Loading...
2006-01-09_Agenda Packet--Dossier de l'ordre du jourMeeting Date 2006 Open Session Box C- 100 -176 Committee of the Whole January 3, 2006 (1/2) COW Closed January 3, 2006 January 3, 2006 2/2) COW Open January 9, 2006 January 16, 2006 c -,,v ( ;.? January 30, 2006 COMMON COUNCIL AGENDA - JANUARY 9, 2006 OPEN COMMITTEE OF THE WHOLE MEETING 6:00 p.m. — Call to Order 2. 2006 Operating Budget * *NOTE ** SUPPER WILL BE PROVIDED AT 5 P.M. in REPORT TO COMMON COUNCIL e� :o OF January 6, 2006 The City o Saint Joan His Worship Mayor Norm McFarlane and Members of Common Council Your Worship and Members of Common Council: SUBJECT: DRAFT OF THE 2006 OPERATING BUDGET: TARGETED 2006 CAPITAL PROGRAM Attached, please find the latest draft of the 2006 Operating Budget, as well as the targeted 2006 Capital Budget, based on various submissions received, as well as direct or perhaps implied concerns of Council. If Council were to agree to support this draft, the following would be the general thrust of a narrative that would accompany the budget. • Despite extraordinary financial pressures to; a) meet its commitment to fund the pension deficit, b) begin the long process of moving forward with implementing the Vision 2015, c) respond to some of the concerns raised during the town hall meetings and, d) show some small sign of support with respect to the Arts and Culture Community, as well as the Social Community. Common Council has succeeded in restricting the increase in the tax rate to less than 1.7 % or 3 cents. • This would equate to $60.00 per year on a home assessed at $200,000. In approving this budget, Common Council; 1. Will more than have met its commitment to hold the tax rate at the same level with the one exception being any upward pressure caused by a requirement to fund the pension benefit. In reality, the increase is largely due to a desire to proceed with the implementation of Vision 2015 and at the same time make a Report to Common Council Subject: Draft 2006 Operating Budget M significant investment in the badly deteriorated asphalt surfaces through the City. 2. Carried through on this commitment to implement Vision 2015, with a commitment of $500,000 towards the project office, staffing and professional resources along with $100,000 to begin the creation of a Communications Unit as recommended by Chartwell. Demonstrated a willingness to listen to individual residents who aired their views at the town hall meetings. Whereas in 2005, Council responded by pro- viding additional resources to sidewalk plowing, bylaw enforcement and crosswalks, in the latter quarter of 2006, the focus will be on increased police presence. This budget provides for the recruitment of seven more police officers in September, to be deployed in a non traditional fashion that will be fully explained by the Chief at a more appropriate time.($ 80,000.) The fact is that this is a direct response to concerns that were expressed universally at every town hall meeting. 4. Follows through on remarks made during the 2004 election campaign respecting the poor conditions on certain municipal streets. This budget moves the City closer to laying down the required annual investment in asphalt that has been cited in earlier infrastructure studies. In 2006, the recommended investment is $2,030,000 compared to $1,400,000 in 2005. While studies have shown millions more would have been required in 2006, the recommended increase goes part way. 5. Listened to the recommendations of Council's appointed Committee, established to review the Heritage Area By -law. This committee recommended the engagement of a second Heritage Architect Technician. 6. Responded to concerns of the Development Community related to the timelines of various inspection services, by providing additional funds to increase the complement of plumbing inspectors to two (2). Recognizing that there are serious "capacity problems" that exist with Building and Technical Services, as a result of an increase emphasis by Council on Bylaw Enforcements. As a result, resources previously committed to Building Management are being consumed in the Enforcement area. Funds ($60,000) have been provided to attempt to deal with this capacity problem. Report to Common Council Subject: Draft 1006 Operating Budget LM 7. The budget also attempts to support a number of priorities of the community, specifically, The Arts and Cultural Board (New Money) 50,000 Continuation of the Public Arts Reserve 25,000 Support for Festivals to reduce our services. • Canadian Country Music Awards 60,000 • Continuation of Recurring Festivals as in 2005 • A small amount of seed money for a new festival Fundy Bay) $55000 8. The Budget provides the necessary funds to the employer to meet all of its obligations to the various unionized employee groups as well as the management and professional staff. 9. The Budget reflects the Council's commitment to various Economic Development initiatives for example, The importance of UNB to our future development. $2005000 The importance of Regional Promotion to our future $ 37,500 The bottom line is that the three cent increase allows for Council to make progress in a number of areas, without having to reduce our services. Now the Question: Can Council hold the rate at $1.79? The answer is yes. In order to do so, an amount of $1,341,683 would have to be removed from the Net Budget. This is a significant challenge and if this were the only approach to be supported by the majority of Council, the following actions would be proposed. Report to Common Council Subject: Draft 2006 Operating Budget Action Reduction 1. Reduce the Asphalt Program to the 2005 $6003000 Level. 2. Reduce Capital items Financed from the $5411683 Operating Budget. 3. Resolve an issue surrounding ownership of $2003000 Utility Poles with Saint John Energy. (We would then only pay for consumption, not pole rental TOTAL $1,3415683 Obviously, these decisions can be made. From staff's perspective, the decision to simply maintain the Asphalt Program at 2004 Levels would be of concern given efforts Council and staff have made to increase the level of investment on roads and streets. As for reducing Capital items financed from Operating, the City may simply be borrowing more in 2006 than anticipated. Staff s concern is that this would be a start in moving away from the Long Term Financial Plan. I say this now, because staff has informed me that they are already experiencing difficulty in formulating a meaningful Capital Program within Council's stated limits of $12 million dollars plus the anticipated "Gas Tax Refund." RECOMMENDATION: That Comon Council diAuss the options and provide direction to the City Manager. Terrence L. Totten, FCA CITY MANAGER THE CITY OF SAINT JOHN OPERATING BUDGET 2005 -2007 2005 PROJECTED 2006 % 2007 % BUDGET ACTUAL BUDGET CHANGE BUDGET CHANGE TOTAL EXPENDITURES $100,712,018 $100,903,403 LESS: NON -TAX REVENUE 6,909 160 7,106,660 93,802,858 93,796,743 UNCONDITIONAL GRANT 17r975,396 17.975.396 NET BUDGET 75,827,462 75.821 347 TAX DENOMINATOR $4,224,371,183 TAX RATE 1.795 SURPLUS (DEFICIT) 6,115 1/6/2006 $107,962,927 7,738,400 100,2241527 18,742 621 81,481,906 7.20% $111,862,774 12.00% 72603,660 6.85% 104,259,114 4.27% 19.117,473 85,141.640 $4,464,636,372 5.69% $4,665,545,009 1.825 1.67% 1.825 3.61% -1.74% 4.03% 2.00% 4.50% 0.00% CITY OF SAINT JOHN 2006 OPERATING BUDGET NON -TAX REVENUES 2005 PROJECTED BUDGET ACTUAL 2006 2007 SALE OF GOODS AND SERVICES FIRE SERVICES TRAINING HAZMAT FUNDING 70,000 70,000 POINT LEPREAU 40,000 40,000 40,000 40,000 CLEARANCE LETTERS 3,000 5,000 4,000 4,000 POLICE SERVICES LODGE PRISONERS 3,000 3,000 3,000 3,000 ACCIDENT REPORTS 11,000 11,000 11,000 11,000 TAXI LICENCES 50,000 50,000 50,000 50,000 OTHER 35,000 35,000 35,000 35,000 RECREATION AND CULTURAL SPORTSFIELDS 61,000 61,000 57,000 61,000 SUMMERPROGRAMS WEST 14,660 14,660 9,000 14,660 SENIORS PROGRAMS 5,800 CARLETON COMMUNITY CENTER CENTRAL 7,000 7,000 9,000 7,000 SOMERSET COMMUNITY CENTER NORTH END COMMUNITY CENTER EAST 23,000 23,000 25,000 23,000 FOREST HILLS COMMUNITY CENTER INTERPRETATION CENTER ROCKWOOD PARK OUTDOOR FROG HURLEYARENA 210,000 210,000 125,000 210,000 GORMAN ARENA 141,000 141,000 144,000 141,000 BELYEA ARENA 137,000 137,000 192,000 137,000 PETER MURRAY ARENA 137,000 137,000 125,000 137,000 HARBOUR BRIDGE AUTHORITY 200,000 200,000 EMERGENCY DISPATCH 183,000 200,000 569,000 400,000 ADMINISTRATIVE SERVICES HOUSING OPERATIONS 42,000 42,000 43,000 44,000 PENSION PLAN 120,000 100,000 100,000 100,000 WATER AND SEWERAGE UTILITY 1,419,000 1,419,000 1,412,000 1,391,000 OTHER WATER SALES 12,000 12,000 12,000 12,000 OTHERTOURISM 3,000 3,000 3,000 3,000 PLANNING DEPT SERVICES 5,000 50,000 50,000 50,000 SALE OF USED EQUIPMENT 5,000 5,000 5,000 5,000 GARBAGE COLLECTION 5,000 5,000 5,000 5,000 TRANSPORTATION TENDERS 500 500 500 500 OTHER REVENUE FROM OWN SOURCES LICENSES AND PERMITS BUILDING PERMITS 475,000 555,000 500,000 525,000 PLUMBING PERMITS 40,000 40,000 42,000 46,000 DEMOLITION PERMITS 5,000 5,000 5,000 5,000 MOBILE HOME PERMITS 1,250 1,250 1,250 1,250 GRAVEL PIT PERMITS 19,000 19,000 19,000 19,000 EXCAVATION PERMITS 250 250 250 250 BUSINESS LICENCES 500 500 500 500 REZONING APPLICATIONS 20,000 20,000 20,000 20,000 OTHER 9,000 9,000 9,000 9,000 GAS PIPELINE LICENCE 26,000 26,000 26,000 26,000 FINES AND PARKING MARKET SQUARE PARKING 673,000 673,000 733,000 733,000 PARKING METERS 724,500 624,500 724,500 724,500 METER VIOLATIONS 240,000 240,000 240,000 240,000 METER SUMMONSES 40,000 40,000 40,000 40,000 TRAFFIC BY LAW FINES 190,000 190,000 190,000 190,000 TRAFFIC BY LAW SUMMONSES 25,000 25,000 25,000 25,000 MOTOR VEHICLE FINES 15,000 15,000 15,000 15,000 COURT FINES 50,000 50,000 50,000 50,000 RENTALS MARKET RENTALS 414,000 414,000 467,000 475,000 LAND AND BUILDINGS 168,000 168,000 165,000 170,000 CITY HALL 346,500 270,000 275,000 275,000 SHORT TERM INTEREST 250,000 350,000 250,000 250,000 CONDITIONAL GRANTS FROM OTHER GOVMNTS PROVINCIAL HIGHWAY MAINT 360,000 360,000 386,600 360,000 TOURISM 0 0 0 OTHER REVENUE SURPLUS 2ND PREVIOUS YEAR OTHER 0 0 0 150,000 300,000 250,000 250,000 TOTAL NON TAX REVENUE 6,909,160 7,106,660 7,738,400 7,603,660 City of Saint John 2006 OPERATING BUDGET EXPENDITURES 2005 PROJECTED DEPARTMENT NAME BUDGET ACTUAL 2006 2007 MAYOR'S OFFICE 191,210 193,360 195,510 COUNCIL 352,330 358,330 409,680 LEGISLATIVE 1.50% 9.70% 543,540 525,000 551,690 605,190 CITY MANAGER 429,400 442,000 455,300 VISION 2015 0 500,000 500,000 COMMUNICATIONS SUPPORT 0 100,000 100,000 COMMON CLERK 897,392 828,290 835,794 LEGAL 505,049 576,528 646,343 GENERAL ADMINISTRATION 33.57% 3.70% 1,831,841 2,180.000 2,446,818 21537,437 CORPORATE SERVICES ADMIN. 219,612 223,118 229,305 FINANCE 953,683 981,645 1,010,439 MATERIALS MANAGEMENT 1,065,841 1,048,446 996,984 HUMAN RESOURCES 1,142,238 1,196,681 1,211,226 PUBLIC SAFETY COMMUNICATIONS CENTRE 1,463,084 1,722,927 1,774,615 INFORMATION SYSTEMS & SUPPORT 1,777,364 1,878,918 1,935,286 FLEET SERVICES 324,255 417,872 514,069 CORPORATE SERVICES 7.54% 2.71% 6,948,077 7,200,000 7,469,607 7,671,923 FIRE 16,749,433 6.66% 4.20% 151703,500 15,900,000 17,452,795 BUILDING & TECHNICAL SERVICES 1,130,220 1,197,760 1,200,316 FACILITY MANAGEMENT 793,006 878,422 900,554 CARPENTRY SHOP 438,452 454,479 466,970 CITY HALL BUILDING 1,542,500 1,645,766 1,686,910 BUILDINGS AND INSPECTION SERVICES 4,176,427 6.97% 1.88% 31904,178 3,810,000 4,254,750 EMERGENCY MEASURES ORG 168,757 170,630 167,205 MUNICIPAL OPERATIONS ADMIN 975,382 1,208,324 1,225,493 SERVICE & PROG DEVELOPMENT 502,065 472,174 486,378 ENGINEERING & GROWTH 539,738 362,722 372,309 TRAFFIC ENG & SYSTEMS 937,617 1,048,461 1,047,214 SNOW CONTROL STREETS 4,552,087 4,712,303 4,804,374 SNOW CONTROL SIDEWALKS 463,325 466,089 489,345 STORM DRAINAGE 1,852,636 1,980,573 1,970,809 STREET CLEANING 1,309,311 1,319,093 1,364,201 SANITATION 3,304,777 3,380,349 3,454,519 STREET SERVICES 41244,031 5,019,416 5,453,951 MUNICIPAL OPERATIONS 20,140,134 6.85% 3.45% 18849,726 18,5501000 20,835,798 COMMUNITY PLANNING 667,988 760,516 781,605 REAL ESTATE 393,889 420,839 455,328 G I S 222,175 260,825 235,315 HERITAGE 138,461 189,290 - 212,717 PLANNING ADVISORY COMM 10,500 10,700 10,900 ENVIRONMENT COMMITTEE 3,100 3,200 3,300 PLANNING AND DEVELOPMENT 11645,370 13.00% 3.27% 1,456,113 1,357,000 1,699,165 City of Saint John 2006 OPERATING BUDGET EXPENDITURES DEBT PAYMENTS 2005 11,100,000 11,029,127 11,746,220 WORKFORCE ADJUSTMENT 1,000,000 1,000,000 1,050,000 PROJECTED CAPITAL FROM OPERATING 1,795,000 1,795,000 1,058,064 DEPARTMENT NAME BUDGET ACTUAL 2006 1,400,000 2007 ONE TIME WRITE -OFF 534,594 286,427 TOURISM 482,886 2nd PREVIOUS YEAR DEFICIT 15,069 2.78% 689,991 2.53% 871,385 871,385 895.620 918,240 16,111,952 2.58% TOTALS 100.712 ,018 ADMINISTRATION 982,788 111,862,774 3.61% 730,098 750,642 FACILITIES 1,160,310 1,382,920 1,422,394 ARENAS 865,911 925,196 950,569 LANDSCAPE 1,160,273 1,353,505 1,391,245 WEST DISTRICT 301,984 359,907 370,129 CENTRAL DISTRICT 472,617 404,011 415,526 EAST DISTRICT 409,160 463,866 477,090 CITY MARKET 764,985 741,406 761,202 CONTRACTED SERVICES 92,000 92,000 92,000 SUBSIDIES: FACILITY USAGE 183,000 183,000 183,000 RECREATION COMMUNITY GROUPS 18,000 18,000 18,000 LEISURE SERVICES 3.79% 2.67% 6,100,000 6,411,028 6,653,909 61831,797 POLICE COMMISSION 16,969,816 16,969,816 18,014,630 6.16% 18,885,391 4.83% SAINT JOHN TRANSIT OPERATING 2,498,383 2,800,000 2,800,000 12.07% 3,000,000 7.14% SAINT JOHN TRANSIT DEBT 674,567 674,567 641,870 743,900 MARKET SQ.- COMMON AREA COSTS 1,851,364 1,850,000 1,878,752 1.48% 1,935,115 3.00% WATER SUPPLY & HYDRANTS 1,570,388 1,570,388 1,662,403 1,788,412 REGIONAL FACILITIES COMM 1,547,228 1,547,228 1,554,496 0.47% 1,560,000 0.35% STREET LIGHTING 1,000,000 1,000,000 1,000,000 1,000,000 PROPERTY ASSESSMENT 844,874 844,874 892,927 933,109 REGIONAL ECONOMIC DEVELOPMENT 401,072 401,072 396,495 401,000 LIABILITY INSURANCE 525,000 525,000 600,000 650,000 ARTS AND CULTURE INITIATIVES 115,800 395,000 168,330 171,050 LIBRARY 353,577 353,577 360,993 369,280 PARKING ADMIN. SUPPORT 433,342 433,000 451,591 452,870 MUSEUMS 192,500 132,500 0 0 SAINT JOHN DEV CORP 115,000 115,000 143,500 125,000 WATERFRONT DEVELOPMENT 100,000 100,000 100,000 100,000 ANIMAL & PEST CONTROL 154,500 150,000 150,000 154,500 LORD BEAVERBROOK 125,000 125,000 128,750 132,600 S.J. HORICULTURAL ASSOC. 56,000 56,000 56,000 58,000 SAINT JOHN INDUSTRIAL PARKS LTD 65,000 65,000 80,000 85,000 FESTIVALS /PUBLIC CELEBRATIONS 38,000 23,000 103,000 43,000 SOCIAL DEVELOPMENT SUPPORT 82,500 82,500 305,500 305,500 TRUE GROWTH INITIATIVES 75,000 37,500 50,000 NON DEPARTMENTAL 30,213,522 4.49% 31,526,737 32.943.727 29,788,911 DEBT PAYMENTS 11,061,056 11,100,000 11,029,127 11,746,220 WORKFORCE ADJUSTMENT 1,000,000 1,000,000 1,050,000 0 CAPITAL FROM OPERATING 1,795,000 1,795,000 1,058,064 2,482,846 PENSION FUNDING 0 0 1,400,000 1,400,000 ONE TIME WRITE -OFF 534,594 286,427 480,000 482,886 2nd PREVIOUS YEAR DEFICIT 15,069 15,069 689,991 0 FISCAL CHARGES 14,405,719 14,196,496 15,7071182 9.03% 16,111,952 2.58% TOTALS 100.712 ,018 100,903,403 107,962,927 7.20% 111,862,774 3.61% THE CITY OF SAINT JOHN SUBSIDIES AND GRANTS 2006 BUDGET ARTS AND CULTURE INITIATIVES ARTS AND CULTURE BOARD SAINT JOHN THEATRE COMPANY SAINT JOHN SHAKESPEARE FESTIVAL CONTINENTAL DRIFT FILM FESTIVAL PUBLIC ART RESERVE FUND CULTURAL AFFAIRS OFFICE 2005 2006 25,000 90,800 50,000 25,000 93,330 oM7 50,000 25,000 96,050 115,800 168, 330 171, 050 FESTIVALS /PUBLIC CELEBRATIONS LOYALIST HERITAGE FESTIVAL 3,000 3,000 3,000 FESTIVAL BY THE SEA 15,000 0 0 FUNDY BAY FESTIVAL 0 5,000 5,000 JAZZ AND BLUES FESTIVAL 15,000 15,000 15,000 FESTIVAL de la BAIE FRANCAIS 5,000 5,000 5,000 FESTIVAL SAINT JOHN (UPTOWN SAINT JOHN) 0 5,000 5,000 CANADIAN COUNTRY MUSIC WEEK 0 60,000 0 OTHER 0 10,000 10,000 38,000 103,000 43,000 SOCIAL DEVELOPMENT SUPPORT UNBSJ CAPITAL CAMPAIGN 200,000 200,000 SENIOR CITIZENS CENTER ( free rent) 30,000 31,000 31,000 HUMAN DEVELOPMENT COUNCIL (free rent - 8,000) 27,500 48,000 48,000 P.R.U.D.E. (free rent) 22,000 22,000 22,000 ABILITY ADVISORY COMMITTEE 3,000 3,000 3,000 SEAFARER'S MISSION 1,500 1,500 82,500 305,500 305,500 City of Saint John Proposed Capital Expenditures 500 27,8101500 2006 2005 Submission Target Council Priority: - Infrastucture Renewal: 17700,000 3,7569000 3,8059000 Transportation: 12,383, 500 19,3759500 12,005, 000 Roads & Streets 51220,000 1132709000 Storm System Upgrades 11335,000 1 990.000 6,555 000 13,2609000 7,2503000 Building /Equipment Upgrades /Energy Management: Municipal Facilities 580,000 117343000 19000,000 Lord Beaverbrook Rink 250,000 250,000 2509000 Fire Department - 116,500 100,000 Market Square 95,000 40,000 40,000 Trade Centre 1003000 122,000 122,000 Transit Commission - 60,000 - Harbour Station - 1005000 100,000 Aquatic Centre 422000 100,000 100,000 Horticultural Association - 40,000 403000 Library 50 000 50,000 170679000 2,6127500 12802,000 Parks and Fields 87,800 660,000 660,000 Technology & Communications: Information Systems (Internal) 926,700 9005000 800,000 Mobility Systems 473,000 600,000 500,000 123993700 115003000 12300,000 Fleet Replacement: Public Transportation City Services Waterfront Development Water Street Reconstruction Harbour Passage Police Facility Economic Development: Residential /Commercial Incentives Industrial Parks Growth Heritage Grants Other Environment: Landfill closure Total Funding Sources: Provincial /Federal Government Other Agencies Gas Tax Revenue General Operating Fund Debenture Financing 7855000 192507000 900,000 2,9002000 322009000 3200,000 3,685 000 41450,000 4,100,000 21840,000 8155000 815,000 600,000 663,000 663,000 31440,000 1,478,000 194782000 1,750,000 197502000 137503000 500,000 1,000, 000 130007000 235,000 3507000 350,000 505000 50,000 50,000 1002000 1005000 1009000 8859000 1,5002000 1,5002000 600,000 600,000 6003000 19,469 500 27,8101500 20,440,000 21930,000 2,930,000 2,9303000 380,000 - 1,700,000 17700,000 3,7569000 3,8059000 378053000 12,383, 500 19,3759500 12,005, 000 19,449,500 27,8101500 2%4403000