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Approved Budget March 26, 2018COUNCIL REPORT M&C No. 2018-74 Report Date March 16, 2018 Meeting Date March 26, 2018 Service Area Finance and Administrative Services His Worship Mayor Don Darling and Members of Common Council SUBJECT: 2018 Revised General Operating Budget OPEN OR CLOSED SESSION This matter is to be discussed in open session of Common Council. AUTHORIZATION Primary Author Commissioner/Dept. HeadCity Manager David Merrithew Hilary Nguyen/Kevin Fudge Jeff Trail RECOMMENDATION RESOVED that as recommended by the Finance Committee at its March 13th meeting: 1. That the sum of $156,090,792 be the total Operating Budget of the City of Saint John for 2018; 2. That Common Council approves the 2018 Establishment of Permanent Positions at 630; 3. That Common Council approves $350,000 to the Growth Reserve Fund to support the City's growth initiatives. EXECUTIVE SUMMARY The 2018 General Operating Budget was approved by the Common Council on December 11th, 2017. On February 12th, 2018, Council approved the Provincial Funding Agreement according to which the Province agreed to provide additional funding to the City in an amount up to $3,477,659 in 2018. Following the approval of the Funding Agreement, Staff has worked diligently on a revised 2018 General Operating Budget to ensure that all requirements in the Provincial Funding Agreement are met. The Finance Committee met on March 13th, 2018 to review the revised General Operating Budget and recommended that the revised Budget as presented be sent to Common Council for approval. PREVIOUS RESOLUTION -2 - Common Council approved the 2018 General Operating Budget as recommended by the City Manager in the report M&C 2017-315 on December 11th, 2017. REPORT The 2018 General Operating Budget in the amount of $152,613,133 was approved by Common Council on December 11th, 2017. In February 2018, the Province announced a funding agreement for the City of Saint John which was designed to provide additional funding to the City in an amount up to $22,800,000 over a 3 -year period starting 2018 to allow the City to deliver on core frontline services while working collaboratively with the Province on long term solutions to adderess the City's structural deficit. The Provincial Funding Agreement was approved by Common Council on February 12th, 2018. Pursuant to the Agreement, the City will receive up to $3,477,659 in 2018. In order to reinstate frontline services which had been cut due to budget constraints, a revised 2018 General Operating Budget was prepared by Staff and submitted to the Finance Committee for review on March 13th, 2018. The following table summarizes major adjustments which have been made to the original 2018 General Operating Budget: Description Budget Adjustments Revenues Financial Assistance 3,477,659 Total Adjustment to Revenues 3,477,659 Expenses Growth & Community Development Services 4581885 Fire Rescue and Suppression Service 1,117,913 Emergency Management Service 7,305 Police Services 1,187,000 Transit Service 365,845 Other Transportation & Environment Services 1,328,799 Corporate Services 116,060 Restructuring Cost :1,2.39,537 Other Compensation Costs 135,389 Total Adjustment to Expenses 3,477,659 All adjustments have been made to minimize impacts on frontline services including Fire Rescue and Suppression service, Police services, Transit service as well as Transportation and Environment. The revised budget also focuses on growth as the Growth Reserve Fund of $350K has been reinstated and $35K has W711. been reinstated to the Heritage Grant budget to bring it to a total of $80K. Additional funding of $21K has also been added to the previously approved Cultural Affairs' budget to support arts and culture. The restructuring cost budget was initially set up to support the City's restructuring effort. However, the restructuring cost budget will not be needed in 2018 as the City will receive short term provincial funding while working with the Province to find long term solutions to the City's structural deficit challenges. Even though the City will not move ahead with its restructuring program in 2018, wages and benefit escalation is still a major budget concern. Therefore, Staff has worked diligently and identified positions which could be eliminated during the budget process. Most positions eliminated were vacant due to retirement or resignation. As a result, the City's Establishment has been reduced from 641 positions in 2017 to 630 positions in 2018. Other small adjustments have been made to Corporate Services and other compensation costs to reflect up to date information or increased support for frontline services. STRATEGIC ALIGNMENT The 2018 Revised General Operating Budget aligns with Council's Priorities. SERVICE AND FINANCIAL OUTCOMES Frontline service levels have been maintained. INPUT FROM OTHER SERVICE AREAS AND STAKEHOLDERS Considerable input has been received from all service areas. ATTACHMENTS 2018 Revised General Operating Budget I RYA The City of Saint John GENERAL OPERATING FUND City of Saint John 2018 Budget 2018 2018 Approved Proposed Budget Budget REVENUES Property taxes 121,319,088 121,319,088 Equalization & Unconditional Grant 16,603,206 16,603,206 Financial Assistance 1,239,537 4,717,196 Surplus 2nd previous year 1,338,515 1,338,515 Growth & Community Development Services 2,503,571 2,503,571 Public Safety Services 1,887,022 1,887,022 Transportation & Environment Services 3,982,308 3,982,308 Finance & Administrative Services 3,654,886 3,654,886 Corporate Services 85,000 85,000 TOTAL REVENUES PY 152,613,133 156,090,792 EXPENDITURES Growth &Community Development Services 10,118,529 10,577,414 Public Safety Services 53,073,561 55,385,779 Transportation & Environment Services 42,025,858 43,720,502 Finance & Administrative Services 9,503,272 9,503,272 Corporate Services 8,465,297 8,581,357 Other Charges 29,426,616 28,322,468 TOTAL EXPENDITURES 152,613,133 156,090,792 General Fund Surplus (Deficit) 1