HomeMy WebLinkAboutFCS Minutes - 2023-02-02 - Final Budget
Finance and Corporate Services
Committee Minutes
February 2, 2023, 9:30 a.m.
Council Chambers - Hybrid
City of Kitchener
200 King Street W, Kitchener, ON N2G 4G7
Present: Mayor B. Vrbanovic
Councillor S. Davey
Councillor D. Schnider
Councillor J. Deneault
Councillor C. Michaud
Councillor A. Owodunni
Councillor P. Singh
Councillor B. Ioannidis
Councillor M. Johnston
Councillor D. Chapman
Councillor A. Clancy
Staff: D. Chapman, Chief Administrative Officer
M. May, General Manager, Community Services and Deputy
Chief Administrator
V. Raab, General Manager, Corporate Services
J. Readman, General Manager, Development Services
J. Lautenbach, Chief Financial Officer, Financial Services
D. McGoldrick, General Manager, Infrastructure Services
L. MacDonald, City Solicitor
B. Rowland, Director, Corporate Communications and Marketing
B. Cheyne, Director, Sport
R. Hagey, Director, Financial Planning
Greg St. Louis, Director, Utilities
B. Cronkite, Director, Transportation Services
B. Lam, Director, Sanitary and Stormwater Utility
Mike Seiling
A. Fusco, Director Legislated Services / City Clerk
D. Andrade, Manager, Budgets
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D. Saunderson, Deputy Clerk
M. Blake, Committee Administrator
_____________________________________________________________________
1. Commencement
The Finance and Corporate Services Committee held a meeting this date
commencing at 9:35 a.m., Chaired by Councillor S. Davey with all members
participating in person and Councillor P. Singh participating remotely.
Members of Committee provided opening remarks on the proposed 2023 budget.
Councillor B. Ioannidis left the meeting at this time.
Councillor P. Singh left the meeting at this time.
2. Disclosure of Pecuniary Interest and the General Nature Thereof
Nil
3. Discussion Items
3.1 2023 Final Budget Day, FIN-2023-061
The Committee considered Financial Services Department report FIN-2023-061,
dated January 24, 2023, related to the 2023 Budget, which is primarily intended
to provide updates on the Operating and Capital Budget presentations as well as
providing specific information required by the Municipal Act. The Committee was
also in receipt of a written submission from the Active Trails and Cycling Advisory
Committee.
Councillor P. Singh joined the meeting in person at this time.
3.1.a Overview
J. Lautenbach, provided opening remarks, noting the overall Operating Budget
includes a proposed tax rate increase of 4.8%, which is below the rate of
inflation. The proposed tax levy increase represents a $56/year annual impact to
the taxpayer. J. Lautenbach highlighted the 2023 budget priorities, public survey
results on the investment options and noted the City's proposed tax levy increase
is one of the lowest of all the municipalities within the Region.
Councillor A. Owodunni left the meeting at this time.
Councillor P. Singh left the meeting and re-entered the meeting at this time.
Councillor M. Johnston left the meeting and re-entered the meeting at this time.
Councillor A. Owodunni re-entered the meeting at this time.
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3.1.b Boards
3.1.b.a Kitchener Public Library
M. Chevreau and A. Riddell, Kitchener Public Library (KPL), were in
attendance and addressed questions from the Committee. M. Chevreau
provided an update on the West End Library construction project.
On motion by Councillor M. Johnston
it was resolved:
"That operating funding for Kitchener Public Library (KPL) in the
amount of $12,132,850 be approved."
Carried
3.1.b.b Centre in the Square
J. Henning and S. Cook, Centre in the Square (CITS), were in attendance
to respond to questions from the Committee.
On motion by Mayor B. Vrbanovic
it was resolved:
"That operating funding for Centre in the Square (CITS) in the
amount of $2,011,601 be approved; and further,
That for this term of Council, any year-end operating surplus be
retained by CITS and be restricted to help fund its capital projects,
and any yearend operating deficit be split 50/50 between CITS and
the City."
Carried
3.1.c Investment Options
Councillor B. Ioannidis returned to the meeting at this time.
R. Hagey advised of the final budget day process and further noted that any
resolution arising from this meeting would be forwarded to a Special Council
meeting later this date.
R. Hagey addressed the strategic investment options noting members of Council
were requested to individually rank the 7 investment options from highest to
lowest priority and to indicate if they preferred the base or enhanced option
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where applicable. R. Hagey indicated budget slide Appendix F 17 includes a
summary of the ranked priority options including a proposed average of funding
as identified through the ranking exercise.
The Chair noted that the based on the proposed ranking, it was preferred to
consider and allocate funding to the strategic investment items in the order of
priority, noting each priority item would be voted on prior to considering the next
item.
3.1.c.a Issue Paper - entitled "Option A - Implementing the Housing for All
Strategy"
The Committee considered Issue Paper entitled "Option A - Implementing
the Housing for All Strategy". J. Readman and J. Lautenbach were in
attendance to respond to questions from the Committee.
On motion by Councillor M. Johnston
it was resolved:
"That Issue Paper entitled "Option A - Implementing the Housing for
All Strategy be provided a one-time funding allocation of $100,000.
out of the Affordable Housing Reserve."
Carried
3.1.c.b Issue Paper entitled "Option F - Traffic Calming - Updated"
The Committee considered Issue Paper entitled "Option F - Traffic
Calming", which included the base information provided at the January 16,
2023 Finance and Corporate Services Committee meeting, as well as
additional supplementary information regarding hotspot measures and
staffing. B. Cronkite was in attendance and responded to questions from
the Committee.
Councillor C. Michaud left the meeting at this time.
Councillor P. Singh left the meeting and re-entered the meeting at this
time.
Councillor C. Michaud re-entered the meeting at this time.
A motion was brought forward by Councillor P. Singh to allocate $200,000.
of the strategic investment funding to the recommendations outlined in
Issue Paper Option F - Traffic Calming.
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Councillor J. Deneault brought forward an amendment to reduce the
funding allocation from $200,000 to $160,000, which was voted on and
was LOST.
Councillor D. Schnider left the meeting and re-entered the meeting at this
time.
On motion by Councillor P. Singh
it was resolved:
"That $200,000. of funding be allocated from the strategic
investment funding to the options outlined in Issue Paper Option F -
Traffic Calming."
Carried
3.1.c.c Issue Paper entitled "Option G - Neighbourhood Park Improvements - Updated"
The Committee considered Issue Paper entitled "Option G -
Neighbourhood Park Improvements - Updated", which included the base
information provided at the January 16, 2023 Finance and Corporate
Services Committee meeting, as well as supplementary information
regarding parks and basketball courts. In response to questions from
Committee, D. McGoldrick addressed the status of the Places and Spaces
Strategy, funding for basketball courts specifically, timing of park
equipment replacements, highlighted the need for any equipment being
replaced to meet current Accessibility for Ontarians Disabilities Act
(AODA) standards, sponsorship of park structures and park accessory
rentals.
On motion by Councillor D. Schnider
it was resolved that:
"That Issue Paper entitled Option G - Neighbourhood Park
Improvements be allocated $400,000 to be funded from the
strategic investment funding."
Carried
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3.1.c.d Issue Paper entitled "Option D - Free Recreational Programming &
Leisure Access"
The Committee considered Issue Paper entitled "Option D - Free
Recreational Programming & Leisure Access". In response to questions
from Committee, M. May addressed the Environics survey analysis
regarding the importance in the community of recreational programming
and leisure access, budget allocation of individual community centres and
neighbourhood association newsletters, pool sponsorships, the standard
approach across the area municipalities of administering the leisure
access program, and the income level to qualify for subsidized programs.
Councillor C. Michaud left the meeting and re-entered the meeting at this
time.
Councillor B. Ioannidis left the meeting and re-entered the meeting at this
time.
Councillor A. Clancy brought forward a motion to allocate $400,000 to
Issue Paper entitled "Option D - Free Recreational Programming &
Leisure Access" to be funded from the strategic investment funding.
Councillor A. Owodunni left the meeting and re-entered the meeting at this
time.
Councillor P. Singh brought forward an amendment to reduce the
proposed funding for Free Recreational Programming & Leisure Access
from $400,000 to $240,000 specifically that the funding should be applied
to the following programming options #1, 3 and 5 as outlined in the issue
paper.
Councillor J. Deneault moved a further amendment to Councillor Singh's
amendment to increase the funding for Free Recreational Programming &
Leisure Access from $240,000 to $310,000 specifically that the funding
should be applied to the following programming options #1, 3, 4, 5 and 6
as outlined in the issue paper.
Councillor Deneault's amendment to the amendment was then voted on
and LOST on a recorded vote with Councillors J. Deneault, D. Schnider,
A. Owodunni, A. Clancy voting in favour; and, Mayor B. Vrbanovic,
Councillors S. Davey, C. Michaud, P. Singh, B. Ioannidis, M. Johnston, D.
Chapman voting in opposition.
Mayor B. Vrbanovic brought forward an amendment to Councillor Singh's
amendment to increase the proposed funding for Free Recreational
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Programming & Leisure Access from $240,000 to $285,000 specifically to
fund the following programming options #1, 3, 4 and 5 as outlined in the
issue paper.
The following motion was then voted on, on a recorded vote.
On motion by Mayor B. Vrbanovic
it was resolved:
"That Issue Paper entitled Option D - Free Recreational
Programming & Leisure Access be allocated $285,000. specifically
to fund options #1, 3, 4 and 5 as outlined in the issue paper from
the strategic investment funding."
In Favour (8): Mayor B. Vrbanovic, Councillor D.
Schnider, Councillor J. Deneault, Councillor C.
Michaud, Councillor A. Owodunni, Councillor P.
Singh, Councillor B. Ioannidis, and Councillor A.
Clancy
Contra (3): Councillor S. Davey, Councillor M.
Johnston, and Councillor D. Chapman
Carried, as amended, on a recorded vote (8 to 3)
3.1.c.e Issue Paper entitled "Option C - Annual Paving of Trails"
The Committee considered Issue Paper entitled "Option C - Annual
Paving of Trails". D. McGoldrick was in attendance to respond to
questions from the Committee.
Councillor P. Singh brought forward a motion to allocate $600,000. of
strategic investment funding to Issue Paper entitled Option C - Annual
Paving of Trails.
Councillor D. Chapman left the meeting at this time.
Councillor A. Clancy brought forward an amendment to Councillor Singh's
motion to reduce the funding for Issue Paper entitled "Option C - Annual
Paving of Trails" from $600,000 with $565,000.
Following further dialogue related to the two remaining strategic
investment options that were currently not allocated funding, Councillor
Clancy expressed support for receiving additional information in 2023
related to the City's overall sustainability goals and additional opportunities
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for environmental stewardship, specifically referencing the
recommendations outlined in "Option B - Advancing the Greening of the
City's Fleet", and agreed to withdraw the proposed amendment at this
time, noting the reason for the proposed amendment was to leave some
strategic investment funding available for that initiative.
On motion by Councillor P. Singh
it was resolved that:
"That Issue Paper Option C - Annual Paving of Trails be allocated
$600,000. of the proposed strategic investment funding."
Carried
3.1.c.f Issue Paper entitled "Option B - Advancing the Greening of the City's Fleet
- Updated"
The Committee considered Issue Paper entitled "Option B - Advancing the
Greening of the City's Fleet", which included the base information
provided at January 16, 2023 Finance and Corporate Services Committee
meeting, as well as supplementary information regarding fleet greening
and charging stations. In response to a question from Committee, D.
Chapman clarified the intent of the investment options to report back on
programs, that may not be funded, throughout the year. D. McGoldrick
addressed the funding and maintenance model for the fleet system
highlighting the user based funding options, the ability to offset the cost of
the electric charging stations and the internal chargebacks for internal
combustion (IC) vehicles and electric vehicles (EV). J. Lautenbach
highlighted the equipment replacement reserve and the limited funding
available.
Councillor C. Michaud left the meeting and re-entered the meeting at this
time.
Councillor C. Michaud left the meeting and re-entered the meeting at this
time.
3.1.d Recess and Reconvene
The meeting then recessed at 1:00 p.m. and reconvened at 2:00 p.m. chaired by
Councillor S. Davey with all members present except Councillor C. Michaud and
Councillor D. Chapman.
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3.1.d.a Issue Paper entitled "Option E - Arts & Culture - Updated"
The Committee considered Issue Paper entitled "Option E - Arts & Culture
- Updated", which included the base information provided at January 16,
2023 Finance and Corporate Services Committee meeting, as well as
supplementary information for increasing the number of special events.
Councillor C. Michaud entered the meeting at this time.
In response to questions from the Committee, J. Readman noted a
$100,000 one-time funding allocation for events from the Economic
Development reserve would be possible. Staff clarified arts and culture
based funding (museum, symphony, art gallery) is a significant portion of
funding, and are often re-occurring grants organizations apply for.
Councillor D. Chapman entered the meeting at this time.
On motion by Councillor B. Ioannidis
it was resolved that:
"That Issue Paper Option E - Arts and Culture be allocated
$15,000. of ongoing funding through the strategic investment
funding and a one-time funding allocation of $100,000. primarily for
events from the Economic Development Reserve Fund."
Carried
3.1.e Capital Budget
The Committee considered the Capital Budget as presented at the Finance and
Corporate Services Committee meeting on January 23, 2023, also identified as
Appendix B in the 2023 Budget Materials. In addition, Council was in receipt of
follow-up Issue Papers entitled BD 02: RISE & Love My Hood grants; BD 03:
Grand River Park; BD 04: Garbage collection in parks/trails; BD 05: Urban
Forestry; BD 06: Cycling & Trails; BD 07: Council home technology; and, BD 08:
Internal borrowing/debt included in Appendix F of the Final Budget agenda.
Councillor Singh left the meeting at this time.
R. Hagey provided opening remarks related to the Capital Budget.
Councillor P. Singh returned to the meeting at this time.
Councillor S. Davey opened the discussion on the balance of the Capital Issue
Papers, noting if any member of Committee had questions on one of the Issue
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Papers, the questions on that item would be addressed and considered prior to
considering questions on the additional issue papers.
3.1.e.a Follow-up Issue Papers
3.1.e.a.a Issue Paper entitled "BD 02 - RISE and Love My Hood Grants"
The Committee considered Issue Paper entitled "BD 02 - RISE and Love
My Hood Grants" in response to a request during the Finance and
Corporate Services Committee meeting on January 23, 2023 for staff to
provide additional information related to increasing to the RISE Fund and
LoveMyHood Grant by either a combined i) $50,000; or ii) $100,000.
additional funding. In response to questions from the Committee, M. May
stated the issue paper indicates there is a history of demand for the RISE
and Love My Hood Grants, and recommended if Council has a desire to
see more money allocated to the grants, that they do so.
On motion by Councillor D. Chapman
it was resolved that:
"That Issue Paper BD 02 - RISE and Love My Hood Grants be
allocated (Option 2) an additional $50k/year for 2023 & 2024."
Carried
3.1.e.a.b Issue Paper entitled "BD 03 - Grand River Park"
The Committee considered Issue Paper entitled "BD 03 - Grand River
Park" in response to a request during the Finance and Corporate Services
Committee meeting on January 23, 2023 for staff to provide information
identifying the resource needs to meaningfully advance a Grand River
Park within the current term of Council.
On motion by Mayor B. Vrbanovic
it was resolved:
"That an additional full-time permanent equivalent position (FTE),
be approved as outlined in BD 03 - Grand River Park, to address
the ongoing development of park facilities and that the funding for
the position be allocated from the Parks capital program."
Carried
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3.1.e.a.c Issue Paper entitled "BD 07 - Council Home Technology"
The Committee considered Issue Paper entitled "BD 07 - Council Home
Technology" in response to a request during the Finance and Corporate
Services Committee meeting on January 23, 2023 for staff to provide
information on the Council technology and home office budgets, including
a history of past increases.
On motion by Councillor B. Ioannidis
it was resolved:
"That staff be directed to review policies on the funding for council
technology and home office expenses, conferences, training, and
community engagement; and,
That the funding allocations in the existing council budget
envelopes be consolidated into a single budget envelope; and
further,
That any recommendations for adjustments to this budget be
brought back to Council prior to the 2024 budget process."
Carried
3.1.e.a.d Issue Paper entitled "BD 05 - Urban Forestry - Updated"
The Committee considered Issue Paper entitled "BD 05 - Urban Forestry -
Updated" in response to a request during the Finance and Corporate
Services Committee meeting on January 23, 2023 for staff to provide
information regarding the impact of a $1,000,000 reduction to the urban
forestry program ($100,000 annually) to the 2022 Council approved Tree
Canopy Target and how this would influence deliverables of the overall
Forestry program. D. McGoldrick was in attendance to respond to
questions from the Committee.
Councillor M. Johnston left and returned to the meeting at this time.
3.1.e.a.e Issue Paper entitled "BD 06 Reallocation of Cycling Infrastructure
Funding to Trails"
The Committee considered Issue Paper entitled "BD 06 Reallocation of
Cycling Infrastructure Funding to Trails" in response to a request during
the Finance and Corporate Services Committee meeting on January 23,
2023 for staff to provide information related to the possibility and impact of
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reallocating $300,000 from cycling infrastructure funding annually to the
paving of off-ndance to
respond to questions from the Committee.
3.1.e.a.f Issue Paper entitled "BD 04 - Enhanced Garbage Collection in Parks and
Trails"
The Committee considered Issue Paper entitled "BD 04 - Enhanced
Garbage Collection in Parks and Trails" in response to a request during
the Finance and Corporate Services Committee meeting on January 23,
2023 for staff to provide information related to the expansion of current
programming to allow enhanced garbage collection in parks and trails. D.
McGoldrick and R. Lusk were in attendance to respond to questions from
the Committee. D. McGoldrick noted the Garbage collection strategy
would be activated in 2023, including doubling staff capacity and
frequency. J. Lautenbach clarified there is currently no allocation in the
current operating or capital budget for this matter, and any funding
allotment would be an addition outside of the outlined budget. D.
McGoldrick clarified the resources required would be full time resource,
and would require a commitment to allocate funding in the next budget.
Councillor A. Owodunni and Councillor J. Deneault left the meeting at this
time.
Councillor Deneault returned to the meeting at this time.
In response to questions from the Committee, staff noted in the past three
years garbage collection staff have noted a higher demand for additional
funds to account for the increased use of trails, regional changes and
seasonal changes, resulting in garbage in parks/trails.
Councillor A. Owodunni returned to the meeting at this time.
On motion by Councillor B. Ioannidis
it be resolved:
"That $50,000. be allocated from the tax supported operating
budget to fund 2 additional full time equivalent staff associated
operating costs phased in at end of 2023, as outlined in Issue
Paper BD 04 - Enhanced Garbage Collection in Parks and Trails";
and further,
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That staff be directed to seek funding options within the existing
capital balances to fund a new garbage compactor truck to address
increased enhanced garbage collection in parks and trails."
Carried
3.1 2023 Final Budget Day, FIN-2023-061
3.1.f Disclosure of Pecuniary Interest and the General Nature Thereof
Councillor P. Singh declared a conflict regarding Connaught St, Mill St,
620304006 Mill/Courtland community centre, due to family members owning
property in the vicinity of the subject projects and accordingly did not participate
in any voting or discussion with these matters.
3.1.g 2023 Capital Budget
The capital projects that were subject to the declared pecuniary interest were
then voted on and were Carried.
On motion by Councillor P. Singh
it was resolved:
"That the Capital Budget & Forecast (2023-2032) be approved, with
expenditures for all years totalling $1,613,535,000."
Carried
3.1.h Enterprise Operating Budgets
Committee then considered the 2023 Enterprise Budgets for: Building, Golf,
Parking, Natural Gas, Water, Sanitary and Stormwater Utilities.
On motion by Councillor P. Singh
it was resolved:
"That the following budgets for municipal enterprises be approved:
Revenue Expense Transfer to/(from)
Reserve
$ 3,381,720 $ 6,784,056 $ (3,402,336)
Building
Enterprise
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$ 2,517,463 $ 3,004,567 $ (487,104)
Golf
Enterprise
Parking $ 5,402,245 $ 6,933,439 $ (1,531,194)
Enterprise
$ 102,785,810 $ 103,044,210 $ (258,400)
Gasworks
Utility
Water Utility $ 51,053,977 $ 51,903,942 $ (849,965)
$ 63,872,278 $ 67,324,760 $ (3,452,482)
Sanitary
Utility
$ 26,402,226 $ 27,607,737 $ (1,205,511)
Storm Water
Utility
$ 255,415,719 $ 266,602,711 $ (11,186,992)"
Carried
3.1.i Tax Supported Operating Budget
On motion by Councillor A. Clancy
it was resolved:
"That the general levy of $146,507,227 which results in approximately a
4.84% tax increase, excluding tax policy changes, be approved including
assessment growth of 1.89%."
Carried
3.1.j Resolutions
On motion by Councillor A. Clancy
it was resolved:
"That the balance of the recommendations related to the 2023 Capital and
Operating Budgets be approved, as outlined in the draft resolution sheet
circulated to members of the Council this date."
Carried
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4. Adjournment
On motion, this meeting adjourned at 3:42 p.m.
Dianna Saunderson, Manager of Council/Committee Services & Deputy Clerk
Mariah Blake, Committee Administrator
Amanda Fusco, Director, Legislated Services/City Clerk
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