2020-08-13 Finance Committee Agenda Packet - Open SessionCity of Saint John
Finance Committee - Open Session
AGENDA
Thursday, August 13, 2020
5:00 pm
Meeting Conducted by Electronic Participation
1. Call to Order
2. Consent Agenda
Pages
2.1 2021 Utility Fund Operating Budget Timelines 1 - 2
3. Business Items
3.1 SJ Energy - Burchill Wind Project 3 - 16
3.2 2021 Draft Budget 17 - 42
3.3 Climate Change Adaptation Plan 43 - 66
3.4 SJ Transit Deficit 67 - 67
IT I
FINANCE COMMITTEE REPORT
Report Date August 11, 2020
Meeting Date August 13, 2020
Chairman Councillor Merrithew and Members of Finance Committee
SUBJECT: 2021 Utility Fund Operating Budget Timelines
OPEN OR CLOSED SESSION
This matter is to be discussed in open session of Finance Committee.
AUTHORIZATION
Primary Author
Commissioner/Dept. Head
City Manager
Craig Lavigne
Brent McGovern
John Collin
RECOMMENDATION
It is recommended that this report be received and filed.
EXECUTIVE SUMMARY
The purpose of this report is to provide the Finance Committee with an overview
of the proposed 2021 Utility Fund Operating Budget timelines.
PREVIOUS RESOLUTION
N/A
STRATEGIC ALIGNMENT
N/A
The purpose of this report is to provide the Finance Committee with an overview
of the proposed 2021 Utility Operating Budget timelines. The 2021 Utility Fund
will be a challenging budget with impacts of COVID 19 on commercial customers
likely to still be felt in 2021 and loss of revenue due to a closure of large
commercial customer that is planned for January 2021.
While revenues will undoubtedly be impacted, the 2021 budget will see a
significant reduction in the Utility's expenses particularly as it relates to its
workforce and along with other expenditure reductions will aim to balance out
the loss of revenues. Through departmental restructuring and significant
1
-2-
expense reductions there is a goal to provide some rate stability for ratepayers in
these uncertain times.
The proposed budget timeline is;
• October 21, 2020 - Draft 2021 Utility Fund Budget to Finance Committee
for Approval
• October 26, 2020 — Draft 2021 Utility Fund Budget to Common Council
for Receive and File
• November 9, 2020 — 2021 Utility Fund Budget to Common Council for
Approval and first and second reading
• November 23, 2020 — 2021 Utility Fund Budget to Common Council for
third reading
SERVICE AND FINANCIAL OUTCOMES
N/A
INPUT FROM OTHER SERVICE AREAS AND STAKEHOLDERS
N/A
ATTACHMENTS
N/A
1
sau,[/ohn
� jknerg,y
int John
_)rEn9r_yy
V_
COMMITTED
TO SAINT JOHN
SINCE 1922
JL"R1_WA.
As a community -owned energy company, we are proud of our service to Saint John.
Our reputation is built on our commitment to the city and our customers.
LOW RATES
Our rates are the lowest in Atlantic Canada, about a $10M savings for our
customers.
HIGH RELIABILITY
Outage frequency & duration among the lowest in the nation.
STRONG SATISFACTION
Customer satisfaction among the highest in the country.
4
Saint John Energy has bold
aspirations for the years
!7RlTJ
We are pursuing a strategy of
growth to ensure our customers
and the City of Saint John
continue to reap the benefits of
our low rates, our high
reliability and our commitment
to innovation.
Our strategy will grow
prosperity and jobs for Saint
John. It will propel innovation
here and beyond. And it will
sustain Saint John Energy into
the future.
A COMMITMENT TO
SUSTAINABILITY
We are proud to be the first utility in The Canadian Electricity Association
Eastern Canada to receive the bestows the designation in
Sustainable Electricity Company recognition of commitment to
designation. responsible environmental, social and
economic practices, and to the
principles of sustainable
development. ,intohn
Fm
y6
Burchill Wind Project: Economics
The below illustrates how wind energy can deliver savings to SJE
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Burchill Wind Project: SJE and Natural Forces
The below represents a high-level summary of the relationship between the utility and the wind developer
5air�rJolur
1� mural fr+os
rr the traditional electric wind farm ie. turbines and
Ownership distribution system to localized electrical
interconnect to the wind infrastructure
farm
Commercial Relationship
Operational Responsibility
Capital Infrastructure
Investment
buy the wind energy
maintain the distribution
system
-$15M
provide the wind energy
maintain the wind farm
-$60M
Burchill Wind Project: Financial Summary
The below represents a high-level financial summary of the Burchill Wind Project
Project Size: 10 Turbines: 42 MW
SJE Capital Investment: $15.7M
Project Commissioning: Q4 2022
r Free Cash Flow beginning in 2023: —$4M
L
Net Present Value: $68M
ICI
The financial benefits from the project will be:
• Used to protect low rates for customers
• Re -invested by the Utility to continue to
provide industry leading reliable service
• Used to contribute to a CSJ dividend if
enabled in legislation by the provincial
government
Burchill Wind Project: Other Benefits
Below is a list of some other benefits associated with the project over its life
• —$32M of project expenses staying in the Province
• >$11M of taxes and land royalties paid to the municipal and provincial governments
• —$168k in property tax per year
• +100 jobs during construction and —5 full-time jobs for life of project
• —15% of energy from local renewable source
• Local ownership potential with Community Economic Development Corporation
• The Burchill infrastructure investment will support industrial load and future renewable
energy development in the Industrial park ie. community solar, storage, etc...
Burchill Wind Project: Risk Mitigation
The below represents a high-level summary of risk mitigation
• Energy Price: Fixed for term (no escalation)
• Contract Term: 25 years with option to extend for 5 additional years
• Redevelopment following term: SJE has first option at end of term
• Construction Performance Security from Developer: $11VI
• Liquidated Damages: compensation for any delay beyond Dec 2022
Minimum Guarantee: min Net Annual Output (MWh) achieved, otherwise Performance
damages paid by Seller
Burchill Wind Project: SJE COVID Considerations
The below represents a high-level financial summary related to COVID
• Given the uncertainty of the financial impacts of COVID, SJE took prudent steps to explore
internal and external options to effectively manage the business.
• SJE developed a plan to address up to a 10% reduction of sales volume and customer
payment deferrals that would impact receivables by over $3M by the end of July.
• SJE reduced operating expenses, and capital spending to address these challenges.
• The impact to SJE has been more favorable than what was planned for. Sales volume
reductions never reached a 10% reduction and have been improving. At the end of June,
sales volume was 2% less than last year and the negative impact to receivables was —50%
more favorable than planned for.
• COVID has delayed the Burchill project by approximately 12 months.
Burchill Wind Project: Timeline
The below represents a high-level summary of the Burchill Wind Project progress
' 2003 — 2008
• SJE and UNB collected five years of wind data from the Burchill location
• 2017
• SJE licensed the Burchill property from RDC exclusively for further project studies
• SJE initiated studies related to the project potential (Deloitte, WSP, Enercon, and Fundy)
• 2018
• 95% of SJE customers polled supported SJE pursuing the development of renewable energy
• Further studies completed by Hatch and CBCL
• 14 wind developers responded to an expression of interest, confirming favorable project economics
• 2019
• Twenty-three proposals received in response to the Request for Proposal (RFP)
• Project awarded to Maritime based company Natural Forces
• NB Power completes feasibility study
• Common Council approved the Community Energy Plan which included Burchill's GHG benefits
• 2020
• SJE Board approves distributed generation policy that enables Burchill
• Natural Forces completes two community open houses in Lorneville
• NB Power completes system impact study and facilities study allowing the project to proceed
• SJE Board approves borrowing and signing the power purchase agreement with Natural Forces
Alternative
274 Main Street
Antigonish, NS
B2G2C4
August 5, 2020
Common Clerk's Office
City Hall
PO Box 197L
Saint John, NB
E2L4L1
To members of Com mon Council,
Alternative Resource Energy Authority (AREA), is a partnership between the Towns of Antigonish, Berwick
and Mahone Bay. The towns each operate electric utilities and distribute powerto customers within
their service areas_ The organization is structured to furtherthe clean technology pursuits of its
municipal owners, along with other municipalities in N.S.
At the Ellershouse Wind Farm the Alternative Resource Energy Authority (AREA) operates 10 Ener€on
W nd turbines near the community of Ellershouse, Nova Scotia_ The maximum output afthe farm is 23.15
MegawattiThe Ellershouse Windfarm supplies 4096afthe annual energy requirements forthe municipal
electric utilities of Berwick, Mahone flay and Antgonish and the M eport Electric Light Commission.
The total investment in excess of $51 million, was signifca nt, for our Communities of nearly 10 004
residents. The 1Yndfarm has continued to exceed its production expectations and provedto be a very
successful projertfnr AREA and its municipal owners_ The success of the Ellersh Ouse Wi ndfaern has
allowed usto develop plans for expansion of our renewable energy portfolio to i nclude community solar
and eventua Ily energy storage.
Saint John Energy`s campertikive procurement approach to purchase wind energy from a third party
mitigates investment riskyet will realize many afthe same financial and environmental benefits for your
community.
Based an our experiences, I would encourage Comman Coun€iI to supportSairtJohn Energy in their
efforts to enable renewable energy in your commu nity.
Regards,
.r
Aaron Long
Director of Business Services
Summemide FIA-ctri€
94 Wawa Streit
Summerside, PEI
C1N 1W3
August 5, 2020
Common Clerk's Office
City Hall
PC i3ox 1971
Salot John, NEI
f2L4U
To members of Cowmod Council,
In 200S. The City of 5ummerside deployed four turbines with 3 nameplate capacity of 12 N1 W, which we
contrnue to own and operate to this day. of thE? tataf $29 3 million project cost, Infrastnicture Canada funding
provided S12.8 million ar+d the remaining investment of $15,5 million was a signifreant investment (Of Our
community of 15,0na people- r am pleased to report that this project has been a very favourable project for our
municipality, created permanent 1G001 Ohs and injects 52 mlIlion (net of debt servicing) per year into the
community, Based on that projects WCCessr we have expanded our develapmenI efforts to include 5Jgmficant
investments into our current S65 miffl4n solar and storage project.
Saint Jahn Energy's competitive procurement approach to purchase wind energy from a third party Mitigates
investment risk yet will realize many of the same financl l and errvironmental benefits for your community
Based oa our erpeiiemces, r would encourage Common Council to support Saint Jahn Energy in their efforts to
enable renewable energy in your community,
Regards,
Gerald Glroux, PEng, &Sc
Acting OIractor of M un le ipal Services
15
It is recommended that:
1.
The
Finance
Committee
endorse the
Burchill Wind project;
2.
The
Finance
Committee
recommend
Common Council approve the debenture application
respecting Saint John Energy projects;
3. The Finance Committee recommend Common Council direct staff to enter into a debt repayment
agreement with Saint John Energy to repay the City for any principal and interest payments on
debentures associated with Saint John Energy projects in addition to an administration fee;
4. The Finance Committee recommend Common Council direct staff of the City of Saint John and
Saint John Energy to bring forth a Dividend Agreement that reflects the flow of dividends from the
growth agenda;
5. The Finance Committee recommend Common Council direct the City Manager to request the
Province of New Brunswick to make necessary legislative changes to allow the City of Saint John
to obtain a dividend from Saint John Energy.
16
The City of Saint John
Operating Fund by Service Area
December 31, 2021
2021
2020
Budget
Budget
Revenues
Property Taxes
127,730,619
125,842,974
PILT Adjustment
-
1,185
Equalization & Unconditional Grant
17,204,756
17,204,756
Financial Assistance
-
9,293,235
Surplus 2nd Previous Year
-
-
Growth & Community Development Services
3,768,545
4,968,607
Transportation & Environment Services
3,773,749
4,094,853
Public Safety Services
2,451,188
1,975,300
Utilities & Infrastructure
332,039
192,514
Finance & Adminstrative Services
2,786,000
3,135,000
Total Revenues
158,046,896
166,708,424
Expenditures
Growth & Community Development Services
15,483,648
17,874,246
Transportation & Environment Services
38,587,208
41,887,339
Public Safety Services
54,635,169
57,425,302
Utilities & Infrastructure
5,625,504
4,019,478
Finance & Administrative Services
10,054,765
10,336,783
City Manager
3,224,617
3,245,058
Other Charges
30,435,985
31,920,218
Total Expenditures
158,046,896
166,708,424
Surplus (Deficit) - -
17
1
The City of Saint John
Operating Fund by Service Area
December 31, 2021
2021
2020
Budget
Budget
Revenues
Property Taxes
127,730,619
125,842,974
PILT Adjustment
-
1,185
Equalization & Unconditional Grant
17,204,756
17,204,756
Financial Assistance
-
9,293,235
Growth & Community Development Services
3,768,545
4,968,607
Transportation & Environment Services
3,773,749
4,094,853
Public Safety Services
2,451,188
1,975,300
Utilities & Infrastructure
332,039
192,514
Finance & Adminstrative Services
2,786,000
3,135,000
Total Revenues
158,046,896
166,708,424
Expenditures
Growth & Community Development Services
Growth & Community Planning Services
1,612,509
1,716,242
Development Services
102,884
121,345
Development Engineering
362,645
625,296
Community Development
473,101
259,186
Animal Control
91,244
91,244
Dangerous and Vacant Building Program
472,032
501,524
Minimum Property Standards
297,895
285,085
Heritage Conservation Service
195,630
194,358
Cultural Affairs
126,031
124,110
Other By -Laws
425,278
413,596
Permitting & Inspection Services
1,040,806
1,061,368
Regional Economic Development
-
475,000
Destination Marketing (Tourism)
-
2,018,608
Develop Saint John
-
838,727
Regional Economic Development Agency
2,175,000
Market Square
2,250,000
2,488,248
Saint John Trade & Convention Centre
572,270
586,193
Imperial Theatre
344,165
367,285
Saint John Aquatic Centre
400,000
625,821
Saint John Arts Centre
152,920
139,471
TD Station
564,810
602,519
Library
472,892
497,892
City Market
1,022,824
1,012,480
Arts & Culture Board
70,000
70,000
Public Art Maintenance & Repair
16,000
16,000
Remembrance Day
1,500
1,500
18
2
The City of Saint John
Operating Fund by Service Area
December 31, 2021
2021
2020
Budget
Budget
Growth & Community Development Services (Continued)
New Year/Canada Day Celebrations
15,000
15,000
Acadian Games
-
19,750
PRO Kids
19,163
124,940
Succeed & Stay
205,863
200,343
Local Immigration Partnership
89,863
Carleton Community Center
182,700
190,211
Loch Lomond Community Center
45,000
45,000
North End Community Center
169,589
167,083
Recreation Programming
544,953
663,842
Neighbourhood Development
152,000
152,000
YMCA-FGCC/MCC - Contracted Services
137,661
135,627
Boys and Girls Club - Contracted Services
139,950
137,882
Unspecified Grants
184,000
184,000
Lifeguards
181,000
181,000
Play SJ
15,000
15,000
Lord Beaverbrook Rink
159,470
159,470
Growth Reserve
-
350,000
Total Growth & Community Development Services
15,483,648
17,874,246
Public Safety Services
Fire Rescue and Suppression Service
22,124,187
23,776,029
Fire Training
1,000
1,359
Medical First Responders
-
17,830
Technical Rescue Response
46,256
75,850
Hazardous Materials
72,626
103,312
Fire Prevention
856,920
866,034
Fire Investigation
61,647
70,931
Emergency Management Services
341,535
336,152
Water Supply and Hydrants
2,500,000
2,500,000
Public Safety Communications Center
2,577,754
2,583,013
Street Lighting
959,982
999,159
Police Adminstration
1,893,381
2,023,778
Criminal Investigations
4,264,066
4,645,588
Police Commission
112,052
162,052
Automotive Equipment
1,059,833
1,000,500
Support Services 1,949,931 1,920,869
Dentention 174,000 174,000
Police Operations 14,695,871 15,212,146
Stations and Buildings 944,128 956,700
Total Public Safety Services 54,635,169 57,425,302
19
3
The City of Saint John
Operating Fund by Service Area
December 31, 2021
2021
2020
Budget
Budget
Transportation & Environment Services
Snow Control Streets
5,311,773
5,700,022
Street Cleaning
1,629,701
1,556,365
Utility Cuts
710,263
727,403
Street Services - Surface Maintenance
8,533,140
7,122,040
Snow Control Sidewalk
917,182
1,101,593
Sidewalk Maintenance
587,428
793,399
Pedestrian & Traffic Management Service
1,986,389
2,241,753
Stormwater Management
-
3,643,330
Solid Waste Management
3,760,663
3,781,035
Regional Services Commission
20,000
20,000
Landscape - Parks & Open Spaces
2,047,995
2,310,698
Rockwood Park
407,788
571,447
Urban Forestry
313,445
313,565
M ispec
-
5,000
Saint John Horticultural Association
40,000
40,000
Arena Operation & Maintenance
1,168,546
1,568,144
Sportsfield Operation & Maintenance
1,195,592
1,393,873
Other Facilities Operation & Maintenance
406,222
449,103
Parking Administration
581,470
616,756
Transit Debt
1,961,195
2,037,026
Transit Subsidy
5,044,787
5,894,787
Fleet Stockroom
272,284
Stormwater Rural
1,691,345
-
Total Transportation & Environment Services
38,587,208
41,887,339
Utilities & Infrastructure
Engineering
914,136
572,934
Carpenter Shop
324,231
324,236
Facilities Management
1,408,663
1,476,376
Police Headquarters
-
-
City Hall Building
1,039,587
1,225,211
GIS
376,224
420,721
Stockroom
269,413
-
Stormwater Urban
1,293,250
-
Total Utilities & Infrastructure 5,625,504 4,019,478
20
4
The City of Saint John
Operating Fund by Service Area
December 31, 2021
2021
2020
Budget
Budget
Finance & Administrative Services
Finance
1,176,140
1,640,459
Assessment
1,388,221
1,367,705
Supply Chain Management
407,376
1,207,895
Human Resources
1,826,083
1,565,654
Information Technology
3,073,774
2,966,799
Corporate Planning
311,448
503,224
Corporate Communications
573,001
573,547
Insurance
118,280
171,500
Liability Insurance
340,000
340,000
Customer Service
840,442
-
Total Finance & Administrative Services
10,054,765
10,336,783
City Manager
City Manager's Office
779,825
800,584
Mayor's Office
216,333
218,130
Common Council
519,902
549,067
Common Clerk
594,499
605,438
Legal Department
936,521
795,948
Real Estate
177,537
275,891
Total City Manager
3,224,617
3,245,058
Other Charges
Fiscal Charges
15,941,014
16,650,273
Deficit 2nd Previous Year
214,971
119,915
Landfill Closure
300,000
300,000
Special Pension Contributions
8,875,000
9,575,000
Long -Term Disability
550,000
661,572
Restructuring
-
2,040,000
Transfer to Capital Reserves
650,000
-
Transfer to Operating Reserves
905,000
550,000
Other Charges
-
23,458
Capital from Operating
3,000,000
2,000,000
Total Other Charges
30,435,985
31,920,218
Total Expenditures 158,046,896 166,708,424
Surplus (Deficit) - -
21
5
1r
1'
gg
R
I
City of Saint John
2021 Draft General Operating Budget
August 13, 2020
SAINT JOHN
22
• August 13: First Draft General Operating Budget to Finance
Committee for receive and file
• August 17: Draft General Operating Budget to Common Council
for receive and file
• August 31: Draft General Operating Budget to Common Council
for Approval
23 Q--)-
SAINT JOHN
• Property Tax Revenue assumes 1.5% increase over 2020
• Assumes Unconditional Grant remains the same as 2020
• 2021 Budget includes no short term Provincial Financial
Assistance;
• Structural deficit has been eliminated
$6.OM reduction in work force cost
Approx. $4.OM of reduction addressed though Sustainability
Initiative approved by Council throughout 2019 and 2020
• COVID 19 will continue to have an impact on the City's
finances and budget and includes a transfer to an operating
reserve to ensure financial flexibility around the uncertainty
of COV I D 19.
24 ram-_
SAINT JOHN
The 2021 General Fund Operating budget was
prepared based on the principles, policies and
financial targets in the long term financial plan.
Financial targets met in 2021 budget
• Eliminate deficit of $10 million in 2021
• Maintain reserves at a minimum of $2 million
at all times A/
• Keep annual wage escalation in line with tax
base growth 40/
• Address the infrastructure deficit and reduce
debt by increasing Pay -as -you -Go investment Y
25 Q--)-
SAINT JOHN
• 2021 Draft Operating Budget includes $3.OM for pay as you
go. ($2.OM in 2020)
• Continue to put more money into pay as you go for roads.
(Note: This is not an increase in road investments, only
reducing amount needed be borrowed)
6.00
5.00 .
4.00
33.4
.00
2.00
1.00
2013 2014
Budget Budget
Pay as you go for roads in millions
3.12
1.77
1.35 1.37
2015 2016
Budget Budget
2017
Budget
26
5.10
-Z 3.37
2.37
2018 2019 2020
Budget Budget Budget
2021
Budget
Q--)-
SAINT JOHN
170.00
I
165.00
160.00
155.00
150.00
145.00
140.00
135.00 -
General Fund Operating Budgets 2013-2021
147.90 148.77
2013 2014
Budget Budget
$ in Millions
154.02
151.52
151.14
156.09
166.71
160.26
158.05
2015 2016 2017 2018 2019 2020 2021
Budget Budget Budget Budget Budget Budget Budget
27 r�
SAINT JOHN
2021 Draft 2020 Approved
Budget Budget
Recurring Revenues
Property Taxes 127,730,619 125,842,974
Unconditional Grant 17,204,756 17,204,756
Own Source Revenues 13,1 1 1,521 14,367,459
158,046,896 157,415,189
Recurring Expenses
Wages & Benefits
86,167,181
92,197,000
Goods & Services
38,016,021
37,572,518
ABCs and Grants
12,852,709
15,255,260
Principle & Interest
15,941,014
16,650,273
Pay as you Go
3,000,000
2,000,000
Transfer to Reserves
1,555,000
550,000
Other (Landfill, Restructuring
300,000
2,363,458
157,831,925
166,588,509
Structural Deficit 214,971-9,173,320
Non Recurring Items
Carry Over Surplus/Deficit-214,971-119,915
Financial Assistance
New Deal 0 9,293,235
f
SAINT JOHN
Reducing
Cost
2 R 6 r1-
Surplus (Deficit) 0 0
SAINT JOHN
Following resolution passed by Council on May 4th
"RESOLVED that Common Council adopt the following:
1. Approve the implementation of the Sustainability Plan and all
elements as presented to address the projected deficit of $10 Million
through workforce adjustments (60%), revenue generation, service
changes, and continuous improvement efforts in 2021 and 2022"
29 Q--)-
SAINT JOHN
Management and
Professional Staff
Local 486
(Inside Workers)
Police
Local 18
(Outside Workers)
Fire
TOTAL
Transit
$840k
$680k
$1175k
$960k
$1360k
$5015k
$912k In place and reductions ongoing. Complete by 1 Oct. Pay
freeze for 2021 and 2022 and reduction of 5.5 positions
$826k In place and reductions ongoing. Complete by 1 Oct.
Reduction of 8 FTEs
$1300k Collective bargaining has failed. Binding arbitration
required. Results will drive detail on workforce reductions.
- Letter to Commission prepared.
$1290k Tentative agreement, if approved, will achieve this savings,
and significantly more in 2022 and beyond.
$1875k Preliminary staff recommendation developed. Will now
consult with Union leadership. Final staff recommendation
in two weeks (at next Council meeting).
$6203k Must be higher than $6000k since some of the savings will in
(+ $100k below) in Water Operating Fund (not part of $10 million challenge)
Portion of 50% of $850k Transit's mandate was to reduce by $750k and large part was to be
$750k =$425k workforce reduction. Increase to $850k and request that majority be
30workforce reductions. Letter to Transit prepared. The $100k
additional would go towards $6000k in workforce adjustments
Management
and Professional
Staff
Loca 1486
(Inside Workers)
Police
Local 18
(Outside
Workers)
Fire
$826k
$1300k
$1290k
$1875k
TOTAL $6203k
(+ $100k
Transit
Exceeded target.
$768k $(58K) One position left to be eliminated. Contract ends in
December 2021 and next collective agreement will further
address staffing.
$700k $(600K) Operating budget target of 1.3M met for 2021.
$2371k $1081k Exceeded target
$1913k $38K Met target
A= =a
$6791K Must be higher than $6000k since some of the savings will
in in Water Operating Fund (not part of $10 million
Portion of 50% of $850k Transit's mandate was to reduce by $750k and large part was to be
$750k =$425k workforce reduction. Increase to $850k and request that majority be
31 workforce reductions. Letter to Transit prepared. The $100k
additional would go towards $6000k in workforce adjustments
Workforce adjustment target met. General Fund reduced by $6.03M
• Does not include Transit or Utility Fund (Utility expected to see over
$1.OM in workforce adjustments as part of it 2021 Operating
Budget)
2021 2020
Salaries & Benefits
Salaries 58,750,424 62/595/315
Overtime 11877,180 2/022/345
Other Personnel Costs 409,864 4011765
Finge Benefits 15,7041713 16/941/003
Pension 81875,000 9/575/000
Long -Term Disability 550,000 6611572
Total Salaries & Benefits 861167,181 92/197/000
32 Q--)-
SAINT JOHN
Balance of deficit through revenue generation, service changes, and
continuous improvement efforts in 2021 and 2022.
Rightsizing Rec Facilities- Rainbow Park Ice
Rightsizing Rec Facilities- Lawn Bowling
Arena Closure
Winter Street Maintenance
Asphalt Overlay Program
Suspension of Growth Reserve (2021 & 2022)
Freeze Goods & Services Budget Envelope
Casual Workforce Reduction (Parks & Rec)
Casual Workforce Reduction (Works)
Counsil Budget Reduction
Third Party Contracted Services- Electrical
Cell Phone Optimization
Sports Field Linig
Reduce Police Fleet Maintenance
Reduce Police Headquarters Operating
Medical Call Response Criteria
Translation
Greening the Fleet
Library- West Branch
Reduce Employee Training Related Costs
Contracted Services
Cost Recovery for City Support at Events
Fleet Optimization
Other Contract Service- SJE Lights
Transit Redesign
Operating Cost Reduction
10,000
10,000
Operating Cost Reduction
10,000
10,000
Operating Cost Reduction
155,000
155,000
Operating Cost Reduction
130,000
130,000
Operating Cost Reduction
200,000
200,000
Operating Cost Reduction
350,000
350,000
Operating Cost Reduction
200,000
200,000
Operating Cost Reduction
100,000
108,000
Operating Cost Reduction
51,000
51,000
Operating Cost Reduction
25,000
25,000
Operating Cost Reduction
30,000
30,000
Operating Cost Reduction
50,000
50,000
Operating Cost Reduction
10,000
10,000
Operating Cost Reduction
50,000
50,000
Operating Cost Reduction
75,000
75,000
Operating Cost Reduction
10,000
10,000
Operating Cost Reduction
23,000
23,000
Operating Cost Reduction
50,000
50,000
Operating Cost Reduction
30,000
30,000
Operating Cost Reduction
50,000
50,000
Operating Cost Reduction
172,000
172,000
Operating Cost Reduction
10,000
10,000
Operating Cost Reduction
300,000
450,000
Operating Cost Reduction
58,000
58,000
Operating Cost Reduction QQ
850,000
850,000
Total Operating Cost ReductionV
2,999,000
3,157,000
2021 Operating Cost
Reduction $3,157,000
Cost Reductions and
Continuous improvement
will continue for 2022 and
beyond
r�
SAINT JOHN
Balance of deficit through revenue generation, service changes, and
continuous improvement efforts in 2021 and 2022.
Permit and Development Approval Fee Increases
Revenue
80,000
80,000
Permit and Development Approval New Fees
Revenue
13,000
13,000
Fire Fees for Service
Revenue
30,000
21,000
Fire Fees for Emergency Response
Revenue
90,000
90,000
Recreation Subsidization
Revenue
260,000
260,000
Monthly Parking Increase
Revenue
100,000
100,000
Non -Resident Differential Parking Fee
Revenue
100,000
100,000
Adelaide Street
Revenue
25,500
25,500
Fire Training Academy
Revenue
23,000
23,000
Building Demolition In -Sourcing
Revenue
36,000
55,000
Fire Training Phase 2
Revenue
77,000
77,000
Fire Insurance Recovery (Fire Marque)
Revenue
50,000
50,000
Total Revenue
884,500
894,500
2021 Revenue
Increase $894,500
Other Revenue
opportunities to
continue for 2022 and
beyond.
ram__
SAINT JOHN
34
• Capital Budget Policy & LTFP: Increase funding for roads in the
Operating Budget instead of borrowing $1,730,000; (2020 -
$1,000,000);
• Capital
Budget
Policy &
LTFP: Increase pay-as-you-go to gradually
reduce
debt
$3,000,000;
(2020 - $2,000,000)
• Asset Management, Capital Reserve Policy & LTFP: Contribute to
capital reserve to address infrastructure deficit $650,000;(2020 -
$550,000)
• Operating Reserve Policy & LTFP: Maintain a minimum reserve of
$2M, creating more flexibility and less vulnerability. Budget included
additional transfer to operating reserve of $905,000. This will allow
the City to be able to continue to deal with potential fall out of COVID
and other one time emergency issues that may arise in the future
35 Q__)
SAINT JOHN
180.00
160.00
140.00
120.00
100.00
80.00
60.00
40.00
Increase 1.5%
127.73 125.84
20.00
Property Taxes
2021 Budget ■ 2020 Budget
$ in Millions
17.20 17.20
Unconditional
Grant
Decrease 100%
9.29
Financial
Assistance
Decrease 0.9%
13.11 14.37
Own Sourced
Revenues
166.71
158.05 �
Total Revenues
ram__
SAINT JOHN
36
100.00
90.00
80.00
70.00
60.00
50.00
40.00
30.00
20.00
10.00
Decrease 6.54%
It 92.20
86.17
38.02 37.57
Wages & Benefits Goods & Services
2021 Budget ■ 2020 Budget
$ In Millions
Decrease 4.26%
Decrease 15.75%
* 5.26 15.9416.65
12.85
ABCs and Grants Principle & Interest
3.002.00 1.56 0.55 0.30 2.36
Pay as you Go Transfer to Reserves Other (Landfill,
Restructuring)
37
SAINT JOHN
Other important budget highlights;
• New Strategic Plan
• New Regional Economic Development Agency
• New Integrated Customer Service Centre
• New Corporate Realignment
• New City Hall project completed
• New Common Council
• Local 18 contract — first contract negotiated to include Wage
Escalation Policy
• Management and Professional Group — 0% wage increases for 2021
& 2022
38 Q--)-
SAINT JOHN
2021 Draft Operating Budget Summary
Guided by the Principles of the Long Term Financial Plan the City is
now moving towards
• Long Term Sustainability— Maintaining reserve fund balances,
debt management
• Increased Flexibility - Balance structural deficit in 2021, reduction
of debt principle and interest
• Reduced Vulnerability —Eliminated provincial transfers
• Accountability —Budget monitoring policy
Future Council and Staff have a plan, the policies and financial goals,
to continue down the path of financial success for the Citizens of
Saint John
39
Q-)
SAINT JOHN
2021 Draft General Fund Budget
• Historical Financial Reset
• Structural Deficit Eliminated
• No short term Provincial funding
• Earliest approval of an operating budget
• Long term financial plan alignment
• Reduced principle and interest
• Significant reduction of reliance on debt (pay as you go, reserves)
• Financial flexibility, resiliency (operating reserves)
40 ram-_
SAINT JOHN
• Property Tax Revenue assumes 1.5% increase over 2020
• Assumes Unconditional Grant remains the same as 2020
• Staff recommend that the Finance approve the 2021 Draft
General Fund Budget as presented and submit to the next
meeting of Common Council for receive and file.
41 Q--)-
SAINT JOHN
2
42
1 f�
SAINT JOHN
COUNCIL REPORT
M&C No.
2020-XXX
Report Date
August 13, 2020
Meeting Date
August 13, 2020
Service Area
Finance and
Administrative Services
His Worship Mayor Don Darling and Members of Common Council
SUBJECT: City of Saint John Climate Change Adaptation Plan Presentation
OPEN OR CLOSED SESSION
This matter is to be discussed in open session of Common Council.
AUTHORIZATION
Primary Author
Commissioner/Dept. Head
City Manager
Samir Yammine
Kevin Fudge
I John Collin
RECOMMENDATION
It is recommended that Finance Committee approve the following :
1. Adopt the climate change adaptation plan as presented by Acap saint
John
2. Develop a climate change committee to oversee implementation of the
climate change adaptation plan
3. Incorporate the Climate Change Adaptation Plan into the next iteration of
the Municipal Plan or during the next comprehensive review
EXECUTIVE SUMMARY
The purpose of this report is to have Atlantic Coastal Action Program (ACAP)
present the City of Saint John Climate Change Adaptation Plan to the Finance
Committee and make recommendation to Council to adopt the Plan.
PREVIOUS RESOLUTION
In May 6, 2019, Common Council (M&C 2019-107) approved the City of Saint
John Climate Change Action Plan.
REPORT
In collaboration with the City of Saint John, and through support from New
Brunswick's Climate Change Secretariat, ACAP Saint John has developed a
Climate Change Adaptation Plan for the City. The work on the plan started in
2018 with the aim to have the plan completed in March 2020. However, due to
43
-2-
COVID-19 ACAP were not able to present the plan to the Finance Committee and
Council
The Plan consist of the following:
- Identify gaps in legislation and planning in order to take action toward
new policy measures;
- Assess risks and vulnerabilities including infrastructure, residents &
businesses, natural environments, coastlines, and vulnerable
populations;
- Create and maintain resources with information on adaptation;
- Engage and educate the community, and;
- Recommend Adaptation actions to increase resiliency.
Project findings will be included in revised editions of the Municipal Plan and will
influence the future growth and development of City neighborhoods and
neighborhood dialogue.
STRATEGIC ALIGNMENT
The plan is part of the City of Saint John Climate change Action Plan and is clearly
aligned with Plan SJ and Asset Management Policy
SERVICE AND FINANCIAL OUTCOMES
The cost to develop the Climate Change Adaptation Plan was fully covered by the
Province of New Brunswick Environmental Trust Fund. The total cost to develop
the plan is estimated to be $100,000 over two years.
INPUT FROM OTHER SERVICE AREAS AND STAKEHOLDERS
Staffs from Saint John Water, Transportation & Environmental, Finance and
Administrative, EMO and Growth and Community Development Services were
part of the steering committee and have been involved from the start in the
development of the plan.
ATTACHMENTS
PowerPoint Presentation
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SINCE 1992, ACAP SAINT JOHN HAS BECOME KNOWN FOR
PARTNERING AND WORKING WITH THE COMMUNITY TO HELP
PROVIDE SOLUTIONS TO EXISTING AND PENDING
ENVIRONMENTAL CHALLENGES.
ACAP SAINT JOHN ENVISIONS A RESTORATIVE COMMUNITY
THAT EMBRACES THE INTER -DEPENDENCE OF THE UNIQUE
SOCIAL, ECONOMIC AND ENVIRONMENTAL CHARACTERISTICS
OF THIS BEAUTIFUL REGION.
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SPRING FLOODING
EXTENDED PERIODS OF HOT DAYS
NLAND FLOODING DUE TO HEAVY PRECIPITATION
EVENTS
STORM SURGE AND COASTAL EROSION
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CLIMATE
ADAPTATION
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-SEPARATE FROM ADAPTATION PLAN REPORT TO IMPROVE
READABILITY
-DETERMINED
TOPICS ASSESSED IN THE RISK AND VULNERABILITY
ASSESSMENT
-KEY THEMES:
-INCREASED TEMPERATURE I PRECIPITATION
-SEA LEVEL RISE
-FLOODING
t ' -EXTREME WEATHER
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Risk
Rating
High
Medium
- High
Climatic
Change
Sea Level Rise
Increased
Precipitation
Increased
storm severity
Impact Statement
-Increased loss of land due to flooding and coastal
erosion
-Increased risk of habitat loss due to coastal squeeze
-Higher spring freshet flooding due to increased
precipitation
-Isolation, accessibility, and mental health challenges
due to flooding
-Flooding due to storm surge
Vulnerabili
Ranking
5
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WET AREAS MAPPING HAS BEEN COMPLETED TO A.DENTIFY THE EXTENT OF INLAND FLOODING [USING riI:
FLOOD LEVELS FROM 2018 EVENT TO DETERMINE rr A' �A J 1 i~ NO
FLOOD
SPRING FRESHET RISKS]
FI• r • • � J � * i f 1� _
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. 677 PROPERTIES AFFECTED BY 2018 -*
Mr ; ..4■
WITH A COMBINED ASSESSED PROPERTY d, 71+`�
VfALU—OzFrAPPRO.XIM 290)200)&0
ME r - - y
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CLIMATE ISSUE: RISING SEA LEVELS
USING PROVINCE OF NEW BRUNSWICK'S DRAFT
COASTAL FLOOD HAZARD MAP HELP TO DETERMINE
LOCAL IMPACTS
APPROX.
1,734
PROPERTIES
AFFECTED BY
SEA
LEVEL
RISE
FLOODING
INCLUDING 190 INDUSTRIAL
PROPERTIES
WITH
A COMBINED ASSESSED
PROPERTY
VALUE
OF
APPROXIMATELY $1,093,400,000
6m
SEA
LEVEL
RISE
FLOODING
WILL
DIRECTLY
IMPACT
APPROXIMATELY
32%
OF
SAINT
JOHN'S
POPULATION
56
ONS
FOR
ADAPTATION
IN
SAINT JOHN
=D
INTO
EIGHT
OBJECTIVES:
Objective 1
Integrate climate change impacts into community planning
Objective 2
Reduce shoreline erosion & promote natural infrastructure
Objective 3
Protect natural spaces, local habitats & migration routes
Objective 4
Provide public education on how to deal with the impacts of climate
change
Objective 5
Reduce the impact of climate change on human health
Objective 6
Support vulnerable groups to increase adaptive capacity
Objective 7
Increase resilience to flooding and sea level rise
Objective 8
Increase resilience to extreme weather
Iv
Climate Change Impacts Addressed: I.E. Increased precipitation, sea level rise, extreme weather
Action
Benefit to Cost Ratio
Lead
Completion Target
Risk Rating
Supporting
Department &
Initiatives and
Partners
Policies
Adaptation
Identifies the availability of funding sources
City
Short Term: 2021-2023,
Determined by
Current policies and
objectives for the
and ancillary benefits of each task.
Departments
Medium Term: 2023-2025,
risk and
initiatives that
City of Saint John.
High: actions have the most resources
and potential
Long Term: 2026-2031+,
vulnerability
support the action.
available and should be implemented as
partnerships
Ongoing: refers to an action
assessment
soon as possible.
that is already being
(High, Medium
Medium: actions should be implemented
completed, and should
High, Medium,
during routine maintenance or reviews, or
continue to be implemented.
Low)
when the urgency of the climate impact
increases.
Low: actions have an unknown benefit -to -
cost ratio and resources to support
implementation have not been identified
99
r 00, U
�,NN D Tpn AC;T1
OBJECTIVE 1: INTEGRATE CLIMATE CHANGE IMPACTS INTO COMMUNITY PLANNING
Action
Benefit to
Lead Department
Completio
Risk
Supporting Initiatives and
Cost Ratio
& Partners
n Target
Rating
Policies
2. Set development standards and
High
ACAP/Growth &
Medium
High risk
ACAP SJ (2016) - Coastal Hazards
zoning to restrict development in
Community Services
term
Characterization
coastal areas and near flood -prone
(Infrastructure
N13 Flood Risk Reduction Strategy
areas. Account for 1 in 100 year
Development)/
(2014) Objective 2, Actions 4, 7
storm/flood events.
Develop SJ
The City of Saint John Flood Risk
Area By-law (2005)
Storm Drainage Design Criteria
Manual (2016)
59
OBJECTIVE 4: PROVIDE PUBLIC EDUCATION ON HOW TO DEAL WITH THE IMPACTS OF CLIMATE CHANGE
Action
Benefit to
Lead Department
Completio
Risk
Supporting Initiatives and
Cost Ratio
& Partners
n Target
Rating
Policies
23. Integrate climate impacts into
High
EMO/ Growth &
Short term
Medium-
SJ Energy Vegetation Management
public education for storm
Community Service/
high risk
Details (online)
preparation. Make information
Communications/
available on EMO website, during
ACAP/ Saint John
Emergency Preparedness week and in
Energy
development permits.
OBJECTIVE 7: INCREASE RESILIENCE TO FLOODING AND SEA LEVEL RISE
Action
Benefit to
Lead Department
Completio
Risk
Supporting Initiatives and
Cost Ratio
& Partners
n Target
Rating
Policies
45. Raise roadway elevations that are
High
Transportation &
Long-term
Medium-
NBCCAP (2016)- 72
impacted by sea level rise, spring
Environment/DTI/
high risk
Asset Management Policy
freshet and stormwater flooding.
NB EMO
4„III
I�IIIIIII
�I 62
..1
PLC
�Ap
SAINT JOHN
•-
BARRIE'
I
` � f
a 1
S
� I
- "dc I -
Aff,
i A CLIMATE CHANGE ADAPTATION
E COMMITTEE) TO PARTICIPATE IN
kND ENSURE ACTIONS FROM THE F
ARE BEING IMPLEMENTED (OBJEC-
IPDATES FROM THE CLIMATE COMI
CITY COUNCIL ABOUT PROGRESS
TO IMPLEMENTATION AND REVIEV
ACTIONS
IMF'►-c��►`, .
Acboolol/Ap
SAINT J H
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SAINT ]OHN TRANSIT W'
August 05th, 2020
Saint John Finance Committee Members,
In response to the request to cap the Saint John Transit deficit to $250,000 in 2020 by the Saint John Finance
Committee on July 23rd, 2020, the Saint John Transit Commission called a Special Meeting of the Board on July
271h, 2020. After review and assessment, and on the understanding that this request is to create a 'buffer' to
mitigate unknown Covid-19 risks that may occur for the remainder of the year, the Board has voted to table any
recommendations on this request at this time. The Saint John Transit Operational Audit will be delivered in
August, and it would be irresponsible to implement any changes without the informed analysis that this will
deliver. The Saint John Transit Commission will review the Audit recommendations and determine what, if
any, changes can be implemented in advance of the January 1st implementation date that will ensure we can
maintain the long term integrity of the entire Transit system and deliver any additional efficiency beyond the
26% reduction already delivered in response to Covid-19. We respectfully request that the Saint John Transit
Commission be allocated time in the September Finance Committee meeting to report on the outcome of the
Audit and any actions that could be implemented in the remainder of 2020 to reduce our projected $505,320
deficit.
Respectfully
Patricia Ellsworth
Chairperson, Saint John Transit Commission
55 McDonald Street, Saint John, N.B. E2.1 OC7 * Tel (506) 658-4000
67