specifically, the incumbent provides leadership in the development of the vision and strategic objectives for the organization and aligns change initiatives with organizational values. Customer - f=ocus: Identifying and responding to current and future public needs; providing service excellence to both internal and external customers. More specifically, champions a strategic direction of being a customer - focused organization. Accountability: Understanding scope and responsibility in the delivery of public service. More specifically, charts the future direction of major components of municipal service and ensures alignment with strategic directions set by Common Council as well as stewardship of the best long term interests of the community. Collaboration: Building working relationships with others (including internal and external) to achieve common goals and positive results. More specifically, the incumbent facilitates collaboration across the organization and with other organizations. Innovation: Questioning status quo, exploring alternatives and responding to challenges with creativity using intuition, experimentation and fresh perspectives. This involves encouraging leadership and fostering creativity in others. More specifically, develops an environment that nurtures creative thinking, questioning and experimentation. Results- Orientation: Focusing personal and team efforts on achieving results consistent with the organization's strategic objectives. Communication: Listening to others and communicating in an effective manner that fosters open communication within the service stream and across the organization to foster a collaborative and productive workplace. More specifically, the incumbent communicates strategically to achieve specific objectives. Influence: Gaining support from and convincing others to advance the objectives of the organization. More specifically, the incumbent designs strategies that position and promote ideas and concepts to stakeholders. Developing Others: Providing a supportive environment for enhanced performance and professional growth to foster the development of others. More specifically, the incumbent creates a continuous learning environment ensuring there are opportunities for growth and development. Commissioner of Finance and Administrative Services Scope of Work As a member of the senior management team, strategically lead the organization in being a high performance public service — one that is service- based, customer focused and resource conscious, and accountable. As Commissioner of Finance the incumbent is the Chief Financial and Accounting Officer of the City and reports directly to the Common Council on financial matters. As a member of the senior management team, ensure the collaborative and collective management of the organization by promoting change and innovation, fostering a culture around providing quality customer service, achieving results efficiently, building high performance teams, and enabling others to act_ As the Commissioner of Finance and Administrative Services, provide strategic leadership in nurturing a positive, productive and collegial workplace focused on service excellence. This is accomplished by promoting the skills, coaching, mentoring and collaborative leadership required to inspire employees and produce a unified effort in quality service to our customers (public and internal). The Finance and Administrative Services team enables the delivery of municipal services that are effective and efficient in meeting the needs of our community. Service delivery focuses on responsible, strategic management of the City's finances, budgets, debt and pension plan and sustainable life -cycle management of the City's physical assets (including fleet, facilities, real estate, purchasing and materials management). Key Result Areas As a member of the senior management team, enhance the ability of the City of Saint John to fulfill its service mandates; working collaboratively across the organization to ensure service delivery continues to address the needs of the community and is efficient. • Consider Council's priorities in recommending corporate strategic priorities and directions for the organization and evaluate the extent to which progress is being made to ensure service delivery is customer focused and resource conscious. + The Treasurer acts as an advisor to Common Council and its Committees on all matters related to finance and accounting and ensures Common Council is aware of the financial implications of relevant strategic issues. + Undertakes research projects and makes appropriate policy recommendations to Council through the City Manager • Ensure that Common Council and its committees, are provided with sound professional advice and options concerning financial issues and policies to achieve their priorities. • Review all major corporate initiatives, policy changes, and changes to service delivery to ensure Common Council's priorities and corporate objectives can be achieved. • Endorse and provide leadership in the implementation of major organizational policy changes and other key initiatives; effectively communicating opportunities and issues impacting the organization across all service delivery areas. • Champion a service -based approach to the operating and capital budget process that incorporates long- term planning and measurement of outcomes to assist Council in making policy decisions about service offerings. + Strengthen ties between the Corporation, the City's agencies, boards and commissions (ABCs) and other organizations that share a commitment to the sustainable development of Saint John and the delivery of quality public service; ensuring there is alignment between the activities of these organizations and Council's priorities. + Strategically build organizational capacity to achieve corporate objectives through analysis, coordination, and innovation. • Provides financial advice and guidance to City Departments, Commissions, Boards and other City agencies, boards and commissions as required. • Encourage personal and professional development activities that foster a culture of collaboration and creativity; focusing on building relationships across the organization, external agencies (including ABCs), other levels of government, and the public in support of a positive, productive and collegial workforce. As the Commissioner of Finance and Administrative Services, build, lead and manage teams of professional, operation, technical and administrative employees who deliver service in the areas of financial management (accounting, treasury, and payroll, budgeting, financial reporting), pension administration, and asset management (fleet, real estate, facilities, purchasing and materials management, and insurance). • Foster a commitment to quality customer service in the delivery of municipal services; ensuring courteous, knowledgeable, and responsive interactions with citizens that help to demonstrate the value of public investments (tax dollars) into the community. + Provide balanced direction and attention to all areas of responsibility within the organization unit. • Promote a collaborative and coordinated approach to service delivery, working with service areas across the organization as required, to more effectively and efficiently achieve community and organizational goals. • Fulfill regulatory requirements of the Treasurer's position and the Pension Plan in accordance with all relevant legislation. • As treasurer of the City of Saint John Pension Plan ensures that the plan is properly managed, provides professional support/advice to the Board of Trustees, ensures compliance with all relevant regulations and legislation and keeps current on developments in pension legislation and administration. • Ensure service objectives, policies and systems are aligned to efficiently address community needs. • Act as the lead contact on financial matters with the City's relevant agencies, board and commissions to coordinate strategic direction and service activities. • Approve the annual work plan for each service area in accordance with Council's Priorities and corporate strategic objectives; ensuring services can be delivered effectively within available resources. • Demonstrate accountability for service results by ensuring clear outcomes for service delivery are established, performance is measured and publically reported, and service improvement strategies are implemented. • Ensure the strategic management of the financial affairs of the City; including the development of effective control measures for the protection of the City's assets and resources. • Ensure that financial management and accounting processes support the organization in realizing its mandate and are consistent with best practices. • Provide strategic, technical advice and direct financial services to all departments and a number of the City's agencies, boards and commissions (ABCs), as appropriate. • Provide the information necessary to make sound financial decisions and plan for the future, while meeting statutory financial reporting requirements. • Identify financial, operational and strategic risks of the organization and ensure there are effective risk management processes in place and put into practice. • Protect the public's interest against damage or liability claims that may occur as a result of the City's delivery of public services, enduring that insurance policies of the appropriate type and size are put into place and properly administered. • Co- ordinate supply management for the City including procurement, tendering, inventory and distribution, surplus sales, strategic supply chain support and asset disposal. • Develop corporate principles, policies and protocols that support the effective life -cycle management (governance, planning, acquisition and maintenance) of the City's fleet (equipment), land, and facility assets. Service Areas of Responsibility • Chief Financial and Accounting Officer of the City of Saint John, responsible for all financial Services (accounting, treasury, payroll, preparation of annual financial statements, development of long -term financial plans for the General Fund and Water and Sewerage Utility) • Treasurer City of City of Saint John Pension Plan (pension administration, financial reporting, legislative compliance, advice to Board of Trustees, advises on investment opportunities and proposed plan amendments). • Asset Management (fleet real estate, facilities, purchasing and materials management, insurance) Essential Qualifications Certification: The incumbent shall possess an undergraduate degree and appropriate professional Accounting designation (CGA, CA, CMA) and other certifications that will add value to the strategic nature of the position and meet essential legislative requirements. Experience: A minimum of ten years of progressively responsible and relevant experience in government or a large corporation is essential. Education: A university degree, preferable at the graduate level (i.e., Masters degree), in a related discipline is required. Competencies As a member of the strategic leadership team the incumbent must demonstrative the following competencies: Strategic Leadership: Developing and inspiring commitment to a vision of success; supporting, promoting and ensuring alignment with the organization's vision and values. More specifically, the incumbent provides leadership in the development of the vision and strategic objectives for the organization and aligns change initiatives with organizational values. Customer - Focus: Identifying and responding to current and future public needs; providing service excellence to both internal and external customers. More specifically, champions a strategic direction of being a customer - focused organization. Accountability: Understanding scope and responsibility in the delivery of public service. More specifically, charts the future direction of major components of municipal service and ensures alignment with strategic directions set by Common Council as well as stewardship of the best long term interests of the community. Collaboration: Building working relationships with others (including internal and external) to achieve common goals and positive results. More specifically, the incumbent facilitates collaboration across the organization and with other organizations. Innovation: Questioning status quo, exploring alternatives and responding to challenges with creativity using intuition, experimentation and fresh perspectives. This involves encouraging leadership and fostering creativity in others_ More specifically, develops an environment that nurtures creative thinking, questioning and experimentation. Results - Orientation: Focusing personal and team efforts on achieving results consistent with the organization's strategic objectives. Communication: Listening to others and communicating in an effective manner that fosters open communication within the service stream and across the organization to foster a collaborative and productive workplace. More specifically, the incumbent communicates strategically to achieve specific objectives. Influence: Gaining support from and convincing others to advance the objectives of the organization. More specifically, the incumbent designs strategies that position and promote ideas and concepts to stakeholders. Developing Others: Providing a supportive environment for enhanced performance and professional growth to foster the development of others. More specifically, the incumbent creates a continuous learning environment ensuring there are opportunities for growth and development_ Commissioner, Transportation and Environment Services and Chief City Engineer Scope of Work As a member of the senior management team reporting directly to the City Manager, strategically lead the organization in being a high performance public service — one that is service- based, customer focused and resource conscious, and accountable. As a member of the team, ensure the collaborative and collective management of the organization by promoting change and innovation, fostering a culture around providing quality customer service, achieving results efficiently, building high performance teams, and enabling others to act. As the Commissioner of the Transportation and Environment Services team and Chief City Engineer, provide strategic leadership in nurturing a positive, productive and collegial workplace focused on service excellence. This is accomplished by promoting the skills, coaching, mentoring and collaborative leadership required to inspire employees and produce a unified effort in quality service to our customers (public and internal). As the Chief City Engineer, has the primary responsibility to Council for the construction and maintenance of public works in the City of Saint John, including SJ Water, and exercises the authority provided in the Water and Sewer, Traffic, Solid Waste and Subdivision Bylaws_ The Transportation and Environment Services team delivers services that support the community in achieving its long -term vision and goal of creating a green, attractive city where people can get around safely and easily. Services are delivered to provide an evolving array of convenient, comfortable, affordable and efficient modes of transportation. Services also focus on protecting our natural environment with the maintenance of outstanding parks, green and other public spaces, while promoting a shared commitment to environmental stewardship and keeping Saint John clean. Key Result Areas As a member of the senior management team, Enhance the ability of the City of Saint John to fulfill its service mandates; working collaboratively across the organization to ensure service delivery continues to address the needs of the community and is efficient_ + Consider Council's priorities in recommending corporate strategic priorities and directions for the organization and evaluate the extent to which progress is being made to ensure service delivery is customer focused and resource conscious. • Ensure that Common Council, through the City Manager, is provided with professional advice and options concerning emerging issues and policies to achieve their priorities. • Review all major corporate initiatives, policy changes, and changes to service delivery to ensure Common Council's priorities and corporate objectives can be achieved. } Endorse and provide leadership in the implementation of major organizational policy changes and other key initiatives; effectively communicating opportunities and issues impacting the organization across all service delivery areas. • Champion a service -based approach to the operating and capital budget process that incorporates long- term planning and measurement of outcomes to assist Council in making policy decisions about service offerings_ Strengthen ties between the Corporation, the City's agencies, boards and commissions (ABCs) and other organizations that share a commitment to the sustainable development of Saint John and the delivery of quality public service; ensuring there is alignment between the activities of these organizations and Council's priorities. • Strategically build organizational capacity to achieve corporate objectives through analysis, coordination, and innovation. • Encourage personal and professional development activities that foster a culture of collaboration and creativity; focusing on building relationships across the organization, external agencies (including ABCs), other levels of government, and the public in support of a positive, productive and collegial workforce. As the Commissioner of Transportation and Environment Services and Chief City Engineer, build, lead and manage teams of professional, operational, technical and administrative employees who develop, plan and deliver service in the areas of roadway maintenance, sidewalk maintenance, pedestrian and traffic management, parks and public spaces maintenance (including recreation and sport facilities), stormwater management, solid waste collection, and engineering (Water, Sanitary, Transportation and Environment). • Foster a commitment to quality customer service in the delivery of municipal services; ensuring courteous, knowledgeable, and responsive interactions with citizens that help to demonstrate the value of public investments (tax dollars) into the community. • Provide balanced direction and attention to all areas of responsibility within the organization unit. • Promote a collaborative and coordinated approach to service delivery, working with service areas across the organization as required, to more effectively and efficiently achieve community and organizational goals. + Fulfill regulatory requirements of the City Engineer position in accordance with all relevant legislation. • Ensure service objectives, policies and systems are aligned to efficiently address community needs. • Act as the lead Engineering contact with the City's relevant agencies, board and commissions to coordinate strategic direction and service activities. • Provide professional engineering oversight and guidance for sustainable municipal infrastructure, including that of SJ Water, through the application of infrastructure asset planning, cost - effective engineering design, specification development, and construction coordination and management. * Develop and implement capital construction initiatives, providing engineering planning, design and project management for a number of capital projects to install or upgrade municipal systems including those of SJ Water. • Ensure quality standards and appropriateness of engineering plans, drawings and construction specifications are in compliance with all relevant standards, regulations, and certifications of approval to operate_ • Assess technical needs, issues and construction management and provide reports on engineering standards and programs. ■ Approve the annual work plan for each service area in accordance with Council's Priorities and corporate strategic objectives; ensuring services can be delivered effectively within available resources. • Demonstrate accountability for service results by ensuring clear outcomes for service delivery are established, performance is measured and publically reported, and service improvement strategies are implemented. • Ensure that services are planned and delivered to provide citizens with a reliable and integrated transportation network; allowing pedestrians, motorists and cyclists to move safely and efficiently in the city. • Oversee the implementation of the stormwater management strategy and related policies; ensuring maintenance activities are effective in protecting the City's infrastructure, property and the natural environment. • Ensure the collection of residential solid waste is effective and efficient. ■ Develop parks, open space and urban forestry related service level standards; ensuring maintenance operations meet these standards and are effective in improving the environmental health of the community while providing quality places for leisure activities. • Provide for the maintenance of facilities that provide citizens with access to a wide range of indoor and outdoor recreation and sport opportunities. • Enable research of innovative methods of maintaining infrastructure and delivering services; ensuring that service delivery is cost- effective in addressing community needs. • Promote environmental stewardship through education initiatives that highlight the value of our parks and open space, waste diversion and alternate modes of transportation. • Ensure planning, design and construction of capital improvements to transportation, water, sanitary and park related infrastructure supports the long -term sustainability and cost - effectiveness of these municipal assets in providing quality service. + Maintain design and construction standards for the City's civil infrastructure with an aim towards installation of cost - effective, enduring infrastructure throughout its life - cycle. Service Areas of Responsibility • Chief City Engineer • Roadway Maintenance • Sidewalk Maintenance • Pedestrian and Traffic Management • Stormwater Management • Solid waste Collection • Transportation and Environment Engineering (capital budget planning) • Water and Sanitary Engineering (collaborate with Sl Water on capital budget planning) • Parks and Public Spaces Maintenance (parks and playgrounds, green paces (right of ways), urban forestry, recreation and sport facilities) Essential Qualifications Certification: The incumbent shall possess a Professional Engineering Designation and other appropriate professional designations or certifications that will add value to the strategic nature of the position and meet essential legislative requirements. Experience: A minimum of ten years of progressively responsible and relevant experience in government or a large corporation is essential. Education: A university degree in a relevant engineering discipline, ideally with the completion of a complementary graduate program (i_e_, Masters degree) is required. Competencies As a member of the strategic leadership team the incumbent must demonstrative the following competencies: Strategic Leadership: Developing and inspiring commitment to a vision of success; supporting, promoting and ensuring alignment with the organization's vision and values. More specifically, the incumbent provides leadership in the development of the vision and strategic objectives for the organization and aligns change initiatives with organizational values. Customer- Focus: Identifying and responding to current and future public needs; providing service excellence to both internal and external customers. More specifically, champions a strategic direction of being a customer - focused organization. Accountability: Understanding scope and responsibility in the delivery of public service. More specifically, charts the future direction of major components of municipal service and ensures alignment with strategic directions set by Common Council as well as stewardship of the best long term interests of the community. Collaboration: Building working relationships with others (including internal and external) to achieve common goals and positive results. More specifically, the incumbent facilitates collaboration across the organization and with other organizations. Innovation: Questioning status quo, exploring alternatives and responding to challenges with creativity using intuition, experimentation and fresh perspectives. This involves encouraging leadership and fostering creativity in others. More specifically, develops an environment that nurtures creative thinking, questioning and experimentation. Results- Orientation: Focusing personal and team efforts on achieving results consistent with the organization's strategic objectives_ Communication: Listening to others and communicating in an effective manner that fosters open communication within the service stream and across the organization to foster a collaborative and productive workplace. More specifically, the incumbent communicates strategically to achieve specific objectives. Influence: Gaining support from and convincing others to advance the objectives of the organization. More specifically, the incumbent designs strategies that position and promote ideas and concepts to stakeholders. Developing Others: Providing a supportive environment for enhanced performance and professional growth to foster the development of others. More specifically, the incumbent creates a continuous learning environment ensuring there are opportunities for growth and development. City of Saint John Service Alignment Growth & Planning Services Permitting & Inspection Services Develnpment Support Geographic Information Systems July 14, 2011 Neighbourhood Roadway Drinking Financial Human Improvement Maintenance Water Management Resources Recreation and Sidewalk Industrial Pension Corporate Cultural Programming Maintenance Water Administration Planning Fire and Rescue Pedestrian and Traffic Wastewater Asset Intergovernmental Services Management Management Affairs Fmergency Stormwater Utility Business Corporate Management Management Management Communications Solid Waste Water & Sanitary Information Technology Collection Engineering Systems Transportation & Envir- onment Engineering Parks and Public Spaces 1 � ' 4 mm City Hall P.O. Sox 1971 15 Market Square Saint John New Brunswick Canada E2L 4L1 February 27, 2012 Your Worship, Deputy Mayor and Councillors: Subject: Committee of the Whole — Appointment of Fire Chief City of saint John The Committee of the Whole, having met on February 27th, 2012 adopted the following resolution: RESOLVED that the Committee of the Whole recommends that Kevin Clifford be appointed to the position of Fire Chief for the City of Saint John at Group 9 Step B of the Management Pay Scale. Respectfully Submitte , s Jonathan Taylor Assistant Common Clerk '� 5— City Hall 15 Market Square February 27, 2012 Your Worship, Deputy Mayor and Councillors: P.O. Box 1971 Saint John New Brunswick Canada E2L 4L1 Subject: Committee of the Whole — Termination — Employee Number 2381 ., City of Saint John The Committee of the Whole, having met on February 27th, 2012 adopted the following resolution: RESOLVED that Committee of the Whole recommends that Common Council authorize the payment of Career Transition Funding to the individual identified by Employee No. 2381 in an amount equal to ten (10) weeks of Employee No. 2381's current salary and benefits, which shall increase to three (3) months provided that the City Manager receives a satisfactory Full and Final Release in favour of the City on or before March 2nd, 2012. Scale. Respectfully Submitted, l Jonathan Taylor Assistant Common Clerk ��).a City Hall P.O. Box 1971 15 Market Square Saint John New Brunswick Canada E2L 4L1 February 27, 2012 Your Worship, Deputy Mayor and Councillors: Subject: Committee of the Whole — Water Committee Advice and Support 'L city of Saint John The Committee of the Whole, having met on February 27th, 2012 adopted the following resolution: RESOLVED that the Committee of the Whole recommends that the Agreement between the City and W.J. Hargrave & Company Inc. authorized by Common Council on the 19th day of December, 2011 -be amended by stipulating that the Consultant shall provide Services to the City of Saint John Water Committee (the Committee) in connection with the Action Plan for Safe Clean Drinking Water and also by providing that the Consultant shall assure, in consultation with the City Engineer that all work related to, and the delivery of all Services whether to the Committee or to the Civic Administration are undertaken and delivered in a coordinated and integrated fashion_ Respectfully Submitted, A -- Jonathan Taylor Assistant Common Clerk W City I [all 15 Market Square February 27, 2012 Your Worship, Deputy Mayor and Councillors: P.O. Box 1971 Saint john New Brunswick Canada E2L 4L1 :L City of Saint john Subject: Committee of the Whole — Career Transition Funding for Employee Number 2447 The Committee of the Whole, having met on February 27th, 2012 adopted the following resolution: RESOLVED that Committee of the Whole recommends that Common Council authorize the payment of Career Transition Funding to the individual identified by Employee No. 2447 equal to one -third of Employee No. 2447's current salary and benefits, on condition that the City Manager receives a satisfactory release in favour of the City on or before March 4th, 2012. Scale. Respectfully Submitted, A _� Jonathan Taylor Assistant Common Clerk 13- � Cite Hall 15 Market Square February 27, 2012 Your Worship, Deputy Mayor and Councillors: PO. Sox 1971 Saint John New Brunswick Canada B2L 4L1 Subject: Committee of the Whole — Existing Litigation c1b City of Saint John The Committee of the Whole, having met on February 27th, 2012 adopted the following resolution: RESOLVED that Committee of the Whole recommends that Common Council authorize the City Solicitor or his designate to add, by Third Party Claim under Rule 80 of the New Brunswick Rules of Court, Richard & Co. Architecture Inc. and MCW Consultants as Defendants in the action identified by New Brunswick Court of Queen's Bench Cause No. SISC/698/2011 between Viking Fire Protection Inc. (as Plaintiff) and W & S General Contractors Ltd. and The City of Saint John (as Defendants). Respectfully Submitted, Z_-O� -; < Jonathan Taylor Assistant Common Clerk