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2011-02-07_Agenda Packet--Dossier de l'ordre du jourCity of Saint John Common Council Meeting Monday, February 7th, 2011 Regular Meeting 1. Call to Order — Prayer 5:00 p.m. Council Chamber 2. Approval of Minutes 3. Adoption of Agenda 3.12011 Capital Budget 3.2 Proposed Meeting for Plan SJ Impact Analysis and the 2011 Heritage Awards 3.3 Municipal Services Easement 3.4 Request for Committee of the Whole Presentation from Joshua Group (Mayor Court) 16. Adjournment REPORT TO COMMON COUNCIL .�a 4 February 2011 Zrz two,; His Worship Ivan Court City of Saint John and Members of Common Council Your Worship and Councillors: SUBJECT: 2011 Capital Budget The proposed 2011 General Fund Capital Budget is attached for Council's consideration and approval. The net cost of capital expenditures incurred by a City is financed by way of formal debt obligations. The annual payments on these debt instruments are made through the operating budget and financed through the tax rate. As previously reviewed with Council during preparation of the Operating Budget, the City has a number of outstanding commitments that have yet to be completed and there is some uncertainty about future revenue streams for operations. The approach to the 2011 Capital Budget parallel's that employed in the operating budget — fulfill existing commitments and exercise caution when incurring future obligations. The total capital expenditure target for 2011, apart from Peel Plaza, is $23.5M. In practical terms this means finishing off outstanding general capital projects previously approved by Common Council ($11.62M), limiting the borrowings for new capital projects ($12.03M) and covering the City's share of the cost of the Peel Plaza development ($18.2M). Carry Forward Amounts - (Schedule A) A number of projects approved in the 2009 and 2010 general capital budget have yet to be completed or if the work has been completed payments are still outstanding. Delays can arise due to land acquisition issues, timing of tender awards, and securing environmental approvals etc. These projects are summarized in the attached schedule. It is anticipated that the projects will be completed in the current year and/or final payment will be made on outstanding amounts. Peel Plaza - (Schedule B) The contracts for the Architect, the Police HQ, the Parking Garage and Underground Infrastructure Upgrades have now been awarded. Construction work on the various components is underway and work on the public plaza will not begin until 2012. A summary of the cash flows (based on the contracted amounts) for the development are included for information purposes. The net projected cost of the project remains within the original envelope approved by Common Council. The actual cost will vary according to site conditions, change orders and other onsite adjustments as work proceeds. The projected costs are factored into our overall borrowing provisions. New Projects - (Schedule C) The total capital submissions exceeded $78.OM for 2011. Given that the requests far exceeded the available funding, the projects were screened based on the following factors: • Public /Employee Safety — must address safety issue in the community /workplace • Council Priority — must contribute directly to achievement of a Council Priority • Protection of Assets — must protect the use /investment of an existing asset • Strategic Investment — must advance the strategic interests of the community • Contractual Obligation — must fulfill a contractual or legislative obligation Projects that met one of more of these factors were considered for inclusion in the spending envelope. A final selection was made based on the available funding. A full listing of the submissions is attached in Schedule D. The major portion of the funding is allocated to road works and storm drainage. A number of additional projects are proposed to address social, cultural and economic needs within the community. Council will note that a total $5,396,000 largely from the Gas Tax Funding program is available to reduce the overall borrowing requirements of the City. Conditional Approvals - (Schedule E) Several major projects were submitted for Council's consideration during 2010 that are dependent on securing capital financing from sources other than the City. While each of these projects addresses identified needs within the community an immediate funding allocation from the City, without the full project funding in place, will preclude undertaking other pressing projects in 2011. A City commitment to offer financial support may however assist the project sponsors in advancing their respective projects by securing the needed contributions from other funding partners. These additional contributions will help the City to proceed with the various projects at a fraction of the total cost. 2 It is proposed that the funding for these projects be identified and that payment of the funds is to be conditional on satisfying certain requirements. If the projects do come to fruition then the City contribution will be assessed against future borrowing envelopes. The City needs certainty with respect to its financial obligations and it is therefore proposed that each of the conditional approvals expire on December 31, 2012. Trade and Convention Centre One of the projects proposed for conditional approval is the upgrade to the Trade and Convention Centre. The current facility is dated and needs a timely retrofit in order to have a competitive offering in the convention market for Saint John. This is a strategic investment and staff is recommending that this project be identified as an economic development priority. The total value of the needed upgrade is approximately $10.OM. A project of this magnitude requires federal and /or provincial support. The fact that this is a City owned facility, that the project is tender ready, that other communities have improved their competitive capacity, that an investment by the Province of NB and /or the Federal Government will be recovered through various sales and income taxes, that an active convention centre supports demand for airport services, that there is broad tourism industry support for this project, that employment creation is one of the direct spinoffs and the fact that bars, restaurants, taxis and retail outlets all derive economic spinoffs from convention business are but a few of the reasons for giving priority consideration to this project. This approach does not diminish the merit of the other projects but simply recognizes that there is an immediate opportunity to make a joint investment that will yield community wide benefits, while failure to remain competitive will also have negative consequences. Deferrals - 2012 Several capital expenditures are not included in the current year envelope but should be included in the 2012 capital funding envelope. Advance approval will allow tenders for the projects to be called in 2011 with the actual expenditure only taking place in 2012. The following projects are recommended for advance approval. Pugsley Park - EcoHub ($895,000) — this project will be a focal point for public access on the waterfront in the area adjacent to the Hardman development. It will be an attraction for local residents, tourists and cruise ship passengers alike. The project already benefits from a funding commitment from TDBank in support of the EcoHub interpretation concept and is tender ready. The requisite land leases have been finalized and both the Port Corp and Hardman have indicated that the 3 project will not conflict with their planned developments and will in fact add value to the overall development of the waterfront. A tender call in the fall of 2011 will allow the work to be completed in 2012. Fire Pumper Truck ($500,000) — this type of truck has a useful life of 15 -20 years. In accordance with the Apparatus Replacement Program, adopted by Council in Feb 2006, this new truck will replace a 1996 Spartan Pumper which will be removed from front line service and placed in active reserve, where it will replace an aging reserve pumper. This advanced approval is necessary to allow staff to finalize specifications for tendering in 2011 and for delivery and payment in 2012. Transit Buses ($900,000) — similar to the situation with fire equipment, there is significant lead time from booking the order for a vehicle to actual delivery. The Transit Commission has made considerable progress in reducing the average age of the fleet and consequently the cost of maintenance and repairs. Advance approval will allow for two of the four requested buses to be ordered in the current year. Transit staff have advised that the replacement cycle will have to be accelerated in future years in order to retain an acceptable average fleet age. Input from Other Sources Staff of the various departments, Waterfront Development, Transit Commission, Uptown Saint John and the Finance Department have provided input in the development of the capital budget. Conclusion The capital budget represents a major financial commitment for the community. As with the operating budget, the City must exercise caution in the face of uncertainty about future revenue streams. The proposed budget will allow for a number of outstanding project files to be closed out in the current year, fulfill ongoing obligations and provides new investments for Council priorities such as customer service, flood control, economic development and road reconstruction. Contributions from the Gas Tax Fund will lower the actual borrowing costs of the City. Recommendation That Common Council, Approve the 2011 Capital Budget in the amount of $19,520,528 (gross) with contributions from Other Sources of $7,485,528 yielding a capital budget in the amount of $12,035,000 (net) as set out in Schedule C, and Give advance approval to three projects in the 2012 Capital Budget, namely the Pugsley Park EcoHub ($895,000), the acquisition of Two Transit Buses 4 ($900,000) and the acquisition of a new Fire Pumper truck ($500,000), and further, That the Saint John Trade and Convention Centre retrofit be identified as an economic development priority of Common Council. Respectfully submitted, V '-- J. trick Woods, CGA CITY MANAGER 5 2010 CAPITAL CARRYOVER Lt,1,9 A De .Div Project Name 2009 Carryover 2010 BUDGET 2009 Carryover + 2010 Budget 2010 Expenditure 2010 Budget BAL Total 2010 Carryover Cateclories 5973 REVERSING FALLS WEST 6,000 - 6,000 6,000 6,000 WATER FRONT DEVELOPMENT 5979 BOARDWALK REFURISHMENT - 400,000.00 400,000 - 400,000 400,000 WATER FRONT DEVELOPMENT 5980 SMYTHE STREET - EXPANSION JOINTS - 150,000.00 150,000 150,000 150,000 WATER FRONT DEVELOPMENT SUB -TOTAL 556,000 - 556,000 556,000 6975 BURPEE AVENUE 360,000 325,000.00 685,000 418,655 266,345 61,655 TRANSPORTATION 6976 CONSUMERS DRIVE 40,000 - 40,000 33,017 6,983 4,087 TRANSPORTATION 6981 HICKEY ROAD 30,000 90,000.00 120,000 106,016 13,984 25,200 TRANSPORTATION 6983 LATIMORE LAKE ROAD 70,000 - 70,000 21,321 48,679 50,306 TRANSPORTATION 69851L LOMOND -ST CATHERINE/WES 13,000 - 13,000 9,601 3,399 16,141 TRANSPORTATION 6986 MARKET PLACE 750,000 210,000.00 960,000 13,926 946,074 950,511 TRANSPORTATION 6987 MOUTAIN VIEW DRIVE 96,000 365,000.00 461,000 359,118 101,882 229,000 TRANSPORTATION 6990 PRINCESS STREET 396,000 396,000 292,417 103,583 319,902 TRANSPORTATION 6991 ROTHESAY AVENUE 200,000 - 200,000 116,603 83,397 78,000 TRANSPORTATION 6992 ROTHESAY RD -STM SEWER CON 570,000 570,000 1,335,331 765,331 655 TRANSPORTATION 6997 WESTFIELD - DALTON -2370 1,737,500 3,156,314.00 4,893,814 2,907,059 1,986,755 1,986,755 TRANSPORTATION 7203 BAYSIDE DR -OLD BLK RIV RD - 1,000,000.00 1,000,000 33,374 966,626 43,044 TRANSPORTATION 7210 ROTHESAY AVE- TRAFFIC SIG - 130,000.00 130,000 7,950 122,050 124,562 TRANSPORTATION 7211 VISART STREET (W &S) - 235,000.00 235,000 132,411 102,589 141,000 TRANSPORTATION 7212 Westmorland- Mountain -Mall - 370,000.00 370,000 34,937 335,063 267,200 TRANSPORTATION SUB -TOTAL 10,143,814 5,821,737 4,322,077 4,298,018 3903 BLEURY - MOLSON /DANELLS 256,000 - 256,000 31,778 224,222 437 STORM 3904 BONNER PL- 720fWOODVILLE 30,000 - 30,000 - 30,000 3,000 STORM 3907 KENNEBECASIS- BROTHERS COV 323,000 300,000.00 623,000 26,358 596,642 596,735 STORM 3908 MARKET PLACE 1,035,000 - 1,035,000 7,752 1,027,248 1,025,800 STORM 3909 MARSH CREEK DRAINAGE 74,000 90,000.00 164,000 166,960 2,960 699 STORM 3911 MILFORD DRAINAGE BASIN 117,000 250,000.00 367,000 60,682 306,318 306,484 STORM 3912 RODNEYTERMINAL 247,000 - 247,000 50,706 196,294 173,805 STORM 3914 SHERBROOKE /HONEYSUCKLE 223,000 250,000.00 473,000 70,278 402,722 402,838 STORM 3916 BRENTWOOD DESIGN /CONST 966,000 1,000,000.00 1,966,000 421,823 1,544,177 1,594,433 STORM 3921 VISART STREET 106,000 - 106,000 125,069 19,069 21,000 STORM 3922 BEACH CRES /MEADOWBANK - 350,000.00 350,000 282,183 67,817 33,213 STORM 3926 LORNEVILLE RD GTF - 600,000.00 600,000 3,635 596,365 60,393 STORM SUB -TOTAL 6,217,000 1,247,224 4,969,776 4,218,836 7916 CITY MARKET 82,000 182,200.00 264,200 97,926 166,274 95,414 REAL ESTATE & FACILITIES MANAGEMENT 7930 OPERATIONS GARAGE 437,000 145,000.00 582,000 382,132 199,868 157,504 REAL ESTATE & FACILITIES MANAGEMENT 7935 PEDWAY SYSTEM - 45,000.00 45,000 6,145 38,855 38,034 REAL ESTATE & FACILITIES MANAGEMENT 7936 A B E C EXTERIOR - 205,000.00 205,000 19,894 185,106 186,966 REAL ESTATE & FACILITIES MANAGEMENT 7942 STU HURLEY ARENA 99,000 145,000.00 244,000 218,136 25,864 12,294 REAL ESTATE & FACILITIES MANAGEMENT 7943 CARLETON COMMUNITY CENT 100,000 410,000.00 510,000 338,462 171,538 133,096 REAL ESTATE & FACILITIES MANAGEMENT 7956 ADELAIDE MAINT BLDG 15,000 - 15,000 9,391 5,609 4,302 REAL ESTATE & FACILITIES MANAGEMENT 7958 VARIOUS - 80,000.00 80,000 - 80,000 52,627 REAL ESTATE & FACILITIES MANAGEMENT 7960 NORTH END COMM CENTRE 17,000 100,000.00 117,000 15,514 101,486 154,061 REAL ESTATE & FACILITIES MANAGEMENT 7973 GREEN THERMAL UTILITY - 225,000.00 225,000 145,274 79,726 214,765 REAL ESTATE & FACILITIES MANAGEMENT 2152 THERMAL IMAG & SCBA EQUIP 281,750.00 281,750 266,895 14,855 3,929 PROTECTIVE SERVICES SUB -TOTAL 2,568,950 1,499, 770 1,069,180 1,052,992 City of Saint John Confidential 2/4/2011 Page 1 2010 CAPITAL CARRYOVER De .Div Project Name 2009 Carryover 2010 BUDGET 2009 Carryover + 2010 Budget 2010 Expenditure 2010 Budget BAL Total 2010 Carryover Categories 2153 FIRE APPARATUS - 200,000 PROTECTIVE SERVICES SUB -TOTAL - 200,000 4753 ROCKWOOD PARK 955,000 2,450,000.00 3,405,000 2,187,584 1,217,416 25,000 PARKS 4769 SHAMROCK PARK 235,000 - 235,000 57,052 177,948 100,000 PARKS SUB -TOTAL 3,640,000 2,244,636 1,395,364 125,000 4152 TRADE & CONVENTION CENT 250,000 367,800.00 617,800 448,314 169,486 258,376 MUNICIPALLY OWNED FACILITIES 4153 AQUATIC CENTER 1,525,000 150,000.00 1,675,000 1,166,522 508,478 345,181 MUNICIPALLY OWNED FACILITIES 4161 TRADE & CONVENTION 210,000 194,000.00 404,000 301,770 102,230 100,000 MUNICIPALLY OWNED FACILITIES 4162 AQUATIC CENTRE -ROOF 65,000.00 65,000 - 65,000 71,930 MUNICIPALLY OWNED FACILITIES 4754 GOLF COURSE - 25,000.00 25,000 - 25,000 25,000 MUNICIPALLY OWNED FACILITIES SUB -TOTAL 2,786,800 1,916,606 870,194 800,487 4771 CRESCENT VALLEY 82,000 580,000.00 662,000 307,814 354,186 411,739 LEISURE SERVICES 4778 RECREATION UNSPECIFIED 30,000 - 30,000 41,932 11,932 18,018 LEISURE SERVICES 4780 SOUTH END PLAYGROUND 250,000 502,000.00 752,000 408,416 343,584 914,587 LEISURE SERVICES SUB -TOTAL 1,444,000 758,162 685,838 1,344,344 5952 RESIDENTIAL DEV SUBDIVISI - 1,000,000.00 1,000,000 699,796 300,204 40,856 ECONOMIC DEVELOPMENT INITIATIVES 5955 INDUSTRIAL PARKS 179,000 785,000.00 964,000 322,001 641,999 132,000 ECONOMIC DEVELOPMENT INITIATIVES 5978 GIS - 95,000.00 95,000 56,886 38,114 107,350 ECONOMIC DEVELOPMENT INITIATIVES SUB -TOTAL 2,059,000 1,078,683 980,318 280,206 12,111,500 17,304,064 29,415,564 14,566,818 14,848,746 12,875,884 Less Amount funded by Gas Tax Net Carryover Amount funded by debenture issue (1,253,000) 11,622,884 City of Saint John Confidential 2/4/2011 Page 2 SatALL B POLICE H/O Contribution from the Province PLAZA Contribution from the Province MUNICIPAL INFRASTRUCTURE Contribution from Saint John Energy Project Management /Techinical Support POLICE - OTHER CAPITAL ART ARCHITECT Total City of Saint John PARKING GARAGE Contribution from the Province PEEL PLAZA 2010 2011 2012 2,000,000 14,000,000 5,000,000 (2,700,000) 200,000 1,800,000 (500,000) 1,000,000 4,000,000 (760,000) 1,000,000 500,000 500,000 1,910,000 200,000 250,000 250,000 4,000,000 18,190,000 6,460,000 28,650,000 12,000,000 5,000,000 17,000,000 (7,700,000) (7,700,000) Total Parking Commission 9,300;000 2011 CAPITAL BUDGET PROJECT CITY OTHER NUMBER PROJECT NAME SHARE SHARE TOTAL ECONOMIC DEVELOPMENT SAFETY SOCIAL CORPORATE SPORTS C- 1 Property acquisition (Derelict building) 100,000 100,000 2 Fairville Boulevard improvement 100,000 100,000 3 Development Assistance Program 500,000 500,000 4 Plan Saint John Implementation 100,000 100,000 5 Harbour front Condominium Plaza 350,000 350,000 6 City Market (lighting, security, etc) 195,000 195,000 7 Saint John Industrial Park 175,000 175,000 8 Waterfront Development- Harbour Passage Refurbishment 100,000 100,000 9 Waterfront Development- Coast Guard Site 833,000 833,000 Contribution from others (1,000,000) (1,000,000) 1,453,000 - 1,453,000 1 Police - Outdoor Shooting Range 75,000 75,000 2 Recording system for Interview Rooms 85,000 85,000 3 Fire Station Maintenance 250,000 250,000 4 Fire Equipment - Personnel Safety 270,000 270,000 5 Fire Training Tower 525,000 525,000 1,205,000 - 1,205,000 1 Abbey St. Andrew Housing - Sidewalks, curbing, street paving 46,000 46,000 2 North End Community Centre - Phase 1 900,000 900,000 3 Carleton Community Centre - Lighting, interior renovations 130,000 130,000 4 Carnegie Building - Lighting, washroom /interior renovations 70,000 70,000 5 City Market Pedway - Barrier - Free sliding door 30,000 30,000 6 Library - Circulation desk, etc. 55,000 55,000 1,231,000 - 1,231,000 1 Customer Service Project 546,000 546,000 2 Energy Management 100,000 100,000 3 Information Technology - Core systems 720,000 720,000 4 IT Equipment Replacement (Internal Reserve) 489,000 489,000 1,366,000 489,000 1,855,000 1 Beaverbrook Arena Feasibility Study 50,000 50,000 2 Arena Renovations (Hilton Belyea, etc.) 250,000 250,000 300,000 - 300,000 TRANSPORTATION 1 Rothesay Road (Design Railway to Fulton) 150,000 150,000 2 Street light purchases 75,000 75,000 3 Pay & Display Machines - Parking 168,000 168,000 4 Transit capital (Nandi bus, Shelters, Signage, etc.) 150,000 150,000 5 Fleet Replacement (Internal Reserve) 1,600,000 1,600,000 6 Westmorland Road 150,000 150,000 7 Bleury Street 450,000 450,000 8 Simpson Drive 105,000 105,000 City of Saint John Confidential 2/4/2011 Page 2011 CAPITAL BUDGET PROJECT NUMBER PROJECT NAME 9 Garden Street 10 Rothesay Road (PDH #100) - Railroad overpass to Colony Road 11 Digby Ferry Road 12 Westfield Road (Acamac Backland Road to Civic #2300) STORM (FLOOD CONTROL) 1 Beach Crescent/Meadowbank Drainage Basin 2 Storm Water Management Brentwood 3 Rodney Terminal 4 Honeysuckle Sherbrooke Street Drainage Basin - HADD 5 Honeysuckle Sherbrooke Street Drainage Basin - Ontario Street 6 Honeysuckle Sherbrooke Street Drainage Basin - Bleury Street 7 Honeysuckle Sherbrooke Street Drainage Basin - Design Culvert #2 8 Honeysuckle Sherbrooke Street Drainage Basin - Molson Avenue 9 Honeysuckle Sherbrooke Street Drainage Basin - Fundy Heights 10 Honeysuckle Sherbrooke Street Drainage Basin - Lancaster Avenue 11 Honeysuckle Sherbrooke Street Drainage Basin - Lancaster Mall Area 12 Honeysuckle Sherbrooke Street Drainage Basin - Beaver Court 13 Milford Drainage Basin - Saint Clair Avenue 14 Milford Drainage Basin - Kingsville Road 15 Milford Drainage Basin - Balmoral Crescent BUILDING & ASSET PROTECTION 1 Works - Ventilation, building code, overhead door 2 Harbour Station - Equipment 3 Saint John Trade & Convention Centre - Equipment 4 Facility assessment RECREATION & GREEN SPACE 1 Master Plan 2 Glen Road Playground 3 Trees (350 Trees) 4 Park Improvements (Rainbow Park & Flemming Court) TOTAL CITY OTHER SHARE SHARE TOTAL 225,000 225,000 350,000 350,000 80,000 80,000 375,000 375,000 1,473,000 2,405,000 3,878,000 175,000 315,000 175,000 35,000 102,000 35,000 1,615,000 1,616,528 3,231,528 220,000 220,000 145,000 145,000 375,000 375,000 50,000 50,000 185,000 185,000 700,000 725,000 1,425,000 495,000 495,000 845,000 845,000 145,000 145,000 500,000 500,000 390,000 390,000 515,000 515,000 4,140,000 4,591,528 8,731,528 315,000 315,000 60,000 60,000 102,000 102,000 90,000 90,000 567,000 - 567,000 100,000 100,000 45,000 45,000 55,000 55,000 100,000 100,000 300,000 - 300,000 12,035,000 1 7,485,528 1 19,520,528 City of Saint John Confidential 2/4/2011 Page City of Saint John Proposed Capital Expenditures General Fund Infrastucture Renewal: Transportation: Transportation Storm System Upgrades Third party funding Net costs to be financed Building /Equipment Upgrades /Energy Management: Municipal Facilities Police H/O Parking Garage Public Plaza Municipal Infrastructure - Peel Plaza Peel Street Peel Plaza project office Police other capital 12Art & Architect -Peel Plaza GTU Trade & Convention Centre Renovation Fire Department New Facilities Fire Department Equipment Parking Equipment Police Commission -Trade & Convention Centre -Other capital Harbour Station Harbour Station (Scoreboard preapproved) Aquatic Centre Aquatic Centre (Roof - listed by Fac. Management) Canada Games Stadium at UNBSJ 'Rockwood Park Golf Course \L.ibrary Third Party Funding Net costs to be financed Recreation Parks and Squares 10 -21 -2010 GENERAL CAPITAL ot1DGET SUMMARY 2011 -2015 SQL- D APPROVED Five Year 2010 2011 2012 2013 2014 2015 Total 6,439,000 7,515,000 7,390,000 6,375,000 13,370,000 9,605,000 44,255,000 3,195,000 10,636,528 6,235,000 6,555,000 4,490,000 3,730,000 31,646,528 9,634,000 18,151,528 13,625,000 12,930,000 17,860,000 13,335,000 75,901,528 (4,840,000) (5,546,528) (4,685,000) (4,560,000) (3,800,000) (1,100,000) (19,691,528) 4,794,000 12,605,000 8,940,000 8,370,000 14,060,000 12,235,000 56,210,000 2,000,000 4,757,000 4,335,000 3,577,000 16,143,479 203,724 480,500 12,700,000 3,500,000 168,000 1,400,000 1,000,000 175,000 4,564,748 693,000 50,000 450,000 300,000 400,000 500,653 500,699 500,699 427,500 1,482500 102,000 250,000 200,000 1,800,000 4,000,000 4,000,000 300,000 3,500,000 239,000 250,000 1,147,000 3,012,000 2,745,000 2,814,000 3,305,000 18,788,000 16,347,203 16,200,000 2,400,000 4,564,748 750,000 1,502,051 1,910,000 450,000 5,000,000 5,000,000 19,800,000 3,500,000 5,815,000 3,654,000 16,373,000 281,750 791,600 448,500 544,804 428,132 480,500 2,693,536 187,350 168,000 87,500 87,500 175,000 175,000 693,000 50,000 424000 1,483,000 400,000 400,000 2,710,000 194,000 182,000 102,000 150,000 60,000 494,000 250,000 362,000 305,500 239,000 250,000 275,000 1,431,500 351,000 - 150,000 928,300 755,350 558,945 350,865 2,593,460 65,000 - 5,800,000 - 25,000 25,000 25,000 25,000 25,000 25,000 125,000 30,000 57,370 57,370 57,370 57,370 57,370 286,850 9,684,100 50,581,650 21,798,143 12,885,318 15,375,367 12,971,870 113,612,348 (4,800,000) - 4,884,100 50,581,650 21,798,143 12,885,318 15,375,367 12,971,870 113,612,348 2,460,000 6,637,500 5,030,085 3,769,244 2,950,000 1,155,000 19,541,829 City of Saint John Confidential 1 012 2/2 01 0 Page 1 City of Saint John Proposed Capital Expenditures General Fund Playgrounds Recreation Urban Trees Venues, Trails and Wellness '-Arenas \ Ball Fields Third party funding Net costs to be financed Technology 8 Communications: information Systems In I) Fleet Replacement: Saint John Transit City Services -Total costs fleet replacement Financed from Operating Fund Net costs to be financed Waterfront Development Reversing Rapids (Phase 1A -1 E) 'Vater front Development (General 3urchase Coast Guard Site (A -B)\ -CCG surveys, Geo- tests, EA, Legal, Subdivide CCG Seawall Main /Repairs Boardwalk Refurbishment Harbour Passage Extension Harbour Passage Refurbishment Pedway construction (Market Sq.-CCG site) Loyalist Plaza Refurbishment Improvements - CCG Admin. Building Eco -Hub Development Market square complex Partridge Island (Phase 1) Third party funding (Sale of Lands & Parking lot) Net costs to be financed 10.21 -2010 GENERAL CAPITAL oUDGET SUMMARY 2011 -2015 APPROVED Five Year 2010 2011 2012 2013 2014 2015 Total 1,082,000 225,000 225,000 - 100,000 1,780,000 1,365,000 1,940,000 1,475,000 8,720,000 55,000 55,000 60,000 60,000 60,000 1,475,000 235,000 495,000 1,926,881 1,167,000 1,034,000 1,000,000 1,600,000 1,926,881 1,040.001' 90,000 90,000 100,000 120,000 220,000 4,092,000 8,909,381 5,090,085 4,174,244 3,010,000 1,155,000 22,338,710 (2,329,000) (498,000) 1,380,000 (200,000) 850,000 (698,000) 1,763,000 8,411,381 5,090,085 4,174,244 2,810,000 1,155,000 21,640,710 500,000 500,000 500,000 1,500,000 1,000,000 2 350,149 1,775,006 1,778,933 1,866,888 1,722,371 9,493,347 1,000,000 2,350,149 1,775,006 1,778,933 1,866,888 1,722,371 9,493,347 200,000 400,000 450,000 1,050,000 2,160,000 1,780,000 1,365,000 1,940,000 1,475,000 8,720,000 - 2,160,000 1,780,000 1,365,000 1,940,000 1,475,000 8,720,000 - 2,160,000 1,780,000 1,365,000 1,940,000 1,475,000 8,720,000 1,100,000 1,167,000 1,034,000 1,000,000 1,600,000 5,901,000 1,040.001' - 833,000 1,968,000 2,801,000 80,000 50,000 100,000 50,000 40,000 320,000 1,380,000 600,000 850,000 2,830,000 400,000 130,000 50,000 50,000 230,000 500,000 500,000 500,000 1,500,000 100,000 100,000 200,000 400,000 400,000 200,000 400,000 450,000 1,050,000 500,000 500,000 1,000,000 75,000 100,000 100,000 275,000 150,000 - 200,000 250,000 250,000 700,000 1,590,000 2,318,000 1,917,000 5,732,000 3,350,000 3,890,000 17,207,000 (1,000,000) (450,000) (2,100,000) (870,000) (1,940,000) (6,360,000) 1,590,000 1,318,000 1,467,000 3,632,000 2,480,000 1,950,000 10,847,000 City of Saint John Confidential 10122/2010 Page 2 10-21 -2010 GENERAL CAPITAL t)UDGET SUMMARY 2011 -2015 City of Saint John Proposed Capital Expenditures General Fund APPROVED Five Year 2010 2011 2012 2013 2014 2015 Total Economic Development: - Residential /Commercial Incentives 1,000,000 750,000 775,000 800,000 825,000 850,000 4,000,000 GIS 95,000 - SJ Industrial Parks 785,000 700,000 800,000 550,000 500,000 350,000 2,900,000 Other - 1,880,000 1,450,000 1,575,000 1,350,000 1,325,000 1,200,000 6,900,000 Net cost of Capital 15,911,100 78,876,180 42,425,234 33,555,495 39,857,255 32,709,241 227,423,405 Parking Garage to be financed by Parking Commission (12,700,000) (3,500,000) (16,200,000) Net Budget - City Share 66,176,180 38,925,234 33,555,495 39,857,255 32,709,241 211,223,405 City of Saint John Confidential 10122/2010 Page 3 2011 CONDITIONAL CAPITAL FUNDING Valid until December 31, 2012 Sport Millidgeville Field — Artificial Turf $440,000 Satisfactory public usage agreement, maximum city contribution lessor of $440k or 1/3 of capital cost, financial contribution from PNB, GC and community, full financing must be secured in advance Cultural Paramount Theatre Restoration $300,000 Full capital cost to be secured in advance, provide a business plan showing financial viability, no City support for future operating costs Recreation Field House —Exhibition Association $3,000,000 Full capital cost to be secured in advance, land contribution to be made by Exhibition Association, No City contribution for future operating costs, satisfactory long -term public usage agreement, 2 days per year reserved to CSJ at no cost for public events Social Crescent Valley Renewal' $375,000 Requires private sector investment and PNB capital contribution. City limited to infrastructure upgrades Economic Fallsview Park —Phase 1 $1,000,000 Full capital cost to be secured in advance including contributions from PNB & GC Economic TCC Retrofit $3,300,000 Capital cost sharing from PNB and /or GC to be secured in advance. Required lease adjustments for Library and Mall space to be finalized. Environmental Green Thermal Utility $1,800,000 Satisfactory business case analysis, adequate capital funding, private sector commitments, confirmed source of supply * *Note- the identified conditions are minimum requirements and other considerations may be identified by the City of Saint John. PEEL PLAZA PROJECT PERFECTION IS OUR GOAL EXCELLENCE WILL BE TOLERATED February 18, 2011 Mayor Ivan Court and Members of Common Council Your Worship and Councillors: Re: Municipal Services Easement The City of Saint John has been in discussion with Correction Services Canada since August of 2010 for the purposes of obtaining a municipal services easement across Federal property between Carleton Street and Sewell Street. The purpose of this easement is for the installation of a sanitary and storm sewer pipeline which forms an integral part of the municipal services upgrades surrounding the Peel Plaza development. Staff were informed on Friday, February 4th that the Federal Government were in a position to proceed. Staff were also informed that the cost to secure the easement will be $33,904.50 plus applicable taxes. The cost of obtaining the easement was based on the standard formula used by the Federal Government in such instances. RECOMMENDATION That the City of Saint John acquire the municipal easement of 525 square metres between Carleton Street and Sewell Street at a price of $33,904.50 plus applicable taxes. Respectfully submitted, Wm. Edwards, P.E g. Project Manager Peel Plaza Project W m E/'af SAINT JOHN F°atrick Woods, CGS C Manager P.O. Box 1971 Saint John, NB Canada E2L 4L1 I www.saintiohn.ca I C.P. 1971 Saint John, N. -B. Canada E2L 4L1 Edwards, Bill From: Mattsson, Gerald Sent: Friday, February 04, 2011 9:27 AM To: Edwards, Bill; Smith, Richard Subject: FW: CSC / City of Saint John and the Saint John Parking Commission / Easement woo Emile advises a document should be ready later today for our review. Also, when Emile inquires about the early access, the response is, "what does Legal say." And Legal is telling them to have a signed easement. Gerry - - - -- Original Message---- - From: Hache Emile (ATL) [mailto:Emile.Hache @CSC- SCC.GC.CA] Sent: Friday, February 04, 2011 9:20 AM To: Mattsson, Gerald Subject: CSC / City of Saint John and the Saint John Parking Commission / Easement Please be advised that the City of Saint John will be required to pay the amount of 525m2 X 64.58 = 33,904.50 for the easement with CSC. The parking commission easement total will be 121 X $64.58m2 = $7,814.18. This amount will be payable to the Receiver General for Canada. If you have any question regarding the cost, please don't hesitate to call. Emile Hache Real Property Project Manager I Gestionaire de Services Canada Service Correctionnel Canada 859 Main Street 859 rue Main Moncton NB E1C -1G3 Hacheei(@CSC- SCC.GC.CA Telephone Telephone 506 - 851 -3654 Facsimile Telecopieur 506 - 851 -3135 Government of Canada I Gouvernement du Canada projet, Biens immobiliers Correctional REPORT TO COMMON COUNCIL February 2, 2011 His Worship Mayor Ivan Court and City of Saint John Members of Common Council Your Worship and Councillors: SUBJECT: Proposed Meeting of Committee of the Whole for Plan SJ Fiscal Impact Analysis and the 2011 Heritage Awards INTRODUCTION Common Council has previously expressed a great deal of interest in the fiscal impact analysis work being completed as part of Plan SJ. This work is now complete and there is an opportunity for Common Council to receive a presentation from the consultants in advance of your consideration of the Growth Strategy on February 28t ". Staff believe this would be very useful background information that would assist in your consideration of the Growth Strategy. In addition, The Mayor has proclaimed the week of February 14th to the 21" Heritage Week and February 21" Heritage Day in the City of Saint John. It would be ideal if Common Council could make time to host those citizens who will be receiving the 2011 Heritage Awards at the same time. RECOMMENDATION: It is recommended that Common Council agree to meet in an open session of Committee of the Whole on Monday February 21, 2011 to receive the final report of the consultants respecting the fiscal impact work for Plan SJ and to deliver the 2011 Heritage Awards. Respectfully submitted, Ken Forrest, MCIP, RPP ) at-'CA rick Woods, C.G.A Commissioner City Manager Planning and Development SAINT JOHN February 7, 2011 Deputy Mayor Chase And Councillors, I request the following motion at the meeting of February 7t", 2011. Motion: That the Common Clerk schedule a Closed Committee of the Whole meeting for February 14th to hear a presentation from the Joshua Group. Sincerely, Mayor Ivan Court P.O. Box 1971 Saint John, NB Canada E2L 4L1 I www.saintjohn.ca I C.P. 1971 Saint John, N. -B. Canada E2L 4L1