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HomeMy WebLinkAboutCouncil Agenda - 2020-10-26 COUNCIL AGENDA MONDAY, OCTOBER 26, 2020 CITY OF KITCHENER 7:00 P.M. ELECTONIC MEETING (TELEVISED/LIVE STREAMED) 200 KING STREET WEST 1. COMMENCEMENT Land Acknowledgement. Singing of "O Canada". 2. MINUTES Minutes to be accepted as mailed to the Mayor and Councillors (regular meeting held October 5, 2020 and special meetings held October 5, 19 & 20, 2020) Councillor S. Marsh. 3. DISCLOSURE OF PECUNIARY INTEREST AND THE GENERAL NATURE THEREOF 4. COMMUNICATIONS REFERRED TO FILE NIL 5. PRESENTATIONS a. Mayor B. Vrbanovic to present Volunteer Long Service Awards. b. Mary Jane Patterson, Reep Green Solutions, presenting the Reep Green Solutions Annual Impact Report. c. Dr. Stephanie Sobek- Securement Strategy as well as habitat preservation and conservation efforts throughout the Region of Waterloo and Wellington County. 6. DELEGATIONS - a. Shirley Gosselin, Cherry Park Neighbourhood Association Regarding the sale of the Bramm Yards to developers. b. Jack Gibbons, Ontario Clean Air Alliance Regarding gas-fired electricity generation, listed as item 9.b. under New Business. 7. REPORTS OF COMMITTEES 8. UNFINISHED BUSINESS a. Make it Kitchener 2.0 At the October 20, 2020 Special Council meeting, final consideration of the following recommendation: That Make it Kitchener 2.0, attached as Appendix A to Development Services Department report DSD-20- future actions and investments in support of economic recovery and growth, from 2020 through 2025; and, That a new Economic Development Investment Fund (EDIF 2.0) be approved, enabling City Council to invest up to $110 million in the local economy from 2020- 2030; and, That funding for the Economic Development Investment Fund (EDIF 2.0) be achieved, through the following: a) Utilization of approximately $10 million from the Economic Development Reserve; *Accessible formats and communication supports are available upon request. If you require* assistance to take part in a city meeting or event, please call 519-741-2345 or TTY 1-866-969-9994. COUNCIL AGENDA MONDAY, OCTOBER 26, 2020 CITY OF KITCHENER 7:00 P.M. - COUNCIL CHAMBER - 2 - 200 KING STREET WEST b) Re-issuance of debt utilizing 40% of the debt room from the original Economic Development Investment Fund, for 8 years, totaling approximately $20 million; and, c) The strategic sale and disposition of City-owned lands, with sale proceeds being allocated to the Economic Development Investment Fund to support future investments; and, That the Economic Development Investment Fund (EDIF 2.0) be created in accordance with Appendix C of report DSD-20-056; and further, That City staff immediately commence additional engagement with business leaders and COVID-impacted businesses for the purpose of providing Council with a detailed action plan by January 2021 to support impacted businesses and displaced workers, utilizing up to $5 million from the proposed Economic Development Investment Fund as a priority investment. 9. NEW BUSINESS a. Boulevard Parking Councillor C. Michaud has given notice that she will introduce the following motion for consideration this date: WHEREAS on October 28, 2019, Council approved a pilot project to allow parking on paved boulevards City-wide be made permanent and be permitted annually from December 1 thru March 31, and that an additional guideline be added to the program that requires any vehicle parked on a boulevard within a school zone from Monday to Friday to be removed by 8:00 a.m., as outlined in Community Services Department report CSD -19-031; and further, WHEREAS due to the COVID-19 pandemic, many residents have seen household compositions increase, and parking needs change; and have requested to be allowed to park on paved boulevards City-wide until the COVID-19 pandemic has ended; THEREFORE BE IT RESOLVED that parking on the boulevard (paved area of a driveway between the sidewalk and the curb/road edge) be permitted until the state of emergency under declared by the City of Kitchener under the Emergency Management and Civil Protection Act has ended, subject to the conditions outlined in Community Services Department report CSD-19-031. b. Gas-fired Electricity Generation Councillor D. Chapman has given notice that she will introduce the following motion for consideration this date: WHEREAS the Government of Ontario is planning to increase reliance on gas-fired -fired power plants, which is anticipated to increase greenhouse gas pollution by more than 300% by 2025 and by more than 400% by 2040; world (which is in alignment with climate models and projections impacting northern climates most significantly); WHEREAS the Province of Ontario will adversely impact more than a third of the greenhouse gas reductions it achieved by phasing-out its dirty coal-fired power plants due to a power plan built around ramping up gas-fired generation to replace the output of the Pickering Nuclear Station (scheduled to close in 2024); WHEREAS alternative options are available to reversing short sighted cuts to energy efficiency programs and stop under-investing in this quick to deploy and low-cost resource, which include maximizing our energy efficiency efforts by paying up to the same price per kilowatt-hour (kWh) for energy efficiency measures as we are currently paying for power from nuclear plants (e.g., up to 9.5 cents per kWh); COUNCIL AGENDA MONDAY, OCTOBER 26, 2020 CITY OF KITCHENER 7:00 P.M. - COUNCIL CHAMBER - 3 - 200 KING STREET WEST WHEREAS the Province of Ontario should continue to support renewable energy projects that have costs that are below what we are paying for nuclear power and work with communities to make the most of these economic opportunities; WHEREAS the Province of Ontario has alternative options to increasing gas-fired electricity generation, such as the -cost 24/7 power from its water powered reservoir system as a possible alternative; THEREFORE BE IT RESOLVED that the City of Kitchener requests the Government of Ontario to place an interim cap of 2.5 mega tonnes greenhouse gas pollution and develop and implement a plan to phase-out all gas-fired electricity generation by 2030 to ensure that Ontario meets its climate targets; BE IT FINALLY RESOLVED that a copy of this resolution be sent to the Premier of c. Regional Council Update Mayor B. Vrbanovic. 10. QUESTIONS AND ANSWERS 11. BY-LAWS --- 1ST READING a. By-law to amend Chapter 101 of the Municipal Code with respect to the appointment of staff. b. By-law to amend By-law 84-52 of The Corporation of the City of Kitchener which designated part of the property municipally known as 883 Doon Village Road as being of historic and architectural value. c. By-law to designate the property municipally addressed as 68 Saddlebrook Crescent, Kitchener as being of cultural heritage value or interest. d. To confirm all actions and proceedings of the Council. 12. COMMITTEE OF THE WHOLE Chair, Councillor S. Marsh. 13. REPORT OF THE COMMITTEE OF THE WHOLE 14. BY-LAWS --- 3RD READING a. By-law to amend Chapter 101 of the Municipal Code with respect to the appointment of staff. b. By-law to amend By-law 84-52 of The Corporation of the City of Kitchener which designated part of the property municipally known as 883 Doon Village Road as being of historic and architectural value. c. By-law to designate the property municipally addressed as 68 Saddlebrook Crescent, Kitchener as being of cultural heritage value or interest. d. To confirm all actions and proceedings of the Council. COMMITTEE OF THE WHOLE AGENDA MONDAY, OCTOBER 26, 2020 CHAIR COUNCILLOR S. MARSH ND A. BY-LAWS LISTED ON THE AGENDA 2 READING That the by-laws considered by this Committee be taken as read a second time and be recommended for enactment. B. ADMINISTRATIVE REPORTS 1. DSD-20-174 Ontario Small Business COVID-19 Recovery Network Program Attached is Development Services Department report DSD-20-174 (C. Farrell), dated October 13, 2020. That the Mayor and Clerk be authorized to sign a funding agreement with the Business Advisory Center Durham on behalf of the Waterloo Region Small Business Centre to deliver the Ontario Small Business COVID-19 Recovery Network program, a program funded by the Ontario Together Fund, with said agreement to be to the satisfaction of the City Solicitor; and further, That the General Manager, Development Services be authorized to execute on behalf of the Waterloo Region Small Business Centre amendments or documents to the funding agreement provided such documents or amendments are to the satisfaction of the City Solicitor. 2. COR-20-017 Regional Council Composition Review Ratification of Regional Council Resolution Attached is Corporate Services Department report COR-20-017 (C. Tarling) dated October 21, 2020. That the current composition of Regional Council, being a 16 Member Council consisting of 1 Regional Chair, 7 Mayors, 2 Cambridge Councillors, 4 Kitchener Councillors, and 2 Waterloo Councillors in accordance with Section 218 (6) of the Municipal Act as outlined in the Region of Waterloo report PDL-CAS-20-11, dated October 14, 2020, be approved; and further, That staff be directed to notify the Regional Clerk of the Region of Waterloo accordingly before November 15, 2020. 3. FIN-20-062 COVID Financial Impacts - Request for Phase 2 Safe Restart Funding Attached is Financial Services Department report FIN-20-062 (J. Lautenbach) dated October 21, 2020. That the significant financial impacts of the COVID-19 financial position as outlined in report FIN-20-062 be acknowledged; and, That the proposed allocation of Phase 1 Safe Restart funding be approved; and further, That a request for $5.8M in additional Phase 2 Safe Restart funding, to help cover 2020 operating pressures and impacts not fully addressed through the initial funding received, be supported and submitted to the Province as a formal request for funding. C. FOR INFORMATION 4. FIN-20-061 Summary of Bid Solicitations Awarded by Manager of Procurement July 2020 September 2020 Attached is Financial Services Department report FIN-20-061 (R. Scott), dated October 5, 2020. 2 COMMITTEE OF THE WHOLE October 26, 2020 B. ADMINISTRATIVE REPORTS - CONT'D Rise and Report REPORT TO:City of Kitchener Council Meeting DATE OF MEETING:October 26, 2020 SUBMITTED BY:Chris Farrell, Manager, Small Business Centre 519 741 2200 ext 7294 PREPARED BY:Chris Farrell, Manager, Small Business Centre 519 741 2200 ext 7294 WARD (S) INVOLVED:All DATE OF REPORT:October 13, 2020 REPORT NO.:DSD-20-174 SUBJECT:Ontario Small Business COVID-19 Recovery Network program RECOMMENDATION: That the Mayor and Clerk be authorized to sign a funding agreement with the Business Advisory Center Durham on behalf of the Waterloo Region Small Business Centre to deliver the Ontario Small Business COVID-19 Recovery Network program, a program funded by the Ontario Together Fund, withsaid agreement to be to the satisfaction of the City Solicitor:and further, That the General Manager, Development Services be authorized to execute on behalf of the Waterloo Region Small Business Centre amendmentsor documents tothefunding agreement provided such documents or amendments are to the satisfaction of the City Solicitor. BACKGROUND: events, one-on-one coaching, mentoring and connections to industry professionals. For the past seven months, theseservices have been provided virtually,supportingsmall businessesmost affected by COVID-19; retail, food services, hospitality, personal and professional care, tourism and non-profit businesses-19 emergency and recovery stages of the pandemic The centre currently employs 4 FT and 7 temporary employees, working together with partners in the region to provide a high quality of service to small business. TheWaterloo Region Small Business Centre is one of 46Small Business Centres in Ontario funded by the Provincial government. Thenetwork of centres meetsmonthly to share best practicesand knowledge, align the servicesregionally,and identify emerging trends for small businesses. In May 2020 this group collectively developed and submitted a business proposal in response to the Provincial to the COVID-19 recovery. The Provincial government approved the proposal in September to create Ontario Small Business COVID- Ontario Small Business COVID-04millionproject that will build one centralized triage portal (websiteand email) to help small businessesin the wake of the economic fall out of COVID-19. This pan-Ontario project is funded by the province in an agreement with and administered by the Business Advisory Centre Durham(BACD) aregistered non-profit. BACD will enter into agreements with up to 46 Small Business Enterprise Centres (SBECs) and flow Grant funding to each of the SBECs enabling themto hire a service advisor to provide support to small 1 - 1 businesses either virtually or in person. BACD will enter into agreements directly with the service advisor on behalfof any of the 46 SBECs that do not enter into the agreements with BACD. Each of the 46 Small Business Centres throughout the province will receive $32,000 to hire and train a virtual advisor. BACD will also enter into an agreement with Waterloo Small Business Enterprise Centre to flow Grant funding to develop an e-learning programandeducational content as well as tools for the portal. TheWaterloo Region Small Business Centre has a vital role in the project,developingan e-learning program, educational content and tools for the centralized portal. The fund administrator, BACD, will transfer $107,000 to execute on this deliverable.$75,000 will be used to develop the e-learning program and educational content.Inaddition,up to $32,000isto be provided to Waterloo SBEC to hire avirtual service advisor. REPORT: TheSmall Business COVID-19 Recovery Networkportal will provide Ontario small businesses access to online training, guidance, support and advisory services for business recovery through one website. Service deliverables of this centralized portal include: Financial, digital literacy and business skills training Online webinars and meetup on relevant business topics Connect businesses with mentors and professionals to help pivot their business Connect businesses to industry experts (food, Health, tourism, retail, hospitality, e-commerce, trades) Provide information on government programs and assist with applications Assist in building business continuity plans, understanding digital business transformation Assist in the automation of business processes, systems and models es reducing the frustrationand frictionbusinesses face when trying tofind a Small Business Centre to get support. This ingproductivity and impactingsmall businesses ability to access timely information and support at their convenience,in French or English. The centralizedportal will offer small businessesone contact / one website allowing access to online training, guidance, information and advisory services for business recovery. Four organizations will lead keyproject deliverables, as follows: Business Advisory Centre Durham is responsible for project budget and administration Hamilton Business Centre is responsible for Website and Database Design, Tools and Data Invest Ottawa is responsible for Public Relations and Marketing Waterloo Region Small Business Centre is responsible for Coordination and Curation of Educational Content. These four organizations will work collaboratively and collectively with other Small Business Centres through committees to execute on the deliverables. The Waterloo Region Small Business Centreskey role is to develop 20 e-learning modules, 10 focusing on startup education and10 on sustainability and growth business topics. All modules will be completed inEnglish and Frenchby March 31, 2021. These workshops will be available 24/7 for small 1 - 2 businessesto learn on-demand at their convenience. The Waterloo Region Small Business Centre has extensive experience in designing and delivering workshops that aretransferable to anonline Learning Management System. During 2019/2020 the network of 46 Small Business Centres collectively designed and delivered over 3000 workshops and provided over 11,500 one-on-one consultations to Ontario small businesses. More recently, the focus of the workshops and consultations has been on creating action plans to help small business to re-imagine, relaunch and recover from the impact of COVID-19. Each of the 46 Small Business Centres throughout the province will receive $32,000 to hire and train a virtual advisor. Collectively the 46 Small Business Centres will contribute to the success of the project. Theonline portal is expected to be sustainable through collaborative content creation, a contribution from each of the 46 Small Business and corporate sponsorships. ALIGNMENT WITH CITY OF KITCHENER STRATEGIC PLAN: Strategic Priority:Strong & Resilient Economy Strategy: #2.2 Support the attraction, retention and development of existing and new industries within the regional economy working in collaboration with the economic development corporation for Waterloo Region. Strategic Action:# 26Make It Start # 27 Make It Grow FINANCIAL IMPLICATIONS: None. The fundingfrom the Business Advisory Centre Durham / Ontario Together Fund supports the direct expenses for WRSBC projectdeliverables.See appendix A for the expected distribution of funds to deliver on the project objectives. COMMUNITY ENGAGEMENT: Entrepreneurship and innovation contribute to economic growth in the community. The Centre provides programs and services that support and complement other community entrepreneurial initiatives essential to the commercialization of small business within the Waterloo Region ecosystem. CONSULT: The Waterloo Region Small Business Centre is was named in the funding agreement between the Province and the Business Advisory Centre Durham to deliver 20 online learning modules. The Waterloo Region Small BusinessCentre worked collaboratively with other Ontario Small Business Centresto develop and submit this proposal to the Provincial Government to help small business. During the early part of the COVID-19emergency response(April, May, June 2020) the WaterlooRegion Small usiness COVID-19Outreach Programinterviewed 200 businesses to understand their challenges and provided access to government programs, resiliency training, COVID-19 safe workplace protocol, industry sector support groups and published COVID-19 Recovery Toolkit. COLLABORATE Waterloo Region Small Business Centre communicates, consults and collaborates with a broad range of community groups, organizations, agencies, secondary and post-secondary institutes, municipal, regional and provincial governments to ensure the entrepreneurial services and 1 - 3 programs address the needs of small business in the community. The volunteers for the Waterloo Region Small Business Centre and the Board of Advisors are representative of these community groups. ACKNOWLEDGED BY:Justin Readman, General Manager DSD 1 - 4 Appendix A: Ontario Small BusinessCOVID-19 Recovery NetworkEducational Content Project November 2020March 31, 2021 REVENUE E-learning Modules $ 75,000 Virtual Service Advisor $ 32,000 TOTAL REVENUE $ 107,000 EXPENSES Virtual Service Advisor $ 29,000 Training $ 3,000 Professional Services - French translation $ 8,000 Professional Services Course Standards, Design & Development $ 22,000 Professional Services Facilitator Guidebooks, Participant eBooks $ 20,000 Learning Management System - Setup & Subscription $ 20,000 Graphic Design $ 5,000 TOTAL EXPENSES $ 107,000 NET $ - 1 - 5 Waterloo Region Small Business Centre Income Statement for the Year Ended December 31, 2019 (with comparatives for the year ended December 31, 2018) 20192018 REVENUES Ministry of Economic Development, Job Creation & Trade 296,696476,624 Ministry of Research and Innovation48,845166,006 City of Cambridge16,08613,400 City of Kitchener115,918116,580 City of Waterloo10,97811,900 Region of Waterloo 50,00050,000 Region of Waterloo -Self Employment Program 25,62510,500 Sponsorships 118,03349,662 Memberships 4001,700 Registration Fees 17,56215,301 Room Rentals 339339 Miscellaneous Revenue -530 TOTAL REVENUES700,482912,542 EXPENSES Salaries and Wages 440,208515,040 Administrative Expenses 39,40051,138 Grants 96,438285,050 Professional Services 83,60945,865 Events and Publicity 17,62527,118 Insurance 1,4611,392 TOTAL EXPENSES678,741925,603 Net Profit (Loss)21,741(13,061) ACCUMULATED SURPLUS (DEFICIT) Opening Balance80,05393,114 Net Profit (Loss)21,741(13,061) Closing Balance101,79480,053 1 - 6 REPORT TO: Committee of the Whole DATE OF MEETING:October 26, 2020 SUBMITTED BY: Christine Tarling, Director of Legislated Services/City Clerk, 519-741- 2200, ext. 7809 PREPARED BY:Christine Tarling, Director of Legislated Services/City Clerk, 519-741- 2200, ext. 7809 WARD (S) INVOLVED:All DATE OF REPORT:October 21, 2020 REPORT NO.:COR-20-017 SUBJECT:REGIONAL COUNCIL COMPOSITION REVIEW – RATIFICATION OF REGIONAL COUNCIL’S RESOLUTION __________________________________________________________________________________________ RECOMMENDATION: That thecurrent composition of Regional Council, being a 16 Member Council consisting of 1 Regional Chair, 7 Mayors, 2 Cambridge Councillors, 4 Kitchener Councillors, and 2 Waterloo Councillors in accordance with Section 218 (6) of the Municipal Act as outlined in the Region of Waterloo report PDL-CAS-20-11, dated October 14, 2020, be approved; and further, That staff be directed to notify the Regional Clerk of the Region of Waterlooaccordingly before November 15, 2020. BACKGROUND: th Correspondence dated June 25,2020, was received from the Region of Waterloo (the Region) concerning Regional Council Composition – Review Options and Consultation Process(PDL- CAS-20-05).Both the correspondence and PDL-CAS-20-05 were circulated to the area municipalities seeking input on the options related to the composition of Regional Council, and then subsequentlycirculated to Kitchener City Council (Council) and the Corporate Leadership Team (CLT) on June 29, 2020. Staff report COR-20-008 (staff’sreport) was brought forward to the August 24, 2020 Council meeting to consider PDL-CAS-20-05,and then, due to time constraints, deferred to the August 31, 2020 Special Council meeting. On August 31, 2020, Council considered staff’sreportwhich provided information about the Regional Council Composition Review including the four (4) options considered by Regional Councilas well as the rationale for their chosen option. Staff’s reportalso outlined alternative options not advanced in the Region’s reportalong withthe pros and cons of each. *** This information is available in accessible formats upon request. *** Please call 519-741-2345 or TTY 1-866-969-9994 for assistance. 2 - 1 On August 31, 2020, Council deferred a decision until October 5, 2020 to allow the Region time to completepublic engagement. Council further requestedtheRegion to consider the Double Direct Elect Representation model for Regional Councilas part of their review and consultation process. Since staff had not received any communication from the Region for the October 5, 2020Council meeting, staff elected to wait until such correspondence had been received to bring this before Council.As such, further correspondence dated October 14, 2020(Appendix ‘A’), was received from the Region concerning Regional Council Composition Review – Selection of Final Option (PDL-CAS-20-11– Appendix ‘B’). This correspondence and PDL-CAS-20-11 were subsequently circulated to Kitchener City Council and CLT on October 15, 2020. As per the Region’s request, this report has been brought forward totheCommittee of the Whole this dateto pass a resolution consenting to the current composition of Regional Council for the purpose of the fulfilling the triple majority as outlined in PDL-CAS-20-11. Regional Councilhas requested Council to pass a resolution before November 15, 2020 since final confirmation will be done by Regional Council on November 25, 2020. REPORT: The Region, being an upper tier municipality, is required under the Municipal Actto conduct a Council Composition Review before the end of 2020.The Region is required to pass a resolution to maintain the status quo or pass a by-law to change the size of Regional Council by the end of 2020.This by-law or resolution must be endorsed by a triple majority, being: a majority of the votes on Regional Council; supportive resolutions from a majority of the Councils of the area municipalities; and the area municipalities that have passed resolutions consenting to the by-law, or the resolution, must represent a majority of the electors in the Region. If the triple majority is not obtained, the Municipal Actallows the Minister of Municipal Affairs & Housing to change the composition of Regional Council through the adoption of a regulation. Provincial legislation requires that the composition of Regional Council be reviewed again following the 2026 election. To commence the composition review process, the Region hired a consultant to work with Regional staff and four (4)options were developed for inclusion in the public consultation processvia an online public survey as well asa public input meeting that was held on September 30, 2020. Area municipalities were also consulted for input. Council requested that the Region include the Double Direct Elect Representation model as an alternative option for Regional Council composition as part of the public consultation processbut whilePDL-CAS-20-11 acknowledgesCouncil’s request, there is no indication this alternative model was actually advanced during that consultation process. 2 - 2 Regional Council now needs to declare its intention to affirm the current composition or to approve a by-law adopting a change to the composition of Council.To that end, the area municipal councils have been asked to pass resolutions endorsing the option selected by Regional Council for the purposes of obtaining the triple majority. If asufficient number of area municipalities endorse the option selected by Regional Council, Regional Council will be able to pass the final resolution or by-law on November 25, 2020. The Cities of Cambridge and Waterloo, and the Townships of Wellesley, Wilmot, and Woolwich have preliminarily indicated their support for the option selected by Regional Councilwith the City of Kitchener and the Township of North Dumfries indicating a preference for the Double Direct Elect model. According to the Region, a triple majority will be obtained if support from the Cities of Cambridge and Waterloo, and the Townships ofWellesley, Wilmot, and Woolwich is sustained as these five municipalities are a majority of the area municipalities and represent a majority of the voters in the Region(see Table 1 below). Table 1: Municipality Number of Voters Cambridge85,731 Kitchener148,584 North Dumfries7,742 Waterloo72,598 Wellesley7,895 Wilmot17,623 Woolwich17,482 Region357,655 Majority178,828 ALIGNMENT WITH CITY OF KITCHENER STRATEGIC PLAN: The recommendation of this report supports the achievement of the city’s strategic vision through the delivery of core service. FINANCIAL IMPLICATIONS: There are no implications on the 2020 or 2021 Operating Budget for the City of Kitchener in the consideration of this Report. COMMUNITY ENGAGEMENT: INFORM – This report has been posted to the City’s website with the agenda in advance of the council / committee meeting. CONSULT – The Region’s consultation process included a public input meeting of the Administration and Finance Committee on September 30, 2020as well as a public engagement survey and input from the area municipalities. 2 - 3 ATTACHMENTS: respondence received from the Region of Waterloo dated October 14, 2020. 1.Cor 2.Region of Waterloo staff report PDL-CAS-20-11: Regional Council Composition Review –Selection of Final Option. ACKNOWLEDGED BY: Dan Chapman, Chief Administrative Officer 2 - 4 October 14, 2020 C01-00 Local Area Municipal Clerks Dear Clerk’s Office: Re: PDL-CAS-20-11, Regional Council Composition Review – Selection of Final Option Please find attacheda copy of the staff report relating to this resolution.As previously outlined in correspondence dated June 25, 2020, this is being sent to you fora response from your Council. A triple majority will be required from the area municipalities for thisrecommended option from Regional Council. Theresponse from your municipality is required no later than November 15, 2020. Final confirmation will be done by Regional Council on November 25, 2020. a)That the Region of Waterloo declares its intention to pass a resolution to affirm the current composition of Regional Council being a 16 Member Council consisting of 1 Regional Chair, 7 Mayors, 2 Cambridge Councillors, 4 Kitchener Councillors, and 2 Waterloo Councillors in accordance with Section 218 (6) of the Municipal Act on November 25, 2020; and b)That the area municipal Councils be requested to pass a resolution consenting to current composition of Regional Council for the purposes of the fulfilling the triple majority as outlined in report PDL-CAS-20-11, dated October 14, 2020. If you have any questions please contact Lee Ann Wetzel, Manager, Council & Admin Services/Deputy Clerk, lwetzel@regionofwaterloo.caor519-575-4410. Please forward any writtenresponses to this letter to Kris Fletcher, Director, Council & Administrative Services/Regional Clerk. 3416230…/2 2 - 5 Regards, Kris Fletcher, Director, Council & Admin Services/Regional Clerk KF/tp Attached: Report PDL-CAS-20-11, Regional Council Composition Review – Selection of Final Option cc: L. Wetzel, Manager, Council & Admin Services/Deputy Clerk T.Brubacher, Council/Committee Support Specialist 3416230 2 - 6 Report:PDL-CAS-20-11 Region of Waterloo Planning, Development and Legislative Services Council and Administrative Services To: Regional Council Meeting Date:October 14, 2020 Report Title: Regional Council Composition Review – Selection of Final Option 1.Recommendation: a)That the Region of Waterloo declares its intention to pass a resolutionto affirm the current composition of Regional Council being a 16 Member Council consisting of 1 Regional Chair, 7 Mayors, 2 Cambridge Councillors, 4 Kitchener Councillors, and 2 Waterloo Councillors in accordance with Section 218 (6) of the Municipal Act on November 25, 2020; and b)That the area municipal Councilsbe requested to pass a resolution consenting to current composition of Regional Council for the purposes of the fulfilling the triple majorityasoutlined in report PDL-CAS-20-11, dated October 14, 2020. 2.Purpose/ Issue: This report is to provide Council with an opportunity to declare its intention to either pass a by-law changing the composition of Regional Council or pass a resolution affirming the status quo. 3.Key Considerations: a)Legislation requires a review of the composition of Regional Council The Municipal Act requires the Region to review the number of Members of Council that represent each area municipality after every second election. The Act does not require the Region to review the method of selecting Members of Council and, due tothe time constraints caused by the provincial review of regional governments, this was not considered in this review. b)Input from the public Council should consider feedback from the public when determining which option to select. In anEngage Waterloo Region survey, Option 1 was the most frequently selected first choice. A public input meeting was held on September 30, 2020. One 3410145Page 1 of 4 2 - 7 October 14, 2020Report: PDL-CAS-20-11 delegation appeared at the meeting in support of Option 1. c)Input from the area municipalities The four options were sentto the area municipalities for their input. The Cities of Cambridge and Waterloo and the Townships of Wellesley, Wilmot, and Woolwich supported Option 1. The City of Kitchener and Township of North Dumfries endorsed double direct elected representation asan alternative model for the Regional Council composition. d)Triple majority support is required The by-law or resolution must be endorsed by a triple majority, being: a majority of the votes on Regional Council; supportive resolutions from a majority of the Councils of the area municipalities; and, the area municipalities that have passed resolutions consenting to the by-law or the resolution must represent a majority of the electors in the Region. e)Risk of provincial intervention if the triple majority is not obtained To ensure that the composition of Regional Council is a locally made decision, it is necessary to obtain triple majority support for an option. If the triple majority is not obtained, the Municipal Act allows the Minister to change the composition of Regional Council through a regulation. 4.Background: The Region is required to conduct a Council composition review by the end of 2020. Staff worked with a consultant, Dr. Robert Williams, on the four options for public consideration: Option 1- the status quo (16 Members of Council - 1 Regional Chair, 7 Mayors, 2 Cambridge Councillors, 4 Kitchener Councillors, 2 Waterloo Councillors) Option 2 - one Regional Councillor per 25,000 residents in an area municipality (24 Members of Council - 1 Regional Chair, 7 Mayors, 5 Cambridge Councillors, 9 Kitchener Councillors, 5 Waterloo Councillors) Option 3 - an overall target of 30,000 residents per Regional Councillor for all of Regional Council (20 Members of Council - 1 Regional Chair, 7 Mayors, 4 Cambridge Councillors, 7 Kitchener Councillors, 4 Waterloo Councillors) Option 4 - a system of Combined Urban and Rural Representatives (19 Members of Council - 1 Regional Chair, 7 Mayors, 3 Cambridge/North Dumfries Councillors, 5 Kitchener/Wilmot Councillors, 3 Waterloo/Wellesley/Woolwich 3410145Page 2 of 4 2 - 8 October 14, 2020Report: PDL-CAS-20-11 Councillors) Dr. Williams is in support of the current recommendation and has advised on the process throughout. 5.Area Municipality Communicationand Public/StakeholderEngagement: Area Municipality Communication: Copies of the reports on the Regional Council Composition were provided to the area municipalities throughout the process. Correspondence was received from each area municipality regarding the four options. Public/Stakeholder Engagement: A public survey was available on Engage Waterloo Region from June 25 – August 15, th with 379 responses receivedand a public input meeting was held on September 30. As notedabove, Option 1 was supported most often by the public. Strategic Plan: The proposed review of council composition aligns with Focus Area 5 of the Strategic Plan – Responsive and Engaging Public Service and Strategic Imperative, Balance of Rural and Urban Communities. 6.Financial Implications: In 2019, the average cost of a directly-elected councillor was approximately $66,000. This amount accounts for salary, benefits, mileage, communications expenses, and conferences. It does not account for additional staff that would be required to support the additional councillors or physical modifications to offices that would be required for any new councillors. 7.Conclusion / Next Steps: Council now needs to declare its intention to affirm the current composition or to approve a by-law adopting a change to the composition of Council. The area municipal councils will be asked to pass resolutions endorsing the option selected by Regional Councilfor the purposes of obtaining the triple majority. If sufficient area municipalities endorse the option selected by Council, Council will be able to pass the final resolution or by-law on November 25,2020. Staff are recommending that Council declare its intention to pass a resolution in support of the current composition. Option 1 has received preliminary support from the Cities of Cambridge and Waterloo and the Townships of Wellesley, Wilmot, and Woolwich. These five municipalities are a majority of the area municipalities and represent a majority of the voters in the Region. 3410145Page 3 of 4 2 - 9 October 14, 2020Report: PDL-CAS-20-11 8.Attachments / Links: Nil. Prepared By:Tim Brubacher, Council/Committee Support Specialist Lee Ann Wetzel, Deputy Clerk/Manager, Council and Administrative Services Approved By:Kris Fletcher, Director Council & Administrative Services/Regional Clerk Rod Regier, Commissioner, Planning, Development and Legislative Services 3410145Page 4 of 4 2 - 10 REPORT TO:Council DATE OF MEETING:October 26, 2020 SUBMITTED BY:Jonathan Lautenbach, Chief Financial Officer, 519-741-2200x7334 PREPARED BY:Jonathan Lautenbach, Chief Financial Officer, 519-741-2200x7334 WARD (S) INVOLVED:All DATE OF REPORT:October 21, 2020 REPORT NO.:FIN-20-062 SUBJECT:COVID Financial Impacts -Request for Phase 2 Safe Restart Funding _________________________________________________________________________________________ RECOMMENDATION: That the significant financial impactsof the COVID- position as outlined in report FIN-20-062be acknowledged; and That the proposed allocation of Phase 1 Safe Restart fundingbe approved; and further That arequestfor $5.8M in additional Phase 2 Safe Restart funding,to help cover 2020 operating pressures and impacts not fully addressed throughtheinitial funding received, be supported and submittedto the Provinceas a formal request for funding. BACKGROUND: The COVID-19 pandemic is an unprecedented global event. In addition to the immediate health concerns that it represents for Canada and the world, it has, and will continuetohave wide-reaching economic impacts. We know that the spread of COVID-19 is creating financial challenges for many people and businesses in our community,and the City is also facing its own set of challenges related to this event. Since the beginning of the pandemic, Council has been provided with monthly updates outlining the financial operating pressures and impacts that this COVID-19 webpage(kitchener.ca/COVID19)and provide additional context and background related to the current financial challenges the City is experiencing. Shortfalls in recreation revenue, parking revenue, and investment income were all highlighted as significant drivers of projected operating deficits,along with increased costs to deliver municipal services due to COVID-19. Based on th-end projections for 2020, COVID-19 has had the following direct impacts on municipal operations: *** This information is available in accessible formats upon request. *** Please call 519-741-2345 or TTY 1-866-969-9994 for assistance. 3 - 1 Municipal OperationsDirect Impacts Tax-SupportedOperations$ 7,172,000 ParkingOperations$ 2,852,000 GolfOperations$ 619,000 Utilities$ 1,119,000 Total$ 11,762,000 These net impacts of $11.7M would have been much greater had the City not taken action to try and mitigate some of the financial challenges created by COVID- emergency leave, redeploying staff to support critical services, and putting a freeze on discretionary spending. In addition to measures that the City had taken on its own, the Province announced in August that it would be providing Phase 1 operating funding to municipalities through the Federal Safe Restart Agreement. This initial funding was welcomed news for municipalities and provided Kitchener with a funding allocation of $5.9M. Although this funding will be helpful in addressing some of the operating pressures and impacts experienced as a result of COVID-19, it still leaves the City with a $5.8M shortfall in funding based on current projections. There is an opportunity to request additional Safe Restart funding from the Province through a Phase 2 application-based process. It is hoped that the Province will provide funding to cover s,as we know that the City will face similar operating pressures in 2021. Without this additional funding, the City would need to fully utilize reserves to offset these pressuresand doing so wouldonly create greater financial challenges for the City next year. REPORT: The financial challenges that City is experiencing as a result of COVID-19 have been well documented, with regular updates being shared with Council and the public through monthly COVID-19 financial impact reports. As we move closer to the end of the year, this formal report recommends anapproach for allocating Phase 1 Safe Restart funding based on these impacts, and is intended to satisfy the requirements outlined by the Province related to requesting additional Safe Restart funding under Phase 2. 3 - 2 th On August 12, the Province announced that the $1.39B in Safe Restart funding would be made available to municipalities to help address operating pressures and impacts experienced as a result of the pandemic. This funding would be distributed in two phases, with the first $695M of funding being distributed on a per household basis under P funding allocation under this initial phase was $5.9M. It was also announced that an additional $695M would be allocated as part of a second phase based on need. Municipalities would be required to demonstrate that 2020 COVID-19 operating costs and pressures exceed their Phase 1 per household allocation in order to receive funding. Municipalities applying for Phase 2 funding must provide the Province with the following information before October 30, 2020 A year-end forecast of COVID-19 operating costs and pressures; Actual COVID-related impacts as of the end of Q3 of the municipal fiscal year (September 30, 2020); Explanation of how the municipality applied or plans to spend Phase 1 funding towards COVID-19 operating costs and pressures; Information about measures the municipality has undertaken to reduce financial pressures (e.g. use of reserves, cost saving measures); additional funding The balance of the report is structured based on the information that the Province has requested be provided to demonstrate that additional funding is needed for Kitchener. 2020 Operating Variance Projections Operating variance reports are normally provided to Council three times per year. The financial challenges created by the COVID-19 pandemic haverequired staff to provide more regular reporting through the monthly updates. For consistency, the format and information included in this report reflects the monthly report format that has been used since the pandemic began. COVID- parking and golf enterprise. Utilities have also experienced smaller impacts with account write- offs being the largest impacts felt so far. The City of Kitchener has always demonstrated fiscal responsibility in the delivery of programs and services for the community as evidenced by multiple years of achieving favourable year-endresults. The following graph highlights the significant impact that thepandemic has had on municipal operationsthis year. 3 - 3 {ǒƩƦƌǒƭΉΛ5ĻŅźĭźƷΜ IźƭƷƚƩǤ ğǣ tğƩƉźƓŭ DƚƌŅ υЌͲЉЉЉͲЉЉЉ υЋͲЉЉЉͲЉЉЉ υЊͲЉЉЉͲЉЉЉ υΏ ЋЉЊЎЋЉЊЏЋЉЊАЋЉЊБЋЉЊВЋЉЋЉ υΛЊͲЉЉЉͲЉЉЉΜ υΛЋͲЉЉЉͲЉЉЉΜ υΛЌͲЉЉЉͲЉЉЉΜ υΛЍͲЉЉЉͲЉЉЉΜ υΛЎͲЉЉЉͲЉЉЉΜ υΛЏͲЉЉЉͲЉЉЉΜ υΛАͲЉЉЉͲЉЉЉΜ υΛБͲЉЉЉͲЉЉЉΜ A summary of the impacts on City operations is shown below: Tax-Supported Operations A deficit of $7.1M is projected for Tax-Supported Operations The cancellation of programs and events and the closure of facilities early on in the pandemic was a necessary step in order to keep the staff and community safe. Although these measures were successful in helping to stop the spread of COVID-19 during the first wave, they also represented a significant financial impact for municipalities. Outside of property taxes, recreation-related user fees are the next largest source of revenue supporting tax-supported operations. During 2020, the loss of recreation related revenue is projected to be$7.9M and is ,with further detailed explanations outlined in Appendix A of this report. 3 - 4 DivisionBudget LineVariance Mitigation Efforts$6,022,000 Projected Deficit($7,172,000) Parking Operations A deficit of $2.852M is projected for Parking Operations operations were directly impacted by the pandemic, experiencing a significant drop in revenue due to the temporary closure of businesses and necessary social distancing measures, which limited travel across the City. The parking enterprise has returned to normal operations but is still experiencing reduced parking demand that is expected to continue in 2021. Golf Operations A deficit of $619K is projected for Golf Operations. At the start of the pandemic, the provincial government put in place many operating restrictions for organizations and businesses. Golf courses were not able to operate until the end of May, which resulted in an entire month of revenue not being realized. Once courses could open, additional restrictions such as staggered tee off times,modifications to golf carts, and additional cleaning measuresresulted in additional revenue loss and increased operating costs for the City. 3 - 5 Other Enterprises and Utilities Other enterprises have not been as significantlyimpacted as a result of COVID-19 and in somecases are projecting surplusesdue to other non-COVID related factorswithin their respective areas(e.g. Building) use these surpluses to offset any losses experienced in other municipal operations. For utilities specifically (Water, Sanitary, Storm, Gas), write-offs and other pandemic related costs are included in currentforecasts. These net COVID impactstotal $1.1Mcombinedand will be included in our request for additionalfunding. Additional Detail Part of the provincial requirementsfor Phase 2 funding is for municipalitiesto provide 2020 year-end operating projections and report on Q3 (September) actuals. Appendix A providesa more detailedexplanation of COVID related variances. Appendix B provides variances in a format more similar to whatCouncil normally receives during the year with Q3 results included. Allocation of Phase 1 Safe Restart Funding The financial impacts of COVID-19 have been felt across municipal operations. As the Province is considering all impacts that municipalities have experienced as a result of COVID- 19, it is recommended that Phase 1 Safe Restart funding be allocated proportionately based on the variance experienced in the three most impacted areas (Tax-Supported, Parking, Golf). This will reduce the deficits/impacts for these areas as follows: Municipal OperationsCOVID ImpactsSafe Restart FundingRemaining Impacts Tax-Supported Operations$ (7,172,000)$ 4,002,452 $ (3,169,548) Parking Operations$ (2,852,000)$ 1,591,605$ (1,260,395) Golf Operations$ (619,000)$ 345,443$ (273,557) Utilities$ (1,119,000)$ 0$ (1,119,000) Total$ (11,762,000)$ 5,939,500$ (5,822,500) 3 - 6 Mitigation Measures Taken to Reduce Impacts To mitigate the impact that the COVID- the City took a number of steps to reduce overall impacts and address expected shortfalls/deficits at the end of the year. These measures included: Placing approximately 900 temp and casual part-time staff (43% of workforce) on declared emergency leave Implementing a freeze on discretionary spending,resulting in over $1.1M in savings Reducing overtime where possible and redeploying staff to support critical services Deferring approximately $21M in 2020 capital spending to address cash flow concerns Requiring staff to fully use vacation balances to avoid additional staffingrelated measures In addition to these measures the City has established a number stabilization reserves that are intended to mitigate budget fluctuations. Prior to receiving safe restart funding the following reserves were projected to be fully drawn toa negative position as shown below: ReservesPre-COVID BalanceInitial Projected Balance Tax Stabilization Reserve($1,688,102) Parking Stabilization Reserve Golf Stabilization Reserve The allocation of Phase 1 Safe Restart funding against current year operating pressures and impacts will reduce the need to utilize reserves as initially projected, but it will not return reserve balances to anywhere close to pre-COVID levels. In an effort to increase balances in reserves to address operating pressures and impacts being experienced as a result of COVID-19, $1.3M was transferred from Capital to the Tax Stabilization Reserve. It is expected that this funding will be fully utilized in order to address operating impacts and highlights the lengths to which the municipality has attempted to address COVID related impacts this year. ALIGNMENT WITH CITY OF KITCHENER STRATEGIC PLAN: The recommendationof this report supports the achievement of the city's strategic vision through the delivery of core service. 3 - 7 FINANCIAL IMPLICATIONS: There are significantfinancial impacts that the City has experienced as a result of COVID-19. Phase 1 Safe Restart funding was welcomed news and will address some but not all of these impacts. It is hoped that the City will be successful in receiving Phase 2 Safe Restart funding to offset the remaining impacts of $5.8M.If the City is not successful in receiving Phase 2 Safe Restart funding, then it is anticipated that stabilization reserves will be drawn down fully, leaving the City with very little financial flexibility to address the ongoing pandemic related impactsthat are expectedin 2021. The Province has indicated that requests for Phase 2 Safe Restart funding is not a claims-based process. The information provided will be used by the Province to determine how the remaining Phase 2 funding should be allocatedwitha commitment to notify municipalities regarding funding allocationsbefore the end of the year. COMMUNITY ENGAGEMENT: INFORM council / committee meeting. ACKNOWLEDGED BY: Dan Chapman, Chief AdministrativeOfficer 3 - 8 Appendix A Explanations of Major COVID Variances BylawBylaw Fines-$700,000 Bylaw enforcement wasreduced earlier this year due to the COVID-19 pandemic. As of mid- September, Bylaw is back to itsregular enforcement routine, including enforcement of all parking regulations. The projected shortfall reflects actual shortfalls already experienced in 2020 by Bylawas well as reducedrevenuefor the remainder of the yearbased on previous monthly results. Financial ImpactLowMediumHigh NP&S and SportRecreation Revenues-$7,900,000 All City cultural and recreational facilities were closed to the public on March 16. The projected shortfall reflects actual shortfalls already experienced in 2020 by Neighbourhood Programs & Services and Sport as well as reduced/limited programming for the remainder of the year. Financial ImpactLowMediumHigh Economic DevelopmentSpecial Events & Market-$304,000 All City cultural and recreational facilities were closed to the public on March 16, and all public events were cancelled. The projected shortfall reflects actual shortfalls already experienced and projects revenue/cost reductions for the remainder of the year. Financial ImpactLowMediumHigh Facilities ManagementUtilities Savings+$1,229,000 All City cultural and recreational facilities were closed to the public on March 16. Further closure of all City facilities (e.g. City Hall) to the public followed quickly thereafter on March 18. The projected surplus reflects actual surpluses already experienced in 2020 as well as reduced/limited programming for the remainder of the year. Forecasted surpluses are based on the following assumptions: Community Centres: Water: 90%, Hydro: 20%, Gas: 10% Arenas: Water: 90%, Hydro: 70%, Gas: 30% Pools: Water: 70%, Hydro: 20%, Gas: 30% City Hall: Water: 50%, Hydro: 20%, Gas: 10% Kitchener Operations Facility: Water: 10%, Hydro: 10%, Gas: 5% Financial ImpactLowMediumHigh 3 - 9 Appendix A Explanations of Major COVID Variances General ExpenseCOVID Tracked Costs-$1,470,000 A number of corporate costs related to COVID-19 have been tracked separately for reporting purposes. Examples of the costs include: Purchases of personal protective equipment and other health & safety supplies Additional Citrix licenses for a higher number of staff working from home -19 response Additional cleaning and minor retrofits of City facilities Financial ImpactLowMediumHigh General ExpenseDiscretionary Items+$1,145,000 With a large deficit projected for 2020, the EOCMT (Emergency Operations Centre Management Team) approved limits on spending to a number of discretionary budget lines where staff have some control over the spending. The reduction targets are noted below*: 50% for training, seminars, and conferences 50% for mileage & parking 50% for meeting expenses 50% for miscellaneous 33% for discretionary supplies *Financial Planning staff (with some divisional consultation) reviewed the proposed reductions at the cost centre level and excluded/modified the expected reduction amounts where applicable Financial ImpactLowMediumHigh General ExpenseStaff Savings+$3,650,000 Effective April 13, a number oftemporary, casual part-time, and 9000 series City employees were placed on a Declared Emergency Leave (DEL). On a normal day these staff would be found in arenas, pools and community centres, at the Kitchener Market or crosswalks across the city, delivering incredibly valued service to the community. With facility closures and program cancellations, these staff were unable to perform their regular duties, and were placed on DEL. The estimated savings of placing these staff of DEL is $2.5M ($250,000/weekx 10 weeks, mid-April until the end of June). In addition, savings of $1.15M are estimated for part time employees supporting recreational programs that will be running at reduced capacity in the last half of 2020. Financial ImpactLowMediumHigh 3 - 10 Appendix A Explanations of Major COVID Variances General ExpenseSupplementary Taxes/Write Offs-$720,000 Current information received from the Municipal Provincial Assessment Corporation (MPAC) shows assessment growth is trending lower than expected due to the impact of the pandemic. It is expected this will result in lower than expected supplementary property tax revenue. Further, property tax adjustments are expected to be higher than budgeted as the Assessment Review Board is looking to resolve many legacy appeals by the end of 2020. It is also expected that property tax write-offs related toSection 357 of the Municipal Act will be higher than budgeted. Financial ImpactLowMediumHigh General RevenueInvestment Income-$1,000,000 The Canadian financial market impacts of COVID-19 are more abrupt than anything ever felt before. Amidst significant economic uncertainty, the Bank of Canada quickly reduced its key interest rate to historically low levels, with indications from the Bank of Canada Chief that reductions were announced. This included shifting and locking in approximately $75M at higher rates before banks lowered the rates that they were offering. For example, on March month it was (and continues to be 0.90%). A 1% reduction to rates for a full year represents a $1.6M reduction to investment income compared to 2019. Based on decisions made to date by Council regarding economic recovery supports (and assuming that there are no additional rate reductions on the horizon) the City is projecting a $1M negative variance related to investment income for 2020. The City currently has $1.7M in the investment rate stabilization reserve that will be needed to offset some of these impacts. Financial ImpactLowMediumHigh 3 - 11 Appendix A Explanations of Major COVID Variances General RevenuePenalties & Interest-$1,100,000 As part report DSD-20-064 (Financial & Economic Supports for Residents and Businesses), Council approved: That the City provide support to residents and businesses for 60 days by: a)Waiving penalties and interest on property taxes for the months of April and May 2020; b)Waiving late payment charges on utility bills and miscellaneous receivable invoices for the months of April and May 2020; c)Suspending utility disconnection and collection activities until May 31, 2020; and, d)Waiving Non Sufficient Fund (NSF) fees charged by the City on customer accounts for the months of April and May 2020. The staff report identifies an estimated financial impact of $700,000. Report DSD-20-067 (Extended Financial and Economic Recovery Supports for Residents & Businesses) further extended a number of measures until the end of June. The report identifies a financial impact of $600,000 for the Property Tax Deferral Program and waiving of Penalties & Interest. Due to lower than estimated uptake in the property tax deferral program, the projected impact was reduced by $200,000 in August. Financial ImpactLowMediumHigh Building$4,225,000 Building revenues are higher than budget due to increased permit applications in the new low rise residential, apartment and commercial categories. Financial ImpactLowMediumHigh Golf-$619,000 Golf revenues have been significantly impacted by COVID-19. Golf courses opened approximately one month later than previous years, with reduced number of memberships, reduced cost of membership, and no food & beverage, driving range,or pitch and putt revenue. Financial ImpactLowMediumHigh 3 - 12 Appendix A Explanations of Major COVID Variances Parking-$2,852,000 As part report DSD-20-064 (Financial & Economic Supports for Residents and Businesses), Council approved: That the Director of Transportation Planning be authorized to provide refunds to all garages and lots, for the period of March 16th to April 6th; accounts, without penalty or loss of their parking space, until a time determined by the ortation Planning; The report further notes that there will likely be additional impacts to parking revenues and that Parking staff will monitor and update projections. The projected variance includes: the monthly refunds for the period of March 16-April 6 estimated hourly impacts for mid-March to the end of May estimated loss of revenue from suspended monthly permits for April-May Reduced monthly & hourly Parking revenues have been projected until the end of the year based on slow uptake of customers requiring parking. Financial ImpactLowMediumHigh Water+$2,086,000 Water is projecting a surplus based on increased water consumptionduring a drier than normal summer, with many public water amenities (e.g. pools and splash pads) being closed. This led to increased outdoor water use. The surplus is reduced somewhat due to an expected increase in utility account write offs. Financial ImpactLowMediumHigh Sanitary Sewer$3,445,000 Sanitary seweris projecting a surplus based on increased water consumptionduring a drier than normal summer, with many public water amenities (e.g. pools and splash pads) being closed. This led to increased outdoor water use. The surplus is reduced somewhat due to an expected increase in utility account write offs. Financial ImpactLowMediumHigh Storm Sewer+$172,000 Storm is projecting a surplus based on savings in maintenance work, which will not be completed in 2020. Also, there were fewer spills into the stormwater system resulting in savings. The surplus is reduced somewhat due to an expected increase in utility account write offs. Financial ImpactLowMediumHigh 3 - 13 Appendix A Explanations of Major COVID Variances Gas Delivery-$633,000 Gas Delivery is projecting a deficit based on reduced volumes and an expected increase in utility account write offs. Financial ImpactLowMediumHigh Gas Supply+$1,082,000 Gas Supplyis projecting a surplus based on reduced prices for purchasing natural gas. Financial ImpactLowMediumHigh Fleet+$546,000 Savings due to reduced fuel prices and consumption. Financial ImpactLowMediumHigh 3 - 14 Appendix B 3 - 15 Appendix B 3 - 16 Appendix B 3 - 17 Appendix B 3 - 18 Appendix B 3 - 19 Appendix B 3 - 20 Appendix B 3 - 21 Appendix B 3 - 22 Appendix B 3 - 23 REPORT TO:Committee of the Whole DATE OF MEETING:2020-10-26 SUBMITTED BY:Ryan Scott,Managerof Procurement,519-741-2200 ext. 7214 PREPARED BY:Ryan Scott, Manager of Procurement, 519-741-2200 ext. 7214 WARD (S) INVOLVED:N/A DATE OF REPORT:2020-10-05 REPORT NO.:FIN-20-061 SUBJECT:Summary of Bid Solicitations Approved by the Managerof Procurement(July 1, 2020September 30,2020) __________________________________________________________________________________________ RECOMMENDATION: For Information Only BACKGROUND: In accordance with the Purchasing By-law 2017-106 (Chapter 170 Municipal Code), section City's Director of Supply Services shall prepare a quarterly information only report to Council on Solicitations awarded where the Procurement Value is between $100,000 and $750,000 and the Director of Supply Services approved the award awarded by the Director of Supply Services were within approved budgets, capital projects were government or granting agencies which require Council approval, and more than one bid was received in response to the bid solicitation. REPORT: Appendix 1 is a listing of the sixteen(16)approved FINANCIAL IMPLICATIONS: All recommendations awarded by the Managerof Procurement, were within approved budgets. ACKNOWLEDGED BY: Jonathan Lautenbach, Chief Financial Officer, Financial Services Department ***This information is available in accessible formats upon request. *** Please call 519-741-2345 or TTY 1-866-969-9994for assistance. 4 - 1 16 . HST) 314 , 46 162,913.47 $1$$462,018.70$268,493.50 Exclusive of Award Amount ( ) 020 , 2 0 3 ,000.00 348 $165,350.00$$829,000.00$418,000.00 Budget Amount September 20X ON ONON , 20 1 Awarded July Vendor(s) PROVOX Systems Inc, McKinney, TAssociated Engineering (Ont.) Ltd., Markham, IBI Group, Waterloo, IBI Group, Waterloo, . a tool. services to within the will be returned to the based electronic agenda Approved Bid Solicitations ( - professional the downtown cycling grid. Description is for professional services to the design, coordination, approval, nfrastructure capital account to fund Listing of i struction projects. project is cling This project is for the implementation of configurable cloudand meeting management softwareThcompleteand contract document assistance for traffic signals and street lightingdowntown cycling network.The estimated surplus will remain within the cyfuture phases ofThis project is for complete the preliminary design, final design, tendering, as well as contract administration and inspection. The estimated surplus WIP Road Reconstruction general account to fund unexpected deficits in WIP Road ReconConstruction is expected to occur in 2022The project scope includes the design and reconstruction of all underground services (sanitary sewer, storm sewer and Appendix 1 Downtown Franklin Stewart --- Professional Signal and 047 Electronic 096 Professional 097 Professional 124 ---- Bid Solicitation Number & Name P20Agenda and Meeting Management SolutionP20Services Cycling Network Traffic Street Lighting DesignP20Services Street South (Kingsway Drive to Wilson Avenue) ReconstructionP20Services Street (Park Street to 4 - 2 $381,597.98$134,800.00 $490,000.00$160,000.00 N . City - N TwinInterlock IncKitchener, OYork Region Equipment Centre, Scarborough, O - Articulating One (1) All n completion of sweeping sidewalks king lots to each . Wheel Drive - painting existing lot. . - unit will be used for is watermain) as well as sanitary and water services connections to the property line. The asphalt roadway will be reconstructed as well as sidewalks and curbs. The estimated surplus will be used towards the construction phase of the project.Construction is expected to occur in 2022.Sports field infrastructure improvements include: new bleacher pads, new dugout structures and renovated natural bleacher seating. Site improvements include: accessible trail connections from pardiamond facility, creation of landscape berm at Union Ave., strategic buffer tree planting and increase of parking capacity on site through reThe estimated surplus will be closed to the federal gas tax reserve upothe projectFor the supply and delivery ofTerrain FourSidewalk Sweeper Thin the downtown core. The current unit is seven (7) years old with a six (6) year lifecycle. - Wheel - Site - 073 Breithaupt 101 One (1) All -- East End) and Joseph Street (Victoria Street to West End) ReconstructionsT20Park ImprovementsT20Terrain FourDrive Articulating Sidewalk Sweeper 4 - 3 5,683.49 $63,197.00 $169,675.00$16 .00 000 ,,000.00 operating 70 265 $1$ Funded from N N O , United Building Restoration Ltd.TorontoArmstrong Paving & Materials Group Ltd, St. Matthews Equipment Limited O/A HertzEquipment RentalEtobicoke ONTri City Equipment future rental of so include depend on the and waterproofing work will al e Additional work includes use trail along Homer Watson Blvd, - . localized repairs to address areas of The estimated surplus will remain within the Equipment Reserve Fund to fund equipment purchases.Forconcrete delaminationdeterioration.localized waterproofing membrane repairs and wear course overcoating in certain areasIn 2018 the Region of Waterloo constructed a multileaving a gap in the connection through Budd Park. This project scope includes upgrading the existing stone dust trail to a 3 meter wide asphalt trail. Thpainting of a centerline, bicycle and pedestrian symbols.The estimated surplus will remain within the Cycling Grant capital account to fund future cycling projects.This contract provides for the various pieces of heavy equipment on an as needed basis.The estimated spend willlevel of activity throughout the term of the contract. 116 Civic District 131 Budd Park 134 Heavy --- T20Parking Garage RehabilitationT20Trail UpgradesT20Equipment Rentals 4 - 4 $15,200.00 $162,478.00 operatingoperating Funded from Funded from N Laurent - Air - . C Guelph ONUnited Rental of Canada, IncSaintQToromont CatConcord ONTricom Building Maintenance, Toronto, OBelExcavating and Grading Ltd.CambridgeON up - within call out services event of all areas up - one (1) year term, with one (1) year term, with hosted is for the provision of snow ervice enables event set Kitchener Memorial Auditorium contract prior to, during, and after special events. This contract is for aan option to renew for two (2) additional twelve (12) month terms.This contract provides for the labour, materials, and equipment to successfully complete event cleaneight hours of the including the arena, washrooms, lounges, stairwells, entrances and suites. This timely sconversion by City staff to facilitate a smooth transition between events scheduled concurrently.This contract is for aan option to renew for three (3) additional twelve (12) month terms.This removal serfor The actual spend will depend on the level of activity throughout the term of the contract. The Aud 138 Event 139 Snow -- T20Cleaning Service at Kitchener Memorial Auditorium (KMA)T20Cleaning 4 - 5 $284,749.50$160,844.00 operating $220,000.00 Funded from N Superior Propane, Mississauga, OToromont CatConcord, ON - (1) via bulk One buildings, rocurement and year term with ) 5 ropane supply and . p one (1) year term, with operative P - al. Wheel Drive Rubber Tired renew - operative tender issued by the - is primarily required for cremation s for . option opane This contract is for aan option to renew for two (2) additional twelve (12) month terms.This contract is for delivery in various cylinder sizes, replenishment into numerous stationary tanksThis is a coCity of Kitchener (Lead Agency), on behalf of the Grand River CoGroup (GRCPG). The participating agencies are: The City of Kitchener, The Township of Wellesley, The Grand River Conservation Authority, and The Region of Waterloo. Prservices and heating of heritage park washrooms, concessions, maintenance shops, for service vehicles and ice resurfacers as well as other maintenance, repair and operational equipment such as trailer mounted pressure washers, welders, fork lifts, and bitumen hot boxes. This contract is for a five (noFor the supply and delivery ofStandard AllIndustrial Tractor with Front End Loader and an Extendable Backhoe - Wheel - 141 Propane 144 One (1) -- T20Hd5 Bulk Tank and Cylinder Service CooperativeT20Standard AllDrive Rubber Tired Industrial Tractor with Front End Loader 4 - 6 $234,034.00$239,600.00 $254,000.00$560,000.00 N Sekum - N EkumIncorporated o/a Brantco Construction, Cambridge, OTEAM Truck Centres, London, O - future Two (2) use trails. - Conventional Cab and The work includes new (13) years old with a ten (10) from Goodrich Drive to Wabanaki . Wilson Avenue Asphalt Boulevard Multi ptember 28, 2020, weather permitting. This unit will be used for road repairs and digging up concrete sidewalks. The current unit is thirteen year lifecycle.The estimated surplus will remain within the Equipment Reserve Fund to fund equipment purchases.This project scope includes the extension of the use Trail Drive, over an approximate project distance of 700 metres. boulevard asphalt multiThe street has been identified through the cycling master plan. This new trail will provide connections to other cycling and pedestrian links as well as it meets the Accessibility for Ontarians with Disabilities Act.Construction is scheduled to begin SeFor the supply and delivery ofTandem Rear Axle ChassisThese units will be used for snow plowing and loading in the winter and leaf season and for road work and sewer work in the summer. The current units are ten (10) years old with an eleven (11) year lifecycle. use - 151 Wilson 153 Two (2) -- ckhoe and an Extendable BaT20Avenue Asphalt Boulevard MultiTrailT20Tandem Rear Axle Conventional Cab and Chassis 4 - 7 $137,740.00 .00 000 , 40 $1 Turf Care ProductsNewmarket, ON (2) outfit ) years Two 10 ( future ten mowing the golf . Mowers ) year lifecycle. 8 ( surplus will remain within the eight n . The current units are equipment. The estimatedEquipment Reserve Fund to fund of For the supply and delivery ofLightweight Fairway These units will be used forcoursesold with a 160 Two (2) - T20Lightweight Fairway Mowers 4 - 8 REPORTS TO BE CONSIDERED BY COUNCIL OCTOBER 26, 2020 CITY OF KITCHENER COMMUNITY AND INFRASTRUCTURE SERVICES COMMITTEE OCTOBER 19, 2020 1. That subject to annual budget approval, Council provide a grant of up to $220k per year to the Working Centre in order that they provide assisted services (winter sidewalk clearing) to up to 325 properties annually, as outlined in Infrastructure Services Department report INS-20-013; and, That such a grant be adjusted based on the number of residential properties serviced year over year and be reflective of the operational costs incurred by the Working Centre to deliver services; and, That the grant is not eligible to be used for sub-contracting third party commercial contractors to perform the services outlined in this report; and further, That the Mayor and Clerk be authorized to enter into a three-year grant agreement with The Working Centre, subject to the satisfaction of the City Solicitor, to provide the services outlined in Report INS-20-013 and also in Report INS-20-010. 2. That the Mayor and Clerk be authorized to execute a conditional Agreement of Purchase and Sale, as outlined in Development Services Department report DSD-20-156, with Kitchener Trussler Ho road allowance having an area of approximately 2.21 acres, at a purchase price of $884,000., ; and, That the subject road allowance b That the Mayor and Clerk be authorized, subject to the satisfaction of the City Solicitor, to execute all documentation required to complete the transaction. 3. That the City advance its work on equity, anti-racism and Indigenous initiatives, as well as other social justice issues (e.g., homelessness), through the creation of a dedicated staff team, as outlined in Community Services Department report CSD-20-004, which will provide senior level leadership and internal staff expertise in these areas; and, That the associated funding for that team be built into the 2021 budget; and, That the job postings for all five positions include explicitly clear language that will strongly encourage people of equity-seeking backgrounds with lived experience of racism and systemic oppression to apply; and, That for the job postings for the top three leadership roles include language that calls on members of the black and Indigenous and people of colour communities to apply; and, That the hiring process seek out applicants with a deep and nuanced understanding of an equity lens; and further, That the terms of reference defining the staff team roles include wording that ensures over the long-term, regardless of staff turnover, individuals applying to those roles in the future continue to be strongly encouraged to have equity-seeking backgrounds with lived experience in racism and systemic oppression. 4. A Infrastructure Services Department report INS-20-016 for all Kitchener delivery customers effective November 1, 2020. 5. That the 2020 Cycling and Trails Master Plan for the City of Kitchener be adopted as the guiding document for cycling and trails implementation, as outlined in Infrastructure Services Department report INS-20-015; and, That consideration of the recommendations and implementation of the plan be referred to departmental business plans and budget process; and further, REPORTS TO BE CONSIDERED BY COUNCIL OCTOBER 26, 2020 CITY OF KITCHENER COMMUNITY AND INFRASTRUCTURE SERVICES COMMITTEE OCTOBER 19, 2020 5. That the Mayor write on behalf of Kitchener City Council to the provincial and federal ministers responsible for Cycling and Trails infrastructure urging that any post-COVID Infrastructure stimulus programs include the potential of funding for cycling and trail infrastructure at both the local and regional levels.