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2021-04-28 Finance Committee Agenda Packet - Open SessionCity of Saint John Finance Committee - Open Session AGENDA Wednesday, April 28, 2021 5:15 pm Meeting Conducted by Electronic Participation 1. Call to Order Pages 1.1. Approval of Minutes - March 31, 2021 1 - 3 1.2. Finance Committee - A Term in Review 1.3. Asset Management Policy Amendment 4-25 1.4. Long -Term Financial Plan Financial Health Scorecard 26 - 48 1.5. Utility and General Fund — 2021 Capital Programs Revision 11 49 - 64 Finance Committee Meeting Open Session March 31, 2021 MINUTES —OPEN SESSION FINANCE COMMITTEE MEETING MARCH 31, 2021 AT 4:30 PM MEETING CONDUCTED BY ELECTRONIC PARTICIPATION Present: Mayor D. Darling Councillor D. Merrithew Councillor G. Norton Councillor D. Reardon Councillor G. Sullivan Also Present: City ManagerJ. Collin Commissioner of Finance and Treasurer K. Fudge Commissioner Growth & Community Services J. Hamilton Commissioner Transportation & Environment M. Hugenholtz Commissioner Saint John Water B. McGovern Director Corporate Performance S. Rackley-Roach Senior Financial Manager D. Arbour Senior Financial ManagerT. Fawcett Director of Strategic Affairs I. Fogan Fire Chief K. Clifford Manager Continuous Improvement E. Hatfield Administrative Officer R. Evans Administrative Assistant K. Tibbits 1. Meeting Called To Order Councillor Merrithew called the Finance Committee open session meeting to order 1.1 Approval of Minutes—February 18. 2021 Moved by Councillor Sullivan, seconded by Councillor Reardon RESOLVED that the minutes of February 18, 2021 be approved MOTION CARRIED. 1.2 Strategic Plan Update Mr. Fogan reviewed the submitted presentation entitled "10-Year Strategic Plan" for the City of Saint John. The strategic plan outlines a strategy and direction to allow for better decision making and allocation of resources that align with the Community's vision. It implements other existing plans such as Plan SJ, Play SJ and Move SJ and will also guide the development of new future plans and policies. It supports adherence to the City's long-term financial plan and will ensure alignment with Council's priorities. Moved by Councillor Sullivan, seconded by Councillor Reardon: RESOLVED that the Strategic Plan Update, be received for information. Finance Committee Meeting Open Session March 31, 2021 MOTION CARRIED 1.3 Performance Management Ms. Rackley-Roach noted that the development of a Performance Management framework is within the context of the Ernst & Young Operational review which recommended the enhancement of the City's corporate performance framework. Ms. Hatfield reviewed the submitted presentation "Performance Management — Managing for Results" and provided a high-level overview of the approach to be undertaken as part of the City's corporate performance management framework which has been identified as a priority for 2021. There are three organizational performance frameworks currently underway — the strategic plan, corporate performance management framework and personnel evaluation framework. Mr. Collin stated that the performance management framework will have a robust set of measures, objectives and key performance indicators and will provide management teams at all levels an opportunity to examine the objectives and indicators and "measure to manage." It will be tied to the performance of staff and measured against objectives. It is an important alignment exercise for an organization as large as the City of Saint John. Moved by Mayor Darling, seconded by Councillor Sullivan: RESOLVED that the submitted presentation entitled, "Performance Management — Managing for Results", be received for information. MOTION CARRIED 1.4 Cvberattack— Restoration Costs and Proiected Recovery Estimate Ms. Rackley-Roach provided an overview of the costs related to the cyberattack. The scope of the attack was wide -reaching across the City's information technology infrastructure necessitating the need to engage various vendors to support the restoration of a secure, temporary network to ensure the continuity of public services. To address the ransomware attack, it was necessary to purchase hardware under "Emergency Provisions" which allow for purchases to be made when strictly necessary and for reasons of urgency brought about by unforeseeable events and when the goods and services cannot be obtained in a timely manner through an open and competitive bidding process. A rebuild of the magnitude the City has undertaken would typically be planned and executed over 3 to 5 years. Bulletproof and City IT resources completed the work in four months. The total overall projected cost of the cyberattack is $2,950,000 plus HST. The City has insurance through AIG which will be leveraged to recover costs. The City's response team estimates that at least 85% of the total cost will be submitted for insurance recovery. The cost that may not be covered by insurance, in the range of $400,000 to $500,000, will be absorbed into the IT operating budget from applicable reserves. Mr. Collin noted that insurance covers the cost of recovery of the systems that were in place at the time of the cyber-attack and not for improvements to the system. The cost that the City will incur, between $300,000 to $500,000, is to upgrade the system. These improvements would have been necessary over the next year or two; it is just being spent earlier than anticipated. Mr. Collin noted that initially, the ransom demand was kept private, in the event they needed to enter into negotiations with the hostile actors. It is now known with certainty that the City will not pay the ransom demand. When first contacted by the hostile actors/criminals in late November, the ransom demand for the recovery of the City's networks, with no guarantee of recovery, was approximately $17M. That price continues to rise and as of March 315t, sits at $42M. Finance Committee Meeting Open Session March 31, 2021 Moved by Councillor Reardon, seconded by Councillor Norton: RESOLVED that as recommended by the City Manager in the submitted report "Cyberattack Restoration Costs and Projected Recovery Estimate," the Finance Committee: a) Acknowledge Information Technology ("IT") infrastructure and services procured for response and rebuild of the IT network due to the cyberattack is authorized under the emergency clauses in the Saint John Procurement Act; and b) Receive and file this report. MOTION CARRIED. 1.5 Preliminary 2020 Operatine Results Ms. Arbour reviewed the submitted presentation, "Preliminary 2020 Operating Results." 2020 brought several unusual events including a cyberattack, COVID-19 pandemic, and a significant restructuring process. The 2020 results are not final and subject to change, but no unforeseen material changes are anticipated. $4.25M of the provincial short-term financial assistance of $10.4M is expected to be used in 2020, bringing the three-year total to just over $10M, or 45% of the total amount (approximately $23M) approved. This was possible due to the significant changes made to the organization beginning in 2019. Mayor Darling suggested that an after -action letter be sent to the Premier's Office, local MLA's, Minister's Office and the Auditor General highlighting that the City was fiscally responsible with the use of the short-term financial assistance, using only $10.36M of the $22.81M available, through good fiscal stewardship. In addition, a press release be made to inform the public that the money was managed very carefully, and how the money was used. Although the support was needed and appreciated, the end goal was for the City to stand on its own. Moved by Mayor Darling, seconded by Councillor Reardon: RESOLVED that the City of Saint John send a letter to the Premier's Office, local MLAs, Minister's Office and the Auditor General and a press release held to highlight the facts related to the use of the short-term provincial assistance, noting that the money was used in a fiscally responsible manner and acknowledging that the support was appreciated and needed and not misused, upon the completion of the audit by the province. LTA to] IIIQ 04[3*11.1C719 Moved by Councillor Norton, seconded by Councillor Reardon: RESOLVED that the submitted report "Preliminary 2020 Operating Results," be received for information. MOTION CARRIED Adjournment Moved by Councillor Sullivan, seconded by Councillor Reardon: RESOLVED that the Finance Committee meeting be adjourned. MOTION CARRIED. The Finance Committee open session meeting held on March 31, 2021 was adjourned at 5:55 p.m. (P,"Ah I� �4 jW-1i I FINANCE COMMITTEE REPORT Report Date April 26, 2021 Meeting Date April 28, 2021 Service Area Saint John Water SUBJECT. Asset Management Policy and Strategy OPEN OR CLOSED SESSION This matter is to be discussed in Finance Committee Open Session. AUTHORIZATION Primary Author Commissioner/Dept. Head City Manager Samir Yammine J. Brent McGovern John Collin RECOMMENDATION It is recommended the Finance Committee endorse the following: • Update the Asset Management Policy to Combine "Risk" and "Climate Change" considerations as a single Asset Management (AM) principle. • Update the Asset Management Strategy to include the following: o Add "Supporting References" section. o Add "Decision Making Approach" section. o Rename "Strategies" section to "Improvement Initiatives". • Define asset management strategies to maintain a defined Level of Service. • Develop Capital Budget workflows, procedures, and prioritization criteria/approach. EXECUTIVE SUMMARY The purpose of this report is to update the Asset Management (AM) Policy and Strategy to address the following: • Allow for the consideration of infrastructure investment to improve the public's quality of life and opportunities to decommission assets. • Establish criteria to prioritize capital investments. • Establish procedures to evaluate climate change risks and lifecycle costs for new / upgraded infrastructure. CI -2- PREVIOUS RESOLUTION M&C 2018-68. Common Council approved the City of Saint John Updated Asset Management Policy Statement. REPORT Background Since 2016 the City of Saint John has made significant improvements to its asset management program, which has resulted in the following benefits and outcomes: • Reduce the General Fund Infrastructure Deficit by over $46 Million or 39% as of 2019 compared to 2016. • Improve staff's ability to make evidence -based decisions and prepare reliable financial forecasts. • Increase capacity building and knowledge among staff on asset management practices. • Improve staff's ability to secure external infrastructure funding from various level of governments and FCM. • Increase collaboration among departments on asset management practices, budget process, infrastructure investments, data sharing, etc. • Understand the current state of the City's infrastructure and the costs to maintain a defined Level of Service (LOS) and the cost implications to decrease/increase the LOS. • Reduce maintenance and operating costs. • Develop Policies, Strategies and Plans to address challenges facing the City's infrastructure such as climate change. Analysis Until now the City has primarily used Risk and Lifecycle Cost considerations to prioritize infrastructure investments. Previous financial challenges necessitated the allocation of capital funding to essential services based primarily on Risk and Lifecycle Costs considerations. Moreover, the City's AM program was still in its infancy and had limited ability to effectively use Levels of Service in decision - making. These decisions resulted in reductions in investments to improve the community's Quality of Life and overall Levels of Service, instead Risk and Lifecycle Costs were the main drivers in decision -making. However, as our asset management program matures, and the City's infrastructure deficit improves, decision -making and the allocation of capital budgets should be based on all three key principles of asset management: 61 -3- 1. Risk — Do we own assets which pose a significant risk to the community? How can we mitigate these risks? 2. Lifecycle Cost — How do we manage our infrastructure at the lowest lifecycle cost while still providing an acceptable level of service? 3. Levels of Service — What assets / investments are required to provide a Level of Service that is acceptable to the community? Given the significant progress made to date advancing the City's AM program, staff are now ready to begin using Levels of Service as a key component in capital decision -making. This will improve the City's ability to develop short and long-term capital plans which mitigate Risk, minimize total Lifecycle Cost, and achieve a financially sustainable Level of Service acceptable to the community. The recommendations listed above will improve staff's ability to: • Engage with Council and the Public to establish clearly defined Level of Service targets and communicate the impact of increasing or decreasing Levels of Service. • Prepare AM Plans which mitigate Risk, minimize Lifecycle Cost, and achieve a financially sustainable Level of Service acceptable to the community. • Ensure all relevant planning documents and policies are considered when investing in infrastructure. • Develop evidence -based capital plans and reliable financial forecasts. • Consider and justify investments in Quality -of -Life infrastructure which align with Council's priorities. • Recognize the costs and benefits of decommissioning assets. • Establish clearly defined criteria and procedures to prioritize infrastructure investments. STRATEGIC ALIGNMENT The proposed changes align with Council's Priorities for good governance, fiscal responsibility, support growth and provide municipal services contributing to a vibrant, attractive, prosperous, and sustainable city. SERVICE AND FINANCIAL OUTCOMES Improved ability to assess how Level of Service changes impact the economic, social, and environmental aspects of the community. ATTACHMENTS Power Point Presentation C.1 4-) ca 4-J 0. M U 4� Q 4-' c� V CL � O2 � V O Q IOL cn O u Ca � bn E 0 E bA c: 0 c U 7 Q Q oC U O U O CL Is v J O CL z i x U aJ � L � O Q N N _I_-V) +, O (1) U O u v .E _ O _0 a--+ N •� E E N U v O > ate-+ U C6 O •Q v 4— a-J t/) M a--+ O +_+ (u :3 C: c • N C6 O Z3 a--+ 4- ' > ' C6 O 'O O Z3 i Q i CLto +j V a- O u _ �O N O •(1) ca (1) 4,O . 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M C6 Q)' E Q ' }O tXo O Q)QJ Q (AQ X a z p U 0 c� 0 O cn iL > Ci E E O C6 i--1 V) 11 Q ra U 4A C6 U a--+ U � Ln fV r-I O Ln fV 00 L O O 4' U • LL C6 a..+ L N � aA � 0 dJ =5 (D m � 4-j • O .a z C6 M U " v0 O a-J u 11 u 14R. SAINT 10IIN Title: Capital Budget Policy Subject: Capital Budget Policy Category: Strategic Services Policy No.: FAS-005 M&C Report No.: 2018-189 Effective Date: July 911, 2018 Next Review Date: Area(s) this policy applies to: Cross Corporate Office Responsible for review of this Policy: Strategic Services Related Instruments: Policy Sponsors: FAS-001 Asset Management Policy Chief Financial Officer and Chief of Staff FAS-002 Investment Management Policy FAS-003 Reserves Policy FAS-004 Operating Budget Policy FAS-005 Capital Budget Policy FAS-006 Debt Management Policy Document Pages: This document consists of 4 pages. Revision History: Common Clerk's Annotation for Official Record Date of Passage of Current Framework: I certify that this Policy was adopted by Common Council as indicated above. Common Clerk Date Contact: Chief Financial Officer and Chief of Staff — Kevin Fudge Telephone — 506-635-2011 Email — kevin.fudge@saintjohn.ca _►1P City of Saint John Capital Budget Policy TABLE OF CONTENTS 1. POLICY STATEMENT............................................................................... 2. PRINCIPALS AND STRATEGIES................................................................ 3. CAPITAL PRIORITIZATION...................................................................... 4. CARRY OVER OF PREVIOUS YEAR APPROVED CAPITAL BUDGET........... 5. INTER -GOVERNMENTAL CAPITAL GRANTS ................................................ 6. CAPITAL BUDGET SHORTFALLS AND SURPLUSES ..................................... 2- SAINT IOHN !i93 2 City of Saint John Capital Budget Policy SAINT JOHN POLICY STATEMENT 1. This Policy applies to budgeting by the Municipality for capital funds; 2. Each council shall adopt a Capital Budget for each calendar year; 3. Capital budget shall align with the Council approved Long Term Financial Plan which includes a 10 Year Capital Investment Plan and a 10 Year Debt Plan; 4. Finance Committee will review the 10 year Capital Investment Plan Annually and recommend any major amendments to the Plan to Council for approval; 5. The Capital Budget Policy supports the City to achieve its current and future goals in a fiscally responsible and sustainable manner; 6. Capital Budget Investment decisions shall be evidence based and conform with the Asset Management Policy; 7. The Capital Budget Policy shall comply with all relevant provisions of the Local Governance Act and all other applicable legislation. PRINCIPLES AND STRATEGIES 1. Affordability — Capital Budget shall reflect the level of infrastructure investment required to achieve agreed upon service and taxation objectives in the Council approved Long Term Financial Plan; 2. Ownership — Only City owned assets, which meet the definition of asset pursuant to Generally Accepted Accounting Principles, shall be funded in the Capital Budget. Funding agreements prior to the approved Capital Budget Policy Council approval date are exempted from the policy; 3. Fiscal Responsibility — The City shall reduce its reliance on debt and address the infrastructure deficit by increasingly funding Reserves and Pay -As -You -Go to fund infrastructure renewal; 4. Asset Management — The Capital Budget shall consider the full life -cycle cost based on asset management best practices and adhere to the Asset Management Policy. CAPITAL PRIORITIZATION 1. To strategically manage the City's debt and infrastructure deficit, the capital budget shall comprise of 85% Capital Renewal and 15% for New Capital. This ratio is for the General Fund and shall align with City's Long Term Financial Plan. The Utility Fund will continue be comprised of 90% Capital Renewal and 10% for New Capital. For the purpose of this policy, Capital Renewal is defined as; "any capital investment which renews, refurbishes, repurposes, or replaces an existing asset and does not increase the total lifecycle costs to maintain the asset. A Renewal Capital investment may reduce total lifecycle costs",- 44 3 City of Saint John Capital Budget Policy SAINT JOHN 2. Proposed Capital Budget Projects will be prioritized in the following order; a. Mandatory — Must be completed due to legal or regulatory requirements; b. Risk — Required to mitigate liability associated with health and safety, mitigate liability or to mitigate sudden asset failure; c. Priority of Council — As stipulated in the 10 Year Capital Investment Plan (Long Term Financial Plan) and supported by evidence -based asset management recommendations and are part of the City's strategic plans; d. Positive Financial Impact — The Capital request not included in the 10 year Capital Investment Plan but can be supported by a business case that demonstrates a positive financial impact for taxpayers — would require a Council approved adjustment to the Capital Investment Plan and Capital Budget; e. Discretionary — New asset which aim to increase or enhance service level to the residents and taxpayers. Requires amendment to the Long Term Financial Plan, the City strategic plans, and supported by a business cases. CARRY OVER OF PREVIOUS YEAR APPROVED CAPITAL BUDGET Approved capital budget projects must be started by the end of the second year after approval. INTER -GOVERNMENTAL CAPITAL GRANTS Inter -Governmental capital grants shall only be pursued for Capital projects in line with Council priorities, the approved Capital Budget, and the approved 10 Year Capital Investment Plan. CAPITAL BUDGET SHORTFALLS & SURPLUSES 1. Common Council must approve any adjustments to the Capital Budget for additional funding to cover Capital Budget shortfalls that exceed the City Managers authority level; 2. Capital Budget surpluses, where budgeted Capital funds exceed actual capital shall be, with Council approval; a. Realized as savings resulting in reduced debt financing; b. Used to offset deficits in other approved Capital Budget shortfalls; c. Leveraged to address the infrastructure deficits identified in the Asset Management Plan and the 10 Year Capital Investment Plan. 45 4 I� Ol N rV Ln • N N I� • � rl r-I rl rV Ol • rl N l0 • � rl r-I rl 00 m rV �t N �t .� O CV l0 N � � rl O m 00 00 rV 00 m rV Ln • m rl 0 0 o c,� m V) • Ol rV Ln a • cn O O z m N oo Q a m N `n Ln o }' p • m _ rl 0 z Ln rV rV Ol (N m 0 • cry 00 m 't o N m C, r l 0 • m C6 � 00 rV rV LL o N m • O cn Q) (N m N � �• Ol N r-I hn Cl N r-I WJ Ln co cn O J 4-1 a1 Q� Q a--+ � C � 0 � — a � C O Ln i� E � C 4J E u Ln O Q X oZS � C O O 0:� ` 4J 1_C\ m C � Lij w � M � (D O C D — o J z Q `° O i N CO W C) a O O w w W Q U N Ln Ol I- d 00 QD m �L cn cn cr l0 l0 N 6 oo Ln rV 00 Ln o n —4 Ln rV O' Lri Lri rV 6 oo Ln 00 't rn Lr m Ln QD r� Ol 00 rV C cvi rV C oo Ln r 00 0 h m N rV C oo Ln N N 01 c'r l0 t r lL Ln Ln K r cy- N oo Ln r r rr 't � Ln r, O rV N oo Ln l0 O cX Ln Fn � « 01 N N h r- Ln rn m N Ol Ol � 00 0 r N cr r- Ln rn Ln 00 CV l0 Ln (p' -4 m O a I-�' r cr c r- Ln Ln rn h Ln cl O 6 l0 O cn c r- Ln u: V) U V) O O V) C LU m o� z w a cn X -u O O (D 4-1 O to M U i V) (D C a w Ln Ln N Ln rl N 00 00 N Ln rl QD 00 O Ln rl 00 m m rl QD 00 00 rl 00 O r- rl Ln rl N O O O O m O O O ,D m N O O O O m oo m m N O O o o m Ln m m N O O Ln 00 O O Ln Ln m rn m 00 o o I- O m 01 N o o m O O rV m m m Ol r-I O O I- 00 O m o Fn 9 M O O lzt Ln o o m O rV m (9 (9 Ln zt o o r- m Ln o o m Ln t m 0 0 Ln Ln oI- Ln O O oo rV oo Ln O m m 0 cy- LL w 0 D J d D � V) — Lo wLo_ O w 0 =3 O Q Ln = C O O D U O cn 4- 0 5 w � a 1 a O a O m O O N rl rl N cn m 00 cri N m m rV O rV 00 r-I N QD m m O rV 00 Ln 00 Ln QD m 0 0 0 o 0 0 0 o O un r-Lr� O O o rl r-I N 00 N O qj)- qj)- 0 o O o 0 o O O un r- Ln O O o rl r-I r- N 00 N O qj)- qj)- 0 0 o 0 0 0 o O un r-Lr� O O o rl r-I r- N 00 N O ri of qj)- qj)- 0 o O o 0 o O O un r- Ln Ln Ln o I- CV 00 —� O ri of qj)- qj)- 0 0 o 0 0 0 o O un r-Lr� Ln Ln o I- CV 00 —� O qj)- qj)- 0 o O o 0 o O O un r- Ln Ln Ln o I- CV 00 —� O qj)- qj)- 0 0 o 0 0 0 o O un r-Lr� Ln Ln o I- CV 0 O _ ri of N o o O o 0 o O o m r- Ln Ln Ln o r r r- cy 0 O 0 • 7- Q � � o 0 0 0 0 O un O- Lq Ln Ln Oo D r rr- cy 0 O N Ln Q Q) CDCn co un CD CD cD CD•• � N Ln O O • r M hQ) W � }j 4-1 U O 0 0 cn C6 E u �, = N bA c + O O m � SD O 4- (D U - c z Ln 4-1 Lo ° �° O O 4-1 U - ° 4-1 Ln (D z Q Q w +� m m 4Dc Otao O (Dm O D U p E:>m x O O O O 19 U>� U o o z l0 00 O0 O Ln N O p O 00 O m O r Ln O E O cnLn l0 N Ln Ln Q V 4-1 O bA Q O (D0 O (D cV Lo C }' o Lo m .- U In O � O N m a--+ i (D Q O Q O c O U C u u O E Q O .0 O O p O p O p E 4- M � O p =3 a) W w +� U U U +-+ U U C t .� >>M � G > d , ... c o 0 0 o Ln Ln O Ln Ln O O Ln o o Ln OO O r-I N r-I rl N I� N N N r-I N r-I rl N > d O � � � O bA O O O +, 00 0 0 m~ r- m 0 o~ m o o~ O a- N O ('n � r-I O M p O 00 � CY) L n tj} th th Ln tj} th ate-+ N Ln \ 0 Ln O to c l0 0 O O O O 0 N l0 't O 0 Ol O d00 O ('n r-j0� LnL tj} th cn t�j} th m Ln Ln c0 0 0 m 00 D 0 } rn ' O 0- O o o 0 0 o JCD n �} CDr-I O m LIB Ln 01 n cn O Ln N Ln rl 0 Q w O U z � _ o ID O — > Q � - LLI N o Z= N O -0 o - u o Q N ° ° 0 c/) Q LL U0 0 0 0 o LLJ O z o "� — ++, ' goo o� -�0 �V,� >� U LL CO m O - �._ O = iw }' Q u O c� V) O i � O U to O O o O O +> C6 Q Ln V) Ln -U 0 O Q + O to +� 0 4 f� 0U C V) LL Fai (P,"Ah I� �4 JIDI'l I FINANCE COMMITTEE REPORT Report Date April 26, 2021 Meeting Date April 28, 2021 Chairman Councillor Merrithew and Members of Finance Committee SUBJECT. Utility and General Fund — 2021 Capital Programs Revision 11 This matter is to be discussed in open session of Finance Committee. AUTHORIZATION Primary Author Commissioner/Dept. Head City Manager Michael Baker J. Brent McGovern I John Collin RECOMMENDATION It is recommended that members of the Finance Committee: • Approve revision II of the 2021 Water and Sewerage Utility Fund Capital Budget in the amount of $12,608,934 (gross) with contributions from other sources of $6,362,934 yielding a net capital budget in the amount of $6,246,000 to be funded by pay as you go (net) as set in Appendix A. It is recommended that members of the Finance Committee: • Approve revision II of the 2021 General Fund Capital Budget in the amount of $45,309,783 (gross) with contributions from other sources of $29, 442,183, yielding a net Capital budget in the amount of $15,867,600 to be funded by debt issue (net) as set in Appendix B. It is further recommended that Finance Committee recommend approval of the Utility and General Fund Capital Budgets at the next meeting of Common Council. EXECUTIVE SUMMARY Utility Fund The overall revised 2021 Water and Sewerage Utility Fund Capital Budget envelope has increased by $522,934 with the increase being funded by Other Share. The City Share for the revised 2021 Water and Sewerage Utility Fund !Loll -2- Capital Budget remains unchanged from Council's previous Utility Fund Capital Program approval in February 2021. General Fund The overall revised 2021 General Fund Capital Budget envelope has increased by $349,100 with the increase being funded by Other Share. The City Share for the revised 2021 General Fund Capital Budget remains unchanged from Council's previous General Fund Capital Program approval in February 2021. The approved 2020 and 2021 Utility Fund and General Fund Capital budgets included projects that the City was seeking funding support through the Bilateral Funding Program. The City received notification from the Province on March 2, 2020 that the City's original submission would not be receiving infrastructure renewal funding under the Bilateral funding program. However, the City reapplied for Bilateral Funding in the summer of 2020. The revised funding submission was very similar to the City's original submission however the funding timelines were adjusted to be between 2021 and 2026. It was announced on March 10, 2021 that the City was successful in obtaining Integrated Bilateral Funding for their requested projects. The purpose of this report is to further revise the 2021 Utility Fund and General Fund Capital budgets as COVID -19 Resilience Infrastructure Funding has been secured or is in the process of being secured for several projects noted on the Capital Programs. As projects needed to be added and removed from the proposed COVID-19 Resilience Infrastructure Funding program and the Community Development Funding program to align with eligibility criteria, the Capital programs needed to be adjusted to follow suit. PREVIOUS RESOLUTION M&C 2021-051 (February 22, 2021) — Utility and General Fund — Revised 2021 Capital Programs approved. STRATEGIC ALIGNMENT The proposed adjustments to the 2021 Utility and General Fund Capital Budgets are aligned with Council's priorities, Debt Management Policy, Financial Principles, Capital Budget Policy, Asset Management Policy, Central Peninsula Neighborhood Plan, PlaySJ, MoveSJ, PlanSJ with a focus on asset management and leveraging every City Share dollar. 67i] -3- REPORT The 2020 and 2021 Utility Fund and General Fund Capital budgets included projects that the City was seeking funding support through the Integrated Bilateral funding program, the COVID-19 Resilience Infrastructure Funding program and the Community Development Funding program. It was announced on March 10, 2021 that the City was successful in obtaining approximately $28.5 million dollars in Other share (Provincial and Federal) funding through the Integrated Bilateral Program. In January of 2021, in conversations with New Brunswick's Regional Development Corporation (RDC) it was determined that there was approximately $1.27 million dollars of funding available (80% Share) to the City through the COVID-19 Resilience Infrastructure Funding program. The Funding breakdown for this program is 80% federal share and 20% municipal share. The completion deadline for the projects approved under this program was December 31, 2021 however an extension announcement has been made and formal funding amendments are to be granted by the Provincial and Federal Governments in the coming months to extend the project completion timelines to December 315t, 2023. Over several months the City has worked collaboratively with RDC to identify projects that meet the various funding agreement requirements so as to leverage the City's 2021 Capital Programs and address some of the City's asset management needs. Several COVID-19 Resilience Infrastructure Funding program projects have been approved by RDC; however, the City has not received the formal documentation yet. As a result of the shifting of proposed funding partners for 2021 capital projects and for the City to access the entire funding that is available in the COVID-19 Resilience Infrastructure Funding program, staff had to make adjustments to the funding partners noted on the 2021 Utility and General Fund — Revised 2021 Capital Programs which was approved by Council on February 22, 2022. The table below lists all the projects proposed under the COVID-19 Resilience Infrastructure Funding program. All the projects except one are currently within the 2021 General Fund Capital Program, however, various projects scope have been increased where required. The one additional project that was not listed in the 2021 Utility Fundy Capital Program is the roof replacements on Saint John Water (SJW) facilities. So as to find acceptable projects to RDC and Infrastructure Canada and while at the same time addressing the City's current asset management needs, this project was added to the funding list. For the projects that are shown currently as approved it is expected that the City will receive formal funding agreements in the coming weeks for Council's consideration. 51 -4- As submitted - COVID -19 Resilience Infrastructure Funding Program projects Approval Title Description Other Share City Share Status Replacement of the existing metal siding that is in poor condition as well Municipal as replacing the existing facility sign at $ 418,600.00 $ 104,650.00 Approved Building the Municipal Operations Complex. Work also includes the replacement of several leaking windows. Municipal Replacement of existing Air Handling Awaiting Building Unit (including control system) at the $ 84,000.00 $ 21,000.00 Approval Municipal Operations Complex. Municipal St. Patrick Pedway Roof Repair and $ 24,000.00 $ 6,000.00 Awaiting Building HVAC Replacement Approval The replacement of the existing HVAC Municipal system for the City Market Pedway $ 24,000.00 $ 6,000.00 Awaiting Building which connects the City Market to Approval Brunswick Square. Municipal Replacement of the existing roofs (i.e. Building plywood, shingles & insulation) at Fire $ 200,000.00 $ 50,000.00 Approved Stations #5 & #7 Roof replacements at several SJW facilities including the Spruce Lake SJW Pump Station, Millidgeville $ 522,934.00 $ 130,733.00 Approved Buildings Wastewater Treatment Facility (WWTF), Lancaster WWTF and Eastern WWTF Total $ 1,273,534.00 $ 318,383.00 The projects proposed for Community Development Funding are in the process of being applied for however to date the City has not received approvals from the Province for these projects yet. The Province has reviewed and given indications that the projects are suitable for consideration within the eligibility criteria. Many of the projects planned in the 2021 General Fund Capital Program were planned to be funded under the Community Development Funding program however are now being funded under the COVID-19 Resilience Infrastructure Funding program (80% funding from others as opposed to 50% funding from others). The table below lists all the projects proposed for funding under the Community Development Funding program. 61 -5- Community Development Funding program Projects Other Approval Title Description City Share Share Status Charles Gorman Replacement of an existing chiller at the Arena, Charles Gorman Arena as well as Stewart replacing three existing condensers at $ 95,000.00 $ 95,000.00 Awaiting Hurley Arena the Charles Gorman Arena, Stewart Approval & Lord Hurley Arena and Lord Beaverbrook Beaverbrook Arena. Arena Replacing the existing dasher boards and Application TD Station glass with new boards and glass that $ 225,000.00 $ 225,000.00 being meet QMJHL Requirements completed Asset Management Information System Project not Various (AMIS). Project scope includes the acceptable Municipal & purchase of the required software, $ 87,500.00 $ 87,500.00 under Water obtaining necessary training, completing funding Facilities City infrastructure update, etc. eligibility criteria Carleton Repairs to the existing building Application Community foundation and completing necessary $ 75,000.00 $ 75,000.00 being Centre water proofing as Community Center has completed a foundation leak. Renovation of upper City Market Lobby Application City Market Entrance as well as Elevator Entrance to $ 37,500.00 $ 37,500.00 being City Market Tower. completed Supply and installation of a new score clock at the Shamrock Park artificial turf field as well as other improvements to Application Facility the Shamrock Park Facility. Replacement $ 75 ,000.00 $ 75,000.00 being Renewal Fund of an existing wooden structure at the completed City's Market Place West Playground. The current structure has reached the end of its useful life. Total $ 595,000.00 $ 595,000.00 SERVICE AND FINANCIAL OUTCOMES The revised Utility and General Fund programs are provided in Appendix A & B attached. The table below details the projects that were approved in the 2021 Utility Fund Capital Program that will be affected by the proposed changes to the funding arrangement. 6V -6- 2021 Utility Fund Capital Program Project Description Other Share Utility Share Asset Management Information System Various (AMIS). Project scope includes the Municipal & purchase of the required software, $175,000.00 Water obtaining necessary training, completing Facilities City infrastructure update, etc. Project also funded by the General Fund (50150). After detailed discussions with RDC it was determined that the Asset Management Information System (AMIS) project would not be approved under the COVID-19 Resilience Infrastructure Funding program or the Community Development Funding program. In the 2021 Capital Programs this project was also partially funded by the General Fund Program which was proposed to obtain Community Development funding of 50% of its $175,000 share for this project. As a result of not being able to obtain funding, this project is proposed to be deleted under the 2021 Utility Fundy Capital Program and instead it will be considered as part of the 2022 Capital Program and the resulting savings would be allocated to fund the roof replacement for the various SJW facilities (MWWTF, EWWTF, LWWTF and Spruce Lake Pump Station). The Utility Share (20%) of the overall estimated cost ($653,667) for this renewal project is estimated at $130,733.40. The entire $175,000 Utility share is proposed to be reallocated to the roof replacement project under the COVID-19 Resilience Infrastructure Funding program. Required Utility funding for the AMIS project will be added to the 2022 Capital Program. 2021 General Fund Capital Program The table below details the projects that were approved in the 2021 General Fund Capital Program that will be affected by the proposed changes to the funding arrangements for the COVID-19 Resilience Infrastructure Funding program or the Community Development Funding programs. 6'il -7- Project Description Other Share City Share Replacement of the existing roofs (i.e., plywood, Municipal shingles and insulation) at fire stations #5 & #7. $ 125,000.00 $ 125,000.00 Buildings Subject to successful funding under the Community Development Fund. Charles Replacement of an existing chiller at the Charles Gorman Arena Gorman Arena as well as replacing two existing / Stewart condensers at the Stewart Hurley Arena. Subject $ 70,000.00 $ 70,000.00 Hurley Arena to successful funding under the Community Development Fund. Replacement of the existing metal siding that is in poor condition as well as replacing the Municipal existing facility sign at the Municipal Operations $ 110,000.00 $ 200,000.00 Buildings building (175 Rothesay Avenue). Subject to successful funding under the Community Development Fund. Asset Management Information System (AMIS). Project scope includes the purchase of the Various Municipal & required software, obtaining necessary training, $ 87,500.00 $ 87,500.00 Water Facilities completing City infrastructure update, etc. Subject to successful funding under the Community Development Fund. Replacement of an existing air handling unit at Municipal the Municipal Operations building (175 Buildings Rothesay Avenue) including the control system. $ 50,000.00 $ 50,000.00 Subject to successful funding under the Community Development Fund. St Patrick Street Pedway - Roof repair due to Municipal existing leak including the replacement of the Buildings existing air handling unit. Subject to successful $ 7,500.00 $ 7,500.00 funding under the Community Development Fund. Renovation of upper City Market Lobby Entrance as well as Elevator Entrance to City City Market Market Tower. Subject to successful funding $ 60,000.00 $ 15,000.00 under the COVID-19 Resilience Infrastructure Fund Total $ 510,000.00 $ 555,000.00 Adjustments have been made to the following table based on the revised funding proposal to situate the City in the best possible position to obtain the all -available funding for the COVID-19 Resilience Infrastructure Funding and Community Development Funding programs. 6191 -8- Project Description Other Share City Share Replacement of the existing roofs (i.e. Municipal plywood, shingles and insulation) at fire Buildings stations #5 & #7. Subject to successful $ 200,000.00 $ 125,000.00 funding under the COVID-19 Resilience Infrastructure Fund Charles Replacement of an existing chiller at the Charles Gorman Arena as well as Gorman Arena replacing three existing condensers at / Stewart the Stewart Hurley Arena, Charles Hurley Arena / Gorman Arena and Lord Beaverbrook $ 95,000.00 $ 95,000.00 Lord Beaverbrook Arena. Subject to successful funding Arena under the Community Development Fund. Replacement of the existing metal siding that is in poor condition as well as replacing the existing facility sign at the Municipal Municipal Operations Complex. Work Buildings also includes the replacement of several $ 418,600.00 $ 105,000.00 leaking windows. (175 Rothesay Avenue). Subject to successful funding under the COVID-19 Resilience Infrastructure Fund Various Complete preliminary investigation into Municipal & setting up the City's Asset Management $ 50,000.00 Water Facilities Information System (AMIS). Replacement of an existing air handling unit at the Municipal Operations building Municipal (175 Rothesay Avenue) including the $ 84,000.00 $ 21,000.00 Buildings control system. Subject to successful funding under the COVID-19 Resilience Infrastructure Fund St Patrick Street Pedway - Roof repair due to existing leak including the Municipal replacement of the existing air handling $ 24,000.00 $ 6,000.00 Buildings unit. Subject to successful funding under the COVID-19 Resilience Infrastructure Fund Renovation of upper City Market Lobby Entrance as well as Elevator Entrance to City Market City Market Tower. Subject to successful $ 37,500.00 $ 37,500.00 funding under the Community Development Fund. Total $ 859,100.00 $ 439,500.00 Some of the noted changes compared to what was originally approved are detailed below. • Funding shares changed based on the revised proposed funding partner for each project. (80% Other Share /20% City Share for COVID-19 Resilience Infrastructure Funding program and 50% Other Share / 50% City Share for the Community Development Funding program). 67� -9- • Renewal of the existing condenser at the Lord Beaverbrook was added to the Charles Gorman Arena / Stewart Hurley Arena / Lord Beaverbrook Arena Project scope. • Added funding for a scope increase to the Replacement of the existing metal siding and window repairs/maintenance project at the Municipal Operations Complex. • Added funding for the Replacement of the existing roofs at Fire Stations #5 and #7 as tender prices came in higher than anticipated. • Reduced required funding for the City's Asset Management Information System (AMIS) project. Funding in 2021 will be used to complete a preliminary investigation into setting up an AMIS for the City of Saint John. Further required funding from the General Fund will be added to the 2022 General Fund Capital Program. • The overall City share savings equates to $115,500 ($555,000 — $439,500). • If all the funding is obtained by the City from the COVID-19 Resilience Infrastructure Funding program and Community Development Funding program, this proposal will increase Other Share funding obtained from what was previously approved by $349,100 (General Fund). • If the revised Capital Program is approved, the proposed surplus ($115,500) when comparing the current 2021 General Fund Capital Program with the revised program will be used to address potential future costs that are greater than the estimated costs within the Revision II program. The surplus City Share funding ($115,500) will be added to the City Share of the replacement of the existing roofs at Fire Station #5 & #7 project in revision II of the 2021 General Fund Capital Program. INPUT FROM OTHER SERVICE AREAS AND STAKEHOLDERS The enclosed revised capital budget changes were coordinated and received input from: Strategic Services (i.e., Finance) and all divisions within Utilities and Infrastructure services. ATTACHMENTS Appendix —A-2021 W&S Utility Fund Capital Program Revision II Appendix — B —2021 General Fund Capital Program Revision II 6'tl Project(s) adjusted as a result of changes to the COVID-19 Resilience Infrastructure Funding Program and the Community Development Funding Program. Fundy Quay Project Description Other Share City Share Fundy Quay Soil Remediation - Develop and implement strategy to effectively manage $ 2,486,000.00 existing soil contamination on the site. Infill - Re -grading the site while incorporating the seawall refurbishment to Fundy Quay facilitate future development. Project to be partially funded by the Province of $ 625,000.00 $ 1,875,000.00 New Brunswick. Harbour Passage & Pedway- Obtaining public access to waterfront property Fundy Quay which will be key to improving active transportation in the uptown area. Project $ 7,996,000.00 $ 1,999,000.00 to be partially funded by the COVID-19 Resilience Infrastructure Fund Loyalist Plaza - Re -development of the highly utilized public space which will Fundy Quay allow for the integration of the plaza design with the design of the surrounding $ 2,452,750.00 $ 222,250.00 development. Project to be partially funded under Bilateral Funding and by the Province of New Brunswick. Fundy Quay Additional Fundy Quay funding for Soil Remediation, Infill, Harbour Passage & $ 1,635,000.00 $ 825,000.00 Pedway and Loyalist Plaza. -Pay as you go funding for the Other Share Total $ 12,708,750.00 $ 7,407,250.00 Corporate Performance Information Technology IT Infrastructure Replacement / Upgrades / ERP System $ 835,000.00 $ 1,500,000.00 Total $ 835,000.00 $ 1,500,000.00 Finance and Administration Services Project Description Other Share City Share Fleet Fleet Replacement $ 2,065,000.00 Total $ 2,065,000.00 $ - Saint John Parking Parking Replacement of 17 Parking Meters $ 113,000.00 Parking Bus Shelter- Market Square $ 10,000.00 Total $ - $ 123,000.00 Asset and Facility Management Project Description Other Share City Share Fundy Quay - Seawall Refurbishment - Project to be partially funded by the $ 3,240,000.00 Fundy Quay Province of New Brunswick. Fundy Quay - Seawall Refurbishment - Project to be partially funded under $ 2,180,000.00 $ 1,530,000.00 Fundy Quay DMAF. Municipal Buildings Deep Municipal Energy Retrofit. Subject to Federal Funding. $ 553,333.00 $ 575,000.00 Market Square District Energy Phase 1. Subject to Federal Funding. $ 488,000.00 $ 732,000.00 Lord Beaverbrook Main Electrical Services Upgrade $ 100,000.00 Replacement of the existing roofs (i.e. plywood, shingles and insulation) at fire Municipal Buildings stations #5 & #7. Subject to successful funding under the COVID-19 Resilience $ 200,000.00 $ 240,500.00 Infrastructure Fund Charles Gorman Arena /Stewart Replacement of an existing chiller at the Charles Gorman Arena as well as Hurley Arena /Lord Beaverbrook replacing three existing condensers at the Stewart Hurley Arena, Charles Gorman $ 95,000.00 $ 95,000.00 Arena and Lord Beaverbrook Arena. Subject to successful funding under the Arena Community Development Fund. Replacing the existing dasher boards and glass with new boards and glass that TD Station meet QMJHL Requirements. Subject to successful funding under the Community $ 225,000.00 $ 225,000.00 Development Fund. Replacement of the existing metal siding that is in poor condition as well as replacing the existing facility sign at the Municipal Operations Complex. Work Municipal Buildings also includes the replacement of several leaking windows. (175 Rothesay $ 418,600.00 $ 105,000.00 Avenue). Subject to successful funding under the COVID-19 Resilience Infrastructure Fund Various Municipal & Water Complete preliminary investigation into setting up the City's Asset Management $ 50,000.00 Facilities Information System (AMIS). Repairs to the existing building foundation and completing necessary water Carleton Community Centre proofing as Community Center has a foundation leak. Subject to successful $ 75,000.00 $ 75,000.00 funding under the Community Development Fund. W Replacement of an existing air handling unit at the Municipal Operations building Municipal Buildings (175 Rothesay Avenue) including the control system. Subject to successful $ 84,000.00 $ 21,000.00 funding under the COVID-19 Resilience Infrastructure Fund St Patrick Street Pedway - Roof repair due to existing leak including the Municipal Buildings replacement of the existing air handling unit. Subject to successful funding $ 24,000.00 $ 6,000.00 under the COVID-19 Resilience Infrastructure Fund Municipal Buildings City Market Pedway HVAC Upgrade. Subject to successful funding under the $ 24,000.00 $ 6,000.00 COVID-19 Resilience Infrastructure Fund Renovation of upper City Market Lobby Entrance as well as Elevator Entrance to City Market City Market Tower. Subject to successful funding under the Community $ 37,500.00 $ 37,500.00 Development Fund. TD Station Heat Pump Replacement $ 50,000.00 Trade and Convention Center Replacement Equipment (Banquet Equipment, Tables & Walk-in Fridge). $ 80,000.00 Trade and Convention Center Replace Flooring and Staging Equipment. $ 30,000.00 Trade and Convention Center Security Upgrades. $ 15,000.00 Total $ 7,644,433.00 $ 3,973,000.00 Parks & Recreation Services Project Description Other Share City Share Supply and installation of a new score clock at the Shamrock Park artificial turf field as well as other improvements to the Shamrock Park Facility. Replacement Facility Renewal Fund of an existing wooden structure at the City's Market Place West Playground. The $ 75,000.00 $ 75,000.00 current structure has reached the end of its useful life. Subject to successful funding under the Community Development Fund. Total $ 75,000.00 $ 75,000.00 Storm Water Project Description Other Share City Share Catherwood Street (Ready Street to Renew approx. 85 m of new 375mm storm sewer for separation, remove two CB's on Greystone Terrace, and redirect two CB's at the top of Catherwood Street $ 134,350.00 G reystone Terrace) into the storm sewer, including design and construction management services. Germain Street (St James Street to Renew 125 m of 600mm storm sewer for separation, including design and construction management services. Project to be partially funded under Bilateral $ 115,000.00 $ 40,000.00 Lower Cove Loop) Funding. Water Street Outfall Install approx. 70 m of new 1800mm storm sewer and outfall for separation, $ 840,000.00 including design and construction management services. Wentworth Street (Elliott Row to Install approx. 190 m of 375mm storm sewer for separation , including design and construction management services. Project to be partially funded under $ 140,000.00 $ 50,000.00 Orange Street) Bilateral Funding. Broadview Avenue (Charlotte Install approx.. 275 m of 375 mm and 450mm storm sewer for separation, including design and construction management services. Project to be partially $ 200,000.00 $ 75,000.00 Street to Carmarthen Street) funded under Bilateral Funding. Rodney Street (Market Place to Install approx. 150m of new 600mm storm sewer and 135m of 450mm storm sewer for separation, including design and construction management services. $ 340,000.00 Watson Street) Project to be funded under the G.T.F. St James Street (Prince William Install 113 m of 300mm storm sewer for separation, including design and Street to Germain Street) construction management services. Project to be partially funded under Bilateral $ 70,000.00 $ 25,000.00 Funding. Waterloo Street (Haymarket Square Install approx. 400m of new 300mm and 375mm storm sewer for separation, including design and construction management services. Project to be partially $ 360,000.00 $ 135,000.00 to Castle Street) funded under Bilateral Funding. Princess Street (Water Street to Install approx. 46 m of 300mm and 56m of 375mm storm sewer for separation, including design and construction management services. Project to be funded $ 160,000.00 Germain Street) under G.T.F. Princess Street (Wentworth Street Install approx. 255 of new 300mm storm sewer for separation, including design and construction management services. Project to be partially funded under $ 205,000.00 $ 75,000.00 to Crown Street) Bilateral Funding. Total $ 1,590,000.00 $ 1,374,350.00 Transportation Project Description Other Share City Share Street reconstruction (curb, sidewalk, landscaping and paving), including design Charlotte Street (Trinity Church to and construction management services. Saint John Energy proposed to be participating in the project by providing their services, estimated at $200,000, to $ 360,000.00 Princess Street ) convert the overhead high voltage lines to underground. Asphalt pavements $41,000 / 0.27 LK. Engineering Investigation and Funding for engineering investigations and design for various projects under the $ 300,000.00 Design Storm and Transportation Categories. LGJRJ Asphalt Roadway Resurfacing and Renewal of asphalt roadway and concrete curb and sidewalk including drainage Curb & Sidewalk Renewal - control and landscaping in conjunction with the annual asphalt roadway $ 434,000.00 Neighbourhoods maintenance and rehabilitation program. Pay as you go. Asphalt Roadway Resurfacing and Renewal of asphalt roadway and concrete curb and sidewalk including drainage Curb & Sidewalk Renewal - control and landscaping in conjunction with the annual asphalt roadway $ 1,500,000.00 Neighbourhoods maintenance and rehabilitation program. Project to be funded under G.T.F. Germain Street (St James Street to Street reconstruction (curb, sidewalk, landscaping and paving), including design and construction management services. Asphalt pavements $43,000 / 0.281-K. $ 130,000.00 $ 50,000.00 Lower Cove Loop) Project to be partially funded under Bilateral Funding. Wentworth Street (Elliott Row to Street reconstruction (curb, sidewalk, landscaping and paving), including design and construction management services. Asphalt pavements $156,000 / 1.05LK. $ 455,000.00 $ 170,000.00 Orange Street) Project to be partially funded under Bilateral Funding. Broadview Avenue (Charlotte Street reconstruction (curb, sidewalk, landscaping and paving), including design and construction management services. Asphalt pavements $97,000 / 0.671-K. $ 360,000.00 $ 130,000.00 Street to Carmarthen Street) Project to be partially funded under Bilateral Funding. Rodney Street (Market Place to Street reconstruction (curb, sidewalk, landscaping and paving), including design and construction management services. Asphalt pavements $140,000 / 0.941-K. $ 550,000.00 Watson Street) Project to be funded under the G.T.F. St James Street (Prince William Street reconstruction (curb, sidewalk, landscaping and paving), including design and construction management services. Asphalt pavements $42,000 / 0.281-K. $ 160,000.00 $ 60,000.00 Street to Germain Street) Project to be partially funded under Bilateral Funding. Waterloo Street (Haymarket Square Street reconstruction (curb, sidewalk, landscaping and paving), including design and construction management services. Asphalt pavements $150,000 / 0.981-K. $ 610,000.00 $ 225,000.00 to Castle Street) Project to be partially funded under Bilateral Funding. Princess Street (Wentworth Street Street reconstruction (curb, sidewalk, landscaping and paving), including design and construction management services. Asphalt pavements $108,000 / 0.721-K. $ 325,000.00 $ 120,000.00 to Crown Street) Project to be partially funded under Bilateral Funding. Total $ 4,524,000.00 1 $ 1,415,000.00 Ais] Revised 2021 General Fund Capital Program Summary Category Other Share ($) City Share ($) Total ($) Fundy Quay / Seawall Refurbishment $ 12,708,750.00 $ 7,407,250.00 $ 20,116,000.00 Corporate Performance $ 835,000.00 $ 1,500,000.00 $ 2,335,000.00 Finance and Administration Services $ 2,065,000.00 $ - $ 2,065,000.00 Saint John Parking $ - $ 123,000.00 $ 123,000.00 Asset and Facility Management $ 7,644,433.00 $ 3,973,000.00 $ 11,617,433.00 Parks & Recreation Services $ 75,000.00 $ 75,000.00 $ 150,000.00 Urban Storm Water $ 1,590,000.00 $ 1,374,350.00 $ 2,964,350.00 Transportation $ 4,524,000.00 $ 1,415,000.00 $ 5,939,000.00 Total ($) $ 29,442,183.00 $ 15,867,600.00 $ 45,309,783.00 Summary of Capital Costs (City Share) 0 Fundy Quay / Seawall Refurbishment Corporate Performance Finance and Administration Services Saint John Parking Asset and Facility Management Parks & Recreation Services ■ Urban Storm Water ■ Transportation AI Project(s) adjusted as a result of changes to the COVID-19 Resilience Infrastructure Funding Program and the Community Development Funding Program. 2021 W&S Utility Fundmpitai Industrial Water Renewal - West Project Description Other Share Utility Share Road construction and replacement of three large culverts, including Coleson Cove Raw Water Transmission design and construction management services. Phase 1 of 2. Design $ 525,000.00 line services of Phase 2 for road construction and replacement of three large culverts. Upgrade / reconstruction - Appropriate pump sizing, electrical Musquash Water Pump Station upgrades, flood proofing, etc. Including design and construction $ 695,000.00 $ 870,000.00 management services. Phase B. Project to be partially funded under DMAF . Total $ 695,000.00 $ 1,395,000.00 Industrial Water Renewal - East Project Description Other Share Utility Share Design services to investigate connecting IP to the East Industrial Industrial Water Renewal - East piped system to reduce the wasting of water and general loss of $ 50,000.00 water in the brook system. Total $ - $ 50,000.00 Infrastructure Renewal - Sanitary Project Description Other Share Utility Share Greenhead Road SLS C Supplemental funding for the renewal of Greenhead Road SLS C. $ 90,000.00 Develop a Solid Waste Diversion Action Plan to detail the preferred Wastewater Treatment Plant Solid septage receiving system to be installed at one of the City's $ 50,000.00 $ 10,000.00 Waste Diversion Action Plan wastewater treatment facilities. Subject to successful funding under the Environmental Trust Fund. Develop a strategy to mitigate the effects of coastal flooding on the Flood Risk Mitigation Strategy for City's infrastructure in the Lower Cove Loop area (Lower Cove SLS and $ 45,000.00 $ 45,000.00 Lower Cove Loop associated sewer collection system infrastructure). Subject to successful funding under the National Disaster Mitigation Program. Roof replacements at several Saint John Water (SJW) facilities including the Spruce Lake Pump Station, Millidgeville Wastewater Various SJW Water Facilities Treatment Facility (WWTF), Lancaster Wastewater Treatment Facility $ 522,934.00 $ 175,000.00 (WWTF) and Eastern Wastewater Treatment Facility (EWWTF). Subject to successful funding under the COVID-19 Resilience Infrastructure Fund Renew approx. 55 m of 300mm concrete sanitary sewer to direct Catherwood Street (Greystone Terrace) flows into an existing sanitary sewer, including design and $ 125,000.00 construction management services. Renew 100 m of 375mm TC sanitary sewer (Condition Grade of 3 with Germain Street (St James Street to Lower an in service year of 1884), including design and construction $ 110,000.00 $ 40,000.00 Cove Loop) management services. Project to be partially funded under Bilateral Funding. Lower Cove Loop (Charlotte Street to Install 150 m of 525mm concrete sanitary sewer including design and construction management services. Project to be partially funded $ 255,000.00 $ 95,000.00 Germain Street) under Bilateral Funding. Renew 180 m of 300mm T.0 sanitary sewer (Condition Grade of 4 Wentworth Street (Elliott Row to Orange with a year in service of 1867), including design and construction $ 175,000.00 $ 65,000.00 Street) management services. Project to be partially funded under Bilateral Funding. Lakewood Heights Sanitary System Mitigation measures to reduce inflow / infiltration in the sanitary $ 250,000.00 sewer system, including construction management services. I'M Wastewater Pumping (Prospect Street Pumping station, land acquisition, and required piping to direct flows to sewer on Main Street West for treatment at the Lancaster Lagoon, $ $ 575,000.00 West at Walnut Street including construction management services. Renew 275 m of 375 T.0 sanitary sewer (Condition Grade 4), Broadview Avenue (Charlotte Street to including design Project be $ 245,000.00 $ 90,000.00 Carmarthen Street) and construction management services. to partially funded under Bilateral Funding. Construct three headers, one for each cell for the blower system at Lancaster Lagoon the Lancaster Lagoon complete with road way construction. Including $ 750,000.00 design and construction management services. WWPS Woodlawn Park (1335 Red Head Design for the replacement of wastewater pumping stations that are at the end of their asset life to provide for reliable collection of $ 100,000.00 Road) wastewater. Rodney Street (Market Place to Watson Renewal of approx. 290 m of T.C, Brick and Concrete sanitary sewer (Condition Grade 3), including design and construction management $ 410,000.00 Street) services. Project to be funded under G.T.F. Renew 111 m of 250mm and 375mm T.0 sanitary sewer (Condition St James Street (Prince William Street to Grade of 3.5 with an in service year of 1876), including design and $ 100,000.00 $ 36,000.00 Germain Street) construction management services. Project to be partially funded under Bilateral Funding. Structural Lining Structurally line and point repairs to sanitary sewers, including design $ 225,000.00 and construction management services. Renew approx. 330 m of 300mm and 375mm T.0 sanitary sewer Waterloo Street (Haymarket Square to (Condition Grade of 5 with an in service year of 1869), including $ 310,000.00 $ 115,000.00 Castle Street design and construction management services. Project to be partially funded under Bilateral Funding. Princess Street (Water Street to Germain Install approx. 100m of 300mm sanitary sewer for separation, including design and construction management services. Project to be $ 205,000.00 Street) funded under G.T.F. Renew approx. 250m of 225mm and 300mm TC sanitary sewer (Condition Grade of 5 with an in service year of 1893), with new Princess Street (Wentworth Street to 200mm and 300mm sanitary sewer, including design and construction $ 265,000.00 $ 95,000.00 Crown Street) management services. Project to be partially funded under Bilateral Funding. Reconstruction lift station above flood level to provide for reliable WWPS Beach Crescent (11 Beach collection of wastewater, including design and construction $ 340,000.00 $ 510,000.00 Crescent) management services. Phase A. Project to be partially funded under DMAF. Total $ 3,032,934.00 $ 3,391,000.00 Infrastructure Renewal - Water Project Description Other Share Utility Share Engineering Investigation Design Funding for engineering investigations and design for various projects $ 300,000.00 and under the Water and Sanitary Categories. Installation of Electro-Magnetic flow meters east of PRV #104B and at Westmorland Road & Bayside Drive Flow Meters /Chamber #33 Flow Limiting PRV #10 including construction management. Supply and installation $ 180,000.00 of flow limiting valves on the east side supply lines to Mill Road Vault, Valves including construction management. Fleet Replacement Fleet Replacement for Saint John Water. Project to be funded under $ 485,000.00 Fleet Reserve. Removal of cross -connections on Potable Removal of two cross -connections on Potable Water and Raw Water Water and Raw Water Transmission Transmission mains, including construction management services $ 150,000.00 mains (Ocean Westway / Route 7 Overpass). Renew 100 m of 200mm watermain (1955), including design and Germain Street (St James Street to Lower Project be $ 90,000.00 $ 35,000.00 Cove Loop) construction management services. to partially funded under Bilateral Funding. Lower Cove Loop (Charlotte Street to Install 150 m of 200mm watermain, including design and construction management services. Project to be partially funded $ 135,000.00 $ 50,000.00 Germain Street) under Bilateral Funding. W Renew 350 m of 300mm Cl watermain (1931), including design and Wentworth Street (Elliott Row to Orange Project be $ 445,000.00 $ 165,000.00 Street) construction management services. to partially funded under Bilateral Funding. Renew 275 m of 150 mm Cl watermain (1917), including design and Broadview Avenue (Charlotte Street to Project be $ 225,000.00 $ 85,000.00 Carmarthen Street) construction management services. to partially funded under Bilateral Funding. Rodney Street (Market Place to Watson Renewal of approx. 295 m of 300mm Cl watermain, including design and construction management services. Project to be funded under $ 345,000.00 Street) G. T. F. Renew 110 m of 250mm Cl watermain (1876), including design and St James Street (Prince William to Project be $ 125,000.00 $ 45,000.00 Germain Street) construction management services. to partially funded under Bilateral Funding. Renew approx. 330 m of 300mm Cl watermain(1856), including Waterloo Street (Haymarket Square to design Project be $ 450,000.00 $ 275,000.00 Castle Street) and construction management services. to partially funded under Bilateral Funding. Renew approx. 275m of 250mm Cl (1924) watermain, including Princess Street (Wentworth Street to design Project be $ 335,000.00 $ 125,000.00 Crown Street) and construction management services. to partially funded under Bilateral Funding. Total $ 2,635,000.00 $ 1,410,000.00 Revised 2021 W&S Utility Fund Capital Program Summary Category Other Share ($) City Share $ Total ($) Industrial Water Renewal - West $ 695,000.00 $ 1,395,000.00 $ 2,090,000.00 Industrial Water Renewal - East $ - $ 50,000.00 $ 50,000.00 Infrastructure Renewal - Sanitary $ 3,032,934.00 $ 3,391,000.00 $ 6,423,934.00 Infrastructure Renewal -Water $ 2,635,000.00 $ 1,410,000.00 $ 4,045,000.00 Total ($) $ 6,362,934.00 $ 6,246,000.00 $ 12,608,934.00 23% Summary of Capital Costs (Utility Share) a Industrial Water Renewal - West ® Industrial Water Renewal - East Infrastructure Renewal - Sanitary Infrastructure Renewal -Water AE,I